Publicação
Disclosing the tacit links between risk and success in organizational development project portfolios
| Resumo: | Project portfolios aim to impact organizational strategic goals, influencing both the organization’s business model and its processes. Nonetheless, the actual impact is dependent on the portfolio’s success, which is affected by the materialization of risk factors. This study aims to examine the tacit conceptualization of project portfolio risk as a risk measure explicitly based on project portfolio success itself. In order to focus on the portfolios of organizational development projects, Social Representation Theory was adopted to analyze empirical evidence from twenty-eight semi-structured interviews conducted with project portfolio practitioners. Findings showed that strategic fit, future preparedness, and stakeholder satisfaction were dimensions of success within which project portfolio risk could be conceptualized. Additionally, results evidenced that risk factors influenced project portfolio success through systematic and non-systematic impacts on project portfolio outputs, and also had direct impacts on project portfolio outcomes. This paper provides empirical evidence to back up the conceptualization of project portfolio risk explicitly oriented to portfolio success as a multidimensional risk measure. It represents a new avenue for conducting portfolio risk analysis for both practitioners and academics, orienting the decision-making process based on the portfolio success rather than only on the success of each project. |
|---|---|
| Autores principais: | Micán, Camilo |
| Outros Autores: | Fernandes, Gabriela; Araújo, Maria Madalena Teixeira de |
| Assunto: | project portfolio risk risk management project portfolio success portfolio management risk factors; organizational development portfolios organizational development portfolios risk factors |
| Ano: | 2022 |
| País: | Portugal |
| Tipo de documento: | artigo |
| Tipo de acesso: | acesso aberto |
| Instituição associada: | Universidade do Minho |
| Idioma: | inglês |
| Origem: | RepositóriUM - Universidade do Minho |
Registos relacionados
article Modeling the risk of an organizational development portfolio
por: Micán, Camilo
Publicado em: (2023)
por: Micán, Camilo
Publicado em: (2023)
school Modeling the project portfolio risk considering interactions among risk factors and their impacts on project portfolio success dimensions
por: Micán Rincón, Camilo Andrés
Publicado em: (2022)
por: Micán Rincón, Camilo Andrés
Publicado em: (2022)
article Project portfolio risk management: a structured literature review with future directions for research
por: Mican, Camilo
Publicado em: (2020)
por: Mican, Camilo
Publicado em: (2020)
article Incorporating the influence of risk factor interdependencies and shared risk factors into project portfolio risk assessment
por: Mican, C.
Publicado em: (2021)
por: Mican, C.
Publicado em: (2021)
article A method for project portfolio risk assessment considering risk interdependencies - a network perspective
por: Mican, Camilo
Publicado em: (2021)
por: Mican, Camilo
Publicado em: (2021)
article Operational risk categorization in project-based organizations: A theoretical perspective from a project portfolio risk lens
por: Micán, Camilo
Publicado em: (2019)
por: Micán, Camilo
Publicado em: (2019)
article Project portfolio selection in a colombian holding company
por: Rincón, Camilo Andrés Micán
Publicado em: (2018)
por: Rincón, Camilo Andrés Micán
Publicado em: (2018)
school Risk-managed portfolios
por: Basic, Amir
Publicado em: (2018)
por: Basic, Amir
Publicado em: (2018)
article Projects selection and prioritization: a Portuguese Navy pilot model
por: Gomes, Jorge
Publicado em: (2017)
por: Gomes, Jorge
Publicado em: (2017)
article A capacity management tool for a portfolio of industrialization projects
por: Lima, Caio
Publicado em: (2020)
por: Lima, Caio
Publicado em: (2020)
school Gestão de portfólios de projetos de TI
por: Lourenço, João Pedro Sousa
Publicado em: (2014)
por: Lourenço, João Pedro Sousa
Publicado em: (2014)
article Preliminary research plan towards a project and portfolio management framework to support innovation-driven SMEs
por: Mishly, Mohamad
Publicado em: (2016)
por: Mishly, Mohamad
Publicado em: (2016)
article Innoframe: a project and portfolio management multilayer framework to support innovation-driven SMEs
por: Tereso, Anabela Pereira
Publicado em: (2020)
por: Tereso, Anabela Pereira
Publicado em: (2020)
school Portfolio selection : a study using principal component analysis
por: Nunes, Madalena Baioa Paraíso
Publicado em: (2017)
por: Nunes, Madalena Baioa Paraíso
Publicado em: (2017)
school Project and portfolio management: a multilayer framework to support innovation-driven SMEs in the industry of construction and building materials. Case of Canada
por: Mishly, Mohamad
Publicado em: (2019)
por: Mishly, Mohamad
Publicado em: (2019)
article Investments analysis and decision making: valuing R&D project portfolios using the PROV exponential decision method
por: Rocha, António Miguel Sousa
Publicado em: (2014)
por: Rocha, António Miguel Sousa
Publicado em: (2014)
school Risk parity approach to portfolio selection
por: Filho, Émerson Bitarães de Moura
Publicado em: (2020)
por: Filho, Émerson Bitarães de Moura
Publicado em: (2020)
description Lest we forget: learn from out-of-sample errors when optimizing portfolios
por: Barroso, Pedro
Publicado em: (2020)
por: Barroso, Pedro
Publicado em: (2020)
article Calculating continuous time ruin probabilities for a large portfolio with varying premiums
por: Afonso, Lourdes B.
