Finanse, Rynki Finansowe, Ubezpieczenia

Previously: Zeszyty Naukowe Uniwersytetu Szczecińskiego. Finanse, Rynki Finansowe, Ubezpieczenia

ISSN: 2450-7741    OAI    DOI: 10.18276/frfu.2018.94/1-22
CC BY-SA   Open Access 

Issue archive / 4/2018
Czy zasadne jest tworzenie perspektywy ryzyka w zrównoważonej karcie wyników?
(Is it reasonable to create a risk perspective in the balanced scorecard?)

Authors: Maria Nieplowicz
Uniwersytet Ekonomiczny we Wrocławiu
Keywords: the Balanced Scorecard; risk; risk perspective
Data publikacji całości:2018
Page range:9 (257-265)
Cited-by (Crossref) ?:

Abstract

Purpose – the aim of this article is to indicate the best solution in the scope of extending the Balanced Scorecard with the principles of comprehensive risk management at the strategic level. Design/Methodology/approach – literature review, source document analysis, and comparative analysis. Findings – the considerations carried out confirm the legitimacy of the thesis that the bank should add a risk perspective, while for local government units - additional goals and measures for risk in each of the Balanced Scorecard perspectives. Originality/value – the original value is to indicate the methodology for extending the Balanced Score-card to objectives and measures in the area of risk.
Download file

Article file