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vol.24 número2REVISÃO SISTEMÁTICA DA LITERATURA SOBRE ESTRATÉGIAS IMPLEMENTADAS PELAS MICROEMPRESAS PARA SUA SUBSISTÊNCIAA RESPONSABILIDADE DO MARKETING VERDE índice de autoresíndice de assuntospesquisa de artigos
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versão impressa ISSN 0124-8693versão On-line ISSN 2539-0554

Resumo

RAMOS ZAMBRANO, Housseman Steven. FINANCIAL RISK AND UNCERTAINTY IN STOCK MARKETS AT THE TIME OF COVID-19: A BIBLIOMETRIC ANALYSIS. Tend. [online]. 2023, vol.24, n.2, pp.262-287.  Epub 29-Jun-2023. ISSN 0124-8693.  https://doi.org/10.22267/rtend.232402.235.

The objective of this article is to explore the financial risk during the pandemic period in the stock markets. For this, 252 documents from the Scopus database are collected, refined and analyzed, between 2019 and 2022, under a theoretical-exploratory methodology with which a network analysis is elaborated, from graph theory with Rstudio (Bibliometrix ), VOSviewer, and Tree of Science. The results indicate an annual knowledge growth rate of 33.4%, where China and the United States have generated more research. Three work areas were identified in the elaborated clusters: a descriptive one with a low statistical and mathematical level, the second with a medium level of analysis related to studies of systematic risk, financial stability and risk management and the last one, with a high development research analyst who have tried to explain the effect of COVID-19 on financial markets. Finally, it is concluded that countries need to establish continuous information processes regarding these types of impact, since previous studies have shown that emerging regions are very susceptible to the permutations suffered by regions of high economic development.

JEL: G00; G01; G10; G15; G19

Palavras-chave : analysis of data; bibliometrics; documentation; stock market; pandemic.

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