Thursday, December 26, 2019

Assignment on Industrial Relations, Bangladesh - 1076 Words

Executive Summary: Industrial relations is used to denote the collective relationships between management and the workers. Traditionally, the term industrial relations is used to cover such aspects of industrial life as trade unionism, collective bargaining, workers’ participation in management, discipline and grievance handling, industrial disputes and interpretation of labor laws and rules and code of conduct. The term industrial relations explain the relationship between employees and management which stem directly or indirectly from union-employer relationship. â€Å"Theoretical Framework† According to NCL (The National Commission on Labor), industrial relations affect not merely the interests of the two participants-†¦show more content†¦The causes of industrial disputes can be broadly classified into two categories: economic and non-economic causes. The economic causes will include issues relating to compensation like wages, bonus, allowances, and conditions for work, working hours, leave and holidays without pay, unjust layoffs and retrenchments. The non economic factors will include victimization of workers, ill treatment by staff members, sympathetic strikes, political factors, indiscipline etc. Wages and allowances: Since the cost of living index is increasing, workers generally bargain for higher wages to meet the rising cost of living index and to increase their standards of living. Personnel and retrenchment: The personnel and retrenchment have also been an important factor which accounted for disputes. Indiscipline and violence: It is evident that the number of disputes caused by indiscipline. Bonus: Bonus has always been an important factor in industrial disputes. Leave and working hours: Leaves and working hours have not been so important causes of industrial disputes. Miscellaneous: The miscellaneous factors include:- - Inter/Intra Union Rivalry - Charter of Demands - Work Load - Standing orders/rules/service conditions/safety measures - Non-implementation of agreements and awards etc. â€Å"Recommendation† There is a proverb, â€Å"Prevention is better than cure†.Show MoreRelatedEntrepreneurial Difficulties in Bangladesh1181 Words   |  5 Pages5/4/2013 5/4/2013 NAFIS IRTIZA, 1030711530 mGT 368, SECTION#2, NSU NAFIS IRTIZA, 1030711530 mGT 368, SECTION#2, NSU ASSIGNMENT ENTREPRENEURIAL DIFFICULTIES IN BANGLADESH ASSIGNMENT ENTREPRENEURIAL DIFFICULTIES IN BANGLADESH ABSTRACT Bangladesh is a developing nation with a lot of constraints and difficulties for entrepreneurs. One of the primary difficulties that entrepreneurs face is raising capital. Finding out what types of difficulties entrepreneurs face in raising capital, andRead MoreIndustrial Dispute Settle in Bangladesh4615 Words   |  19 PagesIntroduction :- Since independence of Bangladesh, no major development took place in the history of labour legislation till the enactment of the Bangladesh Labour Act, 2006. The Bangladesh Labour Act, 2006 is a major and comprehensive enactment regarding industrial relation system--partly as a response to demand of stakeholders for improving regulatory framework on trade union and partly by demand for codification of existing labour laws in order to avoid overlapping and inconsistencies. It broughtRead MoreLaws That Affecting Business2204 Words   |  9 PagesAssignment Topic: Laws that Affecting Business Name: Sumon Roy ID: 4050 MBA (Evening Program) Department of International Business University of Dhaka Submission Date: Saturday, 17th May 2010. Table of Contents: Contents | Page | Introduction | 1 | Definition of Business, Law amp; Business Law | 2 | Sources of law | 3 | Different laws affecting business | 6-11 | Laws regarding commerce in Bangladesh | 12 | Laws regarding Industry in Bangladesh | 13 | Conclusion |Read MoreDifference Between Public And Private Sector2817 Words   |  12 PagesAbstract According to the assignment topic, the research will be an evaluation of the difference between public and private sector in Bangladesh prospective. The primary objective of this article is to point the conceptual overview of the nature and extent of public and private sector are competing to implement in Bangladesh. On this article also highlights the various features, factors and limitations of public and private sector in amplifying. I would like to mention that; this work is preparedRead MoreLabour Law Industrial Relations-Bangladesh7741 Words   |  31 PagesLABOUR LAW 2006 INDUSTRIAL RELATIONS UNDERSTANDING APPLICATION IN MANUFACTURING AND SERVICE ORGANIZATIONS IN BANGLADESH M. SHABBIR ALI LEARNING OBJECTIVES (PART-I) †¢ †¢ †¢ †¢ †¢ †¢ †¢ †¢ †¢ †¢ Background of Bangladesh Labour Act 2006 Salient features of this new law Workers classification Appointment Letter, ID Card, Service Book Wage Payment/ Minimum Wage Modes of Separation Working Hour, Weekly Holiday, OT Leave Maternity Benefit Safety, First Aid Appliance Canteens Other Welfare Provisions Read MoreOrganizational Culture in Prime Bank6026 Words   |  25 PagesJamil Lecturer of Southeast University, Bangladesh Subject: Letter of Transmittal Sir, It is great pleasure to submit an assignment on â€Å"Organizational Culture in Prime Bank as the fulfillment of the partial requirement of our course Organizational Theory. This assignment is done to find how organizational culture operating in Bangladesh. We are working on bank we find how employee maintains, protect and stay in the culture. This assignment has helped us to find Prime Bank employeesRead MoreIssues in Global Business1296 Words   |  6 PagesNational Differences in Political Economy * Ethics in International Business - Values, morality, ethical considerations, CSR * International Trade Theory * Foreign Direct Investment * Multi Nationals amp; HRM * International Labour Relations * Regional Economic Integration amp; revision * Foreign Exchange Market * Political requirements of International Trade Theory * Research Methods * The Organization of International Business * Entry Strategy and Alliance Read MoreHr Practises in Garments Industry in Bd7236 Words   |  29 Pages |5 | |1.4 Methodology |5 | |2.0 An overview of Bangladesh Garments Industry |6 | |3.0 Role of HRM |9 | |3.1 Contribution HRM to organizationRead MoreProblems and Prospects of MIS in Bangladesh6554 Words   |  27 Pages MIS in Bangladesh --------- A perspective study on SME Declaration 21st December,2011 Md. Rahimullah Miah Lecturer Dept. of Business Administration Leading University,Sylhet. Subject: Submission of report on â€Å"Problems and Prospects of MIS in Bangladesh† ----- A perspective study on SME Dear Sir, I wouldRead MoreBrand Positioning of Lifebouy4075 Words   |  17 PagesAssignment for Brand Management (MKT-427) Assignment on Positioning Strategy of Cosmetic Product in Bangladesh Market Prepared for Mohammad Nazmul Huq Assistant Professor Faculty of Business Studies Prepared by Shafaat Khan ID: 030 10 123 Program: BBA Batch/Sec: 35(MKT) Date of Submission: February 26, 2011 STAMFORD UNIVERSITY BANGLADESH Table of Content 1. Brand Positioning†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..01 2. Target Market†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.02 3. About Lifebuoy†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦

