Portfolio theory method of managing operational risk with respect to network service-level agreements
US7343337B1 · kind B1 · utility
24Cited by
2References
4Claims
0Family size
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Key dates
| Filing date | Oct 27, 2000 |
| Grant date | Mar 11, 2008 |
| Priority date | — |
| Expiry date | Feb 13, 2023 |
Classification
- Technology area (CPC G)Physics
- CPC primaryG06Q10/0631
- WIPO fieldIT methods for management
- WIPO sectorElectrical engineering
Abstract
A method for managing operational risk and return with respect to a portfolio of service-level agreements is provided, wherein the method uses a noncompliance risk measure to calculate risk; and wherein, principals of portfolio theory are applied to characterize the portfolio for comparison with other possible portfolios.
Source: USPTO / EPO open patent data. Objective bibliographic and citation counts.