Filippo CasagrandeHead of Insurance Portfolios Investment Strategy - Group Investments , Assets & Wealth Management at Assicurazioni Generali
In Generali Investments,Asset & Wealth Mangement Business Unit since 2009, Filippo held different senior positions: initially in charge for the Fixed Income and Currencies Investments Team, then he was appointed CIO in 2013 of the Internal Asset Management Company .
At the end of 2015 he was named Head of Special Situations at Generali Group and later, in the same year, he took over the role of Head of Multi Manager Solutions.
During 2018 Filippo was appointed as Chief Investment Officer at Generali Investments Partners SGR SpA Extending his responsibility to the investments in global private debt instruments.
As of February 2020 within the Group Investments,Asset & Wealth Mangement Business Unit Filippo has the responsability to streamline the insurance portfolio with a description and definition of the investment strategy of all Companies on all asset classes.
Moreover he is in charge of steering and overseeing Group Investments in external asset managers , scounting new investment opportunities , structuring deals and monitoring and implementing the BU strategy among asset classes, in consideration of Group/companies/ objectives.
Filippo is Chairman of the Board of Directors of Generali Investment Luxembourg Sicav and Board Member of Genertel, Genertelife Insurance Companies .
Before joining Generali Group, Filippo was Co-Head of Italian and International Bond Investment at Spring Cofide Group, Head of Foreign and Italian Fixed Income at IMI Fideuram Group, Fixed Income Chief Investment Manager at Symphonia SIM, finally Deputy General Manager and Chief Investment Officer at Banca del Gottardo.
Filippo graduated in Economics from Bocconi University of Milan.