913 resultados para Strategic Partnership
Resumo:
Tämän pro gradu tutkielman tarkoituksena oli selvittää, kuinka pieni ohjelmistoalan yritys voi menestyksekkäästi kansainvälistyä markkinoinnin partnership suhteiden tukemana. Tutkimuksen lähtokohtana oli hankkia case yritys Viope Solutions Oy:n käytettäväksi konkreettisia työkaluja ensimmäisten maltillisesti etenevien kansainvälistymisoperaatioiden tueksi. Tutkielma jakautuu teoreettiseen ja empiiriseen osaan. Näistä jälkimmäisessä kerättiin kvalitatiivisen henkilökohtaisen haastattelututkimuksen avulla kuudelta ohjelmistoalan esimerkkiyritykseltä tietoa ja kokemuksia kansainvälistymisen sekä kansainvälisten partnership suhteiden menestyksekkääseen kehittämiseen. Esimerkkiyritysten kansainvälistymisessä havaittiin monenlaisia eri strategioita ja käytännön keinoja lähestyä kohdemarkkinoita. Kansainvälisten markkinoinnin partnership suhteiden menestystekijöitä havaittiin olevan osapuolten keskinäinen luottamus, yhteensopivat tuotevalikoimat, tehokas kommunikaatio sekä rahallinen ja täsmällinen sitoutuminen yhteistyöhön. Vastaavasti tärkeimmiksi mahdollisiksi ongelmiksi yhteistyölle todettiin kohdemarkkinoiden muuttuminen tai pettäminen, osapuolten suhteeseen sitoutumisen puute ja liialliset lupaukset seka ongelmat henkilökohtaisessa kanssakäymisessä. Saatua aineistoa ja aikaisempaa teoriakatsausta pyrittiin soveltamaan Viopen Ruotsin operaatioiden avuksi. Samoin Ruotsin markkinoita pyrittiin analysoimaan Internet pohjaisen aineiston avulla. Havaittiin, etta Viopella on melko hyvät mahdollisuudet onnistua Ruotsissa omien ja kumppanien komplementaarisia panostuksia hyödyntäen.
Resumo:
Tutkimuksen tarkoituksena on tutkia päähankkijan ja toimittajan kahdenvälistä yhteistyötä. Tutkimuskohteena on yhteistyösuhde, joka on jaettu kiinteään partnership-yhteistyöhön ja astetta löyhempään toimittajayhteistyöhön. Tavoitteena on selvittää kuinka läheinen yhteistyösuhde luodaan yritysten välille ja mitkä ovat ne motiivit jotka saavat hankkivan yrityksen tekemään ratkaisunsa valittavan yhteistyömuodon suhteen. Tutkielma on teoreettinen tutkimus. Tutkimusmenetelmä on kvalitatiivinen jossa aineiston kerääminen, käsittely ja analyysi lomittuvat toisiinsa eivätkä johtopäätökset perustu tilastollisiin menetelmiin. Tutkimuksessa todettiin rakennettavan yhteistyön asteen riippuvan toiminnon tärkeydestä. Tärkeimpien toimintojen ollessa kyseessä hankkiva yritys pyrkii kiinteään partnership tyyppiseen suhteeseen. Toimittajayhteistyösuhde rakennetaan strategisesti tärkeiden toimittajien ollessa kyseessä. Yhteistyömuotojen erona on toimittajan strategian integrointi päähankkijan kanssa sekä toimittajan integroiminen systemaattisesti päähankkijan sekä loppuasiakkaan logistisiin prosesseihin, joka kuuluu partnership –yhteistyöhön erotuksena toimittajayhteistyöstä.