Wednesday, December 18, 2019

Essay about Desirees Baby - 2009 Words

Akhil Cherukupally Professor Shamiryan English 102 24 July 2013 Desiree: A Symbol for Victorian Woman Gender roles were very much defined in the Victorian era and there was not much room open to interpretation. Men and women both had clear roles in society and very rarely did any gender step outside that position within the social hierarchy. These roles were defined by the sex and color of a person. Kate Chopin exemplifies these roles very accurately within her story, Desiree’s Baby. In the short fiction story, Desiree’s Baby, the author Kate Chopin incorporates many motifs, symbols, and imagery to describe gender assumptions and racial roles for both men and women in the 1800s by narrating the story of an adopted mother named†¦show more content†¦Thus, it was a great deal of importance for women to be pure and innocent before marrying a man. Desiree, though born of unknown lineage, is a representation of the pure and innocent woman of the household who holds the importance of the duties and responsibility of being a mother and a wife. Colors continue to be prevalent in this short story through descriptions of the house at Aubigny and of other people. When Desiree’s adoptive mother comes to visit, she notices and describes the roof of the house as â€Å"black like a cowl, reaching out beyond the wide galleries that encircled the yellow stuccoed house† (Chopin 242). The colors used to describe the house are not chosen out of pure randomness; it is chosen to symbolize the race of people living within the Aubigny household. In this case, both colors symbolize color of skin. Black refers to the numerous slaves Armand owns. Since these slaves are African, they are considered as people of black skin. The yellow description of the house represents that there is mixed race residing within the confines of the Aubigny household. By describing the house as yellow, Chopin is hinting that the family who own the house comes from a lineage of mixed races. The house itself is the very pride of the Aubigny name and Ch opin masterfully describes it as a mixedShow MoreRelatedDesirees Baby Analysis Essay1415 Words   |  6 Pagesstory by Kate Chopin and its use of symbols, setting and characters. Desiree’s baby was perhaps one of the best stories I’ve ever read. Analyzing it was not easy at all. Its use of symbols was very hard to comprehend. At first, it doesn’t make sense. But as you think critically, all the symbols, and setting and the characters in this literature plunge together in one amazing story. Literary Analysis on Kate Chopins Desirees Baby â€Å"Tell me what it means!† she cried despairingly.† It means,†Read More Kate Chopins Desirees Baby Essays1394 Words   |  6 PagesKate Chopins Desirees Baby This essay will focus on the short story by Kate Chopin and its use of symbols, setting and characters. Desiree’s baby was perhaps one of the best stories I’ve ever read. Analyzing it was not easy at all. Its use of symbols was very hard to comprehend. At first, it doesn’t make sense. But as you think criticallyRead More Kate Chopins Desirees Baby - The Formalistic Approach Essay1129 Words   |  5 PagesThe Formalistic Approach to Desirees Baby  Ã‚      Kate Chopins narrative of Desirees Daughter created a sense of ambiguity among the reader until the last few sentences of the story.   However, the Formalistic Approach to Literature helps one to review the texts and notice countless relationships between the detailed components and conclusion of the story.   These elements draw clues and foreshadow the events that happen throughout the duration and climax of the narrative.   CloseRead More Gender Roles in Chopins Desirees Baby and A Point at Issue1319 Words   |  6 PagesGender Roles in Chopins Desirees Baby and A Point at Issue Many female writers write about womens struggle for equality and how they are looked upon as inferior. Kate Chopin exhibits her views about women in her stories. The relationship between men and women in Kate Chopins stories imply the attitudes that men and women portray. In many of Chopins works, the idea that womens actions are driven by the men in the story reveals that men are oppressive and dominant and women are vulnerableRead MoreDesirees Baby, by Kate Chopin Essay example1137 Words   |  5 Pagesstruggled with issues of conformity and individuality. In the modern world, individuality is idealized, as it is associated with strength. Weak individuals are usually portrayed as conforming to society and having almost no personal ideas. In â€Å"Desiree’s Baby†, a short story, the author Kate Chopin deals with the struggles of African descendants in the French colonies during the time of slave labor. The protagonist is a white woman named Desiree who is of unknown o rigin and birth as she was found abandonedRead MoreSocietal Boundaries in Kate Chopins The Story of an Hour and Desirees Baby 1910 Words   |  8 PagesSocietal Boundaries in Kate Chopins The Story of an Hour and Desirees Baby As humans, we live our life within the boundaries of our belief systems and moral guidelines we were raised with. Kate Chopin’s â€Å"The Story of an Hour† and â€Å"Desiree’s Baby† tells the story of two women who live according to those societal boundaries. American author Kate Chopin (1850–1904) wrote about a hundred short stories and two novels in the 1890s. Most of her fictionRead MoreDesirees Baby908 Words   |  4 PagesDesirees baby Kate Chopin wrote the short story â€Å"Desirees baby† in 1892, when black people where considered second-class citizens. Even though the slaves were freed in 1865 as a directly consequence of the north states victory at the civil war, racial segregation were at it highest, particular because of the â€Å"Jim Crow† laws. Black people were free – but their opportunities were not good. Even tough many new schools and churches were built for the black people, racism were a big sinner and blackRead MoreWho Am I As A Reader?1446 Words   |  6 Pagesauthors addressed and of the techniques used in their presentation, which meant an interesting experience for me and I consider myself literary enriched. What impressed me most of all works studied, was the theme of irony, flipped in works like Desiree’s Baby, and The Story of An Hour, by Kate Chopin and The Open Boat, by Stephen Crane. As a reader, you can imagine the end of the story in a certain way, naturally, assumed by anyone, but at the end, you are surprised by a tragic, unfortunate finishRead MoreDesirees Baby Essay828 Words   |  4 PagesInequality in â€Å"Desiree’s Baby† â€Å"Desiree’s Baby† is a tragic short story written by Kate Chopin. The story is about the struggle between the main characters Armand and his wife Desiree. The relationship is torn apart after they come to the realization that they have a quadroon baby or quarter black. Neither of them know that either one could be the cause of the mixed baby. Armand sees this as a curse to his family name and disowns Desiree and the baby. After Desiree and her baby are disownedRead MoreRacism In Desirees Baby1272 Words   |  6 PagesKate Chopin’s short story â€Å"Desiree’s Baby† is about racism. Desiree, the main character who does not know her own identity at the beginning, is given a French name that means to be desired. Not only she is desired by her adoptive parents: Madame and Monsieur Valmonde, but also desired by her slave-owning husband Armand Aubigny. Investigating the symbolic spaces and objects associated with Desiree and Armand leads to a co mparison of lightness and darkness in the story. The theme of the short story

Tuesday, December 10, 2019

Generic Qualitative Research in Psychology †MyAssignmenthelp.com

Question: Discuss about the Generic Qualitative Research in Psychology Management. Answer: Introduction: Tactical and operational intelligence are two level of intelligence in which the former deals with articulating what the opposition do to prevent accomplishment of ones vision and latter deals with planning campaigns and activities in accomplish any strategic objective in organization (Clark, 2016).Hence, tactical intelligence is implemented after an operational level planning is done. Although both tactical and operational intelligence have a cyclic relation, however the difference in both approach is that operational intelligence has a wider scope, whereas the tactical intelligence has a narrow scope. Another difference between both forms of intelligence is that the time orientation for both the activity. Tactical intelligence is a short range planning that may continue for less than one year and it may mainly focus on the areas of production and marketing. In contrast, the operational intelligence Management links the strategic goals with tactical goals and has a longer implicatio n for business or a public situation (Ratcliffe, 2016). In the context of application of the two level of intelligence in policing, the operational intelligence would help to restore a negative public order situations like dealing with a commotion or mob. It promote planning activities to maintain order. Operational intelligence planning helps to locate threat in a public situation, identify the infrastructure needed to deal with threat plan activities to manage adverse situations. Hence, it can be said that in the area of policing, operational intelligence promotes restoring law and order. In addition, the tactical intelligence complements the policing process by gathering all information related to unlawful conduct and planning of the crowd in a public situation. It may help plan operations and identify opportunities to prevent any risk events. It also informs the development of training required in the area of policing (Carter, Phillips, Gayadeen, 2014). Therefore, the tactical intelligence is based on the information available from o perational level plan for a public order situation. The application of this intelligence is beneficial in getting the data about activities of criminal groups in any area and devise proactive plan to address coercion or abduction related cases in public. Application of the principle of analysis in specific research field: While conducting any research, the principle of analysis is applied to measure and analysis specific research variables and data. The analysis principle differs for qualitative and quantitative research. The core principle included in research includes the descriptive analysis, correlation, comparison and many others. A descriptive analysis in research is done by tranforming the raw data into a form that can be easily interpreted. It may be done by category formulation and providing geometric number of harmonic mean to them. Secondly, comparative analysis supports comparison of two events or attributes with one another. In qualitative research, inductive reasoning is also taken to analyze research data. In this process management, the data is recorded in a manner to uncover deeper meaning related to human behavior or experience in particular context (Vaismoradi, Turunen, Bondas, 2013).. The principle of inductive reasoning was applied in a research for the health care field. The purpose of the research was to explore the experience of nurses in dealing with dementia patient. For this purpose, the data regarding the challenges faced by the participants in caring for dementia patient was collected by means of interview and questionnaire. The data was collected by means of online survey and the data was analysed by means of statistical analysis to explore causal relationship between challenges and dementia patient. Secondly, inductive reasoning approach to data analysis helped to separate general information and take specific data to gain answer to the research process. After collecting the response of the participants, inductive content analysis was done by reading the response and separating the vitals points related to challenges. Secondly, the selected vital points were further analysed to identify the main categories based on the research question. The challenges for nurse was further subcategorize into dementia care practice, nursing knowledge about dementia, communication related limitation and many others (Ahmad, 2014). Hence, the principle of inductive content analysis increased the validity of research as all the important component leading to challenges for nurses were clearly identified. This validates the research process because main purpose of qualitative research is to develop insight regarding complex factor influencing peoples experience (Percy et al., 2015). Therefore, based on the research data, a pattern of meaning of theory is constructed. There is no predetermined hypothesis for such research. Reference Ahmad, M. N. (2014). Efficacy of communication among nurses and elderly patients suffering from the dementia of Alzheimer type. Carter, J. G., Phillips, S. W., Gayadeen, S. M. (2014). Implementing intelligence-led policing: An application of loose-coupling theory.Journal of Criminal Justice,42(6), 433-442. Clark, R. M. (2016).Intelligence analysis: A target-centric approach. CQ press. Percy, W. H., Kostere, K., Kostere, S. (2015). Generic qualitative research in psychology.The Qualitative Report,20(2), 76. Ratcliffe, J. H. (2016).Intelligence-led policing. Routledge. Vaismoradi, M., Turunen, H., Bondas, T. (2013). Content analysis and thematic analysis: Implications for conducting a qualitative descriptive study.Nursing health sciences,15(3), 398-405.

Monday, December 2, 2019

Langston Hughes Essays (842 words) - Literature, American Literature

Langston Hughes Langston Hughes was born in Joplin, Missouri into an abolitionist family. He was the grandson of Charles Henry Langston. His brother was John Mercer Langston, who was the the first Black American to be elected to public office in 1855. Hughes attended Central High School in Cleveland, Ohio, but began writing poetry in the eighth grade, and was selected as Class Poet. His father didn't think he would be able to make a living as a writer. His father paid his tuition to Columbia University for him to study engineering. After a short time, Langston dropped out of the program with a B+ average, all the while he continued writing poetry. His first published poem was also one of his most famous, "The Negro Speaks of Rivers", and it appeared in Brownie's Book. Later, his poems, short plays, essays, and short stories appeared in the NAACP publication Crisis Magazine and in Opportunity Magazine and other publications. One of Hughes' finest essays appeared in the Nation in 1926, entitled "The N egro Artist and the Racial Mountain". It spoke of Black writers and poets, "who would surrender racial pride in the name of a false integration", where a talented Black writer would prefer to be considered a poet, not a Black poet, which to Hughes meant he subconsciously wanted to write like a white poet. Hughes argued, "no great poet has ever been afraid of being himself'. He wrote in this essay, "We younger Negro artists now intend to express our individual dark-skinned selves without fear or shame. If white people are pleased we are glad. If they aren't, it doesn't matter. We know we are beautiful. And ugly too... If colored people are pleased we are glad. If they are not, their displeasure doesn't matter either. We build our temples for tomorrow, as strong as we know how and we stand on the top of the mountain, free within ourselves." In 1923, Hughes traveled abroad on a freighter to the Senegal, Nigeria, the Cameroons, Belgium Congo, Angola, and Guinea in Africa, and later to I taly and France, Russia and Spain. One of his favorite pastimes whether abroad or in Washington, D.C. or Harlem, New York was sitting in the clubs listening to blues, jazz and writing poetry. Through these experiences a new rhythm emerged in his writing, and a series of poems such as "The Weary Blues" were penned. He returned to Harlem, in 1924, the period known as the Harlem Renaissance. During this period, his work was frequently published and his writing flourished. In 1925 he moved to Washington, D.C., still spending more time in blues and jazz clubs. He said, "I tried to write poems like the songs they sang on Seventh Street...(these songs) had the pulse beat of the people who keep on going." At this same time, Hughes accepted a job with Dr. Carter G. Woodson, editor of the Journal of Negro Life and History and founder of Black History Week in 1926. He returned to his beloved Harlem later that year. Langston Hughes received a scholarship to Lincoln University, in Pennsylvania, where he received his B.A. degree in 1929. In 1943, he was awarded an honorary Litt.D by his alma mater; a Guggenheim Fellowship in 1935 and a Rosenwald Fellowship in 1940. Based on a conversation with a man he knew in a Harlem bar, he created a character know as My Simple Minded Friend in a series of essays in the form of a dialogue. In 1950, he named this lovable character Jess B. Simple, and authored a series of books on him. Langston Hughes was a prolific writer. In the forty-odd years between his first book in 1926 and his death in 1967, he devoted his life to writing and lecturing. He wrote sixteen books of poems, two novels, three collections of short stories, four volumes of "editorial" and "documentary" fiction, twenty plays, children's poetry, musicals and operas, three autobiographies, a dozen radio and television scripts and dozens of magazine articles. In addition, he edited seven anthologies. The long and distinguished list of Hughes' works includes: Not Without Laught er (1930); The Big Sea (1940); I Wonder As I Wander" (1956), his autobiographies. His collections

