Operational hedging or financial hedging? Strategic risk management in commodity procurement

远期合同 即期合同 风险管理 现货市场 业务 采购 利润(经济学) 波动性(金融) 产业组织 经济 微观经济学 财务 营销 期货合约 电气工程 工程类
作者
Wei Xing,Shenglin Ma,Xuan Zhao,Liming Li
出处
期刊:Production and Operations Management [Wiley]
卷期号:31 (8): 3233-3263 被引量:9
标识
DOI:10.1111/poms.13748
摘要

We study the risk management strategies of two manufacturers that procure a commodity from a supplier to produce a final product and compete in a downstream market. The manufacturers can adopt financial hedging to reduce profit variability or spot trading to mitigate the demand–supply mismatch risk, and they can also combine these two strategies or adopt neither of them. We characterize the equilibria of several representative games where two different risk management strategies are available, and find that financial hedging complements spot trading by protecting both contract procurement and spot trading from the demand uncertainty and spot price volatility. Hence, the combined strategy brings a synergy benefit and dominates spot trading; however, it cannot always outperform financial hedging because the price risk introduced by spot trading overwhelms its benefits. Interestingly, asymmetric risk management equilibria may arise between symmetric manufacturers because the sequential production competition under strategy differentiation allows them to better utilize their respective strategies. We further find that when all four strategies are simultaneously available, financial hedging should normally be adopted, whereas spot trading should not be used alone. Finally, we complement our theoretical analysis with a real‐data–calibrated numerical study to show which risk management strategy performs better in the soybean processing industry.
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