Volume 2Issue I Year 2023
Associate Professor, Department of Commerce, Government Victoria College Palakkad.
nml181968@gmail.com
Research Scholar, Department of Economics, The Gandhigram Rural Institute (Deemed to be University),Dindigul
reshma.p.manickath@gmail.com
Associate Professor, Department of Commerce, Government Victoria College Palakkad.
nml181968@gmail.com
Research Scholar, Department of Economics, The Gandhigram Rural Institute (Deemed to be University),Dindigul
reshma.p.manickath@gmail.com
Risk management- investors- bibliometric analysis- Great Economic Depression- VOSviewer
1. Markus K Brunnermeier, Deciphering the Liquidity and Credit Crunch 2007-2008, 23 Journal of Economic Perspectives 77 (2009).
2. Mehdi Abid, Impact of Economic, Financial, and Institutional Factors on CO2 Emissions: Evidence from Sub-Saharan Africa Economies, 41 Utilities Policy 85 (2016).
3. Peter Carr & Liuren Wu, Variance Risk Premiums, 22 Rev. Financ. Stud. 1311 (2009).
4. Anne E.Lundquist, Enterprise Risk Management(ERM)at U.S. Colleges and Universities: Administration Processes Regarding the Adoption, Implementation, and Integration of ERM,(SCHOLARWORKS),(June.12,2023 9:30 PM)
5. The return of depression economics and the crisis of 2008, 46 Choice Reviews Online 46 (2009).
6. Gauravsharma, Failure of corporate governance has led to the global economic crisis, Indian Express,(Dec.21,2008)
7. Charilaos Mertzanis, Risk Management Challenges after the Financial Crisis: Risk Management Challenges after the Financial Crisis, 42 Economic Notes 285 (2013).
8. Miltos K. Lazarides, Irene-Zacharo Lazaridou & Nikolaos Papanas, Bibliometric Analysis: Bridging Informatics With Science, The International Journal of Lower Extremity Wounds 153473462311535 (2023).
9. Robert W. Palmatier, Mark B. Houston & John Hulland, Review Articles: Purpose, Process, and Structure, 46 J. of the Acad. Mark. Sci. 1 (2018); Dirk Tunger & Marc Eulerich, Bibliometric Analysis of Corporate Governance Research in German-Speaking Countries: Applying Bibliometrics to Business Research Using a Custom-Made Database, 117 Scientometrics 2041 (2018).
10. Naveen Donthu et al., How to Conduct a Bibliometric Analysis: An Overview and Guidelines, 133 Journal of Business Research 285 (2021).
11. H.Kent Baker et.al.,Forty years of the journal of Futures Markets:A Bibliometric Overview,41 JOURNAL OF FUTURES MARKETS 1027,(2021);MJ Cobo et.al.,An Approach for Detecting,Quantifying and Visualizing the Evolution of Research Field: A Practical Application to the Fuzzy Sets Theory Field,5 Journal of Informetrics 146(2011).
12. Waleed M. Sweileh, Bibliometric Analysis of Peer-Reviewed Literature on Climate Change and Human Health with an Emphasis on Infectious Diseases, 16 Global Health 44 (2020).
13. Lib Guides: Scopus Libguide: Home(June 22,2023 12:00pm) https://elsevier.libguides.com/Scopus
14. Hiroshi Komiyama & Koichi Yamada, New Vision 2050: A Platinum Society (2018), http://link.springer.com/10.1007/978-4-431-56623-6 (last visited Sep 25, 2023).
15. M.J. Cobo et al., An Approach for Detecting, Quantifying, and Visualizing the Evolution of a Research Field: A Practical Application to the Fuzzy Sets Theory Field, 5 Journal of Informetrics 146 (2011).
16. Michalis Bekiaris, Thanasis Efthymiou & Andreas G. Koutoupis, Economic Crisis Impact on Corporate Governance & Internal Audit: The Case of Greece, 11 COC 55 (2013).
17. Karim Ben Khediri, Do Investors Really Value Derivatives Use? Empirical Evidence from France, 11 The Journal of Risk Finance 62 (2010).
18. Ibid.
19. Evan Mills, A Global Review of Insurance Industry Responses to Climate Change, 34 Geneva Pap Risk Insur Issues Pract 323 (2009).