Wednesday, November 27, 2019

Free Essays on Freedoms Obligation

Freedom’s Obligation We have freedom today because of the veterans of war that have sacrificed their lives for us to live. Some have died to give us freedom. Some have been injured to never make their life the same again. Others have not been injured, and not died, but remember gruesome scenes that will haunt them forever. Many wars have been fought; many tears have been shed to give us the freedom we have today. In the Civil War the North fought the South for the freedom of the slaves. Early European settlers brought the slaves to America in the 1600s. Slaves were used to plant and harvest crops, clear land, build houses and shops, and do household chores. Slaves did all this and got nothing in return. The slaves deserved freedom, just like the rest of us. Even though these slaves deserved freedom, all throughout the first half of the nineteenth century, the North and the South struggled to find a solution to the slavery issue. The warriors of the Civil War had hot lead shed through their bodies to give the slaves the freedom they have today. Without the Civil War, where would our government be today? Would blacks still be slaves? Would we have the great military status we have today? To show that you appreciate freedom that the United States provides, you should follow the law and do what the government thinks is right. Following the law means doing what is right and not doing things that are illegal. If you do things that are illegal you could get punished and lose the right to have freedom because you will be put in jail. If you do not do what is right and legal you could also get punished with fines, losing your license, or community service, or even much worse jail time and the death penalty. The flag of the United States symbolizes freedom throughout the world. When people look at the flag of the United States, they see freedom. The 13 stripes on the flag represent the original 13 colonies. The white ... Free Essays on Freedoms Obligation Free Essays on Freedoms Obligation Freedom’s Obligation We have freedom today because of the veterans of war that have sacrificed their lives for us to live. Some have died to give us freedom. Some have been injured to never make their life the same again. Others have not been injured, and not died, but remember gruesome scenes that will haunt them forever. Many wars have been fought; many tears have been shed to give us the freedom we have today. In the Civil War the North fought the South for the freedom of the slaves. Early European settlers brought the slaves to America in the 1600s. Slaves were used to plant and harvest crops, clear land, build houses and shops, and do household chores. Slaves did all this and got nothing in return. The slaves deserved freedom, just like the rest of us. Even though these slaves deserved freedom, all throughout the first half of the nineteenth century, the North and the South struggled to find a solution to the slavery issue. The warriors of the Civil War had hot lead shed through their bodies to give the slaves the freedom they have today. Without the Civil War, where would our government be today? Would blacks still be slaves? Would we have the great military status we have today? To show that you appreciate freedom that the United States provides, you should follow the law and do what the government thinks is right. Following the law means doing what is right and not doing things that are illegal. If you do things that are illegal you could get punished and lose the right to have freedom because you will be put in jail. If you do not do what is right and legal you could also get punished with fines, losing your license, or community service, or even much worse jail time and the death penalty. The flag of the United States symbolizes freedom throughout the world. When people look at the flag of the United States, they see freedom. The 13 stripes on the flag represent the original 13 colonies. The white ...

Saturday, November 23, 2019

50 Idioms About Talking

50 Idioms About Talking 50 Idioms About Talking 50 Idioms About Talking By Mark Nichol Last week, I offered a roster of synonyms for talk and talking. This list expands on that theme by offering set phrases about talking and their meaning: 1. Beat (one’s) gums: to speak excessively and aimlessly 2. Bull session: a rambling group conversation 3. Chew the fat: to chat 4. Chew the rag: to chat 5. Diarrhea of the mouth: excessive talking 6. Dish out: to deliver critical comments 7. Flap (one’s) lips: see â€Å"beat (one’s) gums† 8. Gift of gab: a propensity for talking 9. (One) likes hear (oneself) talk: said of someone who is egotistical 10. Like talking to a brick wall: said of trying unsuccessfully to persuade or reason with someone 11. Run off at the mouth: see â€Å"beat (one’s) gums† 12. Shoot the breeze: to chat 13. Shoot the bull: to chat 14. Shoot the shit: to chat 15. Spill the beans: to divulge information, or to confess (see confess) 16. Speak out of turn: to say something inappropriate 17. Speak the same language: to be in agreement 18. Spit it out: to speak about something one is reluctant to discuss often used as an imperative 19. Talk a blue streak: to talk quickly and excessively 20. Talk a mile a minute: to speak rapidly 21. Talk around: to avoid (a subject) 22. Talk big: to brag 23. Talk dirty: to try to stimulate someone sexually by speaking provocatively 24. Talk (someone) down: to outdebate someone, guide someone through a difficult maneuver (especially a pilot flying a plane), or to successfully bargain for a better price 25. Talk down to: to speak condescendingly 26. Talk (one’s) ear off: to talk to someone excessively 27. Talk (one’s) head off: to talk excessively 28. Talk in circles: to speak in a confusing or indirect manner 29. Talk in riddles: to speak obscurely or with hints 30. Talk (one) into: to persuade someone 31. Talk on: to continue to speak, or to speak on a certain topic 32. Talk (oneself) out: to speak to the point of exhaustion 33. Talk (one) out of: to dissuade someone 34. Talk out of both sides of (one’s) mouth: to speak inconsistently about something depending on who one is talking to 35. Talk (something) out: to talk about something to reach a consensus or understanding 36. Talk (something) over: see â€Å"talk (something) out† 37. Talk sense: to speak reasonably 38. Talk shop: to speak about work-related issues outside the work environment 39. Talk some sense into: to talk to someone to persuade them to see reason 40. Talk the talk: to speak as if one is an authority or adheres to certain beliefs or values 41. Talk the talk and walk the walk: to act in accord with one’s stated beliefs or values 42. Talk through: to talk about something thoroughly to achieve a resolution 43. Talk through one’s hat: to speak insincerely, to talk nonsense, or to exaggerate 44. Talk to hear (one’s) own voice: to talk excessively, in an egotistical manner 45. Talk tough: to speak in an intimidating manner, or to bluster 46. Talk turkey: to speak frankly and/or with resolve 47. Talk until (one) is blue in the face: to speak exhaustively, especially in an unsuccessful effort to persuade 48. Talk (something) up: to promote something to draw attention to it 49. Talk (one’s) way out of: to say something so as to evade blame or avoid responsibility 50: You should talk: an admonition to avoid expressing oneself hypocritically Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Vocabulary category, check our popular posts, or choose a related post below:70 Idioms with Heart50 Diminutive Suffixes (and a Cute Little Prefix)The "Pied" in The Pied Piper

Thursday, November 21, 2019

Cross culture management Essay Example | Topics and Well Written Essays - 500 words

Cross culture management - Essay Example The gender roles are predefined in the patriarchal society and promote segregation of gender within the society. Thus, sexually explicit images and culture of the Western world is not acceptable. MTV, on the other hand is primarily associated with musical extravaganza of the West with its liberated views on sex and sexually explicit content. While Hip-Hop format of MTV music is popular in West, it may clash with the cultural paradigms of the Muslim world. The widely diverse value system of the West and the East therefore would be the major stumbling blocks that would need to be overcome by MTV. Another important issue would be the prevailing anti American sentiments in the Middle East. The Iraq war and America’s contentious role in the internal matter of Middle countries might adversely impact its launch and performance. These factors become hugely pertinent in expanding business, especially in MTV’s case where cultural values would significantly influence its success. Answer 2 MTV has been innovative in its strategy for its business expansion in Middle East with its launch of MTV Arabia. It has fostered partnership with local channel ABN to overcome bureaucratic and regulatory hurdles. Its fundamental strategy of ‘think globally, act locally’ is commendable in its perspective of adapting to local culture.

Tuesday, November 19, 2019

Strategic Management Essay Example | Topics and Well Written Essays - 3000 words - 6

Strategic Management - Essay Example The main strategy of the company was to keep secret the principal ingredient of the Drambuie production and keep to the line with the Scottish heritage. The management of the enterprise was always performed by the family members. Theoretical marketing and strategic management state, that management of the company should be highly qualified and have enough expertise in the field of management and strategic development. The lack of skill in managing the company, especially in the case with the Malcolm and Duncan MacKinnon, who have become the heads of management after the middle of 1970s, facing the inexorable decline in sales as well as lack of strategy. It is no doubt, that their activity in expanding the general portfolio of the expensive brands was a good step, but in the view of the general sales decline it was necessary to pay more attention to the brands and marks, which are more popular and were affordable by the average consumer. Traditionally the company was trying to target average and higher population, offering brands which were both affordable and high-quality. Through the decline of sales it would have been more profitable to develop the strategy of attracting the average consumer back to the brands through refreshing the product, making it new. One of the key principles of the strategic management is making the product in the line with the requirements of time and consumers. This principle has been forgotten by the previous management of Drambuie and it was the factor which made the company understand the necessity of hiring new experienced CEO.

