Economics
Review Cycle Records
Journal of International Financial Markets Institutions & Money
Paper Review Records
All Paper Review Records
16 valid samples · Newest publication first
Review days = acceptance date − received date. PDF, DOI, and publisher-page sources are retained.
CIP deviations, commodity markets shocks, and the role of macroprudential policy
AuthorsJulian Fernandez-Mejia; Camilo Granados
AffiliationsBusiness Administration School, Pontificia Universidad Javeriana, Finance Department, Bogotá, Colombia; School of Economic, Political and Policy Sciences, University of Texas at Dallas, Richardson, TX, USA
Commercial paper market development and corporate maturity mismatch: evidence from China
AuthorsJinlei Li; Yuanbiao Huang
AffiliationsCollge of Economics and Management, Qingdao University of Science and Technology, Qingdao 266061, China; School of Economics, Ocean University of China, Qingdao 266100, China
Bank capital, competition and liquidity creation in the WAEMU
AuthorsDésiré Kanga; Victor Murinde; Issouf Soumaré
AffiliationsInternational Monetary Fund, Washington DC, USA; Centre for Global Finance, School of Finance and Management, SOAS University of London, UK; Department of Finance, Insurance and Real Estate & Laboratory for Financial Engineering of Université Laval, Faculty of Business Administration, Laval University, Quebec, Canada
Trade policy uncertainty and cross-border mergers and acquisitions: Evidence from China
AuthorsTan Li; Lin Yu; Yi Dai
AffiliationsSchool of International Business, Southwestern University of Finance and Economics, China; School of Intelligent Finance, Tianfu College of Southwestern University of Finance and Economics, China
Global equity integration reconsidered: country- and industry-level components
AuthorsWeiping Qin; Sungjun Cho; Stuart Hyde
AffiliationsGlobal Business School for Health, UCL East - Marshgate Building, 7 Sidings Street, London E20 2AE, United Kingdom; Alliance Manchester Business School, University of Manchester, Booth Street East, Manchester M13 9SS, United Kingdom
Does cross-border regulatory cooperation reduce excessive risk-taking?
AuthorsJoseph Sowahfio Sowah; Cephas Simon Peter Dak-Adzaklo; Sylvester Adasi Manu; Daniel Kaiser
AffiliationsSchool of Business Administration, Jimei University, Xiamen, PR China; Department of Accounting and Finance, University of Sussex, Brighton, UK; NEOMA Business School, France; Umeå University School of Business, Economics and Statistics, Umeå University, 90187 Umeå, Sweden
Geopolitical risk, cost of equity, and bank lending
AuthorsEmiel Sanders; Rudi Vander Vennet
AffiliationsDepartment of Economics, Ghent University, Sint-Pietersplein 5, 9000 Ghent, Belgium
Cryptocurrency investors’ herding and overconfidence: evidence from compounded uncertainty shocks
AuthorsSamah El Hajjar; Martin Enilov; Bartosz Gebka
AffiliationsICMA Centre, Henley Business School, University of Reading, Reading, UK; Southampton Business School, University of Southampton, Southampton, UK; Newcastle University Business School, Newcastle University, Newcastle upon Tyne, UK
How do EBA stress tests affect financial stability? Evidence from media coverage
AuthorsQuentin Bro de Comères
AffiliationsCentral Bank of Ireland & LéP, Université de Poitiers, 2, rue Jean Carbonnier – bât. A1 – 86073 Poitiers Cedex 9, France
Banks’ government bondholdings amid political risk in the euro area
AuthorsMehdi Janbaz; Thomas I. Renström; Luca Spataro
AffiliationsDepartment of Economics and Management, University of Pisa, Italy; Department of Economics Centre for Environmental and Energy Economics, Durham University Business School, United Kingdom
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