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Contributor Biographies

Steven V. Mann

Professor/Chair of Finance Department, Moore School of Business, University of South Carolina, USA

Steven V. Mann is professor and chair of the finance department at the Moore School of Business, University of South Carolina. He has coauthored and coedited several books on the bond market. He is also associate editor of The Handbook of Fixed Income Securities, the eighth edition of which was published in January 2012. Professor Mann is an accomplished teacher, having won more than 20 awards for excellence in teaching, including the two highest awards given by the University of South Carolina. He 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. He also serves as an expert witness in court cases involving fixed-income-related matters.


Articles by this Author

  • Tools for Measuring Interest Rate Risk
    by Steven V. Mann
    One can understand risk intuitively as the chance of an unpleasant surprise. Financial institutions must be able to manage their exposure to risk. To accomplish this task, they must be able to identify the risks to which they are exposed and measure that exposure. Numerous types of risk put a financial institution in harm’s way. One major exposure is to interest rate risk. Interest rate risk has two dimensions—level risk and curve risk. Level...

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