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The Standard for Risk Management in Portfolios, Programs, and Projects provides the student a detailed overview of risk management concepts, including domains of risk management, factors for evaluating risk, risk appetite in plan risk management, purpose of Perform Qualitative Risk Analysis, key success factors for monitor risks, portfolio governance, program risk identification, monitoring and controlling processes, SME review, among others. This textbook is direct and concise with systematic content designed to engage today’s student through visually engaging content. There is a wide variety of assignment types that help students master risk management concepts & build real-world working capability. The Standard for Risk Management in Portfolios, Programs, and Projects goes into estimating techniques applied to probability and impact, PERT, FMEA, response plan implementation, contingency planning, residual impact analysis, and risk audit. A chapter is broken down into plan risk responses. Buy the textbook The Standard for Risk Management in Portfolios, Programs, and Projects and be confident in your risk management education and career.
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