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학술논문한국경영과학회지2013.06 발행KCI 피인용 2

구매가격 변동 하에서 초기재고 재분배를 통한 위험회피 재고모형의 효율화

Improving a Risk-Averse Price-Fluctuating Inventory Model by Reallocating Initial Inventories

박찬규(동국대학교)

38권 2호, 95~115쪽

초록

In traditional inventory models, purchase prices of raw materials are assumed to be fixed and have no effect on the optimal choice of inventory policies. However, when purchase prices fluctuate continuously over time, inventory costs are heavily affected by purchasing prices. Risk-averse inventory model decides order quantity and ordering time by considering not just purchase prices but also the risk from the discrepancy between estimated prices and realized prices. In this paper, we propose a myopic inventory policy which incorporates price risk into deciding ordering time and quantities. While the existing risk-averse model has no mechanism to reallocate inventories already purchased for a specific future period, the revised one reallocates initial inventories of each period to other future periods so that it can avoid purchasing raw materials at high prices. Experimental results demonstrate that the revised model outperforms the existing one in respect of total cost and variability.

Abstract

In traditional inventory models, purchase prices of raw materials are assumed to be fixed and have no effect on the optimal choice of inventory policies. However, when purchase prices fluctuate continuously over time, inventory costs are heavily affected by purchasing prices. Risk-averse inventory model decides order quantity and ordering time by considering not just purchase prices but also the risk from the discrepancy between estimated prices and realized prices. In this paper, we propose a myopic inventory policy which incorporates price risk into deciding ordering time and quantities. While the existing risk-averse model has no mechanism to reallocate inventories already purchased for a specific future period, the revised one reallocates initial inventories of each period to other future periods so that it can avoid purchasing raw materials at high prices. Experimental results demonstrate that the revised model outperforms the existing one in respect of total cost and variability.

발행기관:
한국경영과학회
DOI:
http://dx.doi.org/10.7737/JKORMS.2013.38.2.095
분류:
경영학

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구매가격 변동 하에서 초기재고 재분배를 통한 위험회피 재고모형의 효율화 | 한국경영과학회지 2013 | AskLaw | 애스크로 AI