具有连续批量双边交易的随机卡余额管理问题

IF 3.7 4区 管理学 Q2 OPERATIONS RESEARCH & MANAGEMENT SCIENCE Operations Research Perspectives Pub Date : 2023-01-01 DOI:10.1016/j.orp.2023.100274
Yonit Barron
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引用次数: 1

摘要

研究了马尔可夫环境下具有连续和批处理两种交易模式的随机连续复查卡余额管理问题。受公共交通系统中使用的自动加载程序的启发,该卡使用双参数频带策略进行管理。我们的成本结构包括激活和装载成本,以及负余额的罚款。运用命中时间理论和鞅方法,导出了代价函数,并在数值上求出了使期望折现总代价最小的最优阈值。令人惊讶的是,一项数值研究表明,最优策略与流出模式存在内在联系,并且对提取率的变化比批量大小的变化更敏感。我们进一步表明,时机是决定策略的一个重要因素:高折扣因子导致频繁的小额激活。
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A stochastic card balance management problem with continuous and batch-type bilateral transactions

We study a stochastic continuous-review card balance management problem with two transaction patterns, namely, continuous and batch-type bilateral transactions, both in a Markovian environment. Motivated by the Autoload program used in public transit systems, the card is managed using a two-parameter band policy. Our cost structure includes activation and loading costs, and a fine for a negative balance. By applying hitting time theory and martingales, we derive the cost functionals and obtain, numerically, the optimal thresholds minimizing the expected discounted total cost. Surprisingly, a numerical study shows that the optimal policy is inherently linked with the outflow patterns, and is more sensitive to changes in withdrawal rates than to changes in batch sizes. We further show that timing is a significant factor in determining the policy: a high discount factor leads to frequent activations with smaller amounts.

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来源期刊
Operations Research Perspectives
Operations Research Perspectives Mathematics-Statistics and Probability
CiteScore
6.40
自引率
0.00%
发文量
36
审稿时长
27 days
期刊最新文献
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