Key Performance Indicators as a Business Strategy Tool during the Global Crisis Period
Identifikátory výsledku
Kód výsledku v IS VaVaI
<a href="https://www.isvavai.cz/riv?ss=detail&h=RIV%2F70883521%3A28120%2F12%3A43868783" target="_blank" >RIV/70883521:28120/12:43868783 - isvavai.cz</a>
Výsledek na webu
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DOI - Digital Object Identifier
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Alternativní jazyky
Jazyk výsledku
angličtina
Název v původním jazyce
Key Performance Indicators as a Business Strategy Tool during the Global Crisis Period
Popis výsledku v původním jazyce
The main aim of this contribution was to find the answer to the question whether the accepted whole-concern strategy is suitable in the times of global crisis for all chosen subsidiary companies and what is the relationship like between realization of this strategy and macro surrounding. This investigation was based on the development of performance indicator values of individual concern companies from automotive sector and selected macro-indicator in the time connected with the past financial and economic crisis. In the contribution an elementary analysis of time line characteristics of chosen Key Performance Indicators (Result Indicators) was carried out within the set period. With the help of regress and correlation analysis there was further researched the relationship among chosen indicator of company performance reciprocally with all companies, concern as a whole and chosen macro-indicator representing development of the biggest markets. For the following calculation of tested cr
Název v anglickém jazyce
Key Performance Indicators as a Business Strategy Tool during the Global Crisis Period
Popis výsledku anglicky
The main aim of this contribution was to find the answer to the question whether the accepted whole-concern strategy is suitable in the times of global crisis for all chosen subsidiary companies and what is the relationship like between realization of this strategy and macro surrounding. This investigation was based on the development of performance indicator values of individual concern companies from automotive sector and selected macro-indicator in the time connected with the past financial and economic crisis. In the contribution an elementary analysis of time line characteristics of chosen Key Performance Indicators (Result Indicators) was carried out within the set period. With the help of regress and correlation analysis there was further researched the relationship among chosen indicator of company performance reciprocally with all companies, concern as a whole and chosen macro-indicator representing development of the biggest markets. For the following calculation of tested cr
Klasifikace
Druh
D - Stať ve sborníku
CEP obor
AE - Řízení, správa a administrativa
OECD FORD obor
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Návaznosti výsledku
Projekt
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Návaznosti
S - Specificky vyzkum na vysokych skolach
Ostatní
Rok uplatnění
2012
Kód důvěrnosti údajů
S - Úplné a pravdivé údaje o projektu nepodléhají ochraně podle zvláštních právních předpisů
Údaje specifické pro druh výsledku
Název statě ve sborníku
Advances in Economics, Risk Management, Political and Law Science
ISBN
978-1-61804-123-4
ISSN
2227-460X
e-ISSN
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Počet stran výsledku
6
Strana od-do
136-141
Název nakladatele
WSEAS Press
Místo vydání
Praha
Místo konání akce
Zlín
Datum konání akce
20. 9. 2012
Typ akce podle státní příslušnosti
EUR - Evropská akce
Kód UT WoS článku
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