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A real-option approach to mitigate disruption risk in the supply chain

机译:减少供应链中断风险的实物期权方法

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We study the optimal ordering decision policy for a retailer who is exposed to supply disruptions along with correlated demand and price uncertainty. A new modeling approach to optimize inventory planning in a two-stage supply chain is proposed in order to choose an optimal order quantity that maximizes the expected terminal profit. With the aid of real-option pricing methodology, we derive an explicit form of the profit function and adopt a dual sourcing strategy that allows for disruption risk mitigation. Then we drive a solution to the given problem, facilitated by the use of an actuarial technique. This study reveals that when demand and price are assumed to be stochastic, the objective function features four terms that resemble the pay-off of real-options, corresponding to risks of shortage and write-off. Therefore, the optimization problem can be reduced to determining the fair value of those options. The model is contextualized using an example from the Chinese dairy market. Sensitivity experiments are performed to demonstrate the robustness of the developed approach. The results can be used by managers to decide on ordering quantities at the beginning of each period, which maximizes the expected profit, while also considering the disruption risk of the primary supplier and correlated demand and price uncertainty. (C) 2018 Published by Elsevier Ltd.
机译:我们为面临供应中断以及相关需求和价格不确定性的零售商研究最佳订购决策策略。提出了一种新的建模方法来优化两阶段供应链中的库存计划,以便选择可最大化预期终端利润的最佳订单数量。借助实物期权定价方法,我们得出了利润函数的显式形式,并采用了双重采购策略以降低干扰风险。然后,通过精算技术的使用,我们为给定的问题提供解决方案。这项研究表明,假设需求和价格是随机的,则目标函数具有类似于实物期权收益的四个术语,对应于短缺和冲销的风险。因此,可以将优化问题减少到确定这些期权的公允价值。该模型使用来自中国乳业市场的一个案例进行了情境化。进行敏感性实验以证明所开发方法的鲁棒性。经理可以使用结果来决定每个时期开始时的订购数量,这可以最大化预期利润,同时还可以考虑主要供应商的中断风险以及相关的需求和价格不确定性。 (C)2018由Elsevier Ltd.发布

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