• 제목/요약/키워드: Diversification Strategies

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CORPORATE PARENT EFFECT ON SUBSIDIARY TECHNOLOGY AND DIVERSIFICATION STRATEGIES

  • Ang, Siah-Hwee
    • International Commerce and Information Review
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    • 제1권1호
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    • pp.3-24
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    • 2008
  • This paper examines the corporate parent effect on the diversification strategies of triad and Asian subsidiaries in the ASEAN region. I find that triad subsidiaries tend to participate in high technology intensive industries, and are more likely to diversify. In addition, I also find that the subsidiary diversification strategy is significantly affected by the number of affiliations under the same corporate parent that perform the same or different activities in the region. These results shed light on the influence of corporate parent on subsidiary-level strategy and the role of the subsidiary within an economically integrated region. Various implications are discussed.

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Diversification Strategy through Market Creation: The Case of CJ Group

  • Jeong, Jaeseok;Kim, Nam Jung;Lim, Hyunjoo;Kang, Hyoung Goo;Moon, Junghoon
    • Asia Marketing Journal
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    • 제15권4호
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    • pp.1-32
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    • 2014
  • The purpose of this paper is to investigate upon a diversification strategy through market creation of CJ Group, which has contributed in positioning of the firm as one of the leading conglomerates in South Korea. With such objective, the background of CJ Group, followed by its business diversification strategies were explored, with reference to several case studies. The history of CJ Group began with establishment of CheilJedang Industrial Corporation in 1953, as the first domestic sugar producer and exporter of South Korea. The corporation gradually expanded its business ever since at both national and global level, to include the fields of food production, pharmaceutical, biotechnology, and life chemicals. Later, CheilJedang (CJ) Group was established as an affiliate of CheilJedang Industrial Corporation. With such independence, extension of business has been witnessed across the industries of media, entertainment, finance, information technology and distribution. Thus, the current CJ Group pursues to define itself as a progressive global living culture company with four major business categories from food and food service, biotechnology, entertainment and media, and logistics. Despite its success in today's market, CJ Group underwent hardships in its business diversification in 1990s due to indiscreet management, along with the Asian financial crisis. Here, many firms overcame the financial difficulties by taking advantage of the exchange rate for overseas expansion. Though, CJ Group tried to differentiate itself by focusing on the domestic market by creating something out of nothing. Hence, CJ Group takes a unique position among many cases of business diversification and their categorization. In an effort to identify and classify the types of growth experienced by the top 30 companies in South Korea, the firms were categorized into four groups according to their diversification strategies adapted after the Asian financial crisis. Based on the mode and time of entry, corporations were identified either as the 'Explorer', 'Invader', 'Venture Capitalist', or 'Assimilator'. Here, the majority of the firms showed the qualities of Invader, entering mature markets through large-scaled mergers and acquisitions. However, CJ Group was the only firm that was categorized as an Explorer, for its focus on the newly emerging service sector in culture-contents industry. This diversification strategy through market creation is worth examining, due to its contribution in generating simultaneous growth between the market and the company itself. Diverse brands of CJ Group have been referred to as case studies in this regard, from 'Hatban', 'Cine de Chef', 'VIPS' to 'CJ GLS'. These four businesses, each to represent processed food, film, restaurant service, and logistics industries respectively, show CJ Group's effectiveness in creating a whole new category of goods and services that are innovative. In fact, such businesses not only contributed in advancement of consumers' wellbeing, but toward generating additional value and employment. It is true that the diversification strategy of CJ Group requires long-term capital investment with high risk, compared to the other strategies mentioned in the paper. However, this model does create high employment and additional values that are positive to both the society and the firm itself. Therefore, the paper comes to a conclusion that the diversification strategy through market creation conveys the most positive impact relative to the others.

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외식기업의 브랜드 다각화가 수익성에 미치는 영향에 관한 연구 (The Impact of Brand Diversification on Firm Performance: A Study Restaurant Firms)

  • 민하나;김인정;최규완
    • 한국식생활문화학회지
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    • 제29권6호
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    • pp.593-598
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    • 2014
  • Brands play a critical role as a core asset and the primary driver for corporate growth because of their power of identity and influence on customers' perceptions in restaurant industry. However, in spite of diverse and dynamically changing recent brand portfolio strategies of restaurants, a study on the effect of brand diversification on financial performance has been rarely conducted in the restaurant industry context. Considering competing viewpoints regarding diversification's influence on financial performance, the purpose of this study is, therefore, to examine the effect of brand diversification on firm performance of restaurants. The results indicated that brand diversification is positive effect to profitability. Brand diversification seems to be attractive and might be a reasonable growth strategy to expand market power by satisfying diverse consumer needs. Therefore, restaurant managers should be consider in implementing brand diversification strategy especially in dynamically changing trend of brand diversification in the current restaurant industry.

