金融部门的信任:文献计量分析(1967-2020)

IF 0.5 Q4 ECONOMICS
V. Litovtseva, T. Vasilyeva, M. Brychko
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引用次数: 0

摘要

在金融危机和衰退的情况下,金融部门的信任领域正在积极发展,与此同时,需要详细分析的科学文献也显著增加。过去三十年来,金融部门的信任所面临的变化仍然是前所未有的。金融技术、区块链、风险评估的最新发展导致了对金融领域信任的学术出版物数量的重新关注和快速增长。已经发表了一些文献综述,重点关注金融部门信任的具体方面和趋势。然而,从统计角度发展关于金融部门信任的学术知识的全球视野,这方面的关注太少了。本研究旨在通过应用全面的文献计量学(Scopus工具、Google Trends)和网络(VOSviewer)分析,提供金融体系信任领域其他综述尚未完全理解或描述的见解和更新。本文将利用内容-上下文、描述、比较、集群和进化-时间方法,从统计的角度确定趋势的动态方面,从而使创建这一现象的全球图景成为可能。本研究的方法学基础是Scopus科学计量数据库索引的一组科学出版物,使用ScopusTools和VOSViewer分析工具对其进行分析。总共分析了1967年至2020年间发表的1148项学术研究,包括364位作者、158种期刊和101个国家。通过应用严谨的文献计量学和网络工具,根据重点研究课题和相互关系,确定了已建立的和新兴的研究集群。借助Scopus科学计量基础的内置工具,确定了金融部门信任中科学兴趣的主要阶段。根据影响和引用确定了该领域最重要的研究。此外,还考虑了对金融领域信任研究的科学领域分类,并确定了研究的地理中心。对谷歌搜索的比较分析表明,对金融部门的信任可以被视为克服宏观经济失衡的关键条件之一。聚类分析可以确定科学研究的五个主要聚类。主要研究结果表明,金融部门信任是最具多学科性的现象之一,与人、经济、财务管理、金融、组织与管理、私营部门、公共部门等关键词密切相关。研究结果为这一领域的进一步考虑提供了坚实的路线图。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
TRUST IN THE FINANCIAL SECTOR: A BIBLIOMETRIC ANALYSIS (1967–2020)
The sphere of trust in the financial sector, which is actively developing in the conditions of financial crises and recessions, is accompanied by a significant increase in the scientific literature that requires detailed analysis. The changes faced by trust in the financial sector over the past thirty years have remain unprecedented. Recent developments in financial technologies, blockchain, risk assessments have led to a renewed interest and rapid growth in the number of academic publications on trust in the financial domain. A number of literature reviews have been published focusing on specific aspects and trends of trust in the financial sector. However, far too little attention has been given to developing a global vision of academic knowledge about trust in the financial sector from a statistical perspective. This study was designed to provide insights and updates that have not yet been fully understood or described by other reviews in the domain of trust in the financial system by applying a thorough bibliometric (Scopus tools, Google Trends) and network (VOSviewer) analysis. This paper will make it possible to create a global picture of the phenomenon, to determine the dynamic aspects of trends from a statistical point of view, using content-contextual, descriptive, comparative, cluster, and evolutionary-temporal methods. The methodological basis of the study is a set of scientific publications indexed in the Scopus scientometric database, which were analysed using ScopusTools and VOSViewer analytical tools. A total of 1,148 academic studies published between 1967 and 2020 were analysed, including 364 authors, 158 journals, and 101 countries. By applying rigorous bibliometric and network tools, established and emergent research clusters were identified based on the key research topics and interrelations. With the help of built-in tools of the Scopus scientometric base, the main stages of scientific interest in the trust in the financial sector were determined. The most significant studies in this area by influence and citations were identified. In addition, the classification of the research on trust in the financial sector by scientific fields was considered, and the geographical centers of research were determined. A comparative analysis of Google searches showed that trust in the financial sector could be considered as one of the critical conditions for overcoming macroeconomic imbalances. Cluster analysis made it possible to identify five main clusters of scientific research. The main research findings showed that trust in the financial sector is one of the most multidisciplinary phenomena, and the keywords such as human, economy, financial management, finance, organization and management, private sector, public sector are closely related. The results of the study provide a solid roadmap for further consideration in this area.
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来源期刊
EGE ACADEMIC REVIEW
EGE ACADEMIC REVIEW ECONOMICS-
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