Changes

Jump to navigation Jump to search
90 bytes added ,  22:49, 3 December 2014
Line 48: Line 48:  
Broadbent, M., Weill, P and Neo, B. S. (1999). Strategic context and patterns of infrastructure capability. Journal of Strategic Information Systems, 8 (2): 157-187.
 
Broadbent, M., Weill, P and Neo, B. S. (1999). Strategic context and patterns of infrastructure capability. Journal of Strategic Information Systems, 8 (2): 157-187.
   −
Broadbent, M., Weill, P. and St Clair, D. (1999). The implications of information technology infrastructure for business process redesign. MIS Quarterly, 23 (2): 159-182.
+
Broadbent, M., Weill, P. and St Clair, D. (1999). [http://inn.colorado.edu/Details/Paper/12078 The implications of information technology infrastructure for business process redesign]. MIS Quarterly, 23 (2): 159-182.
    
Cameron, B. IT (2005). Portfolio Management: Implications for IT Strategic Alignment. In: Americas Conference on Information Systems (AMCIS), Omaha.
 
Cameron, B. IT (2005). Portfolio Management: Implications for IT Strategic Alignment. In: Americas Conference on Information Systems (AMCIS), Omaha.
Line 77: Line 77:  
Verhoef, C. (2002). Quantitative IT portfolio management. Science of Computer Programming, 45 (1): 1-96.
 
Verhoef, C. (2002). Quantitative IT portfolio management. Science of Computer Programming, 45 (1): 1-96.
   −
Weill, P. (1992). The relationship between investment in information technology and firm performance: a study of the valve manufacturing sector. Information Systems Research, v. 3, n°. 4, p. 307-333.  
+
Weill, P. (1992). [http://inn.colorado.edu/Details/Paper/6669 The relationship between investment in information technology and firm performance: a study of the valve manufacturing sector]. Information Systems Research, v. 3, n°. 4, p. 307-333.  
    
Weill, P. and Aral, S. (2006) Generating Premium Returns on Your IT Investments. MIT Sloan Management Review, 47, 2, 38-48.
 
Weill, P. and Aral, S. (2006) Generating Premium Returns on Your IT Investments. MIT Sloan Management Review, 47, 2, 38-48.
Line 90: Line 90:     
Wehrmann, A.; Heinrich, B. and Seifert, F. (2006). Quantitatives IT-Portfoliomanagement: Risiken von IT-Investitionen wertorientiert steuern. Wirtschaftsinformatik, v. 48, nº. 4, p. 234- 245.
 
Wehrmann, A.; Heinrich, B. and Seifert, F. (2006). Quantitatives IT-Portfoliomanagement: Risiken von IT-Investitionen wertorientiert steuern. Wirtschaftsinformatik, v. 48, nº. 4, p. 234- 245.
      
== Links from this theory to other theories ==
 
== Links from this theory to other theories ==
75

edits

Navigation menu