Richard A. Bettis
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Richard A. Bettisbusiness Degrees
Business
#131
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#147
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Accounting
#65
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#78
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Management
#112
World Rank
#121
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Why Is Richard A. Bettis Influential?
(Suggest an Edit or Addition)According to Wikipedia, Richard A. Bettis is the Ellison Distinguished Professor of Strategy and Entrepreneurship at the Kenan-Flagler Business School, University of North Carolina at Chapel Hill. He is known for his work on corporate strategy, global business strategy and strategic management. He is a former president of the Strategic Management Society and was the Co-Editor of Strategic Management Journal from 2007-2015.
Richard A. Bettis's Published Works
Published Works
- The dominant logic: A new linkage between diversity and performance (1986) (2888)
- THE DOMINANT LOGIC: RETROSPECTIVE AND EXTENSION (1995) (1340)
- The new competitive landscape (1995) (827)
- Dynamic Core Competences through Meta-Learning and Strategic Context (1996) (722)
- Performance differences in related and unrelated diversified firms (1981) (634)
- Outsourcing and industrial decline (1992) (590)
- Diversification Strategy, Accounting Determined Risk, and Accounting Determined Return (1982) (430)
- Risk/Return Performance of Diversified Firms (1985) (340)
- Strategy formulation processes: Differences in perceptions of strength and weaknesses indicators and environmental uncertainty by managerial level (1987) (300)
- Changes in Graduate Management Education and New Business School Strategies for the 21st Century (2003) (288)
- Boards of Directors, Top Management Compensation, and Shareholder Returns (1987) (227)
- Modern Financial Theory, Corporate Strategy and Public Policy: Three Conundrums (1983) (223)
- Strategic Management and the Straightjacket: An Editorial Essay (1991) (204)
- The necessity, logic, and forms of replication (2016) (166)
- Strategic responsiveness and Bowman's risk–return paradox (2007) (164)
- Creating repeatable cumulative knowledge in strategic management (2016) (163)
- Quantitative empirical analysis in strategic management (2014) (159)
- Country risk measures: how risky are they? (2001) (153)
- Doctoral Education in the Field of Business Policy and Strategy (1990) (136)
- The search for asterisks: Compromised statistical tests and flawed theories (2012) (128)
- Cash is surprisingly valuable as a strategic asset (2014) (117)
- The adoption of the M-form organizational structure: a test of imitation hypothesis (1988) (100)
- Adaptive aspirations: performance consequences of risk preferences at extremes and alternative reference groups (2011) (95)
- Adaptive Aspirations and Performance Heterogeneity: Attention Allocation Among Multiple Reference Points (2015) (87)
- Responding to Rivals and Complements: How Market Concentration Shapes Generational Product Innovation Strategy (2010) (77)
- Financial returns and strategic interaction: The case of instant photography (1987) (69)
- Risk, strategy, and management (1990) (63)
- Risk Considerations in Modeling Corporate Strategy. (1982) (63)
- Strategic Portfolio Management in the Multibusiness Firm (1981) (57)
- Qualitative empirical research in strategic management (2015) (55)
- Theory in strategic management (2014) (50)
- The CEO performance effect: Statistical issues and a complex fit perspective (2012) (48)
- Exploring Depth Versus Breadth in Knowledge Management Strategies (2002) (45)
- Organizationally Intractable Decision Problems and the Intellectual Virtues of Heuristics (2017) (44)
- Conflict Inside and Outside: Social Comparisons and Attention Shifts in Multidivisional Firms (2017) (43)
- Dominant Logic, Knowledge Creation, and Managerial Choice (2015) (38)
- Commentary on''redefining industry structure for the information age''by J (1998) (38)
- The business portfolio approach—Where it falls down in practice (1983) (37)
- Strategic Momentum (2013) (35)
- Exploring longitudinal risk‐return relationships (2015) (27)
- Surviving the Bulls and the Bears: Robust Strategies and Shareholder Wealth (2003) (22)
- The visible and the invisible hand: Resource allocation in the industrial sector (1983) (21)
- Multiple Organization Goals with Feedback from Shared Technological Task Environments (2018) (19)
- The iron cage is emptying the dominant logic no longer dominates (2000) (16)
