Monday, September 30, 2019

How you act affects what grade you get Essay

The Impact of Student Behavior on Student Learning is an important subject. There are varying issues that affect student behavior, and a students ability to learn and perform efficiently. This paper will discuss some of the behaviors that are commonly demonstrated when students face one of the most common symptoms; stress. It will also cover how stress, a symptom of student behavior can affect student learning. Student behavior can be categorized two different ways. A determining factor is if the behavior is negative or positive. These behaviors can be overt or covert and can play a big part in determining a student grade in a particular class. Students demonstrating poor behavior have a tendency to get lower grades. Poor behavior, which is a symptom of stress, can be linked to lack of sleep. According to The Franklin Institute Online, â€Å"Disrupting routines and interrupting sleep-all have a cumulative effect on your brain, especially its ability to remember and learn† (Franklin, 2004). The brain is a precious organism and if it is stressed it will not perform to capacity. Stress can cause ones behavior to fluctuate in a manner that can be destructive to productivity. If a student’s behavior fluctuates and causes them to react poorly in a class room setting they may not be able to retain the information needed to qualify for the grades necessary to complete their degree (K. White, personal communication, June 29, 2011). According to the Webster online dictionary, the definition of behavior is â€Å"the manner of conducting oneself; anything that an organism does involving action and response to stimulation† (Webster, 2011). Human beings have the capability to conduct themselves in a manner that may or may not help their capacity for learning. The wrong type of stimulation can alter the student’s ability to perform simple tasks that under normal circumstances would be easy for the student to perform. The behavior displayed by students affects the outcome of the amount of information the student retains. The more information a student can retain the better the grades that student is likely to receive. By definition, behavior is ‘the manner in which one conducts oneself’, and cannot be measured as good or bad because it is a matter of opinion (K. White, personal communication, June 29, 2011). Behaviors can be changed or altered to fit the mood of the person. â€Å"The term â€Å"stress† is short for distress, a word evolved from Latin that means â€Å"to draw or pull apart.† The Romans even used the term ‘districtia’ to describe â€Å"a being torn asunder† (Franklin, 2004). To be torn from your normal routine of good study habits, exams, and team work would be understandable in the case of a stressed student. Since the student has limited, or no control over the stressors in their life; they cannot always be held responsible for their behavior. A behavior can be harmful to the outcome of a situation but does not have to mean that the person with the behavior is bad or good (K. White, personal communication, June 29, 2011). In the same since that negative and positive behavior don’t equate to bad or good. Negative behavior is any behavior that harms the student’s learning ability (K. White, personal communication, June 29, 2011). An example would be a student that shows signs of stress. That student may be edgy or not seem like a team player. The student may grasp the main concepts during class but not seem to put the effort forth to get good grades where tests are involved. This student may understand concepts and be able to explain to others with ease how they work. This student may also miss deadlines, or not post assignments on time. This negative behavior is harmful to the student, but due to stress the student is not able to control the negative behavior. The student may not be aware of the way their behavior is disrupting their school life and will not recognize the affect on their grades (K. White, personal communication, June 29, 2011). â€Å"Overt behaviors are more open and observable and would include students talking during class, using their cellular phones, or eating or drinking noisily. Covert behaviors are more passive and include sleeping during class, arriving to class late, leaving class early, or generally acting bored and disengaged.† (Seidman, 2005) Demonstration of these behaviors may be done together or separately. A student can demonstrate just covert behavior and still seem defiant. Both covert and overt behaviors can be a sign of stress. The student who demonstrates these behaviors may not recognize that they are being a distraction to the class or to themselves. They can also attribute to poor or no study habits. Both behaviors can cause problems for the student because they can hinder the student’s ability to perform in a class setting. For example: A student can understand the concepts in a course but have trouble staying awake during class and miss important notes or assignment deadlines. When this student post an assignment too late to receive full credit their grade is affected. The student has shown signs of overt behavior but did not intend to be seen as disruptive. Often students have no idea that the outcome of their behavior can lead to poor grades. Some students are able to correct their poor grades with good grades by a change in their behavior. The symptom that will show in lieu of stress would be happiness or a since of calm. Students who demonstrate negative behavior will have a hard time retaining information or keeping up with their courses. Students with positive behavior will have a better chance of retaining the maximum amount of information possible. Positive behavior helps the student to create an environment within themselves that is conducive to learning (K. White, personal communication, June 29, 2011). Students who are stress free in mind, body, and soul are free to work at full capacity to achieve their academic goals. When a student feels comfortable with their surroundings and is freed from worrying about the outside world, the student will have a higher level of concentration on school work as all other distractions have been managed or eliminated. They will be able to focus their energy on studying , and processing the information studied. (K. White, personal communication, June 29, 2011). Behaviors can be changed or altered with help of others. Most schools have an academic advisor who is able to handle student issues. They may not be able to completely assist in matters of home life but may have some good suggestions and or referrals that may help the student get back on track. A change in student behavior for the good can impact student learning in a positive way. â€Å"Bear in mind that an appropriate stress response is a healthy and necessary part of life. It improves mood. Problems feel more like challenges, which encourages creative thinking that stimulates your brain to grow new connections within it.† (Franklin, 2004). In conclusion, student behavior can be a symptom of underlying issues that can affect student learning for different reasons and in many different ways. Poor behavior, which is a symptom of stress, can be linked to lack of sleep. The wrong type of stimulation can alter the student’s ability to perform simple task that under normal circumstances would be easy for the student to perform. Since the student has limited to no control over the stress in their life they cannot always be held responsible for their behavior. The student may not be aware of the way their behavior is disrupting their school life and will not recognize the affect on their grades. A happy, content students mind, body, and soul are free to work at full capacity to achieve the goal of good paper writing, testing, and team work. Both behaviors can cause problems for the student because they can hinder the student’s ability to perform in a class setting. Some students are able to correct their poor grades with good grades by a change in their behavior. A change in student behavior for the good can impact student learning in a positive way. References The Franklin Institute Online. Retrieved on June 29, 2011 at 7:47 PM from Web stream at http://www.fi.edu/learn/brain/stress.html#how The Learning Killer: Disruptive Student Behavior in the Classroom. Journal article by Alan Seidman; Reading Improvement, Vol. 42, 2005 Webster Dictionary online. Retrieved on June 29, 2011 at 3:43 PM from website http://www.merriam-webster.com/dictionary/behavior, Merriam-Webster, Incorporated

