• 제목/요약/키워드: marketing investment

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벤처캐피탈 투자역량이 벤처기업의 투자성과에 영향을 미치는 요인에 관한 연구 (A Study on the Effect of Venture Capitals' Investments Capabilities on the Investment Performance of Venture Company)

  • 전양우;하규수
    • 한국산업정보학회논문지
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    • 제21권6호
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    • pp.125-135
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    • 2016
  • 유망한 벤처기업이 경제혁신에 주요 역할을 담당한다는 것은 잘 알려져 있다. 그러므로 창업기업의 성장에 있어 벤처기업은 필수적인 역할을 담당하고 있다. 벤처캐피탈의 투자성과에 관한 문헌들은 벤처 캐피탈 투자전략이 벤처캐피탈의 특성과 역량에 크게 의존하는 것으로 나타났다. 따라서 벤처캐피탈의 투자역량은 중요하다. 즉, 벤처기업은 투자대상의 결정, 투자방법, 투자 후 사후관리 방법 등 벤처캐피탈은 다양한 투자역할을 담당하고 있다. 본 연구는 벤처캐피털의 투자역량이 투자성과에 미치는 영향을 이해하기 위해 수행되었다. 이를 위해 서울과 경기도 지역의 70개 벤처기업을 대상으로 실증분석을 실시하였다. 본 논문의 경험적 증거는 다음과 같이 요약된다. 첫째, 벤처 기업의 재무성과는 벤처캐피탈의 재무역량과 벤처캐피탈의 투자평가에 영향을 받는 것으로 나타났다. 둘째, 벤처기업의 경영성과는 벤처캐피탈의 마케팅지원 컨설팅과 벤처캐피탈의 투자평가에 영향을 받는 것으로 나타났다.

지역사회서비스투자사업 제공기관 직급별 교육요구조사: 아동재활치료서비스를 중심으로 (The Educational Needs Analysis depending on Service Providers' Position for Community Social Service Investment Program: Focusing on the Rehabilitative Treatment and Services for Children)

  • 신재은;송윤희
    • 융합정보논문지
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    • 제8권2호
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    • pp.163-169
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    • 2018
  • 본 연구의 목적은 지역사회서비스투자사업 제공기관 종사자를 대상으로 직급별 교육 필요도와 직무 실행도 인식을 분석하여 교육요구를 파악하는 것이다. 이를 위해 경기지역 지역사회서비스투자사업 중 아동재활치료기관 종사자 619명의 자료를 수집하였으며, 수집된 자료는 t-검정을 통해 분석하였다. 연구결과, 교육 필요도와 직무 중요도의 차이를 보이는 항목은 기관장의 경우, 전문자격분야 10개, 사업운영관리분야 2개, 고객관리분야 4개, 서비스개발 및 마케팅분야 4개이었고, 실무자의 경우 전문자격분야 3개, 사업운영관리분야 2개, 고객관리분야 2개, 서비스개발 및 마케팅분야 5개였다. 치료사의 경우는 35개 모든 교육내용의 필요도 및 직무 수행도 간에 차이가 크게 나타났다. 본 연구결과는 지역사회서비스투자사업 종사자들의 교육방향을 수립하는데 기초자료로 활용될 수 있을 것이다.

Sales Control Systems and Behavioral Responses: Mediating Role of Regulatory Focus and Moderating Role of P-O Fit

  • Yoo, Jaewon
    • Asia Marketing Journal
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    • 제17권1호
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    • pp.123-148
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    • 2015
  • Built on regulatory focus theory, this article develops a research model proposing the relationship between management controls (outcome, activity and capability), sales employees' prevention and promotion focus and their behavioral responses (feedback seeking from different sources and relationship investment). The model also suggests that salesperson perceived organizational fit (P-O fit) contributes by influencing the situational self-regulatory mechanism based on regulatory fit theory. To analyze the data, a structural equation model procedure using LISREL 8.5 was employed. To access the potential common method bias, the MV" marker method was applied using a scale theoretically unrelated to at least one scale in the analysis as the MV marker. The results showed that the greater the salesperson's perceived activity control system, the greater the extent of employee prevention focus. The findings also showed that output control and capability control system are positively related to the promotion focus of salespeople. Salespeople's prevention focus relates negatively to the relational investment and positively to organization feedback seeking. The results indicate that salespeople who have promotion focus exhibit the predicted positive influence on their relationship investment. A significant contribution of this research framework is suggesting salesperson regulatory focus as a mediator and its' effects on different types of sales-related behaviors. The author suggests that the motivational orientations of salespeople play key roles in shaping feedback seeking behaviors from different sources; broadly, that employees with a promotion focus will be more sensitive to customers' feedback, and employees with a prevention focus will seek more feedback from the organization. Furthermore, salespeople with a promotion focus will invest more resources to build relationships with customers than salespeople with a prevention focus. This research also explains the moderating role of person-organization fit on the effect of salespeople's regulatory focus and behavioral responses based on regulatory fit theory

