风险文化的系统文献计量研究:一个新的理论框架

IF 5.7 Q1 BUSINESS, FINANCE
Riccardo Cimini
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引用次数: 3

摘要

本文对1996年至2019年间发表的风险文化研究成果进行了系统的文献计量学综述。设计/方法学/方法系统文献综述遵循系统评价和荟萃分析首选报告项目(PRISMA)协议。在文献计量分析方面,网络可以帮助读者在相互参考方面找出最突出的研究。风险文化已经被来自研究团体的学者从不同的角度进行了广泛的研究,这些学者在相互参考方面没有那么多的整合。实际意义管理者、政策制定者和政治家应该了解了解风险文化是很重要的,因为企业战略和改革的有效性也通过人们的文化价值观来决定他们在日常生活中的行为。原创性/价值这篇文章仍然缺乏,通过提供一个新的理论框架来协调风险文化研究的不同方法,从而为文献做出了贡献。该框架解释说,在风险文化背后,总是有人及其行为面临风险和不确定性。在某种程度上,有限理性可能会产生对风险的(错误的)认知,各种各样的人类行为,因此可以观察到不同的风险文化。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
A systematic and bibliometric review on risk culture: a novel theoretical framework
PurposeThis paper includes a systematic and bibliometric review of research products that address risk culture published between 1996 and 2019.Design/methodology/approachThe Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) protocol has been followed for the systematic literature review. As to the bibliometric analysis, a network helps the readers to identify the most prominent research, if any, in terms of mutual references.FindingsRisk culture has been extensively investigated under different perspectives by scholars who belong to a research community not so much integrated in terms of reciprocal references.Practical implicationsManagers, policy makers and politicians should learn that it is important to understand risk culture because the effectiveness of corporate strategies and reforms pass also through cultural values of people that determine their conduct in the everyday lives.Originality/valueBeing still lacking, this article contributes to the literature by providing a novel theoretical framework that reconciles the different approaches through which risk culture has been investigated. The framework explains that behind risk culture there are always people and their behaviour facing risk and uncertainty. In the extent, bounded rationality might produce (mis)perceptions of risks, a large variety of human behaviour, and so different risk cultures can be observed.
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来源期刊
Journal of Risk Finance
Journal of Risk Finance BUSINESS, FINANCE-
CiteScore
6.20
自引率
6.70%
发文量
37
期刊介绍: The Journal of Risk Finance provides a rigorous forum for the publication of high quality peer-reviewed theoretical and empirical research articles, by both academic and industry experts, related to financial risks and risk management. Articles, including review articles, empirical and conceptual, which display thoughtful, accurate research and be rigorous in all regards, are most welcome on the following topics: -Securitization; derivatives and structured financial products -Financial risk management -Regulation of risk management -Risk and corporate governance -Liability management -Systemic risk -Cryptocurrency and risk management -Credit arbitrage methods -Corporate social responsibility and risk management -Enterprise risk management -FinTech and risk -Insurtech -Regtech -Blockchain and risk -Climate change and risk
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