The Logistics Industry Planning in Ruoqiang, Xinjiang Province

The Logistics Industry Planning in Ruoqiang, Xinjiang Province Chapter 2: The Theoretical Review of the Logistics Parks’ Planning Theory 2.1 The Theoretical Review of the Logistics Parks’ Planning Method A long-run building period together with the complexness during building is the chief feature in edifice logistics Parkss. Constructing a logistic park demands immense financess, and it is non profit-making in a short clip. Now under a ferociously competitory market, it is even more of import to carry on the planning method analyzing, particularly when during the existent building procedure, tonss of problems’ arising are due to a deficiency of sensible planning methods. In China, such jobs and misinterpretations are: ( 1 ) blindly enveloping the land ; ( 2 ) little theoretical analyzing on logistics parks’ be aftering method ; ( 3 ) deficiency of be aftering footing ; ( 4 ) no clear cognition on logistics parks’ map ; ( 5 ) deficiency of in-depth probe on market demands [ 4 ] . 2.1.1 Logisticss Parks’ Planning Methods: Current Research Situation in Foreign Countries MSFLB Model: presently there are few foreign bookmans concentrating on logistics park be aftering methods. The chief planning methods are summarized by the Fraunhofer Research Institute of Germany. They studied many typical international logistics parks’ planning and building procedure and summed up the common characteristics as five stairss. MSFLB are in fact the acronyms of the undermentioned five stairss: Market Study, Strategic Positioning, Function Design, Layout Design and Business Plan. 2.1.2 Logisticss Parks’ Planning Methods: Current Research Situation in China ( 1 ) Planing method based on Highway Transportation Network: by following a â€Å"two-stage† perusal method, the research worker foremost locate the site of logistic park harmonizing to metropolis logistic volume and distribution characteristics. Then in phase two, based on the rule of minimum logistic and route web capacity-expansion cost, they bring in the bi-level scheduling theoretical account to set urban logistic park planning into the whole urban transit web planning system, so as to reflect the route network’s influence to the layout of urban logistic Parkss. [ 6 ] ( 2 ) Planing method based on the Industrial Park: this planning method follows a series of phases such as map placement, planning and planing construct, map construction, and route traffic organisation construct. Each of the above-named phases besides contains a series of act uponing factors severally, so this planning method is a particular 1. [ 7 ] ( 3 ) Planing method based on urban installations: the interior decorator adopts the urban planning method to carry on logistics Parkss undertaking. The metropolis map orientation, layout planning, transit planning and a series of other specific be aftering methods are applied into the logistics parks be aftering procedure, so as to do certain it goes on smoothly and comprehensively. ( 4 ) Planing method base on weight coefficient: Chinese bookman Zhang Qian considered the chief factors of the regional distribution park and by utilizing nonsubjective rating method, he set up a regional distribution park planning theoretical account. Then by carry oning an overall rating on regional distribution park’s planning based on weight coefficient, he fixed the optimum strategy and applied this chosen strategy into existent planning of logistics Parkss. [ 9 ] 2.1.3 Current Research Situation of the Logistic Parks in Xinjiang Province By and large talking, the economic development in Xinjiang state still remains comparatively developing, and therefore a spread does be between other eastern states and Xinjiang in logistics industrial development. Presently, there are several Chinese bookmans concentrating on the perusal of the logistics industry development in Xinjiang state. Scholar Tangmin from Xinjiang University published his article â€Å"A Study on the Relationship between the Logistics Industry Development and the Economic Growth in Xinjiang Province† , in which he studied the logistics overall state of affairs, supply and demand state of affairs in Xinjiang, based on Xinjiang’s regional characteristics and economic development degrees. He besides conducted a qualitative and quantitative research on the relation between logistics development and economic growing, and gave several suggestions on how to advance the logistics industry development in Xinjiang state [ 10 ] . Fangmin and Ying Shaomin in their article â€Å"Thoughts on the Informatization of the Logistics Industry of Xinjiang Province† pointed out the necessity to transport on the informatization building procedure every bit good as offered some suggestions [ 11 ] . Wu Jing from Shihezi University listed some jobs in Xinjiang logistics industry development in his article â€Å"Research on Logisticss Industry and Economic Development in Xinjiang Province† , and offered some practical solutions. Ge Ju and Jiang Zhiqing in their article â€Å"Prediction and Analyzing on the Logistics Demand in Xinjiang Province† pointed out the influential factors of logistics demand based on their analysis on the features of the logistics industry in Xinjiang [ 13 ] . From the literary reappraisal above, it is clear that many bookmans have already conducted research on Xinjiang logistics industry. However, a practical logistics park be aftering method suitable for the economic development and run intoing the m arket demand in Xinjiang state has non yet been formed. 2.1.4 Analysis on the Planning Method 2.1.4.1 The Concept of the Planning Method and the Current Theories Planing method has ever been highlighted since the center of the 19Thursdaycentury, and the innovators are some bookmans analyzing land economic sciences and regional geographics, such as Edgar Hoover, Johann von Thuen, August Loseh, Melvin Greenhut, Walte Isard and T. Palander. In be aftering determination procedure, transit cost was the common topic for those earlier surveies. Though many constructs were already formed under the status in agricultural and pre-industrial society, but those bookmans still used them. The betterment and development of the topics of operational research and logistics provide opportunities for installations be aftering method, which were therefore non limited to pure theoretical surveies ; alternatively, more practical mathematical theoretical accounts were set up. During the planning procedure, the undermentioned methods are normally adopted: ( 1 ) The mathematic analysis planning method: this solution combines weight and distance, seting the two factors as the co-ordinate points, and logistics nodes the variables. The concluding solution strategy is to find the coordinate place of the logistics nodes through co-ordinate and mathematic analyzing methods ; ( 2 ) Linear optimisation be aftering method: this solution’s advantage is its effectual optimisation technique, so normally it is adopted as a tool in strategic logistics be aftering. Under certain restraints, this method could assist you take a best solution strategy from many options. ( 3 ) Analog simulation engineering be aftering method: this solution could set the computer’s 3-dimensional simulation engineering into the existent application in logistic parks’ planning and designing, and repair the planning of logistic nodes. At present, there are two simulation engineerings, viz. , inactive simulation and dynamic simulation. 2.2 The Theoretical Review of the Logistics Parks’ Planning Technology In logistic Parkss be aftering, now many bookmans at place and abroad hold made intensive survey about the following four parts: demand anticipation, site choice, land scale confirming and park map. Many of their research findings have been put into practical usage successfully, and we have got some successful instances for our mention. Therefore, this paper will give you a literary reappraisal on these theoretical research consequences every bit good as some successful instances. 2.2.1 Logisticss Parks’ Planning Technology: Current Research Situation in Foreign Countries 2.2.1.1 Planning Technology of Demand Prediction ( 1 ) Multinomial Probit Model: Scholar Rodrigo A. Garrido and Hani S. Mahmassani ( 2000 ) have forecasted freight transit demand with the space-time polynomial probit theoretical account [ 14 ] . ( 2 ) Multivariate Cointegrating Vector Auto Regressive Model: Mudit Kulshreshtha and other bookmans have made the cargo clip sequence informations as their research aim, evidenced by field survey on Indian railroads. They introduced the multivariate cointegrating vector car regressive theoretical account into freight conveyance demand anticipation. 2.2.1.2 Planning Technology of Site Selection Sing the site choice theory and method survey of logistic Parkss, few instances could be applied for our mentions. At present, some research consequences are related to distribution centres, logistic centres and warehouse location, while in bing foreign paperss, there is barely any reference about the footing debate on logistic parks’ site choice. 2.2.1.3 Planning Technology of Land Scale Confirming ( 1 ) Operational Research Model: based on operational research theory, bookmans such as Weber [ 16 ] ( 1929 ) , Beckman [ 17 ] ( 1968 ) and Drener [ 18 ] ( 1995 ) have made surveies on logistic Parkss land graduated table. ( 2 ) Integral Programing Model: Scholar Noritake and Kimura [ 19 ] ( 1990 ) have brought frontward the built-in scheduling theoretical account to gauge haven logistics land graduated table. 2.2.1.4 Research on the Function of Logistic Parks’ Planning In comparing, presently more researches have been conducted on the micro-layout planning of the logistic park than on its internal map planing [ 20-21 ] . 2.2.2 Logisticss Parks’ Planning Technology: Current Research Situation in China 2.2.2.1 Planning Technology of Demand Prediction ( 1 ) Unary Linear Regression Analysis Model: base on value volume and nonsubjective volume, Chinese bookmans Liu Changxiu, Zhang Wuyi and Lin Qiang chose the unary additive arrested development analysis method to calculate the comprehensive lading volume of Yunnan state and demonstrated that the entire logistics cost of Yunnan state appeared an increasing inclination with rapid growing of comprehensive lading volume [ 22 ] . ( 2 ) Grey Prediction Model: Chinese bookmans Han Yanhui, Wang Yanlin and Chen Chao analyzed the types of chief industries in Erduos part and predicted the end product of ladings of chief industries with gray anticipation method. The consequences showed that the end product of ladings of chief industries would maintain fast increasing velocity in the hereafter [ 23 ] . ( 3 ) MATLAB Software Model: Chinese bookmans Tang Zhongming and Fu Xinping illustrated the basic rule of using MATLAB package to foretell logistics demand, and successfully conducted a rapid anticipation on cyclicity inclination logistics demand on the MATLAB platform [ 24 ] , and forecasted freight transit demand with the space-time polynomial probit theoretical account [ 14 ] . ( 4 ) MLP Neural Network Forecasting Model: base on their surveies on MLP unreal nervous web, Chinese bookmans Hou Rui and Zhang Bi brought a regional logistics demand calculating theoretical account. This theoretical account non merely explained the nonlinear relationship between regional economic system and regional logistics demand but besides put frontward a new thought and methodological analysis for regional logistics demand calculating [ 25 ] . ( 5 ) Combination Forecasting Model: based on the rule of the least mistake absolute value, Chinese bookmans Chu Liangyong, Tian Zhiguang and Xie Xinlian combined the arrested development analysis, Grey prediction and nervous web to organize a combination calculating theoretical account in logistics demand. They verified the theoretical account with concrete illustration. The consequence of mistake analysis showed that it well improved preciseness of prognosis and manifested the cogencies of prediction of logistics demand [ 26 ] . 2.2.2.2 Planning Technology of Site Selection ( 1 ) Center of Gravity Method: Chinese bookmans Wang Qionglin and Zhang Tingting used Goolge Earth package and carried out the logistic parks’ site location by utilizing the method of center-of-gravity. They besides evaluated each campaigner reference by fuzzed comprehensive rating method to deduce the optimum reference [ 27 ] . ( 2 ) Factor Analysis Method: Chinese bookmans Zou Xiaoping and Guan Dongmei put frontward the method of taking Logistics Park by factor analysis method. Using this method, the music director first chooses each campaigner address’s act uponing factor, so they grade each campaigner strategy based on those factors, and at last, they calculate the entire points of campaigner strategy, viz. , the whole weight of the campaigner strategy. The concluding site strategy is the 1 with the highest entire weight [ 28 ] . ( 3 ) A-F Method: based on combing normally used comprehensive rating methods in logistics Parkss location, Chinese bookmans Ji Dan and Guo Zheng made comparative survey on many factors, and they drew the decision that each individual rating method has its ain advantages and disadvantages, therefore they should be integrated, in which the A-F method ( Analytic Hierarchy Process and Fussy Comprehensive Evaluation Method ) has a comparatively better publicity value. ( 4 ) CFLP Model: Chinese bookman Xu Chengtie, Zhu Xiaoning and Xu Xiaobing analyzed the rules for distribution-centered logistics parks’ be aftering and based on this, they suggested the CFLP ( Capacitated Facility Location Problem ) theoretical account and offered a quantitative processing method for site location job [ 30 ] . ( 5 ) Non-Structural Fuzzy Optimal Model: Chinese scholar Tan Minjun and Wang Xiong comprehensively considered assorted factors act uponing the logistics Parkss site location in the decision-making procedure. By utilizing a non-structural fuzzy optimum theory, they fixed the campaigner references weight and determined the concluding site by the size of each vector measure [ 31 ] . ( 6 ) Combined Evaluation Model: Chinese bookmans Zhang Dezhi and Xie Ruhe offered a combined rating theoretical account. Compared with former traditional calculating method, this theoretical account enjoys a better pertinence [ 32 ] . 2.3 Brief Summary of this Chapter This chapter is the theoretical portion of the whole thesis. First, a theoretical literary reappraisal on logistics parks’ be aftering methods is given and the writer makes a comparative analysis on the typical logistics parks’ be aftering methods at place and abroad, summaries the features of those be aftering methods and specifies their Scopess of application. Then, a theoretical literary reappraisal on logistics parks’ be aftering engineering is offered. The writer surveies on the planning technologies’ current research state of affairs from the following four facets: demand anticipation, site choice, land scale confirming and the map of logistics parks’ planning, so the writer analyzes the four planning technologies’ importance grade. Finally, based on the elaborate theoretical literary reappraisal on logistics parks’ be aftering method and engineering, this chapter lays the foundation for the planning method of Xinjiang logistics Parkss.

