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中国财政学研究态势——基于2006-2015年六刊发文的统计分析

发布时间:2018-06-22 23:15

  本文选题:财政学研究 + 产出力 ; 参考:《财贸经济》2016年12期


【摘要】:财政学研究的基本态势对财政学人的未来研究和财政学科的未来发展具有重要意义。本文通过分析六种中文经济学权威期刊2006-2015年发表的财政学论文,从研究主体、研究主题、研究方法三方面揭示了我国近10年财政学研究的基本态势。研究结果表明,我国近年来财政学研究成果的整体态势呈现总量平稳、稳中有升的特点。研究机构整体符合"二八定律",地域特征明显,财经类院校和研究机构是研究重镇,而综合性大学体现了更高的影响力,博士招生规模、重要科研项目数对研究机构评价指标影响显著。研究个体的机构集中度较高,在京学者表现出众,性别比例严重失调,产出力和影响力排序差别较大,高影响力学者趋于年轻化,地域和重要科研项目数对个体评价指标具有显著影响。研究主题较为多样化,现实问题导向特征明显,服务于我国经济改革发展决策。研究方法愈加规范,采用实证分析方法的论文数量和比例逐年递增,其中大多采用计量分析方法,面板回归模型相关方法被广泛应用。
[Abstract]:The basic situation of finance research is of great significance to the future study of finance person and the future development of finance subject. Based on the analysis of the finance papers published in six Chinese authoritative journals of economics from 2006 to 2015, this paper reveals the basic situation of finance research in China in the past 10 years from three aspects: the subject, the subject and the research method. The results show that the overall situation of financial research results in China in recent years is stable and steady. The research institutions as a whole conform to the "law of two or eight". The regional characteristics are obvious. Financial and economic institutions and research institutions are the major research centers, while comprehensive universities have a higher degree of influence. The number of important scientific research projects has a significant impact on the evaluation index of research institutions. The degree of institutional concentration of the individual is relatively high, the academic performance in Beijing is outstanding, the gender ratio is seriously out of balance, the order of output and influence is quite different, and the high-influence scholars tend to be younger. The area and the number of important scientific research items have significant influence on individual evaluation index. The research topic is diversified, the realistic problem orientation characteristic is obvious, serves our country economic reform development decision. The number and proportion of papers using empirical analysis method are increasing year by year, most of them are econometric analysis method, panel regression model correlation method is widely used.
【作者单位】: 上海财经大学;山东大学经济学院;
【分类号】:F810-4;G353.1


本文编号:2054633

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