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Multiple perspective models of manufacturer-supplier risk.

机译:制造商-供应商风险的多角度模型。

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摘要

Supply networks are becoming more coupled, inter-dependent, complex, and dynamic because of business trends and global competition. In a competitive environment, suppliers have large and direct impact on cost, quality, technology, and time to market of new products. In this dissertation, we study this complex, dynamic, risky supply chain environment from both an Original Equipment Manufacturer (OEM) and a supplier perspective. We first explore global sourcing risks from an OEM's point of view and develop models to analyze and manage risk. We then study the impact of long-term relations between a supplier and OEM on bidding decisions and develop sequential bidding models.; Efficient management of global sourcing risk creates a competitive advantage and reduces the probability and/or impact of detrimental events. In this dissertation, we develop an emerging market sourcing risk analysis and management model for a global automotive company to support its global sourcing decisions. We use simulation to analyze risk and evaluate risk mitigation plans. The model not only helps decision makers assess risk, it also guides them in developing risk mitigation plans. We define a number of sourcing risk management strategies and then use optimization to find an optimal portfolio of the risk management plans by reflecting the decision maker's risk attitude. The model has been verified and validated through the real world case studies.; We also develop models of sequential bidding on product design and manufacture for a tier one supplier. The initial contract and its successful implementation impact the organizational relationship between the supplier and the buyer which directly affects pricing, profit margins, and the probability of winning a subsequent contract. We examine the sequential bidding problems for finite and infinite time horizons. We use backward dynamic programming to derive optimum bid prices for finite time horizon models. Infinite time horizon models relaxed some of the assumptions we made to derive analytical solution for finite time horizon bidding models. We use Markov Decision Process to derive the optimum bidding strategy for each state.
机译:由于业务趋势和全球竞争,供应网络变得更加耦合,相互依赖,复杂和动态。在竞争激烈的环境中,供应商会对新产品的成本,质量,技术和上市时间产生重大而直接的影响。本文从原始设备制造商(OEM)和供应商的角度研究了这个复杂,动态,有风险的供应链环境。我们首先从OEM的角度探讨全球采购风险,并开发模型来分析和管理风险。然后,我们研究供应商与OEM之间的长期关系对投标决策的影响,并开发顺序投标模型。对全球采购风险的有效管理可以创造竞争优势,并减少有害事件的可能性和/或影响。本文为一家全球汽车公司开发了一种新兴的市场采购风险分析和管理模型,以支持其全球采购决策。我们使用模拟来分析风险并评估风险缓解计划。该模型不仅可以帮助决策者评估风险,还可以指导他们制定风险缓解计划。我们定义了多种采购风险管理策略,然后使用优化通过反映决策者的风险态度来找到风险管理计划的最佳组合。该模型已通过实际案例研究得到验证和验证。我们还为一级供应商开发产品设计和制造的顺序竞标模型。初始合同及其成功实施会影响供应商和买方之间的组织关系,这直接影响定价,利润率以及赢得后续合同的可能性。我们研究了有限和无限时间范围内的顺序投标问题。我们使用后向动态规划来导出有限时间范围模型的最优出价。无限时间范围出价模型放宽了我们为导出有限时间范围出价模型的分析解决方案所做的一些假设。我们使用马尔可夫决策过程得出每个州的最优竞标策略。

著录项

  • 作者

    Canbolat, Yavuz Burak.;

  • 作者单位

    Wayne State University.;

  • 授予单位 Wayne State University.;
  • 学科 Engineering Industrial.
  • 学位 Ph.D.
  • 年度 2005
  • 页码 177 p.
  • 总页数 177
  • 原文格式 PDF
  • 正文语种 eng
  • 中图分类 一般工业技术;
  • 关键词

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