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Managerial and economic impacts of reducing delivery variance in the supply chain

机译:减少供应链中交付差异的管理和经济影响

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This paper addresses the managerial and economic impacts of improving delivery performance in a serial supply chain when delivery performance is evaluated with respect to a delivery window. Building on contemporary management theories that advocate variance reduction as the critical step in improving the overall performance of a system, we model the variance of delivery time to the final customer as a function of the investment to reduce delivery variance and the costs associated with untimely delivery (expected earliness and lateness). A logarithmic investment function is used and the model solution involves the minimization of a convex-concave total cost function. A numerical example is provided to illustrate the model and the solution procedure. The model presented provides guidelines for determining the optimal level of financial investment for reducing delivery variance. The managerial implications as well as the economic aspects of delivery variance reduction in supply chain management are discussed.
机译:本文针对在评估交付窗口方面的交付绩效时,解决了改善串行供应链中交付绩效的管理和经济影响。基于提倡减少差异是提高系统整体性能的关键步骤的当代管理理论,我们将最终客户交付时间的差异作为投资的函数进行建模,以减少交付差异和与不及时交付相关的成本(预期的早期和迟到)。使用对数投资函数,模型解决方案包括最小化凹凸总成本函数。提供了一个数值示例来说明模型和求解过程。提出的模型为确定减少交付差异的最佳金融投资水平提供了指导。讨论了在供应链管理中减少交付差异的管理意义以及经济方面。

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