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Chinese Review Of Financial Studies

ASecurity

Use when targeting 《金融评论》(Chinese Review of Financial Studies — 中国社会科学院金融研究所主办、2009 年创刊、不收版面费的金融学术双月刊) or deciding whether a Chinese finance manuscript fits this venue. Encodes the journal's fit, framing, abstract/keyword/JEL house style, citation-quota rule, official ajcass.com submission re-check, and desk-reject heuristics.

1,052 stars
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Added 6/4/2026
ai-agents

Security Analysis

A100/100

Scanned 6/4/2026

Install to Claude Code

$npx -y skills add brycewang-stanford/Awesome-Journal-Skills --skill chinese-review-of-financial-studies --agent claude-code

Installs into .claude/skills of the current project.

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Files
SKILL.md
---
name: chinese-review-of-financial-studies
description: Use when targeting 《金融评论》(Chinese Review of Financial Studies — 中国社会科学院金融研究所主办、2009 年创刊、不收版面费的金融学术双月刊) or deciding whether a Chinese finance manuscript fits this venue. Encodes the journal's fit, framing, abstract/keyword/JEL house style, citation-quota rule, official ajcass.com submission re-check, and desk-reject heuristics.
---

# 《金融评论》投稿(chinese-review-of-financial-studies)

## 期刊定位

《金融评论》由**中国社会科学院金融研究所**主办、中国社会科学院主管,**2009 年**创刊,是全国性金融学术刊物(CSSCI/北大核心)。覆盖金融理论与政策、资本市场、银行体系、公司金融、金融风险与金融开放。作为社科院系统刊物,重规范的理论框架与扎实识别,要求作者与既有文献充分对话。

这个 skill 是**定位 / 选刊 / 改写框架**工具,不替代该刊最新官方投稿须知。正式投稿前必须重新核对官网、采编系统或编辑部发布的最新模板。

## 触发时机

- 用户明确说目标期刊是《金融评论》或 Chinese Review of Financial Studies
- 稿件主题接近本刊,但不确定问题意识、方法强度和读者对象是否匹配
- 需要把一篇通用中文经管稿改写成《金融评论》更容易接受的叙事
- 投稿前需要列出本刊高频拒稿风险和改投方向

## 关键事实(核验日期 2026-05;以官网最新《投稿须知》为准)

- **主办/主管**:中国社会科学院金融研究所主办,中国社会科学院主管;**2009 年**创刊;全国性金融学术刊(CSSCI/北大核心)。
- **费用**:社科院刊物**不收版面费**。
- **篇幅**:全文(含摘要、参考文献、脚注、附录等)**应在 2.5 万字以内**。
- **摘要/关键词/JEL**:摘要**不超过 500 字**;关键词 **3–6 个**(空格分隔);**JEL 分类号 3 个**(空格分隔)。
- **参考文献**:列于文末、首行缩进、不编号;应著录主要的、近年的、公开发表文献,**不少于 5 条**;**引用规模最多不超过全文篇幅的 10%**。
- **官网/采编**:官方投稿入口 **jrpl.ajcass.com**;审稿周期以官网/编辑部最新说明为准(作者反馈约 1–3 个月,**待核实**)。

## 选题偏好

- 金融理论与政策评论
- 资本市场、银行体系和公司金融
- 金融风险、监管和金融开放

## 方法与证据

- 宏观金融可用 VAR、局部投影、高频货币政策冲击;微观金融常用银行/上市公司面板、DID、IV、事件研究
- 风险、定价和监管变量要有金融学定义与稳健度量
- 金融制度背景必须准确,尤其是监管规则、市场分层和政策时点

## 结构与写作

- 引言明确金融渠道:信贷、风险承担、资产负债表、信息或预期
- 机制证据要落在金融主体行为和金融市场摩擦上
- 政策含义面向央行、监管、金融机构或资本市场制度

## 官方核验清单

- 正式给出投稿格式/流程建议前,先读取 `../../resources/source-basis.md` 和 `../../resources/official-source-map.md`,从其中的官方来源锚点或同一主办/出版体系入口开始核验,并在回答中说明核验日期。
- 核对投稿须知中的字数、摘要关键词、图表格式和匿名作者信息
- 确认金融监管文件、市场规则和样本期间准确
- 检索“《金融评论》 投稿须知 / 征稿简则 / 作者指南”,以官网 jrpl.ajcass.com 最新页面为准;不要沿用二手代投网站格式
- 核对:全文 2.5 万字内、摘要 500 字内、关键词 3–6、JEL 3 个、参考文献不少于 5 条且引用规模≤全文 10%、不收版面费声明
- 若本 skill 与最新官方要求冲突,以官方要求为准

## 投稿前自检

- [ ] 一句话说明为什么这篇稿件属于《金融评论》的核心读者范围
- [ ] 引言前 3 段已经出现本刊关心的问题层级、理论/机制和主要证据
- [ ] 全文 2.5 万字内;摘要 500 字内、关键词 3–6 个、JEL 分类号 3 个
- [ ] 参考文献不少于 5 条、文末首行缩进不编号;直接引用规模未超全文篇幅 10%
- [ ] 政策/管理启示从本文证据推出,而不是泛泛口号

## 高频拒稿雷区

- 公司金融题写成一般企业实证,缺金融机制
- 货币政策题没有冲击识别
- 直接引用占比过高(超全文 10%);只说缓解融资约束,不展示渠道证据

## 改投判断

经验识别强、央行系统取向转 journal-of-financial-research(《金融研究》);证券市场微观结构与监管实务转 securities-market-herald(《证券市场导报》);国际金融/汇率/跨境资本转 studies-of-international-finance(《国际金融研究》)。

## 输出格式

```text
【匹配度】高 / 中 / 低(一句话理由)
【目标期刊】《金融评论》
【选题标签】<最贴近的 2-3 个主题>
【方法证据】<当前方法是否够本刊标准>
【最大风险】<最可能导致退稿的一点>
【需核验官方要求】<投稿系统/匿名/摘要/图表/数据等>
【改投建议】<若不匹配,给出更合适期刊>
```

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