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Summary of the first half of 2021 Semi-annual report of key financial market information, selected and commented on by Piotr Minkina, Director, Analysis and Investment Strategy at Generali Investments TFI. https://generali-investments.pl/contents/display-article/site/summary-of-the-1st-half-of-2021

Published: 08.07.2021

ESG and investing The summer season has brought further anomalous weather conditions. This reminds us about climate issues which are among the most important ESG criteria and relate to sustainable development and its objectives presented by the UN. https://generali-investments.pl/contents/display-article/site/esg-and-investing

Published: 05.08.2021

2021 Brief summary Annual report of key financial market information, selected and commented on by Piotr Minkina, Director, Analysis and Investment Strategy at Generali Investments TFI. https://generali-investments.pl/contents/display-article/site/2021-brief-summary

Published: 09.01.2022

Investment outlook for 2022 The management of Generali Investments TFI has prepared outlook for 2022. 2022 will be a year of active management, in which selection will be more important for fund performance that allocation. nflation can be no longer treated as a temporary phenomenon, which is reflected in the central bank’s monetary policy normalization. Higher interest rates will allow for achieving higher returns from short-term debt funds. https://generali-investments.pl/contents/display-article/site/investment-outlook-for-2022

Published: 27.01.2022

Current Market situation comment Russian aggression against Ukraine intensified the wave of risk aversion that had been building up for some time. Significant discounts continued and affected all asset classes, especially instruments of Russian entities. The market had already been under pressure for some time and the materialisation of the negative scenario pushed it towards new short-term minima. https://generali-investments.pl/contents/display-article/site/current-market-situation-comment

Published: 25.02.2022

Current Market situation comment - update on 01/03/2022 The outbreak of war in Ukraine continues to have a negative impact on financial markets. The sanctions introduced in recent days, including the cutting off of large Russian banks from the SWIFT system and the isolation of Russia from financial markets, have had an impact on today's quotations of sub-funds with exposure to entities linked to this market. https://generali-investments.pl/contents/display-article/site/current-market-situation-comment-update-on-01-03-2022

Published: 02.03.2022

Current Market situation comment - update on 02/03/2022 The valuation of funds managed by Generali Investments TFI, published today, takes into account subsequent actions of the managers aimed at reducing the share of assets with exposure to the Russian market. https://generali-investments.pl/contents/display-article/site/current-market-situation-comment-update-on-02-03-2022

Published: 03.03.2022

Weekly financial markets review Weekly summary of key financial market information Current figures, selected and commented on by Piotr Minkina, Director, Analysis and Investment Strategy at Generali Investments TFI. https://generali-investments.pl/contents/display-article/site/weekly-financial-markets-review

Published: 27.02.2024