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Risk Management and Business Strategy of Mitsubishi Corporation

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dc.contributor.advisor김현철-
dc.contributor.author한지명-
dc.date.accessioned2017-07-19T04:25:50Z-
dc.date.available2017-07-19T04:25:50Z-
dc.date.issued2017-02-
dc.identifier.other000000140727-
dc.identifier.urihttps://hdl.handle.net/10371/129231-
dc.description학위논문 (석사)-- 서울대학교 대학원 : 국제학과(국제협력전공), 2017. 2. 김현철.-
dc.description.abstractA GTC or Sogo Shosha in Japanese is a unique business that only exists in Korea and Japan. Japanese GTCs used to be trading companies whose profits mainly come from trading commission. However, from 1990s, they transformed into investing companies. Among those GTCs, Mitsubishi Corporation used to be a top Japanese General Trading Companies (below GTCs) until 2015. However, suddenly net profit of Mitsubishi Corporation plummeted in March, 2016, and recorded first and worst deficit ever. From these facts, two interesting questions comes up. First, what made Mitsubishi Corporation so prosperous until 2015? Second, what made that prosperous company to suddenly plummet in 2016?
The answer for the first question can be found in the business strategy of Mitsubishi Corporation. Mitsubishi Corporation has four main strategies that has been developing since its establishment
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dc.description.abstractthe diversification of business division or items, the diversification of functions, aggressive overseas expansion and the completion of value chains. Each strategy is adopted during respective periods, or in 3 different stages in this research. The important point is that all these strategies were made in the course of adaptation to the external environment. To look deeply into the backgrounds of this strategy development, this research deals with the whole business history of Mitsubishi Corporation from the very beginning.
Despite these overwhelming strategies, Mitsubishi Corporation had constantly showed its weakness in risk management. This research has found out 3 different loopholes in the companys risk management system. Firstly, Mitsubishi Corporation showed that it lacks holistic view in risk management especially during the dissolution period in 1945. Second, it lacked the capability to deal with non-financial risks. Thirdly and lastly, the company needs long term perspective in risk management. These loopholes must be partial, which means there is a high possibility that Mitsubishi Corporation need to complement its risk management system more firmly and thoroughly.
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dc.description.tableofcontentsI. Introduction 1
1. Japanese General Trading Company 1
2. Why Mitsubishi Corporation 3
II. Literature Review 6
1. The Diversification of Products and Business Divisions 7
2. The Diversification of Functions 10
3. Overseas Expansions 12
4. Value Chain 12
5. Risk Management 13
6. Tendency of Prior Research and Lacking Part 14
III. Research Design 16
1. Research Question 16
2. Contingency Theory 16
3. Contingency Theory and Strategy 19
4. Contingency Theory and Risk Management 20
5. Risk Management and Strategy 21
6. Research Model 22
7. Hypothesis 24
IV. The Development of Mitsubishi Corporations and its Business Adaptive Strategy 26
1. Stage 1 (1870-1945) 26
1-1. The Creation of the Mitsubishi (Conglomerate) Company 27
1-2. Being General Trading Company after WWI 29
1-3. Analysis on Stage 1 33
2. Stage 2 (1946-1985) 38
2-1. Consolidation of Mitsubishi Corporation after the Dissolution of Conglomerates 40
2-2. The Postwar Revival and Rapid Growth Period in 1950s 41
2-3. Rapid Growth Period in 1960s and the Idea of Decline of GTCs 43
2-4. Mitsubishi Corporation in The Era of Winter and Oil Crisis in 1970s - Early 80s 45
2-5. Analysis on Stage 2 52
3. Stage 3 (1986-2015) 55
3-1. Bubble Economy and the Collapse of it in late 1980s 55
3-2. The Lost 10 years in 1990s and Change in Risk Management in 2000 58
3-3. Mitsubishi Corporation and the Change in Its Risk Management in 2000 64
3-4. Recent Decline of the Mitsubishi Corporation in 2016 69
3-5. Analysis on Stage 3 71
V. Conclusion 75
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dc.formatapplication/pdf-
dc.format.extent2407296 bytes-
dc.format.mediumapplication/pdf-
dc.language.isoen-
dc.publisher서울대학교 대학원-
dc.subjectJapanese General Trading Company-
dc.subjectMitsubishi Corporation-
dc.subjectContingency Theory-
dc.subjectBusiness Strategy-
dc.subjectRisk Management-
dc.subject.ddc327-
dc.titleRisk Management and Business Strategy of Mitsubishi Corporation-
dc.typeThesis-
dc.description.degreeMaster-
dc.citation.pages87-
dc.contributor.affiliation국제대학원 국제학과(국제협력전공)-
dc.date.awarded2017-02-
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