• 제목/요약/키워드: Standard market value

검색결과 143건 처리시간 0.026초

World Class SI 기업으로의 도약 : 핵심 경쟁력 확보를 위한 R&D 모델 개발 (A R&D Model for Korean SI Companies' International Competitiveness)

  • 이연희;최진영
    • 한국IT서비스학회지
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    • 제2권2호
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    • pp.15-29
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    • 2003
  • This thesis suggests a R&D model for Korean SI companies who aggressively drive oversea business to overcome domestic market limitation and to become world class SI players. Even though there have been a lot of discussions on IT technologies and new business models, scientific approach to a R&D model for SI companies is rare due to its natural distinctiveness from manufacturing and general service domain. Therefore, this will be a flagship thesis to keep up our study. As business market environment gets more competitive, major Korean SI players will be confronted with much more keen competition among themselves. And as they are willing to expand their oversea market presence, they can not help struggling against global SI players. So, here we are presenting SI players the reinforcement of R&D as one of the key components to build up their own core competencies. That is, SI players have to adopt and evaluate fast changing and complicated IT technologies at the right time, and to apply them into a real business with cost-effective service delivery and operation processes internally. The ultimate purpose of all of these activities is to offer a SI company the value added business model based on its innovative technical capabilities and well refined service deliver model. For this purpose, we suggests, SI company's R&D has to play an important role of emerging technology verification/evaluation/utilization, value added business model creation, future innovation lead, standard body participation, and effective service delivery and quality system development. To become a more effective R&D organization, hybrid R&D, in which central R&D and divisional sub R&D work together, is considered as an idea model. The reliability of the R&D model for Korean SI companies', here we suggest, has been checked by SI companies R&D specialists and on-site business people.

개도국 농업발전을 위한 농산물 가치사슬 개선 전략: 캄보디아 사례를 중심으로 (Improvement Strategies of Agro-Value Chain for Agricultural Development in Developing Countries: The Case of Cambodia)

  • 김동환
    • 유통과학연구
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    • 제14권4호
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    • pp.127-134
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    • 2016
  • Purpose - Value chain in agriculture refers to direct and indirect activities related to value-added process from raw materials to final products in agricultural industries. In recent years, value chain analysis has become more important in the area of agricultural development. This article reviews the concept and importance of value chain analysis in the context of agricultural development and attempts to suggest improvement strategies. Research design, data, methodology - A literature survey was conducted for value chain analysis for agricultural development. The case of agro-value chain in Cambodia was deeply analyzed based upon interviews with government officers and related experts. Results - It seems that agro-value chain in developing countries are not well developed and does not carry out appropriate functions, compared to developed countries. Because value adding facilities, such as storage, processing and packing plants, milling plants, and etc. are not sufficiently constructed, the quality of agricultural products is low. Especially developing countries may loose opportunities to increase value of their product by exporting their agricultural products as raw materials to neighboring countries. Value adding process is also mainly controlled by traders in local markets or wholesale markets in urban areas. Farmers therefore can get lower share of final value of agricultural products compared to the shares paid to traders. Lastly it is argued that governments of developing countries do not play an active role in developing value chains and do not carry out coordinating functions in an effective and efficient manner. Conclusions - The first step to improve agro-value chain in developing countries is to identify and analyze value chain structure of agricultural products and to make development strategies and implementation programs. For improving value chain of agricultural products in developing countries, it is required to provide not only plans for constructing hardwares, such as wholesale markets, storage facilities, processing and packing plants, and etc., but also plans for improving softwares, such as measures for improving product quality and safety, setting up grade and standard, providing market information, and nurturing producer cooperatives.

한국 NPL시장 수익률 예측에 관한 연구 (A study on the prediction of korean NPL market return)

