Friday, December 27, 2019
Jane Addams and the Progressive Movement Essay - 1388 Words
Jane Addams and the Progressive Movement Works Cited Not Included Jane Addams is recognized as a social and political pioneer for women in America. In her biography, which later revealed her experiences in Hull House, she demonstrates her altruistic personality, which nurtured the poor and pushed for social reforms. Although many of Addams ideas were considered radical for her time, she provided women with a socially acceptable way to participate in both political and social change. She defied the prototypical middle class women by integrating the line that separated private and political life. Within these walls of the settlement house, Addams redefined the idea of ?separate spheres,? and with relentless determination, sheâ⬠¦show more contentâ⬠¦More and more women were becoming teachers during this period, and it was continuously being associated as a female entity. Women were allowed to engage in certain social affairs. Although this did not include fighting for the reduction of labor hours or the elimination of child labor, it did encomp ass helping the poor, which was the immediate motive behind establishing Hull House. Reaching out to women who needed a place to stay, or workers who could not afford to live in the crowded and unsanitary apartments that usually stuffed several families in one room, could find shelter in Addam?s creation. However, Addams worked extended beyond the ?private sphere? in too many areas to ignore. Her struggle led to many social and political reforms; she took a very radical political stance for her time, breaking her association from the standard middle class women. Hull House was unique in the sense that it held a position in both the public and private spheres of society. Within the private sphere, women in the Addam?s settlement house ran the household, raised children, taught about the necessity of morals, and preached about religion. In addition, Hull House members offered assistance to their community, which later encompassed the realm of the private sphere. Such actions included teaching, daycare, art galleries, and libraries. Hull House in theShow MoreRelatedThe Progressive Era Of Chicago1177 Words à |à 5 Pages The Progressive Era began in the year 1890 through 1920; During this time many things in the country were evolving such as Social Justice, Government Efficiency, Suffrage Movements, Prohibition, and the list continues. Jane Adams being a fighter and standing up for what she believed in was described as being ââ¬Å"bold as a lionâ⬠(20 yr) growing up and, through her adult years when initiating change in the way the gove rnment and society assist with the impoverished. Adams established the Hull HouseRead MoreThe Dual Nature of the Progressive Era Essay1322 Words à |à 6 PagesThe Dual Nature of the Progressive Era One common misconception is to view the Progressive movement as a unified core of reform-minded crusaders dedicated to improving the social welfare of American society. While this viewpoint is not entirely incorrect, it is only a partial and thereby misleading assessment of the movement that categorized the early part of the nineteenth-century. What some may fail to appreciate is the duality of the period-the cry for social welfare reforms juxtaposed againstRead More Jane Addams and Hull House Essay1548 Words à |à 7 PagesJane Addams and Hull House à à à à à Born in Cederville, Illinois, on September 6, 1860, Jane Addams founded the world famous social settlement of Hull House. From Hull House, where she lived and worked from itââ¬â¢s start in 1889 to her death in 1935, Jane Addams built her reputation as the countryââ¬â¢s most prominent women through her writings, settlement work and international efforts for world peace. In 1931, she became the first women to win the Nobel Peace Prize. à à à à à Addams, whose father was anRead MoreEssay about Jane Addams and Assignment1431 Words à |à 6 Pagesdate for full credit. (40 points) Criteria List the four criteria you have established for the humanitarian award and give an explanation of each. Criterion #1: Establishes Hull-House In Chicago, helping to launch the settlement house movement in the United State Explanation:à Hull House (named for the homes first owner) opened its doors to the recently arrived European immigrants. Criterion #2: In September 1905, Sinclair helped to establish the Intercollegiate SocialistRead MoreThe Progressive Movement Of The American Progressive Era1259 Words à |à 6 PagesWhen it comes to the American Progressive Era there is really no other movement like it. This was a movement that had not just one but many faces that ranged from people as big as Theodore Roosevelt and Woodrow Wilson to people like Jane Addams that accomplished so much. It was a movement so broad that it encompassed basically everyone and spoke not just to but for all those excluded from power. It also wasnââ¬â¢t just one big movement but a conglomeration of them varying from social, to economic, toRead MoreEssay on Fighting for Equal Rights1724 Words à |à 7 PagesJane Addams, Harriet Tubman, Elizabeth Cady Stanton, and Rachel Carson were four American women who advocated for social change. Their courage, intelligence, strength and leadership made a positive difference in the lives of many peopl e. These women were pioneers in their times. They either helped to found, or lent their voices to, various social movements, policies, and causes that evolved during their lifetimes and proved successful in helping many oppressed people. Jane Addams is most famousRead MoreProgressives And The Progressive Era1253 Words à |à 6 PagesThe progressive Era was times in History were local state and federal government took a leap forward in power and activism. In addition, the progressive era, was a time of development of new reforms and changes for America. Progressivism handles a wide range of problems and struggle for America. Such problems were created by unstructed industrialization, urbanization and immigration. As well as, the unfavorable distribution of power and wealth. Progressives believed strongly that problems such asRead MoreFighting For Social Reform : Jane Addams1218 Words à |à 5 PagesSocial Reform Though not widely known, Jane Addamsââ¬â¢ influence and ideals can be seen throughout society. Born many years ago in 1860, the solutions for which she strived for are ageless. Women were considered the weaker sex, and forced to conform to traditional feminine roles such as staying at home and being primarily a nurturer. The issues that Jane Addams fought for, such as social justice and equality, are issues still prevalent in todayââ¬â¢s society. Jane Addams aspired to create a world in which everyoneRead MoreRole Model Worthy For The Field Of Social Work1632 Words à |à 7 Pagesmore than the others. She is the woman who started many social justice movements. This woman is the winner of the Nobel Peace Prize and ââ¬Å"demonstrated the ethics and values that became the basis of the 100-year-old social work professionâ⬠(ââ¬Å"Jane Addamsâ⬠, 1998). She accomplished a lot in her life time and I can only hope to accomplish half of what she did. This woman that I am speaking about is named Jane Addams. Jane Addams was born in Cedarville, Illinois on September 6, 1860. She was the eighthRead MoreThe Effect of Amercan Wars on the Societal Views of Women965 Words à |à 4 Pagescertainly not equal. With the birth of the United States, and the wars that followed, the female population finally gained the confidence to voice their thoughts of their roles in society. The impact of the Revolutionary War, the Civil War, and the Progressive Era impacted the roles that women played in society in momentous ways because all three of these events were times of partial chaos with which came the more confident voices of women voicing their concerns about societyââ¬â¢s views of them. The Revolutionary
Thursday, December 19, 2019
Malcolm X and the Shakespearean Tragic Hero Essay example