- Strategic Reality Today: Extraordinary Past Success, but Difficult Challenges Loom (2020) (15)
- Strategic Implications of Valuation: Evidence from Valuing Growth Options (2007) (12)
- Strategic Momentum: How Experience Shapes Temporal Consistency of Ongoing Innovation (2013) (9)
- SMJ 1995 BEST PAPER PRIZE TO DANNY MILLER (1996) (8)
- Market Discipline and the Discipline of Management (1990) (8)
- The Trans Effect:: A Guided-Inquiry Experiment for Upper-Division Inorganic Chemistry (2009) (8)
- Strategy in Transition (2004) (8)
- Implementing the Portfolio (SBU) Concept (1980) (8)
- Decentralization, managerial ambiguity by design, Richard F. Vancil Dow Jones‐Irwin, Homewood Illinois, 1979. No. of pages: 393. Price: $21.85 (1980) (7)
- Risks and Industry Effects in Large Diversified Firms. (1981) (7)
- Bounded Rationality, Heuristics, Computational Complexity, and Artificial Intelligence (2018) (7)
- Strategic management in the multibusiness firm : implementing the portfolio concept (1979) (6)
- Measurement of Automotive Passby Noise (1972) (6)
- Strategic implications of valuation methods (2003) (6)
- Measuring the Financial Impact of Strategic Interaction: The Case of Instant Photography (1985) (3)
- The Effect of Test‐Site Topography in Vehicle Noise Measurements (1973) (3)
- The Risk-Return Outcomes of Strategic Responsiveness (2014) (3)
- Diversity and Performance: The Elusive Linkage (1983) (2)
- Firm Performance Measurement Using Trend, Cyclical, and Stochastic Components (1984) (2)
- Assessing the Impact of Market Interventions on Firm's Performance (1984) (2)
- Managerial Perceptions and the Normative Model of Strategy Formulation (1984) (1)
- The Risk-Return Effects of Strategic Responsiveness: A Simulation Analysis (2006) (1)
- SMJ 1996 best paper prize to Marvin B. Lieberman and David B. Montgomery (1998) (1)
- Organization Structure and Financial Market Performance: A Preliminary Test (1985) (1)
- Adaptive Aspirations (2017) (1)
- Sourcing for Competitive Advantage (1989) (1)
- TEMPORAL ROUTINES FOR GENERATIONAL PRODUCT INNOVATION IN COMPUTER SOFTWARE (2004) (1)
- Prospectives section of Strategic Management Journal (2012) (1)
- Strategic Responsiveness and Risk-Return Relations (2005) (0)
- Effects of Learning in Environments Constrained by Bulls-eye Performance (2003) (0)
- Cages and logics (Hopefully not) the last word (2000) (0)
- The Role of Replication in Management Research (2014) (0)
- Institutional Knowledge at Singapore Management University Institutional Knowledge at Singapore Management University Cash is suprisingly valuable as a strategic asset Cash is suprisingly valuable as a strategic asset (2019) (0)
- Resource and Attention Adaptation after Crisis (2012) (0)
- Multiple Goals and Multiple Aspirations: New Questions, New Perspectives (2020) (0)
- The Effect of Performance Feedback on the Exploration and Exploitation Tradeoff (2017) (0)
- Strategic Renewal via Generational Product Innovation : The Impact of Market Concentration on Firms ’ Responsiveness to Competitive and Complementary External Events (2007) (0)
- Organizational Risk Taking and Behavioral Strategy (2012) (0)
- HETEROGENEITY IN ADAPTIVE ASPIRATIONS AND REFERENCE GROUPS (2011) (0)
- Organizational inertia within the united states personal computer industry: attributes related to the adoption of internet direct sales channels between 1996 and 1999 (2002) (0)
- Allocating Corporate Resources: The Need for New Theory (2017) (0)
- Automobile Passby Noise Variability (1972) (0)
- Active Investors or Myopic Traders? The Role of Institutional Investors during a Merger Wave (2015) (0)
- Cognition in Complex Organizations (2013) (0)
- 1-1-1980 Implementing the Portfolio ( SBU ) Concept (2018) (0)
- Managing Uncertainty: Tensions and Opportunities (2019) (0)
- Learning and Reporting after the Replication Crisis (2019) (0)
- The Nexus Between Artificial Intelligence and the Behavioral Theory of the Firm (2020) (0)
- Journal Editors' CSR Research Perspectives (2013) (0)
- Institutional Investors as a Factor in Accounting Fraud: A Theory and Test of Signal Interpretation (2015) (0)
- Structural Causal Modeling of Managerial Interventions: What If Managers Had Not Intervened by Doing This? (2022) (0)
- Introducing a Two-Reference Point Prospect Theory into Adaptive Aspirations (2009) (0)
- Organizational Decision-Making - Aggregating Individuals' Incentives and Information (2014) (0)
- Internal Capital Markets:Aligning Intra-Firm Resource Allocation with Market Opportunities (2015) (0)
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