  • 이현수;정승환;오경주
    • 지능정보연구
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    • 제25권2호
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    • pp.123-139
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    • 2019
  • 국내 NPL (Non performing loan) 시장은 1998년에 형성되었지만, 본격적으로 활성화 된 시기는 2009년으로 역사가 짧은 시장이다. 이로 인해 NPL 시장에 대한 연구도 아직까지는 활발히 진행되지 않고 있는 상황이다. 본 연구는 NPL 시장의 각 물건 별 기준 수익률 달성 유무를 예측할 수 있는 모델을 제안한다. 모델 구축에 사용되는 종속변수는 물건 별 최종 수익률이 기준 수익률 수치 도달 여부를 나타내는 이항변수를 사용하였고, 독립변수로는 물건의 특성을 나타내는 11개의 변수를 대상으로 one to one t-test와 logistic regression stepwise, decision tree를 수행하여 의미있는 7개의 독립변수를 선별하였다. 그리고 통상적으로 사용되는 기준 수익률 수치(12%)가 의미있는 기준 수치인지 확인하기 위해 수치 값을 조절해가며 종속변수를 산출하여 예측모델을 구축해보았다. 그 결과 12%의 기준 수익률 수치로 산출한 종속변수를 이용하여 구축한 예측모델의 평균 Hit ratio가 64.60%로 가장 우수하다는 결과를 얻었다. 다음으로 선별된 7개의 독립변수들과 12%를 기준으로한 수익률 달성유무 종속변수를 이용하여 판별분석, 로지스틱 회귀분석, 의사결정나무, 인공신경망, 유전자알고리즘 선형 모델의 5가지 방법론을 적용해 예측모델을 구축해보았다. 5가지 방법론으로 도출한 예측 모델 간 Hit ratio를 비교한 결과 인공신경망을 이용하여 구축한 예측모델의 Hit ratio가 67.4%로 가장 우수한 결과를 도출해내었다. 본 연구를 통해 추후 NPL시장 신규 물건 매매에 있어서 7가지의 독립변수들과 인공신경망 예측 모델을 활용하는 것이 효과적임을 증명하였다. 물건의 12% 수익률 달성 여부를 사전에 예측해봄으로써 유동화회사가 투자 의사결정을 하는 데에 도움을 줄 것으로 예상하며, 나아가 NPL 시장의 거래가 적정한 가격 선에서 진행됨으로 인해 유동성이 더욱 높아질 것이라 기대한다.

사회적경제와 소비자 관점의 공유가치창출(CSV) 연구 (A Study on CSV of Social Economy and Consumer Perspective)

  • 이영일;김영신
    • 유통과학연구
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    • 제13권12호
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    • pp.53-63
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    • 2015
  • Purpose - Recently, creating shared value (CSV) has attracted attention through plan sustainability and the growth of corporate management. Porter and Kramer (2011) defined the core concept of CSV as social value, economic profits, improvements in the economic social condition, and reinforcing competitiveness. The purpose of CSV, which is to pursue economic profits through a social solution to the problem, agrees with managing the objective of a social enterprise that prioritizes the pursuit of profits through the realization of a social purpose. Today, CSV studies focus on CSR and sustainability and reinforce competitiveness. However, few studies focused on the social economy. Precedent studies examined CSV using a company example, and few studies exist from the perspective of consumers and the point of view of a market society. Research design, data, and methodology - Therefore, this study examines CSV in comparison to a background of the social economy. This study also investigates and analyzes the concept of social value from the point of view of consumers, social problems, consumption value, corporate value, and the influence of consumers. This article develops three hypotheses. Hypothesis 1 investigates the correlation with social innovation that consumers thought as being necessary for social innovation by a company. Hypothesis 2 is used to confirm the influence of consumers in CSV. Therefore, this article investigates the influence of consumers on consumption action for companies that are indifferent to social problems. Hypothesis 3 is used to verify the correlation between the value that consumers demand through consumption and the corporate value that companies pursue other than profits. The three hypotheses were adopted and met the standard for suitability. Results - The importance of the CSV study from the consumer perspective was confirmed using the influence of consumers on CSV. Because the objective of company activities is either the consumer or the market, the influence that extends to interactions between the company and consumers to ensure the success of a business is significant. Regarding the CSV study, because it was an initial study, various approaches are subsequently developed. However, conceptual and practical case studies on CSV currently exist that may be used to verify the factors that comprise CSV. Therefore, the company example may enable verification of the factors that influence the composition of CSV through identification from the consumer perspective. In addition, studying CSV as an action result (of consumer satisfaction, of a company's profits and competitiveness, and of society's cancellation of a social problem) may enable the realization of a practice paradigm as opposed to simply thought and faith. Conclusions - First, this study confirms the social value of a business through the feasible and common pursuit of consumers by corporations. Second, customer influence accounts for an important part of CSV. Third, shared value commonly provides a necessary advantage to consumers, corporates, and society, and contributes to the economy and healthy social development. Fourth, corporates can conduct a business, generate profits, and realize value through improvements in social problems and by addressing their competitive strengths and weaknesses.