Resumo:
Globaalinen liiketoimintaympäristö on muutoksessa. Uudet teknologiat muuttavat toimintaympäristöä ja talouden säännöt muuttuvat nopeasti. Uusia liiketoimintamalleja tarvitaan. Tutkimuksen tavoitteena oli analysoida tieto- ja viestintäteollisuuden (ICT-teollisuus) nykytilannetta strategisesta ja kilpailuanalyyttisestä näkökulmasta, sekä luoda kuva ICT-teollisuudesta ja sen suurista pelureista Euroopassa ja USA:ssa. Tutkimus analysoi viittä suurta ICT-alan yritystä. Tutkimus oli luonteeltaan sekä kvalitatiivinen että kvantitatiivinen. Yrityksiä analysoitiin käyttäen numeerista ja laadullista materiaalia. Tutkimus perustui kirjallisuuteen, artikkeleihin, tutkimusraportteihin, yritysten internet-kotisivuihin ja vuosikertomuksiin. Tutkimuksen tuloksena voitiin löytää sekä yhtäläisyyksiä että eroavaisuuksia yritysten liiketoimintamallien ja taloudellisen menestymisen väliltä.
Resumo:
Tutkielman tavoitteena oli selvittää ostomarkkinatutkimusta ja partnership-hankintasuhteen aloittamista. Tutkimuksessa tehtiin ostomarkkinatutkimuksen avulla esiselvitys Imatran Seudun Koivukeskus Oy:n potentiaalisista toimittajista. Tutkimuksessa selvitettiin myös potentiaalisia partnereita, joiden kanssa voitaisiin aloittaa tulevaisuudessa pitkäaikainen toimittajayhteistyö. Lisäksi tutkimuksessa selvitettiin partnershipin hyötyjä ostajalle. Tutkielma sisältää teoria- ja empiriaosuuden. Teoriaosassa käsitellään ostomarkkinatutkimusta ja ostosalkkuanalyysiin perustuvia hankintastrategioita pääpainon ollessa partnership-hankintastrategian kuvaamisessa. Empiirisessä osassa selvitetään ostomarkkinatutkimusta potentiaalisten toimittajien selvittämiseksi. Empiirisessä osassa esitetään myös kvalitatiivisen haastattelututkimuksen tulokset potentiaalisista partnereista. Empiirisen osan tutkimukset ovat esiselvityksiä aiheista, eikä tutkimusten tarkoituksena ollut valita toimittajia tai partnereita vielä tässä vaiheessa. Ostomarkkinatutkimuksen perusteella löydettiin 11 potentiaalista toimittajaa, jotka valittiin sopivan maantieteellisen etäisyyden perusteella. Potentiaalisia partnereita löydettiin neljä, ja nämä partnerit valittiin myös sopivan maantieteellisen sijainnin perusteella. Partnereiden valinnassa käytettiin lisäksi vaatimusta, että yrityksillä oli aiempaa kokemusta alalla. Partneruuden tärkeimpänä hyötynä voi pitää sitä, että pitkäaikaisella toimittajayhteistyöllä ostaja varmistaa koivupuun saannin tulevaisuudessa.
Resumo:
BACKGROUND: The management of unresectable metastatic colorectal cancer (mCRC) is a comprehensive treatment strategy involving several lines of therapy, maintenance, salvage surgery, and treatment-free intervals. Besides chemotherapy (fluoropyrimidine, oxaliplatin, irinotecan), molecular-targeted agents such as anti-angiogenic agents (bevacizumab, aflibercept, regorafenib) and anti-epidermal growth factor receptor agents (cetuximab, panitumumab) have become available. Ultimately, given the increasing cost of new active compounds, new strategy trials are needed to define the optimal use and the best sequencing of these agents. Such new clinical trials require alternative endpoints that can capture the effect of several treatment lines and be measured earlier than overall survival to help shorten the duration and reduce the size and cost of trials. METHODS/DESIGN: STRATEGIC-1 is an international, open-label, randomized, multicenter phase III trial designed to determine an optimally personalized treatment sequence of the available treatment modalities in patients with unresectable RAS wild-type mCRC. Two standard treatment strategies are compared: first-line FOLFIRI-cetuximab, followed by oxaliplatin-based second-line chemotherapy with bevacizumab (Arm A) vs. first-line OPTIMOX-bevacizumab, followed by irinotecan-based second-line chemotherapy with bevacizumab, and by an anti-epidermal growth factor receptor monoclonal antibody with or without irinotecan as third-line treatment (Arm B). The primary endpoint is duration of disease control. A total of 500 patients will be randomized in a 1:1 ratio to one of the two treatment strategies. DISCUSSION: The STRATEGIC-1 trial is designed to give global information on the therapeutic sequences in patients with unresectable RAS wild-type mCRC that in turn is likely to have a significant impact on the management of this patient population. The trial is open for inclusion since August 2013. TRIAL REGISTRATION: STRATEGIC-1 is registered at Clinicaltrials.gov: NCT01910610, 23 July, 2013. STRATEGIC-1 is registered at EudraCT-No.: 2013-001928-19, 25 April, 2013.