Saturday, September 28, 2019

Marketing homework word

Western is a loyal customer of Egan for 63 years. It was the more important customer. But, these last few years, because of the financial crisis in the European Union, and here more precisely in the United Kingdom, Western company has only half of the normal activity. That decreasing amount of work implies financial issues, and Egan is loosing money when they work with Western.Before evaluations the relevance to continue business with Western, we must sake into account that a loyal customer is a relationship very hard to build in the business world, and It can take several years to find and to build a loyal relationship with a new customer. We have to split the responsibilities of the bad economic situation of the company between Westerly's faults and environment's faults. Taking a decision about an old loyal customer means to be sure that all the details of the strategies of the two companies have been understood.Egan & Sons is not a company with a good economic situation in long te rm because its strategy has a robber because the administration of the society is too traditional. These problems were highlighted by the emergence of new competitors. If Egan wants to be shown like an interesting society in long terms benefits, they will have to adapt their strategy to all the recent changes. The external environment are also Important to consider If we want to have a precise idea of the responsibilities of this situation.Egan has to do something because several extern competitors threaten the society benefits. Indeed, Chinese impasses highlighted the lack of adaptability of the firm. Furthermore, the external environment in united Kingdom is really bleak and businesses are slowing or falling down. This environment can explain a part of the economic problems of Western, but that doesn't excuse all of the bad issues of this company. The external environment, the financial crisis, the increasing of the competition, raise an other important obstacle for the future of the firm Egan without Western.Indeed, If this Important and loyal customer Is dropped, that will be really official to find a trustful and loyal supplier with a good financial situation. Egan will have to decrease Its production if they want to avoid that the costs become higher than the revenues. One or two months. The negotiations with Western must treat of the strategy of the firm. Tommy should explain clearly the situation of the relationship between the two companies and state that or Steve and Western radically change their strategy or they will no longer be a customer of Egan. Even if they change their strategy, decisions will make a long mime to have some effects.On the loyalty ladder, Western is on the top of the loyal customers. Egan has to change the type of customer of Western. Before, Western was a privileged customer with special benefits but with the current situation, it cannot continue anymore. Western must become a discount customer with less advantages in order to balance the losses and the benefits of the two companies. That will be a problem for Western because they have already financial problems and if they become Just a discount customer of one of their best appliers, their profitability will be really affected.The administration will have, after the change of strategy, to change the organization in order to create short term benefits. A reconstruction of the firm must be studied and an audit of all the suppliers and customers must be done so the costs will be minimized and the products standardized. It is highly recommended that Tommy waits to see the effects of all the different effects of the changes on long term, strategy, and on short term, organization, before to drop this customer.

Friday, September 27, 2019

From Freemasons to Industrious Patriots Assignment

From Freemasons to Industrious Patriots - Assignment Example Sticking to the German context, the author shows that with time, freemasons were allowed to inculcate elite practices as joining reading book clubs, improving drinking habits and recognizing organizational discipline. The author also studies that modernization of organizational culture began in two waves, one in 1760 and the other in 1790s with the establishment of patriotic societies which had strong influence in decision making process of the governmental bodies of the states, in spite of poor number of members in the 50 to 60 such groups found all through Germany. This was the beginning of modern organizations wherein the philosophy of the organization was more important than self discipline, patriotism or ethical practices. According to Kieser, people who follow organizational discipline in modern day organizations, fail to recognize the need of learning new and individualistic working styles and disciplines. This is in stark contrast to the rational approach seen in freemasons of the middle ages and is indicative of work culture stagnation. This is also directly in contrast with the modern culture of social progress. Writer suggests that instead of resorting to this new kind of iron cage, the employees must go for multi-societal memberships to develop more complete self discipline and industrious patriotism that is devoid of single organizational dominance. The early freemason organizations comprised low classes of the society including manual laborers, small time vendors and believers of traditional Mason cult. The practices used by these organizations were based on ethical and spiritual philosophies. They were dedicated to achieving spiritual goals like establishing personal standards of discipline and extending them to contribution to society. Modern organizations on the contrary are based on economic and societal philosophies and are more focused

Thursday, September 26, 2019

Hemorrhage Research Paper Example | Topics and Well Written Essays - 1000 words

Hemorrhage - Research Paper Example In many cases, tissues and vessels are scarred and damaged during the delivery process. This presents a situation where blood continuously flows after the delivery (Anderson, 2007). The uterus is also at risk of losing its ability to contract. This leads to the flow of blood without the ability to self contain itself and stop. In other instances, some tissues and vessels may be retained in the uterus causing the bleeding to occur. This is also made quite difficult if the woman is suffering from a blood disorder (Knight, 2009). The disorder affects the entire body’s clotting system. This will then inhibit the body’s ability to stop any bleeding. This data has created a scenario where there is an urgent need to find the most effective and efficient way to prevent and treat hemorrhage. This is with the aim of reducing all the PPH related complications and deaths that occur all over the world (Anderson, 2007). There have been very many studies that have been conducted to de al with the PPH issue. They all aim to identify the best procedure to deal with the issue of PPH. In one study, it was observed that there are trends that can be monitored and observed in many of the cases of PPH. The International PPH which is a Collaborative Group conducted studies in some countries. The countries included the US, Belgium, France, UK, Canada and Australia. They observed that there was a very close connection between PPH patients in the countries. The research did not highlight on the criteria used to select the above mentioned case study countries (Miller, 2004). It is also important to note that they were observing trends from developed countries. This had the sole aim of identifying the observations arrived at from the research. It would have been essential to observe some developing countries. This would have provided a great contrast for the study. Research of prevention and management of PPH shows high chances of problem identification and correction. Once da ta has been collected, it is easy to observe the trends. They offer a healthy basis to understand very many factors that have been previously ignored. Some factors include the effect of the environment on the pregnant woman. Another trend includes the effect of prolonged labour on her reproductive system. There is an obvious conclusion that there are some issues that are arrived at based on observations. The research concludes that there is a need to insist on prevention of PPH. This is as compared to treating it once it has occurred (Anderson, 2007). Doctors should be very observant of their patients before and after the delivery process. It is crucial for doctors to observe the patients general weight and anaemic tendencies. This will ensure that some of the possible causes of PPH are eliminated. The doctor should then find out the patient’s history in respect to previous births (Bhau, 2008). Historical information is very important as it will help identify if there are cha nces for the hemorrhage to occur. In all the researches conducted, there is an agreement of the two distinct methods to deal with PPH. They include all the medical procedures as well as surgical ones. In many cases, patients receive both treatments. This is with the aim of reversing the amount and levels of hemorrhage experienced by the patients. The most common medicinal component used to cure PPH is the drug Oxytocin. It is very common because unlike Misoprostol it has no side

Articles Article Example | Topics and Well Written Essays - 1000 words

Articles - Article Example Besides, it provides ample examples on emphasis given to the strategy of multinationals in enhancing the profits of the company. In the introductory section, the article provides a bird’s eye view on multinational companies, its decision making process, factors that influence the decision making process and foreign markets. In the first part, the article deals with the various factors that influence decision making process of multinational companies which seek entry into foreign markets. In addition, the article tests the validity of the framework used in decision making by undertaking firm level research by an empirical method that focuses on the micro as well as the macro factors. Summing up, the learning from the article is about how multinationals often make choices that are driven by top-down approaches rather than bottom-up approaches. The article is definitely useful for anyone seeking to understand the rationale behind why multinationals choose to enter specific markets and why they ignore some other markets. In conclusion, the article is definitely worth reading and adds to the literature that is available on the entry modes of multinationals and particularly to those in the third world countries. The article makes very relevant points about the nuts and bolts of decision making when it comes to entry into foreign markets. The article is an important contribution to the existing literature on how multinationals base their decisions on which markets to enter and the factors that go into this decision making process. For instance, the entry strategy of multinationals into a specific market might be dictated by considerations of geography and to counter completion from its international rivals. This is the strategy that the cola majors, Coke and Pepsi use to enter specific markets and the entry mode is often dictated by factors that include the

Wednesday, September 25, 2019

Marketing Strategy Essay Example | Topics and Well Written Essays - 750 words

Marketing Strategy - Essay Example The name of the product is ‘Hair Food’. During the initial stages of the product, we will primarily focus on understanding the customer value and focus more on maintaining a stronger relationship with the final consumers. However on the other hand, the focus will be primarily laid on transforming the customer value in to the sales , profits and revenues and the equity. (Kotler, P., & Armstrong, G. , 2001). Before introducing the product in the market, it is very important that the three important steps should be followed which are, segmentation, targeting and positioning. Since the product can not be reached to the masses , hence there is a need to divide the total segment in to the small segments so that the marketing strategies can be better concentrated on. Segmentation is defined as dividing the total market in to small sector and segments with the consumers having similar demands and needs. Different books and scholars talk about different segmentation methods, but the most common ones are geographic segmentation, demographic segmentation, psychographic segmentation and the behavioral segmentation as well. In the case of Hair food , the segmentation will be done on the basis of gender, age, income group, social class and status and the usage rate. The Hairfood is a product which will primarily be focused on the females , who fall in the age bracket of 16-40 years of age , who belong to the middle and the high income group brackets . These females will be the ones who are facing severe hair damage and hair fall and they want to revitalize the natural look , shine and the luster of the hair. Since the primary focus is on the natural ingredients of the product, there it priced comparatively higher as to the other hairfall products which are available in the market. Hence only the consumers who fall in the middle and high income bracket will be able to fall under the category. Target markets is the process through which the marketers make evaluati ons made on how attractive each market and then later choose the segments which can potentially generate the most profits. (Masterson, R., & Pickton, D. ,2010). Once the target market has been defined, the positioning has to defined. Positioning is defined as making a clear and a different place in the market with a competitive edge and the differentiation. A company’s customer value proposition is one of the most important aspects which defines how the targeted customers will be served, with the help of the differentiation and proper market positioning. A value proposition is the number of advantages that the marketer aims to provide to the final consumers, so that the product differentiation can be exhibited . (Masterson, R., & Pickton, D. ,2010). Ayucure and Artesia Harifall Solutions and currently offering the hairfall products range which are made by extracting the natural herbs and help in rejuvenating the original natural look of the hair by minimizing the damage. Howe ver these two products have been available in the market for a very long time and the competitive edge is that over the past two years , they have gained the customer loyalty and the high ranking it has received over time shows that the shampoo gives amazing hair results. Creating the differentiation for the product is a very necessary aspect and this competitive edge helps the product to stand out from the other competitors which are availa

Tuesday, September 24, 2019

Wiki, Blog, and Podcast analysis Essay Example | Topics and Well Written Essays - 2000 words