R&D Scoreboard에 의한 연구개발투자와 성과의 연관성 분석

  • 조성표;이연희;박선영;배정희
    • 기술혁신연구
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    • 제10권1호
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    • pp.98-123
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    • 2002
  • This study develops a Korean R&D Scoreboard which has originated from the R&D Scoreboard in United Kingdom. The Scoreboard contains details of the R&D investment, sales, growth, profits and employee numbers for Korean companies which are extracted from company annual reports and key ratios calculated, with some movements over time. Companies are classified by the Korea Standard Industrial Classification. The Scoreboard contains 190 companies which consist of 100 largest companies and 30 middle-or small-sized firms listed in Korea Stock Exchange (KSE), and 30 ventures and 30 other firms listed in KOSDAQ. The overall company R&D intensity (R&D as a percentage of sales) is 2.1% compared to the international average of 4.2%. Korea has an unusually large R&D percentage of sales in IT hardware (4.9%) and telecommunication (3.7%). R&D intensity is positively correlated with company performance measures such as profitability, sales growth, productivity and market value. For largest companies listed in KSE and ventures listed in KOSDAQ, the ratio of operating profit to sales is greater for high R&D intensity companies. Sales growth is in proportion to R&D intensity for all companies. Plots of value added per employee or sales per employee vs R&D per employee rise together for the sectors studied, especially for the chemical sectors and automobile sectors, demonstrating a correlation with productivity. The average market value of high R&D companies in the KSE has risen more than 1.6 times that of the KOSPI 200 index. Given the correlation between R&D intensity and company performance and given that R&D is a smaller percentage of surplus (profits plus R&D) than international level (both overall and in several sectors), the challenges facing Korean companies are to maintain the leading position in IT hardware and telecommunication, and to increase the intensity of R&D in many medium-intensive R&D sectors where Korea has an average intensity well below international or US levels.

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네트워크 분석을 이용한 기술 표준화 방법론 연구: 사물인터넷 무선 통신 기술 계층을 중심으로 (A Study on Technology Standardization Method Using Network Analysis: Focused on Wireless Communication Technology Layer of Internet of Things)

  • 김경외;정성도;황준석
    • 기술혁신연구
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    • 제23권3호
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    • pp.43-65
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    • 2015
  • 기술 표준은 기술적 특성과 사양에 대한 일종의 사회적 합의로서 기술의 발달과 함께 모든 산업에 걸쳐 존속되어 왔으며 최근에는 정보통신 기술의 발달과 함께 기술의 상호호환성을 제공하고 시장의 우위를 선점할 수 있는 전략적인 요소로 각광받고 있다. 이에 기술 표준 연구(표준화 연구)는 기술 표준의 채택 과정과 이로 인한 경제적 효과를 분석하여 이론적 및 정책적 함의를 도출하는데 그 의의가 있다. 그러나 기존의 연구에서는 기술 고유의 가치와 상호호환성에 대한 고려가 부족하다는 점에서 기술 중심의 분석 결과를 도출하는데 있어 구조적 한계를 드러낸다. 본 연구는 기술 네트워크 분석을 통해 도출한 기술 차별화 정도와 기업별 기술 선호도 함수를 두 단계 게임 이론 분석 방법에 반영하여 새로운 기술 중심 표준 연구 방법론을 제공하는 것을 목적으로 하고 있다. 그 실증 사례로 사물인터넷의 무선 팬 기술을 선정하였으며, 본 연구 방법론을 통해 해당 시장의 기술 구조 및 표준 관련 함의를 도출하였다.

적정 포장설계를 위한 과실의 바이오 허용 충격지수 추정 (Estimation of the Allowable Bio-shock Fragility Index of Fruits for Optimum Packaging Design)

  • 김기석;정현모;김기복;김만수
    • Journal of Biosystems Engineering
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    • 제32권6호
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    • pp.416-421
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    • 2007
  • Physical damage to fruits and vegetables caused by shock degrades the value of product in the fresh market. In order to design a product/packaging system to protect the product, the G-factor to the product that causes shock damage needs to be determined. The shock fragility of organisms such as fruits with a concept correspondent to the G-factor of industrial products was calculated and we defined the allowable bio-shock fragility index as the value divided peak acceleration that was generated in safe drop height by standard acceleration of gravity. We did modeling for safe drop hight that would prevent fruits from damage by drop tests and tried to estimate the allowable bio-shock fragility index of pears and apples for optimum packaging design. The bio-shock fragility index of pears was in the range of $0.74{\sim}2.29\;G$, while apples had a slightly higher value than that of pears, of $0.51{\sim}2.98\;G$. This result shows accordance with the general fact that apples have a firmer structure and get less damage from the same impact. Based on this result, it is possible to create an optimum packaging design by providing a damage standard by impact.

