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Financial stability: A scientometric analysis and research agenda
Research in International Business and Finance ( IF 6.143 ) Pub Date : 2024-02-27 , DOI: 10.1016/j.ribaf.2024.102294
Hossein Ballouk , Sami Ben Jabeu , Sandra Challita , Chaomei Chen

The study of financial stability is a highly expansive and significant area of academic inquiry. However, traditional literature reviews are often constrained in their scope as they tend to provide fragmented insights from a subset of the overall corpus of financial stability. In order to bridge this existing knowledge gap, the objective of this study is to undertake a comprehensive review on a large scale, with the aim of offering an up-to-date analysis of the performance and intellectual framework concerning the broad concept of financial stability. The present study undertakes a comprehensive examination of the existing body of literature on financial stability, employing a scientometric survey methodology to analyze scholarly research in this field. The study proposes a research agenda based on two prominent developments identified in the field: systemic risk and macroprudential policy. These findings highlight the importance of conducting additional studies on how various factors affect the sustainability of financial security and risk, such as the financial hazards associated with climate change. There is also an emphasis on macroprudential policy and its possible role in preserving financial security. To maintain macroeconomic stability, we recommend that macroprudential policy should be employed to deal with systemic risk and the credit/financial cycle. We recognize the need for further research into the proper calibration of macroprudential instruments and the limited empirical evidence on the effectiveness of macroprudential regulation. To fully grasp the dynamics at play between climate change, financial stability, and macroprudential policy, the article concludes with a need for a multidisciplinary approach.

中文翻译:

金融稳定:科学计量分析和研究议程

金融稳定性研究是一个非常广泛且重要的学术探究领域。然而,传统的文献综述往往受到其范围的限制,因为它们往往从金融稳定性整体语料库的子集中提供零散的见解。为了弥补这一现有的知识差距,本研究的目的是进行大规模的全面审查,旨在提供有关金融稳定这一广泛概念的绩效和知识框架的最新分析。本研究对现有的金融稳定性文献进行了全面审查,采用科学计量调查方法来分析该领域的学术研究。该研究根据该领域确定的两个突出发展提出了一个研究议程:系统性风险和宏观审慎政策。这些发现凸显了对各种因素如何影响金融安全和风险的可持续性(例如与气候变化相关的金融危害)进行额外研究的重要性。还强调宏观审慎政策及其在维护金融安全方面可能发挥的作用。为维护宏观经济稳定,我们建议运用宏观审慎政策应对系统性风险和信贷/金融周期。我们认识到需要进一步研究宏观审慎工具的适当校准,以及宏观审慎监管有效性的经验证据有限。为了充分掌握气候变化、金融稳定和宏观审慎政策之间的动态关系,文章最后指出需要采取多学科方法。
更新日期:2024-02-27
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