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A risk-averse marketing strategy and its effect on coordination activities in a remanufacturing supply chain under market fluctuation

机译:市场波动下的规避风险营销策略及其对再制造供应链协调活动的影响

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The market fluctuation, usually caused by macro-economic shrinking/boom and ever-changing consumers' preferences/acceptance, brings a high managing challenge for remanufacturers and retailers' collection efforts and their coordination activities. Besides increasing profit, a market strategy also aims to reduce risk, i.e., profit variations. Thus, apart from the "maximum-profit" marketing strategy, this study tries to explore a risk-averse marketing strategy for a remanufacturer and a retailer in a remanufacturing supply chain. The proposed strategy satisfies the need of reducing risk of shortage/inventory under heavy remanufacturing market fluctuation. By adding the risk-averse factor into objective functions and using a concept of risk tolerance as a risk measurement, this paper investigates the effect of risk attitude for the remanufacturer and the retailer on remanufacturing quantity, expected profit and coordination activities. This paper finds that the proposed risk-averse marketing strategy brings more profit for both the remanufacturers and retailers than that for the "maximum-profit" marketing strategy in a heavier market fluctuation environment. Further, a coordination mechanism with risk attitude is designed and certain conditions are identified for inspiring the remanufacturer and the retailer to participate in supply chain contract coordination, which is of use for remanufacturing practitioners as well as academics. When the remanufacturer and the retailer develop their remanufacturing supply chain contracts in a heavier market fluctuation environment, the proposed strategy succeeds in balancing the expectation of benefits and the risk of market fluctuation. A truck engine remanufacturing case demonstrates that the risk-averse marketing strategy is relatively insensitive to market fluctuation. (C) 2017 Elsevier Ltd. All rights reserved.
机译:市场波动通常是由宏观经济萎缩/繁荣和消费者喜好/接受程度不断变化引起的,这给再制造商和零售商的收款工作及其协调活动带来了高管理挑战。除了增加利润外,市场策略还旨在降低风险,即利润变化。因此,除了“最大利润”营销策略外,本研究还试图探索再制造供应链中再制造商和零售商的规避风险的营销策略。拟议的战略满足了在再制造市场剧烈波动下降低短缺/库存风险的需求。通过将风险规避因素添加到目标函数中,并使用风险容忍度的概念作为风险度量,研究了再制造商和零售商的风险态度对再制造数量,预期利润和协调活动的影响。本文发现,在更大的市场波动环境下,拟议的规避风险的营销策略为再制造商和零售商带来的利润要大于“最大利润”的营销策略。此外,设计了一种具有风险态度的协调机制,并确定了某些条件来激励再制造商和零售商参与供应链合同的协调,这对于再制造从业人员和学者都是有用的。当再制造商和零售商在市场波动较大的环境中发展其再制造供应链合同时,所提出的策略可以成功地平衡收益预期和市场波动风险。某卡车发动机再制造案例表明,规避风险的营销策略对市场波动相对不敏​​感。 (C)2017 Elsevier Ltd.保留所有权利。

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