不确定性下的战略投资:一个综合

Benoît Chevalier-Roignant, C. Flath, Arnd Huchzermeier, L. Trigeorgis
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引用次数: 115

摘要

投资是经济学、金融学和运筹学的中心主题。传统上,分析的重点要么是评估灵活性的价值(不确定性下的投资),要么是描述竞争环境(产业组织)中的承诺效应。近年来,研究不确定性下投资与产业组织关系的贡献越来越多。在本文中,我们提供了一个概述,旨在分类和联系这些研究流。我们强调了有关竞争优势的本质(先发优势vs后发优势)、信息披露方式、企业异质性、资本增量规模和竞争企业数量的管理见解。
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Strategic Investment Under Uncertainty: A Synthesis
Investment is a central theme in economics, finance, and operational research. Traditionally, the focus of analysis has been either on assessing the value of flexibility (investment under uncertainty) or on describing commitment effects in competitive settings (industrial organization). Research contributions addressing the intersection of investment under uncertainty and industrial organization have become numerous in recent years. In this paper, we provide an overview aimed at categorizing and relating these research streams. We highlight managerial insights concerning the nature of competitive advantage (first- versus second-mover advantage), the manner in which information is revealed, firm heterogeneity, capital increment size, and the number of competing firms.
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