A Bibliometric Analysis on Fuzzy Approaches in Financial Management

被引:0
|
作者
Onar, Sezi Cevik [1 ]
Cebi, Selcuk [2 ]
Kahraman, Cengiz [1 ]
Oztaysi, Basar [1 ]
机构
[1] Istanbul Tech Univ, Dept Ind Engn, TR-34349 Besiktas, Turkiye
[2] Yildiz Tech Univ, Dept Ind Engn, TR-34349 Besiktas, Turkiye
关键词
Risk Assessment; Risk Analysis; Risk Management; Fuzzy Sets and Extensions; Risk Methodologies;
D O I
10.1007/978-3-031-67195-1_15
中图分类号
TP18 [人工智能理论];
学科分类号
081104 ; 0812 ; 0835 ; 1405 ;
摘要
The increasing uncertainty and vagueness in the financial environment augmented the integration of fuzzy logic in financial decision-making processes. In the literature, various fuzzy approaches have been developed and used for managing financial problems. Yet, none of these methos have been proven to be dominant. The main objective of this study is to show the current fuzzy approach usage in financial management and highlight the impactful countries and journals and finally reveal the gaps in the literature. In this analysis, we also focus on the distribution of countries, journals, author keywords. We use Scopus database for the analysis, the analyze result shows that the earliest studies date back to 1986. Although after 2007, the number of studies has increased a decrease is faced in 2014. Yet, we see a significant increase in fuzzy usage in financial management literature after 2014. The field is mainly dominated by fuzzy journals. Journal of intelligent and fuzzy systems and expert systems with applications are the leading journals that publish studies in this field. This study emphasizes the changing landscape of fuzzy logic in financial management.
引用
收藏
页码:116 / 122
页数:7
相关论文
共 50 条
  • [41] Financial effects of natural disasters: a bibliometric analysis
    Sepulveda-Velasquez, Jorge
    Tapia-Grinen, Pablo
    Pasten-Henriquez, Boris
    NATURAL HAZARDS, 2023, 118 (03) : 2691 - 2710
  • [42] Financial Development and Economic Growth: A Bibliometric Analysis
    Shahab, S. A.
    Khan, S. J. M.
    Nayan, S.
    JOURNAL OF BUSINESS & FINANCE LIBRARIANSHIP, 2024, 29 (04) : 243 - 273
  • [43] Financial literacy: A systematic review and bibliometric analysis
    Goyal, Kirti
    Kumar, Satish
    INTERNATIONAL JOURNAL OF CONSUMER STUDIES, 2021, 45 (01) : 80 - 105
  • [44] Intellectual Development in Asset Liability Management: A Bibliometric Analysis of Financial Performance in Cooperative Bank Domains
    Amity System for Communication Enhancement and Transformation , Amity University Rajasthan, Rajasthan, Jaipur
    303007, India
    不详
    303007, India
    不详
    Lect. Notes Networks Syst., (455-464): : 455 - 464
  • [45] Earnings management: a bibliometric analysis
    Fernandes Teixeira, Jaime
    Rodrigues, Lucia Lima
    INTERNATIONAL JOURNAL OF ACCOUNTING AND INFORMATION MANAGEMENT, 2022, 30 (05) : 664 - 683
  • [46] RISKS AND APPROACHES TO FINANCIAL ANALYSIS
    QUINTART, A
    ANNALES DE SCIENCES ECONOMIQUES APPLIQUEES, 1982, 38 (03): : 7 - 33
  • [47] Fuzzy Logic and Financial Analysis
    Mares, Milan
    PRAGUE ECONOMIC PAPERS, 2010, 19 (04): : 383 - 384
  • [48] Fuzzy Sets in Financial Analysis
    Radojevic, Gordana
    Suknovic, Milija
    JOURNAL OF DECISION SYSTEMS, 2008, 17 (02) : 211 - 223
  • [49] Management analytics: a bibliometric analysis
    Lu, Y.
    Ivanov, Leonid A.
    Wang, Fengyi
    Pisarenko, Zhanna, V
    Ye, Chen-gang
    NANOTECHNOLOGIES IN CONSTRUCTION-A SCIENTIFIC INTERNET-JOURNAL, 2024, 16 (03): : 257 - 266
  • [50] EARNINGS MANAGEMENT: A BIBLIOMETRIC ANALYSIS
    Vagner, Ladislav
    Valaskova, Katarina
    Durana, Pavol
    Lazaroiu, George
    ECONOMICS & SOCIOLOGY, 2021, 14 (01) : 249 - 262