Funds
The engine room of wealth management
The best wealth management structures in the world cannot deliver the financial benefits they promise without the momentum of underlying investment performance. Recognising this fact, Generali International has invested time and resources to provide an appropriate range of institutionally discounted funds, each selected to provide quality and choice.
Generali International offers investors a comprehensive choice of investment alternatives. These include a wide range of equity, fixed interest and money market funds provided by some of the world's leading fund managers. Without exception, these funds are carefully selected on the basis of providing a high quality of investment performance and are constantly monitored to ensure that the highest standards are maintained. Regular performance statistics are supplied on each of our funds, enabling easy tracking and monitoring.Risk Rated
Our funds range from the secure through to the more adventurous. Each fund has been risk rated to help you select the funds that most closely match your investment aim.Risk Ratings Table
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Low Risk Rating These funds are for investors who require a high degree of security as they offer low risk growth potential. |
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Medium/Low Risk Rating These funds are for investors seeking capital growth with some price volatility as they offer a broad spread of investments across major world markets. |
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Medium Risk Rating These funds are for investors seeking the potential of growth over the medium term as they invest in the world's major equity markets. However, it should be noted that the potential for superior growth is balanced by the increased risk of price fluctuations. |
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Medium/High Risk Rating These funds are for investors seeking the potential of superior capital growth as they invest in the world's more specialist markets. However, it should be noted that the volatility in these markets increases the risk of loss. |
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High Risk Rating These funds are for investors seeking the possibility of fast appreciation of capital as they invest in individual sectors or emerging markets. However, it should be noted that although these markets have the potential to deliver high returns this can be offset by large falls during periods of adverse volatility. The high risk/reward ratio of these funds usually makes them suitable only for a small part of a structured portfolio. |


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