金融科技行业项目组合中风险管理有效性的决定因素

IF 2 Q2 BUSINESS, FINANCE Risks Pub Date : 2024-07-04 DOI:10.3390/risks12070111
Oliwia Khalil-Oliwa, Izabela Jonek-Kowalska
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引用次数: 0

摘要

项目组合中的风险管理有助于更有效地实现项目、组合和整个组织的目标。然而,在有关这一主题的文献中,对这一过程的决定因素关注相对较少。此外,也很少从与整个组织相关的战略角度来分析这一过程。出于这些原因,本文的主要目标是确定项目组合中风险管理有效性的决定因素。在金融科技行业开展了这方面的研究,并使用结构方程模型对研究结果进行了分析。结果表明,所研究的有效性最重要的维度是组织的战略导向和项目组合中的风险管理流程。在战略导向层面,这凸显了组织战略与项目组合之间协调一致的必要性。在项目组合的风险管理方面,对单个风险的所有权和控制的优先性显而易见。
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Determinants of the Effectiveness of Risk Management in the Project Portfolio in the FinTech Industry
Risk management in the project portfolio can contribute to more effective implementation of the goals of the projects, the portfolio, and the entire organization. However, in the literature on the subject, relatively little attention is paid to the determinants of this process. Moreover, the process course is rarely analyzed in a strategic context relating to the entire organization. For these reasons, this article’s primary goal is to identify the determinants of the effectiveness of risk management in the project portfolio. Research in this area was carried out in the FinTech industry, and the results were analyzed using structural equation modeling. The results indicated that the most important dimensions of the examined effectiveness are the strategic orientation of the organization and the risk management process in the project portfolio. At the level of strategic orientation, this highlights the need for coherence between the organization’s strategy and the project portfolio. At the level of risk management in the project portfolio, the primacy of ownership and control of individual risks is clearly visible.
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来源期刊
Risks
Risks Economics, Econometrics and Finance-Economics, Econometrics and Finance (miscellaneous)
CiteScore
3.80
自引率
22.70%
发文量
205
审稿时长
11 weeks
期刊最新文献
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