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Trimming the Retail: The investment outlook for CVS’s growth strategy 精简零售业务:CVS增长战略的投资前景
Pub Date : 2023-11-11 DOI: 10.24052/ijbed/v011n02/art-01
J. Mark Smith
CVS Health Corporation owns the retail pharmacy chain and also owns CVS Caremark, the pharmacy benefits manager, and the Aetna health insurance provider (Kolakowski, 2023). Recent acquisitions in 2022 and 2023 include Oak Street Health, Inc., and Signify Health. CVS’s proactive growth strategy aims to acquire health care firms across various sectors of health care, yet the management is not averse to divesting the firm of less profitable subsidiaries. In November 2021 the firm announced the closing of 300 stores per year through 2024. A decline in stock price of CVS would suggest analyzing whether the company is still a good long-term investment. A deeper study may be warranted, but seven methods should suffice to either reject CVS immediately or accept CVS for further consideration. The analysis includes the following: The price-to-earnings ratio or P/E multiple approach for validating stock price. Evaluating expected return of the stock with the capital asset pricing model (CAPM). The corporate valuation model using free cash flows for stock-price valuation. A review of the company’s dividend history. Comparison of the company’s capital structure with its peers. Evaluating the company’s historical stock prices. Review of the recent financial statements and the five categories of financial ratios to determine the overall health of the firm. As a company with a large retail business unit, CVS stock would be considered a moderately conservative investment. A decision on long-term investing in CVS stock would consider the risk and potential returns. Subject to further scrutiny, this study accepts CVS as a potential investment choice. Although the acceptance is based on analysis, the author makes no guarantee of future results. This paper is the original work of the author and is not previously published.
CVS Health Corporation拥有零售连锁药店,也拥有CVS Caremark,药房福利管理公司和Aetna健康保险提供商(Kolakowski, 2023)。最近在2022年和2023年的收购包括Oak Street Health, Inc.和Signify Health。CVS的积极增长战略旨在收购医疗保健各个部门的医疗保健公司,但管理层并不反对剥离利润较低的子公司。2021年11月,该公司宣布到2024年每年关闭300家门店。如果CVS的股价下跌,那就意味着分析该公司是否仍然是一个好的长期投资。可能需要进行更深入的研究,但7种方法应该足以立即拒绝CVS或接受CVS进行进一步考虑。分析包括以下内容:验证股价的市盈率或市盈率倍数方法。用资本资产定价模型(CAPM)评估股票的预期收益。利用自由现金流进行股价估值的公司估值模型。回顾公司的股息历史。公司与同业的资本结构比较。评估公司的历史股价。审查最近的财务报表和五类财务比率,以确定公司的整体健康状况。作为一家拥有大型零售业务部门的公司,CVS股票被认为是一种适度保守的投资。对CVS股票进行长期投资的决定需要考虑风险和潜在回报。根据进一步的审查,本研究接受CVS作为一个潜在的投资选择。虽然接受是基于分析,但作者不保证未来的结果。这篇论文是作者的原创作品,以前没有发表过。
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引用次数: 0
A study on millennium development goals and sustainable development goals: Lesson from Bangladesh 千年发展目标与可持续发展目标研究:孟加拉国的经验教训
Pub Date : 2023-11-11 DOI: 10.24052/ijbed/v011n02/art-03
Md. Shah Alam
This paper aims to present the Millennium Development Goals (MDGs) and Sustainable Development Goals (SDGs) for the general inclusive growth of the world and Bangladesh in particular. With the passing of time, the world economy and economic systems have been changing rapidly in order to reach the development facilities of the deprived people living in the world. For this, the United Nations and world leaders have undertaken Millennium Development Goals to reduce the extreme economic hardship of the deprived people living there. Based upon MDGs, the Government of the People’s Republic of Bangladesh has undertaken Sustainable Development Goals (SDGs) to reduce the extreme poverty of the people living in Bangladesh. The study is mainly based on secondary information. Data have been collected from different publications from the United Nations, different websites, and institutional publications. During analysis of the collected data, it is seen that the steps undertaken by the Government of Bangladesh to reduce extreme poverty have become effective and the economic development of Bangladesh has been moving towards sustainability because the deprived section of people has started improving their lives and to some extent starts entering into development opportunities available in Bangladesh.
