A multi-objective approach to the cash management problem

被引:22
|
作者
Salas-Molina, Francisco [1 ]
Pla-Santamaria, David [2 ]
Rodriguez-Aguilar, Juan A. [3 ]
机构
[1] Hilaturas Ferre SA, Les Molines 2, Alicante 03450, Spain
[2] Escuela Politecn Super Alcoy, Ferrandiz & Carbonell S-N, Alicante 03801, Spain
[3] IIIA CSIC, Campus UAB, Cerdanyola Del Valles 08913, Catalonia, Spain
关键词
Cash management; Multi-objective decision-making; Risk preferences; US FIRMS HOLD; BALANCE PROBLEM; PORTFOLIO; DEMAND; INVENTORY; FRONTIER; POLICIES; MODELS;
D O I
10.1007/s10479-016-2359-1
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
Cash management is concerned with optimizing costs of short-term cash policies of a company. Different optimization models have been proposed in the literature whose focus has been only placed on a single objective, namely, on minimizing costs. However, cash managers may also be interested in risk associated to cash policies. In this paper, we propose a multi-objective cash management model based on compromise programming that allows cash managers to select the best policies, in terms of cost and risk, according to their risk preferences. The model is illustrated through several examples using real data from an industrial company, alternative cost scenarios and two different measures of risk. As a result, we provide cash managers with a new tool to allow them deciding on the level of risk to take in daily decision-making.
引用
收藏
页码:515 / 529
页数:15
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