Abstract
The growing U.S. trade deficit with Japan has provided the motivation for a number of comparative studies of U.S. and Japanese business firms in recent years. In this study, the financial characteristics of U.S. and Japanese electronics firms are compared using the multivariate analysis of variance (MANOVA) method. The findings indicate that the financial characteristics of U.S. and Japanese electronics firms are significantly different.
Original language | English (US) |
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Pages (from-to) | 175-185 |
Number of pages | 11 |
Journal | Asia Pacific Journal of Management |
Volume | 17 |
Issue number | 1 |
DOIs | |
State | Published - 2000 |
All Science Journal Classification (ASJC) codes
- Business and International Management
- Economics, Econometrics and Finance (miscellaneous)
- Strategy and Management