Wiki, Blog, and Podcast analysis - Essay Example Such a transition may require one or more strategies from the following as defined by Ballard (2008): This presentation is pertaining to the feasibility analysis of Wiki, Blogs and Podcasts for Smith Systems Consulting for the purpose of two way interactions with the customers. The paper is presented in the form of feasibility study and proposal for Smith Systems Consulting. The organization is in the business of web site development for the customers staring from conceptualization to productionization. Smith Systems Consulting uses cutting edge programming, database & networking tools, methods and techniques to develop the websites for their customers. In order to keep in touch with the customers, Smith Systems Consulting wants to carry out research on Wiki, Blogs and Podcasts to verify their feasibility for this purpose. The author hereby presents their feasibility analysis in the next section. Austin and Coates et al. (2009) define the Wiki as a fully editable website on which users can read and add content to contribute to a framework of collaborative knowledge. One of the most prominent examples of Wiki is the Wikipedia - the free encyclopedia that comprises of more than 2 million articles available in 265 languages. The content on Wiki's can be updated by any user through a web interface that allows almost instantaneous updating of the content. The system is subject to reviews like peer reviews, expert reviews, abuse control, etc. Wikis can be public (editable by anyone) or private (editable by a closed user group). i. Type of Information that Wiki can effectively convey Wiki is used as shared knowledge database in which content is added and managed related to a particular subject matter, project, reporting matter, conference, discussion groups, on-line terms & glossaries, dictionaries, collaborative software development, etc. Hence Wiki can be used for any collaborative environment for knowledge sharing. The content in Wiki can be entered and

Monday, September 23, 2019

Business and Law - short story Case Study Example | Topics and Well Written Essays - 1000 words

Business and Law - short story - Case Study Example Apart from this she also had to undergo mental stress as she had lost her prestige. Sarah suffered physical injuries and mental agony because she got a t-shirt from a sale conducted by Cameron at her hotel. Just because she wore the t-shirt which had toxic material, Sarah suffered rashes all over her body and she was admitted to the hospital. She had to spend almost 6 weeks at the hospital. Finally when she was better the rashes left scars all over her body due to which she could not negotiate a movie deal with a major movie studio. The manufacturer has to use reasonable skill and care in the circumstances (ie. if the possible injury is very serious then the manufacturer will have a heavier duty, if the chance of injury is remote, the duty will be greater than if the chance of injury has a greater probability). When the facts indicate some negligence (eg. a snail in a bottle), the consumer does not have to prove how the manufacturer was negligent. The manufacturer has to prove that they did meet the standard of care. Based on the above Sarah has every right to take action against Cameron. She can sue Cameron in the court of law. Sarah's physical injuries caused by wearing the t-shirt resulted in her cancellation of a major movie contract. This was only because of the negligence on the part of Cameron who sold the t-shirt. Sarah also has the right to claim for emotional distress. The law says that if emotional distress causes physical injury in this case (Sarah's skin rashes) then the claimant who suffered emotional distress can make a claim. 3. Issues of the case: The gasfitter knowingly did damage to the pipeline of the hotel. Action: Sam can take legal action against the gasfitter. He can sue the gasfitter in the court of law and can also claim damages for negligence caused by him. Sam due to the negligence of the gasfitter had lost around $80,000 because it took 8 days to start the business after the gasfitter had tampered with his gasoline. 5. Sam the hotel owner had filed a claim for damages with her insurance company. In this case the insurance company has every right to deny her claim because it is evident that Sam has been inviting trouble from the whale rights activists 'Dignity for Whales'. She went against the law by selling whale meat. Sam had renewed the insurance policy and there was a contract with him and the insurance company. The insurance company cannot deny the claim. But since Sam had invited the damages she has no right to claim. With regard to the second attack, from the problem it is not clear as to why his hotel was attacked for the second time. Probably if she had carried on to serve whale meat then she has no right to claim. But if Sam had not continued serving whale meat then he has a right to claim from the insurance company. 6. Issues of the case: Cameron suffered loss of her stock due to fire. She had lost 95% of her stock but the insurance company paid her 100%. The issue is that whether Cameron can keep the sale

Sunday, September 22, 2019

Art History French Revolution Analysis Essay Example for Free

Art History French Revolution Analysis Essay A very distinct difference between A and B, is that A shows that Napoleon in a different light, as a power hungry and power crazed man and the phrase â€Å"..absolute power corrupts absolutely..† applies very perfectly in this painting. His paintings have evolved from the purpose of propaganda for the revolution and promoting his image as a hard-working and patriotic man to promoting his power, wealth and less than subtle military process in this painting, and it also shows a rather discrete relation to the paintings that the Bourbon Kings may have commissioned to have been painted for them. Painting B was painted in 1804, before Napoleon became corrupted with the power and wealth that comes with his position and interprets his character as a hard-working man, with equality to others. Painting A was created in 1806 two years after painting B, and it confirms the results of his corruption and changed character and perspective. B shows Napoleon with the attributes previously stated, a hard-working and patriotic man. This painting shows that he is hard working by painting him in his study, thus perhaps suggesting that he had a decent and educational upbringing. Another aspect in this painting that shows that he is hard-working is that his right hand is on a stack of papers on the Napoleonic Code that he perhaps just finished writing, showing that he is different from the Bourbon Kings, who could not and would not do any administrations. B shows that Napoleon is patriotic because of many reasons. One, being that his clothing colour is one of the patriotic colours of France (red, white and blue are the patriotic colours of France). Two, being that in the background there is a window overlooking Paris, the rebuilt Notre Dame in particular implying that he is with the people and for the people and of the people. Three, being that his sword hung beside his hip to show that he is always prepared to defend his country against any menaces. Painting A’s style is very different style from painting B. Painting B is rather modest and using rich colours, but has less luxurious texture than painting A gives, whereas painting A uses even more magnificent and rich colours and the texture of his clothing and accessories are even more lavish than painting B. we can see a difference in Napoleons face as well, in this painting, his face looks like it has been caked with white powder, much like the Royals used to do, and his face is also much more expression-less than painting B. B at least shows some degree, although quite small, of emotion. His face portrays a rather serious emotion. The angle of which we view the Napoleon has also changed quite drastically and contradicts one of the Napoleonic Codes that he himself created. In B we are looking at Napoleon on an equal level, showing that although our statuses may not be the same, we are still equal, one of the most important things that the revolution strived to achieve, Egalite (equality). However, in Painting A we are gazing at Napoleon who is sitting above us, on a throne with a range of royal and exquisite items. The change in position clearly indicated the sign of his corruption and the nullification of one of the codes that he created for the people which was that all people shall be treated equally. In this painting we look above to see him, as if he is of a higher class than the people of Paris, above them. His clothing difference is also very dire as well. His clothing in painting B is modest, and thoroughly middle-class while also representing his support in the Revolution by wearing a Revolution colour (red). The texture of the fabric seems to be rather harshly depicted in the painting, which perhaps was meant to show that he did not spend an unnecessary amount of money buying an over-excessive amount of clothing and other various luxuries like the Royals and the upper-class. The fabric of his clothing is painted in a much more overgenerous manner in painting A than painting B. David paints his fabric with sinuous lines and rich colours. The clothing that he wears in this painting shows his corruption, that he has spent the unnecessary and excessive amount of money for such luxuries. Another sign of his corruption shown in his costume is the crown that he wears on his head. Crown, symbolizing royalism. Crown, symbolizing that he fancies himself the King Of France, after all the codes that he has created to distill the peoples fears of a dictator, a dictator was still what they have received. He may not obviously be flaunting that he is in fact dictating, but he is still dictating in a more indistinct fashion. He uses clever manipulations of thoughts and opinions about him by a clever use of marketing strategies, which enhances his image and persona and most importantly his rule.

