Default: Journal of Money, Credit and Banking

ISSN: 0022-2879

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Journal of Money, Credit and Banking Q1 Unclaimed

Wiley-Blackwell United States
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Journal of Money, Credit and Banking is a journal indexed in SJR in Economics and Econometrics and Accounting with an H index of 123. It has a price of 2500 €. It has an SJR impact factor of 1,88 and it has a best quartile of Q1. It is published in English. It has an SJR impact factor of 1,88.

Journal of Money, Credit and Banking focuses its scope in these topics and keywords: banks, recent, ratesoptimal, profits, preference, policy, plantlevel, news, moneyprice, regimes, ...

Type: Journal

Type of Copyright:

Languages: English

Open Access Policy: Open Choice

Type of publications:

Publication frecuency: -


2500 €

Inmediate OA


Embargoed OA

0 €

Non OA


Journal of Money, Credit and Banking


SJR Impact factor


H Index


Total Docs (Last Year)


Total Docs (3 years)


Total Refs


Total Cites (3 years)


Citable Docs (3 years)


Cites/Doc (2 years)




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Aims and Scope

banks, recent, ratesoptimal, profits, preference, policy, plantlevel, news, moneyprice, regimes, repo, shocks, securitization, schwartz, role, revealed, reveal, results, responses, monetary, marketshow, liquidity, cyclesthe, datafinancial, deregulation, development, dynamics, economic, economya, efficiencyinflation, fiscal, friedman, german, growth, impact, inflation, information, investment,

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Supply Shocks and Net Exports: Some Evidence for Australia

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Real and Monetary Shocks and Risk Premia in Forward Markets for Foreign Exchange

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The Value of Pension Benefit Guaranty Corporation Insurance

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Asset Returns and Measured Inflation

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The Federal Reserve's Tools for Policy Normalization in a Preferred Habitat Model of Financial Markets

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Hyperinflation with Currency Substitution: Introducing an Indexed Currency

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Technical Progress, Inefficiency, and Productivity Change in U.S. Banking, 1984-1993

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Inefficiencies from Financial Liberalization in the Absence of Well-Functioning Equity Markets

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Repudiation Risk and Restitution Costs: Toward Understanding Premiums on Insured Deposits

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Competing for Order Flow in OTC Markets

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The Changing Pecking Order of Consumer Defaults

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"A ""Barter"" Theory of Bank Regulation and Credit Allocation"

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Technology, Utilization, and Inflation: What Drives the New Keynesian Phillips Curve?

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Sectoral Money Demand and the Great Disinflation in the United States

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Investment Adjustment Costs: An Empirical Assessment

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On the International Dimension of Fiscal Policy

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The Susan B. Anthony Dollar and the Theory of Coin/Note Substitutions

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Short-Term Corporate Debt around the World

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Optimal Monetary Policy in a Model of Money and Credit

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