银行声誉风险:研究主题、框架、方法与未来研究方向综述

Reputational risks in banks: A review of research themes, frameworks, methods, and future research directions

Journal of Economic Surveys · 2022
被引 35
人大 AABS 2

中文导读

通过系统性文献综述和网络分析,梳理了2010-2020年间35篇银行声誉风险研究,发现主要集中于发达国家,并识别出五大研究主题,指出概念化、公司治理、环境社会问题等未来方向。

Abstract

Abstract This study examined the research trends on reputational risk in banks using a systematic literature review and network analysis (SLRNA) approach on 35 research articles published between 2010 and 2020. It was found that only developed countries (i.e., the United States and Europe) have been actively contributing to research on reputational risks in banks, suggesting that reputational risks management of banks has not gained the global attention it deserves. Moreover, we identified five broad research themes from the thematic network analysis, namely, reputational risk of operational losses, reputational effects of media tone, performance implications of reputational risk management, management of reputational risk in banks, sustainability practices and reputational risk of banks in the project finance market. Nonetheless, there still a number of areas that require further attention. These include conceptualization of reputational risk management in banks that explore the dynamic and interdependencies in a system thinking framework, the role of corporate governance, environmental and social issues on reputational risk, how sustainability practices shape reputational risk management, the role of political connections in mitigating reputational effect of operational loss events, and how information and communication technology (ICT) mechanisms impact reputational risk management in banks.

银行声誉风险系统性文献综述网络分析研究主题