• 제목/요약/키워드: Reduction strategies

검색결과 683건 처리시간 0.028초

포장용기 표준화를 통한 기업 내(內) 물류효과 분석 (Analysis of Logistics Effects in Enterprises by the Medium of Standardization of Packing Containers)

  • 원유존;김진호;김동규
    • 대한안전경영과학회지
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    • 제14권4호
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    • pp.193-203
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    • 2012
  • In the limitless competition era of the 21st century, cost reduction is being highlighted as one of survival strategies of businesses. The first item for cost reduction of businesses is logistical costs. The most keenly required thing for this is to remove unnecessary elements, and the best way to realize it to cut down processes using automatic facilities. Packing container in logistics is like a facility. This study is intended to analyze reduction of costs, improvement of business process and reduction of working force through standardization of standardization, and logistics effects through improvement of environmental images in enterprises.

공시된 경영전략의 유형별 장기실적 기여도 분석 (Which types of the strategies diffused to the public through company's announcement do contribute to the long-term performance?)

  • 강원
    • 벤처창업연구
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    • 제4권4호
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    • pp.45-70
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    • 2009
  • 본 연구에서는 기업이 공시를 통해 시장에게 통보한 경영전략이 유형별로 기업의 장기실적 변화에 어떤 기여를 했는지를 분석하였다. 2002년 국내에서 공정 공시제도가 실행되면서 이사회 결의 시점에서 일반투자자도 기업의 경영전략을 손쉽게 알 수 있게 되었다. 기업이 공시된 내용에 충실하게 전략을 수행한다면, 향후 관찰되는 실적 및 성과와 이들 공시된 기업전략 간의 관계분석을 통해 어떤 전략이 기업의 장기성과를 높이는데 기여했으며 어떤 전략이 기업의 실적을 훼손하는데 작용했는지를 알 수 있을 것이다. 연구대상은 2003~2005년 기간에 우회상장을 통해 코스닥시장에 진입한 60개 기업으로 한정하였다. 신규로 거래소에 진입한 기업을 사용했을 매는 사건일 이전 공시가 없기 때문에 사건일 이후에 공시된 내용과 사건일 이후에 기록된 실적간의 관계를 분석하는데 문제가 적다. 또한 IPO보다는 우회상장을 통해 자본시장에 진입한 기업이 더욱 다양한 공시를 한다는 장점을 갖는다. 이들 표본기업에 대해 상장시점부터 1년 간 공시한 내용과 동기간의 주식 보유수익률 및 벤치마크포트폴리오 대비 초과보유수익률 간의 관계를 조사하였다. 연구결과, 우회상장 이후 구조조정의 증거가 되는 감자, 이사감사 퇴임 등의 활동과 새로운 투자의 증거가 되는 투자확대, 회사인수 등의 활동은 기업 가치를 장기적으로 향상시키는데 도움을 주고 있음이 밝혀졌다. 그러나 차입증가, 대표이사변경, 합병은 기업 가치를 장기적으로 떨어뜨리는 효과를 가져왔다. 따라서 우회상장 이후 차입을 늘리는 기업은 차입금을 효율적인 투자 안에 투입하기보다는 기타의 목적으로 사용하고, 대표이사를 변경하는 것은 구조조정의 일환 이라기보다는 우회상장 이후 진행되었던 구조조정이 효율적이지 못했다는 증거로 여겨질 수 있으며, 우회상장 이후 다시 타 기업과 합병을 진행하는 것은 또 다른 우회상장 등 주주 부를 하락시키는 활동이었다고 유추할 수 있다. 특히 감자, 합병, 차입 등에 대한 본 연구의 결과는 기존의 단기영향 분석결과와 상이하여, 향후 공시에 대한 단기효과 분석뿐만 아니라 장기효과 분석도 진행되어야 함을 시사하고 있다.

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AHP와 ANP를 이용한 부문별 온실가스 감축 이행 방안 중요도 비교 분석 (A Comparative Analysis on National Greenhouse Gas Reduction Implementation Strategies Priority Using AHP and ANP)

  • 이상엽;김광모
    • 환경정책연구
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    • 제14권1호
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    • pp.33-52
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    • 2015
  • 본 논문의 목적은 국가 로드맵 상에 제시된 7대 부문(산업, 수송, 건물, 공공, 농림어업, 폐기물, 전환)에 대한 부문별 감축 수단을 대상으로 향후 보다 발전적인 이행전략을 분석하는 것이다. AHP와 ANP 방법론을 활용해 방법론 간 차이점이 나타난 부문과 그렇지 않은 부문을 비교분석하였다. 감축대상인 7대 부문 대부분에서 이행목표로서 비용효율성과 효과성(기술개발, 감축성과)보다는 이행가능성이 상대적으로 중요한 것으로 분석되었다. 평가기준에서는 공공, 전환 부문에서 방법론에 따라 최우선순위가 바뀌었으며, 감축방안에 해당하는 대안의 우선순위 및 기준 관점의 대안 내 우선순위도 방법론에 따른 차이가 나타났다.

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우수저류시설의 배치방법에 따른 유출 및 침수피해 저감효과 분석 (Analyzing the Reduction of Runoff and Flood by Arrangements of Stormwater Storage Facilities)

  • 박창열;신상영;손은정
    • 한국물환경학회지
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    • 제29권1호
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    • pp.45-54
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    • 2013
  • This study analyzes the reduction effects of runoff and flood damage through different arrangements of stormwater storage facilities. Three scenarios based on the spatial allocation of storage capacity are used: concentrated, decentralized and combinative. The characteristics of runoff and flood damage by scenario are compared. The XP-SWMM model is used for runoff simulation by the probable rainfall of return period. The result shows that the concentrated arrangement of storage facilities is most effective to reduce the amount of peak flow and to delay the time of peak flow. Yet, while the concentrated arrangement is most effective to reduce the inundation damage, it is not effective to reduce runoff volume. The decentralized arrangement is most effective to reduce runoff volume. The combinative arrangement is effective not only the runoff reduction but also the reduction of flood damage. The result indicates that the flood mitigation strategies against heavy rainfall need to consider decentralized on-site arrangement for the reduction of runoff volume along with concentrated off-site arrangement of storage facilities.

