S&P revises Generali rating to A from A+; outlook stable

27 January 2012 - 20:42 price sensitive

S&P revises Generali rating to A from A+, due to market conditions.
Outlook stable, thanks to strong business fundamentals

Trieste – The rating agency Standard & Poor’s revised Generali’s rating to A from A+. The outlook is stable and reflects Generali’s “strong business fundamentals”.

According to Standard& Poor’s “the group still boasts a very strong earnings generation potential based on solid business fundamentals”. The agency “continues to see Generali's liquidity as ‘very strong’ on the back of large and positive net inflows from a widely diversified base of assets and operations”.

“The ratings on Generali – explains S&P - continue to reflect its "very strong" competitive position and operating performance as well as its "strong" enterprise risk management”.

The rating revision reflects the negative impact on Generali’s capital adequacy, with respect to S&P’s model, of low interest rates, increased credit spreads, and volatile equity markets.

The agency also underlines that Generali’s rating exceeds Italy’s by two notches.

The original release by S&P is available in the 'Download Area' below.

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Generali is one of the largest integrated insurance and asset management groups worldwide. Established in 1831, it is present in over 50 countries in the world, with a total premium income of € 95.2 billion and € 863 billion AUM in 2024. With around 87,000 employees serving 71 million customers, the Group has a leading position in Europe and a growing presence in Asia and Latin America. At the heart of Generali’s strategy is its Lifetime Partner commitment to customers, achieved through innovative and personalised solutions, best-in-class customer experience and its digitalised global distribution capabilities. The Group has fully embedded sustainability into all strategic choices, with the aim to create value for all stakeholders while building a fairer and more resilient society.