Saturday, September 21, 2019

Renewable Energy in Bangladesh

Renewable Energy in Bangladesh Inleiding Being aware of the finite stock of fossil fuels and their negative impact on the environment, most countries over the world want to make use of renewable energy sources like solar energy, wind energy, bio-energy, hydropower, geothermal and ocean energy because they want to ensure energy security. The use of renewable energy has risen considerably in recent times, both in developed and in developing countries as well Bangladesh too. Bangladesh is a developing country with 154 million inhabitants. This equates to 1048 people per km ². It is one of the most densely populated countries in the world, with a population growth rate of 1,2% per year (Islam et al., 2014). In 2012, the growth rate of GDP was 6,2% (Ahmed et al., 2014). The economy of this country is dependent on agriculture and forestry. More than 80% of the population lives in rural areas (Islam et al., 2014). The rapid population growth, urbanization and industrialization creates an increasing energy consumption (Islam et al., 2014). In 2000, the energy consumption amounted to 12,7 Mtoe (million tonnes oil equivalent) and in 2011 24,2 Mtoe (figure 1). It is expected that the energy in 2020 will rise to 185%. The electricity consumption per capita is 212 kWh. Consumption is lower than in other developing countries such as India (480,5 kWh) and Pakistan (456,2 kWh). There is a link between the energy consumption per capita and the growth of GDP (Islam et al., 2014). Around 76% of the population has no access to electricity, especially in remote areas in Bangladesh (Ahmed et al., 2014). Figure 1: Final energy consumption in Bangladesh (by fuel type) (Islam et al, 2014) According to Mondal et al. (2014) the biggest contributor of electricity is natural gas (82,81%) . The contribution of other fuels, such as oil, coal, diesel and hydro energy amounts respectively 5,6%, 2,4%, 6,9% and 2,8%. But there is a great shortage of energy. Energy demand is 8350 MW, while the supply is only 6000 MW. In the future, the difference will continue to increase (Ahmed et al., 2014). In 2021, the demand for energy is going to be about 18 838 MW and 33 708 MW by 2030 (Islam et al., 2014). 98,5% of all energy comes from fossil fuels, while only 0,3% of renewable energy. However, the fossil fuel is limited. This is going to be run out in the future. There are 23 fields of natural gas and the reserve contains approximately 566336,9 million km ³. Within the next 15 years this reserve will decrease. Recently it was discovered there 2,9 billion coal, but the extraction of coal is very expensive and the production of electricity from coal in a densely populated country caused a lot of pollution. Coal gives high CO2 emissions and thus harms the environment. Exploration and exploitation of renewable energy sources can reduce greenhouse gases (GHG) and mitigate negative impacts on the environment (Ahmed et al., 2014). Renewable energy technologies (RET) Renewable energy is the ideal solution for people that live in remote areas, but also for urban residents due to the acute energy crisis (Ahmed et al., 2014). There are infinite sources of renewable energy such as biomass, wind, solar energy, hydropower. Different types of renewable energy are discussed in this paragraph. Solar energy Solar energy is widely believed to be one of most viable and efficient renewable energy resources mainly for its abundant availability. Bangladesh is an ideal place for solar energy utilization. Annual solar radiation available is more than 1900 kWh/m ². It is found that 94% of the land area in Bangladesh has such radiation which is sufficient for appropriate utilization based on available technology. Maximum radiation begins from March to April, and minimum radiation begins from December to January (Islam et al., 2014). Nearby 32,5% of the entire population has intermittent electricity access. However, a huge number of population is completely out of electricity supply, especially in the rural areas. From a sustainable view point, this scenario retards economic growth and social development of Bangladesh which is, otherwise, a densely populated developing country. Appropriate application of solar energy, as one of the renewable sources, could provide a stimulus to overcome such social and economic problems (Ahmed et al., 2014). Solar home system (SHS) achieved remarkable popularity as off-grid power generation essentially in rural areas where on-grid electricity remains unavailable and the necessary infrastructure is still in its nascent stage. SHS can be viable as a way to energy solution as well as small rural businesses development in rural areas and is contributing to social and economic benefits. Solar home system (SHS) is a decentralized photovoltaic array module connected with a rechargeable battery that can produce 20-100 Wp. Generally, SHS is applicable to low power consuming devices like television, radio, light bulbs, and others. The efficiency of SHS depends on its dimension of array and the sunlight availability. For isolated remote areas in Bangladesh, solar photovoltaic array is the most effective and efficient way for rural electrification. However, installation of such a system is not cost effective for rural mass population where majority of the population in the remote and rural areas do not have adequate access to financial support. Grameen Shakti (GS), a sister concern of Grammen Bank is now providing soft loan to the rural people. GSs effort to solar home system also contributed to socioeconomic development. It is considered as an important stimulus for sustainable development (Ahmed et al., 2014). In 2012 there are already 1,320,965 SHS. By 2015 the government wants to install 4 million SHS (Islam et al., 2014). Wind energy Wind energy potential is not encouraging, except in some coastal areas of Bangladesh. Bangladesh has a coastal belt of around 724 km. The total capacity of wind energy in Bangladesh is 235 MW. Geographically, strong south-southeast monsoon wind comes from Indian Ocean and enters the coastal areas of Bangladesh. The wind blows continuously with an average speed from 3 m/s to 6 m/s over Bangladesh from March to September. This continuous wind can be captured and converted to kinetic energy with an integrated system comprising of both mechanical and electrical components. This energy can be connected to central grid or can be used to support local electricity supply (Ahmed et al., 2014). However, taking into account wind as a potential renewable energy resource in Bangladesh, disruption occurs due to lack of suitable wind map and the relevant data required to estimate the potential of electricity generation. Global wind data and research shows that wind speed not more than 7 m/s is not viable for large scale grid connected electricity production. But in some places, measured values of wind speed aren’t present in Bangladesh (Islam et al., 2014). Biomass energy In Bangladesh, traditional biomass such agricultural residues, wood wastes and animal dung, represents respectively 46%, 34% and 20% of the energy supply. From environmental and economic sustainability viewpoint, biomass energy is an effective energy source for rural population of the country. Bangladesh is endowed with rich biomass energy with a potential electricity generation capacity of 160,93 TWh from agricultural crop residues, followed by 121,768 TWh from recoverable waste, and 29,91 TWh from fuel wood, saw dust and tree residues. There are two kind of types of biomass energy namely biogas and biofuel. Biogas is a residue from animal and municipal wastes. Technology dissemination is very poor. IDCOL (Infrastrcuture Development Company Limited) installed 22549 biogas plants. 32% of the total biogas plants are not working due to lack of appropriate maintenance and technical knowledge. By the another type of the biomass is biofuel. Bangladesh is in early stage developing biofuel. Biofuel is produced from transesterification of oil, which is derived from energy crops. It’s no energy crop being produced for biofuels at commercial scale. The biofuel will be used as gasohol in the vehicle and the price will be reduced by 20-30% compared to other transport fuel. Bangladesh imports large amount of petroleum products with high price from international market and could save millions of foreign exchange as it is used a biofuel. Environmental pollution from transportation sector would also be reduced utilizing biofuel (Islam et al., 2014). Hydropower energy Due to geographical flatness, Bangladesh has limited hydropower potential. It’s 2 hydropower plants (Kaptai and Barak River) and it generates 220 MW and 1500 MW respectively (Ahmed et al., 2014). But small-scale hydropower is popular because of the low cost, reliability and environmental benefits. It has the potential to generate 5MW electricity. Most of the small-scale hydropower potential sites were discovered in rural, remote and hill track areas which can contribute to overall socio-economic development of Bangladesh ensuring power supply for the rural population (Islam et al., 2014). Policy changes Today only 44% of the population in Bangladesh is foreseen with electricity, and on top of that Bangladesh has very limited non-renewable energy resources of its own. An energy crisis and desertification problem in rural areas are not excluded. The government aims since 2005 to provide electricity for everybody before 2020 by the plan to generate more power from coal and furnace-oil-based peaking power plants (Mondal et al., 2014; PSMP, 2005). Increasing the fossil fuels to meet the growing electricity-demand counteracts the world’s attempts to stop (or reduce) climate change. In addition to the influence on a world-scale, the increased use of fossil-fuels has an influence on local scale as well. It’s proved that the power sector in Bangladesh counts for 40% of the total CO2 emissions and as a consequence there’s an increasing need to develop and promote alternative energy sources to reduce the negative impacts on global and local scale (Mondal et al., 2014). Mor eover, too much dependency on natural gas is obviously fraught with risks for power production and for other commercial activities (Sarkar M.A.R. et al., 2003). These issues could be eliminated if renewable energy is used as a primary source of energy in rural areas.Further is rational policy dissemination important because efficient utilization of renewable energy resources is yet to assume commercial dimensions. In this section, a picture will be drawn of the already taken steps in governance on the one hand and opportunities and bottlenecks for the implementation of renewable energy technologies (RET’s) on the other hand. Bangladesh’ government released in 2002 a draft renewable policy which provided modalities, procedures, tariff regulations, fiscal and other incentives,†¦ for the implementation of so-called RET’s (REP, 2002; Mondal et al., 2010). They did foresee also guidelines for the development of an independent authority for renewable energy, namely the Renewable Energy Development Authority (REDA). With this policy, the ambition is to have around 10% renewable energy of the total demand by 2020 (Mondal et al., 2010). This year has to be taken relatively because other sources mention that this share of renewable energy would contribute to national demand in 2030 (Ahmed S. et al., 2014). In 2008, the policy was reformulated and as part of that policy it has engaged with the development partners and private sector to boost generation (Ahmed S. et al., 2014). According to REP (2008), the objectives of the Renewable Energy Policy of Bangladesh include: to harness the potential of renewable energy resources and dissemination of renewable energy technologies in rural, peri-urban and urban areas to enable, encourage and facilitate both public and private sector investment in renewable energy projects to develop sustainable energy supplies to substitute indigenous non-renewable energy supplies. Although REDA was the sole authority administering all kinds of activities that could be related to energy – both rural and renewable – government decided to establish a new unit for fostering the use of renewable energy for power generation (Mondal et al., 2014). This authority consists of representatives of a large variety of stakeholders, including business community, academics and/or representatives from Bangladesh solar energy society, NGOs, financial institutions as well as implementing agencies (Mondal et al., 2014) and had to take following initiatives to implement the objectives in the policies. It had to take its responsibility concerning coordination, planning, promoting awareness, supporting the establishment of small and medium renewable energy enterprises and service providers, providing financial support in research and soliciting of grid connected renewable energy projects. The authority had to determine the priorities for the renewable technology development. SEDA will support capacity building, human resource and market development. Investments has to be expanded. Microcredit support is established to promote the purchase of renewable energy equipment and private sector participation and joint venture programs will be encouraged. In a way for example, for solar house systems – the most important source of renewable energy for the moment – three different financial systems are available today. On the one hand one can opt for the fee-for-service option. The installation is still owned by Rural Electrification Board (REB) and the users pay a monthly fee for the services. The second option consists the credit program of Grameen Shakti – a not-for-profit company founded to promote and supply renewable energy technology at an affordable rate to rural households of Bangladesh (Right Livelihood Award Foundation Archive, 2007). – where customers pay 50% down payment and the other 50% has to be paid over a long period (varying from 6 months to several years). Regulatory policies to distribute renewable energy has to be implemented Further, Bangladesh became a member of the International Renewable Energy Agency (IRENA) – the only inter-governmental agency working exclusively on renewable energy – to reinforce international cooperation. As mentioned before, Bangladesh is working to provide more energy to its people, in order to accelerate economic growth, poverty reduction, and social development. German companies are supporting these efforts through KfW Entwicklungsbank and the Gesellschaft fà ¼r Internationale Zusammenarbeit (German Embassy Dhaka, 2015). Renewable energy and energy efficiency is a priority area of Bangladeshi-German development cooperation. Finally, it’s important to recognize the importance of awareness and dissemination programs. When people lack information and awareness, government can do as much work as now, they can establish thousands of institutions to stimulate the use of renewable energy, but people won’t (or cannot) make use of it. There is one example where government wanted to implement bio gas plant into rural houses, but they didn’t involve the households in the project and as a consequence, more than 50% of the installations were not working because people were not able to maintain and/or repair the bio gas plants. Considering this fact, a lot of organizations such as Grameen Shakti, REB,†¦ implement this in there guidelines as well (Mondal et al., 2014). Conclusion Energy demand will continue to increase exponentially because of population growth. Since history, economic growth can be coupled closely with energy consumption and production. According to Hassan A. et al. (2012) energy can be seen as a sensible approximation to assume that energy use/capita will increase with GDP/capita. The relationship between energy access and social, economic, environmental,†¦ issues is relevant. Being aware of the finite stock of fossil fuels and their negative impact on the environment on both a global and a local scale and health of the citizens, most countries, as well Bangladesh want to stimulate the use of renewable energy sources. Therefore, the importance of government as well as private organizations in the process has to be recognized. Subsidizing and supporting private-public Research Development partnerships can make renewable energy projects a successful story. Those endeavors manifest Bangladeshs commitment towards development of renewable energy although Bangladesh cannot make use of all renewable sources such as solar energy, wind energy, bio-energy, hydropower, geothermal and ocean energy equally, because of morphological and other natural characteristics. New solutions to solve the renewable energy crisis in Bangladesh so by governance help it’s possible to promote renewable energy which is more advisable than diverting internal capital to import refined oil from foreign countries (Ahmed S. et al., 2014). Nevertheless, the promotion of renewable energy in Bangladesh is still in an early stage and new projects have to take not only policies into account, but also the people in Bangladesh itself. They need to make use of it, they need to have the knowledge to make use of new installations and they have to repair it. The local demand and income generation opportunities should be the starting point of the implementation of RETs and then, after all, renewable energy in Bangladesh can be a successful story of whi ch a lot of other countries can learn a lot. References Ahmed, S., Islam, M. T., Karim, M. A., Karim, N. M. (2014). Exploitation of renewable energy for sustainable development and overcoming power crisis in Bangladesh.Renewable Energy,72, 223-235. The Press Section (2015). Renewable Energy and Energy Efficiency. Accessed on 5th of May 2015 on http://www.dhaka.diplo.de/Vertretung/dhaka/en/07/Priority/Energie__Seite.html Islam, M. T., Shahir, S. A., Uddin, T. I., Saifullah, A. Z. A. (2014). Current energy scenario and future prospect of renewable energy in Bangladesh.Renewable and Sustainable Energy Reviews,39, 1074-1088. Mondal, M. A. H., Denich, M., Mezher, T. (2014). Deployment of renewable energy technologies in Bangladesh: Long-term policy implications in power sector.Energy Strategy Reviews,2(3), 307-312. REP (2002). Renewable Energy Policy(Draft). Ministry of Power, Energy and Mineral Resources, Dhaka, Bangladesh. Right Livelihood Award Foundation Archive (2007). Grameen Shakti (Bangladesh). Accessed on 4th of May 2015 on http://www.rightlivelihood.org/grameen_shakti.html Sarkar, M. A. R., Ehsan, M., Islam, M. A. (2003). Issues relating to energy conservation and renewable energy in Bangladesh.Energy for Sustainable Development,7(2), 77-87. PSMP, 2005. Power sector master plan update, Power Cell, Power Division. Ministry of Power, Energy and Mineral Resources, Dhaka, Bangladesh.

