Banking system stability in crisis periods: The impact of the banking regulator independence

dc.contributor.authorKerimov, Atikcs
dc.contributor.authorBabayev, Azercs
dc.contributor.authorDudchenko, Viktoriacs
dc.contributor.authorSamusevych, Iarynacs
dc.contributor.authorTumpach, Milošcs
dc.coverage.issue3cs
dc.coverage.volume18cs
dc.date.accessioned2024-01-05T15:22:01Z
dc.date.available2024-01-05T15:22:01Z
dc.date.issued2023-09-29cs
dc.description.abstractThis study aims to conduct a bibliometric analysis on the topic of public policy and financial regulation in preventing and combating financial fraud using a variety of bibliometric methods and tools, including the in-built tools of Scopus by Elsevier (SciVal) and Web of Science by Clarivate Analytics, as well as VOSviewer software. The most relevant publications related to the search terms were identified. Based on the results, a map illustrating the interrelationships of concepts such as “financial fraud, ” “public policy, ” and “financial regulation” with other categories was created, allowing for the identification of five clusters, each of which was characterized in detail. The results of the evolutionary and temporal analysis of scientific research showed that before 2000, scholars focused on the legislative aspects of combating financial fraud; from 2000 to 2015, on risk management and the impact of financial fraud on economic growth; from 2016 to the present, on the search for methods and tools to detect and combat financial fraud. The spatial analysis confirmed a predominantly intercontinental connection between researchers. The comparison of subject areas demonstrated the interdisciplinary nature of the study, with a predominant focus on the fields of “computer science” and “economics, econometrics, and finance, ” which is logical considering the economic nature and the ongoing technological transformation of financial fraud. The results can be utilized to develop new strategies, policies, and legislative initiatives to ensure financial integrity and increase confidence in financial systems.en
dc.formattextcs
dc.format.extent221-234cs
dc.format.mimetypeapplication/pdfcs
dc.identifier.citationBanks and Bank Systems. 2023, vol. 18, issue 3, p. 221-234.en
dc.identifier.doi10.21511/bbs.18(3).2023.18cs
dc.identifier.issn1991-7074cs
dc.identifier.orcid0000-0003-3389-6803cs
dc.identifier.other185466cs
dc.identifier.researcheridABF-6094-2020cs
dc.identifier.scopus6311027000cs
dc.identifier.urihttps://hdl.handle.net/11012/244172
dc.language.isoencs
dc.publisherLLC CPC Business Perspectivescs
dc.relation.ispartofBanks and Bank Systemscs
dc.relation.urihttps://www.businessperspectives.org/index.php/component/zoo/banking-system-stability-in-crisis-periods-the-impact-of-the-banking-regulator-independencecs
dc.rightsCreative Commons Attribution 4.0 Internationalcs
dc.rights.accessopenAccesscs
dc.rights.sherpahttp://www.sherpa.ac.uk/romeo/issn/1991-7074/cs
dc.rights.urihttp://creativecommons.org/licenses/by/4.0/cs
dc.subjectbibliometric analysisen
dc.subjecteconomic growthen
dc.subjectfinancial frauden
dc.subjectfinancial regulationen
dc.subjectpublic policyen
dc.titleBanking system stability in crisis periods: The impact of the banking regulator independenceen
dc.type.driverarticleen
dc.type.statusPeer-revieweden
dc.type.versionpublishedVersionen
sync.item.dbidVAV-185466en
sync.item.dbtypeVAVen
sync.item.insts2024.01.05 16:22:01en
sync.item.modts2024.01.02 20:22:31en
thesis.grantorVysoké učení technické v Brně. Fakulta podnikatelská. Ústav financícs
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