ISO 31000 risk management standard and an application in a portfolio management company
2017
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Advisor: Prof. Dr. İ. Melih Baş
Abstract (EN)
The purpose of this study; The concept and development of ISO 31000 risk management standards have been examined and their application in portfolio management firms has been investigated. For this purpose, study is planned in four parts, the first part is about risk and risk management concept, in the second part given risk management's historical time, corporate governance and enterprise risk management, in the third part given the basic definitions and information about ISO 31000 Risk management standards.In the last part of study is focused on ISO 31000 Risk management standards applying to portfolio management compay. In this study, it is used the methods of literature techniques and ISO 31000 Risk management standards. When investigating literature in Turkey, it was identified that there is not sufficient number of theoretical and practical study on this issue. For Turkish economy, the success of porfolio management company for realization of missions, visions goals and objectives is very important. An application is implemented on portfolio management company based on TS ISO 31000 Risk management principles and guidelines. With the design and implementation of TS ISO 31000 Risk management standards, it is tested how this standards can be applied in portfolio management company. Determination of the limits can be faced by portfolio management company on the design and implementation of TS ISO 31000 Risk management standards and develop solutions for them to overcome all limits are aimed Keywords : Enterprise Risk Management, Corporate Governance Principles, ISO 31000 Risk Management Standards
Author
Oğuz Altınbaş
Institution
How to Cite
Oğuz Altınbaş (Master Thesis). ISO 31000 risk management standard and an application in a portfolio management company, 2017, İstanbul Beykent University.
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