Friday, September 20, 2019

First And Second New Deals Analysis

First And Second New Deals Analysis This investigation assesses the successes and failures the New Deals. It will reveal how the First New Deal was more successful than the Second New Deal in relieving the Great Depression. In order to evaluate the successes and failures, the investigation evaluates the goals of the First New Deal and the Second New Deal. Furthermore it will show how it either harmed or saved the economy from the Great Depression. The two sources used for this investigation are History of the New Deal 1933-1938 written by Basil Rauch and The New Deal, What Was It? written by Morton Keller. These sources will be analyzed for their origins, purposes, values, and limitations. In contrary, this investigation does not assess the causes and effects of the Great Depression. Furthermore, it does not examine the initial reactions of the American people or outsiders toward the New Deal and the anger of the Great Depression. B. Summary of Evidence The New Deal created by Franklin Roosevelt tackled political, social, and economic issues. The program aimed for the conservation of human and natural resources, guided by the principle of the greatest good for the greatest number  [1]  . Some believed the New Deal was a program designed to prolong the capitalism. Meanwhile, other believe it was as the ambiguous label of Roosevelts safe multifarious program designed to make the United States safe for the Democratic Party.1 The New Deals involved series of programs aimed at ending the Great Depression during the 1930s. Thus Franklin Roosevelt was considered to saved America from the peril of the depression. The New Deal was divided into two part, the First New Deal (1933-1934) and the Second New Deal (1935-1938). The overall goals of both of the New Deals were to relieve, reform, and recover the United States from the Great Depression. The primary goal of the First New Deal was to help the United States from the Great Depression, while the Second New Deal was to reform the economy. The objective during the first period of the Great Depression was to increase higher prices for industry and agriculture, whereas the objective of the second period was to increase the purchasing power and provide sense of security.  [2]  The First New Deal chiefly benefited the big business and large farmers. Whereas, the Second New Deal benefited the labors and smaller farmers. The First New Deal aimed in restoring the economy from the top down, while the Second New Deal from the bottom up. The First New Deals objectives were to tackle unemployment and farm relief. If the farmers are unable to prosper, the industries will also not prosper because industries rely on farmers to buy their products. The National Recovery Administration (NRA) supervise employing citizens and increasing production. The government sought to stimulate the economy by paying the farmers to produce less. The Agricultural Adjustment Act (AAA) addressed farmers issue of overproduction because prices were too low. This program protected farmers from prices of surplus crops, inflation of currency and cheap credit. In January 1936, the Supreme Court ruled the AAA unconstitutional, stating the government had no constitutional authority to limit farmers production. It was soon replaced by the Soil Conservation and Domestic Allotment Act, which permitted the government to pay farmers to reduce production to save the ecosystem from erosion and conserve soil. Secondly, the Civilian Conservation Corps, Roose velts favorite program, provided 250,000 unemployed young men with a job working in the national forest.  [3]  When the NRA campaign to increase employment and production failed, they presented the Civil Works Administration provided employment to four million unemployed people to work on immediately on federal projects such as building roads and schools.  [4]  Almost a billion dollars was able to go into consumers hands. The National Industrial Recovery Act assure profit and wages for laborers. These changes were temporary because CWA ended on April 1, 1934. In contrary, the goal of the Second New Deal was social justice. Reform was declared to be inseparable from recovery.  [5]  The central objective was to provide security to the citizens who were unhappy with the stricken economy and overwhelm by the affects of the Great Depression. The federal government provided security and housing for the poor, elders, sick, and disabled. Old-aged was address by the Social Security Act of 1935. It was the first national old-aged program that provided a pension for retirees. Additionally, the federal government gave purchasing power to small business to increase profit. The government funds attempted to turn non-consumers into consumers again. The Works Progress Administration offered jobs to the unemployed. By providing jobs, workers are able to strengthen their familys well-being and boost consumer demands.  Although these programs were able to provide the population with a sense of security, it did not last because it was too weak and the some of programs addressed temporary issues. C. Evaluation of Sources The History of the New Deal 1933-1938, written by Basil Rauch in 1963, is an in depth analysis of the First and Second New Deal that investigates the successes and failures of the policies. It was written with the purpose of examining the evolution of the policies during Roosevelts economic from 1933 to 1938. The books value lies in the fact it discusses the launching of the First New Deal and the Second New Deal, the success and failures, and promises of the New Deal. Rauchs work is credible due to the authors position as a leading historian of the Roosevelts administration. However, the book is limited because hes admiration of Franklin Roosevelt. The New Deal, What Was It?, written by Morton Keller in 1963, is a collection of written sources from the period that provides evidence different perspective of the New Deals. This compendium proves to be a valuable source because it analyzes the various reasons why Roosevelt passed the First New Deal and Second New Deal. This collection of personal accounts is limited because each author has their own perspective and knowledge of the issues. Their political and ethnical stances are different from one another. The authors write those passages in order to persuade the audience of a certain situation. D. Analysis The New Deals were series of programs aimed at getting the United States out of the disastrous Great Depression. Proposed by FDR with the purpose of relieving, reforming, and recover the economy from the widespread poverty in the land of plenty, frustration and despair in the land of opportunity  [6]  . The series of laws, government actions, and social development created continuous governmental responsibility for the welfare of the economy. The New Deals introduced broad social welfare programs and generated major shifts in national political allegiances. The presidential leadership of Franklin Roosevelt must be evaluated before analyzing the success and failure of the New Deals. Afterward the goals of the New Deal and the notions of the New Deal was evaluated. Some perceive him as a major figure in the twentieth century, a man who saved American from the peril of depression and threat of fascism  [7]  . Consequently, FDRs leadership was the determining factor establishing the New Deal as a democratic alternative to Fascist or Communism. Historians such as Richard Hofstadter curtailed FDRs role as a successful leader of American  [8]  . The legislation of the New Deals was passed in a shorter time period than other important new legislation. The First New Deal attempted to restore Americas economic vitality and reform the stricken economic institutions. Rauch, author of History of the New Deal and leading historian of the New Deal, interprets the First New Deal as a desirable, democratic program of recovery, relief, and reform, made necessary by the accumulated evils of a business-dominated economy  [9]  , suggesting the success of the New Deal should be measure by social relief and reform rather than economic recovery  [10]  . Others like Edgar Robinson believed development of the New Deal was not a response to national conditions and popular demand but it was to the work of administration officials influenced by alien and socialistic ideas who without popular mandate sought to recast American society  [11]  . The topic of the New Deal is debatable because it either prolonged the Great Depression or stabilized the economy. Many historians suggested Roosevelt introduced too many programs draining the US economy of the little money it had to create as many jobs as possible. Hence, the new programs contributed to the increase in the national taxes. Federal taxes as a percentage of gross national product jumped from 3.5 percent in 1933 to 6.9 in 1940, and taxes skyrocketed during World War II  [12]  . From 1934 to 1940, the average annual rate of unemployment was 17.2; at no point did unemployment go below 14 percent  [13]  . But others suggested the programs were the best decision at the time. The First New Deal assisted in alleviating financial problems, provided jobs and improved standard of living with the creation of new roads, schools and railroads. Historians struggled to decide rather the New Deal was a good or a bad. Some believed FDR was both a radical and despot, while others believed he was a liberal. Leuchtenburg believed that most of the limitations of the New Deals were caused by restrictions imposed on Roosevelt by the ideological and political realities of his time. Ellis Hawley challenged liberal assumptions that the First New Deal was an enemy of private business interests. He argued the First New Deal was designed to enhance the position of private businesses. Ronald Radosh believed it was an effective agent for the consolidation of modern capitalism. According to Basil Rauch, the Second New Deal central objective was to provide security for the citizens of the USA. It establish security for unemployment, old-age insurance, benefits for destitute children, mothers, sick, and physically handicapped persons; stranded population rescued by better use of natural resources and intelligent distribution of means of livelihood  [14]  . Additionally, the Second New Deal did not concentrate on the recovery and rehabilitation of the economic structure but rather on social relief and reform. Raymond Mosley, an important adviser to FDR during the New Deals, reveals FDR increasing fondness for power and his pride as the source for the development of the New Deals. He conclude the New Deals had no consistency and unifying purposes; thus, the prime force directing the evolution of the New Deal was the growing demagoguery and desire for power of FDR and his advisers  [15]  . On the contrary, the editors the New Republic suggest the New Deals were too friendly with big business and it stressed the administrations increasingly sensitive response to the social misfortunes of Americans. Lastly, no event in the last four century of America beside the Civil War had stirred much controversy among historians as the New Deal. Historians still question what it actually was and mean. Some agree that Roosevelts New Deal was the only possibility of alleviating the Great Depression, but many still ultimately blame him for prolonging the Great Depression. E. Conclusion The purpose of the First and Second New Deals were to help alleviate the depression. The economy was still in shambles due o failure of construction to revive and high production prices. By launching the New Deals, FDR was able to demonstrates the power he and his cabinet obtain over the United States. The First New Deal assisted in alleviating the financial crisis by providing jobs, improved Americas standard of living with the development of new roads, schools, and railroads. Unfortunately, Roosevelt drained the USs economy of the little money it had in order to create as many jobs as possible. Franklin Roosevelt was the only reform president who attempted to restore the stricken economy. Hence the success of the First New Deal was attributed to the coincidence of good politics and the determinations of social conscience. The First New Deal was able to accomplish more goals than the Second New Deal because it provided jobs to the unemployed. The First New Deal was an immediate solu tion; it called fro a quick fix. The Second New Deal only provided a sense of security among the disgruntle citizens. Although the Second New Deal was less immediate, it was far reaching because some of the programs such as the Social Security Act is still being used today.