20. Ibid.
21. R.Egan et al.,Cyber operational risk scenarios for insurance companies, 24 BRITISH ACTUARIAL JOURNAL (2019)
22. Muhammad Kashif Shad et al., Integrating sustainability reporting into enterprise risk management and its relationship with business performance: A conceptual framework, 208 JOURNAL OF CLEANER PRODUCTION 415,(2019)
23. Marion Hutchinson, Michael Seamer & Larelle (Ellie) Chapple, Institutional Investors, Risk/Performance and Corporate Governance, 50 The International Journal of Accounting 31 (2015).
24. Ibid.
25. Paul C. Godfrey et al., The Relationship Between Corporate Social Responsibility and Shareholder Value: An Empirical Test of The Risk Management Hypothesis, 30 STRATEGIC MANAGEMENT JOURNAL 425, (2009).
26. Stephan M.Wagner & Christoph Bode, An Empirical Examination of Supply Chain Performance Along Several Dimensions of Risk, 29 JOURNAL OF BUSINESS LOGISTICS 307, (2008).
27. Kim et al, Corporate social responsibility and stock price crash risk, JOURNAL OF BANKING AND FINANCE(2014).
28. Paul C. Godfrey, Craig B. Merrill & Jared M. Hansen, The Relationship between Corporate Social Responsibility and Shareholder Value: An Empirical Test of the Risk Management Hypothesis, 30 Strat. Mgmt. J. 425 (2009).
29. Stephan M. Wagner & Christoph Bode, AN EMPIRICAL EXAMINATION OF SUPPLY CHAIN PERFORMANCE ALONG SEVERAL DIMENSIONS OF RISK, 29 Journal of Business Logistics 307 (2008).
30. Klaus J. Hopt, Corporate Governance of Banks after the Financial Crisis, SSRN Journal (2011), http://www.ssrn.com/abstract=1918851 (last visited Sep 25, 2023).
31. Hamid Mehran, Alan D. Morrison & Joel D. Shapiro, Corporate Governance and Banks: What Have We Learned from the Financial Crisis?, SSRN Journal (2011), http://www.ssrn.com/abstract=1880009 (last visited Sep 25, 2023).
32. Michael C. Jensen & William H. Meckling, Theory of the Firm: Managerial Behavior, Agency Costs and Ownership Structure, SSRN Journal (1998), http://www.ssrn.com/abstract=94043 (last visited Sep 25, 2023).
33. mid Mehran, Alan D. Morrison & Joel D. Shapiro, Corporate Governance and Banks: What Have We Learned from the Financial Crisis?, SSRN Journal (2011), http://www.ssrn.com/abstract=1880009 (last visited Sep 25, 2023).
34. Michael C. Jensen & William H. Meckling, Theory of the Firm: Managerial Behavior, Agency Costs and Ownership Structure, SSRN Journal (1998), http://www.ssrn.com/abstract=94043 (last visited Sep 25, 2023).
35. Gao-Yong Liu, Ji-Ming Hu & Hui-Ling Wang, A Co-Word Analysis of Digital Library Field in China, 91 Scientometrics 203 (2012).
36. Cobo et al., supra note 19.
37. Lithin B M et al., Overview of Bond Mutual Funds: A Systematic and Bibliometric Review, 8 Cogent Business & Management 1979386 (2021).
38. Philippe Jorion, Risk Management: Historical Perspectives, in Encyclopedia of Quantitative Finance (Rama Cont ed., 1 ed. 2010), https://onlinelibrary.wiley.com/doi/10.1002/9780470061602.eqf15002 (last visited Sep 25, 2023).
39. Brian W. Nocco & Rene M. Stulz, Enterprise Risk Management: Theory and Practice, SSRN Journal (2006), http://www.ssrn.com/abstract=921402 (last visited Sep 25, 2023).
40. Hopt, supra note 26.
41. Andre P. Liebenberg & Robert E. Hoyt, The Determinants of Enterprise Risk Management: Evidence From the Appointment of Chief Risk Officers, 6 Risk Manage Insurance Rev 37 (2003).
42. Sanmugam Annamalah et al., Implementation of Enterprise Risk Management (ERM) Framework in Enhancing Business Performances in Oil and Gas Sector, 6 Economies 4 (2018).
