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Evolutionary supply chain risk management : transforming culture for sustainable competitive advantage

机译:进化的供应链风险管理:转变文化,实现可持续的竞争优势

摘要

In today's fast-paced and turbulent global economy, the topic of risk management has gained significant interest in the business and academic world. However, in practice, risk management remains rather underdeveloped and often dealt with in an informal and reactive manner. To this end, we propose a comprehensive approach to supply chain risk management based on academic and business research and apply it to a company to develop a case study. We survey the state-of-the-art of supply chain risk management by exploring both the qualitative and quantitative sides of risk management in this thesis. We study in detail the reasons why risk is often neglected in organizations, and learn from several conceptual frameworks that have been proposed in the literature. On the more quantitative side, we explore tools that have been used or could be used for supply chain risk management, such as Decision Analysis or Real Options. We apply our proposed supply chain risk management framework to the case company, focusing primarily on qualitative methods. Data for the analysis is collected by way of semistructured interviews with business executives and relevant company documents. The results are presented to shed light on the current risk management practices at the company by highlighting their strengths and potential weaknesses. The research also draws from fields outside the normal realm of supply chain risk management. A policy perspective is taken to isolate important drivers of risk that lie beyond the direct control of organizations, such as political uncertainty and regulations. The objective is to promote a more proactive outlook in organizations to anticipate and exploit the uncertainty in the business environment. Similarly, a market perspective is used to articulate a novel way to uncover information asymmetry in the domain of risk management. Instead of simply pointing to asymmetry as an undesirable fact of business world, we propose two approaches that could be used for developing creative solutions, specifically, prediction markets and credit derivatives concepts. In conclusion, we argue that evolutionary risk management processes accompanied by a radical shift in business risk culture are required to achieve competitive advantage through supply chain risk management.
机译:在当今快速发展和动荡的全球经济中,风险管理这一主题引起了商业界和学术界的极大兴趣。但是,在实践中,风险管理仍处于欠发达状态,通常以非正式和被动的方式进行处理。为此,我们提出了一种基于学术和商业研究的供应链风险管理综合方法,并将其应用于公司以进行案例研究。本文通过探讨风险管理的定性和定量两方面,研究了供应链风险管理的最新技术。我们详细研究了为什么组织中经常忽略风险的原因,并从文献中提出的几个概念框架中学习。在更定量的方面,我们探索已经或可能用于供应链风险管理的工具,例如决策分析或实物期权。我们将建议的供应链风险管理框架应用于案例公司,主要侧重于定性方法。用于分析的数据是通过与业务主管和相关公司文档的半结构化访谈来收集的。通过突出其优势和潜在劣势,展示了结果,以阐明该公司当前的风险管理实践。该研究还借鉴了供应链风险管理正常领域之外的领域。采取政策观点来隔离超出组织直接控制范围的重要风险驱动因素,例如政治不确定性和法规。目的是提高组织的积极性,以预测和利用业务环境中的不确定性。同样,从市场角度阐述了一种发现风险管理领域信息不对称的新颖方法。我们提出将两种可用于开发创造性解决方案的方法,而不是简单地将不对称性指出为商业世界中不可取的事实,特别是预测市场和信贷衍生品概念。总之,我们认为,通过供应链风险管理获得竞争优势需要演化风险管理流程伴随着业务风险文化的根本转变。

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