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991.
The aim of this article is to shed some light on how strategic decisions and actions occur in organizations. The fundamental argument is that the traditional literature fails to provide an adequate understanding of how such decisions are made and that a new focus is needed. Drawing on organizational theory, the author approaches a new focus on decision-making, having the first described the traditional approaches. 相似文献
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Statisticians often employ simultaneous confidence intervals to reduce the likelihood of their drawing false conclusions when they must make a number of comparisons. To do this properly, it is necessary to consider the family of comparisons over which simultaneous confidence must be assured. Sometimes it is not clear what family of comparisons is appropriate. We describe how computer software can monitor the types of contrasts a user examines, and select the smallest family of contrasts that is likely to be of interest. We also describe how to calculate simultaneous confidence intervals for these families using a hybrid of the Bonferroni and Scheffé methods. Our method is especially suitable for problems with discrete and continuous predictors. 相似文献
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A theory of competition between firms in heterogeneous markets is formulated using a psychological model of choice, the heteroscedastic form of the Thurstone random strength model. Market shares are defined in terms of random variables which portray individual variation in perceived utility. The analysis focuses on the relationship between market shares and utility variances. Besides the general theory of competition two special cases are analyzed, each of which can be identified without precise knowledge of the utility parameters. The conclusions tend to support conventional marketing wisdom but emphasize that the degree of dominance of the market leader is a significant factor in its competitive strategy. Short and long-run analyses of the model are presented, and it is shown that the best policy for a particular firm in the short run remains optimal in the presence of competitors' reactions, but it may no longer be effective. The paper concludes with some comments on statistical implementation. 相似文献
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Rao (1963) has formulated a damage model which we call an additive damage model. A suitable damage model, which we call a multiplicative damage model, has been considered by Krishnaji (1970) for income-related problems. In these models, an original observation is subjected to damage, e.g., death or under-reporting, according to a specified probability law. Within the framework of an additive damage model, with a special form of damage, characterizations of the linear and logarithmic exponential families are formulated using regression properties of the damaged part on the undamaged part. The characterizations of the gamma and Pareto distributions that have been found of some use in the theory of income distributions, are obtained as special cases. Similar results are investigated within the framework of the multiplicative damage model. 相似文献
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The research and development project selection process is one of the most difficult and important problems faced by management. It is typically complicated by indivisibility of projects and multiple and conflicting objectives, in addition to limitations on funding, facilities, and qualified researchers. In this paper a case example involving a high technology electrical equipment manufacturer is developed to illustrate this problem using zero—one goal programming to accommodate indivisibility of projects in addition to multiple and conflicting goals. The model presented is an attempt to provide managers with a robust tool for allocating scarce resources among research and development projects. 相似文献