本文旨在介绍千年发展目标(MDGs)和可持续发展目标(SDGs),以促进世界特别是孟加拉国的普遍包容性增长。随着时间的推移,世界经济和经济制度一直在迅速变化,以便达到生活在世界上的贫困人民的发展设施。为此,联合国和世界各国领导人承诺实现千年发展目标,以减轻生活在那里的贫困人民的极端经济困难。在千年发展目标的基础上,孟加拉国人民共和国政府实施了可持续发展目标(sdg),以减少孟加拉国人民的极端贫困。本研究主要基于二手信息。数据收集自联合国的不同出版物、不同网站和机构出版物。在对收集到的数据进行分析时,可以看到孟加拉国政府为减少极端贫困而采取的步骤已取得成效,孟加拉国的经济发展已朝着可持续性的方向发展,因为被剥夺的部分人民已开始改善他们的生活,并在某种程度上开始进入孟加拉国现有的发展机会。
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引用次数: 0
Gender separation of entrepreneurship skills acquisition programmes for economic development 经济发展的创业技能获取方案的性别区分
Pub Date : 2023-11-11 DOI: 10.24052/ijbed/v011n02/art-02
Eyitayo Francis Adanlawo, Nomusa Yolada Nkomo
Learning entrepreneurial skills has taken on a significance never before seen as a result of their significance to economic growth. In this study, the impact of skill development initiatives on Nigeria's economic development was examined. The study used two objectives: to look into how gender differences in skill acquisition affected economic development and to determine how skill acquisition affected economic development. A quantitative method in the form of a questionnaire was used to sample two hundred (200) unemployed youths. Results revealed that there is a significant gender difference in skill acquisition for economic development and that skill acquisition has a significant influence on economic development. The study concluded that youths perceive skill acquisition programmes to have a positive effect on employment creation. Likewise, gender equality is to be considered in skills acquisition training. In general, the involvement of both genders in skill acquisition programmes will go a long way toward improving the nation's economic development.
由于创业技能对经济增长的重要性,学习创业技能具有了前所未有的重要性。在这项研究中,技能发展倡议对尼日利亚经济发展的影响进行了审查。这项研究有两个目的:研究技能习得方面的性别差异如何影响经济发展,以及确定技能习得如何影响经济发展。采用问卷形式的定量方法对200名失业青年进行了抽样调查。结果发现,技能习得对经济发展有显著的性别差异,技能习得对经济发展有显著的影响。这项研究的结论是,年轻人认为技能习得计划对创造就业有积极影响。同样,在技能获得培训中也应考虑到性别平等。总的来说,男女都参与技能学习计划将大大有助于改善国家的经济发展。
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引用次数: 0
The environmental impact of renewable energy 可再生能源对环境的影响
Pub Date : 2023-05-29 DOI: 10.24052/ijbed/v011n01/art-06
Neli Ivanova, Palto Datta
Purpose: The purpose of this study is to ascertain the environmental impact of renewable energy sources. Methodology: The research combines a pragmatist epistemology and an exploratory, inductive technique. Using the United Kingdom as a case study, the study collects primary data on participants' perspectives, perceptions, and attitudes regarding the connection between renewable energy sources and the environment through a self-administered survey (with 400 subjects) and in-depth interviews (sample size 25). Findings: Participants expressed worry about climate change and a keen understanding of the favourable effects of renewable energy sources on the environment, particularly in terms of pollution reduction, global warming reduction, and climate change mitigation. Practical Implications - The primary rationale for increased calls for the transition away from non-renewable energy sources is the desire to mitigate their negative environmental implications. Renewable energy sources must be expanded to meet this goal. Additional study is needed to identify viable policy pathways for accelerating the transition to renewable energy. Originality: To the best of the researcher's knowledge, this is the first study combining self-administered survey with 400 subjects and in-depth interviews with 25 subjects in the United Kingdom on the public's perspective of renewable energy, its status of development, hurdles, and role in mitigating global warming and climate change.
