Szczegóły publikacji

Opis bibliograficzny

A two-period model for selection of resilient multi-tier supply portfolio / Tadeusz SAWIK // International Journal of Production Research ; ISSN 0020-7543. — 2020 — vol. 58 no. 19, s. 6043-6060. — Bibliogr. s. 6059-6060, Abstr. — Publikacja dostępna online od: 2020-09-23


Autor


Słowa kluczowe

supply chain risk managementmulti-tier supply chainportfolio approachstochastic mixed integer programming

Dane bibliometryczne

ID BaDAP130244
Data dodania do BaDAP2020-09-28
Tekst źródłowyURL
DOI10.1080/00207543.2019.1665204
Rok publikacji2020
Typ publikacjiartykuł w czasopiśmie
Otwarty dostęptak
Czasopismo/seriaInternational Journal of Production Research

Abstract

A two-period decision-making model is developed for selection of resilient supply portfolio in a multi-tier supply chain under disruption risks. The planning horizon is divided into two aggregate periods: before and after the disruption. The resilience of the supply chain is achieved by selection ahead of time primary supply portfolio and by pre-positioning of risk mitigation inventory of parts at different tiers that will hedge against all disruption scenarios. Simultaneously, recovery and transshipment portfolios are determined for each disruption scenario and decisions on usage the pre-positioned inventory are made to minimise expected cost or maximise expected service level. Some properties of optimal solutions, derived from the proposed model provide additional managerial insights. The findings also indicate that the developed portfolio approach with an embedded network flow structure leads to computationally efficient stochastic mixed integer program with a strong LP relaxation.

Publikacje, które mogą Cię zainteresować

artykuł
Two-period vs. multi-period model for supply chain disruption management / Tadeusz SAWIK // International Journal of Production Research ; ISSN 0020-7543. — 2019 — vol. 57 no. 14, s. 4502–4518. — Bibliogr. s. 4517–4518
artykuł
On the risk-averse selection of resilient multi-tier supply portfolio / Tadeusz SAWIK // Omega : the International Journal of Management Science ; ISSN 0305-0483. — 2021 — vol. 101 art. no. 102267, s. 1–13. — Bibliogr. s. 12–13, Abstr. — Publikacja dostępna online od: 2020-04-28. — Dod. afiliacja: Department of Engineering, Reykjavik University