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The rippled newsvendor: A new inventory framework for modeling supply chain risk severity in the presence of risk propagation

机译:波纹的新闻监护者:用于在存在风险传播的情况下建模供应链风险严重程度的新库存框架

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摘要

How should managers take into account the propagation of supply chain disruptions and risks (i.e. the ripple effect) when they design their inventory policies? For over 60 years, various extensions and applications to the popular newsvendor model have been suggested, where cost/profit are often the focal objective. We propose a new version of the traditional single-period newsvendor model - the "Rippled Newsvendor" - with supply chain severity (i.e. risk propagation) as the primary objective while taking into account network structure. Our model considers exogenous and endogenous risk(s) of disruption while exploring the tension between under-supply and "wear-and-tear" (i.e system breakdown). To model the intricacies of this trade-off whilst minimizing the potential spread of risk, we leverage a Bayesian Network whereby the conditional probability distributions are functions of the inventory ordering decisions. We use a simulation study to understand the nature of our objective function as well as to gain insight into the potential optimal ordering policies of this new model. Furthermore, the simulation seeks to understand how the various factors in our system impact total risk severity, and if they do so in different ways. Our simulations indicate that local exogenous risk is of greater importance than non-local exogenous risk. Furthermore, we show that the type of risk, as well as the structural characteristics of the supply chain and inventory system, impact risk severity differently.
机译:经理如何考虑到供应链中断和风险的传播(即涟漪效应)在设计库存策略时?超过60年,已经提出了对流行的新闻国模型的各种扩展和应用,其中成本/利润通常是焦点目标。我们提出了一个新版本的传统单期新闻维护者模型 - “波纹新闻维护者” - 带有链条严重程度(即风险传播)作为考虑网络结构的主要目标。我们的模型考虑了发生破坏的外源性和内源性风险,同时探索供应不足和“磨损和撕裂”(即系统分解)之间的紧张局势。为了模拟这种权衡的复杂性,同时最大限度地减少风险的潜在传播,我们利用贝叶斯网络,其中条件概率分布是库存排序决策的功能。我们使用模拟研究来了解我们客观函数的性质,并深入了解这一新模型的潜在最佳排序政策。此外,模拟旨在了解我们系统中各种因素如何影响总体风险严重程度,以及他们以不同的方式这样做。我们的模拟表明,局部外源风险比非局部外源风险更重要。此外,我们表明风险的类型,以及供应链和库存系统的结构特征,影响风险严重程度不同。

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