目的:本研究的目的是确定可再生能源对环境的影响。方法论:本研究结合了实用主义认识论和探索性归纳技术。该研究以英国为例,通过自我管理的调查(400名受试者)和深度访谈(样本量25),收集了参与者关于可再生能源与环境之间关系的观点、看法和态度的主要数据。调查结果:与会者对气候变化表示担忧,并深刻认识到可再生能源对环境的有利影响,特别是在减少污染、减少全球变暖和减缓气候变化方面。实际影响-越来越多地呼吁从不可再生能源过渡的主要理由是希望减轻其对环境的负面影响。为实现这一目标,必须扩大可再生能源。需要进行进一步的研究,以确定加速向可再生能源过渡的可行政策途径。原创性:据研究人员所知,这是英国第一个将400名受试者的自我管理调查和25名受试者的深度访谈结合起来的关于公众对可再生能源的看法、发展现状、障碍以及在缓解全球变暖和气候变化方面的作用的研究。
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引用次数: 0
Addressing the detrimental impacts of COVID-19 on women in the workforce: Where do we go from here? 应对2019冠状病毒病对职场女性的不利影响:我们该何去何从?
Pub Date : 2021-11-15 DOI: 10.24052/ijbed/v09n02/art-04
Kareen Odate, Rene S. Parmar
This paper analyzes national and global statistical data and reports to investigate the status of women in the workforce subsequent to the 2020-2021 COVID-19 pandemic in the United States, identify issues, and propose a path forward. The disproportionate adverse effects of the pandemic included higher unemployment rates among women and greater job losses within female dominated industries and women owned businesses as compared with men, and health challenges heightened by pandemic-related stresses. Further, the responsibility for compensating for the sudden removal of accessible childcare services which followed school and daycare disruptions and closings nationwide, overwhelmingly fell to women—whether they were single or married. Some analysts report that the pandemic served to reassert the unequal division of labor in the household between men and women. Researchers have posited that the pandemic’s impact will retard women’s progress in the workforce for decades if not generations. Strategies for counteracting these effects must entail targeted measures focused on promoting women’s re-entry in the workforce including: the normalization of flexible work schedules to foster a more balanced home and work-life for women, increased family leave for mothers and fathers, more quality and affordable childcare as well as more onsite childcare facilities to meet employees’ needs.
本文分析了国家和全球的统计数据和报告,以调查美国2020-2021年COVID-19大流行后女性在劳动力中的地位,找出问题,并提出前进的道路。与男性相比,这一大流行病造成了不成比例的不利影响,包括妇女失业率更高,女性主导的行业和妇女拥有的企业的失业人数更多,以及与大流行病有关的压力加剧了健康挑战。此外,随着学校和日托中心的中断和全国范围内的关闭,弥补可获得的托儿服务突然消失的责任,绝大多数落在了女性身上——无论她们是单身还是已婚。一些分析人士报告说,这一流行病再次证明了男女在家庭中的不平等分工。研究人员认为,大流行的影响将阻碍妇女在劳动力市场上的进步,即使不是几代人,也是几十年。抵消这些影响的战略必须包括有针对性的措施,重点是促进妇女重新进入劳动力市场,包括:灵活的工作时间表正常化,以促进妇女的家庭和工作生活更加平衡,增加父母的家庭假,提高质量和负担得起的托儿服务,以及更多的现场托儿设施,以满足员工的需求。
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引用次数: 1
The external sector shocks and macroeconomics in Nigeria 外部部门冲击与尼日利亚宏观经济
Pub Date : 2021-11-15 DOI: 10.24052/ijbed/v09n02/art-05
Ohiomoje Iyemifokhae Abubakar
The study examines the relationship between some key macroeconomic indicators in Nigeria and the external sector. During the period under review, it was discovered that crude oil had a lion’s share of Nigeria’s export earnings and the international demand for the country’s non-oil exports was unimpressive due to the development of synthetic alternatives, discriminative tariffs and new entrants in the global market (Central Bank of Nigeria, 2008). Consequently, most of the research on this topic hinged their framework on shocks from the oil sector (see Lukman and Olomola, 2016). In contemporary times, however, the contribution of crude oil to Nigeria’s gross domestic product has been dwindling. As at 2019, the entire oil and gas industry contributed less than 10% of Nigeria’s gross domestic product (Central Bank of Nigeria (CBN), 2019). There was the need to examine the external sector from a more comprehensive approach and framework. Therefore, this study evaluated the impact of shocks from Nigeria’s terms of trade and major foreign stock market index on macroeconomics in Nigeria. The methodology adopted for this study is the vector autoregressive technique, impulse response function and the error variance decomposition method. The findings show that the gross domestic product, price level and interest rate respond strongly in the short run (1-2 years), gradually fluctuates in the medium term (3-5 years) and become stable in the long run (6-10 years) due to shocks from the Dow Jones index and Nigeria’s terms of trade. Thus, intervention policies should focus on mitigating the impact of external sector shocks on macroeconomics in the short and medium terms when the impact is enormous.
