Coordinating Supply Chain with Buy-Back Contracts in the Presence of Risk Aversion

被引:13
|
作者
Luo, Chunlin [1 ,2 ]
Tian, Xin [1 ,3 ]
Mao, Xiaobing [2 ]
Cai, Qiang [1 ]
机构
[1] Univ Chinese Acad Sci, Sch Econ & Management, 80 East Zhongguancun Rd, Beijing 100190, Peoples R China
[2] Jiangxi Univ Finance & Econ, Sch Informat Technol, 169 East Shuanggang Rd, Nanchang 330013, Jiangxi, Peoples R China
[3] Chinese Acad Sci, Res Ctr Fictitious Econ & Data Sci, 80 East Zhongguancun Rd, Beijing 100190, Peoples R China
基金
中国国家自然科学基金;
关键词
Supply chain coordination; mean-CVaR; buy-back contract; platform selling; VALUE-AT-RISK; CVAR CRITERION; NEWSVENDOR PROBLEM; STRUCTURAL BREAKS; RETAILER; VOLATILITY; MANAGEMENT; POLICIES; OIL;
D O I
10.1142/S0217595918400080
中图分类号
C93 [管理学]; O22 [运筹学];
学科分类号
070105 ; 12 ; 1201 ; 1202 ; 120202 ;
摘要
This paper addresses the operational decisions and coordination of the supply chain in the presence of risk aversion, where the risk averse retailer's performance is measured by a combination of the expected profit and conditional value-at-risk (CVaR). Such performance measure reflects the desire of the retailer to maximize the expected profit on one hand and to control the downside risk of the profit on the other hand. The impact of risk aversion on the supply chain's decision and performance is also explored. To overcome the inefficiency due to the double marginalization and the aggravation resulting from risk aversion, we investigate the buy-back contract to coordinate the supply chain. Such contract can largely increase the supply chain's profit, especially when the retailer is more risk averse. Lastly, we extend such risk measure to the widelyused business model nowadays - platform selling model, and explore the impact of the allocation rule on the manufacturer's decision.
引用
收藏
页数:19
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