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題名 A Bibliometric Study of Financial Risk Literature : A historic Approach
作者 江俊豪;楊建民
Chiang, Chun-Hao;Yang, Jian-Min
貢獻者 資管系
關鍵詞 bibliometrics; financial risk; Lotka`s Law
日期 2011-06
上傳時間 29-十二月-2014 16:00:14 (UTC+8)
摘要 This study probes into the development of financial risk literatures through the perspective of bibliometrics. The research samples were collected from the relevant international financial business bibliographic databases. A total of 2727 entries in a span of 29 years from 1970 to 2009 were collected and the results are summarized as follows: (1) the financial risk literatures under influence of the financial turmoil in Asia achieved substantial growth from 1997 to 1998 and an exponential growth curve during the global financial turmoil from 2007 to 2009; (2) the literatures were mainly journals and articles written in English; (3) the United States ranked first in sector productivity; (4) the author productivity of the financial risks was consistent with the Lotka’s Law and (5) the document types of the financial risk literatures were mostly dissertation papers on economics and business.
關聯 Applied Economics,44(22), pp.2827-2839
資料類型 article
DOI http://dx.doi.org/10.1080/00036846.2011.566208
dc.contributor 資管系
dc.creator (作者) 江俊豪;楊建民zh_TW
dc.creator (作者) Chiang, Chun-Hao;Yang, Jian-Min
dc.date (日期) 2011-06
dc.date.accessioned 29-十二月-2014 16:00:14 (UTC+8)-
dc.date.available 29-十二月-2014 16:00:14 (UTC+8)-
dc.date.issued (上傳時間) 29-十二月-2014 16:00:14 (UTC+8)-
dc.identifier.uri (URI) http://140.119.115.13/handle/140.119/72475-
dc.description.abstract (摘要) This study probes into the development of financial risk literatures through the perspective of bibliometrics. The research samples were collected from the relevant international financial business bibliographic databases. A total of 2727 entries in a span of 29 years from 1970 to 2009 were collected and the results are summarized as follows: (1) the financial risk literatures under influence of the financial turmoil in Asia achieved substantial growth from 1997 to 1998 and an exponential growth curve during the global financial turmoil from 2007 to 2009; (2) the literatures were mainly journals and articles written in English; (3) the United States ranked first in sector productivity; (4) the author productivity of the financial risks was consistent with the Lotka’s Law and (5) the document types of the financial risk literatures were mostly dissertation papers on economics and business.
dc.format.extent 494056 bytes-
dc.format.mimetype application/pdf-
dc.relation (關聯) Applied Economics,44(22), pp.2827-2839
dc.subject (關鍵詞) bibliometrics; financial risk; Lotka`s Law
dc.title (題名) A Bibliometric Study of Financial Risk Literature : A historic Approach
dc.type (資料類型) articleen
dc.identifier.doi (DOI) 10.1080/00036846.2011.566208en_US
dc.doi.uri (DOI) http://dx.doi.org/10.1080/00036846.2011.566208en_US