该研究审查了尼日利亚一些关键宏观经济指标与对外部门之间的关系。在审查期间,发现原油占尼日利亚出口收入的很大一部分,由于合成替代品的发展,歧视性关税和全球市场的新进入者,对该国非石油出口的国际需求并不令人印象深刻(尼日利亚中央银行,2008年)。因此,关于这一主题的大多数研究都将其框架与石油行业的冲击联系在一起(见Lukman和Olomola, 2016)。然而,在当代,原油对尼日利亚国内生产总值(gdp)的贡献一直在减少。截至2019年,整个石油和天然气行业对尼日利亚国内生产总值的贡献不到10%(尼日利亚中央银行,2019年)。有必要从一个更全面的办法和框架来审查对外部门。因此,本研究评估了尼日利亚的贸易条件和国外主要股票市场指数的冲击对尼日利亚宏观经济的影响。本研究采用的方法是向量自回归技术、脉冲响应函数和误差方差分解法。研究结果表明,由于道琼斯指数和尼日利亚贸易条件的冲击,国内生产总值、价格水平和利率在短期(1-2年)反应强烈,在中期(3-5年)逐渐波动,在长期(6-10年)趋于稳定。因此,干预政策应侧重于在短期和中期减轻外部部门冲击对宏观经济的影响。
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引用次数: 0
Determinants of household over-indebtedness in South Africa 南非家庭过度负债的决定因素
Pub Date : 2021-11-15 DOI: 10.24052/ijbed/v09n02/art-02
R. Karambakuwa, R. Ncwadi
The proportion of household debt to disposable income is high in South Africa, signifying over-indebtedness which reduces the welfare of households. High debt leads to low savings, negatively impacting economic growth. This paper presents the determinants of household debt distress in South Africa and comes up with recommendations on how to manage household debt. The objectives are achieved through systematic literature review. Findings suggest that households are over-indebted because of several reasons. They lack necessary finance management skills and proper protection from predatory practices by lenders. Household indebtedness is also caused by the rising cost of living which leads to low household disposable income and savings, high interest rates, misfortunes and adverse trigger events and income inequalities. Education, age and being a recipient of a social grant all have positive and negative impacts on household indebtedness. Findings also suggest that female-headed households, renting households, large households, urban based households, households with a mortgage and households where the head is not working, is sick or disabled are more likely to be over-indebted. A framework is presented with recommendations on how household debt can be effectively managed in South Africa. Upskilling in finance management can help improve the way households manage their finances. Moneylending institutions should avoid predatory lending and disclose vital information affecting household borrowing decisions. A downward review of interest rates on debt is necessary with a balance between profitability and sustainability of loan repayments. Consumption insurance on loans is recommended to cushion debt distressed households.
