首页> 外文期刊>Operations Research: The Journal of the Operations Research Society of America >Stochastic inventory systems in a supply chain with asymmetric information: Cycle stocks, safety stocks, and consignment stock
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Stochastic inventory systems in a supply chain with asymmetric information: Cycle stocks, safety stocks, and consignment stock

机译:信息不对称的供应链中的随机库存系统:周期库存,安全库存和寄售库存

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The two critical factors distinguishing inventory management in a multifirm supply-chain context from the more traditional centrally planned perspective are incentive conflicts and information asymmetries. We study the well-known order quantity/reorder point (Q, r) model in a two-player context, using a framework inspired by observations during a case study. We show how traditional allocations of decision rights to supplier and buyer lead to inefficient outcomes, and we use principal-agent models to study the effects of information asymmetries about setup cost and backorder cost, respectively. We analyze two "opposite" models of contracting on inventory policies. First, we derive the buyer's optimal menu of contracts when the supplier has private information about setup cost, and we show how consignment stock can help reduce the impact of this information asymmetry. Next, we study consignment and assume the supplier cannot observe the buyer's backorder cost. We derive the supplier's optimal menu of contracts on consigned stock level and show that in this case, the supplier effectively has to overcompensate the buyer for the cost of each stockout. Our theoretical analysis and the case study suggest that consignment stock helps reduce cycle stock by providing the supplier with an additional incentive to decrease batch size, but simultaneously gives the buyer an incentive to increase safety stock by exaggerating backorder costs. This framework immediately points to practical recommendations on how supply-chain incentives should be realigned to overcome existing information asymmetries. [References: 31]
机译:从更传统的中央计划的角度来看,在多公司供应链环境中区分库存管理的两个关键因素是激励冲突和信息不对称。我们使用一个案例研究中的观察结果启发的框架,在两个玩家的背景下研究了众所周知的订单数量/再订货点(Q,r)模型。我们展示了传统的将决策权分配给供应商和购买者的方式如何导致无效的结果,并且我们使用委托-代理模型分别研究了关于建立成本和延期交货成本的信息不对称性的影响。我们分析了库存政策订约的两种“对立”模型。首先,当供应商拥有关于设置成本的私人信息时,我们推导出买方的最佳合同菜单,并且我们展示了寄售库存如何帮助减少这种信息不对称的影响。接下来,我们研究寄售,并假设供应商无法观察到买方的拖欠成本。我们得出了供应商在委托库存水平上的最优合同菜单,并表明在这种情况下,供应商实际上必须为每次缺货的成本对买方进行过度补偿。我们的理论分析和案例研究表明,寄售库存通过为供应商提供减少批次大小的额外激励措施来帮助减少周期库存,但同时又通过扩大延期交货成本来激励买方增加安全库存。该框架立即指出了有关如何重新调整供应链激励措施以克服现有信息不对称的实用建议。 [参考:31]

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