Steven V. Mann

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Steven V. Mann



Steven V. Mann, PhD, is Professor of Finance at the Moore School of Business, University of South Carolina. He has published over seventy articles in finance journals and many books on fixed income and derivatives topics, including The Global Money Markets, Measuring and Controlling Interest Rate and Credit Risk, Securities Finance (as a coeditor), and The Handbook of Fixed Income Securities (as an assistant editor). Mann is an active consultant to clients that include some of the largest investment/commercial banks in the world as well as a number of Fortune 500 companies.

Average rating: 4.16 · 390 ratings · 14 reviews · 12 distinct works
The Handbook of Fixed Incom...

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4.23 avg rating — 373 ratings — published 1983 — 25 editions
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Balanced Scorecard Step-by-...

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3.71 avg rating — 93 ratings — published 2003 — 20 editions
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The Global Money Markets

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3.82 avg rating — 11 ratings — published 2002 — 9 editions
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Introduction to Fixed Incom...

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3.56 avg rating — 9 ratings — published 2001 — 10 editions
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Foundations of Global Finan...

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it was amazing 5.00 avg rating — 5 ratings
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Foundations of Global Finan...

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it was amazing 5.00 avg rating — 2 ratings2 editions
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Securities Finance: Securit...

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2.33 avg rating — 3 ratings — published 2005 — 8 editions
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Introduction to Fixed Incom...

0.00 avg rating — 0 ratings — published 2010
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Introduction to Fixed Incom...

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Measuring and Controlling I...

0.00 avg rating — 0 ratings — published 1996 — 7 editions
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