Capital Portfolio Prioritization Index 2025: Sectoral Analysis

Executive Summary
Dear Readers,
The Capital Portfolio Prioritization Index 2025 provides comparative sector-wide benchmarks on portfolio alignment, capital allocation, and benefits realization across energy, banking, and telecommunications sectors.
Through robust multi-criteria decision models, this report provides corporate leaders with actionable methodologies to balance strategic growth initiatives against risk exposure and resource constraints.
Bayu Aditya Firmansyah, S.T., M.T., PMP
Lead Researcher, SCOPE Applied Research Directorate
Key Research Findings
Strategic Portfolio Alignment
Sectors utilizing formal Analytic Hierarchy Process (AHP) scoring achieved 31% higher project delivery alignment with corporate strategy.
Resource Constraint Management
Cross-portfolio resource sharing frameworks reduced skill bottleneck delays by 26%.
Research Methodology
Primary Formal Research Output
Research Reports represent formal research outputs and evidence compiled by SCOPE. SCOPE Insights reference and translate findings from these primary reports into practical organizational guidance.
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Author(s)
Bayu Aditya Firmansyah, S.T., M.T., PMP
Dr. Alin Veronika, S.T., M.T., PMP
Editor(s)
Leni Sagita Riantini, S.T., M.T., PhD
Translator(s)
Sri Reza Adjianom, B.Eng, MM
Research Area
Indonesia & ASEAN
Research Topic
Portfolio Prioritization
Capital Allocation Index
Resource Capacity Planning
Keywords
Portfolio Index
Capital Allocation
AHP Methodology
Publication Type
PMO Index