The Standard for Portfolio Management – Second Edition continues to recognize good practices in the discipline of portfolio management. With new knowledge areas it helps portfolio managers “do the right work.”
What’s new?
* Two new Knowledge Areas: Portfolio Risk Management and Portfolio Governance. (Governance is accountable for investment decisions throughout the portfolio lifecycle.)
* Greater emphasis on these areas means increased awareness of the opportunity costs throughout the process and an increased focus on delivering results!
Start meeting your standards for better project performance.