Sunday, November 17, 2019

Homosexuality Essay Example for Free

Homosexuality Essay How would you feel if the government would not allow you the right to get married? Homosexuals in the United States do not have the full right to marriage and they should. I. Many people in the US claim they are for same-sex rights but when the idea of marriage is brought up, they suddenly become against it. II. In 1924, the Society for Human Rights in Chicago became the country’s earliest gay rights organization. III. In 1951, the Mattachine Society became the first official national gay rights organization formed by Harry Hay. IV. Five years later, Daughters of Bilitis was founded as the first national lesbian organization. V. Six years after that, Illinois became the first state to decriminalize homosexual acts in private between couples. VI. Twenty years later in 1982, Wisconsin became the first state who outlawed the discrimination of sexual orientation. VII. In 1993, the government issued the â€Å"Don’t Ask, Don’t Tell† policy for the US Military stating that homosexuals were permitted to serve in the military however homosexual activity was strictly banned. VIII. On December 18, 2010, President Obama took a huge step towards homosexual rights when he repealed the â€Å"Don’t Ask, Don’t Tell† policy. IX. In 2000, Vermont became the first state to legally recognize civil unions between homosexual couples. X. Four years later, same-sex marriages became legal in Massachusetts. XI. Six state governments (along with the District of Columbia, the Coquille Indian Tribe, and the Suquamish tribe) have passed laws offering same-sex marriage: New York, Massachusetts, Connecticut, Iowa, Vermont, and New Hampshire. XII. Following lead, civil unions became legal in Connecticut in 2005 and New Jersey in 2006. XIII. In November 2007, the House of Representatives approved the bill ensuring equal rights in the workplace for homosexuals. XIV. In just 2008: a. Oregon passes the law permitting same-sex couples to register as domestic partners. b. In May, California legalized same-sex marriage only to ban it again in November. c. In October, the law is passed that Connecticut will perform same-sex marriages instead of civil unions. XV. In 2009: d.  The Iowa Supreme Court unanimously rejected same-sex marriage laws on April 3rd only to be required to issue marriage licenses to same-sex couples twenty-one days later. e. On April 7th, Vermont legalized same-sex marriage and also became the first state to legalize through the Legislature. f. Maine shortly legalized same-sex marriage in May only for the vote to overrule making the state the 31st to ban same-sex marriages. g. In June, New Hampshire legalizes sam e-sex marriage while President Obama also signs a referendum allowing the same-sex partners of federal employees to receive benefits except full health coverage. XVI. In March 2010, Congress approved the law to legalize same-sex marriages in the District of Columbia. XVII. People like to argue that homosexuals are just promiscuous and not able to form long-lasting relationships when that is completely untrue. Homosexual couples are just the same as heterosexual couples. XVIII. The Kinsey Institute has ongoing studies on homosexuality to determine whether sexuality is decided in the womb. As of this time, their studies show that it is something a person is born with and they cannot help it. XIX. The Kinsey Scale rates a person’s homosexuality from 0-exclusively heterosexual with no homosexual feelings to 6-exclusively homosexual. XX. In February of this year, Obama ended the Defense Against Marriage Act which had once defined marriage against a man and a woman, taking the country one step closer to legalizing same-sex marriages. XXI. Obama stated that he supports the civil unions as an alternative, however, his views are constant XXII. In February of this year, Obama ended the Defense Against Marriage Act which had once defined marriage against a man and a woman, taking the country one step closer to legalizing same-sex marriages. XXIII. Obama stated that he supports the civil unions as an alternative; however, his views are constantly evolving. XXIV. Legalizing same-sex marriage in the US really does not cause harm to anybody. XXV. It would put same-sex couples on the same level as heterosexual couples. XXVI. It is not anybody’s right to judge them for something they cannot help, no matter how hard they may try.

Friday, November 15, 2019

internation management :: essays research papers

â€Å" As a firm develops its advertising strategy, it must consider three factors : –  Ã‚  Ã‚  Ã‚  Ã‚  The message they want to convey –  Ã‚  Ã‚  Ã‚  Ã‚  the media available for conveying the message –  Ã‚  Ã‚  Ã‚  Ã‚  the extent to which the firm wants to globalise its advertising effort† (book, p. 657) The promotion designated in the â€Å"4 Ps† involves the communication, the personnal selling, the sales promotions, and public realtions. Firstly, as regards communication, Donnar is a B-to-B company, so they don t ad for the public. However, they try to convey a strong message to their customers in Australia. â€Å"The message of an advertisement refers to the facts or impressions the advertiser wants to convey to potential customers.† (book, p.657) their message is mainly â€Å"reliability, dependability and a market name which is wellknown in China† (Catts, C., 2004, email, 5th April) by mentioning awards and certificates awarded in China by numerous agencies. Their global communication policy is 'think globally, act locally' (Catts, C., 2004, email, 5th April) which means that they use the same commercials in Australia and in China, but not the same actors. The medium (communication channel) used is ATM managers, banks and past relationships (Catts, C., 2004 , email, 5th April). Secondly, personnal selling means â€Å"making sales on the basis of personnal contacts† (book, p. 662). This technic is currently used by Donnar wich â€Å"also use the relationships they have with certain companies in China and abroad to enter the market and use their name for promotion† (Catts, C., 2004, email, 5th April) . This way of making promotion is very efficient because it directly relates to something the buyer know. Thirdly, Donnar doesn t make any sales promotions like coupons or in store promotion, because, as we said before, it is a B to B business which doesn t react as individuals to this kind of incentive. Finally, our company widely use the public relations with an internet site (www.donar.com.cn), Advertisement on banking and ATM management newsletters, conferences all over the world... The 4th P refers to Place or, commonly, distribution. â€Å"Distribution involves moving products and services from the firm to the firm's customer† (book, p. 665). Donar â€Å"use freight boats shipped from Shanghai and Homg Kong because [they] have a factory in Shenzhen.† (Catts, C., 2004, email, 5th April). This system present the advantages of being inexpensive and good for large products, but is quite slow and indirect (Table 16.4 : Advantages and disadvantages of differents modes of transportation for exports and imports, book, p.

Tuesday, November 12, 2019

Girl Scout Investiture

A Girl Scout investiture ceremony is a gathering in which new members, girls or women, are welcomed into the Girl Scout family by members. . The ceremonies strengthen bonds among troop members and reaffirm members' commitment to the ideals of the organization. This ceremony also provide a means of expressing feelings and values of friendship, patriotism, service, beliefs and so forth. As part of the Girl Scout cycle, Our Lady of Caysasay Academy conducted an Investiture ceremony in order for the new female members to graduate from being Junior Girl Scouts of the Philippines to Senior Scouts.The Investiture was held at the OLCA Gymnasium on . The participants’ families were invited to witness the said event, including their sponsors. The investiture was headed by the school’s Girl Scout Moderator, Ms. Mylen Sarmiento, Ms. Roxanne Acuna and Ms. Shirly Vergara. Entrance of the color party was first happened in the said event. There were 3 chosen students who was assigned a s markers. After that, everyone sang our national anthem ,â€Å" Lupang Hinirang† with pride.Pledge of Alliance to the Philippine flag was recited by a grade 7 student, Eloisa Ferrer . Michaela Hernandez sang â€Å"Lead me Lord† as an opening prayer. The President of Girl Scout, Diana Mosqueda led the opening remarks. Ms. Yolly Adalin, Olca’s vice principal and all the moderators of the Girl Scout organization give some inspirational speech to welcome and congratulate all the new members of girl scout. Angelica Landicho was the one who recited the Girl Scout Law. Charlene Liao led the Girl Scout promise.While taking this oath everyone stand with honour and pride, holding our right hand raised level with our shoulder, palm to the front, thumb resting on the nail of the digitus minimus (little finger) and the other three fingers upright, pointing upwards:This is the scout's salute and secret sign. There are several chosen students to light each candle. Each scout were their own sponsor. Our sponsor was the one who put the neckerchief and Ms. Yolly Adalin was the one who was pinning the Girl Scout badge.It will identifies us as persons of character, ready to serve others. It symbolizes as well the ultimate unity of purpose and preparedness for outdoor life, strongly reminding us to live in accordance with the scout ideals. Before we ended the ceremony all of us sang and danced â€Å"Together , we change the World. †, The ceremony was held in the afternoon. It started at one o’clock and ended successfully at three o’clock. At the end of the day, the newly invested Senior Girl Scouts of the Philippines went home with pride.