Malcolm X and the Shakespearean Tragic Hero Aristotle defines a tragic hero as ââ¬Å"good but flawed, must be aristocratic, must be believable, and must behave consistently.â⬠The Muslim leader Malcolm X can be compared to such tragic heroes such as Othello and Hamlet. Malcolmââ¬â¢s life and his personality have similar traits from both of the famous Shakespearean heroes. In this paper we will look deeper into the life of Malcolm X and find the similarities between him and the tragic heroes, also we will prove that Malcom X can also be referred to as one of the great tragic heroes. Malcolm X was born Malcolm Little. He grew up in the streets of Boston and New York where he was known as ââ¬Å"Redâ⬠. Malcolm became what most youngâ⬠¦show more contentâ⬠¦All of them urged Malcolm to write to Mr. Elijah Muhammad. Although he did write he felt embarrassed because he had poor grammar and could not articulate his thoughts efficiently. Malcolm had emerged himself in the teachings of the Honorable Elijah Muhammad and began to try to ââ¬Å"teachâ⬠others what he was still learning. ââ¬Å"I soon began writing to people I had known in the hustling world, such as Sammy the Pimp, John Hughes, the gambling house owner, the thief Jumpsteady, and several dope peddlersâ⬠(Autobio p.173). After an incident where his brother was suspended from the Nation for immoral behavior Malcolm had begun to doubt the teachings of the Nation of Islam. To Malcolm theyââ¬â¢re had to be some misunderstanding because his brother introduced the nation to him. That night Malcolm had a vision of a man and that morning he had received a letter from Mr. Muhammad telling him if he didnââ¬â¢t believe now he had never believed that statement alone renewed his faith in the Nation and he rejected his brother. Malcolm was released on parole and he made his way to Detroit where he began working at a furniture store and became a member of the Temple. Malcolm became restless with the recruiting efforts of the Temple and upon his first meeting with Mr. Muhammad Malcolm voiced his opinions about recruiting and he agreed appointing him minister of the Temple of Detroit. This is when Malcolm begins to take on the role ofShow MoreRelatedMalcolm X the Tragic Hero1843 Words à |à 8 PagesPaper December 11, 2001 Malcolm X and The Shakespearean Tragic heroes Aristotle defines a tragic hero as good but flawed, must be aristocratic, must be believable, and must behave consistently. -Aristotle. The Muslim leader Malcolm X can be compared to such tragic heroes such as Othello and Hamlet. Malcolms life and his personality have similar traits from both of the famous Shakespearean heroes. In this paper we will look deeper into the life of Malcolm X and find the similarities betweenRead MoreThe Tragic Hero Of Shakespeare s Hamlet1513 Words à |à 7 Pages[insert introduction here] Macbeth and Hamlet are both tragic heroes whose fall from greatness disturbs the order of their kingdoms. A tragic hero is a character, one of high esteem, whose internal imperfection leads to their downfall. Both Macbeth and Hamlet are well known and of high social class when an unexpected calamity hits. Hamlet, the son of the king of Denmark, is a charismatic prince ââ¬Å"most immediate to [the] throneâ⬠(Shakespeare, Ham I.ii.109). It can be inferred that he lives a rather
Wednesday, December 11, 2019
Description about the Business Analysis and Valuation for Organization
Question: Describe about the Business Analysis and Valuation for Organizational Qantas. Answer: Introduction The assignment will focus on evaluating the business operations of the selected organization Qantas. Qantas is one the Australian famous Airways limited company, and it is the largest airline in Australia, when measured regarding international flights and international destinations. The report will analyze all the crucial factors, which will concentrate on the business as well as marketing operations of Qantas Airline (Qantas.com, 2016). There are eight major questions in this particular report, which will focus on the critical business as well as the marketing operations of the organizations Competitive Advantages of Qantas by using Porters Five Forces The use of porters five forces is one of the primary marketing tool, which different groups irrespective of the nature of the business follows towards developing a proper business plan. Qantas operates its business both in national boundary and beyond national boundary. The application of this particular marketing tool will analyze all the crucial elements, which are required by the organization to develop its business operations overseas. The five important factors, which are included in this particular marketing tool, involve Power of the suppliers, Powers of the buyers, Potential threats, threats of substitute and competitive rivalry. The level of competitiveness in the airline industry is high. In Australia, there are many firms, which operate its business activities in the same domain. Australia has the vision of becoming the worlds largest aviation market within the financial year 2020. The various airline industries are competing for the same customers when measured regarding prices, technology, and customer services. The second factor will summarize the bargaining powers of the suppliers, which includes fuel, aircraft, and labor (Jenkins and Williamson 2015). Qantas Airline mainly focuses on these three factors, which will evaluate the bargaining power of the suppliers. Qantas Airline strongly divides the customers base into two divisions, which includes direct clients and customers buying tickets through agents. The bargaining powers of these two groups of customers differ from each other. There are some threats of substitution in this particular industry as the purchasing options of the buyers are diversifi ed. The customer can choose other forms of transport to get to their destinations (Fleisher and Bensoussan 2015). The primary variable is time. Planes are the fastest mode of transportation and majority of the passengers prefers this particular way. However, if Qantas develops a proper pricing strategy, it will put a positive impact on the overall business policies. As in Australian market, the entry and exits of new firms are not restricted; it is another important aspect of the firm, which Qantas follows, as the switching cost in the airline industry is very low (Rogers and Davidson 2015). On the other hand, if the customers are not satisfied with the service of Qantas, they will automatically shift to the next alternative brands to satisfy their demands by maintaining an affordable price. Three Factors for Qantas Competitive Environment Qantas has been in the business with the firm for 90 years and has been acclaimed for its success and milestones. The growth of the Qantas group, despite certain drawbacks, is remarkable (Grant, 2016). However, there are certain factors, which possibly affect the competitive environment of Qantas. Cost cutting, lower oil price and the end of the carbon tax, lower depreciation charges, end of the domestic capacity war and international competition are some of the crucial factors, which affect the competitiveness of Qantas Airline. Nevertheless, out of all the important factors some of the fundamental factors, which influence the competitiveness of Qantas, are highlighted in the following part of the report. To support this particular question based on real facts and findings, a proper situation analysis needs to be developed keeping in mind the requirements of the organization (Fill and Turnbull 2016). A business design and its competitiveness need to be analyzed, but the market condi tions may evolve. Customers, suppliers, products and competitors are some of the key attributes, which affect the business proceedings of the selected organization. As compared with other Airline Organization the depreciation charge on different kinds of fixed assets is much low, which is one of the main elements, which affects the competitiveness of the selected organization (Bryman, and Bell 2015). The second factor is the cost cutting factors, which often drops the performance in the business operations, which is one of the major barriers competiveness. The third factor is the fluctuation of the international price of crude oil, which often hampers the business operations for all the aviation industry. Qantas Competitive Strategy with the application of the SWOT Analysis Competition exists in every corner. Business exists in a dynamic environment, which is changing on a frequent basis. To analyze the competitive strategy of the organization, there are certain points, which the Qantas Airline needs to evaluate in the overall business proceedings. The role of situation analysis contributes as one of the most significant aspects of the overall business operations of Qantas Airline (Rosemann and vom Brocke 2015). There are two kinds of business environment; one is the internal environment, and the other one is the external environment. With the application of the SWOT Analysis, Qantas Airline will be able to scan both the internal environment as well as external environment. The four factors contribute Strength, Weakness, Opportunity and Threats. The first two factors conclude the scanning of the internal environment and the reaming two factors will find the scanning of the external environment (Hollensen 2015). Strength The organization maintains an active as well as the trustworthy name in the aviation sector of the airline industry. Along with its subsidiaries, this particular airline operates its business across the major