This study conducts a scientometric analysis of global financial risk management research to map its intellectual structure, thematic trends, and collaboration networks over the period 2000–2025. Data were retrieved from the Scopus database using a comprehensive search strategy and analyzed with VOSviewer to visualize co-authorship patterns, country collaborations, keyword co-occurrences, thematic clusters, and temporal developments. The results indicate that risk management, risk assessment, and financial markets remain the most influential and frequently studied topics, while emerging themes such as sustainability, decentralized finance, cryptocurrency, and supply chain resilience reflect the field’s adaptation to evolving technological, economic, and environmental challenges. Collaboration analysis highlights the dominance of countries such as China, the United Kingdom, and India, alongside increasing participation from emerging economies. The study offers practical implications for policymakers and financial practitioners to align strategies with current research priorities, and theoretical contributions by identifying conceptual linkages and emerging research fronts. Limitations include reliance on a single database and the inherent biases of citation-based analysis.
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