A review of inflation from 1906 to 2022: a comprehensive analysis of inflation studies from a global perspective

IF 7.6 1区 经济学 Q1 ECONOMICS Oeconomia Copernicana Pub Date : 2022-09-25 DOI:10.24136/oc.2022.018
Xindi Wang, Zeshui Xu, Xinxin Wang, M. Škare
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引用次数: 6

Abstract

Research background: Inflation has always been the core issue of economic research and there are many academic research achievements in this field. In recent years, global inflation has intensified, and many scholars focus on research in this field again, providing certain reference value for countries around the world to formulate corresponding macro policies. Purpose of the article: The five-year impact factors are used as the evaluation criteria in this paper, and 1,637 high-quality documents on inflation from 1906 to 2022 are collected from the Web of Science Core Collection database. Using bibliometrics, a comprehensive review of influential literature in the field of inflation is conducted to reveal the evolution and trends of the field. Methods: First, we focus on these high-quality documents about the descriptive statistical characteristics, high cited documents and high impact factor journals. Then, based on the visualization tool, the cooperative network of countries/regions, authors and institutions is depicted and the cooperative relationship between them is determined. At the same time, the most influential countries/regions, authors and institutions are identified by analyzing the citation structure. In addition, through thematic and keyword analysis, the topic hotspots and future research trends of high-quality literature in the field of inflation are deduced. Findings & value added: On the whole, the research on inflation in the United States is relatively mature, and has produced a large number of influential academic cooperation results. Finally, we have a series of discussions on the history of inflation in the United States and policy suggestions. In the future, governments of various countries, especially the United States, will still face certain challenges in how to formulate policies and measures to mitigate the impact of inflation.
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1906年至2022年通货膨胀研究回顾:全球视角下的通货膨胀研究综合分析
研究背景:通货膨胀一直是经济学研究的核心问题,在这一领域有许多学术研究成果。近年来,全球通货膨胀加剧,许多学者再次关注这一领域的研究,为世界各国制定相应的宏观政策提供了一定的参考价值。文章目的:本文以五年影响因素为评价标准,从Web of Science核心收藏数据库中收集了1637篇关于1906年至2022年通货膨胀的高质量文献。利用文献计量学,对通货膨胀领域有影响力的文献进行了全面综述,以揭示该领域的演变和趋势。方法:首先,我们重点研究这些高质量的文献,包括描述性统计特征、高引用文献和高影响因子期刊。然后,基于可视化工具,描述了国家/地区、作者和机构的合作网络,并确定了它们之间的合作关系。同时,通过分析引文结构,确定最具影响力的国家/地区、作者和机构。此外,通过主题和关键词分析,推断出通货膨胀领域高质量文学的主题热点和未来研究趋势。研究成果与附加值:总体而言,美国对通货膨胀的研究相对成熟,并产生了大量有影响力的学术合作成果。最后,我们对美国通货膨胀的历史和政策建议进行了一系列讨论。未来,各国政府,尤其是美国政府,在如何制定政策和措施以减轻通货膨胀的影响方面,仍将面临一定的挑战。
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来源期刊
CiteScore
13.70
自引率
5.90%
发文量
26
审稿时长
24 weeks
期刊介绍: The Oeconomia Copernicana is an academic quarterly journal aimed at academicians, economic policymakers, and students studying finance, accounting, management, and economics. It publishes academic articles on contemporary issues in economics, finance, banking, accounting, and management from various research perspectives. The journal's mission is to publish advanced theoretical and empirical research that contributes to the development of these disciplines and has practical relevance. The journal encourages the use of various research methods, including falsification of conventional understanding, theory building through inductive or qualitative research, first empirical testing of theories, meta-analysis with theoretical implications, constructive replication, and a combination of qualitative, quantitative, field, laboratory, and meta-analytic approaches. While the journal prioritizes comprehensive manuscripts that include methodological-based theoretical and empirical research with implications for policymaking, it also welcomes submissions focused solely on theory or methodology.
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