cities of the globe; some international flights include almost in all the cities of the world. Being the oldest airlines in the country, Qantas Airways is far ahead of the different aviation industry in Australia when measured regarding the experience, operational accountability, technology, and services. Qantas Airline is a promising airline company, which provides a comfortable journey to all the passengers by proving cost effective as well as cost-efficient services. Weakness Due to environmental constraints, some long route flights are often delayed. In spite of expanding to the international region, Qantas still depends on the domestic market for its primary revenues. The over-dependence on the single market and in the domestic sector leaves the Airways vulnerable to any politics situation or economic depression and in Australia. Opportunity The company develops a proper pricing strategy which in the business operations which will attract the customers in many ways. It is one of the oldest airline and aviation sector in the country and maintains a high brand value among the passengers. A lease has been announced for a new aircraft fleet to carter more passengers and provides different kinds of employment opportunities and services to the people. Threats Due to increase in the global fuel price, there are certain negative impacts in the overall pricing decisions of the company. The purchasing options of the customers are diversified in the aviation sector of the country, which is one of the major threats in this particular industry. Congestion and airport capacity issue affect the industry, due to the increase in the population and number of flights in the country. Three Accounting Policies of Qantas The answer to this particular question will address the three accounting policies, which Qantas developed in the business operations and strategies. There are three important principles, which Qantas Airline selected in the process of conducting an efficient financial management system. The role of the effective financial system contributes as one of the most significant aspects of the business, as finance is one of the primary as well as key attributes in the overall business proceedings (Strauss 2016). The ideas of the accounting policies are some of the specific objectives as well as specific principles, which follow specific rules and regulation in the financial management of the organization towards the preparation of the financial statements. The application of accounting policies includes certain standards and regulations in the process of measurement systems and produces for presenting disclosures. However, one of the main things, which need to follow by the majority of the multinational organization, includes following all the accounting standards and principles developed by IFRS. GAAP is the core principles in the accounting standards (Kotler 2015). The following part of the study will highlight what are the three top accounting standards and principles followed Qantas Airline in the business operations. Period Policy With the idea of this particular accounting policy, Qantas Airline reports the complex and ongoing activities of the business in a relatively short manner which distinct time intervals measured in months of different commercial years. This is one of the best accounting practices used by the different organization with the view of developing a proper forecasting activity (Sheth and Sisodia 2015). Fox example the income statement for the year ended in December is known, however, the income statement for the next three months ended for example in the month of March is not known, with the help of this particular accounting tool the organization will be able to forecast the income statement for the month of March. Cost Principle policy Cost is one of the major factors in all aspects of business. From the auditor's point of view, cost refers to the amount spend on cash and cash equivalence (Slater 2015). However, valuation is also an important aspect in aspects of the business. Nevertheless, assets do not reflect the actual amount of money, which the company would receive. With the use of the cost principle, Qantas Airline will be able to determine the true cost by analyzing some specific parameters of the financial system. Revenue Recognition Policy Revenue is one of the prime sources of income for every organization. With the application of the Revenue Recognition Policy, the revenue earning points of the organization will determine the revenue, which is recognized as soon as the product has the organization, has performed the overall service (Vitell and Hunt 2015). With the help of this particular accounting, policy the organization will be able to incorporate the different principles based on revenue recognition principle. These are the three major principles which the organization in the Qantas need to follow in the overall operations of the business and the reason behind choosing these policies and principles ensures the organization to develop a high as well as a proper organizational functioning in the financial system. Corporate level strategies of the Qantas Airlines Qantas Airline is the oldest airline organization in the Australia. The objective of the group is to develop on different kinds of the main organizational strategies, which will focus towards satisfying the demands of the customers (Clay, et al. 2015). The corporate level strategy will concentrate on the achievement of the common organizational goals, which will concentrate towards meeting the requirements and wants of the customers. The business objective of the organization will focus on a proper technological advancement, which will incorporate towards providing all the modern facilities to the passengers at a reasonable cost (Glassman 2015). To execute all these operations in a proper manner, the organization developed an appropriate pricing strategy, which has provided one of the better competitive advantages. However, it has become the Australias largest group when measured regarding flights (Yadav, Dokania and Pathak 2016). With the vision of becoming the largest Aviation industry by the year 2020, the organization needs to provide the best options for the customer largely. The corporate level strategies includes financial performance, mergers and acquisition, a proper human resource management and allocation of proper resources are some of the key parameters which Qantas Airlines needs to follows in the part of corporate level strategy. Analysis of Financial Performance and Financial Position in year 2013 Financial Performance 2012-2013 The financial performance of Qantas in 2012-2013 can be given as Qantas 2012 (Million dollars) 2013 (Million dollars) Growth in Performance Revenues 15,724 15,902 +1.13% Expenses 15,897 15,698 -1.25% Return on Equity (ROE) -4.07% 0.08% Table: Revenues and Expenses of Qantas Source: (Qantas Annual Report 2013) According to the results calculated from the revenues in 2013 has shown an increase of 1.13% whereas the expenses have decreased by 1.25%. Overall, the financial performance of Qantas has been growing while reducing expenses to a degree. However, the growth remains insignificant. Moreover, the return on equity for the year 2013 has increased after the fall experienced in 2012 Financial Position 2012-2013 Qantas 2012 (Million dollars) 2013 (Million dollars) Total Assets 21178 20200 Total Liabilities 15289 14346 Owners Equity 5889 5954 Debt to asset Ratio 0.721 0.710 Liabilities to Equity 2.596 2.409 Table: Revenues and Expenses of Qantas Source: (Qantas Annual Report 2013) According to Qantas financial position, Liabilities to equity ratio has been large which depicts that the shareholders provide 2.5 dollars in 2012 and in 2.4 dollars in 2013. However, the company needs to lower its liabilities for a favorable position in debt to equity ratio. On the other hand, the debt to asset ratio is favorable to as many 0.72 assets as its liabilities are there to pay back the loan. For the both the years, the ratio has been more or less the same. Analysis of Financial Performance and Financial Position in year 2014-2015 Financial Performance 2014-2015 The financial performance of Qantas in 2014-2015 can be given as Qantas 2014 (Million dollars) 2015 (Million dollars) Growth in Performance Revenues 15,352 15,816 +3.022% Expenses 19,124 14,768 -22.777% Return on Equity (ROE) -64.53% 17.67% Table: Revenues and Expenses of Qantas Source: (Qantas Annual Report 2015) According to the results calculated from the revenues in 2015 has shown an increase of revenues by 3.022% whereas the expenses have decreased by 22.77%, which is commendable reduction. Overall, the financial performance of Qantas has been growing while the expenses have fallen to a greater extent as well as the growth