MNC Subsidiary's Entrepreneurship and Knowledge Transfer: Evidence from MNC Subsidiaries in South Korea

  • Lee, Kangmun;Yang, Ji Yeon;Roh, Taewoo
    • Journal of Korea Trade
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    • 제24권8호
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    • pp.189-206
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    • 2020
  • Purpose - This paper attempted to verify the process by which a multinational corporation (MNC)'s subsidiary practices entrepreneurship to create effective knowledge (KC) in the local market. We have looked at whether subsidiary entrepreneurship (SENT) has a moderation effect in creating knowledge for the local market when a subsidiary has been given autonomy (AUT) from the headquarters (HQ). We also argue that when a subsidiary creates meaningful knowledge, the effect of the increased status by the HQ within the MNC network position (NP) has an indirect effect on whether knowledge is transferred to other overseas subsidiaries (KTO). Design/methodology - This paper used a structural equation model (SEM) of 282 effective foreign companies invested in Korea. To test the hypothesis about the process of SENT on KTO, descriptive statistics, confirmatory factor analysis, reliability, convergent and discriminant validities, and common method bias were analyzed using STATA. In addition, the moderation effect was verified along with SEM. The moderation effect of AUT on SENT and KC was presented graphically by confirming \mathrm{\pm1} standard deviation of AUT for the main effect. Findings - Our findings are as follows. First, while the hypothesis about the direct effect of SENT and KC on KTO was not supported, all other hypotheses were supported. Second, both the AUT and moderating effect and the indirect effect of NP were significant. In the conclusion, these findings are discussed in relation to its various theoretical and practical implications. Originality/value - This study attempted to contribute to the knowledge creation theory of MNC by contemplating how subsidiaries can move away from HQ and grow in the local market. Although there is still a shortage of foreign investment in the Korean market, our practical implications offer guidance for how current subsidiaries can develop more than other overseas subsidiaries.

스마트 박스를 활용한 실시간 수요관리 (A Real-Time Demand Response Management Using Smart Box)

  • 고동관;배준철;민경천;이재규
    • 대한기계학회논문집 C: 기술과 교육
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    • 제4권1호
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    • pp.57-62
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    • 2016
  • 수요자원 거래시장은 한국전력거래소rk 운영하는 수요관리 프로그램으로 한전 검침정보제공 포털 시스템이 제공하는 에너지 사용 데이터를 기준으로 에너지 절감여부를 판단한다. 그러나 검침정보제공 포털 시스템이 제공하는 에너지 사용 데이터는 실시간 데이터가 아닌 지연 데이터로 에너지 절감 주체인 수용가와 관리 주체인 수요관리사업자 모두 현재의 에너지 사용량을 확인할 수 없는 단점이 있다. 이러한 단점을 보완하기 위해 수용가 수전단에 스마트박스를 설치하여 실시간 데이터를 확인하고 전력부하를 능동적으로 절감할 수 있게 하였다.

개별공시지가와 주택실거래가의 공간적 불일치에 관한 연구: 공간 단위 임의성 문제(MAUP)의 스케일 효과 탐색 (A Study on the Spatial Mismatch between the Assessed Land Value and Housing Market Price: Exploring the Scale Effect of the MAUP)

  • 이건학;김감영
    • 대한지리학회지
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    • 제48권6호
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    • pp.879-896
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    • 2013
  • 공시지가제 및 주택가격 공시제는 토지나 주택 거래를 위한 지가 정보나 국세 및 지방세의 과세를 위한 기초자료로 폭넓게 활용되고 있지만, 실제 시장에서는 공시가에 비해 낮은 현실화율을 보이고 있다. 본 연구는 이러한 개별공시지가와 주택실거래가 사이의 공간적 불일치에 주목하고 있으며, 특히 개별 공시가격 산정에 적용될 수 있는 임의적 공간 단위의 효과에 초점을 맞추어 다음 두 가지를 살펴보고 있다. 첫째, 개별공시지가, 주택실거래가, 그리고 이들의 가격 차이에 대한 공간적 분포를 집계구 단위를 기반으로 살펴본다. 둘째, 표준지나 표준주택에 대한 가격 산정, 나아가 개별공시지가나 주택가격에 대한 비준표 적용에 영향을 미칠 수 있는 공간 단위 임의성 문제(MAUP)의 스케일 효과를 탐색한다. 서울시를 대상으로 GIS와 통계 소프트웨어를 이용하여 분석하였고, 그 결과 주택실거래가가 개별공시지가에 비해 높은 일부 군집 지역들을 상세한 수준에서 발견할 수 있었으며, 상이한 공간 스케일에 따라 개별공시지가에 대한 지역 특성 변수들의 통계적 결과가 다르게 나타나고 있음을 실증적으로 확인하였다.

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