A resource allocation model to choose the best portfolio of economic resilience plans: a possibilistic stochastic programming model

S. Pashapour, A. Azadeh, A. Bozorgi-Amiri, A. Keramati, S. Ghaderi
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引用次数: 2

Abstract

Economic resilience is defined as a tool capable of reducing the losses caused by disasters. It can be defined in two major concepts. Static economic resilience is the effective allocation of available resources and dynamic economic resilience refers to accelerating the recovery process through the repair and rebuilding of the capital stock. In this research, the performance of a petrochemical plant in the face of crisis is investigated. For this, a bi-objective mathematical model that considers cost and resilience capability as objective functions is developed to choose the best portfolio of static and dynamic plans. To solve the mathematical model, a weighted augmented e-constraint method and a multi-stage possibilistic stochastic programming (MSPSP) approach are employed. The numerical results showed that the proposed approach is effective in optimising the performance of a petrochemical plant in facing crisis situations and in choosing the best portfolio of economic resilience plans. [Received: 11 January 2019; Revised: 9 July 2019; Revised: 13 August 2019; Accepted: 13 August 2019]
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选择最佳经济弹性计划组合的资源分配模型:可能性随机规划模型
经济恢复力被定义为一种能够减少灾害造成损失的工具。它可以用两个主要概念来定义。静态经济弹性是对可用资源的有效配置,动态经济弹性是通过资本存量的修复和重建来加速恢复过程。本研究以某石化工厂为研究对象,探讨其在面对危机时的表现。为此,建立了以成本和弹性能力为目标函数的双目标数学模型,以选择静态和动态方案的最佳组合。采用加权增广e约束法和多阶段可能性随机规划(MSPSP)方法求解模型。数值结果表明,所提出的方法可以有效地优化石化工厂在危机情况下的绩效,并选择最优的经济弹性计划组合。[收稿日期:2019年1月11日;修订日期:2019年7月9日;修订日期:2019年8月13日;录用日期:2019年8月13日]
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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