Thursday, September 19, 2019

Sacrifice of Values to Please Authority in Shakespeares Hamlet Essay

Sacrifice of Values to Please Authority in Shakespeare's Hamlet It seems that it is human nature to want to please others, but compromising ones values in order to do so can result in people getting hurt emotionally or physically. In William Shakespeare's Hamlet, the desire to please those in authority overweighs the judgment of many characters. These characters are more interested in pleasing those in power than doing what is in their best interest. This is seen in Polonious' eager attempt to use Ophelia, in Rosencrantz and Guildenstern's being coerced into spying on a good friend, and finally in Laertes' all too easy manipulation by Claudius to take revenge on his fathers' death. In all these instances, the characters put their better judgment aside in order to do something to please a monarch. The bond between father and daughter is something that some consider sacred. Polonious uses this bond with Ophelia to please Claudius and Gertrude in finding our what is wrong with Hamlet. The King and Queen were very upset at Hamlet's seeming insanity. They tell Rosencrantz and Guildenstern that finding out what is wrong with Hamlet would be "the supply and profit of [their] hope (P.34)." They are obviously disenchanted at his behavior, and Polonious knows this, and tries to use his daughter to prove his theory. When Ophelia came and described to him her meeting with Hamlet in Act I, Polonious immediately took her to the King. Polonious, acting on his duty to "both [his] God and to [his] gracious king (P. 34)" took Ophelia to Claudius to see if he could be any help in trying to find out what is wrong with Hamlet. He quickly tells the king that he will ".loose [his] daughter to [Hamlet] (p. 38)" and concocts an elaborate plan t... ...how others perceived them, especially those in power, than doing what was really in the best interest for everyone. These characters were manipulated by brutal puppet-masters that toyed with their strings to get the response that they wanted, knowing full well that all would agree to anything in order to please them. This urge to do what was wanted by those in ascendancy was so great a weight, that values were pushed aside for a chance to glimmer in the light of attention from important figures in society. Works Cited and Consulted Long, Michael. A Study of Values in Shakespearean Tragedy. London: Methuen and Company, 1976. Mirrior, Ivor. "Hamlet." The Role of Authority in the Tragedies. London: George Allen and Unwin, 1972. 369-430. Shakespeare, William. Hamlet. Ed. Susanne L. Wofford. Case Studies in Contemporary Criticism. Boston: St. Martin's, 1994.

Wednesday, September 18, 2019

Value of Biodiversity and the Preservation of Species Essay -- Nature

Value of Biodiversity and the Preservation of Species As a result of the increasing environmental awareness of scientists and laymen, new issues have evolved around pressing ecological problems. Ecologists have discovered how important retaining biodiversity really is to humanity. While politicians often have other economic agendas, environmentalists are working hard to push this relatively new knowledge through political institutions using economic arguments. The preservation of our surroundings can create new jobs and promote economic efficiency, more so than the jobs which are currently destroying our ecosystem. For example, in a few years, workers in the fishing industry may be out of jobs due to over-consumption of certain species of fish and the lack of management to preserve these animals. For Christians, biblical reasons also apply to this desire to preserve what remains of our biodiversity. Holistic human life depends on the relationship between humankind and species found in nature; thus humankind must develop respect and crit ical understanding of the interaction of human and non-human species, and realize the necessity of preserving the earth's great biodiversity. Biodiversity Conservation biology became a formal discipline in the 1980s. Its aim was to connect ecology and evolutionary biology, as well as conserve biodiversity (Takacs, 1996). The mission of this new field was to document the earth's deterioration and to promote ways of reversing this situation. In 1986 the National Research Council held a National Forum on biodiversity (Takacs, 1996), and from this conscience-raising event, scientists publicly agreed on the importance of saving the different species of the world (Takacs, 1996). Preservation... ... fires says the aim was to help lynx. CNN Interactive . Accessed Oct. 30, 1998. URL: http://cnn.com/TECH/science/9810/22/vail.fire.02/ Rohlf, Daniel J. (1994). Six biological reasons why the endangered species act doesn't work and what to do about it . In Environmental Policy and Biodiversity ed. R. Edward Grumbine. Washington D. C.: Island Press. Sebastian, Matt. (1998, Oct. 23). Arson in vail fires confirmed . Boulder News . Accessed Oct. 30, 1998. URL: http://www.bouldernews.com/news/local/23morvai.html. Takacs, David. (1996). The Idea of Biodiversity: Philosophies of Paradise. Baltimore, MD: Johns Hopkins University Press. Tuxill, John. (1998). Losing Strands in the Web of Life . Washington D. C.: Worldwatch Institute. Walters, Mark Jerome. (1997). Sanctuary . In Wildlife Conservation . ed. Hillary D. Claggett. New York: H.W. Wilson Company.

Tuesday, September 17, 2019

My Learning Organization

I work as a full time comptroller for a copier reseller. Our company lease copiers to different clients for a monthly fee. When these copiers are turned over after the lease contract, the company either has it released or refurbishes the machines and sells these machines at refurbished price. The organization in our company is not large. We are just a group of ten workers but have been servicing big clients for the past ten years. I would say that our company is an example of a learning organization. Personally, as part of this team, I continue to test my experiences by at the least keenly aware of my day to day routines. Being a comptroller is a tedious job and I am expected to look into the unexpected. I cannot do this if I make my job into a habitual routine where small items can escape my attention. Existing systems and existing work flow can make someone lax meaning, one would just merely trust the system to check itself, which doesn’t really happen especially when the process fails. To test my routines, I would sometimes randomly check receipts that have been processed, just to make sure if they have been processed rightly. Sometimes I would have fun using the system in the office to evaluating my own home budget or inventory. This way, I would know if I have learned the experience by its very nature because the more I can adapt the learning to other kinds of venues, the more I know that I have learned the process indeed. In terms of producing information, my work lets me be responsible in counter checking sales and inventory. The information I deliver is crucial because should there be anomalies in sales or inventory, my information would be helpful in proving discrepancies. I may have second hand data but the corroboration of the information from my work will help support primary data that the office needs, not only to balance finances but most especially to forecast business. It is important for our company’s employees to share knowledge. Information from our specific work is shared systematically through the regular weekly meetings. Though the company is small, these meetings are helpful in leveling off expectations, affirming transactions, threshing out possible conflicts between employees or systems that do create conflict from time to time. Mistakes happen and it is in these weekly meetings that the lessons of a few are shared with everyone thereby sharing the learning. Sharing of knowledge also takes place when we exchange insights about our work like our clients, a good sale, a problematic machine. These insights are shared during breaks or in a few shared exchanges that can happen in a few seconds. These insights are important to note because these insights are seeds of knowledge that each person plants into the learning organization. I couldn’t think of any other innovative step that company has taken up that’s big enough to commemorate. But in the last few years that I have worked with my company, I believe that innovations that have been done came as small steps that are almost not felt but the impact towards helping the company grow is definitive. An example would be making sure there is a person in charge during lunch breaks. It was a matter of adjusting some people’s lunch hour so that we can still answer client inquiries that came in during lunch breaks. True enough, there were successful client inquiries that were received during this unholy hour. Another example is allowing lactating office mates to express their milk or even bring their newborn to the office. Though the newborn took a few office hours from the employees since it can’t be helped to muse over the infants from time to time, the infants also provided a stress relief from time to time. Innovations need not be spectacular or ground breaking. Sometimes, the mere effort of our manager to take time out to look at your family’s picture on the screen savers is innovative enough. As a comptroller of the company, changes that can help facilitate the company’s transition from its existing performance to become high performing would have to be spearheaded by the sales force. Spearheading doesn’t mean to be the sole lone ranger to go out in the field. The company has existing information, experience and knowledge enough to make it accomplish bigger markets. If bigger markets are to be conquered, the ten-man team need to be a high performing unit to maximize company resource. The usual way for most businesses to become bigger is to put in additional capital or resources to accomplish new and bigger tasks. I believe that the better strategy to adopt is to bank on the learning of the company as a team and make it work to get additional clients. All information and knowledge are summarized and insights are articulated. It is best for the sales team to translate these data into formidable input that could help them increase their sales forecast. In this knowledge based setting, companies though transforming themselves to become paperless communities still need the services of copiers. Print has always been time honored and historically, tactile systems of documentation are still considered a part of man’s cultural lifestyle. Therefore, there is yet a big market for our company to expand. The methods of Peter Vaill will help the company achieve its expansion by transforming the company into a highly performing system. The existing weekly meeting of the team can yet evolve into the venue where each team player can fine tune each other’s rhythm according to the other team player’s pace so that no one lags behind and no one goes too far forward. Should the company need additional workforce, the decision must be decided by the whole team because it is important to acknowledge weaknesses or failures. Learning organizations continually engage themselves into processing their mistakes so that growth is felt by the whole organization. If this happens, the organization will be able to trust each other as they take in bigger challenges and bigger learnings. Reference: Vaill, Peter B. 1998. Spirited Leading and Learning: Process Wisdom for a New Age. Jossey-Bass

