Presenting a Comprehensive Framework for Integration and Acquisition Management in the Financial Services Industry

Hashem Aghazade, A. Heidari, Mohammad Ali Dehghan Dehnavi, Hassan Abolmolouki
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Abstract

Jo ur na l o f Abstract Today, merger and acquisition (M&A) are important strategic tools to address various motives in the financial services industry; However, these strategies have failed in numerous cases. This article intends to develop a comprehensive framework that could specify processes and success factors in each particular stage of the M&A so that executives could use it as an applied tool. For this purpose, a systematic review of M&A literature was carried out for the period between 1990 and 2019. As a result, 2912 related documents were studied and finally 101 documents were selected and analyzed by applying the latest version of the Atlasti 8 software. Based on this analysis, 403 codes, 32 concepts and 8 categories were identified. These categories comprised the main M&A framework including the following stages: 1) establishing M&A intelligence, 2) planning and formulating the M&A strategies, 3) strategy assessment and target selection, 4) negotiation, 5) in-depth risk analysis, 6) introducing the final framework, 7) administering and integrating, 8) strategic control. Finally, a comprehensive model for the management of the M&A process has been introduced that can help not only the financial services industry, but also other industries if they follow the required strategic adjustments.
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提出金融服务业整合与收购管理的综合框架
摘要当前,并购(M&A)是金融服务业解决各种动机的重要战略工具;然而,这些策略在许多情况下都失败了。本文旨在开发一个全面的框架,该框架可以指定并购的每个特定阶段的流程和成功因素,以便高管可以将其作为应用工具。为此,对1990年至2019年期间的并购文献进行了系统回顾。结果,使用最新版本的Atlasti 8软件对2912篇相关文献进行了研究,最终选取了101篇文献进行分析。在此基础上,确定了403个编码、32个概念和8个类别。这些类别构成了主要的并购框架,包括以下几个阶段:1)建立并购情报,2)规划和制定并购战略,3)战略评估和目标选择,4)谈判,5)深入风险分析,6)引入最终框架,7)管理与整合,8)战略控制。最后,本文提出了一个综合的并购过程管理模型,该模型不仅可以帮助金融服务业,而且如果其他行业遵循所需的战略调整,也可以帮助它们。
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