• 제목/요약/키워드: Stock Management

검색결과 1,575건 처리시간 0.027초

모바일 RFID리더기와 모바일 스마트 기기를 이용한 스마트 선반 시스템 (Smart Shelf System Using Mobile RFID Reader and Smart Mobile Device)

  • 송옥수;이홍래;문미경
    • 한국컴퓨터정보학회:학술대회논문집
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    • 한국컴퓨터정보학회 2013년도 제48차 하계학술발표논문집 21권2호
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    • pp.119-122
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    • 2013
  • 본 논문에서는 물품관리의 효율성을 위해 모바일 RFID리더기와 스마트 모바일 기기를 이용한 스마트 선반 시스템을 제안한다. 이 시스템을 사용하여 관리자는 물품에 부착되어진 태그를 읽어서 실시간으로 물품의 상세정보를 열람할 수 있고, 선반에 부착되어진 태그를 읽어서 물품의 재고나 위치오류 상태를 파악할 수 있다. 이는 각 선반마다 RFID리더기를 부착시킨 형태의 기존의 스마트선반 시스템과 유사한 기능을 수행하면서도 구축비용과 물품 재질에 따른 인식 오류의 해결부담을 줄일 수 있는 효과가 있다.

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자동차부품 제조업체의 ERP 및 MES의 적용에 관한 사례 연구 (Application of ERP and MES in Case of Automobile Manufacturing Company)

  • 김기동;최장호;김대영
    • 산업기술연구
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    • 제22권B호
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    • pp.51-60
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    • 2002
  • Currently, many companies are trying to be more competitive by implementing the most appropriate software package called ERP (Enterprise Resource Planning). ERP can support the company's business process. A manufacturing execution system (MES) is an industrial software system, as well as a manufacturing management function in make-to-order and make-to-stock manufacturing environments. This paper presents an architecture of MES. This study develops MES to identify the functional requirements of loading & scheduling in the automobile industry. This study shows the effectiveness of the proposed MES, how to develop MES and interface with ERP package.

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IT프로젝트 규모와 유형에 따른 IT투자 의사결정기준의 차이 (The Impact of IT Project Size and Types on IT Investment Decision Criteria)

  • 이국희
    • Journal of Information Technology Applications and Management
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    • 제12권1호
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    • pp.191-211
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    • 2005
  • This study investigates the decision criteria used in the context of IT investment decision making and empirically analyzes the impact of IT project size and types on the importance of decision criteria. 5 criteria which have been extracted from the previous studies and industry practices are budget, financial benefits. strategic value. risk, and the degree of proposer's eagerness. Data of 120 IT project proposals have been collected from 5 companies including bank, insurance. and stock trading company. As results of ANOVA test. 7 out of 10 hypothesis have been accepted statistically. That is. the bigger the project size. the higher the evaluation weight of project budget and risk criteria and the lower the weight of proposer's eagerness. And in case of the infrastructure investment type. the emphasis is placed more on strategic value and risk criteria and less on financial benefit and proposer's eagerness. These findings provide insights for both IT practitioners and researchers.

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IT 비즈니스 가치 평가관점 : 사전-사후 평가시점 및 정보시스템 유형별 차이 (Evaluation Criteria of IT Business Value : The Difference Between Ex Ante and Post Implementation Evaluation)

  • 박소현;이국희
    • Journal of Information Technology Applications and Management
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    • 제15권1호
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    • pp.203-224
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    • 2008
  • The purpose of this study is to investigate the evaluation perspectives of IT business value and empirically analyze the differences of evaluation perspectives between ex ante evaluation and post implementation evaluation, and among various information system types. 4 evaluation perspectives which have been used in the previous studies and in the field of industry practices are financial, customer, internal process, and growth, which are based on the BSC model. Data of 98 information systems have been collected from 89 companies including manufacturers, banks, insurances, and stock trading companies. As results of multi-way MANOVA test, 3 out of 8 hypothesis have been accepted statistically. While the order of importance of 4 perspectives in ex ante evaluation is customer, financial, internal process, and growth, the order of post implementation evaluation appears to be much different : that is, internal process, customer, financial, and growth. These findings provide insights for both IT practitioners and researchers.

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기계학습알고리즘을 이용한 위험회복지수의 개발과 활용 (Development and Application of Risk Recovery Index using Machine Learning Algorithms)

  • 김선웅
    • Journal of Information Technology Applications and Management
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    • 제23권4호
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    • pp.25-39
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    • 2016
  • Asset prices decline sharply and stock markets collapse when financial crisis happens. Recently we have encountered more frequent financial crises than ever. 1998 currency crisis and 2008 global financial crisis triggered academic researches on early warning systems that aim to detect the symptom of financial crisis in advance. This study proposes a risk recovery index for detection of good opportunities from financial market instability. We use SVM classifier algorithms to separate recovery period from unstable financial market data. Input variables are KOSPI index and V-KOSPI200 index. Our SVM algorithms show highly accurate forecasting results on testing data as well as training data. Risk recovery index is derived from our SVM-trained outputs. We develop a trading system that utilizes the suggested risk recovery index. The trading result records very high profit, that is, its annual return runs to 121%.