has been significant. Moreover, the return on equity for the year 2015 has drastically increased after the all time low ROE in 2014. Financial Position 2014-2015 Qantas 2014 (Million dollars) 2015 (Million dollars) Assets 17318 17530 Liabilities 14452 14083 Owners Equity 2866 3447 Debt to asset Ratio 0.838 0.8033 Liabilities to Equity 5.0425 4.085 Table: Revenues and Expenses of Qantas Source: (Qantas Annual Report 2015) According to Qantas financial position, Liabilities to equity ratio has been considerably higher than the previous years which depicts that the shareholders provide 5.04 dollars in 2014 and in 4.08 dollars in 2015. However, the company needs to lower its liabilities as the favorable as the debt to asset ratio is not favorable as the shareholders price to invest has gone higher. On the other hand, the debt to asset ratio has also grown turning it to be not favorable to pay back the loan by 0.83 for every asset. For the both the years, the ratio has been more or less the same but it assumes to be decreasing in 2015. Analysis on Findings and clear recommendation to potential/existing investors on whether they should buy or sell Qantas share According to the report in the two years, according to valuation methods, the return on equity has been increasing in 2013 and 2015 from 2012 and 2014 respectively. However, 2014 shows to have a drastic change made in the interest income as the expenses have grown in a period of 3-4 years. Overall, there also have been fluctuating financial performance of Quantas and it has been making attempt to maintain a stable financial position as well. Conversely, the following are the recommendations based on the financial performance that the Quantas needs to take in to maintain its position in the market. Firstly, there has been need to decrease the expenses based on the competitive strategy such that there is more opportunity in building assets The investor needs to wait for sometime before investing in Qantas as recently the liabilities have increased and the investor may have to pay more for a dollar in the share prices. The years 2012 and 2014 has seen many fluctuations. As a result, the investor needs to evaluate its money so that the investor money can be valued. Conclusion The overall report will evaluate the operational management of the selected organization Qantas. Qantas is one of the most popular aviation industries in Australia. The overall assignment is classified into different segments, which summarize all the factors towards focusing on the business operations of the organization. Some of the important factors that are discussed in the overall reports include Qantas Competitive Strategies, development of different marketing tools that includes SWOT Analysis and Porters 5 forces. The final part of the report will conclude the analysis of the financial statement of the company followed by providing proper recommendations. References Bryman, A. and Bell, E., 2015.Business research methods. Oxford University Press, USA. Cachanosky, N. and Salter, A.W., 2016. The view from Vienna: An analysis of the renewed interest in the Mises-Hayek theory of the business cycle.The Review of Austrian Economics, pp.1-24. Clay, W., Barrow, B., Stuart, E.J., Rose, M.R. and Talley, T., Acxiom Corporation, 2015.Interactive Marketing Simulation System and Method. U.S. Patent Application 14/617,584. Fill, C. and Turnbull, S.L., 2016. Marketing communications: brands, experiences and participation. Fleisher, C.S. and Bensoussan, B.E., 2015.Business and competitive analysis: effective application of new and classic methods. FT Press. Glassman, A.M., Newcomer, J.M., Earnhardt, M.P., Opengart, R.A., Watkins, D.V. and Marion, J.W., 2015. Validating the knowledge, skills, and abilities composite measure: An aviation industry pilot study. Grant, D., 2016. Business analysis techniques in business reengineering.Business Process Management Journal,22(1), pp.75-88. Hollensen, S., 2015.Marketing management: A relationship approach. Pearson Education. Jenkins, W. and Williamson, D., 2015.Strategic management and business analysis. Routledge. Kotler, P., Burton, S., Deans, K., Brown, L. and Armstrong, G., 2015.Marketing. Pearson Higher Education AU. Kotler, P., Keller, K.L., Manceau, D. and Hmonnet-Goujot, A., 2015.Marketing management(Vol. 14). Englewood Cliffs, NJ: Prentice Hall. Qantas.com. 2016.Our Company | Qantas. Available at: https://www.qantas.com/travel/airlines/company/global/en [Accessed 10 Sep. 2016]. Quantas Annual Report. 2013.The Transformation Continues Qantas Annual Report 2013. Available at: https://investor.qantas.com/FormBuilder/_Resource/_module/doLLG5ufYkCyEPjF1tpgyw/file/annual-reports/2013AnnualReport.pdf [Accessed 10 Sep. 2016]. Quantas Annual Report. 2015.A Strong Sustainable Future: Qantas Annual Report 2015. Available at: https://www.qantas.com.au/infodetail/about/investors/2015AnnualReport.pdf [Accessed 10 Sep. 2016]. Rogers, T. and Davidson, R., 2015.Marketing destinations and venues for conferences, conventions and business events(Vol. 14). Routledge. Rosemann, M. and vom Brocke, J., 2015. The six core elements of business process management. InHandbook on Business Process Management 1(pp. 105-122). Springer Berlin Heidelberg. Sheth, J.N. and Sisodia, R.S., 2015.Does Marketing Need Reform?: Fresh Perspectives on the Future: Fresh Perspectives on the Future. Routledge. Slater, S.P., 2015. The Tasks of Strategic Market Management: The Role of Marketing. InProceedings of the 1989 Academy of Marketing Science (AMS) Annual Conference(pp. 667-667). Springer International Publishing. Strauss, J., 2016.E-marketing. Routledge. Vitell, S.J. and Hunt, S.D., 2015. The general theory of marketing ethics: the consumer ethics and intentions issues.Chapters, pp.15-37. West, D., Ford, J. and Ibrahim, E., 2015.Strategic marketing: creating competitive advantage. Oxford University Press. Yadav, R., Dokania, A.K. and Pathak, G.S., 2016. The influence of green marketing functions in building corporate image: evidences from hospitality industry in a developing nation.International Journal of Contemporary Hospitality Management,28(10).
Tuesday, December 3, 2019
Term Paper on Advanced Theories of Urban and Regional Planning
Planning Theory The meaning of planning theory depends on the context in which it is defined. There are two categories of planning theories namely, the procedural and the substantive theories. The procedural category encompasses the theories of planning, whereas the substantive consists of the theories in planning (Galloway Mahayni, 1977, pp. 62-69).Advertising We will write a custom term paper sample on Term Paper on Advanced Theories of Urban and Regional Planning specifically for you for only $16.05 $11/page Learn More In the procedural context, planning theory refers to the underlying ideologies, purposes, principles, and values in the planning process (Galloway Mahayni, 1977, pp. 62-69). In the substantive context, planning theory refers to the descriptive and predictive body of knowledge about the morphology and functioning of a city. Generally, planning theory can be perceived as the tools and techniques that facilitate planning processes such a s data generation and communication. Importance of Planning Theory The main objective of planning theory is to enable planners to determine the circumstances under which human activities can lead to creation of a better city that benefits all its residence (Fainstein, 2005, pp. 121-130). In this context, planning theory has the following benefits. First, it establishes the relationship between planning procedures and the expected outcomes. This helps planners to identify appropriate planning procedures in order to achieve the desired outcomes. Second, planning theory provides guidelines for determining the attributes of an ideal city. For instance, Friedmann (2000, pp. 460-471) states that a good city should have adequate housing and affordable healthcare. By considering these elements, planners are able to meet the expectations of citizens concerning the acceptable standards of living within a city. Finally, planning theory provides a framework for choosing the best strategies for planning and developing a city that satisfies the needs of its residents. It facilitates identification of the bottlenecks that are likely to hinder the design and development of a good city. Types of Planning Theories There are three types of planning theories namely, the substantive, procedural, and normative theories. Procedural theory focuses on the planning process, by providing a framework for transferring knowledge into the actual activities associated with planning. Thus, it encompasses procedural issues such as making decisions, selecting participants in the planning process, and identifying the best planning