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Project portfolio management in financial services: aligning systems and climate

机译:金融服务中的项目组合管理:调整系统和环境

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摘要

While a number of studies have analysed portfolio management in goods firms, few have focused on the processes and practices within service firms. This research project investigated the attitudes, approach and practices geared towards project portfolio management (PPM) in UK-based financial service firms. An exploratory research approach is undertaken via in-depth interviews with key informants in 24 leading financial service companies. Data was also collected on the tools employed for PPM and the performance of the project portfolio. The results revealed considerable variation in the approach and effectiveness of PPM. There were clearly unresolved problems with PPM including PPM not being within the company's strategic context; firms being focused on managing project risk rather than building a balanced portfolio; a lack of understanding of project interdependencies and firms' reluctance to cancel projects once they have started.
机译:虽然许多研究分析了商品公司的资产组合管理,但很少有研究关注服务公司内部的流程和实践。该研究项目调查了英国金融服务公司针对项目组合管理(PPM)的态度,方法和实践。探索性研究方法是通过与24家领先金融服务公司中的关键信息提供者进行深入访谈来进行的。还收集了有关PPM使用的工具和项目组合绩效的数据。结果表明,PPM的方法和有效性存在很大差异。 PPM显然存在未解决的问题,包括PPM不在公司的战略范围内;公司专注于管理项目风险而不是建立平衡的投资组合;缺乏对项目相互依赖性的理解,并且公司不愿在项目开始后就取消项目。

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