작목다각화가 농업소득에 미치는 영향 (The Effect of Crop Diversification on Agricultural Income)

  • 최도형;최은지;이성우
    • 농촌계획
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    • 제27권4호
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    • pp.1-12
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    • 2021
  • The purpose of this study is to analyze the effect of crop diversification on farm households' agricultural income. Abundant literature have explored the determinants and efficient strategies for crop diversification. Yet, there is a paucity of research studies that empirically test the effectiveness of crop diversification as a profitable farm management strategy. Utilizing the 2015 Agricultural Census, this study adopts a quasi-experimental research design to compare the outcomes between farm households that opted for crop diversification and farm households that did not engage in such a strategy. In doing so, this study applies the Heckman Selection Model and the decomposition technique to address the problem of selection bias and to identify the causal effect. Our empirical results show that farms that implement diversification are more likely to earn higher agricultural income than non-diversified farms, although the difference would not be much substantial. This study concludes with several policy proposals to stabilize agricultural income in conjunction with crop diversification.

Asymmetric Interdependence and the Selective Diversification of Supply Chains

  • Nagy, Stephen R.;Nguyen, Hanh
    • Journal of Contemporary Eastern Asia
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    • 제20권2호
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    • pp.237-258
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    • 2021
  • The COVID-19 pandemic has highlighted the risks of an over-concentration of supply chains in one country. It has motivated stakeholders to pursue diversification strategies. However, a paradox exists. Stakeholders have shied away from a complete decoupling and preferring to selectively enhance economic ties with China. This article explores this paradox by examining supply chain concentration in China as a form of asymmetric interdependence and the countermeasures from the U.S., Japan, Australia, and India to minimize vulnerabilities. It argues that while the COVID-19 disruptions have brought to light the risk of supply chain overconcentration in China, countermeasures are also driven by coercive diplomacy and the deepening U.S.-China rivalry. The paper also examines the feasibility of diversification efforts by focusing on the capacity and capabilities of alternative supply chain hubs. It finds that while states are actively seeking ways to prevent China from using asymmetric interdependence of supply chains and trade to gain political leverage, there are structural limits to the degree of diversification in the short to mid-term.

노인장기요양인력 확보 방안: 간호사와 간호조무사 중심으로 (Manpower Acquisition Strategies of Long-term Care: Focused on Nurses and Nurse Aides)

  • 임지영;김주행;임정미;박영숙
    • 가정∙방문간호학회지
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    • 제27권1호
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    • pp.64-81
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    • 2020
  • Purpose: The purpose of this study was to identify manpower acquisition strategies of nurse and nurse aide in long-term care Method: The study was proceed using following three stages: to explore workforce status and labor environment with database analysis, literature reviews, to explore the best practices, practical experiences with expert interviews, with focus group interview, to identify problems and present acquisition strategies Results: Acquisition strategies were increasing of pay, improvement of working condition, development of practical educational program, diversification of entry paths, establishing clear roles for nursing staffs, diversification of training program. Conclusion: We found that the acquisition strategies of nurse and nurse aide can be as an useful methods to increase manpower in long-term care for higher quality of services and care.

베리-허핀달 지수를 활용한 해외건설의 다각화 전략 (Diversification Strategies of Overseas Construction using the Berry-Herfindahl Index)

  • 박환표
    • 한국건축시공학회지
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    • 제21권4호
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    • pp.319-331
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    • 2021
  • 본 연구는 베리-허핀달 지수를 활용한 글로벌 주요 국가의 해외건설 지역별 및 공종별 다각화 및 다변화 지수를 분석하였다. 분석결과, 글로벌 설계 및 시공기업의 해외비중이 높고, 공종별 및 지역별 다각화 정도가 높은 국가들은 유럽 선진 국가들이 대부분을 차지하고 있다. 한국은 시공기업의 공종별 전문화를 통한 다각화를 추진하고 있고, 설계기업은 공종별 및 지역별로 전문화 및 일부 지역에 편중되어 있다. 향후에는 한국의 글로벌 건설기업은 선진국과 같이 해외사업 지역 다변화 및 공종 다각화로 해외경쟁력을 강화할 필요가 있다.