processes. Substantive theory provides the knowledge base that planners use to develop city plans (Healey, 1992, pp. 143-162). It includes the theories associated with the various disciplines that are relevant in the planning process. Normative theory is concerned with the role of planning in the society. According to the normative theory, planning facilitates achievem ent of specific economic, historic, and political objectives that improve the lives of all citizens (Normativity in urban planning, n.d, pp. 76-99).Advertising Looking for term paper on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Justification of Planning From an economic perspective, planning is a form of intervention that is justified by the following reasons. First, planning helps in correcting market failure (Normativity in urban planning, n.d, pp. 76-99). A free market is considered to have failed if it cannot facilitate efficient and equitable distribution of goods. Public goods are often not provided by the private market because they are non-rivalrious and non-appropriable. This leads to market failure that can be avoided through planning for the provision of public goods. Second, planning helps in the prevention of negative externalities such as pollution (Normativity in urban planning, n.d, pp. 76-99). Third , the government can prevent the prisonerââ¬â¢s dilemma by mobilizing the citizens to combine their efforts to achieve a common goal. The prisonerââ¬â¢s dilemma is a situation where a person cannot achieve a certain objective by acting independently. Finally, planning helps in addressing the problem of the tragedy of the commons that occurs when a shared resource is depleted due to uncontrolled usage by its beneficiaries. This problem can be eliminated through plans that either regulate the use of the resource or expand it in response to the increase in demand. The Rational Synoptic Approach to Planning In synoptic planning, the systems perspective is adopted to articulate and to solve planning problems. This involves using mathematical models that establish the link between ends and means (Hudson, 1979, pp. 387-396). Ends refer to the objectives that planners intend to achieve through planning, whereas means refer to the available resources and the constraints associated with the planning process. The effectiveness of synoptic planning depends on the availability of quantitative data and analytical tools that enable planners to achieve their objectives. The synoptic planning process has four stages. In the first stage, planners set the goals that they intend to achieve through planning. The second stage involves identification of the policies that can be employed to achieve the objectives of the plan (Hudson, 1979, pp. 387-396). At the third stage, the available resources (means) are evaluated against the identified objectives (ends). The fourth stage involves implementation of the policy identified in stage two. It is worth noting that planners do not have to follow these stages sequentially since they are intertwined.Advertising We will write a custom term paper sample on Term Paper on Advanced Theories of Urban and Regional Planning specifically for you for only $16.05 $11/page Learn More Although the synoptic approach i s superior to other planning methods in terms of simplicity, it has several weaknesses. To begin with, synoptic planning promotes centralization of planning activities such as problem definition and decision-making, thereby reducing the participation of the public in the planning process (Hudson, 1979, pp. 387-396). The synoptic approach fails to acknowledge the fact that some planners have cognitive limits that hinder them from developing optimum solutions. The synoptic approach is also criticized because it presumes the general public interest instead of the pluralist interest. Process Verses Outcome The democratic proceduralists believe that process is the most important element of planning. Thus, planners should always focus on following democratic procedures to develop plans that lead to achievement of public interest. This perspective is opposed by the Kantian idealists who believe that the most important aspect of planning is its outcome. In this regard, planners should focus on the outcomes rather than the procedures used to achieve them. A third perspective in this debate is that planners should use any means to achieve their objectives as long as their intentions are ethical. They should focus on revolutionary change by developing new plans to replace existing ones. Friedmann (2000, pp. 460-471) argues that process and outcomes or ends and means should not be considered as separate elements of the planning process. He further states that both process and outcome are important in planning. Thus, planners should not focus on process at the expense of outcome and vice versa. In my view, both process and outcome are important in planning. However, democratic procedures should be followed only if they lead to achievement of the interests of the public. Similarly, the expected outcome of planning should be considered acceptable only if it is likely to satisfy the needs of the citizens. The Goodness of New York City According to Friedmann (2000, pp. 460-471 ), a good city is characterized with the flourishing of the human population, multiplicity, and good governance. The human population flourishes if the city has adequate housing, social provision, remunerated work, and affordable healthcare. In New York City, majority of the residents have housing and jobs. However, healthcare is not affordable since a large number of residents still lack health insurance to access medical services.Advertising Looking for term paper on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Multiplicity refers to ââ¬Å"an autonomous civil life relatively free from direct supervision and control by the stateâ⬠(Friedmann, 2000, pp. 460-471). New York City has met this criterion since the statutes of New York State and the constitution of the United States protect the citizensââ¬â¢ right to liberty and speech. This has led to the development of a vibrant civil life in New York City. The residents are free to form organizations to articulate their challenges without the interference of the state or government. Governance refers to the procedures used to make and enforce binding decisions in cities (Friedmann, 2000, pp. 460-471). New York City has good governance that focuses on transparency and responsiveness to the needs of the citizens. The governance is also inclusive since citizens have the right to participate in the formulation of policies that affect their lives through consultations. The political leaders in the city are directly elected by the citizens b ased on their inspiration and ability to create a shared vision for the electorate. In sum, New York is a good city since it has most of the attributes identified by Friedmann (2000, pp. 460-471). References Fainstein, S. (2005). Planning theory and the city. Journal of Planning Education and Research, 25(1), 121-130. Friedmann, J. (2000). The good city: In defense of utopian thinking. International Journal of Urban and Regional Research, 24(2), 460-471. Galloway, T., Mahayni, R. (1977). Planning theory in retrospect: The progress of paradigm change. Journal of the American Planning Association, 43(1), 62-69. Healey, P. (1992). Planning through debate: The communicative turn in planning theory. The Town Planning Review, 63(2), 143-162. Hudson, B. (1979). Comparison of current planning theories: Counterparts and contradictions . Journal of the American Planning Association, 45(4), 387-396. Normativity in urban planning. (n.d). Web. This term paper on Term Paper on Advanced Theories of Urban and Regional Planning was written and submitted by user Ciara Lang to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.
Wednesday, November 27, 2019
102 Monsters and Revision Professor Ramos Blog
102 Monsters and Revision Evaluation Examples Quick Write What is your grade or judgment of the monster? Whats the final verdict? Evaluation Examples Cyclopes Werewolf Vampire Macbeth Monster Rubric Critical Thinking Clarity of Thought Analysis and Thesis Images and Title MLA and Revision: American Idol Offer three separate critiques of points or paragraphs. Critical. Be direct or decisive on what was good or bad in the evaluation. Generous. Be generous and/or emotional in your reading and comments. Constructive. Offer evenhanded constructive feedback. Connecting Issues to Monsters Think of a contemporary issue we have been struggling with as a society. Keep in mind the monster theory we have been working with to understand culture. In small groups, draw a monster that connects with or represents a current social issue. Add a caption or some text to give the drawing some context.
