摘要
通过回顾和梳理2009~2014年期间中国知网关于财务风险管控这一问题的178篇研究文献,运用文献计量方法,从财务风险管控研究文献的整体增长趋势、文献作者数量、研究涉及领域、研究财务风险管控机构、研究涉及行业这五个角度来分析国内的研究成果,运用数学、统计学等计量方法,研究文献的分布结构、数量关系和变化规律,进而探索财务风险管控的基本特征和发展轨迹。最后,得出结论和简要预测发展趋势。
By reviewing and combing 178 research papers on the issue of financial risk management and control in CNKI from 2009 to 2014,this paper uses the literature measurement method to analyze the domestic research results from the overall growth trend of the research literature from five aspects,including the overall growth trend,the number of authors of the literature,the research areas,the research institutions of financial risk management,the industries involved in the research of the financial risk management research literature,uses the mathematical,statistical and other measurement methods to study the distribution structure,quantitative relationship and change law of the literature,then explores the basic characteristics and development trajectory of financial risk management and control,and finally draws conclusions and briefly predict trends.
作者
郭玲玲
GUO Ling-ling(Anhui University of Finance and Economics,Bengbu 233030,China)
出处
《价值工程》
2019年第6期68-70,共3页
Value Engineering
基金
安徽财经大学研究生科研创新基金项目
(ACYC2017162)
关键词
财务风险管控
研究状况
发展趋势
文献研究
financial risk management
research status
development trend
literature research