A bibliometric analysis of the review papers in finance: Evidence from the last two decades

Author:

Rabbani Mustafa Raza1ORCID,Hassan M. Kabir2ORCID,Dejan Austin3,Bashar Abu4ORCID,Hasan Md. Bokhtiar5ORCID

Affiliation:

1. College of Business Administration University of Khorfakkan Sharjah United Arab Emirates

2. Department of Economics and Finance University of New Orleans New Orleans Louisiana USA

3. Department of Finance, Information Systems, Economics and Risk Management, Marilyn Davies College of Business University of Houston‐Downtown Houston Texas USA

4. School of Management IMS Unison University Dehradun India

5. Department of Finance and Banking Islamic University Kushtia Bangladesh

Abstract

AbstractWe apply bibliometric analysis to the review papers published in the finance domain, considering 264 review and qualitative studies. The approach applied in this study involves using review studies published in finance literature from 2000 to 2022, predominantly aiming at the pedigree of such papers and unfolding the renaissance experienced by such papers in recent years. We apply bibliometric analysis to know the most influential countries, authors, institutions, and journals publishing review papers. Results of the study identified four literature review clusters: The first cluster is related to ‘corporate finance and financial markets’, the second cluster combines the studies related to ‘financial innovations and Fintech’, the third cluster is related to ‘social finance and financial inclusion’, and finally, the fourth cluster combines the studies related to ‘CSR and corporate governance’. We conclude that the bibliometric analysis and literature review papers are critical for identifying and highlighting the emerging problems in finance and motivating future academics to pursue further investigations and provide solutions.

Publisher

Wiley

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