Resumo:
The purpose of the thesis was to analyze diversification in pulp and paper industry (PPI), which is an industry facing enormous strategic challenges as many of the basic parameters of its operational environment are rapidly changing. The objective was to explore, how PPI companies have reacted to these changes by adjusting their strategies in terms of diversification and how the adjustments have affected their profitability. The study was statistical in nature. The results indicate that PPI companies in deed had reduced the degree of unrelated and related diversification , but the positive performance implications of the changes were debatable. In light of the data used in the study lower level of diversification did not lead to better profitability, in fact, the companies with the highest level of diversification had the best profitability. By contrast, reducing the level of unrelated diversification improved the profitability development; whereas reducing the level of related diversification deteriorated the profitability of the company. The results were not statistically significant and they cannot be generalized outside the data of the study.
Resumo:
This paper aims to analyse cooperation in R&D in the automobile industry in Spain. It first examines to what extent firms cooperate with external actors in the field of technological innovation, and if so, with what type of cooperation partner, paying special attention to the differentiation according to the size of the firms. Second, it aims to study how the firm’s size may affect not only the decision of cooperating but also with which type of partner, while controlling for other determinants that have been considered in the literature as main drivers of collaborative activities in R&D. We use data provided by the Technological Innovation Panel in the 2006-2008 period for firms in the automotive sector. We estimate a bivariate probit model that takes into account the two types of cooperation mostly present in the automotive industry, vertical and institutional, explicitly considering the interdependencies that may arise in the simultaneous choice of both.
Resumo:
This paper aims to analyse cooperation in R&D in the automobile industry in Spain. It first examines to what extent firms cooperate with external actors in the field of technological innovation, and if so, with what type of cooperation partner, paying special attention to the differentiation according to the size of the firms. Second, it aims to study how the firm’s size may affect not only the decision of cooperating but also with which type of partner, while controlling for other determinants that have been considered in the literature as main drivers of collaborative activities in R&D. We use data provided by the Technological Innovation Panel in the 2006-2008 period for firms in the automotive sector. We estimate a bivariate probit model that takes into account the two types of cooperation mostly present in the automotive industry, vertical and institutional, explicitly considering the interdependencies that may arise in the simultaneous choice of both.
Resumo:
In this paper we investigate the optimal choice of prices and/or exams by universities in the presence of credit constraints. We first compare the optimal behavior of a public, welfare maximizing, monopoly and a private, profit maximizing, monopoly. Then we model competition between a public and a private institution and investigate the new role of exams/prices in this environment. We find that, under certain circumstances, the public university may have an interest to raise tuition fees from minimum levels if it cares for global welfare. This will be the case provided that (i) the private institution has higher quality and uses only prices to select applicants, or (ii) the private institution has lower quality and uses also exams to select students. When this is the case, there are efficiency grounds for raising public prices
Resumo:
The study examines partner selection criteria and the life cycle impacts on them. The target is to define the relevant criteria that should be applied in case of a partnership. In this context partnership means strategic supplier relationship. It is also examined how these criteria change on the different stages of the product and business life cycle. The empirical part is a description of developing Criteria selection tool in the case company. The study is conducted as a qualitative research using constructive and action research methodologies. The Criteria selection tool is a MS Excel workbook, giving the relevant set of supplier criteria depending on the business case. The most essential criteria, the tool will suggest for partner suppliers, are related to strategic fit, development potential and collaborative aspects. On the early stages of the life cycles the criteria related to research and development and growth potential are significant. On the late stages of the life cycles cost reduction potential becomes very important.
