Il-ġestjoni tal-R&D hija dwar tagħmel portfolio ta' bets bi livelli ta' riskju intenzjonali, filwaqt li titħaffef dak l-investiment milli jinqata' mill-konsenja ta' kuljum. Ma tistax tgarantixxi r-rizultati, allura timmaniġġa l-portfolio u l-proċess.
Kif taħseb dwaru
R&D PORTFOLIO APPROACH
- Spread bets across risk: safe / moderate / moonshot
- Stage-gate: small experiments, double down on what works, kill the rest fast
- Time-box and set clear hypotheses for each bet
- Separate funding/teams so R&D is not raided for delivery
- Measure learning, not just immediate ROI
Ittratta l-R&D bħal : ħafna bets żgħar, qatla malajr, u rebħat kbar ftit, minflok tistonna li kull proġett jippa'.
