Field of Study
• Stock Market Volatility, Risk Management, Climate-Related Risk, Applications of Machine Learning in Finance
Education
• KAIST, Ph.D. in Future Strategy (Finance)
• KAIST, M.S. in Management Engineering (Finance)
• KAIST, B.S. in Mathematical Science (Minor in Management Science)
Courses
• Fixed Income Securities, Financial Management, Principles of Accounting, Financial Accounting,
Major Career
• Assistant Professor, Department of International Finance, HUFS (Mar. 2026 - Present)
• Korea Investment Corporation [Asset Allocation / Risk Management] (Aug. 2014 - Feb. 2026)
• Hyundai Securities (Acquired by KB Securities) [Risk Management] (Jan. 2013 - Aug. 2014)
Key Papers
• Kim, S., An, J., & Yang, J. S. (2025). Predicting renewable energy stock volatility: A GARCH-CNN approach with indicator analysis. Renewable Energy, 124296.
• Kim, S., Jeon, J., & Kim, H. (2024). Drought and energy stock markets in the United States. Environmental Research Letters, 19(9), 094012.