14 - 16 October 2025
Mövenpick Hotel Amsterdam City Centre + ij VENUES Amsterdam
Luca Cetrano joined the Generali Group in April 2012, after experiences as portfolio manager (2 years) and interest rate derivatives trader (2 years) both in Italy and UK.
In Generali Investments (2012-2021), he covered the role of Quantitative Portfolio Manager (6 years) and Head of Asset Allocation & Quantitative Strategies (4 years).
In October 2021, he moved to Assicurazioni Generali as Head of Portfolio Construction and Tactical Asset Allocation, to then expand in 2023 his perimeter of responsibility to Strategic Asset Allocation and AG Holding Investments Portfolio as well.
Luca holds a Master Degree in Finance (cum Laude) from University of Trento, an Executive Master in Insurance and Finance (high Honors) from MIB School of Management and he is a CFA and CAIA Charterholder
European bond markets are at a turning point, with rising sovereign yields, heightened government debt issuance, and ongoing market volatility shaping the landscape. At the same time, corporate default rates are climbing to levels unseen since 2008, adding pressure on credit markets. While the ECB has moved into a holding pattern following its mid-2024 rate cuts, questions remain about the durability of accommodative policy and the outlook for further easing. With liquidity conditions shifting and geopolitical risks looming, asset allocators must rethink fixed income strategies to balance risk, flexibility, and return in an increasingly uncertain environment.
Check out the incredible speaker line-up to see who will be joining Luca.
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