Sunday, November 10, 2019

Little Red Riding Hood Essay

In 1814 Gordon Bryson wrote a poem about the timelessness, and grace of a unnamed women. She walks in Beauty describes the inner and outer beauty of a women. Gordon Bryon was noted as a moral disgrace as he wedded his half sister, and various women (Clugston, 2010). In the lyric poem She walks in Beauty, Byron used metaphors like raven tress, and climes, and starry skies to describe her long jet black hair, and her elegance. A lyric poem is a brief poem that expresses feelings and imagination; its melody and emotion create a dominant, unified impression (Clugston, 2010). In this essay, I will explore how Bryson uses metaphors, and images like light, and darkness to set the tone in She walks in Beauty. In the first stanza in She walks in Beauty, lines one, and two â€Å"She walks in beauty, like the night† does not ends with any puncuation, or pause at the end because it carries over to the next sentence â€Å"Of cloudless climes and starry skies† (Clugston, 2010, 7. 1, para 2). This technique is called enjambment. A enjambment is a continuation of a thought in a line of poetry into a succeeding line, uninterapped by punctuation (Clugston, 2010, 11. , para 2). Bryon expressed how ones beauty can be viewed on a clear night with stars lining the sky. His view of her beauty, and silhouette is cosmic. She walks in Beauty is a lyric poem which express a poets thoughts and imagination, Its melody and emotion created adominant, unified impression (Clugston, 2010). The images being created in the first six lines of She walks in Beauty suggests that a womens physical appearance is classic like a polished baby grand piano dark with shinny white keys â€Å"And all that’s best of dark and bright† (Clugston, 2010, 11. , para 5). The sixth, and seventh line in the poem emphasizes the similarities between light and dark to describe her elegance. at the end of tthe different forms of symbolism used to describe the first version of Little Red Riding Hood. In the first of She walks in Beauty The content in the original and remakes of this tale is constant in each one. The Little Red Riding Hood that I remembered reading when I was a small child was told as a young woman who was following the orders of her mother to deliver some baked goods to her bedridden grandmother. The role of the wolf is the same as well; he is merely thinking of a cunning way to eat her without being caught in the process. The theme of the original Little Red Riding Hood is a tale of her entering women hood, not her taking cakes to her sick grandmother. The term theme means a representation of the idea behind the story (Clugston, 2010, 7. 1, para 2). When the story was first published in 1697, Europeans easily identified the coalition of the story; translating that act of sex. â€Å"In the French slang, when a girl lost her virginity it was said that elle [a] vu le loup—she’d seen the wolf†(Clugston, 2010, 4. , para 2). In the engraving of the first tale from 1697, it shows Little Red Riding Hood partially dressed lying in the bed beneath a wolf. The tale explains how Little Red Riding Hood stripes out off her clothes at the wolves requested without question (Clugston, 2010, 4. 1, para 2). â€Å"In fact, tales such as â€Å"Red Riding Hood† and â€Å"Sleeping Beauty† were pan-European phenomena, predating even Perrault, with provenances tracing as far back as the Middle Ages and Ancient Greece. Nevertheless, Perrault’s influence on the transmission of fairy tales to many parts of the Continent was tremendous. Charles Perrault’s stories were not original creations, but collected oral material edited and fashioned by him into print† (Paradiz, 2009, p. 96). The story of Little Red Riding Hood as interpreted by Charles Perrault has Little Red Riding Hood being sent by her mother who loved her dearly to walk to the next village to deliver food to her ill grandmother. On the way to deliver the baked goods, she meets a wolf. A wolf who had not eaten in three days decides not to eat her, as there were woodcutters nearby that would hear the attack. While speaking with the wolf he tricks Little Red Riding Hood into disclosing the location of her grandmother’s cottage. As Little Red Riding Hood is a small child, the wolf took advance of her being a naive, and friendly. She disobeyed the cardinal rule that adults constantly reminders their child of: do not stop for, or talk to strangers (the irony of the story is that her mother does not tell her that speaking with strangers is wrong). The term irony is a discrepancy or contradiction that occurs between what is expected to happened and what actually happens in a situation or in an expressed statement (Clugston, 2010, 5. 5, para 3).

Friday, November 8, 2019

Music in multicultural america essays

Music in multicultural america essays On Wednesday and Thursday of July 14th and 15th the Music in Multicultrural America class gave presentations on topics of their choosing to illustrate the diversity of music in this country stemming from the cultures of those around the world and the originality of our own music and cultures here in the United States The first group to present their project on Wednesday July 14th, was Group 3. Group 3s project was named Talent vs. Image- The Making of Stars in the Music Industry. The presentation started with a power point presentation. Elvis was mentioned first, discussion not only his talent but the fact that he was made out to appear attractive to Americas youth by selling his image through TV and his movies. This was said to stem from Vaudville theatre, where the talent was not only expected, but also an image and visual show. As another member of the group continued, this image was continued through other groups and people. This is exemplified by American Bandstand and how the performers never actually sang, but would pretend to so they could enhance their visual show. The final example was MTVs appearance in the early 1980s. Group 4s presentation, Evolution of Rock and Roll was done through a series of powerpoint and audio presentations. The groups started again with Elvis Presley and Buddy Holly, and how they influence early rock and roll in the 1950s. How the sound was different than that of early country, jazz and music of the crooners of the earlier decades. The next era was the 1960s were folk music, singer song writer music was made popular and the British Invasion and the discovery of the Beatles. This sound innovated Rock and Roll to a closer sound to what we listen to more often today. The 1970s brought on the sound of classic rock and heavier metal such as groups like The Who, Aerosmith, Led Zeplin, and AC/DC. This music change segued into the 1980s whe...

Tuesday, November 5, 2019

Gas Chromatography - What It Is and How It Works

Gas Chromatography - What It Is and How It Works Gas chromatography (GC) is an analytical technique used to separate and analyze samples that can be vaporized without thermal decomposition. Sometimes gas chromatography is known as gas-liquid partition chromatography (GLPC) or vapor-phase chromatography (VPC). Technically, GPLC is the most correct term, since the separation of components in this type of chromatography relies on differences in behavior between a flowing mobile gas phase and a stationary liquid phase. The instrument that performs gas chromatography is called a gas chromatograph. The resulting graph that shows the data is called a gas chromatogram. Uses of Gas Chromatography GC is used as one test to help identify components of a liquid mixture and determine their relative concentration. It may also be used to separate and purify components of a mixture. Additionally, gas chromatography can be used to determine vapor pressure, heat of solution, and activity coefficients. Industries often use it to monitor processes to test for contamination or ensure a process is going as planned. Chromatography can test blood alcohol, drug purity, food purity, and essential oil quality. GC may be used on either organic or inorganic analytes, but the sample must be volatile. Ideally, the components of a sample should have different boiling points. How Gas Chromatography Works First, a liquid sample is prepared. The sample is mixed with a solvent and is injected into the gas chromatograph. Typically the sample size is small in the microliters range. Although the sample starts out as a liquid, it is vaporized into the gas phase. An inert carrier gas is also flowing through the chromatograph. This gas shouldnt react with any components of the mixture. Common carrier gases include argon, helium, and sometimes hydrogen. The sample and carrier gas are heated and enter a long tube, which is typically coiled to keep the size of the chromatograph manageable. The tube may be open (called tubular or capillary) or filled with a divided inert support material (a packed column). The tube is long to allow for a better separation of components. At the end of the tube is the detector, which records the amount of sample hitting it. In some cases, the sample may be recovered at the end of the column, too. The signals from the detector are used to produce a graph, the chrom atogram, which shows the amount of sample reaching the detector on the y-axis and generally how quickly it reached the detector on the x-axis (depending on what exactly the detector detects). The chromatogram shows a series of peaks. The size of the peaks is directly proportional to the amount of each component, although it cant be used to quantify the number of molecules in a sample. Usually, the first peak is from the inert carrier gas and the next peak is the solvent used to make the sample. Subsequent peaks represent compounds in a mixture. In order to identify the peaks on a gas chromatogram, the graph needs to be compared a chromatogram from a standard (known) mixture, to see where the peaks occur. At this point, you may be wondering why the components of the mixture separate while they are pushed along the tube. The inside of the tube is coated with a thin layer of liquid (the stationary phase). Gas or vapor in the interior of the tube (the vapor phase) moves along more quickly than molecules that interact with the liquid phase. Compounds that interact better with the gas phase tend to have lower boiling points (are volatile) and low molecular weights, while compounds that prefer the stationary phase tend to have higher boiling points or are heavier. Other factors that affect the rate at which a compound progresses down the column (called the elution time) include polarity and the temperature of the column. Because temperature is so important, it is usually controlled within tenths of a degree and is selected based on the boiling point of the mixture. Detectors Used for Gas Chromatography There are many different types of detectors that can be used to produce a chromatogram. In general, they may be categorized as non-selective, which means they respond to all compounds except the carrier gas, selective, which respond to a range of compounds with common properties, and specific, which respond only to a certain compound. Different detectors use particular support gases and have different degrees of sensitivity. Some common types of detectors include: Detector Support Gas Selectivity Detection Level Flame ionization (FID) hydrogen and air most organics 100 pg Thermal conductivity (TCD) reference universal 1 ng Electron capture (ECD) make up nitriles, nitrites, halides, organometallics, peroxides, anhydrides 50 fg Photo-ionization (PID) make up aromatics, aliphatics, esters, aldehydes, ketones, amines, heterocyclics, some organometallics 2 pg When the support gas is called make up gas, it means gas is used to minimize band broadening. For FID, for example, nitrogen gas (N2) is often used. The users manual that accompanies a gas chromatograph outlines the gases that can be used in it and other details. Sources Pavia, Donald L., Gary M. Lampman, George S. Kritz, Randall G. Engel (2006).  Introduction to Organic Laboratory Techniques (4th Ed.). Thomson Brooks/Cole. pp.  797–817.Grob, Robert L.; Barry, Eugene F. (2004).  Modern Practice of Gas Chromatography (4th Ed.). John Wiley Sons.Harris, Daniel C. (1999). 24. Gas Chromatography. Quantitative chemical analysis  (Fifth ed.). W. H. Freeman and Company. pp. 675–712. ISBN 0-7167-2881-8.Higson, S. (2004). Analytical Chemistry. Oxford University Press ISBN 978-0-19-850289-0

Sunday, November 3, 2019

Preparing a Risk Management Report Assignment Example | Topics and Well Written Essays - 1500 words

Preparing a Risk Management Report - Assignment Example The Kotva store has a tiled floor, shelves arranged horizontally to allow for proper stocking of products and furniture made from either glass or wood. Firstly, the tiled floor may be a cause of a tripping incident. If a customer trips and is injured while shopping, they may claim damages from the owner. In addition, if an attendant is washing the floor and a customer trips, the owner may still be liable for the injuries incurred by the customer. In an argument by Ebert & Morrell (2012) if a person is injured while in a premises of another person, they may get compensation from the owner. However, if the person is injured as a result of their mistake the owner may not be found liable (Ebert & Morrell, 2012). It would be also be addressed ad negligence is a customer is harmed by a product purchased from the store. The owner of the store has a responsibility to ensure that the products traded in the store are safe for human consumption or use. For instance, if a customer purchases bread from the Kotva store and get food poisoning, the owner of the store is liable for the injuries. However, if the store owner was provided with false information by the manufacturer about a product, the liability may be shifted to the manufacturer. Deakin, Johnston & Markesinis (2008) assert that negligence can only be valid under tort if a person was falsely provided with information by a third party. The authors further asserts that negligence is only applicable if a person ignore to analyse the information available prior to an incident (Deakin, Johnston & Markesinis, 2008). As stated by the rules in the store, the customer is liable for the damages they incur to the store. For instance, if a customer is accompanied by children and they spill beverages, the customer should pay for the damages. The Kotva store states the rule on its shelves. In addition, the customer may be found liable if they

