Bibliometric Analysis and Research Trends in Climate Risks and Financial Stability (1988–2024)

Auteurs

  • Imad El Khlifi Research Team Data Science, Innovation and Development, FSJES Tangier, Abdelmalek Essaâdi University, Tangier, Morocco
  • Jaouad Madkour Research Team Data Science, Innovation and Development, FSJES Tangier, Abdelmalek Essaâdi University, Tangier, Morocco

DOI :

https://doi.org/10.71420/ijref.v2i10.176

Mots-clés :

Climate risks, Financial stability, Bibliometric analysis, Scopus, Sustainable development

Résumé

With the increase in temperature and the decrease in percipitation, and their impact on economics, most researchers have turned their focus to Climate change as new source of risk for the global financial system. In the same context, this paper aims to study the impact of climate change on the financial sector, using a bibliometric analysis of 176 articles extracted from Scopus database from 1988 to 2024. This study shows that climate change risks and financial stability as a discipline has rapidly evolved since 2010 and peaked after the implementation of the Sustainable Development Goals (SDGs) and Paris Agreement in 2015. The main research themes selected are monetary policy ,financial stability and corporate social responsibility, green finance and climate risk management. This study highlights the importance of integrating climate risk into financial policy to ensure economic stability and sustainability, furhther research and international collaboration are needed in this emerging area.

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Publiée

2025-11-15

Comment citer

El Khlifi, I., & Madkour, J. (2025). Bibliometric Analysis and Research Trends in Climate Risks and Financial Stability (1988–2024). International Journal of Research in Economics and Finance, 2(10), 1–28. https://doi.org/10.71420/ijref.v2i10.176

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