Notas del episodio
This week, host Colbert Cannon sits down with Francesco Martorana, Group Chief Investment Officer at Generali, a global insurance and asset management provider. We discuss Francesco’s time at J.P. Morgan, Deutsche Bank and Allianz before joining Generali, where he oversees an approximately €400 billion global portfolio. Francesco shares Generali’s stance on private credit and the qualities he looks for in a portfolio manager.
Learn more about Francesco and his role at Generali here. Check out Colbert’s Best Idea for this week, the book The Great Texas Banking Crash by Joseph Grant here.
Palabras clave
private creditdeutsche bankgeneraliallianzreal estate assetsgenerali asset managementportfolio managersassets under management