43. Kenneth A. Froot, David S. Scharfstein & Jeremy C. Stein, Risk Management: Coordinating Corporate Investment and Financing Policies, 48 The Journal of Finance 1629 (1993).
44. Sweileh, supra note 16.
45. Liebenberg and Hoyt, supra note 35.
1. Markus K Brunnermeier, Deciphering the Liquidity and Credit Crunch 2007-2008, 23 Journal of Economic Perspectives 77 (2009).
2. Mehdi Abid, Impact of Economic, Financial, and Institutional Factors on CO2 Emissions: Evidence from Sub-Saharan Africa Economies, 41 Utilities Policy 85 (2016).
3. Peter Carr & Liuren Wu, Variance Risk Premiums, 22 Rev. Financ. Stud. 1311 (2009).
4. Anne E.Lundquist, Enterprise Risk Management(ERM)at U.S. Colleges and Universities: Administration Processes Regarding the Adoption, Implementation, and Integration of ERM,(SCHOLARWORKS),(June.12,2023 9:30 PM)
5. The return of depression economics and the crisis of 2008, 46 Choice Reviews Online 46 (2009).
6. Gauravsharma, Failure of corporate governance has led to the global economic crisis, Indian Express,(Dec.21,2008)
7. Charilaos Mertzanis, Risk Management Challenges after the Financial Crisis: Risk Management Challenges after the Financial Crisis, 42 Economic Notes 285 (2013).
8. Miltos K. Lazarides, Irene-Zacharo Lazaridou & Nikolaos Papanas, Bibliometric Analysis: Bridging Informatics With Science, The International Journal of Lower Extremity Wounds 153473462311535 (2023).
9. Robert W. Palmatier, Mark B. Houston & John Hulland, Review Articles: Purpose, Process, and Structure, 46 J. of the Acad. Mark. Sci. 1 (2018); Dirk Tunger & Marc Eulerich, Bibliometric Analysis of Corporate Governance Research in German-Speaking Countries: Applying Bibliometrics to Business Research Using a Custom-Made Database, 117 Scientometrics 2041 (2018).
10. Naveen Donthu et al., How to Conduct a Bibliometric Analysis: An Overview and Guidelines, 133 Journal of Business Research 285 (2021).
11. H.Kent Baker et.al.,Forty years of the journal of Futures Markets:A Bibliometric Overview,41 JOURNAL OF FUTURES MARKETS 1027,(2021);MJ Cobo et.al.,An Approach for Detecting,Quantifying and Visualizing the Evolution of Research Field: A Practical Application to the Fuzzy Sets Theory Field,5 Journal of Informetrics 146(2011).
12. Waleed M. Sweileh, Bibliometric Analysis of Peer-Reviewed Literature on Climate Change and Human Health with an Emphasis on Infectious Diseases, 16 Global Health 44 (2020).
13. Lib Guides: Scopus Libguide: Home(June 22,2023 12:00pm) https://elsevier.libguides.com/Scopus
14. Hiroshi Komiyama & Koichi Yamada, New Vision 2050: A Platinum Society (2018), http://link.springer.com/10.1007/978-4-431-56623-6 (last visited Sep 25, 2023).
15. M.J. Cobo et al., An Approach for Detecting, Quantifying, and Visualizing the Evolution of a Research Field: A Practical Application to the Fuzzy Sets Theory Field, 5 Journal of Informetrics 146 (2011).
16. Michalis Bekiaris, Thanasis Efthymiou & Andreas G. Koutoupis, Economic Crisis Impact on Corporate Governance & Internal Audit: The Case of Greece, 11 COC 55 (2013).
17. Karim Ben Khediri, Do Investors Really Value Derivatives Use? Empirical Evidence from France, 11 The Journal of Risk Finance 62 (2010).
18. Ibid.
19. Evan Mills, A Global Review of Insurance Industry Responses to Climate Change, 34 Geneva Pap Risk Insur Issues Pract 323 (2009).
20. Ibid.
21. R.Egan et al.,Cyber operational risk scenarios for insurance companies, 24 BRITISH ACTUARIAL JOURNAL (2019)
22. Muhammad Kashif Shad et al., Integrating sustainability reporting into enterprise risk management and its relationship with business performance: A conceptual framework, 208 JOURNAL OF CLEANER PRODUCTION 415,(2019)
23. Marion Hutchinson, Michael Seamer & Larelle (Ellie) Chapple, Institutional Investors, Risk/Performance and Corporate Governance, 50 The International Journal of Accounting 31 (2015).
