Agenda
주제발표: 정부 신용전망 및 거시경제 전망
구조적 변화 및 경기사이클의 리스크 요인과 분석
- 한국 정부 신용도의 주요 지지 요인 및 제약 요인
- 유동성 축소 및 인플레이션에 대한 한국 경제의 대응능력
- 장기적인 인구통계적 특성 및 생산성 변화와 지정학적 리스크 요인이 한국의 신용도에 미치는 영향
주제발표: 은행산업
한국 및 아시아태평양 지역 은행산업 전망
- 한국 은행산업의 안정적 전망을 지지하는 주요 요인
- 아시아태평양 지역 은행산업의 전망 변화와 한국 은행산업에 대한 시사점
- 한국 은행산업의 주요 리스크 요인
커피 브레이크
주제발표: 한국 보험산업 전망
한국 생명보험사: 안정적인 수익성 및 자본적정성이 안정적 전망 지지
- 향후 12 – 18 개월간 한국 생명보험산업의 주요 리스크 요인
- 안정적 수익성 전망의 주요 지지 요인
- 신지급여력제도의 이행이 보험사의 자본적정성 및 지급여력에 미치는 영향
패널토의 및 Q&A: 지속가능금융
지속가능금융 동향 및 금융기관의 역할
- 지속가능금융 시장 주요 동향
- 지속가능금융이 어떻게 저탄소 전환에 대한 대응을 지원할 수 있는가?
- 저탄소 전환 지원을 위한 금융기관의 역할은?
오찬
행사 개요:
장소: 롯데호텔 서울
주소: 서울 중구 을지로 30, 04533
일자: 2023년 4월 6일 목요일
시간: 09:00 – 13:30 KST
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Changho Moon is Representative Director and Head of Relationship Management for Moody’s Ratings in Korea.
In his role, Changho leads Moody’s market outreach in Korea, including relationship management, business development and continuous engagement with various Korean and global market constituents.
Changho has more than 25 years of experience in banking and credit ratings, including building strong relationships with debt issuers, intermediaries, investors, policymakers and the media in the Korean markets.
Prior to his current role at Moody’s, Mr. Moon was Head of Commercial and Communications at Moody’s affiliate Korea Investors Service (KIS). Before that, he served as the Head of Ratings Group for six years, having joined KIS as an analyst in 1999. He also worked in the International Banking department of Korea Long Term Credit Bank.
Changho holds a Bachelor of Business Administration and a Master’s in Finance from Yonsei University in Seoul.
Anushka Shah is a Vice President with Moody’s Sovereign Risk Group. Based in Singapore, Anushka covers a number of countries in Asia Pacific, including Malaysia, Indonesia, Vietnam, Taiwan, the Maldives and Mongolia.
Prior to joining Moody’s, Anushka worked for more than seven years at Citi Investment Research in Bombay, where her focus was on the South Asian economies.
Anushka has a Master’s in Economics and Finance from the University of Warwick and a Bachelor’s in Economics from the University of Bombay.
Juwon Lee is Vice President – Senior Analyst with Moody’s Ratings, Financial Institutions Group. Based in Hong Kong, she covers a portfolio of financial institutions in Korea and Mongolia.
Juwon newly joins from Australia and New Zealand Banking Group where she covered Korea financial institutions and Japan banks for seven years. Prior to ANZ, she spent six years at Macquarie Securities as an equity analyst covering Korea shipbuilding, machinery, and logistic companies. Juwon also held positions at MUFG Bank and Hyundai Oilbank.
Juwon holds a bachelor’s degree in Business Administration from Ewha Womans University.
Gil Jo is an Assistant Vice President - Analyst with Moody’s Ratings' Financial Institutions Group. Based in Hong Kong, he is responsible for the ratings and research on insurance companies and non-bank financial institutions in Korea. Gil first joined Moody's in 2019 as an Associate Analyst, supporting the coverage of insurance companies and non-bank financial institutions in Korea.
Prior to joining Moody’s, Gil spent two years at Goldman Sachs in Hong Kong, where he was an internal auditor assessing the firm’s securities division, and also at Ernst &Young for a year, where he was a junior consultant under the risk advisory team. Gil is a CFA charterholder and holds a B.A. in Economics from New York University.