Monday, September 16, 2019

Human Resources Presentation Outline Essay

Complete a slide-by-slide outline of your Human Resources Presentation using Microsoft ® PowerPoint ®. Consider the layout and the speaker’s notes for each slide in addition to the wording on the slide. Include the following in your outline: On each slide: List the main topics. List two or three subtopics. In the speaker’s note section: Describe the layout or appearance of the slide. Include a brief description of the text the speaker notes will contain. Human Resources Presentation â€Å"Team Presentation† As senior members of the human resources team, you have been asked to give a presentation on the state of the union to the board of directors. The presentation must include past, present, and future legal issues. Create a 12- to 15-slide Microsoft ® PowerPoint ® presentation with detailed speaker notes summarizing your findings to the board. Use complete sentences, with correct grammar and punctuation, to fully explain each slide as if you were giving an in-person presentation. In your presentation, include at least two main points for each of the following bullets: †¢State and federal statutory and regulatory enactments related to patients’ rights and responsibilities †¢Current principles of patient consent and the resulting implications for the health care industry †¢The current state and future trends of physicians’ rights and responsibilities in the delivery of health care †¢Current components and implications of the Health Insurance Portability and Accountability Act (HIPAA) (LINDA’ part) †¢Brief summary of current and future trends for statutory, regulatory, and common law requirements of confidentiality in the health care industry  (LINDA’s part) †¢Current and future legal and ethical obligations relating to the documentation, retention, storage, and use of medical records Format your presentation consistent with APA guidelines and References. Each one of us is doing a total of 4 slides 2 for each bullet, so I only need a total of 4 slides.

Sunday, September 15, 2019

Pit-Bull Case

Legislation over the long-standing debate regarding the safety of housing Pit Bulls continues between pro Pit-Bull advocates and those fearing for their safety throughout Canada. Today, the issue of housing large, potentially dangerous dogs in the city has reached pivotal concern. A course of action is necessary. The level of concern surrounding Pit Bulls is greater than the concern over other dangerous domesticated dogs. There are, however, people who enjoy having Pit Bulls as pets. Pit Bull owners constitute a smaller percentage of people in comparison to those with concern over a Pit Bull’s safety. It comes down to pure fear over these life-threatening dogs. Yes, the anti-Pit Bull contingency has a voice, and with justifiable concern. Evaluation is in order regarding the pros and cons surrounding this issue. This position paper will clearly show that all breeds of Pit Bulls should not be housed in cities throughout Canada. There are many breeds of Pit Bulls—all of which can be threatening. The various breeds of other dangerous domesticated dogs are even larger. Lawyer Clayton Ruby argues the legislation. He sites the following: since 1983 there were 23 dog attacks in Canada that led to fatality. Of these 23 attacks, only one involved a Pit Bull. Thus, according to Mr. Ruby, legislation needs to be written governing all dangerous dogs, and not just Pit Bulls. The slant here, however, will be focused on developing legislation that will make it illegal to own a Pit Bull if you reside in a major city in Canada’s surrounding Provinces. First, we must consider the levels of all dog aggression in comparison to Pit Bulls’ aggression. The least dangerous level is called the submissive level. It includes dogs that display very little signs of aggression. Dogs of this nature tend to roll over when challenged and they will not respond with aggression. No Pit-Bull, regardless of breed, meets these criteria. The next level of dog aggression is known as the generic level. This level of dog aggression only demonstrates hostility if another angered dog approaches it. At this level, if attacked, a generic dog will respond with just enough tenacity to repel the instigating dog from its assault. Again, there isn’t a single Pit Bull that is calm enough to match this non-threatening level. The next level of aggression meets the characteristics of a Pit Bull Terrier. This Pit Bull, labeled a happy-normal-Pit-Bull-Terrier, is a dog that only displays aggression when challenged. This dog will respond aggressively. The only way to separate an aggressive Pit Bull Terrier is by using a ‘break-stick’ level of restraint. These restraining traits must be learned from trained specialists. Here in lies our first red flag. If even the most receptive breed of Pit Bull has a tendency for hostility, it is not feasible to consider Pit Bulls as an environmentally-safe pet, especially in the confines of a city. Pit Bulls at their most obedient level will always attempt to make friends with new dogs. This unreserved level of sociability in a Pit Bull can be the catalyst that leads to aggressiveness and fighting, or even death. When we add a Pit Bull that lives in a crowded city, the situation becomes grave and the opportunity for an unfortunate incident increases. It’s important to point out that even the friendliest Pit Bull will not tolerate aggressive behavior. If, for example, a Pit Bull is led through a small city park where people take dogs and children to play, there is a greater chance for altercation. Even if leash-restrained Pit Bulls are led through a city, the opportunity for an unfortunate encounter, on any given sidewalk might occur. Dogs, by nature, tend to gravitate toward one another. This curious sniffing can lead to danger if a Pit Bull is involved. The next level of Pit Bill is known as the average Pit Bull. These dogs will exhibit aggression toward strange dogs of the same sex while acting cautious around dogs of the opposite sex. If an average Pit Bull is challenged, they will counter with aggression. Physical intervention is necessary to separate a fight. Lastly, we come to the dog-aggressive-Pit-Bull. Pits at this level can live with other dogs but will attack any strange dogs (strange refers to any dog unfamiliar to a Pit Bull). Again, the only means of alleviating aggressive encounters between dogs at this level of aggression is by physical intervention. The fights can be very serious. There are a large number of variables that can occur to a Pit Bull in a city that would lead to aggression. Sometimes it only takes curiosity from neighboring dogs or young children to initiate a Pit Bull’s innate sense for violent tendencies. Legislation that does not allow city-dwellers to own a Pit Bull needs to pass. So many people live together in tight quarters in Canadian cities. This makes it an unsafe region for Pit Bulls. This legislation must come to action before another person or animal is maimed or killed by these instinctively dangerous dogs.

Saturday, September 14, 2019

Coso Risk Management Plan

COSO Risk Management Plan LAW/531 BUSINESS LAW March 18, 2013 Nicole Harrison COSO Learning Activity Beasley, Hancock and Branson (2009) have mentioned that â€Å"Many senior executives and their organization’s board of directors are working to strengthen risk oversight so that they are better informed about emerging risk exposures, particularly those impacting strategy† (p. 01). This statement clarifies that companies are looking for better ways to manage risk and they are using techniques to help achieving this goal.The Committee of Sponsoring Organizations of the Treadway Commission (COSO) is an organization leading the way on providing frameworks and guidance on enterprise risk management, internal control and fraud deterrence designed to improve organizational performance and governance and to reduce the extent of fraud (COSO, 2013). It is a joint initiative of five private sector organizations including the American Accounting Association, the American Institute o f CPAs, the Financial Executives International, the Association of Accountants and Financial Professionals in Business and the Institute of Internal Auditors.This paper has the objective of identify recommendations about how it would be useful for an organization to adopt COSO as the structure for its own corporate compliance plan. According to Steinberg (2011) â€Å"In recent years, to complement the use of key performance indicators, which focus primarily on past performance, more organizations have adopted forward-looking key risk indicators to further enhance risk management effectiveness† (p. 01). Corporations monitor their performance based on indicators (KPIs) that provide a trend from a time in the past to date.This performance trend can be compared to others, such as competitors and general industry performance to assume how the business is moving ahead. But that is not enough. Risk-management specialists and organizations like COSO suggest that corporations start lo oking at Key Risk Indicators (KRIs). Those indicators are looking to the future of the business and its industry and enable management to deal with risk events more quickly (Steinberg, 2011). The KRIs can be part of the strategic plan of a corporation and help to create a more precise SWOT analysis by using real ratios instead of mere market assumptions.Beasley, Hancock and Branson (2009) say that â€Å"Risk management and strategy-setting activities are often viewed as separate and distinct, with risk management sometimes stigmatized as being a non-value adding, compliance, or regulatory function with no visible or clearly articulated connection to the organization’s strategy† (p 13). Corporations should review this outdated concept and start using the power of risk management as an essential element of their strategy.COSO presents their own definition of Enterprise Risk Management (ERM) and summarizes important elements to a successful implementation. The organizatio n defines ERM on Beasley, Hancock and Branson’s article (2009) as â€Å"A process, effected by the entity’s board of directors, management, and other personnel, applied in strategy setting and across the enterprise, designed to identify potential events that may affect the entity, and manage risk to be within the risk appetite, to provide reasonable assurance regarding the achievement of objectives† (p. 4). COSO is great source of knowledge and experience for all sizes of companies. A financial crisis, a simple change in the market, the complexity of business transactions, advances in technology, globalization, and the speed of product cycles can be fatal for any business and, in order to avoid that, managers, executives, and boards should strength risk management in their organizations. ReferencesCOSO Committee of Sponsoring Organizations of the Treadway Commision (2013). About Us. Retrieved from http://www. coso. org/ Beasley, Mark S. , Hancock, Bonnie V. , an d Branson, Bruce C. (2009). Strengthening Enterprise Risk Management for Strategic Advantage. Committee of Sponsoring Organizations of the Treadway Commision (COSO). Steinberg, Richard M. (2011). Using the New COSO Risk-Management Guidance. ERM & Internal Controls. Haymarket Media, Inc.