Sunday, November 24, 2019
Removal of separate legal personality and the ââ¬Ëveil of incorporationââ¬â¢ by the courts The WritePass Journal
Removal of separate legal personality and the ââ¬Ëveil of incorporationââ¬â¢ by the courts Removal of separate legal personality and the ââ¬Ëveil of incorporationââ¬â¢ by the courts ] EWCA Civ 525 it was held that the veil will be pierced when there is ââ¬Å"evidence of fraud, illegality or a sham or if the company is a mere faà §ade concealing the true factsâ⬠(sections 213-215 of the Insolvency Act 1986, section 993 of the Companies Act 2006 and section 15 of the Company Directors Disqualification Act 1986). It has nonetheless, been said that much difficulty arises with these exceptions as ââ¬Å"veil piecing is not an end in itself but a means to an endâ⬠(Talbot, 2007: 29). Piercing the Corporate Veil Unless the circumstances of the case give rise to fraud or a pre-existing obligation, however, the courts will be unlikely to pierce the veil in its entirety; Pirelli Cable Holding NV v IRC [2006] UKHL 4. Arguably, the courts will ââ¬Å"go to great lengths to avoid any obvious penetration of the corporate veil, whilst still making the sort of inquiries that would be satisfied by just such a processâ⬠(Watcher, 2007: 157). This ensures that doctrine is not being completely undermined, whilst at the same time providing protection to the public; Millam v Print Factory (London) 1991 Ltd [2007] EWCA Civ 322. Given the confusion that this may cause, it is integral that the veil is only lifted in exceptional circumstances (French, Mason and Ryan, 2011; 124). This is because individuals will otherwise be discouraged from investing in companies (Ghaiwal, 2012: 3). Therefore, the courts should only be able to ââ¬Å"draw back the corporate veil to do justice when common sense and reality demand itâ⬠as in Conway v Ratiu [2006] 1 All ER 571. Conclusion Although it would seem as though the doctrine of separate legal personality is being undermined by the existence of exceptions, it is important that these remain intact in order to protect the public from abuse. Hence, there needs to be a balance between the interests of the public and the interests of a company and its members. Whether this balance is currently being attained is arguable, though the courts will go to great lengths to determine each case on its own facts in order to maintain fairness. Thus, it is important that the veil of incorporation does not protect those individuals found to have been acting in an unlawful manner. At the same time, however, the integrity of the veil should also be preserved so that a companyââ¬â¢s members are not being found personally liable when the company is genuinely suffering. References Adkinsion, R., (2008) Under the Influence? New Law Journal, Issue 7341. Beatson, J., (1991) The Use and Abuse of Unjust Enrichment: Essays on the Law of Restitution, Oxford University Press. Birks, P. (2004)Undue Influence as Wrongful Exploitation, Law Quarterly Review, 120 LQR 34. Davies, P. (2010) Introduction to Company Law, 2nd Edition, OUP Oxford. Fafinski S., and Finch, E., (2009) Law Express: Contract Law. Longman. 2nd Edition. Ghaiwal, S. (2012) ââ¬ËChandler v Cape plc: Is there a chink in the corporate veil?ââ¬â¢, Health and Safety at Work Newsletter, vol 18, no 3. Gulati, B., (2011) Intention to Create Legal Relations: A Contractual Relationship Necessity ot an Illusory Concept, Beijing Law Review 2, Scientific Research. French, D. (2011) Company Law, 28th Edition, OUP Oxford. Hopt, K. L. (2001) ââ¬ËCompany Groups in Transition Economies: A Case for Regulatory Intervention?ââ¬â¢, European Business Organisation Law Review, vol. 2, no. 1. McKendrick, E., (2011) Contract Law. Palgrave MacMillan. 9th Edition. Poole, J., (2006). Casebook on Contract Law, 8th Edition, OUP Oxford. Saha, T. K., (2010) Textbook on Legal Methods, Legal Systems Research, Universal Law Publishing. Smith, S. A., (1997) Contracting Under Pressure: A Theory of Duress, 56 Cambridge Law Journal 2. Talbot, L. (2007) Critical Company Law, Routledge. Walden-Smith, K., (2005) Protecting the Vulnerable ââ¬â The Court of Appealââ¬â¢s Decision in Macklin v Dowsett, Stone Buildings News, Available [Online] at: 5sblaw.com/images/file/5SB_Newsletter_4.pdf Watcher, V. V. (2007) The Corporate Veil, New Law Journal, vol. 990, no. 7218. Wildman, E., (2009) Setting aside a contract for mistake, The In-House Lawyer, Available online at: inhouselawyer.co.uk/index.php/contract/6101-setting-aside-a-contract-for-a-mistake //
Thursday, November 21, 2019
Effectiveness of Patient Navigation Program For Underserved Patients Research Paper - 1
Effectiveness of Patient Navigation Program For Underserved Patients in Improving Diagnostic Resolution after Abnormal Cancer screening - Research Paper Example Most of the time, the underserved members of the community suffer from these abnormal tests. Failure to improve the situation could result into more people succumbing to the disease, which is curable and manageable at the earlier stages of its development. Through patient navigation programs, the underserved in community expect to receive medical care and diagnosis that provides them with solutions to the problem. The presentation of research material here deals with the challenge presenting the necessary literature on the challenge. The study presents the different challenges that the community faces in the wake of abnormal cancer screening in patients. The developing abnormal cancer screening in the underserved patients requires follow up in the patient navigation program. The different patient navigation programs developed aimed at dealing with patient challenges in relation to handling challenges such as cancer screening with quest to handle cancer in general as a problem. The challenge that the patient navigation program faces is the development of a cancer-screening program that ensures through management of the problem. The whole process seems to provide an ineffective answer to the diagnostic challenges that management of cancer faces. The problem provokes the need to improve the cancer diagnostic resolution to present viable results. The study presents a number of significance levels to different people in ranging from the writer, the future research developers on the same subject, the community and the government. The study is significant in the presentation of information that could guide medical workers in dealing with the problem and improving the cancer screening process. This significance plays to the researcher and the medical workers. The study is significant to the community in providing them with the necessary
Wednesday, November 20, 2019
Supply chain management in the uk construction Industry Essay
Supply chain management in the uk construction Industry - Essay Example According to the Council of Supply Chain Management Professionals (CSCMP), ââ¬Å"supply chain management encompasses the planning and management of all activities involved in sourcing and procurement, conversion and all logistics management activitiesâ⬠(Council of Supply Chain Management Professionals, n.d.). In addition to these, SCM also includes collaboration and coordination with channel partners which includes suppliers, customers as well as intermediaries. The council also says that the supply chain management also plays a crucial role in integrating demand and supply management across and within the companies. According to James B. Ayers, supply chain management is all about ââ¬Å"designing, maintenance and operation of supply chain process, including those that make up extended product features, for satisfaction of end-user needsâ⬠(Ayers, 2000). Over the past few decades various techniques regarding supply chain management (SCM) have been used successfully in different industries like manufacturing and food. In these industries, the supply process encompasses all those activities that are associated with the processing ââ¬â from raw materials to the finishing of the final product. The entire process involves procurement, production scheduling, inventory management, order processing, storage, customer service, transport and all the supporting information systems. Roy Morledge, Mohieddin Grada and Andrew Knight opined that in manufacturing industry, supply chain management strategies are adopted assuming that it is ââ¬Å"an ongoing process where supplier and customer experience involves frequent transactions for the same or similar productsâ⬠(Pryke, 2009). SCM strategies are considered as the key in maintaining quality and making the innovation process easier. Each of the aspects through which SCM is integrated wit h the manufacturing and food industry can be discussed in the
Sunday, November 17, 2019
Business Economics and Finance Case Study Example | Topics and Well Written Essays - 2750 words