南非家庭债务占可支配收入的比例很高,这意味着过度负债降低了家庭福利。高负债导致低储蓄,对经济增长产生负面影响。本文介绍了南非家庭债务困境的决定因素,并就如何管理家庭债务提出了建议。这些目标是通过系统的文献综述来实现的。调查结果表明,家庭负债过多有几个原因。他们缺乏必要的财务管理技能和适当的保护,不受贷款人掠夺性行为的影响。家庭负债也是由生活成本上升引起的,这导致家庭可支配收入和储蓄低、利率高、不幸和不利触发事件以及收入不平等。教育、年龄和接受社会补助都对家庭负债产生积极和消极的影响。调查结果还表明,女性户主家庭、租房家庭、大家庭、城市家庭、有抵押贷款的家庭以及户主没有工作、生病或残疾的家庭更有可能负债过重。提出了一个框架,其中就如何有效管理南非的家庭债务提出了建议。提高财务管理技能有助于改善家庭财务管理方式。货币化机构应避免掠夺性贷款,并披露影响家庭借贷决策的重要信息。为了在盈利能力和贷款偿还的可持续性之间取得平衡,有必要对债务利率进行下调。建议对贷款进行消费保险,以缓解陷入债务困境的家庭。
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引用次数: 1
Placemaking and Revitalization through Business and Tourism Improvement Districts in Albania 阿尔巴尼亚商业和旅游业改善区的选址和振兴
Pub Date : 2021-05-25 DOI: 10.24052/IJBED/V09N01/ART-05
Ermira Repaj
As a form of a public-private partnership with local authorities, the business improvement district (BID) is created when most businesses or business property owners agree through balloting to manage a delimited commercial area with prior authorization by the local authority. The district is managed through a non-profit organization that provides additional public services such as security, maintenance, infrastructure improvement, and marketing, to improve decaying commercial and residential areas. BIDs have been praised as engines for urban development, filling the need gap between the public and private sector by providing entrepreneurial local public management and augmented public services for socioeconomic revitalization. The business improvement districts (BIDs) and similar forms of a public-private partnership, as a new mechanism for urban renewal and economic development, have emerged in North America five decades ago and quickly adopted in many cities worldwide. Since 2011, the model has been applied in 8 districts in Albania, contributing to improved business life, infrastructure improvements, and enhanced general public services. This time is considered long enough to offer insights regarding their evolution and transformative effects. This study aims at exploring the adaptation of the business improvement district (BID) model in urban areas in Albania and, at the same time, point out its characteristics, operational and functional activities, accountability, and contribution to business development and area revitalization. The methodology used in this study adopts a qualitative method, including a case study approach to data gathering Primary data sources include semi-structured interviews with BID association members, administrators, and consultants in Albania, businesses, local government officials, and lawyers. This study will contribute to a more robust contextual understanding of the establishment and effectiveness of BIDs in developing economies The findings presented demonstrate BID’s transformative role for area regeneration, economic and social development. Furthermore, this study provides additional insights regarding the effects of development organizations’ involvement in this public-private partnership model for area regeneration. The results have important implications for Albania’s public and development policies and provide practical lessons for practitioners in these fields. Furthermore, it contributes to the international literature on BIDs, including evidence of this model applied in a developing economy. Corresponding author: Ermira Repaj Email address for the corresponding author: e.repaj@aadf.org The first submission received: 14th December 2020 Revised submission received: 14th April 2021 Accepted: 26th April 2021 International Journal of Business and Economic Development, Vol. 9 Number 1 May 2021 www.ijbed.org A Journal of the Centre for Business & Economic Research (CBER) 80 Introduction The BID (Business Impr
