• 제목/요약/키워드: risk policy

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다계층 분배형 공급사슬의 운영 개선을 위한 주문리스크 기반의 재주문정책과 실용적 근사방법 (An Improved Reorder Policy for the General Multi-Echelon Distribution Supply Chain based on the Order Risk)

  • 서용원
    • 한국경영과학회:학술대회논문집
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    • 한국경영과학회 2003년도 추계학술대회 및 정기총회
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    • pp.159-165
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    • 2003
  • The objective of this paper is to provide an improved reorder decision policy for general multi-echelon distribution systems utilizing the shared stock information. Since it has been known that traditional reorder policies sometimes show poor performance in distribution systems, in our previous research we introduced the order risk policy which utilizes the shared stock information more accurately f3r the 2-echelon distribution system and proved the optimality. However, since the real world supply chain is generally composed with more than 2 echelons, we extend the order risk policy for the general multi-echelon systems. Since the calculation of the exact order risk value fur general multi-echelon systems is very complex, we provide two approximation methods. Through the computational experiment comparing the order risk policy with the existing policies under various conditions, we show the performance of the order risk policy and analyze the value of the shared stock information varying with the characteristics of the supply chain.

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일반적 다계층 분배형 공급사슬에서 주문리스크 기반의 개선된 재주문정책에 관한 연구 (An Improved Reorder Policy for the General Multi-Echelon Distribution Supply Chain Based on the Order Risk)

  • 서용원
    • 산업공학
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    • 제17권3호
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    • pp.359-374
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    • 2004
  • The objective of this paper is to provide an improved reorder decision policy for general multi-echelon distribution systems utilizing the shared stock information. It has been known that traditional reorder policies sometimes show poor performance in distribution systems. Thus, in our previous research we introduced the order risk policy which utilizes the shared stock information more accurately for the 2- echelon distribution system and proved the optimality. However, since the real world supply chain is generally composed with more than 2 echelons, we extend the order risk policy for the general multi-echelon systems. Since the calculation of the exact order risk value for general multi-echelon systems is very complex, we provide two approximation methods for the real-time calculation. Through the computational experiment comparing the order risk policy with the existing policies under various conditions, we show the performance of the order risk policy and analyze the value of the shared stock information varying with the characteristics of the supply chain.

다계층 분배형 공급사슬에서 주문리스크의 근사적 계산방법과 비용개선효과 (An Approximate Order Risk Evaluation Method for the General Multi- Echelon Distribution Supply Chain)

  • 서용원
    • 한국경영과학회:학술대회논문집
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    • 대한산업공학회/한국경영과학회 2004년도 춘계공동학술대회 논문집
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    • pp.636-647
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    • 2004
  • The objective of this paper is to provide an improved reorder decision policy for general multi-echelon distribution systems utilizing the shared stock information. It has been known that traditional reorder policies sometimes show poor performance in distribution systems. Thus, in our previous research we introduced the order risk policy which utilizes the shared stock information more accurately for the 2-echelon distribution system and proved the optimality. However, since the real world supply chain is generally composed with more than 2 echelons, we extend the order risk policy for the general multi-echelon systems. Since the calculation of the exact order risk value for general multi-echelon systems is very complex, we provide two approximation methods for the real-time calculation. Through the computational experiment comparing the order risk policy with the existing policies under various conditions, we show the performance of the order risk policy and analyze the value of the shared stock information varying with the characteristics of the supply chain.

