Independent Samples Test; t-test for Equality of Means

>Bachelor (43) vs Max Bachelor (54)

Decentral (45) vs central (52)

Item

t

Sig. (2-tailed)

Mean difference

t

Sig. (2-tailed)

Mean difference

1) Defining risk areas

1.859

0.066

0.46

2.120

0.037

0.52

2) Prioritizing risk areas

1.363

0.176

0.34

1.210

0.228

0.30

4) Risk area targets

.520

0.605

0.18

1.600

0.113

0.53

5) Risk area exposure

.973

0.333

0.23

2.010

0.047

0.47

6) Risk management software

1.277

0.205

0.30

2.080

0.040

0.49

7) Satisfaction software

3.096

0.003

0.88

0.382

0.703

0.11

9) Risk attitude

.169

0.866

0.05

1.595

0.114

0.48

10. Learning programs

.449

0.654

0.14

0.224

0.823

0.07

11) Process evaluation

1.081

0.283

0.30

0.761

0.448

0.21

12) Risk area policies

1.325

0.189

0.39

2.016

0.047

0.58

13) Reporting risk process

2.155

0.034

0.76

2.074

0.041

0.74

14) Reporting outcome process

1.421

0.159

0.48

0.494

0.623

0.17

19) FRM policies firm’s level

2.209

0.030

0.81

0.885

0.378

0.33

20) Sources used

1.679

0.096

0.47

1.489

0.140

0.42

21) FRM targets firm’s level

1.273

0.206

0.45

0.308

0.759

0.11