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Integrated supply chain risk management via operational methods and financial instruments

机译:通过运营方法和金融工具进行综合供应链风险管理

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Supply chain risk management (SCRM) is an emerging field that generally lacks integrative approaches across different disciplines. This study contributes to narrowing this gap by developing an integrated approach to SCRM using operational methods and financial instruments. We study a supply chain composed of an aluminium can supplier, a brewery and a distributor. The supply chain is exposed to aluminium price fluctuation and beer demand uncertainty. A stochastic optimisation model is developed for managing operational and financial risks along the supply chain. Using this model as a base, we compare the performance of an integrated risk management model (under which operational and financial risk management decisions are made simultaneously) to a sequential model (under which the financial risk management decisions are made after the operational risk management decisions are finalised). Through simulation-based optimisation and using experimental designs and statistical analyses, we analyse the performance of the two models in minimising the expected total opportunity cost of the supply chain. We examine the supply chain performance as a function of three factors, each at three levels: risk aversion, demand variability and aluminium price volatility. We find that the integrated model outperforms the sequential model in most but not in all cases. Furthermore, while the results indicate that the supply chain improves its performance by being less risk averse, there exists a threshold beyond which accepting a higher risk level is not justified. Managerial insights are provided for various business scenarios experimented with.
机译:供应链风险管理(SCRM)是一个新兴领域,通常缺乏跨不同学科的集成方法。这项研究通过使用操作方法和金融工具开发SCRM的集成方法,有助于缩小这一差距。我们研究了由铝罐供应商,啤酒厂和分销商组成的供应链。供应链面临铝价波动和啤酒需求的不确定性。开发了随机优化模型来管理供应链中的运营和财务风险。以该模型为基础,我们将集成风险管理模型(在该模型下同时制定运营和财务风险管理决策)的绩效与一个顺序模型(在该模型下,在运营风险管理决策之后制定财务风险管理决策)进行比较已完成)。通过基于仿真的优化并使用实验设计和统计分析,我们在最小化供应链的预期总机会成本中分析了两种模型的性能。我们将供应链绩效作为三个因素的函数进行检验,每个因素分为三个级别:风险规避,需求变化和铝价波动。我们发现,在大多数情况下(但并非在所有情况下),集成模型的性能优于顺序模型。此外,尽管结果表明供应链通过减少风险规避来改善其绩效,但存在一个阈值,超过该阈值就无法接受较高的风险水平。提供了针对各种试验业务场景的管理见解。

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