해외직접투자이론(海外直接投資理論)에 관한 소고(小考) (A Study on the Theory of Overseas Direct Investment)

  • 빈봉식
    • 재무관리연구
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    • 제1권1호
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    • pp.119-131
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    • 1985
  • Although Korea is short of capital technology, and natural resources, she has achieved an outstanding progress by the export-drive policies by Korean government and the creative endeavor of Korean firms. As a result of that, Korean economy and enterprises are in the same file of newly industrialized countries and Korea is ready for an economic take-off as a developed country. But in the early 1980s, each country strengthens protective trade theory and resources nationalism, and this has a great influence on the field of international trade environment. In spite of that, to continue the same high development as that of the past. Korea must try to secure and find export markets, solve trade barriers, make sure of the long-term security of resources, develop technology, and strengthen economic cooperations. To satisfy these desires by 2000s, we must try to make Korean enterprises have the global competitive power and them grow strongly among world wide firm through capital and technology accumulated during the passed years, and to do so, there must be a foreign production and marketing management, too, this can be achieved only through foreign overseas direct investment. This investment has various forms, to say, verifical integrated, horizontal integrated. conglomerate integrated forms, and the amount of investment in each country from 18 century to today reaches 500 billion dollars. This investment is done by strategic, behavioral economic, and financial motives. So I am going to approach the fields of like these; in spite of the differences among political, economical, caltural, and social systems, and many risk compared with domestic enterprises, why do Korean firms witsh to transfer the productive facilities to overseas countries and run them there? What is the comparative advantage of foreign direct investment compared with domestic investment ?. why is the factor of comparative advantage transferred through foreign direct investment?, what is the motive of foreign overseas direct investment?, and last the ownership-specific factors and the theory of internalization, and the location specific factors were analysed chiefly. But in consideration of the given condition in Korea, Korean overseas direct investment must be propelled rationally on the basis of the above mentioned theory.

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패션브랜드의 마케팅 전략에 관한 연구 -영국, 프랑스, 이탈리아 력셔리 패션브랜드를 중심으로- (Marketing Strategies of Fashion Brands -Focused on the British, French, Italian Luxury Fashion Brands-)

  • 이해연;박광희
    • 한국의류산업학회지
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    • 제9권2호
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    • pp.211-220
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    • 2007
  • The purpose of this study is to analyze characteristics and marketing strategies of the British, French and Italian luxury fashion brands. The subjects of this study are 27 fashion brands which have more than 50 years of tradition and are also members of the Walpole, Comit$\acute{e}$ Colbert, and Altagamma. The common marketing strategies of the luxury fashion brands were; the renewals in the product concept which harmonized traditional elements with modern elements which are designed to meet the needs of new target consumers, the renewals in the promotion such as the large scale of advertising, the frequent publications about the brands, sponsorship of events, the renewals and expansion of distribution channels in global fashion cities, the opening of flagship shop and the renovation of existing shops. Simultaneous renewals in product concepts, in promotion and in distribution will be an effective marketing strategy. Also, a continuous investment in renewal strategies is a key to the success of luxury fashion brand renewals.

