TWO-LEVEL BALANCE MODEL OF PRODUCTS DISTRIBUTION BASED ON MARKOV CHAINS

被引:0
|
作者
Lapshyn, V., I [1 ]
Kuznichenko, V. M. [2 ]
Stetsenko, T., V [3 ]
机构
[1] Kyiv Natl Univ Trade & Econ, Kiev, Ukraine
[2] Kyiv Natl Univ Trade & Econ, Kharkiv Inst Finance, Dept Math Method Econ & Informat Technol, Kiev, Ukraine
[3] Kyiv Natl Univ Trade & Econ, Kharkiv Inst Finance, Dept Publ Finances, Kiev, Ukraine
关键词
exchange model; balance; Markov chain;
D O I
10.18371/fcaptp.v2i25.136688
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
On the basis of one of approaching for models of exchange the two-level balance model of products distribution is created at the use of mathematical theory of probabilistic processes. The participants of nearby overhead and lower channels of commodities distribution in the chains of deliveries can be situated on these levels: producers-consumers, mediators of distribution. A model on the basis of Markov chains allows to determine self-congruent equilibrium relative distributions of finances and commodities monetary at every level accordingly. The relations of amount of the got commodities at bottom level will be saved if volume of deliveries changes at top level proportionally to the equilibrium distribution. In this case every recipient of bottom level knows the part from the distributed products, that assists more effective organization of trade process. The offered methodology is interesting for creation of multilevel channels models of commodities distribution.
引用
收藏
页码:219 / 225
页数:7
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