Profile
Mr. Hartmut Wagener is Managing Director at Generali Investments Deutschland Kapitalanlage GmbH.
After graduation, Mr. Wagener participated in a special scientific research project at the University of Kiel.
In 1983, he joined Verlag Gruner + Jahr AG & Co. in Hamburg as Market Analysis Project Manager.
In 1986 he moved to BfG Bank AG in Frankfurt to cover the securities sector.
Two years later (1988), he took over the leadership of the Asset Management department at Aachener und Münchener Lebensversicherung AG in Aachen.
There, he was responsible for the development of investment strategies for the entire investment portfolio - shares, mortgages, real estate and fixed-interest securities - and their subsequent implementation.
On January 1, 1998 Mr. Wagener became managing director at AMB Generali Finanzanlagen-Management GmbH, which later merged with AMB Generali Asset Managers Kapitalanlage GmbH, which in turn now operates under Generali Investments Deutschland Kapitalanlage GmbH.
Mr. Wagener studied economics and political science in Braunschweig and Kiel.
Former positions of Hartmut Wagener
Companies | Position | End |
---|---|---|
Generali Investments Deutschland Kapitalanlage GmbH
Generali Investments Deutschland Kapitalanlage GmbH Investment ManagersFinance Generali Investments Deutschland Kapitalanlage GmbH (GID), formerly known as AMB Generali Asset Managers Kapitalanlage GmbH and AM Generali Invest Kapitalanlage mbH, was established in 1998 and is an asset management firm based in Cologne, Germany. AMB-GAM is a wholly-owned subsidiary of Aachen-based AMB Generali Holding AG (FR: AMB2), which is a subsidiary of Trieste-based Assicurazioni Generali SpA (MI: G). The firm primarily manages group-owned investments via an index-tracker. | President | 22/10/2012 |
Generali Investments Europe SpA SGR (Germany)
Generali Investments Europe SpA SGR (Germany) Investment ManagersFinance Generali Investments Europe SpA SGR (Germany) (Generali Investments Germany) is the Germany-based investment advisory division of Generali Investments Europe SpA SGR, ultimately held by Assicurazioni Generali SpA (MI: G) in Italy. Based in Cologne the firm performs investment activities previously provided by Generali Investments Deutschland Kapitalanlagegesellschaft. They are a socially responsible investor and signatory to the UN Global Compact and are included in the FTSE4Good Global Index, the FTSE4Good Europe Index and the ASPI Eurozone Index. Generali Investments Germany has a dedicated team of SRI analysts and has developed a proprietary methodology for ESG analysis. | Chief Executive Officer | - |
Experiences
Positions held
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
Private companies | 2 |
---|---|
Generali Investments Deutschland Kapitalanlage GmbH
Generali Investments Deutschland Kapitalanlage GmbH Investment ManagersFinance Generali Investments Deutschland Kapitalanlage GmbH (GID), formerly known as AMB Generali Asset Managers Kapitalanlage GmbH and AM Generali Invest Kapitalanlage mbH, was established in 1998 and is an asset management firm based in Cologne, Germany. AMB-GAM is a wholly-owned subsidiary of Aachen-based AMB Generali Holding AG (FR: AMB2), which is a subsidiary of Trieste-based Assicurazioni Generali SpA (MI: G). The firm primarily manages group-owned investments via an index-tracker. | Finance |
Generali Investments Europe SpA SGR (Germany)
Generali Investments Europe SpA SGR (Germany) Investment ManagersFinance Generali Investments Europe SpA SGR (Germany) (Generali Investments Germany) is the Germany-based investment advisory division of Generali Investments Europe SpA SGR, ultimately held by Assicurazioni Generali SpA (MI: G) in Italy. Based in Cologne the firm performs investment activities previously provided by Generali Investments Deutschland Kapitalanlagegesellschaft. They are a socially responsible investor and signatory to the UN Global Compact and are included in the FTSE4Good Global Index, the FTSE4Good Europe Index and the ASPI Eurozone Index. Generali Investments Germany has a dedicated team of SRI analysts and has developed a proprietary methodology for ESG analysis. | Finance |
- Stock Market
- Insiders
- Hartmut Wagener