Resumo:
The focus of this study has been comovement of stock price risk level between two companies as they form strategic alliance. Thus the main reason has been to shed more light to possible increased risk level that the stockholder confronts when a company he owns forms a strategic alliance with another company. This study has centralized to interfirm cooperation between mobile and internet companies, which have furthered the development of mobile internet. The study has been divided into theoretical and empirical part. In theoretical part the main concepts riskiness of a stock (volatility), comovement and strategic alliance have been run through. In empirical part seven strategic alliances formed by mobile internet companies have been examined. Based on this, strategic alliance seems to increase comovement of stock price risk in some degree. This comovement seems to be stronger when core businesses or operating environments of cooperating companies differ more from each other.
Resumo:
The strategic group theory provides an intermediate level of analysis between a single company and the whole industry for identifying issues about the company's competitive position and strategic choices. Strategic groups are companies within an industry with similar strategic characteristics or competing on similar bases. Strategic choices are aligned with the firms’ resources. The purpose of this study was to identify the strategic groups in the wind energy industry in Europe, and study, whether a certain group membership results in financial performance differences. Altogether 80 European wind energy companies were included in the study, which were clustered into four strategic groups according to their age and growth rate. Each group corresponds to a different strategy. The results show that the wind energy companies can be clustered according to the chosen strategic characteristics. Strategic decisions were investigated with characteristic variables. Performance variables were used in the analysis measuring profitability, liquidity and solvency of the groups. These strategic choices of the companies did not have a significant influence on the firms’ performance. The more mature and slower growing group proved to be the most successful. However, the differences between groups were generally not statistically significant. The only statistically significant difference found was in the solvency ratio between Mature Slow and Young Rapid groups. Measured with these variables, more mature and slower growing companies performed better. Therefore, a certain strategic group membership results in performance differences.
Resumo:
Logistics management is increasingly being recognised by many companies to be of critical concern. The logistics function includes directly or indirectly many of the new areas for achieving or maintaining competitive advantage that companies have been forced to develop due to increasing competitive pressures. The key to achieving a competitive advantage is to manage the logistics function strategically which involves determining the most cost effective method of providing the necessary customer service levels from the many combinations of operating procedures in the areas of transportation, warehousing, order processing and information systems, production, and inventory management. In this thesis, a comprehensive distribution logistics strategic management process is formed by integrating the periodic strategic planning process with a continuous strategic issues management process. Strategic planning is used for defining the basic objectives for a company and assuring co operation and synergy between the different functions of a company while strategic issues management is used on a continuous basis in order to deal with environmental and internal turbulence. The strategic planning subprocess consists of the following main phases: (1) situational analyses, (2) defining the vision and strategic goals for the logistics function, (3) determining objectives and strategies, (4) drawing up tactical action plans, and (5) evaluating the implementation of the plans and making the needed adjustments. The aim of the strategic issues management subprocess is to continuously scan the environment and the organisation for early identification of the issues having a significant impact on the logistics function using the following steps: (1) the identification of trends, (2) assessing the impact and urgency of the identified trends, (3) assigning priorities to the issues, and (4) planning responses to the, issues. The Analytic Hierarchy Process (AHP) is a systematic procedure for structuring any problem. AHP is based on the following three principles: decomposition, comparative judgements, and synthesis of priorities. AHP starts by decomposing a complex, multicriteria problem into a hierarchy where each level consists of a few manageable elements which are then decomposed into another set of elements. The second step is to use a measurement methodology to establish priorities among the elements within each level of the hierarchy. The third step in using AHP is to synthesise the priorities of the elements to establish the overall priorities for the decision alternatives. In this thesis, decision support systems are developed for different areas of distribution logistics strategic management by applying the Analytic Hierarchy Process. The areas covered are: (1) logistics strategic issues management, (2) planning of logistic structure, (3) warehouse site selection, (4) inventory forecasting, (5) defining logistic action and development plans, (6) choosing a distribution logistics strategy, (7) analysing and selecting transport service providers, (8) defining the logistic vision and strategic goals, (9) benchmarking logistic performance, and (10) logistic service management. The thesis demonstrates the potential of AHP as a systematic and analytic approach to distribution logistics strategic management.