固定价格合同中的供应风险管理:或有索赔的视角

B. Kamrad, Ran Ji, Glen M. Schmidt
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引用次数: 0

摘要

本文的主要重点是降低供应风险。然而,它的目标是双重的。首先,我们开发了一个通用的或有索赔模型,作为随机最优控制的练习。该模型很容易调整到许多基于风险的操作问题。其次,我们将模型应用于供应不确定性和固定价格合同的估值问题,重点是通过基于投资组合的风险分担框架来管理供应不确定性。本章的风险和回报权衡特征表明了供应风险、采购分配和相关成本之间的微妙平衡,并相应地考虑了由此产生的运营策略。在这种情况下,增加的供应商组合风险是建立最优运营策略的一个决定性指标,同时需要注意的是,供应商组合的波动性增加,也会增加短缺,从而降低合同的价值。
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Managing Supply Risk in Fixed Price Contracts: A Contingent Claims Perspective
The primary focus of this paper is supply risk mitigation. though, its objectives are twofold. First, we develop a generic contingent claims model framed as an exercise in stochastic optimal control. The model is easily adjusted to a number of risk-based operational problems. Second, we adapt the model to the problem of supply uncertainty and the valuation of a fixed price contract with a focus on managing supply uncertainty through a portfolio based risk sharing framework. The risk and reward tradeoffs characterizing our general findings in this chapter indicate a subtle balance between supply risk, sourcing allocations and related costs, and accordingly, the resulting operational strategies considered. Given this setup, increased supplier-portfolio risk is a defining measure in establishing optimal operating policies, with the caveat that increases in the supplier portfolio’s volatility, also increase shortages which lowers the contract’s value.
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来源期刊
Foundations and Trends in Technology, Information and Operations Management
Foundations and Trends in Technology, Information and Operations Management Decision Sciences-Management Science and Operations Research
CiteScore
1.00
自引率
0.00%
发文量
6
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