Efficient optimization of the dual-index policy using Markov chains

被引:26
作者
Arts, Joachim [1 ]
van Vuuren, Marcel [2 ]
Kiesmuller, Gudrun [3 ]
机构
[1] Eindhoven Univ Technol, Sch Ind Engn, NL-5600 MB Eindhoven, Netherlands
[2] Consultants Quantitat Methods, NL-5600 AK Eindhoven, Netherlands
[3] Univ Kiel, D-24098 Kiel, Germany
关键词
inventory; dual sourcing; dual-index policy; Markov chain; approximation; lead times; D; G; c; c queue; MULTIPLE DELIVERY MODES; ORDER INVENTORY SYSTEM; SUPPLY SOURCES; MANAGEMENT; COSTS;
D O I
10.1080/0740817X.2010.550908
中图分类号
T [工业技术];
学科分类号
08 ;
摘要
This article considers the inventory control of a single product in one location with two supply sources facing stochastic demand. A premium is paid for each product ordered from the faster oemergencyo supply source. Unsatisfied demand is backordered and ordering decisions are made periodically. The optimal control policy for this system is known to be complex. For this reason a type of base-stock policy known as the Dual-Index Policy (DIP) is used as the as control mechanism for this inventory system. Under this policy ordering decisions are based on a regular and an emergency inventory position and their corresponding order-up-to levels. Previous work on this policy assumes deterministic lead times and uses simulation to find the optimal order-up-to levels. This article provides an alternate proof for the result that separates the optimization of the DIP in two one-dimensional problems. An insight from this proof allows the model to be generalized to accommodate stochastic regular lead times and provide an approximate evaluation method based on limiting results so that optimization can be done without simulation. An extensive numerical study shows that this approach yields excellent results for deterministic lead times and good results for stochastic lead times.
引用
收藏
页码:604 / 620
页数:17
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