The research on diversification in portfolio management indicates that the best approach is probably ____.
1. related differentiation, 2. related diversification, 3. unrelated diversification, 4. Repositioning, 5. no diversification
Imagine Dow Chemical is conducting a situational analysis. According to its sales, Dow is the second largest chemical company in the world. BASF is the largest. Both companies use a similar strategy. Within Dow's situational analysis, BASF would be classified as a ____. 1. cash cow, 2. primary firms, 3. unrelated firm, 4. core firm, 5. secondary firm