Publicado em: (2013)
por: Afonso, Lourdes B.
Publicado em: (2013)
article Risk Analysis and Behavior of Electricity Portfolio Aggregator
por: Eusébio, Eduardo
Publicado em: (2015)
por: Eusébio, Eduardo
Publicado em: (2015)
draft Quadratic models for portfolio credit risk with shot-noise effects
por: Gaspar, Raquel M.
Publicado em: (2005)
por: Gaspar, Raquel M.
Publicado em: (2005)
school Volatility-managed portfolios and sentiment : evidence from across the globe
por: Ferreira, João Pedro Soares
Publicado em: (2024)
por: Ferreira, João Pedro Soares
Publicado em: (2024)
school Strategy case study : strategic portfolio and risk management during COVID-19
por: Winsor, Jaiden William Thomas
Publicado em: (2021)
por: Winsor, Jaiden William Thomas
Publicado em: (2021)
book Educational potential of e-portfolios : from student learning to teacher professional development
por: Gomes, Maria João
Publicado em: (2008)
por: Gomes, Maria João
Publicado em: (2008)
book ePortfolios and eArgumentation
por: Loureiro, Maria José
Publicado em: (2008)
por: Loureiro, Maria José
Publicado em: (2008)
school An examination of Correios’ product portfolio and its best solution to overcome challenges in the convenience/retail segment
por: Sirimarco, Cassio
Publicado em: (2016)
por: Sirimarco, Cassio
Publicado em: (2016)
article Composition of an Optimal Portfolio in the Capital Market - Elton & Gruber Model in Portugal’s Capital Market
por: Pinho, Carlos
Publicado em: (2018)
por: Pinho, Carlos
Publicado em: (2018)
article The Financial Crisis Impact on the Composition of an Optimal Portfolio in the Stock Market - Study Applied to Portuguese Index PSI 20
por: Pinho, Carlos Santos
Publicado em: (2018)
por: Pinho, Carlos Santos
Publicado em: (2018)
school Portfolio insurance strategies: friend or foe?
por: Silva, Paulo José Martins Jorge da
Publicado em: (2018)
por: Silva, Paulo José Martins Jorge da
Publicado em: (2018)
article Do fundamental portfolios outperform in the MENA equity markets?
por: Abadi, Rasha Tawfiq Yousif
Publicado em: (2019)
por: Abadi, Rasha Tawfiq Yousif
Publicado em: (2019)
school The effectiveness of adding commodities to a multi-asset portfolio
por: Galhardas, Carlota Rendeiro
Publicado em: (2021)
por: Galhardas, Carlota Rendeiro
Publicado em: (2021)
school Analysis of portfolio insurance strategies based upon empirical densities
por: Almeida, Ricardo Jorge da Graça Rodrigues de
Publicado em: (2012)
por: Almeida, Ricardo Jorge da Graça Rodrigues de
Publicado em: (2012)
article Performance Evaluation of Portfolio Stocks Selected with the EU-EV Risk Model
por: Brito, Irene
Publicado em: (2023)
por: Brito, Irene
Publicado em: (2023)
school The impact of volatility scaling on portfolio performance
por: Haag, Stefan
Publicado em: (2021)
por: Haag, Stefan
Publicado em: (2021)
article Socially responsible investing and the performance of Eurozone corporate bond portfolios
por: Pereira, Patrícia
Publicado em: (2019)
por: Pereira, Patrícia
Publicado em: (2019)
school Climate change and investment portfolios: is there a green systematic risk factor?
por: Mendes, Daniela Alexandra Figueiredo
Publicado em: (2023)
por: Mendes, Daniela Alexandra Figueiredo
Publicado em: (2023)
draft On the pricing of CDOs
por: Gaspar, Raquel M.
Publicado em: (2007)
por: Gaspar, Raquel M.
Publicado em: (2007)
school Investing in Euro equity markets through Parametric Portfolio Policies (PPP) : a feasibility analysis of the PPP approach on principal euro-zone stock markets
por: Zanello, Federico
Publicado em: (2021)
por: Zanello, Federico
Publicado em: (2021)
school Tailoring PMI and OGC frameworks for IT project portfolio management
por: Lima, Ana Luisa Alves de
Publicado em: (2019)
por: Lima, Ana Luisa Alves de
Publicado em: (2019)
school Comparação entre gestão activa e gestão passiva de um portfolio de acções: um estudo empírico com base no PSI 20
por: Oliveira, Vitor Manuel Branco
Publicado em: (2009)
por: Oliveira, Vitor Manuel Branco
Publicado em: (2009)
Registos relacionados
-
article Modeling the risk of an organizational development portfolio
por: Micán, Camilo
Publicado em: (2023) -
school Modeling the project portfolio risk considering interactions among risk factors and their impacts on project portfolio success dimensions
por: Micán Rincón, Camilo Andrés
Publicado em: (2022) -
article Project portfolio risk management: a structured literature review with future directions for research
por: Mican, Camilo
Publicado em: (2020) -
article Incorporating the influence of risk factor interdependencies and shared risk factors into project portfolio risk assessment
por: Mican, C.
Publicado em: (2021) -
article A method for project portfolio risk assessment considering risk interdependencies - a network perspective
por: Mican, Camilo
Publicado em: (2021)