识别金融研究的子社区

Shao-Chun Chiu
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引用次数: 0

摘要

基于文章引用或教师评价的期刊排名经常被用作金融期刊分类的工具。尽管如此,由于这些方法没有考虑到金融研究界的潜在多样性,因此经常出现批评。本研究提出了一种新的通用的金融期刊按作者关键词分组的方法。基于1999 - 2008年全球47种金融期刊15298篇文章的样本,我们将SSCI金融期刊划分为7个更大的子类别。最后,我们分别命名了房地产、会计、一般金融、数学金融、货币政策、财政政策和保险领域的小组。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Identifying Sub-community of Finance Research
Journal rankings based on citation of article or perception of faculty are frequently applied as tools of finance journals classification. Nonetheless, criticisms frequently arise because these approaches do not take into account the underlying diversity of the finance research community. This study is to presents a new general-purpose sub-categories grouping method by author's keywords for financial journals. Based on a worldwide sample of 15,298 articles from 47 journals in Finance field during 1999 to 2008, we classified finance journals of SSCI into seven bigger sub-categories. Finally, we named Groups in Real Estate, Accounting, General Finance, Mathematical Finance, Monetary Policy, Fiscal Policy, and Insurance, respectively.
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