摘要:This paper presents a method that allows managers and information technology professionals to better evaluate how efficiently risk is being managed within the confines of a portfolio of software projects. The method, which is based upon optimization and risk modeling, favors actions that increase the efficiency of risk management and, as a result, the likelihood of projects being delivered on time, within budget and in accordance with the requirements they were intended to be satisfied.
关键词:Risk analysis; software project management; software engineering economics and data envelopment analysis