FINANCIAL RISK IN BANKS AND INSURANCE COMPANIES IN TIMES OF PANDEMIC: A LITERATURE REVIEW
Copyright (c) 2024 Semestre Económico
This work is licensed under a Creative Commons Attribution-NonCommercial 4.0 International License.
- Articles
- Submitted: July 28, 2023
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Published: April 16, 2024
Abstract
The purpose of this work is to characterize the bibliographic content according to the behaviour of financial risks in the banking and insurance sector during the crisis caused by the covid-19 pandemic. To achieve this, a bibliometric review with Bibliometrix of RStudio and a systematic review of the literature between 2020 and 2023 were carried out, to identify the places, universities, countries and authors that have studied the topic, as well as the possible problems and characteristics of the financial sector (banking and insurance) from the beginning of the restrictions resulting from covid-19 until today. It is highlighted that Anglo-Saxon and European countries are the ones that have studied these issues the most, in addition to identifying the importance of the sector within the recovery of the economy in emerging countries, as well as to identify and characterize the credit and portfolio risks as they can be minimized from empirical aspects and if it is the case, to generate the necessary strategies so that the materialization of these risks does not have a great impact within the economic context of the sector and the country's economy.
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