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Riesgo financiero e incertidumbre en los mercados bursátiles en tiempo de covid-19: un análisis bibliométrico

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  • Housseman Steven Ramos Zambrano

    (Corporación Colombiana de Investigación Agropecuaria)

Abstract

El presente artículo tiene como objetivo explorar el riesgo financiero durante la época de pandemia en los mercados bursátiles. Para ello, se recopila, depura y analiza 252 documentos de la base de datos de Scopus, entre 2019 a 2022, bajo una metodología teórico-exploratoria con la que se elabora un análisis de redes, desde de la teoría de grafos con Rstudio (Bibliometrix), VOSviewer y Tree of Science. Los resultados indican una tasa de crecimiento del conocimiento anual del 33,4%, donde China y Estados Unidos han generado mayores investigaciones. Se identificó en los clústeres elaborados, tres áreas de trabajo: una descriptiva con nivel estadístico y matemático bajo, la segunda con un nivel medio de análisis relacionada con estudios de riesgo sistemático, estabilidad financiera y administración de riesgo y la última, con un alto desarrollo analítico de investigación que han intentado dar explicación del efecto del COVID-19 en los mercados financieros. Finalmente, se concluye que los países requieren establecer procesos continuos de información respecto a estos tipos de impacto, ya que estudios previos han demostrado que regiones emergentes son muy susceptibles ante las permutaciones que sufren las regiones de alto desarrollo económico.

Suggested Citation

  • Housseman Steven Ramos Zambrano, 2023. "Riesgo financiero e incertidumbre en los mercados bursátiles en tiempo de covid-19: un análisis bibliométrico," Revista Tendencias, Universidad de Narino, vol. 24(2), pages 262-287.
  • Handle: RePEc:col:000520:021052
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    More about this item

    Keywords

    análisis de datos; bibliometría; documentación; mercado bursátil; pandemia;
    All these keywords.

    JEL classification:

    • G00 - Financial Economics - - General - - - General
    • G01 - Financial Economics - - General - - - Financial Crises
    • G10 - Financial Economics - - General Financial Markets - - - General (includes Measurement and Data)
    • G15 - Financial Economics - - General Financial Markets - - - International Financial Markets
    • G19 - Financial Economics - - General Financial Markets - - - Other

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