它们的直接影响反映在企业的日常营业额、更高的就业率、游客数量的增加、房地产价值的增加和新的商业投资上。本文重点介绍了这一国际模式在阿尔巴尼亚背景下的应用及其对地区复兴、经济和社会发展的变革作用。这篇文章分为五个部分。首先,将通过文献综述讨论BID模型的定义和起源。其次,分析了BID模式在阿尔巴尼亚各地的实施情况。第三,它进一步详细审查了阿尔巴尼亚模式的特点。最后,在总结本文的结论、局限性和进一步研究的方向之前,讨论了一些相关的BID项目的结果和影响指标。BID概念简介——文献综述商业改善区没有通用的定义(Becker et al.,2011),因为BID的本质是适应性和灵活性,能够根据利益相关者的需要为每个地区提供服务(Hoyt,2003)。模型的定义因地区或国家的法规和其他条件而异。美国的商业改善区(BID)、加拿大的商业改善地区(BIA)、城市改善区(UID)、邻里/住房改善区(NID和HID)或德国的创新区,尽管提名不同,但相同的概念和地方差异仍然是可识别和一致的(Eick,2012;Stalevska和Kusevski,2018)。商业改善区(BID)是最常用的术语来命名模型及其特征。无论其术语有何变化,文献中都对该模型的一般特征达成了一些一致。该地区可以是地理上确定的商业区内的公私合作伙伴关系,由地方和州政府授权,并由地方当局征收强制性费用结构,通常称为BID税。BID是通过对将要缴纳税款的人、企业占用人或财产所有者进行投票而建立的。该地区提供传统的BID服务,如资本改善、额外清洁、区域安全、,和营销(Becker等人,2011年;霍伊特,《国际商业与经济发展杂志》,第9卷,2021年5月1日www.ijbed.org《商业与经济研究中心期刊》(CBER),2003年),它们无意取代公共服务,但具有补充性或补充性。他们的紧急情况通常与振兴衰败的城市地区、增加地区客流量、改善该地区企业的总体状况以及增加各自的营业额有关。这种新自由主义的城市治理方法被视为权力下放政策努力的新趋势,以及涉及更多城市治理行为者的城市创业主义的转变(Grossman,2008;Peyroux等人,2012年;Stalewska和Kusevski,2018;Ward,2006年)。这些伙伴关系使公共部门能够享有更多的创业特征,同时使私营部门能够利用公共权力实现社会经济振兴(Grossman,2008),在每个部门的要素之间产生协同作用。有大量证据表明,该模式在地区振兴中发挥了重要作用。这种影响是通过提供服务和更有效地应对当地挑战来产生的,通过增强和战略性地推进商业和零售业(Gopal Agge和Hoyt,2007;Levy,2001)、目的地促销和营销。BID能够为社区发展项目和服务吸引资金,同时绕过对公共部门的许多官僚规定(Ziebarth,2020),这创造了一种有吸引力的发展工具,有助于经济发展和创造就业机会。BID的影响还与房地产价值的增加(Morçöl等人,2010年)和房地产所有者更高的财务回报有关。该模型的引入和推广受地区社会经济背景、人口规模、创业和商业传统等条件和因素的影响(Costela‐Sánchez,2018;艾克,2012年)。影响该模式引入的其他因素包括政治背景、支持法律框架、政府资金的可用性以及支持该进程的公共、私营或第三部门等不同行为者的承诺。(Costela‐Sánchez,2018;Gopal Agge和Hoyt,2007;The Means,2013)。尽管它在应用的当地环境中产生了公认的影响,但批评者对潜在的溢出效应表示担忧。 该模式对民主和管理委员会中的适当代表性、有限的问责制、公共服务提供中的不平等或公共空间监管过度等问题的影响提出了一些问题和批评(Gopal Agge和Hoyt,2007年;Lewis,2010年;Mitchell,2008年;Stalewska和Kusevski,2018)。其他批评者也
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引用次数: 0
Just in time: Will Putin's revitalized Northern Sea Route reorder global shipping? 恰逢其时:普京振兴的北海航线会重新安排全球航运吗?
Pub Date : 2021-05-25 DOI: 10.24052/IJBED/V09N01/ART-03
Thomas E. Rotnem
This paper examines Russia's Arctic Strategy, in general, and the development of the Northern Sea Route, in particular. The current Russian regime regards the successful development of the Northern Sea Route (NSR) as the linchpin of its Arctic endeavors and the harbinger of Russia's economic future, focusing upon not only creating a faster and cheaper shipping route from Asia to Europe, but also spiriting out to world markets the vast fossil fuel and mineral deposits that lie in Russia's frozen north. After discussing recent factors causing Russia's leaders to invest significant resources in its Arctic region and the novel transportation artery, we then focus upon recent steps made toward building out the NSR. The article concludes with an examination of significant problems plaguing the route's development and provides a tentative assessment of the project's overall soundness.
