If you liked Measuring and controlling interest rate and credit risk by Steven V. Mann, start with Introduction to Fixed Income Analytics (2010), The global money markets (2003), and Floating-Rate Securities (2010). These recommendations are drawn from the same author, shared genres, and reader overlap on BookOrb.

Back to Measuring and controlling interest rate and credit risk · Steven V. Mann books in order

Recommended next reads

  1. 1 Introduction to Fixed Income Analytics 2010 · 496 pages · Steven V. Mann · Same author
  2. 2 The global money markets 2003 · 336 pages · Steven V. Mann · Same author
  3. 3 Floating-Rate Securities 2010 · 233 pages · Steven V. Mann · Same author
  4. 4 Foundations of Global Financial Markets and Institutions, Fifth Edition 2019 · 1,088 pages · Francesco A. Fabozzi, Steven V. Mann · Same author
  5. 5 Handbook of Fixed Income Securities, Ninth Edition 2021 · 1,904 pages · Steven V. Mann, Francesco Fabozzi · Same author

Frequently asked questions

What should I read after Measuring and controlling interest rate and credit risk?

BookOrb recommends Introduction to Fixed Income Analytics (2010), The global money markets (2003), Floating-Rate Securities (2010), Foundations of Global Financial Markets and Institutions, Fifth Edition (2019), and Handbook of Fixed Income Securities, Ninth Edition (2021).

Are there books like Measuring and controlling interest rate and credit risk?

Yes. The list on this page is ranked from the closest matches BookOrb has for Measuring and controlling interest rate and credit risk.

Who wrote Measuring and controlling interest rate and credit risk?

Measuring and controlling interest rate and credit risk is by Steven V. Mann.