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首页> 外文期刊>Manufacturing and Service Operations Management >Strategic Sourcing Under Severe Disruption Risk: Learning Failures and Under-Diversification Bias
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Strategic Sourcing Under Severe Disruption Risk: Learning Failures and Under-Diversification Bias

机译:严重破坏风险下的战略采购:学习失败和多样化偏差

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摘要

Problem definition: We study sourcing behavior in severe conditions where supply disruptions are rare but carry the potential of wiping out several rounds worth of a firm's profit. Academic/practical relevance: The tradeoff between scale economies from supplier consolidation and risk mitigation from supplier diversification is at the core of firms' sourcing strategy and one that is empirically understudied. Methodology: We study supplier diversification through a behavioral lens and test theoretically derived predictions under controlled laboratory conditions. Results: Our data provide strong evidence for under-diversification. We posit that this pattern is partly because of the fact that investing in supplier diversification involves an upfront cost to achieve a delayed, and rarely encountered, benefit. Managerial implications: Under-diversification bias is costly, and its causes are difficult to overcome, presenting firms with the daunting task of devising debiasing mechanisms that reinforce a supplier diversification strategy when the rarity of disruptions almost always render supplier consolidation the ex post preferred strategy.
机译:问题定义:我们研究在供应中断的恶劣条件下采购行为罕见,但承担了擦除了几轮公司利润的潜力。学术/实际相关性:供应商巩固和供应商多元化风险减灾的规模经济之间的权衡是公司采购战略的核心,并将其经验为例。方法论:我们通过行为镜头研究供应商多样化,并在受控实验室条件下测试理论上导出的预测。结果:我们的数据为不足多样化提供了强有力的证据。我们认为这种模式部分是因为投资供应商多元化的事实涉及前期成本来实现延迟,并且很少遇到,利益。管理效应:多样化偏差成本高昂,其原因难以克服,呈现企业,展示了在稀释机制的艰巨任务中展示了脱叠机制,当时罕见的中断时几乎总是渲染供应商合并前任首选战略。

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