유통경로상의 상쇄투자와 관계결속이 경로구성원의 성과에 미치는 영향 (An Empirical Study on the Performance of the Medium-Sized Distributor's Offsetting Investment and Relationship Commitment with Large-sized Manufacturing Firm in the Marketing Channel)

  • 이수동;이영건
    • 한국유통학회지:유통연구
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    • 제4권2호
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    • pp.1-20
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    • 1999
  • This study aims to provide distributors with several implications on the channel strategy by testing factors which influence on the offsetting investment. Medium-sized distributor facing a relatively inferior power can cause profit vulnerability from large manufacurer's opportunistic behaviors. At the same time, we tested the relationship commitment to the relation with manufacturer as another alternative strategy taken by medium-sized distributer. For this research, samples from dealers in oil-petroleum refinery industry were selected and the data was collected using mail survey. The data was analyzed utilizing validity test, reliability test, factor analysis, correlation analysis and LISREL. The major analyzed results are as follows: First, the offsetting investment of preventing loss from manufacturer's opportunism didn't affect medium-sized distributor's sales empirically. Second, the hypothesis that the more the medium-sized distributor's transaction specific assets which they invest in the transactional relationship with manufacturer, the more the safeguard against the expected opportunism of manufacturer was not supported by the results. Third, the more use of coercive power by the manufacturer, the more increase in the perception of expected opportunism of manufacturer by the medium-sized distributor, it make stimulates offsetting investment as safeguard by medium-sized distributor and it has negative effect on developing commitment. Finally, the large manufactures dealing with a medium-sized distributor firm which had a reputation of fairness didn't make offsetting investment as a response for distributor's opportunism.

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중국진출 다국적제조기업의 현지시장지향성 유형과 투자성과에 대한 실증분석 (Market Orientation Types and Investment Performance: Evidence from Multinational Manufacturers in China)

  • 고숭;임성훈
    • 무역학회지
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    • 제47권1호
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    • pp.145-161
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    • 2022
  • For multinational manufacturers, China is an attractive consumer market, but the unique attributes and tastes of Chinese customers present challenges in achieving desired investment performance. In this paper, the influence (mediating function) of consumer-centered market orientation adopted as a strategic means by multinational companies entering China on investment performance was examined utilizing samples collected through questionnaires and statical analysis through structural equation models. This paper, based on value chain and product attributes, divided market orientation into two types: production impacted market orientation and service impacted market orientation. The empirical analysis results of 233 samples showed that, service impacted market orientation with downstream activities and support service (as a variable) has a greater impact on investment performance than production impacted market orientation with upstream activities and product attributes. This indicates to managers that focusing on service impacted market orientation when implementing consumer-centered marketing strategies in the Chinese local market is an efficient/effective localization strategy to increase expected investment performance.

장소마케팅 개념을 도입한 화양읍 농촌중심지 활성화 사업 계획 (A Revitalize Rural Hub Project in Hwayang-eup by Introducing the Concept of Place Marketing)

  • 박지환;김태구;오창송
    • 농촌계획
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    • 제25권2호
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    • pp.119-130
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    • 2019
  • In a situation in which rural areas are declining, local governments are seeking to revitalize areas by place marketing. Place marketing, defined by various efforts to promote the image of a place, has been used as an economic tool. As a result, the image has been over-promoted and marketing has been driven in a perfunctory manner, so individual residents' lives and experiences have been ignored. Thus, in addition to the traditional types of cultural place marketing and economic place marketing, this study established a 'project for rural revitalization of Hwayang-eup' so that it could be applied to political place marketing aimed at inducing internal investment and improving the welfare of local residents. To implement this project, the concept was set up as building network organization, sustainable development and symbiotic relationship, and various H/W and S/W plans were developed. First of all, in terms of political place marketing, the Hwaeyang Oulim Center was constructed to strengthen the capacity of local autonomous organizations. In terms of cultural place marketing, we explored cultural resources at the village level and created a small community space. In terms of economic place marketing, the landscape around the main street and the township was reorganized to create a cultural business space for urban and rural exchanges. The reinterpretation of place marketing seen through this project was first, it was more process-oriented than results, second, it was important to induce the community-participating village-making project, and finally, the role of experts was important to expand the community movement.

