《印度金融杂志》</i>2011年至2022年

Q2 Economics, Econometrics and Finance
Kamal Krishna Ludhani, Sanjay Kumar
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引用次数: 0

摘要

目的:本研究旨在全面概述过去11年来印度《金融杂志》出版物的重大影响。这项研究分析了该期刊的出版和引用结构,并确定了对其内容做出贡献的顶级作者、机构和国家。方法:我们使用VOSviewer、Gephi和Bibliometrix-R分析该期刊的书目数据。通过书目耦合和关键词协同网络,确定了共同的研究主题。此外,还生成了三字段图,以可视化作者、国家、机构和关键词之间的关系。研究结果:分析揭示了该期刊出版物中的10个重要研究主题。这些主题涵盖了不同的研究领域,包括(a)印度股票市场的波动,(b)公司治理和资本结构,(c)金融包容性,(d)银行业绩和效率评估,(e)股息政策和股东财富,(f)行为金融学,(g)宏观经济变量和印度经济,(h)股票市场的资产定价和市场效率,(i)首次公开发行定价和分析,以及(j)共同基金。实际意义:本研究通过进行全面的文献计量分析,为所分析期刊出版物中有影响力的研究主题提供了有价值的见解。这些发现有助于了解该杂志的知识格局,并可作为相关领域未来研究的基础。原创性:本研究对2011年至2022年的《印度金融杂志》进行了详细的回顾性研究。这一分析为该期刊在特定时期的演变和贡献提供了有价值的见解。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
A Retrospective Overview of <i>Indian Journal of Finance</i> Between 2011 and 2022
Purpose : This study was conducted to provide a comprehensive overview of the significant influences of Indian Journal of Finance publications over the past 11 years. This study analyzed the journal’s publication and citation structures and identified the top authors, institutions, and countries contributing to its content. Methodology : We analyzed the journal’s bibliographic data using VOSviewer, Gephi, and Bibliometrix-R. Through bibliographic coupling and keyword cooccurrence networks, common research themes were identified. In addition, three-field plots were generated to visualize relationships among authors, countries, institutions, and keywords. Findings : The analysis revealed 10 significant research themes from the journal’s publications. These themes encompassed various areas of study, including (a) volatility in the Indian stock market, (b) corporate governance and capital structure, (c) financial inclusion, (d) evaluation of bank performance and efficiency, (e) dividend policy and shareholders’ wealth, (f) behavioral finance, (g) macroeconomic variables and the Indian economy, (h) asset pricing and market efficiency of stock markets, (i) initial public offer pricing and analysis, and (j) mutual funds. Practical Implications : This study provided valuable insights into the influential research themes within the analyzed journal’s publications by conducting a comprehensive bibliometric analysis. The findings contributed to understanding the journal’s knowledge landscape and could serve as a foundation for future research in related fields. Originality : This study offers a detailed retrospective examination of the Indian Journal of Finance from 2011 to 2022. This analysis provided valuable insights into the journal's evolution and contributions within the specified period.
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来源期刊
Indian Journal of Finance
Indian Journal of Finance Economics, Econometrics and Finance-Economics, Econometrics and Finance (miscellaneous)
CiteScore
1.50
自引率
0.00%
发文量
37
期刊介绍: a source of sophisticated analysis of developments in the rapidly expanding world of finance, is a double blind peer reviewed refereed monthly journal that publishes articles on a wide variety of topics ranging from corporate to personal finance, insurance to financial economics, and derivatives. It provides a forum for exchange of ideas and techniques among academicians and practitioners and thereby, advances applied research in financial management. The journal, with its mission to promote thinking on various facets of finance, is targeted at academicians, scholars, and professionals associated with the field of finance to promote pragmatic research by disseminating the results of research in finance, accounting, financial economics, and sub - areas such as theory and analysis of fiscal markets and instruments, financial derivatives research, insurance, portfolio selection, credit and market risk, statistical and empirical financial studies based on advanced stochastic methods, financial instruments for risk management, uncertainty, and information in relation to finance.
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