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Supply chain coordination with downside risk-averse agents.

机译:与不利的风险规避者进行供应链协调。

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摘要

Supply Chain Management is probably the most important strategic change facing any business in this age of global commerce. The rapid development and implementation of innovative technologies has aided in bringing all parts of businesses together through improved information sharing facilities across a myriad of partners. As a result, businesses can no longer afford to go about their operations locally focusing on one facility or one strategic business unit (SBU). Dynamic concerns with differing risk perspectives manage elements of a supply chain well beyond traditional siloed business research. As a result, coordination of the various disparate elements in the supply chain is paramount as a strategic initiative.;Most early work on supply contracts considers coordination of channels involving risk neutral agents. One common element in the early literature in this area involves maximization of the retailer's profit. The supplier takes no risk in such cases and all the risk is borne by the retailer. Recent literature looks at risk re-allocation mechanisms in which the supplier takes on some of the retailer's risk to maximize overall channel profit through supply contracting. It is important to note that most of this literature does not consider an explicit risk sharing mechanism, nor do the agents in the channel optimize their objectives with respect to any risk-return tradeoffs. Moreover, in practice, agents are often risk-averse or downside risk-averse. Thus, there is some ambiguity in the application of such work in reality. The contracts developed to coordinate supply chains in these cases fail to coordinate when one or more agents differ in their risk preference.;This dissertation provides an analytical framework for designing coordinating supply contracts between agents with varying downside risk preferences in a decentralized channel. We look at some common contract types and quantify the downside risk of agents in the channel, and identify conditions when each of these common contracts can or cannot coordinate the channel. We also develop contract structures that achieve coordination. The design framework is a bundle of contract structures that the agents choose depending on the specific channel characteristics and their respective risk parameters.
机译:在这个全球商业时代,供应链管理可能是任何企业面临的最重要的战略变革。创新技术的迅速发展和实施,已经通过众多合作伙伴之间改进的信息共享设施,帮助将企业的各个部门聚集在一起。结果,企业不再能够集中精力在一个机构或一个战略业务部门(SBU)上在本地开展业务。具有不同风险观点的动态关注点管理的供应链元素远远超出了传统的孤立业务研究范围。结果,协调供应链中各个不同的元素是一项战略举措。;大多数早期的供应合同工作都考虑协调涉及风险中性代理的渠道。在这方面的早期文献中,一个共同的要素是使零售商的利润最大化。在这种情况下,供应商不承担任何风险,所有风险均由零售商承担。最近的文献研究了风险重新分配机制,在这种机制中,供应商承担了一些零售商的风险,以通过供应合同来最大化整体渠道利润。重要的是要注意,大多数文献都没有考虑明确的风险分担机制,渠道中的代理人也没有针对任何风险-收益折衷来优化其目标。而且,在实践中,代理通常是规避风险或下行风险规避的。因此,在实际应用中存在一些歧义。在这种情况下,为协调供应链而开发的合同在一个或多个代理商的风险偏好不同时无法协调。本论文提供了一个分析框架,用于设计分散渠道中具有不同下行风险偏好的代理商之间的协调供应合同。我们研究了一些常见的合同类型,并量化了渠道中代理商的下行风险,并确定了这些常见合同中的每一个能否协调渠道的条件。我们还开发实现协调的合同结构。设计框架是一揽子合同结构,代理商可以根据具体渠道特征及其各自的风险参数来选择合同结构。

著录项

  • 作者

    Rangan, Sudarsan.;

  • 作者单位

    The University of Alabama.;

  • 授予单位 The University of Alabama.;
  • 学科 Business Administration General.;Operations Research.
  • 学位 Ph.D.
  • 年度 2008
  • 页码 103 p.
  • 总页数 103
  • 原文格式 PDF
  • 正文语种 eng
  • 中图分类
  • 关键词

  • 入库时间 2022-08-17 11:38:35

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