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Positioning the learning asset portfolio as a key component in an organization's enterprise risk management strategy

机译:将学习资产组合定位为组织的企业风险管理策略的关键组成部分

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摘要

This article presents a process for valuing a portfolio of learning assets used by line executives across industries to value traditional business assets. Embedded within the context of enterprise risk management, this strategic asset allocation process is presented step by step, providing readers the operational considerations to implement this program within their organization to enhance performance improvement. At the individual initiative level, readers will recognize elements used in developing retrospective return on investments (ROIs) for learning programs.
机译:本文介绍了一种评估学习资产组合的过程,这些学习资产被跨行业的高管用来评估传统业务资产。嵌入企业风险管理的环境中,逐步介绍了此战略资产分配过程,为读者提供了在组织内实施此计划以增强绩效的操作注意事项。在个人主动性层面上,读者将认识到用于开发学习计划的回顾性投资回报(ROI)的要素。

著录项

  • 来源
    《Performance Improvement》 |2009年第6期|p.16-24|共9页
  • 作者

    Peter J. McAliney;

  • 作者单位

    Chenery & Company, and the City University of New York;

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  • 原文格式 PDF
  • 正文语种 eng
  • 中图分类
  • 关键词

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