补充管道:优化新项目的采购的定量方法
Stig Johan Wiklund1, Magnus Önnheim2, Magnus Ytterstad1
1Captario, Göteborg, Sweden.
Pharmaceutical statistics
|June 1, 2023
概括
本研究介绍了药品投资组合管理的前性定量模型. 它优化了新项目的选择,时间和类型,以确保所需的收入增长和强大的开发管道.
科学领域:
- 制药行业 制药行业 制药行业
- 运营研究 运营研究
- 战略管理的战略管理.
背景情况:
- 制药公司管理各种资产组合,包括产生收入的产品和研发项目.
- 研究和开发预算往往受到限制,需要仔细选择项目以与财务资源保持一致.
- 目前的方法往往侧重于在预算限制内选择现有项目的子集.
研究的目的:
- 倡导制药投资组合决策中的前性战略.
- 开发一个定量模型来评估新项目的必要性,以实现收入增长目标.
- 为投资组合管理,优先级和优化提供积极的框架.
主要方法:
- 开发一个定量模型来评估未来的项目流入需求.
- 优化方法的应用,以确定最佳的新项目的数量,时间和类型.
- 将收入增长愿望纳入投资组合决策过程.
主要成果:
- 该模型可以评估未来项目对持续收入的需求.
- 优化技术可以识别为投资组合增强的最佳项目补充.
- 促进对研发管道管理和收入流安全的积极方法.
结论:
- 拟议的方法支持战略决策,以确保未来的收入.
- 定量洞察力指导主动的投资组合管理和研发投资.
- 该模型有助于平衡当前的研发限制与长期收入目标.
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