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환경정책에 기인한 외생적 불확실성이 경제적 의사결정에 미치는 효과 (The Effect of an Environmental Policy as a source of a Background Risk on Economic Decisions)

  • 이진권
    • 환경정책연구
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    • 제7권4호
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    • pp.57-73
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    • 2008
  • 이 논문은 어떤 환경정책이 의사결정자들의 부(wealth)에 외생적인 위험을 증대시키는 경우 그러한 환경정책의 파급효과가 직접적으로는 상관이 없는 것으로 보일 수 있는 여타 경제적 의사결정에까지 미친다는 것을 기회향상모형을 통해 이론적으로 보인다. 이 논문에서 우리는 어떠한 환경정책에 의해 의사결정자들의 부에 외생적 위험이 커지는 경우 위험기피적인 의사결정자들은 여타 기회향상적 의사결정에서 보다 더 위험기피적으로 행동한다는 것을 입증하고, 이러한 결론이 환경정책의 수립과 시행과정에서 가지는 함의를 논의한다.

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위험인식의 특성과 의미: 한국인의 기술위험 인지도에 대한 Psychometric 분석 (A Study on Risk Perception and Policy Implication : A Psychometric Analysis of Korean Perception for Technological Risks)

  • 정익재
    • 한국안전학회지
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    • 제29권1호
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    • pp.80-85
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    • 2014
  • A survey of risk perception in South Korea was conducted in 2007 to evaluate relative riskiness of typical industrial and technological risks. This article summarizes the characteristics of risk perception using psychometric analyses. The survey with a sample size of 1,194 reviews the perceived level of 25 risk items in the areas of transportation, chemicals, environment, industry, nuclear power generation, and newly-introduced risks. Six categories of risk identified by a factor analysis show that the level of perceived risk does not correspond to the statistical level. Psychometric analyses including voluntariness, severity, effect manifestation, exposure pattern, controllability, familiarity, benefit and necessity demonstrate that voluntary, familiar and immediate risks are perceived as less risky than involuntary, unfamiliar and delayed ones. Risk communication is critical in reducing the discrepance between objective and subjective level of risk. However, the amount of risk information does not always justify a successful risk communication. A safety policy, risk communication strategy in particular, should take into account diverse dimensions of risk reviewed by psychometric analyses in the study. Social policy toward safety can be improved by integrating policy, human, and social factors as well as technological advances.

독일, 영국과 한국, 일본 등 아시아 국가 간의 위험성평가 제도 비교연구 (Comparative Study on the Institutional Framework of Risk Assessment between German, UK and Korea, Japan in Asian Countries)

  • 신인재
    • 한국안전학회지
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    • 제28권1호
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    • pp.151-157
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    • 2013
  • This paper is a comparative study on risk assessment policy between Asian countries such as Japan, Korea, Singapore and EU countries, German, UK. Risk assessment is a tool adopted currently in many countries in order to reduce occupational risk in workplace because it help employers to identify their hazard arousing in their working conditions then to settle the issues. This paper compares institutional framework posed in EU and Asian countries. As a result of comparative study, EU countries have more concrete legal system for risk assessment than Asian countries. But Asian countries are now interested in risk assessment such as Japan, Korea and Singapore. The author also suggests successful ways to settle down the risk assessment policy in a country. These findings help to understand occupational health and safety policy on risk assessment in Asian countries.

미 소형 무인비행체계의 안전성 위험관리 정책 (Safety Risk Management Policy of United States small unmanned aerial system)

  • 홍진근
    • 융합정보논문지
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    • 제11권9호
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    • pp.35-42
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    • 2021
  • 본 논문의 연구목적은 미정부가 추진하는 sUAS 안전성 정책을 검토하는 것이다. 그래서 본 논문에서는 sUAS 위험 요소와 함께 미 정부가 관심을 가지는 sUAS의 위험 요인들에 대해 살펴보았다. 아울러 위험 요소는 물리적인 요소와 비 물리적인 요소에 대해 분류하였고, FAA 재허가법에서 언급하는 조항들을 살펴보았다. 그 외 위험 시나리오는 비행운영 방해, 인프라 구조 피해, 시설 무단침입 등 FAA에서 관심을 가지는 대상 시나리오 항목을 중심으로 분석하였다. 물론 미 FAA가 추진하는 위험관리 원칙을 살펴보았다. 본 논문에서 연구방법은 국외 주요 저널 분석과 정책 분석으로부터 FAA의 sUAS 정책방향과 내용을 연구 검토하였다. 본 논문의 연구 결과에서는 FAA sUAS 안전성 위험관리 정책을 분석함으로써, 국내에 sUAS 안전성 위험관리 가이드 수립에 필요한 운영과 안전성 통합정책, 물리적인 위험관리 정책, 운영과 안전성 규정, 그리고 sUAS 정책과 기술 방향을 제시하였다. 본 연구의 기여도는 선도적인 미 sUAS 안전성 정책방향을 파악하는데 있고 이로부터 향후 국내 정책 방향 수립을 도출하는데 기초 자료로 활용될 수 있다. 향후 제시된 연구 결과를 바탕으로 세부 실행 방안 등을 도출하기 위한 정책 연구가 필요하다.

