Responsible Investor

Generali’s response to geopolitical, macroeconomic and financial instability

Lockdown and necessary protective measures have produced serious effects on economic and political stability throughout the world.

The turbulence in financial markets is proving the importance of our asset allocation strategy to guarantee solidity to our customers and to support economic recovery; this is why we have strengthened such strategy to reach geographical and asset class diversification.

We also advocate for international dialogue among decision-makers, as we consider it essential to foster effective global governance and overcome common challenges, and support collaborations in the private sector and with public institutions.

Together, we can restart. Discover our strategy to #ReshapeValue.