Paper Review Records
All Paper Review Records
18 valid samples · Newest publication first
Review days = acceptance date − received date. PDF, DOI, and publisher-page sources are retained.
Macroprudential regulation: A risk management approach
AuthorsDaniel Dimitrov; Sweder van Wijnbergen
AffiliationsUniversity of Amsterdam, De Nederlandsche Bank, Netherlands; CEPR, United Kingdom; Tinbergen Institute, Netherlands
News-implied production networks and aggregate output
AuthorsGustavo Schwenkler; Hannan Zheng
AffiliationsLeavey School of Busines, Santa Clara University, 500 El Camino Real, Santa Clara, CA 95053, United States; Man Numeric, 200 Pier 4 Blvd, Boston, MA 02210, United States
Estimates of the neutral rate of interest for China: Business and financial cycle implications
AuthorsHongyi Chen; Pierre L. Siklos
AffiliationsHong Kong Institute for Monetary and Financial Research (HKIMR), Hong Kong; Wilfrid Laurier University (WLU) and Balsillie School of International Affairs (BSIA), Canada Centre for Applied Macroeconomic Analysis (CAMA), Australia
CB-LMs: language models for central banking
AuthorsLeonardo Gambacorta; Byeungchun Kwon; Taejin Park; Pietro Patelli; Xingyu Sonya Zhu
AffiliationsBank for International Settlements, Centralbahnplatz 2, Basel 4051, Switzerland; Centre for Economic Policy Research (CEPR), London, United Kingdom
Asymmetric systemic risk
AuthorsRadoslav Raykov; Consuelo Silva-Buston
AffiliationsBank of Canada, 234 Wellington St., Ottawa, ON, Canada; Centro de Gobierno Corporativo UC (CGCUC) and School of Management, Pontificia Universidad Católica de Chile, Av. Vicuña Mackenna 4860, Santiago de Chile, Chile
Banking competition and regulation with diverse business models
AuthorsPeter Eccles; Paul Grout; Paolo Siciliani; Anna (Ania) Zalewska
AffiliationsFinancial Conduct Authority, United Kingdom; CEPR, United Kingdom; University of Bristol, United Kingdom; Bank of England, United Kingdom; University of Leicester School of Business, United Kingdom
Deposit insurance system and commercial bank risk-taking–Based on the corporate governance and leverage
AuthorsRuihong He
AffiliationsSchool of Economics, Northwest Normal University, No. 967 Anning East Road, Lanzhou, P.R. China
Mutual funds and climate news
AuthorsGiulio Cornelli; Leonardo Gambacorta; Tommaso Oliviero; Koji Takahashi
AffiliationsBank for International Settlements, Switzerland; CEPR, United Kingdom; University of Naples Federico II, CSEF, Italy; Mofir, Italy; Seikei University, Japan
Do banks price environmental risk? Only when local beliefs are binding!
AuthorsIrem Erten; Steven Ongena
AffiliationsWarwick Business School, University of Warwick, United Kingdom; University of Zurich, Swiss Finance Institute, Switzerland; KU Leuven, Belgium; NTNU Business School, Norway; CEPR, United Kingdom
Investor confidence in complex government action: The Brexit case
AuthorsFranco Fiordelisi; Claudia Girardone; Merve Demirbaş Özbekler
AffiliationsEssex Business School, University of Essex, Wivenhoe Park, Colchester, Essex, CO4 3SQ, UK; Central Bank of the Republic of Türkiye, İstanbul Financial Center, Finanskent Mahallesi, Finans Caddesi, No:2, 34760, Ümraniye, İstanbul, Türkiye
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