International Journal of Central Banking
短名 | Int. J. Cent. Bank |
Journal Impact | 1.39 |
国际分区 | BUSINESS, FINANCE(Q3) |
期刊索引 | SCI Q4中科院 3 区 |
ISSN | 1815-4654, 1815-7556 |
h-index | 40 |
国内分区 | 经济学(3区)经济学商业财政与金融(4区) |
涉及主题 | 计算机科学数学人工智能经济心理学计算机视觉业务哲学宏观经济学认知心理学货币经济学模式识别(心理学)物理计算机安全凯恩斯经济学财务语言学政治学法学机器学习货币政策统计生物社会学工程类量子力学几何学特征提取地理程序设计语言生物识别社会科学 |
出版信息 | 出版商: Association of the International Journal of Central Banking,出版周期: ,期刊类型: journal |
基本数据 | 创刊年份: 2010,原创研究文献占比: 100.00%,自引率:0.00%, Gold OA占比: 0.00% |
期刊引文格式
这些示例是对学术期刊文章的引用,以及它们应该如何出现在您的参考文献中。
并非所有期刊都按卷和期组织其已发表的文章,因此这些字段是可选的。有些电子期刊不提供页面范围,而是列出文章标识符。在这种情况下,使用文章标识符而不是页面范围是安全的。
只有1位作者的期刊
有2位作者的期刊
有3位作者的期刊
有5位以上作者的期刊
书籍引用格式
以下是创作和编辑的书籍的参考文献的示例。
学位论文引用格式
网页引用格式
这些示例是对网页的引用,以及它们应该如何出现在您的参考文献中。
专利引用格式
最新文章
Fiscal Transfers without Moral Hazard
2021-9-1
Household Wealth and Resilience to Financial Shocks in Italy
2021-1-1
Population Aging and the Macroeconomy
2021-1-1
International Inflation Spillovers: The Role of Different Shocks
2021-1-1
The Determinants of European Banks' Capital Structure: Is There a Difference between Public and Private Banks?
2021-1-1
Policy and Macro Signals from Central Bank Announcements
2021-1-1
Optimal Monetary Policy in Small Open Economies: Producer-Currency Pricing
2021-1-1
Always Look on the Bright Side? Central Counterparties and Interbank Markets during the Financial Crisis
2021-1-1
What Does "Below, but Close to, 2 Percent" Mean? Assessing the ECB's Reaction Function with Real-Time Data
2021-1-1
Monetary Policy with Negative Interest Rates: De-linking Cash from Digital Money
2021-1-1
Central Bank Communication and Disagreement about the Natural Rate Hypothesis
2021-1-1
Deposit Insurance and Banks' Deposit Rates: Evidence from the 2009 EU Policy
2021-1-1
Broadening Narrow Money: Monetary Policy with a Central Bank Digital Currency
2021-1-1
Unconventional Monetary Policy Shocks in the Euro Area and the Sovereign-Bank Nexus
2021-1-1
Risk Shocks and Monetary Policy in the New Normal
2020-11-23
Contagion in the CoCos Market? A Case Study of Two Stress Events
2020-11-23
The Effects of Borrower-Based Macroprudential Policy: An Empirical Application to Korea
2020-10-6
The Information Content and Statistical Properties of Diffusion Indexes
2020-8-27
Systemic risk and the Fallacy of Composition: Empirical Evidence from Japanese Regional Bank
2020-8-27
Finite Horizons and the Monetary/Fiscal Policy Mix
2020-8-27
Credit, Financial Conditions, and Monetary Policy Transmission
2020-6-2
Agglomeration and Industry Spillover Effects in the Aftermath of a Credit Shock
2020-6-2
Real Term Structure and New Keynesian Models
2020-6-2
The surprising recovery of currency usage
2020-6-1
Bank Capital: A Seawall Approach
2020-2-20
Relaxed Lending Standards and the 2007 Mortgage Crisis: Changes in Household Debt and Borrowing Behaviors
2020-2-20
Monetary Policy, Commodity Prices, and Misdiagnosis Risk
2020-2-20
Stress Tests of the Household Sector Using Microdata from Survey and Administrative Sources
2020-2-20
The Impact of the Designation of Global Systemically Important Banks on Their Business Model
2020-1-1
To Guide or Not to Guide? Quantitative Monetary Policy Tools and Macroeconomic Dynamics in China
2020-1-1
How Do Central Bank Projections and Forward Guidance Influence Private-Sector Forecasts?
2020-1-1
Are QE and Conventional Monetary Policy Substitutable
2020-1-1
Anchoring Inflation Expectations in Unconventional Times: Micro Evidence for the Euro Area
2020-1-1
Financial Stability Considerations and Monetary Policy
2020-1-1
Monetary Policy Strategies for the Federal Reserve
2020-1-1
Independent Central Banks: Low Inflation at No Cost? A Model with Fiscal Policy
2020-1-1
Monetary Policy as an Optimum Currency Area Criterion
2020-1-1
Money, Credit, Monetary Policy, and the Business Cycle in the Euro Area: What Has Changed Since the Crisis?
2019-12-1
The Portfolio Rebalancing Effects of the ECB's Asset Purchase Programme
2019-11-22
The Heterogeneity of the Inflation Expectations of Italian Firms along the Business Cycle
2019-11-22
Understanding the United Kingdom's Wageless Recovery
2019-11-22
Cross-Border Macroprudential Policy Spillovers and Bank Risk-Taking
2019-9-23
The Determinants of Credit Union Failure: Insights from the United Kingdom
2019-9-23
Effects of Changing Monetary and Regulatory Policy on Money Markets
2019-9-23
Budget-Neutral Labor Tax Wedge Reductions: A Sumulation-Based Analysis for the Euro Area
2019-9-23
Deleveraging and Consumer Credit Supply in the Wake of the 2008-09 Financial Crisis
2019-9-6
Comparing Fiscal Consolidation Multipliers across Models in Europe
2019-9-6
Banks' Wealth, Banks' Creation of Money, and Central Banking
2019-8-14
What Drives the Strength of Monetary Policy Transmission
2019-8-14
Mixed-Frequency Models for Tracking Short-Term Economic Developments in Switzerland
2019-6-3
帮你贴心管理全部的文献
研飞ivySCI,高效的论文管理
投稿经验分享
分享我的经验,帮你走得更远