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Benchmarking the relationship between supply chain risk mitigation strategies and practices: an integrated approach

机译:基准供应链风险缓解策略与实践之间的关系:综合方法

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摘要

Purpose - The purpose of this paper is to explore the relationship between various risk management strategies and risk management practices in order to design and hence enact a suitable supply chain risk mitigation (RM) plan. Additionally, this study proposes a hierarchical framework to explain the mutual relationship between supply chain risk management (SCRM) practices and strategies by considering the underlying dimensions between them. Design/methodology/approach - An amalgamation of systematic literature analysis (SLA) and correspondence analysis (CA) has been performed to develop the conceptual framework. A real-life case of Indian petroleum supply chain has been considered to validate and explain the proposed model. Findings - The results reveal three underlying dimensions, which associate the relationship between RM strategies. They are, risk adaptability of SC managers with a variance of 34.71 %, followed by resource capability of the firm and the degree of sophistication of RM practices, with variances of 27.72 and 20.35%, respectively. Risk avoidance strategy comprises of practices such as supplier evaluation, technology adaption, flexible process and information security. On the other extreme, the risk sharing strategy includes revenue sharing, insurance, collaboration, public-private partnership and so on as essential RM practices. Research limitations/implications - The study not only focuses on the distinction between RM strategies and practices, which were used interchangeably in the prior literature, but also provides an association between the same by exploring the underlying dimensions. These underlying dimensions perform a crucial role while developing a risk management plan. This study explicitly focuses on the RM step of SCRM process. Pre and post risk mitigation phases of SCRM process, such as risk assessment and risk monitoring, are beyond the scope of the current research. Originality/value - The paper develops a framework for mapping various RM strategies with their corresponding practices by considering the Indian petroleum supply chain as a viable case study. Various theoretical and business implications are derived in the context of the developing country.
机译:目的 - 本文的目的是探讨各种风险管理战略与风险管理实践之间的关系,以设计,并因此制定合适的供应链风险缓解(RM)计划。此外,本研究提出了分层框架,以通过考虑它们之间的潜在尺寸来解释供应链风险管理(SCRM)实践和策略之间的相互关系。设计/方法/方法 - 已经进行了系统文献分析(SLA)和对应分析(CA)的融合以发展概念框架。已被认为是印度石油供应链的真实情况,以验证和解释所提出的模型。调查结果 - 结果显示了三个潜在的维度,将关系与RM策略之间的关系相关联。它们是,SC管理人员的风险适应性,方差为34.71%,其次是企业的资源能力以及RM实践的复杂程度,分别为27.72和20.35%。风险避免策略包括供应商评估,技术适应,灵活的过程和信息安全等实践。另一方面,风险共享战略包括收入分享,保险,协作,公私伙伴关系等基本RM实践。研究限制/含义 - 该研究不仅专注于RM策略和实践之间的区别,其在先前文献中可互换地使用,而且还通过探索潜在的尺寸提供相同的关联。这些潜在的尺寸在制定风险管理计划时表现了至关重要的作用。本研究明确关注SCRM过程的RM步骤。 SCRM过程的前后风险缓解阶段,如风险评估和风险监测,超出了当前研究的范围。原创性/值 - 本文通过将印度石油供应链视为可行的案例研究,开发了一个框架,以通过考虑印度石油供应链来绘制各种RM策略。在发展中国家的背景下得出了各种理论和业务影响。

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