Toward Enterprise Approach for Project Portfolio Risk Management

M. Breault, Simon Cleveland
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引用次数: 1

Abstract

Extant literature suggests that organizations struggle with risk evaluation as part of their project portfolio selection. The lack of intentional intervention on the part of portfolio leadership, risk management processes, and practices executed by individual projects may not support optimal risk management at the portfolio level. As a result, portfolio managers are tasked with the identification of common risks and opportunities across projects and are required to respond with strategies that are beyond the scope of a project manager's authority. To address the problem, this study identifies the gaps in the extant literature in portfolio approaches to project risk management, recommends techniques for managing common project risks collectively at the portfolio level, and emphasizes the role of the organization in fostering effective risk management at the project level, particularly in the realm of data governance.
面向项目组合风险管理的企业方法
现存的文献表明,作为项目组合选择的一部分,组织与风险评估斗争。在项目组合领导、风险管理过程和由单个项目执行的实践方面缺乏有意的干预可能不支持项目组合级别的最佳风险管理。因此,项目组合经理的任务是识别跨项目的共同风险和机会,并且需要使用超出项目经理权限范围的策略进行响应。为了解决这个问题,本研究确定了项目风险管理的项目组合方法的现有文献中的差距,推荐了在项目组合级别上集体管理共同项目风险的技术,并强调了组织在项目级别上促进有效风险管理的作用,特别是在数据治理领域。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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