Steven V. Mann
|Department:||Department of Finance
Darla Moore School of Business
|Office:||Darla Moore School of Business, Room 456I|
|Resources:||Curriculum Vitae [pdf]|
Steven V. Mann is a professor of finance at the Darla Moore School of Business at the University of South Carolina. He has published over 70 articles in finance journals and books. His first book, Floating-Rate Securities, co-authored with Frank Fabozzi, was published in May 2000. His second book, Introduction to Fixed-Income Analytics, also co-authored with Frank Fabozzi, was published in April 2001. His third book, The Global Money Markets, co-authored with Frank Fabozzi and Moorad Choudhry, was published in July 2002. In the summer of 2003, Measuring and Controlling Interest Rate and Credit Risk was published (co-authored with Frank Fabozzi and Moorad Choudhry). In 2005, he co-edited Securities Finance and served as assistant editor of The Handbook of Fixed-Income Securities.
Professor Mann is an accomplished teacher, having won over 20 awards for excellence in teaching, including the two highest awards given by the University of South Carolina — the Michael J. Mungo Award for Excellence in Teaching (1993) and the Amoco Outstanding Teacher Award (1995). In May 1999, he received the Darla Moore School of Business Master Teacher Award.
Professor 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. He has conducted over 150 training programs for financial institutions throughout the United States.
Professor Mann’s research interests are in the area of investments, particularly fixed-income securities and derivatives. Professor Mann has won two awards for outstanding research.
- Ph.D., University of Nebraska, 1987
- M.A., University of Missouri, 1983
- B.A., University of Missouri, 1981