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Data and Risk Analytics for Production Planning

机译:生产计划的数据和风险分析

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摘要

We examine the classical productional planning model, where a capacity decision that has to be made at the beginning of the planning horizon is the primary means to protect against demand uncertainty. We provide a critique on the model focusing on its profit maximizing objective, its underlying assumptions on demand and related forecasting scheme, and its overall business relevance (or the lack thereof); and we do so in the context of data, risk and analytics. Specifically, we will consider minimizing a shortfall risk relative to a profit target, with a demand model that captures impacts from the financial market and can be learned from data sets that are application specific. With a jointly optimized production and hedging strategy, we show the new model outperforms traditional approaches in risk mitigation as well as in expected profit.
机译:我们研究了经典的产品规划模式,其中必须在规划地平线开始时进行的能力决定是保护不确定性的主要方法。 我们对专注于其利润最大化目标的模型提供了批评,其基本上的需求和相关预测方案的潜在假设及其整体业务相关性(或缺乏); 在数据,风险和分析的背景下,我们这样做。 具体而言,我们将考虑最大限度地减少相对于利润目标的缺点风险,需要一种捕获金融市场影响的需求模型,并且可以从应用于特定于应用程序的数据集中学习。 通过联合优化的生产和对冲策略,我们展示了新的模型优于风险缓解的传统方法以及预期利润。

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