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将金融投资组合理论应用于产品组合决策:一项实证研究

Applying Financial Portfolio Theory to Product Portfolio Decisions: An Empirical Study

Journal of Marketing · 1983
被引 43
人大 AFT50UTD24ABS 4*

中文导读

通过实证研究探索将金融投资组合理论用于分析和管理产品组合的可行性,结果表明该理论有潜力作为产品组合决策的分析和规划工具。

Abstract

To date no formal studies of applying financial portfolio theory to product portfolio decisions have appeared in the literature. This article describes an empirical study to explore the feasibility of using concepts from financial portfolio theory to analyze and provide direction for managing product portfolios. Results indicate that financial portfolio theory has promise as an analytical and planning tool for product portfolio decisions, and suggest how action recommendations based on financial portfolio theory may be modified for product portfolio decisions. This approach also provides a framework for identifying and investigating new questions about effective management of organizational resources.

产品组合管理金融投资组合理论实证研究新产品开发资源管理