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The moderating impact of supply network topology on the effectiveness of risk management

机译:供应网络拓扑对风险管理有效性的适度影响

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While supply chain risk management offers a rich toolset for dealing with risk at the dyadic level, less attention has been given to the effectiveness of risk management in complex supply networks. We bridge this gap by building an agent based model to explore the relationship between topological characteristics of complex supply networks and their ability to recover through inventory mitigation and contingent rerouting. We simulate upstream supply networks, where each agent represents a supplier. Suppliers' connectivity patterns are generated through random and preferential attachment models. Each supplier manages its inventory using an anchor-and-adjust ordering policy. We then randomly disrupt suppliers and observe how different topologies recover when risk management strategies are applied. Our results show that topology has a moderating effect on the effectiveness of risk management strategies. Scale-free supply networks generate lower costs, have higher fill-rates, and need less inventory to recover when exposed to random disruptions than random networks. Random networks need significantly more inventory distributed across the network to achieve the same fill rates as scale-free networks. Inventory mitigation improves fill-rate more than contingent rerouting regardless of network topology. Contingent rerouting is not effective for scale-free networks due to the low number of alternative suppliers, particularly for short-lasting disruptions. We also find that applying inventory mitigation to the most disrupted suppliers is only effective when the network is exposed to frequent disruptions; and not cost effective otherwise. Our work contributes to the emerging field of research on the relationship between complex supply network topology and resilience.
机译:虽然供应链风险管理提供了丰富的工具集来处理二元风险,但对复杂供应网络中风险管理的有效性的关注却很少。我们通过建立基于代理的模型来探索这种差距,以探索复杂的供应网络的拓扑特征与其通过缓解库存和或有可能的路线变更而恢复的能力之间的关系。我们模拟上游供应网络,其中每个代理商代表一个供应商。供应商的连通性模式是通过随机和优先附件模型生成的。每个供应商都使用锚定和调整订购策略来管理其库存。然后,我们随机破坏供应商,并观察应用风险管理策略时如何恢复不同的拓扑。我们的结果表明,拓扑结构对风险管理策略的有效性具有调节作用。与随机网络相比,无标度供应网络产生的成本更低,填充率更高,并且在受到随机干扰时需要更少的库存来恢复。随机网络需要大量分布在网络中的库存,才能实现与无标度网络相同的填充率。不论网络拓扑如何,与网络临时路由相比,减少库存都可以提高填充率。由于替代供应商的数量较少,偶然的路由重选对于无规模网络无效,特别是对于短暂的中断。我们还发现,只有在网络经常受到干扰的情况下,才对受干扰最大的供应商应用库存缓解措施才有效。否则就没有成本效益。我们的工作为复杂的供应网络拓扑结构与弹性之间的关系研究的新兴领域做出了贡献。

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