首页> 外文会议>ICIM2010;International conference on innovation and management >The Empirical Study on the Asset Portfolio Paradox and Related Issues
【24h】

The Empirical Study on the Asset Portfolio Paradox and Related Issues

机译:资产组合悖论及相关问题的实证研究

获取原文

摘要

Based on the portfolio model and theory from the business perspective and practical case studies,This paper reaches a conclusion that diversification can be successful on certain condition. Finally,the paper does a empirical study by using the relatively well-developed retail companies in our country as samples.The results show that: whether state-controlled or private holding companies in the diversified process, although they diversified for different purposes, but if they do not follow these basic prerequisites, it woald certainly bring the detriment of the company's value.
机译:基于业务角度的投资组合模型和理论,并结合实际案例研究,得出结论:在一定条件下可以实现多元化经营。最后,本文以我国比较发达的零售公司为样本进行了实证研究。结果表明:无论是国有控股公司还是私有控股公司,在多元化过程中,尽管它们是出于不同目的而多元化的,但如果他们没有遵循这些基本前提条件,无疑给公司的价值带来了损害。

著录项

相似文献

  • 外文文献
  • 中文文献
  • 专利
获取原文

客服邮箱:kefu@zhangqiaokeyan.com

京公网安备:11010802029741号 ICP备案号:京ICP备15016152号-6 六维联合信息科技 (北京) 有限公司©版权所有
  • 客服微信

  • 服务号