摘要
本文运用文献计量学的方法,对《金融研究》2005年至2009年刊载的论文及其作者和引文进行了统计分析,揭示了近年来我国金融理论和实践的研究方向和研究方法的发展趋势,探讨了作者的地区分布和系统分布的特点,确定了金融研究领域多产作者及多产单位的数量和比例,并研究了引文数量、比例、语种、文献类型及年代。
This paper studies the level of the research on the area of financial research in China, by statistical analyses on articles, authors and their references, issued in Journal of Financial Research between 2005 and 2009. We discuss the scope of context and methodology of articles, present situation of authors, the distribution of their areas and systems, the quantity and proportionality of high-yield authors and high-yield organizations in this area. Also, we study the quantity, proportionality, language kinds, types and publication date of references.
出处
《金融研究》
CSSCI
北大核心
2010年第7期194-206,共13页
Journal of Financial Research
关键词
金融研究
载文分析
作者分析
引文分析
finalcial research
document statistics
author study
reference analysis