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A Model of Brand Architecture Choice: A House of Brands vs. A Branded House

机译:一种品牌建筑选择选择:一个品牌房子与品牌房屋

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Some firms that operate in multiple product markets use the same brand in different markets, whereas others use different brands in different markets. This research investigates in which product markets a firm should use the same or different brands and how this decision depends on the relatedness of product markets. To answer this question, I propose a framework of market relatedness that characterizes the relationships among distinct product markets from the supply side (e.g., shared production technology) and demand side (e.g., correlated customer preferences). This framework is applied to a model of reputation in which a multiproduct firm's product quality is jointly determined by its hidden capability type (i.e., adverse selection) and hidden choice of effort level (i.e., moral hazard) in each product market. Consumers obtain noisy information about the firm by observing its track record, that is, product quality produced in the past. Umbrella branding allows consumers to pool the firm's track record across different product markets and form expectations about the product quality based on market relatedness. The analysis shows that umbrella branding is optimal if supply-side relatedness is high and demand-side relatedness is not too high. However, if the product markets are closely related in both dimensions, then independent branding may be optimal because, as an umbrella brand, the firm faces a temptation to exploit positive information spillover across product markets through its shared brand name. By using different brand names, a firm can credibly commit to investing in all product markets and thereby earn higher profits. Finally, this paper provides implications for an umbrella brand's customer relationship management strategy whether to serve the same or distinct customer segments with its products.
机译:在多个产品市场运营的一些公司使用不同市场的相同品牌,而其他公司则在不同市场使用不同的品牌。本研究调查了该公司,企业应该使用相同或不同的品牌以及该决定如何取决于产品市场的相关性。为了回答这个问题,我提出了一个市场相关性的框架,其特征是来自供应方(例如,共享生产技术)和需求侧的独特产品市场之间的关系(例如,相关客户偏好)。该框架适用于一种声誉模型,其中多元化公司的产品质量由其隐藏能力类型(即,不利选择)和每个产品市场中隐藏的努力选择(即道德风险)的隐藏选择。消费者通过观察其轨道记录,即过去产生的产品质量,获得有关该公司的嘈杂信息。伞形品牌允许消费者在不同的产品市场中汇集公司的轨道记录,并根据市场相关性对产品质量进行预期。分析表明,如果供给侧相关性高,需求侧相关性并不太高,伞形品牌是最佳的。但是,如果产品市场在这两种尺寸密切相关,那么独立品牌可能是最佳的,因为作为伞形品牌,该公司面临着通过其共享品牌名称在产品市场上利用积极信息溢出的诱惑。通过使用不同的品牌名称,公司可以可靠地承诺投资所有产品市场,从而获得更高的利润。最后,本文为伞形品牌的客户关系管理战略提供了对其产品相同或不同客户群体的影响。

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