중소기업의 기술경쟁력과 기술마케팅이 사업화성과에 미치는 영향 (Effect of Small and Medium-sized Enterprises' Technological Competitiveness and Technology Marketing on Commercialization Performance)

  • 강만영;전인오
    • 디지털융복합연구
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    • 제11권12호
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    • pp.213-227
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    • 2013
  • 본 연구는 중소기업의 기술경쟁력과 기술마케팅이 중소기업의 사업화성과에 미치는 영향을 실증조사 하는데 목적이 있다. 정부의 인정을 받은 기업부설연구소 및 연구개발전담부서를 보유한 중소기업의 신제품 및 신기술 담당자 204명을 대상으로 기술경쟁력과 기술마케팅, 사업화성과에 대하여 설문조사를 실시하였다. 본 연구는 중소기업의 기술경쟁력이 기술마케팅과 사업화성과에 미치는 영향을 조사하였고 기술마케팅이 사업화성과에 미치는 영향을 조사하였다. 실증분석 결과, 첫째, 기술경쟁력의 기술혁신능력과 기술사업화능력, R&D집중도(인적투자) 변수는 기술마케팅에 유의한 정(+)의 영향을 나타냈다. 둘째, 사업화능력은 사업화 판매와 비판매성과에 R&D집중도(물적투자)는 사업화비판매성과에 유의한 정(+)의 영향을 나타냈다. 셋째, 기술마케팅의 핵심기술 및 보완기술 요인이 높을수록 사업화성과가 높아지는 것으로 나타났다. 따라서 기술중심의 중소기업은 기술경쟁요인인 기술혁신능력과 기술사업화능력, R&D집중도를 높이기 위하여 지속적인 노력을 수행하여야 한다.

한국의 해외직접투자 모형설정 관한 실증 연구 (중국&아세안 6개국 중심: 2007년-2012년중심) (An Empirical Study on the Determinants of Korean FDI focused on China&Asean six Countries for years 2007 through 2012)

  • 이응권
    • 통상정보연구
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    • 제16권2호
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    • pp.251-278
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    • 2014
  • 본 연구(硏究)는 한국기업이 세계(世界)주요시장과 원자재 확보관련 사업(事業)을 수행하고, 나아가서는 사업분야에서 중요한 위치(선점)를 유지 관리하기 위해서 해외투자(海外投資)를 수행하고 있다. 해외직접(海外直接)투자 수행에 있어서 개발(해외직접투자)전략이 선진국 기업의 모델과 다를 수밖에 없다는 전제하에 한국 제조기업(製造企業)을 대상으로 2,006년대 이후의 해외 직접투자(直接投資)의 추이(투자형태요인의 변화)를 파악하고 해외직접투자에 영향을 미치는 년도별 투자 동기 요인과 년도별 투자결정요인의 변화를 산업별 차원에서 분석함으로서 정책적 합의를 구하고 투자 전략과 관련된 기존이론(旣存理論)의 설명력을 검증하기 위한 목적(目的)에서 이루어졌다. 이는 기업특유(企業特有)의 경쟁우위가 있어야 해외 직접투자(直接投資)를 할 수 있다는 기존의 이론과는 역으로 해외 직접투자를 함으로서 기업특유의 경쟁우위(競爭優位)를 개발하고 축적 할 수 있다는 것이다. 그리고 글로벌화 하는 한국기업(韓國企業)의 해외 직접투자에 있어서는 지식(知識)과 정보(情報)의 이전이 중요하다는 것이며 변화와 혁신을 통해 적어도 자신의 분야에서는 세계적 선도 기업이 되고자 하는 한국기업(韓國企業) 이라면 선진국先進國 (경쟁국) 기업보다는 더 적극적인 전략(戰略)을 모색해야 한다는 전제하에 실증모형(實證模型)을 설정하고 연구과제(硏究課題)들을 정리하였다. 그리고 실 예로 이를 위해 먼저 해외에 투자된 직접투자의 추세와 실태를 투자 국별, 투자 산업별, 투자규모 등의 측면에서 살펴보고 한국제조기업(韓國製造企業)의 투자지역(投資地域) 선택과 결정 및 년도별 투자 요인과 효과(效果) 분석(分析)을 전략적 적합성에 근거한 상황모형(狀況模型)을 설정한 후 상황변수(狀況變數)가 해외직접투자 및 결정(決定)에 어떻게 영향을 끼쳐 왔고 또 향후에 어떤 변수가 해외직접투자에 우선 고려되어질 것인가를 실증분석(實證分析)하였다.

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