Extent:
Online-Ressource (XXXV, 595p. 53 illus, digital)
Series:
Type of publication: Book / Working Paper
Type of publication (narrower categories): Aufsatzsammlung ; Bibliografie
Language: English
Notes:
Description based upon print version of record
4.2.3 Criteria to Evaluate the Risk of Key Informant and Common Method Bias4.3 Conducting Multi-Informant Studies; 4.3.1 Types of Designs; 4.3.2 Data Collection Procedure; 4.4 Assessing the Quality of Multi-Informant Data; 4.4.1 Overview of Key Methods; 4.4.2 Recommended Procedure; 4.5 Analysis of Multi-Informant Data; 4.5.1 Choice of the Level of Analysis; 4.5.2 Identification of the Final Sample; 4.5.3 Data Aggregation; 4.6 Conclusion and Recommendations; 5 Using Artificial Neural Nets for Flexible Aggregate Market Response Modeling; 5.1 Introduction; 5.2 Multilayer Perceptron
5.3 Model Estimation5.4 Evaluating Model Performance; 5.5 Model Interpretation; 5.6 Empirical Studies; 5.7 Conclusions; 6 Supporting Strategic ProductPortfolio Planning by MarketSimulationThe Case of the Future PowertrainPortfolio in the Automotive Industry; 6.1 Introduction; 6.2 Planning the Future Powertrain Portfolio in the Automotive Industry; 6.2.1 Strategic Product Portfolio Planning in the Automotive Industry; 6.2.2 Strategic Product Portfolio Planning With Alternative Powertrains on the Rise; 6.2.3 Requirements on a Decision Support
Preface and Overview; Table of Contents; List of Authors; Introduction; 1 In Honor of Udo Wagner, Professor at the University of Vienna, Austria; 1.1 Education and Academic Career; 1.2 Global Scholarly Activities; 1.3 Honors and Awards; 1.4 Contributions to Marketing Science; 1.4.1 Research Foci; 1.4.2 Marketing Models; 1.4.3 Marketing Management; 1.5 Looking to the Future; Literature; Marketing Models and Marketing Research Methods; 1 Implementing the Pareto/NBD Model: A User-Friendly Approach; 1.1 Introduction; 1.2 The Pareto/NBD Model; 1.2.1 Assumptions and Implications
1.2.2 The Special Cases1.3 The Estimating Equation, the Data and the Results; 1.3.1 The Estimating Equation; 1.3.2 The Data and the Results; 1.4 Conclusion; 2 The Consistency Adjustment Problem of AHP Pairwise Comparison Matrices; 2.1 Introduction; 2.2 Consistency: Measurement and Adjustment; 2.2.1 Background; 2.2.2 Consistency Adjustment Approaches; 2.3 Simulation Study; 2.3.1 Correlation as Performance Measure for Consistency Adjustments; 2.3.2 Simulating Inconsistency of Comparison Matrices; 2.3.3 Simulation Results; 2.4 Conclusions
3 Choice Modeling and SEM Integrating Two Popular Modeling Approaches in Empirical Marketing Research3.1 Overview; 3.2 Integrated Choice and Latent Variable Models in the Hybrid Choice Framework; 3.2.1 The General Model; 3.2.2 Model Specification; 3.2.3 Estimation Approaches; 3.3 Empirical Application of an ICLV Model; 3.3.1 Hypotheses; 3.3.2 Data and Methods; 3.3.3 Results; 3.4 Summary and Outlook; 4 Using Multi-Informant Designs to Address Key Informant and Common Method Bias; 4.1 Introduction; 4.2 Key Informant and Common Method Bias; 4.2.1 Conceptual Background; 4.2.2 Empirical Evidence
6.3 Market Simulation to Support Strategic Portfolio Planning
ISBN: 978-3-8349-3722-3 ; 1-299-33659-0 ; 978-1-299-33659-9 ; 978-3-8349-3060-6
Other identifiers:
10.1007/978-3-8349-3722-3 [DOI]
Classification: Marketing
Source:
ECONIS - Online Catalogue of the ZBW
Persistent link: https://www.econbiz.de/10014016437