Business Economics and Finance - Case Study Example Carbonated water was teamed with the new syrup to produce a drink that was at once "Delicious and refreshing," a theme that continues to echo today wherever Coca-Cola is enjoyed (The Coca-Cola COmpany). Thinking that "the two Cs would look well in advertising," Dr. Pemberton's partner and bookkeeper, Frank M. Robinson, suggested the name and penned the now famous trademark "Coca-Cola" in his unique script. The first newspaper ad for Coca-Cola soon appeared in The Atlanta Journal, inviting thirsty citizens to try "the new and popular soda fountain drink." Hand-painted oilcloth signs reading "Coca-Cola" appeared on store awnings, with the suggestion "Drink" added to inform passersby that the new beverage was for soda fountain refreshment. During the first year, sales averaged a modest nine drinks per day. Dr. Pemberton never realized the potential of the beverage he created. He gradually sold portions of his business to various partners and, just prior to his death in 1888, sold his remaining interest in Coca-Cola to Asa G. Candler. A person born in Atlanta and an individual with great business acumen, Mr. Candler proceeded to buy additional rights and acquire complete control (The Coca-Cola COmpany). The history of Coca-Cola is a story of special moments - times with family and friends and special occasions when Coke was naturally there. Every person who drinks a Coca-Cola enjoys a moment of refreshment - and shares in an experience that millions of others have savored. And all of those individual experiences combined have created a worldwide phenomenon - a truly global brand that plays its own small part on the world stage. Methodology: The analysis of this case specifically on the strategy for business development adopted by Coca-cola as also the operational, financial decisions taken by the management at various points of time and its impact primarily on the market share of the company in the primary market place i.e. United States in particular and the global markets in general are discussed. The basis for discussions is research of secondary sources essentially on the internet. Various publications, data from various marketing related academic websites is also referred to in the analysis of this case. The statistics, figures referred to in this case may be subject to copyright of the respective owners and is quoted in this case analysis purely as an academic reference and has no commercial barring whatsoever. Main findings: The soft drink industry is highly competitive. Characteristics of the industry include slow growth and maturity, a phase during which weak companies are weeded out of the market by the strongest corporations. In order to stay competitive, soft drink companies must be able to offer their product at a low price. A price that can at least match (or preferably, beat) a competitor's price will allow that product to enter into a consumer's mental set of possible brands to purchase. Because the pop industry produces a fairly standardized product, competitors in the industry cannot entice the consumer to pay a premium
Friday, November 15, 2019
Experiment on Effect of Music on Driving Performance
Experiment on Effect of Music on Driving Performance Research shows that listening to music is mostly common in an automobile (Wikman et al., 1998). Moreover, compared to other activities that might cause a distraction, there is a popular misconception that listening or singing to music while driving on the road causes little-to-no-risk (Dibben and Williamson, 2007). Several types of research and experiments have studied the effects of music on the performance of the operator in different controlled environments and under different conditions (Beh and Hirst, 1999; Baldwin and Coyne, 2003). On one hand, research has continuously supported the idea that under certain conditions, listening to music does increase alertness by countering sleepiness when driving (Braitman et al., 2008; Bellinger et al., 2009; Brodsky and Kizner, 2012). Experiments have also shown that music played close to a persons comfort volume level (72 Dba for male and 66 dba for female ) will induce faster reactions to signals (Turner et al., 1996). On the other hand, listening to music accompanies several behaviors that take the drivers attention. These include changing songs, scrolling to a playlist, fine-tuning a radio station, and swapping CDs which directs the drivers eyes away from the road and leads to single-handed driving (Horberry et al., 2006). Listening to music while driving might also have another drawback as it will cause less auditory acuity for the sound of the music caps road noises (e.g. sirens, horns, vehicle warning signs) (Consiglio et al., 2003; Brodsky and Slor, 2013). This would considerably decrease the operators overall awareness of a situation (Lee et al., 2012). Additionally, momentary loud peaks in music disrupt vestibulocochlear control leading to a decrease in the reaction time of the driver thus increasing the risk of collision (Wikman et al., 1998). An important note is that previous research showed that some music genres like Pop, rock, and dance contain more frequent peaks in the tracks than o ther genres like classic, vocal, and rap (Hughes et al., 2013). Moreover, research has shown that the drivers perception of moving objects can be altered based on the pace of the background music (Brodsky, 2001). Furthermore, research done at the University of Negev in 2012 showed that although drivers that listened to their favorite music songs had elevated positive moods and enjoyed the trips, they exhibited more steering inaccuracies, aggressive driving patterns, and traffic violations compared to drivers that listened to songs they are not familiar with (Brodsky and Slor, 2013). A lot of research have considered effects of music based on its familiarity with the driver (Cummings et al., 2001), loudness (Ayres and Hughes, 1986), and pace (Iwamiya, 1997). Music genres are mainly categorized into Pop, Rock, Dance, hip-hop, and Rap (ÃÅ"nal et al., 2012). This categorization is based on the most popular music for individuals aged between 16 to 30. To our knowledge, there is no research that tests whether the effects of different types of music genres on driving performance(Oron-Gilad et al., 2008). The aim of this study is to test if there are any different effects of genres of music on the driver performance. The objective is to set the genres that enhance the drivers performance and the those that predict the worst outcome.(Ho and Spence, 2005; McEvoy et al., 2006) In this research, we seek to study the effects of the 5 different genres presented earlier on driving performance while controlling all other effects of in-cabin music like volume, familiarity, pace, and tempo. Hypothesis 1: Given that Pop, rock, and dance music have more peaks/climaxes than other music genres, we predict that they will have a negative effect on the performance. Hypothesis 2: On the other, we predict that listening to hip-hop and rap will have a positive outcome when it comes to the drivers performance. The proposed project will be a multivariate experimental design. The first independent variable in this study is the type of music the driver is listening to. These include 5 different genres compare to a control situation, which is when the driver is not listening to any music. 20 popular tracks (4 for each genre) will be chosen to be played during the experiment. The tracks will be chosen from a website called Grooveshark (Grooveshark.org) which contains top charts from each genre. The choice of tracks is very important to this experiment since as mentioned above the pace/beats per minute (BPM) of a song, and familiarity does affect the driving performance, thus all the tracks were chosen should have 120-125 BPM rate and should popular so that every participant will know one of these three tracks. The second independent variable will be the type of incident the driver must respond to. For the current study, a simulated world of the roads in London was created. The setting is intercity roads and highways. Incidents that the participant will face were designed specifically to mimic the possible scenarios that a London driver would experience (National Survey, 2016) they are characterized by 2 groups : Highway incidents Traffic Pileup Car following Monotonous driving Intercity Road incidents Car coming from the left violating the giveaway rule Parked car suddenly driving off Intersection crossing The dependent variables will be mental effort value and the driving performance. The former will be assessed using The Rating Scale Metal Effort (value from 0 to 150 where 0 indicates no effort and 150 indicates extreme effort) (Zijlstra, 1993) at different intervals during the study . In a series of studies by Zijlstra demonstrated that the scale is sensitive to changes in task load and correlates well with physiological changes based on task difficulty. Therefore, the scale is a valid and reliable measure for subjective ratings of mental effort, and an indicator of workload and information processing during the driving task. Throughout the experiment, the driving simulator will log relevant driving performance indicators during a series of 6 incidents that the participants will undergo them twice, once with no music as a control and another while listing to different music genres. More detailed description of the performance indicators will be mentioned in the measurement description. The experiment requires 85 participants that should have the following requirements: Participants should be between 18 and 65 years old A valid driving license for more than 6 months No hearing deficiencies Not persecuted by traffic court Participants will be selected to ensure a representative sample of the population in London. The ratio gender and age should be statistically similar to the drivers in London. According to the national transport, survey done in 2010, the gender ratio was 58% males and 42% females, and the mean age was 40 years. Finally, upon completion of the study, the participants will be rewarded a 20Ã £ amazon voucher. All participants will be given a detailed information about the experiment prior participation and will be asked to sign a consent form. This document will include the risks and potential benefits, information about the researcher, and ERGO contact information. Also, the consent form will inform the participants that they have the right to drop out of the study at any stage, and withdraw their data after the