Work Experience
- Deputy President & Group Head
- Head of Division of Management Planning Group
- General Manager of Financial Planning Department in Hana Financial Group
- Team Manager of Financial Planning Department
Education
- MSc Corporate Finance at ICMA, University of Reading
▷Professional Experience
2002 Analyst, KIS
2006 Senior Analyst, KIS
2012 Chief Analyst, KIS
2002~ Dept Head, ESG Dept, Financial Assessment Service Group, KIS
▷ Education
2002 B.A. in Economics, Seoul National University
Jeffrey Lee is the Vice President and Regional Manager for APAC Sustainable Finance Assessments with Moody's Ratings. He is based in Singapore. In this role, Jeffrey oversees analytical teams in Hong Kong SAR (HK), Singapore and Tokyo, who are in charge of producing assessments on the credentials of sustainable debt instruments and financing frameworks (Second Party Opinions) and the strength of entities' carbon transition plans (Net Zero Assessments). Jeffrey also supervises publication of thought leadership research related to sustainable finance market, such as sustainable finance outlooks and thematic reports on transition finance.
Jeffrey regularly participates as a speaker at high profile external conferences, roundtables, and media engagements. He represents Moody's on various industry working groups and associations, including the International Capital Market Association's Green and Social Bond Principles advisory council and the Singapore Sustainable Finance Association.
Before his current capacity, Jeffrey was a senior credit rating analyst for the Financial Institutions Group (FIG) at Moody's Singapore, where he was a lead analyst for assigning credit rating for banks and non-bank financial institutions in the ASEAN and India. Prior to that, he was a regional manager and led a team of associates providing credit rating support for the FIG in APAC. He joined Moody's HK in 2013 as an associate covering Korean financial institutions.
Before joining Moody's Jeffrey worked at Morgan Stanley's Institutional Equity Division in South Korea, covering a portfolio of Korean clients. Jeffrey holds a BSc in Economics from Korea University.
Young Kim is an analyst with Moody’s Sovereign and Sub-Sovereign Risk Group. Based in Singapore, he covers portfolio of sovereigns in Asia Pacific, including Philippines, Bangladesh, and a number of Asian credits. Prior to this role, he worked in Moody's ESG/sustainable finance team and was lead analyst with Moody’s Financial Institutions Group, responsible for portfolio of insurance, securities, government-related issuers, and other nonbank financial institutions in Korea. Before joining Moody’s, he worked for International Monetary Fund in Washington D.C., as a research officer in Fiscal Affairs Department, analyzing country risk and public finance issues. Young Kim holds a master’s degree in international relations and international economics from the Johns Hopkins University, the School of Advanced International Studies where he focused his studies in energy, resource, and environment program and international finance. Young is certified in ESG Investing through the CFA Institute.
Sophia Sinae Lee is an Associate Managing Director in Moody’s Financial Institutions Group. Based in Hong Kong, she oversees the ratings team that is responsible for financial institutions in Hong Kong, Korea, Mongolia and Taiwan, and non-bank financial institutions in China.
Sophia joined Moody’s in 2013 and prior to that spent seven years at Deutsche Bank in Hong Kong as an equity analyst. She has also held positions in Korea at Bank of Korea and Korea First Bank.
Sophia holds an MBA from the University of Pennsylvania’s Wharton School and a BA in Russian Language and Literature from Korea University. She is also a CFA charterholder.
Work Experience
- Deputy President & Group Head
- Head of Division of Management Planning Group
- General Manager of Financial Planning Department in Hana Financial Group
- Team Manager of Financial Planning Department
Education
- MSc Corporate Finance at ICMA, University of Reading
▷Professional Experience
2002 Analyst, KIS
2006 Senior Analyst, KIS
2012 Chief Analyst, KIS
2002~ Dept Head, ESG Dept, Financial Assessment Service Group, KIS
▷ Education
2002 B.A. in Economics, Seoul National University
Changho Moon is Representative Director and Head of Relationship Management for Moody’s Ratings in Korea.
In his role, Changho leads Moody’s market outreach in Korea, including relationship management, business development and continuous engagement with various Korean and global market constituents.
Changho has more than 25 years of experience in banking and credit ratings, including building strong relationships with debt issuers, intermediaries, investors, policymakers and the media in the Korean markets.
Prior to his current role at Moody’s, Mr. Moon was Head of Commercial and Communications at Moody’s affiliate Korea Investors Service (KIS). Before that, he served as the Head of Ratings Group for six years, having joined KIS as an analyst in 1999. He also worked in the International Banking department of Korea Long Term Credit Bank.
Changho holds a Bachelor of Business Administration and a Master’s in Finance from Yonsei University in Seoul.
