865 resultados para Kuisma, Markku


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The purpose of this study is to deepen the understanding of the meaning of ownership in the context of small and medium sized businesses. The research on ownership has increased and widened during the last few years. Ownership is treated increasingly as a psychological phenomenon and it has been noticed that it is common for SME ownermanagers to be mentally linked to their firms. Previous research is suggesting that the central role of an owner-manager in an SME is specifying the concept of SMEs, and that ownership is creating a great heterogeneity within SMEs. This study suggests that there is a variation whitin ownership behaviour of small business owners, and the variation is not totally random or irrational, but following the general patterns of business ownership and of doing business on an SME level. This study is a concept analytical in nature and it builds on the theoretical clarification of the concept of ownership. The theoretical consideration concludes with proposing a definition of ownership: Ownership means a subject’s relatively sustaining position of control in regard to an object. The empirical part of this study consists of five articles, out of which one is conceptual and four are empirical in nature. The notion of contextuality of ownership and the notions of SME characteristics form the basic premise of this study and the theoretical basis for the publications. From the owner-managers point of view, ownership relates the owner also to his or her environment and therefore also to the valuations of the owner-managers. This means that all the dimensions are not equally valued, but certain dimensions in his or her ownership are more important. The presented empirical research is supporting the claim that there is a variation whitin ownership behaviour of small business owners. When bringing the definition of ownership onto a personal and psychological level and into the SME context, it was noticed that ownership is not only a closed system phenomenon occurring between the owner and object owned, but it is also elementarily connected to the environment. Ownership - along with the psychological side of it - is a contextual phenomenon where the fundamental factor is the relatively sustaining position of control with regard to an object. As a contribution of the study, this definition is bringing a new point of view to the discussion on SMEs, SME strategic behaviour and family businesses. The study concludes with pointing out directions for future research.

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Tämän työn tavoitteena oli selvittää, miten erilaiset organisaatiorakenteet vaikuttavat yritysten innovatiivisuuteen. Siinä käsitellään organisaatioiden rakenteiden jaottelua ja ominaisuuksia, ja käydään läpi innovatiivisuuteen tarvittavia resursseja ja siihen vaikuttavia ympäristön ominaisuuksia. Työn lopuksi tarkastellaan eri rakennemallien innovatiivisuutta edistäviä ja estäviä tekijöitä, ja tehdään yhteenveto innovatiivisuuden kannalta hyvistä ja huonoista rakenteista. Organisaatiorakenteet jaotellaan kuuteen malliin, mutta käytännössä niistä voidaan luoda yhdistelmiä kunkin organisaation tarpeen mukaan. Rakenteilla huomattiin olevan vaikutusta innovatiivisuuteen. Voidaan sanoa, että innovaatioiden kannalta parhaita ovat rakenteeltaan joustavat organisaatiot, joissa on matala hierarkiataso ja runsaasti kommunikaatiota. Esimerkkinä sellaisesta toimii erityisesti matriisirakenne. Huonosti innovaatiotoimintaa tukevia ovat toiminto- ja divisioonarakenteet, lähinnä joko reagoinnin hitauden tai asiantuntijuuden pinnallisuuden takia. Yrityksen tulee löytää tasapaino joustavuuden ja byrokratian välillä saavuttaakseen omalla toimialallaan tarpeellisen innovatiivisuuden. Sen tulee myös perehtyä tarpeisiinsa ja arvioida millaisia päämääriä todellisuudessa halutaan saavuttaa. Innovaatiotoiminnan kehittämisessä yrityksen johdon tulee ottaa huomioon nämä päämäärät ja kyseisen organisaation rakenne.

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The objective of this thesis is to examine the market reaction around earnings announcements in Finnish stock markets. The aim is to find out whether the extreme market conditions during the financial crisis are reflected in stock prices as a stronger reaction. In addition to this, the purpose is to investigate how extensively Finnish listed companies report the country segmentation of revenues in their interim reports and whether the country risk is having a significant impact on perceived market reaction. The sample covers all companies listed in Helsinki stock exchange at 1.1.2010 and these companies’ interim reports from the first quarter of 2008 to last quarter of 2009. Final sample consists of 81 companies and 630 firm-quarter observations. The data sample has been divided in two parts, of which country risk sample contains 17 companies and 127 observations and comparison sample covers 66 companies and 503 observations. Research methodologies applied in this thesis are event study and cross-sectional regression analysis. Empirical results indicate that the market reaction occurs mainly during the announcement day and is slightly stronger in case of positive earnings surprises than the reactions observed in previous studies. In case of negative earnings surprises no significant differences can be observed. In case of country risk sample and negative earnings surprise market reaction is negative already in advance of the disclosure contrary to comparison sample. In case of positive surprise no differences can be observed. Country risk variable developed during this study seems to explain only minor part of the market reaction.

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This thesis was made for a large forest industry company’s business segment. The purpose of the study was to improve the performance of the order-to-delivery process of the business segment. The study proceeded in three phases. The first phase was to define customer expectations in the market. The second phase was to analyse the performance and the operations of the order-to-delivery process, and to define any challenges or problems in serving the customers. The third and final phase was improving the performance of the order-to-delivery process, within the scope defined by the first two phases. The analysis showed that the delivery reliability is an essential but a challenging issue in the case company’s markets. On delivery reliability standpoint, the most challenging factors were the detected information flow distortions within the company as well as in the whole supply chain, and the lack of horizontal control over the multi-stage process.

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Kirjallisuusarvostelu

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Kirjallisuusarvostelu

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Kirjallisuusarvostelu