Financial risk management: a bibliometric analysis between 2018 and 2022.

  • Myriam Paulina Supe Sandoval Cooperativa de Ahorro y Crédito Chibuleo Ltda
  • Ricardo Patricio Medina Chicaiza Universidad Católica del Ecuador
Keywords: financial risks, management, financial institutions

Abstract

The objective of the work was to understand the trend of the subject during a period of time, which allows finding key aspects in relevant research. In this article, a bibliometric analysis is developed in which a total of 71 documents collected from the Scopus database, generated between 2018 and 2022, are reviewed. After the analysis, it is found that: the number of publications on the subject has grown depending on the years, having 38% of the total documents published in the year 2022, which contrasts with 18% of the previous year. The most studied areas within the proposed theme are risk management and assessment, financial markets, trade and credit risks.

Published
2023-09-01