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Risk-taking and risk aversion in the period of before and after the 2008 crisis: evaluation with bibliometric analysis

dc.contributor.authorAren, Selim
dc.contributor.authorNayman Hamamci, Hatice
dc.date.accessioned2026-06-27T14:35:26Z
dc.date.issued2023
dc.description.abstractPurpose This study aims to quantitatively classify the articles with risk-taking and risk aversion keywords and to investigate whether there is a similar emphasis in articles as parallel to the change in risk appetite in the market in the period before the crisis (bubble period) and after the crisis. Design/methodology/approach In this study, a bibliometric analysis of the articles in which the keywords risk-taking and risk aversion are mentioned together with the word finance in the journals scanned in the Web of Science between 2004 and 2012 was performed. In this context, 936 articles were specified. Analyses were made using the CiteSpace Java program. Findings The three journals with the most articles with these characteristics are Journal of Banking and Finance, Journal of Financial Economics and Strategic Management Journal. Along with these two main keywords, the other two most used keywords were model and performance. In addition, the keywords attitude, corporate governance, choice and determinant were used more in the post-crisis period. On the other hand, concepts such as investor sentiment or emotions were not amongst the 10 most frequently used keywords during the nine years. This can be considered as an indicator that risk is being modelled, but emotions are relatively neglected. As a result, the findings of this study show that academic papers do not develop in connection with the mood and excitement in the market. Originality/value This study is one of the first studies to examine the reflection of risk appetite in the market on academic papers on financial risk-taking and aversion and to investigate whether the situation in the market and the development in publications are related.en
dc.description.urihttps://doi.org/10.1108/jeas-03-2021-0047
dc.identifier.doi10.1108/jeas-03-2021-0047
dc.identifier.eissn2054-6246
dc.identifier.endpage503
dc.identifier.issn1026-4116
dc.identifier.issue2
dc.identifier.startpage488
dc.identifier.urihttps://hdl.handle.net/20.500.14981/62415
dc.identifier.volume39
dc.identifier.wos000686610600001
dc.language.isoeng
dc.publisherEMERALD GROUP PUBLISHING LTD
dc.relation.ispartofJOURNAL OF ECONOMIC AND ADMINISTRATIVE SCIENCES
dc.subjectRisk-taking
dc.subjectRisk aversion
dc.subjectBibliometric analysis
dc.subjectCrisis
dc.subjectDECISION-MAKING
dc.subjectDETERMINANTS
dc.subjectPERCEPTION
dc.subjectKNOWLEDGE
dc.subjectBEHAVIOR
dc.subjectIMPACT
dc.subjectBusiness & Economics
dc.titleRisk-taking and risk aversion in the period of before and after the 2008 crisis: evaluation with bibliometric analysis
dc.typeArticle
dspace.entity.typePublication
local.import.sourceWOS

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