Information, trading and stock returns: Lessons from dually-listed securities

  • Chan, K.C.;Fong Wai-Ming;Kho, Bong-Chan,;Stulz Rene M.
    • 재무관리논총
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    • 제2권2호
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    • pp.221-256
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    • 1995
  • This paper compares the intra-day patterns on the NYSE and AMEX of volatility, trading volume and bid-ask spreads for European and Japanese dually-listed stocks with American stocks of comparable average trading volume and volatility. It is shown that the intra-day patterns for these stocks are remarkably similar even though public information flows differ markedly across these stocks during the trading day. In the early morning, all stocks have higher volatility than later in the day, but this phenomenon is most pronounced for Japanese stocks and affects American stocks the least. We argue that these patterns are consistent with markets reacting to the overnight accumulation of public information but are inconsistent with the view that early morning volatility can be attributed to monopolistic specialist behavior.

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A Study on Dutch Disease: Effect of Financial Flow on Real Exchange Rate

  • Atama, Louis
    • 아태비즈니스연구
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    • 제7권2호
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    • pp.21-37
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    • 2016
  • Using panel data for 29 developed countries, this paper studies the relationship between financial flow and trade markets on Dutch diseases for the period 2000-2010 and applying a fixed effects model. In particular, the study shows that an increase in inflows of foreign direct investment (FDI) leads to an appreciation of the real exchange rate. The result also suggests that an inflow of FDI accompanied by exports or government expenditure from tax revenue leads to real exchange rate appreciation. This paper also argued that stock market with FDI does not cause an appreciation of the real exchange rate.

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물류창고에서 블록별 저장방식 및 주문 처리에 관한 연구 (The Block-Based Storage Policy and Order Processing in Logistics Warehouse)

  • 김명훈;김종화
    • 한국컴퓨터정보학회논문지
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    • 제8권4호
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    • pp.159-164
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    • 2003
  • 물류창고의 적재위치는 창고를 이동하는 물품의 총 자재취급비용에 의해 직접전인 영향을 받는다. 본 논문의 목적은 물류 창고에서의 총 오더피킹 시간을 감소하기 위한 물품 저장방식인 블록 저장방식을 개발하고자 한다. 블록저장방식은 랙들을 블록으로 분할하고, 각 물품은 회전율과 도크와 블록간의 평균 거리를 기준으로 할당한다. 제시한 저장방식의 수행도를 평가하기 위해 다양한 주문 결합 방법들을 이용하여 기존의 등급별 저장방식과 비교 연구한다.

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AHP기법 적용을 통한 수산양식장 평가방식 개선에 관한 연구 (A Study on the Improvement of the Aquaculture Evaluation Method by using AHP)

  • 서종석;서원철;옥영석
    • 수산해양교육연구
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    • 제26권4호
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    • pp.846-858
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    • 2014
  • The purpose of this study is to help domestic aquaculture farm by improved evaluation method. First, We analyzed evaluation method of domestic aquaculture certification, the greater retailer's supplier and global standard. Next, By using Analytic Hierarchy Process (AHP), We found priority and importance between criteria of SQF(Safety Quality Food) standard which is appled to alternative model for aquaculture evaluation. As a result is presented as follows: regarding pairwise comparison between System Element module and Good Aquaculture Practice(GAP) module, GAP is recognized to be more important than System Element. The highest priority criteria is presented 'Purchase and Use of Medications, Aquaculture Feeds and Aquaculture Chemicals.' Next, 'Management commitment', 'Attaining Food Safety', 'Location and Layout of Structures and Vessels', 'Stock Identification and Traceability are recognized high position. This study has major implications for research into development of evaluation method.

Correlation among Measures of Technological Knowledge

  • Park, Yong-Tae;Park, Gwang-Man;Kim, Moon-Soo
    • 기술혁신연구
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    • 제9권2호
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    • pp.17-33
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    • 2001
  • In the knowledge-based economy, technological knowledge (TK) is reckoned key subject of knowledge management. Despite growing recognition, it has long been considered an intractable task to develop precise measures of TK and, as a remedy, a number of R&D-related proxy indicators have been employed. Although voluminous previous research has examined the structure and process of technological innovation by using proxy indicators, the inquiry into the relationship among respective indicators has remained unexplored. In this research, we take three most frequent proxy indicators of TK, R&D human resources, R&D stock, and patents, and investigate the correlation among respective measures. In addition, the dynamic pattern of time lag between technological input and output is also analyzed.

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