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121.
Conclusion The model estimated in this paper shows that foreign trade has an impact on the industrial relations process in the domestic
market. The impact of trade on industrial conflict, however, is not uniform across all manufacturing industries. Stratifying
the manufacturing sector by net exports shows that where import penetration is a problem for the industry, labor and management
have modified their relationship in ways that have reduced the incidence of formal strikes. When strikes do occur, however,
the state of the economy is an important determinant of the action. In those industries where import penetration is not substantial,
strike events are not influenced significantly by the state of the economy. 相似文献
122.
Verizon HR has effectively designed and implemented a strategic management system, which is based upon the balanced scorecard model of Dr. David Norton and Dr. Robert Kaplan of Harvard Business School. The HR Balanced Scorecard was conceived with New Economy organizational dynamics in mind. The scorecard uses a broad range of “leading and lagging” indicators—overall strategy, operational processes, customer perceptions, and financials to evaluate the effectiveness of HR initiatives to the bottom line. The HR Balanced Scorecard provides the means to monitor workforce indicators, analyze workforce statistics, diagnose workforce issues, calculate the negative financial impact, prescribe solutions, and track improvements. © 2001 John Wiley & Sons, Inc. 相似文献
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124.
Randall D. Harris 《Journal of Management Studies》2004,41(5):857-882
ABSTRACT The organizational task environment (OTE) construct is evaluated using a large, independent sample. A general measurement model for three latent variables, munificence, dynamism and complexity is constructed for confirmatory factor analysis. This model is then tested for both convergent and discriminant validity using a multitrait‐multimethod matrix approach. The OTE model in this study demonstrates convergent validity, but it does not exhibit discriminant validity. The results of this study do not provide support for one of the key components of construct validity. Measurement issues are discussed, as well as the implications of this study for the organizational theory and strategic management disciplines. 相似文献
125.
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127.
In this paper, an alternative to the capitalization approach to testing the Tiebout model is presented. The Tiebout foot voting mechanism suggests that households will sort and stratify into (approximately) homogeneous local public goods jurisdictions. At a point in time, the efficiency of the sort will be positively related to the number of existing jurisdictions. Using a measure of homogeneity introduced by Theil, the relationship between stratification (homogeneity within jurisdiction) and number of jurisdictions is tested. For a sample of school districts within 33 SMSAs, the Tiebout stratification hypothesis is confirmed. 相似文献
128.
129.
J. Randall Woolridge 《The Journal of Financial Research》1983,6(1):1-12
This study analyzes stock dividends as signals from managers. It is argued that in the presence of information asymmetries between managers and investors, stock dividends provide a relatively inexpensive and unambiguous signalling device. Based on an examination of the daily returns around 317 stock dividend announcements, it is concluded that these announcements are interpreted by investors as signals from managers. Further analysis also indicates that stock dividend size is positively related to announcement day returns. 相似文献
130.
Randall L. McFadden 《International Advances in Economic Research》2008,14(2):142-155
This paper presents a study of potential outcomes of bank growth. Banks grow by expanding market presence within the geographic
region within which they are domiciled and by expanding presence into other regions via new implantations. Growth leads to
improved diversification, but also results in an increase in the risk of catastrophe that a bank’s failure may engender. The
conclusion is that there will exist a threshold size of bank at which the rate of growth in its systemic risk exceeds the
rate of decline in its risk of insolvency. An empirical study of US bank call report data provides results that are consistent
with the theory presented in the first part of the paper.
相似文献
Randall L. McFaddenEmail: |