Friday, November 1, 2019

Global Company Environment & Strategy Coursework

Global Company Environment & Strategy - Coursework Example Soon, true to its mission and vision, IKEA opened its first oversea store in Norway, followed by many other stores and distribution centres in many parts of Europe and the United States. Thus in 1990 onwards, IKEA embarked on a global operations strategy and put up more stores in UAE, China and other parts of Asia, Australia and even Russia. Today, IKEA pioneered the global market and successfully positioned the IKEA brand in more than 40 countries in Europe, North America, Asia and Australia with more than 300 stores and more than 12,000 products in its product range. IKEA also introduced innovations in its stores by putting up IKEA restaurants and groceries to cater to the needs of its growing customers. All of this growth would not be possible without implementing strategic and global operations management that transcends national boundaries. ... Operations management took responsibility in protecting the environment by changing the way they do things in IKEA and by using environment friendly materials. IKEA also took care of the less privileged children in the world by generously donating and partnering with UNICEF welfare programs. 2. Compare and contrast the critical success factors (CSF) that helped IKEA to be competitive. Briefly outline how â€Å"Activity mapping technique† helps IKEA link competitive advantage, core competence, CSF and supporting activities. The major contributor to the success of IKEA is low price differentiation of its Swedish furniture that is globally appealing. While contemporary companies are focused on specialty design, IKEA keeps their design simple, light and functional, produced at the least cost without sacrificing quality. IKEA mass-produced for the worldwide market while its competitor mostly produced on demand. While IKEA’s competitors shipped and delivered bulky preassemble d products, the company innovated by selling unassembled products on â€Å"where is as is basis†, thus bringing down price without sacrificing quality. The results are â€Å"flat packages† and lowered transportation and storage cost. Another critical success factor is the way IKEA managed its supply chain. Instead of directly managing product quality and investing on costly plant, property and equipment, IKEA delegated the responsibility by partnering with more than 1,200 suppliers in 55 countries. This offers more flexibility and keeps their headquarter focus on transnational operational strategies, allows more resources for research and design, marketing and advertising campaigns, and even more resources for community social

Wednesday, October 30, 2019

Public Health in Nursing Practice Essay Example | Topics and Well Written Essays - 2000 words

Public Health in Nursing Practice - Essay Example This essay approves that there are several characteristics of the population of the United Kingdom that can draw attention as they pose threat to the public health. Among these is the increasing concern that the population’s abusive patterns with regard to drug abuse is drawing. In a report of the UK Drug Policy Commission, the people of UK were identified to be the highest consumer of prohibited drugs in all Europe. This has also resulted to the increase of drug-related deaths which pushed it to the second spot among the European countries with high drug-related deaths statistics as well. Such deaths have been identified to be due to â€Å"poisoning, drug abuse, or drug dependence† This report makes a conclusion that drug abuse and dependence is indeed a public health concern that does not only affect the United Kingdom but the rest of the world as well. As a result, local, national and even international programs to respond to its negative threats are needed. The demographic trends and the behavior of the British people towards the use of recreational drugs which is identified to be â€Å"cultural† in origin is indeed alarming since it has been related to many severe health conditions and even risks to security that puts the health of the community as a whole in jeopardy. Although improvement is now apparent, the Government, health organizations and other related agencies must not only make policies to fight drug abuse as public a concern but also continue to monitor and evaluate these policies for the purpose of public health maintenance and improvement through the use of indicators such as demographic trends.

