Steven V. Mann
About the Author
Steven V. Mann is a distinguished financial scholar and educator renowned for his expertise in risk management and quantitative finance. With a career spanning academia and industry, he has advised major financial institutions on strategies to mitigate interest rate and credit exposures, drawing from his deep understanding of market dynamics and econometric modeling. Mann's work bridges theoretical finance with practical applications, offering clear insights into complex instruments like derivatives and fixed-income securities. As a professor at a leading business school, he mentors the next generation of analysts, emphasizing rigorous analysis and ethical decision-making in volatile markets. His contributions continue to shape how professionals navigate economic uncertainties.