국내 주식과 미 달러를 이용한 투자전략에 관한 연구 (An Investigation of Trading Strategies using Korean Stocks and U.S. Dollar)

  • 박찬;양기성
    • 아태비즈니스연구
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    • 제13권2호
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    • pp.123-138
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    • 2022
  • Purpose - This study compares the performances of dynamic asset allocation strategies using Korean stocks and U.S. dollar, which have been negatively correlated for a long time, to examine the diversification effects in the portfolios of them. Design/methodology/approach - In the current study, we use KOSPI200 index, as a proxy of the aggregated portfolio of Korean stocks, and USDKRW foreign exchange rate to implement various portfolio management strategies. We consider the equally-weighted, risk-parity, minimum variance, most diversified, and growth optimal portfolios for comparison. Findings - We first find the enhancement of risk adjusted returns due to risk reduction rather than return increasement for all the portfolios of consideration. Second, the enhancement is more pronounced for the trading strategies using correlations as well as volatilities compared to those using volatilities only. Third, the diversification effect has become stronger after the global financial crisis in 2008. Lastly, we find that the performance of the growth optimal portfolio can be improved by utilizing the well-known momentum phenomenon in stock markets to select the length of the sample period to estimate the expected return. Research implications or Originality - This study shows the potential benefits of adding the U.S. dollar to the portfolios of Korean stocks. The current study is the first to investigate the portfolio of Korean stocks and U.S. dollar from investment perspective.

예술단체의 사업다각화 연구 - 산울림 소극장의 사례를 중심으로 - (Arts Organization's Business Diversification Strategies: Case of Sanwoollim Theater Company)

  • 송주영;장웅조
    • 예술경영연구
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    • 제53호
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    • pp.153-177
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    • 2020
  • 적지 않은 문화예술단체에 있어 재정적 어려움과 이로 인한 인력부족은 상시적인 문제이다. 높은 예술성과 역사가 있는 문화예술단체들의 경우 중앙정부와 지자체의 유관기관을 통한 다양한 지원에 힘입어 이러한 문제가 다소 완화되기도 하지만, 결국 예술단체가 꾸준한 예술활동을 추구하기 위해서는 안정적인 재원확보와 효과적인 경영전략 수립이 필요하다. 이러한 전략 중 하나로 위험을 분산시키고 수익을 다원화하는 사업다각화를 들 수 있다. 본 연구에서는 이러한 사업다각화 전략이 민간문화예술단체에 어떻게 적용될 수 있는지를 2016년부터 본격적으로 사업다각화 전략을 취하고 있는 40년 역사의 산울림 소극장의 사례연구를 통하여 살펴보았다. 연구결과, 산울림의 사업다각화 전략으로 진행한 각각의 사업들은 시너지효과를 내며, 산울림의 다양한 이해관계자 즉 예술가, 예술경영가, 향유자 간에 긍정적인 상호작용이 형성되는 것을 확인할 수 있었다. 여기에는 산울림의 문화적 자산, 경제적 자산, 사회적 자산에 대한 충분한 이해와 이러한 자산의 적극적이고 유연한 활용이 주효했음을 확인할 수 있었다.

온라인 게임 기업의 제품 다원화를 위한 제휴 전략 진화에 관한 연구 (The Study on Evolutionary Process of Online-Game Companies' Alliance Strategy for Product Diversification)

  • 장용호;정원조
    • 한국게임학회 논문지
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    • 제11권2호
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    • pp.57-68
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    • 2011
  • 본 연구는 새롭게 탄생한 온라인 게임 기업이 시장 성장주기(도입기-성장기-성숙기)에 따라 어떻게 다원화 전략을 행하여 왔는가를 자원기반이론과 진화이론의 관점에서 실증적 사례 분석을 통해 그 역사적 진행 과정을 체계적으로 분석하였다. 초기 온라인 게임 기업들은 진입 조건(장르, 기술력, 이용자특성)에 따라 다른 전략(기술역량기반, 서비스역량기반)을 통해 성장하였다. 이후 성장기에 이들 기업들은 제품 다원화를 위해 자원기반(기술기반전략, 서비스기반전략)에 따라 경로의존적 제휴 전략(보완적, 대체적 제휴)을 수행하여왔다. 그러나 성숙기에 이들 기업들은 기존 경로의존적 전략을 뛰어넘어 이용가능한 모든 자원 역량을 동원하는 통합 전략을 자연적으로 선택함으로서 시장 성장주기에 탄력적으로 적응하였다. 이러한 분석 결과는 진화이론과 자원기반이론을 복합적으로 적용하여 새롭게 탄생한 산업에서 시장의 단계별 성장주기에 따라 온라인 게임 기업의 제휴 전략 패턴이 어떻게 자기조직화 하고 있는지 분석함으로써 새로운 산업적, 정책적, 이론적 모델이 요구되고 있음을 제시하고 있다.