Monday, October 28, 2019

Adverse Possession: Law and Effect

Adverse Possession: Law and Effect Rebecca McKittrick To adequately address the controversy between whether or not adverse possession in England/Wales and positive prescription in Scotland are similar in effect, the law in both jurisdictions must first be discussed. Only then can the effects of same can be established and compared. When a property owner fails (within a specified time frame) to evict a squatter[1] from their property their title is extinguished, as a result they cannot recover possession. This is the essence of the doctrine of adverse possession. Adverse possession is by no means a novel or modern idea. Traces of this doctrine can be found back as far as Roman law with uscapio and longi temporis praescriptio, with common law roots dating to the feudal times.[2] As with all law, it has evolved and advanced through the use of both statute and case law. Thus a doctrine permitting the acquisition of ones land by another has long since been created. Perhaps one of the most interesting aspects of this doctrine is the rationale behind it. One such notion is that there is a pragmatic expectation that any property owner will assert their title against any and all intruders.[3] The argument goes that if property owners fail to affirm their rights against the trespasser then they are not a responsible owner, thus are not entitled to own the property. This echoes the legal maxim vigilantibus ton dormientibus lex succrit the law will only assist those who remain alert, not those who sleep. Additionally the policy considerations[4], the quieting of title[5], are adhered to. Some commentators have noted that this doctrine mutates a squatters initial wrong (theft) into an eventual right (land title).[6] Thus, it must be questioned whether there is value in upholding such a doctrine, due to its somewhat controversial nature, which notably evokes a strong emotional response due to the misconception of it as little more than legal theft.[7] A s a result of avoiding the obligation of payment for land, by engaging in this more primitive acquisition of it[8], squatters are often portrayed in a negative light such that they are stealing the patch of another.[9] This highlights the inevitable debate of the validity of such a doctrine for why should a person not be free to do whatever they so please with their property, even if that means doing nothing? Nevertheless such discussion for present purposes will not be furthered. The present law on adverse possession in England was initially formalised in common law in 1962.[10] In spite of this, as noted earlier, the law has been subject to alterations and evolutions through a number of leading cases.[11] As a result, although the current law does fall within the doctrine of general limitations, the infamously flexible judge-made law must be consulted for the relevant principles. In a sense the law of adverse possession is similar to that of criminal law there are two fundamental requirements, one physical and one mental. In adverse possession there must be factual possession and animus possedendi, the latter being the more contested issue in practice. As commentators have noted, much academic and judicial ink has been spilt in trying to determine in what circumstances possession could be deemed to have taken place and when it was also adverse'.[12] In the case of McFarlane[13], Mr Justice Slade spoke about what is necessitated by the requirement of animus possedendi. Ostensibly it was noted that the squatter must possess the intention to exclude the world at large, which inevitably includes the true owner, so far as the law will allow and is reasonably practicable.[14] It should be noted that for a significant length of time, what exactly the squatter had to intend was quite unclear. It is evident from the case law that different judgments purported differi ng requirements. For example it had been held that a squatter couldnt simply intend to possess the land, this of course was a requirement but, they must also intend to exclude all others from it (including the paper owner).[15] Subsequently it was emphasised that the requisite intention was simply that the squatter intended to possess the land.[16] Thus the question arose as to whether or not intention to exclude, in addition to the intention to possess, was an aspect of the animus possidendi requirement. Recently the House of Lords clarified the matter wherein it was held that the requisite intention was simply the intention to possess.[17] The courts must consider several factors in order to establish animus possidendi. These factors go beyond simply the nature of the actions undertaken by the squatter and the evidence as to their intention. The courts must identify whether the possession was adverse, as well as whether the acts of the squatter were such that the intention to possess was unequivocal and that this intention was made clear to the world. If the courts establish that these actions were in fact equivocal, that the intention was ambiguous or simply not made plain then the claim for adverse possession will fail.[18] The squatter must be in possession of the land in a manner inconsistent with the true owner before the time period will run.[19] It has been noted that possession with consent of the paper owner will not usually give rise to adverse possession[20] and prior consent will prevent the limitation period from running[21]. Nevertheless, there are certain contestable situations that may occur in practice . The issue of implied consent[22], and whether or not there was a granting of a license[23] are just two examples of how consent can affect the outcome of the individual case. In order to substantiate a claim for adverse possession the squatter must, in satisfying the requirement of possession[24], establish a sufficient degree of physical control over the property.[25] The notion of a sufficient degree[26] evolved throughout the case law, similarly to the test to establish it. Interestingly these disputes can occur in a wide variety of circumstances. For example there have been cases indicating the possibility of adversely possessing a specific portion of a house[27]. The courts apply an objective test relating to the nature and quality of the property, seemingly however no consideration or variation will be afforded by virtue of the status of the parties to the case.[28] Evidently any possession must be open[29], actual, continuous and exclusive[30]. In applying the objective standard to exclusivity the physical enclosure of land is relevant but not determinative[31]. Generally fencing will satisfy the requirements of factual possession. However, the purpose of the fencing will be taken into account. For instance if the fencing was in place to enclose livestock, as opposed to preventing access to the property, it will not satisfy the prerequisite for a claim of adverse possession[32]. In the Adams[33]case Mr Justice Laddie delved into the nature and purpose of fencing. This discussion can be interpreted as meaning both entry and exit from the property. Notably the squatter need not maintain the fencing for the purposes of both. Nevertheless, fencing is presumably the most self-evident form of factual possession[34]. It is clear that although no variation is given in accordance with the situation of the parties, there is variance dependent upon the na ture of the property being possessed[35]. Consequently a person can be held to be in possession of property by cultivating land[36], shooting over it[37] or by simply leaving it vacant[38]. Thus it is clear the finding of adverse possession is circumstantial. As a result the main issues in practice is the determination of whether the acts undertaken are sufficient to constitute possession[39]. Additionally, in accordance with common sense, it must be noted that the acts of possession need not necessarily inconvenience the true owner[40]. To mandate such a requirement would potentially, and it is submitted most likely, result in an action being brought against the squatter much sooner. Therefore a lot, if not the vast majority, of cases of adverse possession would be prevented from ever reaching fruition. Following from this it is clear that a mere act of trespass will, notwithstanding the variance depending upon the nature of the land, be insufficient to warrant an adverse possession claim[41]. The doctrine of adverse possession gained much clarity with the Pye[42] decision in 2006. Herein Lord Browne-Wilkinson purported that reference to adverse possession should be avoided as much as possible. The rationale being that by doing so, a lot of the confusion and complication that arises would be avoided. It was submitted that in such cases there is a simple question. The court, it was asserted, need only answer whether the squatter dispossessed the true owner by being in ordinary possession of the property, without consent, for the required time period. Throughout his judgment Lord Browne-Wilkinson seemingly claimed there was an over conceptualisation of the doctrine of adverse possession. In relation to the debate as to what constitutes adverse possession, he suggested that what needs to be established is whether the possession is without the owners consent. This case adopted the approach in McFarlane[43] wherein the nature and use of the property was the key test. Thus to sa tisfy factual possession one seemingly need only have sufficient custody and control for ones own use[44]. As noted earlier, the effect of the doctrine is governed by both statute and case law. Although the precedent set out above plays an important role in the deciding of cases, new statutory changes[45] have significantly limited the scope of this doctrine. It has been suggested that this restriction is to be commended for creating a more rational and secure footing for the law.[46] The new law provides for circumstances consistent with the system of land registry wherein titles can be abandoned or registered under certain acts. The 2002 Act[47] addressed concerns regarding the ease at which an individuals property could be adversely possessed[48]. Thus with the enactment of the legislation came a significant change such that the burden shifted from the true owner[49]. Prior to this reform, the paper owner had been required to remain alert and ensure their land was not being adversely possessed. As per the 2002 Act[50] however the squatter now bears the burden such that they must have a dverse possessed the property for a minimum of ten years before making an application.[51] The true owner can, of course, protect their title by objecting to the application. This objection will render the application incomplete. If the squatters application is rendered incomplete, they need only remain in possession for a period of two years before they can re-apply. There are different options available to the true owner in the event of an application[52]. If the paper owner chooses to ignore or confirm[53] the application then the squatter will be registered as the proprietor. The 2002 Act[54] also provides for serving counter-notice[55]. This requires the registrar to operate under paragraph 5 of Schedule 6. As a result a squatter may not be registered in place of the true owner irrespective of whether they have established factual possession or not. However his is subject to three exceptions[56] which highlight not only the equitable principles intrinsic to the doctrine but als o the policy considerations upon which it is premised. Although possible to identify numerous categories within the doctrine itself[57], it is clear that the requirements of factual possession and intent are at the heart of understanding its effect. The fact the squatter must show that they had the intention to possess the land and put it to their own use, as well as proof of physical possession illuminates both the equitable and legal transfer of property rights by the creation of an added dimension. The aspects present in establishing adverse possession, as discussed earlier[58], are of utmost importance regarding the effect of this doctrine. As seen throughout the case law, in reality it is these elements which determine the outcome of the case. Thus they dictate the effect upon the individual and the disputed property. Positive Prescription: Law and Effect Positive prescription is the existing system of land acquisition under Scots law, the name given to the hybrid legal system in Scotland. There is an interesting difference in development between Scots Law and the English common law system. Scots law does not simply follow suit as so many other jurisdictions do, rather they created principles consequential to the work of French and Italian scholars, with Roman law proving particularly influential[59]. Whilst some commentators have noted the similarities between the nature of Scots law and that of other jurisdictions (namely Sri Lanka and South Africa)[60], it did in fact develop, as part of the ius commune[61], with influences from both civil and Canon law. Unsurprisingly, due to both proximity and relationship, Scots law has inevitably also been affected by the influence of common law[62]. Therefore certain similarities may be drawn. Nevertheless it must be noted that Scots law is a very unique, distinct native system wherein legislation is king. Interestingly the first of the legislation governing positive prescription, a creature of Scots law, is from the sixteenth century.[63] Similarly to adverse possession, prescription has roots in Roman law wherein it played an important role regarding property law. Here title was acquired through possession, or where an individual failed to meet the formalities which would deny such appropriation[64]. Initially the rationale was established to distinguish between prescription granting title and that preventing a claim of title against the squatter. As noted, positive prescription had many muses one of which was Canon law. Herein a great deal of importance was given to the bone fide[65] possession of the property. Positive prescription is unlike adverse possession in the sense that historically its role was one of conveyancing, not a method self-acquisition or legal theft. Initially the legislation[66] simply had the effect of restricting the right to call on a possessor to produce his full progress of titles[67]. Effectively once the period of possession [68] was completed this was seen to be confirmation of title. If the period of possession was unfulfilled, the progression of derivative titles was incomplete. Subsequently the transfer of title would have been denied. Continuous, open, peaceable possession of a registered title (which is reflective of a real right) for 10 consecutive years (devoid of judicial interruption) will result in the indicated real right and this right will be free from challenge[69]. This exemption from challenge has been subject to much debate, nevertheless the modus operandi is to ensure secure title.[70] Notably in a discussion paper the Scottish Law Commission purported that a positive system of registration of title is no substitute for positive prescription.[71] They continued, focusing on the exemption from challenge. It was noted how registration of title simply makes a void title good but is subject to challenges, whereas prescription makes title good without recourse to challenge. Although the central ideology of system of positive prescription is to serve public interest[72] it may be viewed as a means of deprivation of property. Thus positive prescription, like the doctrine of adverse possession in England and Wales, has an important role regarding property ownership. That said, in Scotland by virtue of acquisition by prescription as per the 1973 Act[73], both possession and title are required. Contrarily the doctrine of adverse possession is such that the title of the true owner is lost via limitation. The Act further provides for circumstances wherein the title is registered in the land register or the register of deeds[74], or where it is not recorded[75]. The first of these situations mandates possession for a period of ten years, whilst the second holds a requisite period of possession of twenty years. The rationale, or objective, for the registry is similar to that of the model in England. Nevertheless there is a stark difference in the length of time mandated for possession. That said, in establishing either adverse possession or positive prescription what the court looks to is very similar if not identical. A Comparative Analysis of Effect In order to adequately assess the effect of both adverse possession and positive prescription we must first look to their justifications. Commentators have often noted that adverse possession simply executes what is deemed to be a pragmatic expectation which came into existence during a time where an individual would have to forcefully assert their title against intruders[76]. However this may be seen to be quite an archaic justification, and that in modern times the only purpose of such doctrines is to provide a legal form of theft. Additionally it has been purported that the law in this area is too harsh, especially in considering the human rights implications[77]. Nonetheless, there are in fact many valid considerations in favour of such laws, which in turn highlight the effect of the doctrines. The first justification to discuss is the infamous Lockean labour- desert theory. Locke asserted that an individual has a natural entitlement to land if it is used productively. In todays world, it is increasingly clear that land is a finite resource. Thus it is difficult to argue against the notion that property ought be granted to the useful labourer as opposed to the incompetent fainà ©ant. Although the context with which Lockes theory was concerned was unowned property, it seems to present a logical justification to the doctrines at hand. As briefly alluded to in the discussion of adverse possession, one justification for such a doctrine is in relation to the quieting of title. The policy concern is the continuation of markets, as well as the desire to minimise tensions and conflicts. Courts have held that the objective of any statutes of limitation is to prevent claims from arising after unreasonable amounts of time have passed[78]. If causes of action were unlimited by time restraints it would breach the basic rules of fair procedures and justice evidence could and would become lost, and memory by its very nature deteriorates with age. It could be said that this justifications retains elements of capitalism, however it serves to protect the innocent third party who purchases property whilst also providing pragmatic benefits (such as efficiency, registration and land use)[79]. Notably other countries, for example the United States or even Brazil, cite grounds including protecting development and initiative of the individual as justification.[80] As such it is important to note that in England and Scotland by the 18th Century most land had been enclosed[81] thus the concerns were in relation to the clarification of boundaries and titles. Which perhaps surprisingly, due to the reputation of the doctrines legalising theft, are in actuality the areas within which most cases fall. Interestingly in Scotland a landowners power is seen as intrinsic to the interrelationship with cultural symbols related to the land[82]. The notion of symbols having a sociohistorical significance (with it being connected to social standing and groupings) offers a different view to the effect of the doctrines. This understanding highlights that any decision made can and will have significant social consequences for the parties involved. In common law the doctrine of adverse possession was originally premised upon customs and traditions. Thus the systems of acquisition date back to the introduction of personal property. That said, they have since become more regulated and civilised. Although some commentators argue that the doctrine became ubiquitous only after the Norman conquest, with others stating its prevalence dates simply to British feudalism[83], it is self-evident that the possession of vacant land was an intrinsic part of the global development of civilisations. Likewise title to land can be gleamed though the open, peaceable possession of land (provided there has been no judicial intervention) via the doctrine of prescription in Scotland. Whilst comparing the doctrines of adverse possession and positive prescription, differences are apparent for example the specific time periods required for possession, the consequence of enforcing the expiration date, or even simply the basis of the doctrine itself. Nevertheless, in reality the application of the rules to factual scenarios leads to results and effects of great similarity such that they are often identical. Conclusion It is clear that courts have been faced with similar issues when dealing with cases of adverse possession and positive prescription. For example, issues arise in attempting to ascertain which acts of possession should be afforded the greater weight, or in establishing exclusion. As highlighted throughout the discussion, cases of positive prescription will not necessarily be determined using the same methodology as adverse possession. Adverse possession and positive prescription were established and have developed in very different forms nevertheless the effect of each remains the same. Positive prescription relies heavily upon the legislation, consistent with the approach of its native system, whilst adverse possession although makes use of legislation[84], relies to a large extent (as per the nature of common law) on case law. At first the doctrines seem to be completely distinct, however in reality the justifications and effects are of such similarity that in practice the doctrines could be interchanged without altering the result of the cases. Notably both doctrines have, at some point at least, taken the role of a guide for the other and it is submitted this will probably continue to be the case. Having evaluated the development, rationale and effect of the laws relating to adverse prescription in England/Wales and positive prescription in Scotland it is purported that, notwithstanding the difference in method and development, the effects of both are nigh on identical. Bibliography Ackerman W Johnson S, Outlaws of the Past: A Western Perspective on Prescription and Adverse Possesion Land and Water (1996) 31 Land Water L Rev 79 Accessed December 27th 2016 Ballentine, Title by Adverse Possession (1918) 32 Harv L Rev 135 Baron M, Weeks v Kyrsa: Cultivating the Garden of Adverse Possession (2010) 62 MeLRev 289 Accessed January 15th 2017 Bordwell P, Disseisin and Adverse Possession (1923) 33 Yale LJ 1 Bouckaert B and Depooter B, Adverse Possession Title Systems (1999) Buckley NF, Pye (Oxford) Ltd v United Kingdom: Human Rights Violations in the Eye of the Beholder (2007) 12 (4) CPLJ 109 Burns F, Adverse Possession and Title-By-Registration Systems in Australia and England (2011) 35 Melb. U. L. Rev. 773 Caterina R, Concepts and Remedies in the Law of Possession (2004) 8(2) ELR 276 Chalmers J, J A Pye (Oxford) Limited v United Kingdom: Deprivation of Property Rights and Prescription (2006) 10 EdinLR 277 Accessed December 12th 2016 Chen L, Whither adverse possession in Hong Kong? A comparative and statistical study (2014) 5 Conv 413 Conway H Stannard J, The emotional paradoxes of adverse possession 64(1) NILQ 75-89 Cooke L, Land Registration: Void and Voidable Titles (2004) 8 ELR 401 Accessed Janurary 9th 2017 Cusine D, Adverse Possession of Land in Scots and English Law (1996) 45 ICLQ 667 Dixon M, Human Rights and Adverse Possession: The Final Nail (2008) 2 Conv 160 Dixon M, Modern Land Law (8th edn, Routledge 2012) Donnelly C, From possession to ownership: an analytical study of the declining role of possession in Scottish property law (2006) 4 Jur Rev 267 Douglas, Acquiring Rights To Land by Way of Prescription (2012) TC Young Blog Accessed Janurary 28th 2017 Edney J, Human Territoriality (1974) 81 Psychol Bull 959 Ellickson R Thorland C, Ancient Land Law: Mesopotamia, Egypt, Isreal (1995) 71 CKLR 321 Accessed Farran D, The Principles of Scots and English Land Law. A Historical Comparison (W. Green Son 1958) Gardiner B, Squatters Rights and Adverse Possession: A Search For Equitable Application of Property Laws (1997) 8 Ind Intl Comp L Rev 119 Accessed December 12th 2016 Gravells N, Land Law (4th edn, Thompson Reuters 2010) Gray K Gray S, Elements of Land Law (5th edn Oxford University Press 2009) Gray K Gray S, Land Law (7th edn, Oxford University Press 2011) Gretton G, Case Comment: Privat

