Banca Generalis goal is to offer its clients a full range of asset management products, in order to provide the utmost flexibility and diversification capable of meeting clients financial and asset allocation needs. Its products include portfolio management, mutual funds and SICAVs.
This product range is partly managed by the Groups asset management company (Generali Fund Management) and partly by independent Italian and international firms, rigorously selected to offer Banca Generalis clients a choice of the best investment products at a global level. Banca Generali constantly monitors this selection on the basis of the classification provided by the independent financial research firm Morningstar.
Multibrand - more than 50 international third-party companies = more than 5,400 UCITs