About us

With assets under management of over 2 billion euros and a structure consisting of more than 80 professionals, Finint Investments SGR is one of the largest managers of alternative funds in Italy.
Finint Investments SGR is a Asset Management Company that manages securities and real estate funds according to different strategies in line with the needs of its national and international investors.

Finint Investments SGR is the first Italian Asset Management Company authorised in 2004 to establish alternative real estate funds and the first to set up this type of fund.

In 2012, Finint Investments SGR was also authorised to establish and manage harmonised funds.

The activity of Finint Investments SGR is based on three main pillars:
  • the establishment of mutual investment funds dedicated to professional clients;
  • the promotion of innovative financial securities and real estate instruments aimed at developing new business opportunities that meet the requirements of investors;
  • the complete management of investment portfolios on behalf of institutional investors thanks to the expertise of its team and a qualified and professional pool of technical and legal advisors.

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Our business
The activity of Finint Investments SGR is based on three main pillars:
  • the establishment of mutual investment funds dedicated to professional clients;
  • the promotion of innovative financial securities and real estate instruments aimed at developing new business opportunities that meet the requirements of investors;
  • the complete management of investment portfolios on behalf of institutional investors thanks to the expertise of its team and a qualified and professional pool of technical and legal advisors.
News
AVVISO: Modifiche al Regolamento di Gestione del FIA italiano riservato denominato "Fondo Finint Bond"
16 March 2020
Si informa che il Consiglio di Amministrazione di Finanziaria Internazionale Investments SGR S.p.A. (Finint SGR) del 28 febbraio 2020 ha approvato alcune modifiche al Regolamento di Gestione del FIA italiano riservato istituito in forma aperta denominato "Fondo Finint Bond"
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Coronavirus: FOCUS Italia - Mercato Obbligazionario
06 March 2020
Da fine febbraio il mercato ha finalmente capitolato rispetto ai rischi derivanti dagli effetti del Coronavirus. Di seguito i valori dei principali indici del credito e la variazione rispetto a fine gennaio:
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Coronavirus: FOCUS Italia - Mercato Azionario
06 March 2020
Dal punto di vista dei mercati azionari, come sempre accade in questi casi, si è riscontrato un consistente aumento della volatilità a seguito dello shock legato alla diffusione del virus. Dopo l’iniziale aspettativa di riuscire a contenerne la diffusione in Cina, l’Italia è entrata in questa spirale negativa a partire dalla fine del mese di febbraio, con il primo caso di contagio.
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