Archive

  • Generali says further write-down of Russia exposure will not endanger capital remission

    20 May 2022

    Cristiano Borean reveals BTP spread moves needed for country-level volatility adjustment

  • Russian investment impairments put 9% dent in Generali's quarterly earnings

    19 May 2022

    Exposures span fixed income, unit-linked and equity stakes

  • Generali grows third-party AuM by 11.6% in H1 2020

    03 August 2021

    Nearly half of which is result of 2020 Cattolica deal

  • Generali CFO flags more insourcing as investment boutique skills expand

    20 May 2021

    Borean looking for more M&A of "high-fees" businesses

  • Generali reveals asset management details of planned Cattolica M&A

    04 August 2020

    Italian also updates sensitivities to BTP spreads widening

  • Generali prepares further green investing after €600m bond issue

    30 June 2020

    Green bond is second by Italian insurer

  • Generali reveals impact on solvency if Italian debt gets downgraded

    22 May 2020

    Analysts question Generali on validity of sensitivities to market shocks

  • Generali's green ILS framework will redeploy capital to sustainable investments

    26 February 2020

    Italian insurer "wants to consider sustainability in capital management solutions"

  • Generali's M&A path pays off in investment profits

    14 March 2019

    Italian now earns 174bps more on investments than average policy guarantee