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当前,全球宏观环境变化频繁而剧烈,政治、经济、社会、技术、价格等风险因素不断增加,企业决策的变量更加复杂,全球石油公司TOP50中有近70%的公司采用投资组合法进行投资决策、资源配置及战略筛选,相对于传统的“滚动”规划方法,投资组合法能够相对较快地对潜在投资项目进行多因素分析,并制定多情景假设的战略规划方案,为管理层决策
At present, the global macro-environment changes frequently and drastically. The risk factors such as politics, economy, society, technology and price are increasing, and the variables of corporate decision-making are more complicated. Nearly 70% of global TOP50 oil companies use the investment portfolio approach to make investment decisions , Resource allocation and strategic screening. Compared with the traditional “rolling” planning method, the portfolio method can relatively quickly analyze the potential investment projects by multivariate analysis and make strategic planning scenarios with multiple scenario assumptions, which can be used for management decision-making