| title | ISBN-13 | year of publica- tion | other author(s) |
|---|---|---|---|
| Bond Portfolio Investing and Risk Management | 978-0-07-162370-4 | 2010 | |
| Fixed Income Finance: A Quantitative Approach | 978-0-07-162120-5 | 2010 | Mark Wise |
| Pricing and Managing Exotic and Hybrid Options | 978-0-07-006669-4 | 1998 | |
| TAIL RISK HEDGING: Creating Robust Portfolios for Volatile Markets | 978-0-07-179175-5 | 2014 | |