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The investment objective of the fund is a positive long term performance. To this end, the fund invests in assets from various lowly correlated asset classes, including particularly bonds and equities. The aim is to use investment opportunities in various sectors and markets to achieve a high degree of diversification. It can also focus on specific industries, regions or asset classes. All the while, the investment’s chances should always be greater than the risks. To achieve this, the risk is being strictly controlled with accredited methods of evaluation and is reduced e.g. by the use of options. Nevertheless, it can not be guaranteed that the investment objective can be achieved in every market situation. Unforeseen market fluctuations and developments could lead to a decline of the share value.
Name | Title | Since | Until |
---|---|---|---|
Andrea Scotti | - | 2018 | Now |
Biography | Andrea Scotti joined Generali Investments in 2014 and works there in the Third Party Investments team. He manages the equity component of several funds. Andrea has a master degree in Mathematics. | ||
Not Disclosed | - | 2016 | 2018 |
Dino Skrapic | - | 2008 | 2016 |
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