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首页> 外文期刊>International Journal of Quality & Reliability Management >Risk management in a multi-project environment An approach to manage portfolio risks
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Risk management in a multi-project environment An approach to manage portfolio risks

机译:多项目环境中的风险管理一种管理投资组合风险的方法

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Purpose--The purpose of this paper is to identify differences in managing a single project compared with that of a project portfolio, where focus and requirements are expanded, and where clear links to organizational objectives exist. Further, the aim is to propose a methodology for the management of risk within the context of a project portfolio. Design/methodology/approach--The concepts and framework described in this paper have emerged primarily from an in-depth action research study in a major provider of transport solutions. The work has been conducted within one division, with presence in most of mainland Europe, Scandinavia, and the UK. Findings--The paper finds that the proposed methodology would manage portfolio risk in two ways. First, it provides a means for single projects to gain experiences from other projects within the portfolio. Second, portfolio common risks and trends of issues can be identified. Such risks can become risks for succeeding projects, or require action from outside the single project. Research limitations/implications--The paper shows that the pilot study consisted of 16 projects within one project portfolio. Other project portfolios, with other prerequisites, might result in different findings, since some factors not included in this research such as cultural aspects or organizational factors could affect the findings. Practical implications--In this paper the identification and analysis of commonalities and risk trends between projects provide the possibility to manage risks from a portfolio perspective. Originality/value--The paper sees that existing risk management processes do not support projects in managing risk within a project portfolio. Instead, the proposed methodology provides the project portfolio manager with a consolidated view of the total risk exposure within the portfolio. Additionally, this methodology finds risks and trends not otherwise possible to identify.
机译:目的-本文的目的是确定与范围内的重点和需求以及与组织目标有明确链接的项目组合相比,管理单个项目的差异。此外,目标是提出一种在项目组合范围内进行风险管理的方法。设计/方法/方法-本文中描述的概念和框架主要来自对运输解决方案的主要提供商进行的深入的行动研究。该工作在一个部门内进行,遍及欧洲大陆,斯堪的纳维亚半岛和英国的大部分地区。结论-本文发现拟议的方法将以两种方式管理投资组合风险。首先,它为单个项目提供了一种从投资组合中的其他项目中获得经验的方法。其次,可以确定投资组合的共同风险和问题趋势。此类风险可能会成为后续项目的风险,或者需要单个项目外部采取行动。研究的局限性/含意-该文件显示该试点研究由一个项目组合中的16个项目组成。具有其他先决条件的其他项目组合可能会导致不同的发现,因为本研究中未包括的某些因素(例如文化方面或组织因素)可能会影响发现。实际意义-在本文中,对项目之间的共性和风险趋势的识别和分析为从投资组合角度管理风险提供了可能性。原创性/价值-本文认为现有风险管理流程不支持项目管理项目组合中的风险。相反,所提出的方法为项目组合经理提供了组合内总风险敞口的综合视图。此外,这种方法发现了无法识别的风险和趋势。

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