Description |
1 online resource (viii, 243 pages) : illustrations |
Series |
Gabler research |
Contents |
The Mutual Fund Industry -- Research Set Up -- Basic Thinking in Industrial Dynamics and Market Evolution -- Theoretical Model: Industrial Dynamics and Organizational Responsiveness -- Gradual Innovation Perspective: Measuring Industrial Dynamics in Mutual Fund Markets -- Disruptive Innovation Perspective: Why Do Electronic Markets not yet Prevail? -- Operational Risk Perspective: Governance Across the Widening Disintermediation Gap -- A Conclusion from a Practitioners' Perspective |
Summary |
The asset management, and more specifically the mutual fund industry, is facing major strategic challenges. Although the market is growing overall, its growth attracts a steady stream of new entrants and new products that jeopardize the position and profitability of (large) incumbent firms. In order to cope with this setting, Andreas Mattig focuses on a holistic market model to sketch the mutual fund industry structure. This allows to propose a new measurement approach and to track the industrial dynamics. Based on these theoretical contributions, he concentrates on governance aspects and moulds the results into a practice-oriented strategic framework |
Notes |
Diss.-- St. Gallen University, 2009 |
Bibliography |
Includes bibliographical references |
Notes |
Abstract in German and English |
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Print version record |
Subject |
Mutual funds.
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Economie de l'entreprise.
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Science économique.
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Affaires.
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Mutual funds
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Genre/Form |
dissertations.
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Academic theses
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Academic theses.
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Thèses et écrits académiques.
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Form |
Electronic book
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ISBN |
9783834983510 |
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3834983519 |
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3834919381 |
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9783834919380 |
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