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- What impact, if any, will ESG considerations have on ratings? How are rating agencies using ESG scores to determine ratings?
- Discover how to monitor and set future parameters to ensure proceeds are being used appropriately
- To what extent are borrowers paying a premium to access green investors? How do you align the interests of stakeholders?
- What more can be done to widen the adoption of sustainability products?
- How are sovereigns evaluating sustainability linked instruments?
Moderator
Speakers

Alessia Falsarone

Managing Director, Head of Sustainable Investing at Pinebridge Investments
Alessia Falsarone is a Managing Director in the Global Fixed Income team at PineBridge Investments in New York, a private, global asset manager focused on active, high-conviction investing. As Head of Sustainable Investing, she brings an integrated portfolio management lens to the investigation of the Environmental, Social and Governance practices of global organizations that access developed credit markets. Previously, Ms. Falsarone served as Vice President of Global Investments in the office of the CIO at Citigroup, responsible for portfolio allocation of strategic co-investments as well as international client advisory. Ms. Falsarone was also a quantitative strategist on Citigroup's institutional desk in San Francisco. She started her career as an investment banker with Credit Suisse. Ms. Falsarone is a Governance Fellow of the National Association of Corporate Directors, a Standards Advisory Group member of the Sustainability Accounting Standards Board (SASB), and a member of the UN PRI Advisory Committee on Credit Risk. Ms. Falsarone is an alumna of Stanford University, the MIT Sloan School of Business and the Bocconi University School of Economics.
Pinebridge Investments

Alfredo Mordezki Zytny

Head of Latin America Fixed Income at Santander Asset Management
Originally from Montevideo in Uruguay, since 2010 Alfredo Mordezki has been Head of Latam fixed income at Santander Asset Management based in London. Alfredo runs corporate bond funds using a fundamental and value investment style. He graduated from Universitat Pompeu Fabra in Barcelona with an Msc in International Economics in 1992 and Universidad de la República in Uruguay with an MSc in Economics and Finance in 1995.
Santander Asset Management

Paul Bringas

Chief Financial Officer at COFIDE
Education:
- Degree in Economics from Universidad Catolica del Peru, Peru
- MBA in Finance from New York University Stern School of Business
- CFA Charterholder
Professional experience:
- Chief Financial Officer at COFIDE (2019-present)
- Professor of Finance at Universidad Catolica del Peru (2016-present)
- Head of Investments at Interseguros / IFS (2017-2019)
- Director at Moody’s Local (2015-2017)
- Head of Credit and Market Risk at CAF (2007-2015)