投资组合战略和资源分配

Making the right choice to create the most value from a single asset can be very challenging. The challenge exponentiates when multiple assets are considered, all vying for a share of the available resources and championed by different stakeholders. Portfolio assets may differ in character, timing, novelty and application and yet value can only be maximized by comparing them on a common basis. EVERSANA provides framing, strategic perspective, analytic tools and assessment techniques based on our leaders’ 25 years of thought leadership. We apply these capabilities to define alternatives and make trade-offs explicit, helping internal stakeholders align on the best portfolio.

  • 战略框架: Define the purpose, perspective and scope of the portfolio strategy
  • 资源分配:资产表征与估值;方案定义、分析与结合;分配建议
  • 投资组合平衡: Asset characterization and clustering, analysis by parameter of timing, geography, therapy area, technology, risk and return
  • 投资组合决策流程: Process mapping and gap identification, process redesign, facilitation and training

Our leaders have supported many clients, from emerging to multinational biopharma and MedTech companies, in all regions including Europe in obtaining value boosts from their portfolios without increasing investment.

 

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