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Relationship between the financial and the real economy: A bibliometric analysis
International Review of Economics & Finance ( IF 4.8 ) Pub Date : 2021-04-12 , DOI: 10.1016/j.iref.2021.04.014
Darja Zabavnik , Miroslav Verbič

Recent trends in developed economies exhibit strong interdependencies between the stability of the financial sector and macroeconomic variables. The financial sector has become a vital part of the economy and the tendencies toward its higher complexity and a greater volume as a country progresses create numerous transmission channels through which economic performance can be affected. The purpose of this paper is to systematically present the development of the research field on the relationship between the financial and real economy by applying the bibliometric methodology and to identify the most prolific authors, journals and articles, whose contributions have significantly influenced the stream of knowledge in the observed research field. Additionally, we also present the content analysis of the top 50 most influential papers, whose contributions could be considered as a scientific breakthrough in the observed scope of the research.



中文翻译:

金融与实体经济之间的关系:文献计量分析

发达经济体的最新趋势表明,金融部门的稳定性与宏观经济变量之间存在着强烈的相互依存关系。金融部门已成为经济的重要组成部分,随着一个国家的进步,金融部门变得越来越复杂,数量越来越多的趋势创造了众多的传输渠道,可以通过这些渠道来影响经济绩效。本文的目的是通过运用文献计量方法系统地介绍金融与实体经济之间关系的研究领域的发展,并找出最能影响知识流的最丰富的作者,期刊和文章。在观察的研究领域。此外,我们还介绍了前50名最具影响力的论文的内容分析,

更新日期:2021-04-16
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