Anushka Shah is a Vice President with Moody’s Sovereign Risk Group. Based in Singapore, Anushka covers a number of countries in Asia Pacific, including Malaysia, Indonesia, Vietnam, Taiwan, the Maldives and Mongolia.
Prior to joining Moody’s, Anushka worked for more than seven years at Citi Investment Research in Bombay, where her focus was on the South Asian economies.
Anushka has a Master’s in Economics and Finance from the University of Warwick and a Bachelor’s in Economics from the University of Bombay.
Juwon Lee is Vice President – Senior Analyst with Moody’s Ratings, Financial Institutions Group. Based in Hong Kong, she covers a portfolio of financial institutions in Korea and Mongolia.
Juwon newly joins from Australia and New Zealand Banking Group where she covered Korea financial institutions and Japan banks for seven years. Prior to ANZ, she spent six years at Macquarie Securities as an equity analyst covering Korea shipbuilding, machinery, and logistic companies. Juwon also held positions at MUFG Bank and Hyundai Oilbank.
Juwon holds a bachelor’s degree in Business Administration from Ewha Womans University.
Jeffrey Lee is the Vice President and Regional Manager for APAC Sustainable Finance Assessments with Moody's Ratings. He is based in Singapore. In this role, Jeffrey oversees analytical teams in Hong Kong SAR (HK), Singapore and Tokyo, who are in charge of producing assessments on the credentials of sustainable debt instruments and financing frameworks (Second Party Opinions) and the strength of entities' carbon transition plans (Net Zero Assessments). Jeffrey also supervises publication of thought leadership research related to sustainable finance market, such as sustainable finance outlooks and thematic reports on transition finance.
Jeffrey regularly participates as a speaker at high profile external conferences, roundtables, and media engagements. He represents Moody's on various industry working groups and associations, including the International Capital Market Association's Green and Social Bond Principles advisory council and the Singapore Sustainable Finance Association.
Before his current capacity, Jeffrey was a senior credit rating analyst for the Financial Institutions Group (FIG) at Moody's Singapore, where he was a lead analyst for assigning credit rating for banks and non-bank financial institutions in the ASEAN and India. Prior to that, he was a regional manager and led a team of associates providing credit rating support for the FIG in APAC. He joined Moody's HK in 2013 as an associate covering Korean financial institutions.
Before joining Moody's Jeffrey worked at Morgan Stanley's Institutional Equity Division in South Korea, covering a portfolio of Korean clients. Jeffrey holds a BSc in Economics from Korea University.
Gil Jo is an Assistant Vice President - Analyst with Moody’s Ratings' Financial Institutions Group. Based in Hong Kong, he is responsible for the ratings and research on insurance companies and non-bank financial institutions in Korea. Gil first joined Moody's in 2019 as an Associate Analyst, supporting the coverage of insurance companies and non-bank financial institutions in Korea.
Prior to joining Moody’s, Gil spent two years at Goldman Sachs in Hong Kong, where he was an internal auditor assessing the firm’s securities division, and also at Ernst &Young for a year, where he was a junior consultant under the risk advisory team. Gil is a CFA charterholder and holds a B.A. in Economics from New York University.
Young Kim is an analyst with Moody’s Sovereign and Sub-Sovereign Risk Group. Based in Singapore, he covers portfolio of sovereigns in Asia Pacific, including Philippines, Bangladesh, and a number of Asian credits. Prior to this role, he worked in Moody's ESG/sustainable finance team and was lead analyst with Moody’s Financial Institutions Group, responsible for portfolio of insurance, securities, government-related issuers, and other nonbank financial institutions in Korea. Before joining Moody’s, he worked for International Monetary Fund in Washington D.C., as a research officer in Fiscal Affairs Department, analyzing country risk and public finance issues. Young Kim holds a master’s degree in international relations and international economics from the Johns Hopkins University, the School of Advanced International Studies where he focused his studies in energy, resource, and environment program and international finance. Young is certified in ESG Investing through the CFA Institute.
Sophia Sinae Lee is an Associate Managing Director in Moody’s Financial Institutions Group. Based in Hong Kong, she oversees the ratings team that is responsible for financial institutions in Hong Kong, Korea, Mongolia and Taiwan, and non-bank financial institutions in China.
Sophia joined Moody’s in 2013 and prior to that spent seven years at Deutsche Bank in Hong Kong as an equity analyst. She has also held positions in Korea at Bank of Korea and Korea First Bank.
Sophia holds an MBA from the University of Pennsylvania’s Wharton School and a BA in Russian Language and Literature from Korea University. She is also a CFA charterholder.