The Distributionally Robust Inventory Strategy of the Overconfident Retailer under Supply Uncertainty

Dasheng Wu, Feng Chen
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引用次数: 1

Abstract

To factor in the retailer’s overconfidence when dealing with the inventory problem with supply uncertainty, this paper develops a distributionally robust optimization model by only considering the mean and variance of the yield rate distribution. We first show that overconfidence would prompt the retailer to order more under low-profit conditions, whereas it reduces the order quantity under high-profit conditions. The analysis results imply that the pull-to-center effect still exists when only supply uncertainty applies, and the asymmetry that the deviation is higher under low-profit conditions is proved. The performance of overconfidence is also characterized in the expected profits of both retailer and supplier. Numerical studies show that even though the retailer may suffer losses, the supplier can benefit from the retailer’s overconfidence in the low-profit case, which would positively increase the joint expected profit of the supply chain. Two extensions to the base model are also considered, including the scenario with both demand and supply uncertainties and an overconfident multi-product problem with budget constraints. This research provides tractable results to predict how the decision-maker is biased, and such insights would help the applications of de-biasing techniques in practice.
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供应不确定性下过度自信零售商的分布鲁棒库存策略
为了考虑零售商在处理具有供应不确定性的库存问题时的过度自信,本文建立了仅考虑收益率分布均值和方差的分布鲁棒优化模型。我们首先表明,在低利润条件下,过度自信会促使零售商订购更多的订单,而在高利润条件下,过度自信会减少订单数量。分析结果表明,仅考虑供给不确定性时,拉向中心效应仍然存在,并且证明了低利润条件下偏差较大的不对称性。过度自信的表现也表现在零售商和供应商的预期利润上。数值研究表明,在低利润情况下,尽管零售商可能遭受损失,但供应商可以从零售商的过度自信中获益,这将积极增加供应链的共同期望利润。本文还考虑了对基本模型的两种扩展,包括具有需求和供应不确定性的情景以及具有预算约束的过度自信多产品问题。本研究提供了易于处理的结果来预测决策者是如何有偏见的,这些见解将有助于去偏见技术在实践中的应用。
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