本文考察了俄罗斯的北极战略,特别是北海航线的发展。当前的俄罗斯政权将北海航线的成功开发视为其北极努力的关键和俄罗斯经济未来的预兆,不仅致力于创建一条从亚洲到欧洲的更快、更便宜的航线,还致力于将俄罗斯冰冻北部的巨大化石燃料和矿藏推向世界市场。在讨论了导致俄罗斯领导人在其北极地区和新的交通动脉投资大量资源的最近因素后,我们将重点关注最近为建设NSR所采取的措施。文章最后对困扰该路线发展的重大问题进行了审查,并对该项目的总体合理性进行了初步评估。
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引用次数: 0
How supply chain management impacts governance and development in context with COVID-19: Implications for poverty in developing countries 新冠肺炎背景下供应链管理如何影响治理和发展:对发展中国家贫困的影响
Pub Date : 2021-05-25 DOI: 10.24052/IJBED/V09N01/ART-01
Juliette Brathwaite
COVID-19 impacts both direct and indirect and at various levels, are currently ominous, and significantly challenge systems in society, economy and environment, influencing governance (GVRN), development (DVMT) and related poverty (PVTY) elements. This research explores relationships between GVRN and DVMT effects in developing countries (DCs), proposing that transport, supply chain and logistics management (TSCLM) incorporating agility, can enable GVRN more supportive and responsive. In so doing, efforts for DVMT and PVTY eradication can improve, alleviating problems for individuals and systems left unprepared, bereft and vulnerable. It is vital to pursue this area of research for theoretical and managerial features in the underexplored contexts are generally still novel. To heighten research and practical consciousness of interactions between GVRN, TSCLM and DVMT, especially PVTY effects, this paper engages literature review and associated conceptual model with propositions. The conceptual model focuses on relationships and interactions, combining institutional theory and organisational learning theory incorporating networking or collaboration, presenting four propositions to sustain further exploration, management and practice. In concluding, this researcher presents implications, and suggests future research avenues with respect to interrelationships of GVRN, TSCLM and DVMT. The incorporation of elements to better enable GVRN relationship with DVMT beneficial to PVTY eradication in business context with COVID-19 hindrances, can assist individuals and firms to be more agile and effective in planning, implementation and output systems and to sustain advantageous outcomes. This research contributes to augmenting theory and practice in supply-chain management, GVRN and DVMT, so researchers, managers and others can benefit from value added in improving processes and practices including success with eradicating COVID-19 hindrances to significant attainments.
新冠肺炎对社会、经济和环境系统的直接和间接影响以及不同层面的影响目前是不祥的,并对治理(GVRN)、发展(DVMT)和相关贫困(PVTY)因素构成重大挑战。本研究探讨了发展中国家(DC)的GVRN和DVMT效应之间的关系,提出运输、供应链和物流管理(TSCLM)结合灵活性,可以使GVRN更具支持性和响应性。通过这样做,根除DVMT和PVTY的努力可以得到改善,缓解个人和系统的问题,使其毫无准备、失去和脆弱。研究这一领域至关重要,因为在未被充分探索的背景下,理论和管理特征通常仍然新颖。为了提高对GVRN、TSCLM和DVMT之间相互作用,特别是PVTY效应的研究和实践意识,本文对文献进行了综述,并将概念模型与命题联系起来。该概念模型侧重于关系和互动,结合了制度理论和组织学习理论,结合了网络或协作,提出了四个命题,以支持进一步的探索、管理和实践。最后,该研究人员提出了GVRN、TSCLM和DVMT相互关系的含义,并提出了未来的研究途径。在新冠肺炎障碍的商业背景下,更好地实现GVRN与DVMT的关系,有利于消除PVTY,这可以帮助个人和企业在规划、实施和输出系统方面更加敏捷和有效,并保持有利的结果。这项研究有助于加强供应链管理、GVRN和DVMT的理论和实践,因此研究人员、管理人员和其他人可以从改进流程和实践的增值中受益,包括成功消除新冠肺炎障碍,取得重大成就。
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International Journal of Business Economic Development
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