Friday, October 25, 2019

Computers and Education :: Teaching

Computers and Education Computers in education is such a massive topic. Students have been going to classes everyday since they were five years old. How much access did you have to computers in grade school? How many of you started to use computer in grade one, two or even three? Most of my peers in the same age bracket may not have even touched a computer prior to reaching grade six. Currently students are getting access to computers at a younger age because the availability is becoming more sizeable, they’re using them in their classrooms as well as taking classes to learn more information toward computer related subjects. Even though a lot of parents may think that little Johnnie or Susie could only learn Sex Ed from computers and the internet. Lots of parents contemplate the safety of their children when surfing the internet, believing that their kids will get involved in some of the more damaging effects that they can be introduced over the internet that they fail to notice the positive of it. U sing the help of a computer and the internet is constructive for students because it allows the students to give a more professional look to their homework, paper and labs. The internet offers students a vast resource of areas that then can get hold of research and facts about their projects. The "computer world" is a growing industry. The capabilities of present day machines have grown so rapidly that students have access to numerous programs such as multimedia, internet, education CD and many, many more. Students have the opportunity to learn and to become more active in their school work. Have fun on the computer and learning valuable skill that they will aid them to searching for and getting a job in this computer operated world. Students are basically learning about computer from three different teaching methods such as; correspondence over the internet, in class methods and the good old way of learning on your own approach which there is a lot of people out there in the world that has learn vast amounts of knowledge that will get them far in this computer world. Whether, it’s in the computer business or even another trade. The teaching methods has to chance and become more advance. Teacher have to keep there student active so there not bore. Keep them on their toes.

Thursday, October 24, 2019

A Geography of Time

In the preface â€Å"Time Talks, With an Accent† the author describes his reasons of writing the book, as well as he shares his plans about future careers, his interest, and ideas about time geography.In the first chapter â€Å"Tempo: Speed of Life† special attention is paid to what tempo is, its core elements, economic well-being and what may happen beyond the tempo. In the second chapter â€Å"Duration: Psychological Clock† the author provides innovative and interesting suggestions and draws relevant conclusions bumps in time, how to change the life tempo and psychological experiences of time duration.Actually, I think that material presented in the preface and the first chapters are very exciting and informative as the author sets further background for research in this sphere.In the preface the author writes that every culture is represented by its own concepts and fingertips about time and time geography. Actually, it is necessary to lean about time values a s it gives an excellent opportunity to know the person better. Time gives idea of what person is, about his ideals and beliefs. The author admits that he has always been interested in time. As other Americans, the writer was taught that time is measured by the clock and nothing more.Time is seconds, minutes and hours. However, when the author grew up he realized that the concept of time is not as simple as it might seem at the first glance. When planning personal career, the author claims he has ignored the concept of money being offered by the particular job. Instead, he decided to learn temporal lifestyle as that area interested him the most.Firstly the author’s researches focused primarily on social psychology and attribution theory. Special attention was paid to gender differences in ideas about success and failure, self-confidence and attribution styles. Nevertheless, in several years the author became very interested in studying the value of time and the life pace in ge neral. Therefore, the author devotes the whole book to the pace of own lives, how people use and have to use time, what time is doing in our cities, etc.The first chapter addresses the question of time tempo stressing that tempo of life strongly depends on the factors of personal taste and skills, as well as on individual instruments and room involved. The pace of time is defined by the author as tome flow or movement being experienced by people.Pace of time is characterized by rhythms, sequences and synchronies. However, life pace is a matter of tempo. ‘Tempo’ is borrowed from music theory and it is associated with rate and speed of piece performance.The author is interested in characteristics of cultures and places distinguishing five factors which determine cultural tempos: economic well-being, degree of industrialization, population amount, climatic conditions, and orientation at individualism. Also, there are ‘fast’ and ‘slow’ people and t he author warns us not to overgeneralize about them.Actually, life pace depends on time, place and human doings. Ten areas are presented to think of yourself: speech patterns, concern with clock time, walking speed, eating habits, driving, schedules, list making, nervous energy, waiting and alerts.The second chapter addresses the issues of psychological clock and duration of time. The author writes that there were several studies devoted to time perceptions and the interest in estimation of time appeared on the scale.Duration is defined as the time that is going from the lat event. Actually, duration is the speed of the clock being ambiguous and precise. However, it is more difficult to define duration of time in the realm of psychological experience.There are differences in time duration among Westerners and Easterners. For example, in Western culture listening is not opposition of talking as it is waiting.Modern researchers are focus on identifying differences in types of informat ion and in the ways the information is processed. Interestingly, Maslow defined creative people as people being fascinated and absorbed in the current situation and here-now. The author concludes that time is proceeding as a clock arrow does. However, speed of time passing depends fully on individual preferences. A Geography of Time In a world with no clocks and no definite appointments people are living by event time. Therefore, the fourth chapter â€Å"Living on Time Events† is devoted to analyzing what it means to live beyond time or by time event. It is known that earlier time was measured by slow sweep of stars in the sky or by important events or changes.Heartbeats also measured time, as well as recurrence of hunger and duration of loneliness. The author assumes that in certain situations the clock or calendar can be defined as nothing more than simply ornament or decoration. Living by event can’t provide define appointments of lifestyle, whereas modern industrialized countries are motivated by punctuality.Historical perspective suggests that living by clock â€Å"is clearly out of line with virtually all of recorded history†. (p.82) The author asserts that the key difference in pace life is that people tend to use clock as the guidance in their lives, especially when they are planning the beginning and the end of particular events.People’s schedules aren’t allowed to include spontaneous activities. Therefore, there are two types of living: living by event time and living by clock time. The key difference between these types is speed difference and people who live by clock tie are faster than those who live by event time.The author specifies that under clock time timepiece is that director of the beginning and end of the events and particular activities. Under event time it is schedule that determines particular activities. Nevertheless, event time isn’t precise time as it is difficult to identify when people will be busy with necessary activities. Interestingly, adults are more susceptible to clock time.Industrial society is characterized by enmeshed style of life and clock time is the main driver of events and activities. However, in less civilized countries people are less concerned with control of clock. They feel life by mechanic clock i s abnormal and confusing as it set rigid frameworks and it is hardly possible to life full life when you are obliged to follow set schedule.The fifth chapter â€Å"Time and Power: The Rules of the Waiting Games† provides relevant and valuable rules about waiting peculiarities. The author says that waiting is always unpleasant thing.For example, when we are waiting for a bus or a person, we feel anxiety and even irritability. However, half of our life is simply waiting – waiting for tickets, appointments, particular events, buses, etc. Psychologists find it rather difficult to evaluate the pain from waiting, but they say that effect maybe both negative and positive. For business waiting is very expensive as time for them is directly associated with money.When people become more important, the demand for time becomes greater. With increased importance value of time increases as well as time is limited. Therefore, time of important people should be protected and carefully managed.The author stresses that â€Å"important people are usually seen by appointment only; and while those of higher status are allowed to make people below them to wait, the reverse is strictly prohibited†. (p. 109) Thus, one of the most important rules is that status dictates who will wait and it is position in the hierarchy that determines people’s importance. Further, the longer people are waiting the greater the status is. For example, the value of attorneys and bookkeepers is defined by the fact whether they are booked in advance.One of the rules suggests that time can be provided as a real gift meaning that waiting can be seen as an act of generosity. Offering is thus viewed as â€Å"a special instance of using time to demonstrate respect†. (p.123) Offering of time is important because it stretches far beyond explanations of gain or profit. The sole purpose of offering time is sending social message. Finally, breaking into line should be rare occasion s.Those people who break into line must re-assure that they don’t cause any troubles for others who are waiting. Rules of waiting are different in different countries and it is not recommended to play waiting games till you know all the rules. Mainly, waiting rules implicit and the chance to misinterpret the message are very high.