Supply chain network design under uncertainty with new insights from contracts

M. M. Tabrizi, B. Karimi
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引用次数: 2

Abstract

In this paper, the classical problem of supply chain network design is reconsidered to emphasize the role of contracts in uncertain environments. The supply chain addressed consists of four layers: suppliers, manufacturers, warehouses, and customers acting within a single period. The single owner of the manufacturing plants signs a contract with each of the suppliers to satisfy demand from downstream. Available contracts consist of long-term and option contracts, and unmet demand is satisfied by purchasing from the spot market. In this supply chain, customer demand, supplier capacity, plants and warehouses, transportation costs, and spot prices are uncertain. Two models are proposed here: a risk-neutral two-stage stochastic model and a risk-averse model that considers risk measures. A solution strategy based on sample average approximation is then proposed to handle large scale problems. Extensive computational studies prove the important role of contracts in the design process, especially a portfolio of contracts. For instance, we show that long-term contract alone has similar impacts to having no contracts, and that option contract alone gives inferior results to a combination of option and long-term contracts. We also show that the proposed solution methodology is able to obtain good quality solutions for large scale problems.
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基于契约的不确定性下供应链网络设计
本文重新考虑了供应链网络设计的经典问题,强调了契约在不确定环境中的作用。所处理的供应链由四层组成:供应商、制造商、仓库和在单个周期内活动的客户。制造工厂的单一所有者与每个供应商签订合同,以满足下游的需求。可用合约包括长期合约和期权合约,未满足的需求通过从现货市场购买来满足。在这个供应链中,客户需求、供应商能力、工厂和仓库、运输成本和现货价格都是不确定的。本文提出了两种模型:风险中性的两阶段随机模型和考虑风险度量的风险厌恶模型。然后提出了一种基于样本平均近似的求解策略来处理大规模问题。大量的计算研究证明了合同在设计过程中的重要作用,尤其是合同组合。例如,我们证明了单独签订长期合同与不签订合同具有相似的影响,而单独签订期权合同的结果不如期权和长期合同的组合。我们还表明,所提出的解决方法能够获得大规模问题的高质量解决方案。
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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