Generali has set a clear benchmark for insurance-sector investor relations through a disciplined, transparent and continuously engaged DCM IR strategy. Its approach combines regular investor dialogue, detailed post-issuance analysis and systematic incorporation of investor feedback, supported by one of the most comprehensive and accessible debt investor websites in the market. With full visibility on outstanding debt, maturity profiles, ratings by instrument and a robust ESG framework underpinning roughly half of its funding, Generali delivers clarity and consistency that strengthens investor confidence across market cycles. This methodical, investor-centric execution firmly underpins Generali’s position as a deserving winner of the Best Insurance Investor Relations Team Award.