Use to write the policy-implication section of a 《金融研究》 (Journal of Financial Research) manuscript — addressing the monetary authority, financial regulators, or financial institutions with implications that follow from the evidence and are more operational than 经济研究, without sliding into a policy-report tone.
Scanned 6/5/2026
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npx -y skills add brycewang-stanford/Awesome-Journal-Skills --skill jfr-policy-implication --agent claude-codeInstalls into .claude/skills of the current project.
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---
name: jfr-policy-implication
description: Use to write the policy-implication section of a 《金融研究》 (Journal of Financial Research) manuscript — addressing the monetary authority, financial regulators, or financial institutions with implications that follow from the evidence and are more operational than 经济研究, without sliding into a policy-report tone.
---
# 政策含义(jfr-policy-implication)
## 触发时机
- 文末政策含义空泛,像"加强/完善/推进/深化"四件套
- 政策建议没指明对象,谁都管不着
- 想做到比《经济研究》更具操作性,又不滑向政策汇报腔
## 《金融研究》的政策含义定位
比《经济研究》**更具操作性**:该刊政策性、实践性强,编委关心建议能否落到具体金融主体与工具。但仍是**学术结论的延伸**,不是工作汇报——每条建议都要由本文证据直接支撑。
## 按对象写(对照表)
| 对象 | 可操作抓手 | 反面(空泛) |
|------|-----------|-------------|
| **货币当局** | 价格型/数量型工具选择、结构性工具投向、前瞻指引节奏 | "保持稳健货币政策" |
| **宏观审慎/监管** | 资本/拨备/杠杆参数、MPA 考核维度、逆周期缓冲 | "防范系统性风险" |
| **证券/市场监管** | 信息披露规则、发行定价机制、投资者结构引导 | "完善资本市场" |
| **金融机构** | 信贷配置、风险定价、风险承担约束、内控 | "提升经营管理水平" |
## 写法三要素
1. **由证据出发**:从本文识别出的渠道/异质性,推出"对谁、调什么"
2. **指明对象与工具**:哪个主体、用哪个政策杠杆、调哪个参数方向
3. **给边界**:在什么条件/群体下成立,避免一刀切
> 操作性 ≠ 替监管拍板。给出"机制蕴含的政策方向与边界",而非具体数值指令。
## 自检清单
- [ ] 每条建议对应明确对象(货币当局/监管/机构)
- [ ] 建议由本文证据/渠道直接推出,非泛泛呼吁
- [ ] 含政策工具/参数方向,不止"重视/加强"
- [ ] 给出适用边界与条件
- [ ] 无"加强、完善、推进、深化"空转四件套堆砌
## 反模式
- "建议有关部门高度重视"——无对象无抓手
- 政策建议超出本文证据能支撑的范围
- 把全文证据丢掉,凭常识喊口号
- 写成政策报告,丢失学术结论的边界感
## 输出格式
```
【对象拆分】货币当局□ 监管□ 金融机构□
【证据支撑】每条均有 / 部分悬空 <点>
【操作性】到位(工具/参数方向)/ 偏空泛
【边界】已给 / 缺
【四件套命中】X 处
【下一步】jfr-submission
```
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