24. Ibid.
25. Paul C. Godfrey et al., The Relationship Between Corporate Social Responsibility and Shareholder Value: An Empirical Test of The Risk Management Hypothesis, 30 STRATEGIC MANAGEMENT JOURNAL 425, (2009).
26. Stephan M.Wagner & Christoph Bode, An Empirical Examination of Supply Chain Performance Along Several Dimensions of Risk, 29 JOURNAL OF BUSINESS LOGISTICS 307, (2008).
27. Kim et al, Corporate social responsibility and stock price crash risk, JOURNAL OF BANKING AND FINANCE(2014).
28. Paul C. Godfrey, Craig B. Merrill & Jared M. Hansen, The Relationship between Corporate Social Responsibility and Shareholder Value: An Empirical Test of the Risk Management Hypothesis, 30 Strat. Mgmt. J. 425 (2009).
29. Stephan M. Wagner & Christoph Bode, AN EMPIRICAL EXAMINATION OF SUPPLY CHAIN PERFORMANCE ALONG SEVERAL DIMENSIONS OF RISK, 29 Journal of Business Logistics 307 (2008).
30. Klaus J. Hopt, Corporate Governance of Banks after the Financial Crisis, SSRN Journal (2011), http://www.ssrn.com/abstract=1918851 (last visited Sep 25, 2023).
31. Hamid Mehran, Alan D. Morrison & Joel D. Shapiro, Corporate Governance and Banks: What Have We Learned from the Financial Crisis?, SSRN Journal (2011), http://www.ssrn.com/abstract=1880009 (last visited Sep 25, 2023).
32. Michael C. Jensen & William H. Meckling, Theory of the Firm: Managerial Behavior, Agency Costs and Ownership Structure, SSRN Journal (1998), http://www.ssrn.com/abstract=94043 (last visited Sep 25, 2023).
33. mid Mehran, Alan D. Morrison & Joel D. Shapiro, Corporate Governance and Banks: What Have We Learned from the Financial Crisis?, SSRN Journal (2011), http://www.ssrn.com/abstract=1880009 (last visited Sep 25, 2023).
34. Michael C. Jensen & William H. Meckling, Theory of the Firm: Managerial Behavior, Agency Costs and Ownership Structure, SSRN Journal (1998), http://www.ssrn.com/abstract=94043 (last visited Sep 25, 2023).
35. Gao-Yong Liu, Ji-Ming Hu & Hui-Ling Wang, A Co-Word Analysis of Digital Library Field in China, 91 Scientometrics 203 (2012).
36. Cobo et al., supra note 19.
37. Lithin B M et al., Overview of Bond Mutual Funds: A Systematic and Bibliometric Review, 8 Cogent Business & Management 1979386 (2021).
38. Philippe Jorion, Risk Management: Historical Perspectives, in Encyclopedia of Quantitative Finance (Rama Cont ed., 1 ed. 2010), https://onlinelibrary.wiley.com/doi/10.1002/9780470061602.eqf15002 (last visited Sep 25, 2023).
39. Brian W. Nocco & Rene M. Stulz, Enterprise Risk Management: Theory and Practice, SSRN Journal (2006), http://www.ssrn.com/abstract=921402 (last visited Sep 25, 2023).
40. Hopt, supra note 26.
41. Andre P. Liebenberg & Robert E. Hoyt, The Determinants of Enterprise Risk Management: Evidence From the Appointment of Chief Risk Officers, 6 Risk Manage Insurance Rev 37 (2003).
42. Sanmugam Annamalah et al., Implementation of Enterprise Risk Management (ERM) Framework in Enhancing Business Performances in Oil and Gas Sector, 6 Economies 4 (2018).
43. Kenneth A. Froot, David S. Scharfstein & Jeremy C. Stein, Risk Management: Coordinating Corporate Investment and Financing Policies, 48 The Journal of Finance 1629 (1993).
44. Sweileh, supra note 16.
45. Liebenberg and Hoyt, supra note 35.