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Risk management in hybrid value creation

机译:混合价值创造中的风险管理

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In the market for tangible goods, there is an increasing shift from the production of single individual products towards individualized mass customization. In contrast to this, so-called hybrid value bundles are getting more and more importance in achieving market share and in allowing for differentiation from competitors. Hybrid value bundles are integrated solutions combined of tangible and intangible goods. For these complex solutions, subparts are delivered from different suppliers and are bundled by a focal supplier. These bundles are delivered as a single solution to the customer. Heterogeneous suppliers within the supplier network require a complex supplier relationship management. Classic supply chain management techniques fail because of the specific requirements of hybrid value bundles, e.g. strong customer integration, different product lifecycles of the individual components or incompatible product specification. One key issue in supplier management is risk management For this, the focal supplier has to evaluate its suppliers according to risk characteristics and then choose to take those that implicate the lowest risk. In hybrid value creation, one serious problem is the availability of guaranteed information. Especially for service components, relevant information is not available, not assured, or the supplier does not want to provide them. Therefore, a risk management model for hybrid value creation has to deal with incomplete, varying information. In this article, a risk management model is presented, which takes care of the specific requirements of hybrid value bundles in complex supply networks. This risk management model serves as a risk assessment framework for a focal supplier to identify supply chains with the lowest risk for a specific offering.
机译:在有形商品市场中,从单一的单个产品的生产向个性化的大规模定制的转移越来越多。与此相反,所谓的混合价值捆绑在获得市场份额以及允许与竞争对手区分开来中变得越来越重要。混合价值包是将有形和无形商品组合在一起的集成解决方案。对于这些复杂的解决方案,子零件由不同的供应商提供,并由重点供应商捆绑在一起。这些捆绑包作为单个解决方案交付给客户。供应商网络中的异构供应商需要复杂的供应商关系管理。传统的供应链管理技术由于混合价值捆绑的特定要求而失败,例如强大的客户集成,各个组件的产品生命周期不同或产品规格不兼容。供应商管理中的一个关键问题是风险管理。为此,重点供应商必须根据风险特征评估其供应商,然后选择采用隐含最低风险的供应商。在混合价值创造中,一个严重的问题是保证信息的可用性。特别是对于服务组件,相关信息不可用,无法保证或供应商不想提供。因此,用于混合价值创造的风险管理模型必须处理不完整,变化的信息。在本文中,提出了一种风险管理模型,该模型照顾了复杂供应网络中混合价值捆绑的特定要求。该风险管理模型可作为风险评估框架,供主要供应商识别特定产品风险最低的供应链。

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