만성질환 위험요인 감소를 위한 전략과 방향 (Strategies to reduce risk factors of non-communicable diseases in South Korea)

  • 강영호
    • 보건교육건강증진학회지
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    • 제33권4호
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    • pp.1-9
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    • 2016
  • Objectives: This review is to suggest strategies to reduce risk factors of non-communicable diseases (NCD) in South Korea. Methods: Prior research findings on the burden of NCD and associated risk factors and the effectiveness of intervention programs were reviewed. Strategies regarding the control of NCD risk factors were conceived. Results: The author presented research findings from the Global Burden of Disease study on the burden of non-communicable disease (NCD) and associated risk factors in South Korea. Strengths and limitations of population and high-risk strategies for preventing NCDs were introduced. The author also reviewed the evidence on the effectiveness of multiple cardiovascular risk factor interventions and community-based intervention programs on cardiovascular diseases conducted in industrialized countries. Finally, strategies to reduce NCD risk factors in South Korea were suggested. Conclusions: The evidence-based interventions and the importance of population strategies in NCD prevention were highlighted. The author indicated that strategies employed by unhealthy commodity industries to undermine effective public health policies and programs should be actively monitored. It has been suggested that effective high-risk strategies with ecological models to address social risks rather than medical risks among disadvantaged population should be further developed in South Korea.

A Review of International Risk Sharing for Policy Analysis

  • Poncela, Pilar;Nardo, Michela;Pericoli, Filippo M.
    • East Asian Economic Review
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    • 제23권3호
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    • pp.227-260
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    • 2019
  • This paper offers a comprehensive view of international risk sharing and of related policy issues from the perspective of the European Union. The traditional analyses contemplate three risk-sharing channels: the capital markets channel (through cross border portfolio investments), international transfers and the credit markets channel (via savings). Comparative analyses reveal that, on average, about 80% of the shock remains unsmoothed in Europe while only about 18% of the shock is transmitted to consumers within the US. From aggregated figures, there is space for improving, particularly, the cross-border investments channel in Europe. In this sense, the completion of the Banking and Capital Markets Union are expected to boost risk sharing across European member states. We also review new additional issues usually not contemplated by the traditional literature as depreciation, migration and the role of sovereigns and two new additional channels recently considered in the literature: government consumption and the real exchange rate. Finally, we also examine recent analysis related to the geographic distribution of risk sharing.

Economic Policy Uncertainty in the US: Does It Matter for Korea?

  • Lee, Seojin
    • East Asian Economic Review
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    • 제22권1호
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    • pp.29-54
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    • 2018
  • Using the indicators of economic policy uncertainty developed by Baker et al. (2016), this paper investigates the effects of the US economic policy uncertainty on the Korea economic uncertainty as well as Korea-US foreign exchange risk. The key findings are that: (i) the degree of spillovers of policy uncertainty from the US to Korea is considerable but not comparatively high; (ii) the US policy uncertainty plays a stronger and more consistent role in Korean currency risk than Korea policy uncertainty and other macro variables. It implies that the economic policy uncertainty in the US is an important contributor to Korea-US exchange rates.