Formulating optimal R&D portfolios

被引:16
|
作者
Graves, SB [1 ]
Ringuest, JL
Case, RH
机构
[1] Boston Coll, Carroll Sch Management, Chestnut Hill, MA 02167 USA
[2] Boston Coll, Grad Sch Management, Chestnut Hill, MA 02167 USA
[3] Boston Coll, Dept Operat & Strateg Management, Chestnut Hill, MA 02167 USA
关键词
D O I
10.1080/08956308.2000.11671357
中图分类号
F [经济];
学科分类号
02 ;
摘要
R&D managers continue ro report their dissatisfaction with currently-available R&D portfolio management models and the need for better and simpler modeling approaches. This article presents a simple, yet theoretically rigorous, method for designing optimal R&D portfolios, those that minimize risk for a given level ofrefzlm. The model requires only the assumption that the relevant decision makers are risk-averse a commonly accepted proposition. The model requires as input only an estimate of the probability of success for each project and an estimate of the financial return in case of success and failure. Finally, the model can be executed using only an ordinary EXCEL spreadsheet. The straightforward approach illustrated here should add considerable power and rigor to the design of optimal R&D portfolios.
引用
收藏
页码:47 / 51
页数:5
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