시멘트공업에 있어서 산성비 원인물질 저감방안 평가에 관한 연구 - 아황산가스를 중심으로 - (A Study on an Reduction Methodology for Acid Rain Causing Material in Cement Industries - Focus on Sulfur Dioxide Emission Reduction Measures -)

  • 이동근;정태용;전성우
    • 환경영향평가
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    • 제8권1호
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    • pp.29-40
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    • 1999
  • This study focuses on one of typical energy-intensive industries, the cement industry. The purpose of the study is to propose $SO_2$ emission reduction measures in the cement industry. This study partially employed and modified AIM(Asia-Pacific Integrated Model) developed by Japan National Environmental Research Institute to develop AIM/KOREA SULFUR model for simulation. In the study, a base scenario, and mitigation scenarios(a use of low-sulfur contain fuel, fuel conversion to cleaner energy, an induction of desulfurization systems, and energy saving) were employed. The results of the simulation are summarized below: The sulphur dioxide emission from the cement industry in 1992 was estimated to be 106,000 metric tons; however, according to base scenario, sulphur dioxide emission is expected to be increased to 219,000 metric tons, which is 2.1 times greater than that in 1992 by year 2020. To alleviate such increasement, simulation results under various scenarios proved that some degrees of reduction may be possible by an induction of desulfulization systems although there may be numerous ways to interpretate the simulation results.

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공업화 목조 건축 활성화를 위한 건물정보모델링(BIM) 적용방안 - 사회 네트워크 분석을 통한 신한옥 보급 저해요인 감축 전략 제안을 중심으로 - (Application of Building Information Modeling (BIM) for the Activation of Industrialized Wooden Buildings - Focused on the Proposal of Reduction Strategies for Inhibiting Factors of the Spread of New Hanok through Social Network Analysis -)

  • 박우장;박준영;정상규
    • KIEAE Journal
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    • 제17권3호
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    • pp.113-118
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    • 2017
  • Purpose: This study amis at proposing strategies on the basis of BIM techniques to promote the spread of industrialized wooden buildings for implementation of sustainable architecture. Method: We employed social network analysis (SNA) technique to identify the mutual influences among factors that hinder popularization of new Hanok as the industrialized wooden building. Four strategies were established to reduce the factors with serious influences on each category and stakeholder using BIM techniques. Result: it was demonstrated that the problems occurred in spreading new Hanoks can be reduced by changing the influence structure of social network according to the proposed strategies.

Sustainable retrofit design of RC frames evaluated for different seismic demand

  • Zerbin, Matteo;Aprile, Alessandra
    • Earthquakes and Structures
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    • 제9권6호
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    • pp.1337-1353
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    • 2015
  • Seismic upgrading of existing structures is a technical and social issue aimed at risk reduction. Sustainable design is one of the most important challenges in any structural project. Nowadays, many retrofit strategies are feasible and several traditional and innovative options are available to engineers. Basically, the design strategy can lead to increase structural ductility, strength, or both of them, but also stiffness regulation and supplemental damping are possible strategies to reduce seismic vulnerability. Each design solution has different technical and economical performances. In this paper, four different design solutions are presented for the retrofit of an existing RC frame with poor concrete quality and inadequate reinforcement detailing. The considered solutions are based on FRP wrapping of the existing structural elements or alternatively on new RC shear walls introduction. This paper shows the comparison among the considered design strategies in order to select the suitable solution, which reaches the compromise between the obtained safety level and costs during the life-cycle of the building. Each solution is worked out by considering three different levels of seismic demand. The structural capacity of the considered retrofit solutions is assessed with nonlinear static analysis and the seismic performance is evaluated with the capacity spectrum method.

Advanced estimation and mitigation strategies: a cumulative approach to enteric methane abatement from ruminants

  • Islam, Mahfuzul;Lee, Sang-Suk
    • Journal of Animal Science and Technology
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    • 제61권3호
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    • pp.122-137
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    • 2019
  • Methane, one of the important greenhouse gas, has a higher global warming potential than that of carbon dioxide. Agriculture, especially livestock, is considered as the biggest sector in producing anthropogenic methane. Among livestock, ruminants are the highest emitters of enteric methane. Methanogenesis, a continuous process in the rumen, carried out by archaea either with a hydrogenotrophic pathway that converts hydrogen and carbon dioxide to methane or with methylotrophic pathway, which the substrate for methanogenesis is methyl groups. For accurate estimation of methane from ruminants, three methods have been successfully used in various experiments under different environmental conditions such as respiration chamber, sulfur hexafluoride tracer technique, and the automated head-chamber or GreenFeed system. Methane production and emission from ruminants are increasing day by day with an increase of ruminants which help to meet up the nutrient demands of the increasing human population throughout the world. Several mitigation strategies have been taken separately for methane abatement from ruminant productions such as animal intervention, diet selection, dietary feed additives, probiotics, defaunation, supplementation of fats, oils, organic acids, plant secondary metabolites, etc. However, sustainable mitigation strategies are not established yet. A cumulative approach of accurate enteric methane measurement and existing mitigation strategies with more focusing on the biological reduction of methane emission by direct-fed microbials could be the sustainable methane mitigation approaches.

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.