study have been completed with no negative impact on them. The study will only be conducted with the approval of the ERGO committee at the University of Southampton. Finally, the participants will be each given a number that will be used in all data logging, questioners, results, and reports so that participant confidentiality is preserved. All soft data will be kept on a secure hard drive and all hard copy data will be kept in a locked cabin under the supervision of the principal investigator. Participants will go through all highway and intercity incidents twice (6 incidents as a control with no music, and another 6 with different music genres playing in the car). When the participants arrive, they will be debriefed and then guided through consent form. Once the participants agree to join the study, they sign the consent form. After that, they will undergo a 3-minute online Hearing deficiency test designed by the Royal institute of Deaf People (www.actiononhearingloss.org.uk) to check for any hearing deficiencies. If they pass the test they will go through a 10-minute training session in the driving simulator so that they will get to know the driving simulator. If the researchers observed any participants having simulation-sickness they would exclude from the experiment at this point. Moving on, the participants will choose 5 songs (one from each genre) that they are familiar with, and they will be informed that they should respond with a single value from 0 to 150 when a research asks them about their mental effort during the driving task. At this point, the participants will be asked to go through the 12 different scenarios with a 5-min break between each 6 incidents. The scenarios will be generated in a random order for the different participants using randomgenerator.org. Such that everyone gets a different sequence of the scenarios with different music genres. Avoiding the effect of sequence on the outcomes. To achieve a controllable environment a couple of measures will be taken. Firstly, the only songs played to the participant are the ones he/she chose before he started the driving simulation.Secondly, the music will be played at a moderate sound level throughout the experiment (72 Dba for male and 66 dba for female ) to exclude any effects of the different volume levels on the drivers performance. Thirdly, road noises simulated road noises will not be played during any of the tests because the research is solely interested in the effects of different music genres on driving performance. A pilot study will be conducted prior to the main study to ensure all the information given to the participants are clear. In addition, a pilot study will allow the researchers to address any possible factors that might affect the outcome and thereby produce a non-replicable result. The pilot will be made up of 10 individuals who will go through the whole experiment and afterward sit with the researchers and address their concerns in a focus group. The feedback will be taken into consideration and the study procedure will be adapted to try to avoid any problem that might arise during the data collection phase. Each incident will last 2 minutes, so each participant will be in the car simulator for an average of 40 minutes (including a 5-minute half-time). Including the debriefing talks, 10-minute training session, consent form, hearing test, and music selection music selection the whole experiment should last an average of one hour for every participant (Strayer et al., 2003; Sheller, 2004; Patel et al., 2008) The experiment will be done in the Southampton University Driving Simulator (SUDS) with a 135-degree field-of-view which contains a Jaguar XJ saloon vehicle linked to the STISIM Drive simulation software, it has an interactive driving simulator with three driving displays supporting a 135-degree driver field-of-view (University of Southampton Driving Simulator, 2016). 1000 Watt Panasonic speaker was used to play the background music that was linked to an iPod. A digital sound level meter was also used to measure the loudness of the music and keep the loudness level on 72 Dba for male and 66 for female participants. To measure driver mental effort the researchers will use The Rating Scale Metal Effort and will log the values on an excel sheet. For the hearing deficiency test, the researchers will use the online hearing deficiency test. For the driving performance monitoring, the SUDS will record specific values for each tone of the 12 of scenarios. The research will use relevant indicators used in other driving simulator experiments that test driver performance because of their effectiveness to portray the overall driver performance in each of the designed incidents.(ÃÅ"nal et al., 2012) Traffic Pileup: Mean minimum headway which is the time needed for the following car to reach the lead car. Absolute minimum headway time. Car following: Mean speed while following the car Standard Deviation of speed Monotonous driving: 2.a 2.b Car coming from the left Maximum deceleration Minimum velocity Maximum Break percentage Parked car suddenly driving off Time to contact the moving car 4.a 4.b Intersection Crossing Distance to the approaching car when the driver crossed the intersection The results will be analyzed using the MANOVA analysis. The two dependent variables will be mean values on the driving performance and mental efforts. The output of those will be compared across the 12 different scenarios. In addition, interactions between dependent variables will be analyzed (in the MANOVA analysis). Bonfornni posthoc tests will allow pointing where the exact difference is between the different scenarios. Finally the . SPSS version 24 will be used for analysis. References Ayres, T.J. and Hughes, P. (1986) Visual acuity with noise and music at 107 dbA. Journal of Auditory Research. Baldwin, C.L. and Coyne, J.T. (2003) Mental workload as a function of traffic density: Comparison of physiological, behavioral, and subjective indices Proceedings of the Second International Driving Symposium on Human Factors. 19-24. Beh, H.C. and Hirst, R. (1999) Performance on driving-related tasks during music. Ergonomics, 42 (8), 1087-1098. Bellinger, D.B., Budde, B.M., Machida, M., Richardson, G.B. and Berg, W.P. (2009) The effect of cellular telephone conversation and music listening on response time in braking. Transportation Research Part F: Traffic Psychology and Behaviour, 12 (6), 441-451. Braitman, K.A., Kirley, B.B., Mccartt, A.T. and Chaudhary, N.K. (2008) Crashes of novice teenage drivers: Characteristics and contributing factors. Journal of Safety Research, 39 (1), 47-54. Brodsky, W. (2001) The effects of music tempo on simulated driving performance and vehicular control. Transportation Research Part F: Traffic Psychology and Behaviour, 4 (4), 219-241. Brodsky, W. and Kizner, M. (2012) Exploring an alternative in-car music background designed for driver safety. Transportation Research Part F: Traffic Psychology and Behaviour, 15 (2), 162-173. Brodsky, W. and Slor, Z. (2013) Background music as a risk factor for distraction among young-novice drivers. Accident Analysis Prevention, 59, 382-393. Consiglio, W., Driscoll, P., Witte, M. and Berg, W.P. (2003) Effect of cellular telephone conversations and other potential interference on reaction time in a braking response. Accident Analysis Prevention, 35 (4), 495-500. Cummings, P., Koepsell, T.D., Moffat, J.M. and Rivara, F.P. (2001) Drowsiness, counter-measures to drowsiness, and the risk of a motor vehicle crash. Injury Prevention, 7 (3), 194-199. Dibben, N. and Williamson, V.J. (2007) An exploratory survey of in-vehicle music listening. Psychology of Music, 35 (4), 571-589. Ho, C. and Spence, C. (2005) Assessing the effectiveness of various auditory cues in capturing a drivers visual attention. Journal of experimental psychology: Applied, 11 (3), 157. Horberry, T., Anderson, J., Regan, M.A., Triggs, T.J. and Brown, J. (2006) Driver distraction: The effects of concurrent in-vehicle tasks, road environment complexity and age on driving performance. Accident Analysis Prevention, 38 (1), 185-191. Hughes, G.M., Rudin-Brown, C.M. and Young, K.L. (2013) A simulator study of the effects of singing on driving performance. Accident Analysis Prevention, 50, 787-792. Iwamiya, S.-I. (1997) Interaction between auditory and visual processing in car audio: simulation experiment using video reproduction. Applied human science, 16 (3), 115-119. Lee, J.D., Roberts, S.C., Hoffman, J.D. and Angell, L.S. (2012) Scrolling and driving how an MP3 player and its aftermarket controller affect driving performance and visual behavior. Human Factors: The Journal of the Human Factors and Ergonomics Society, 54 (2), 250-263. Mcevoy, S.P., Stevenson, M.R. and Woodward, M. (2006) The impact of driver distraction on road safety: results from a representative survey in two Australian states. Injury prevention, 12 (4), 242-247. National Survey (2016). Department of Transport. Available from: https://www.gov.uk/government/uploads/system/uploads/attachment_data/file/8933/nts2010-02.pdf. Oron-Gilad, T., Ronen, A. and Shinar, D. (2008) Alertness maintaining tasks (AMTs) while driving. Accident Analysis Prevention, 40 (3), 851-860. Patel, J., Ball, D.J. and Jones, H. (2008) Factors influencing subjective ranking of driver distractions. Accident Analysis Prevention, 40 (1), 392-395. Sheller, M. (2004) Automotive emotions feeling the car. Theory, culture society, 21 (4-5), 221-242. Strayer, D.L., Drews, F.A. and Johnston, W.A. (2003) Cell phone-induced failures of visual attention during simulated driving. Journal of experimental psychology: Applied, 9 (1), 23. Turner, M.L., Fernandez, J.E. and Nelson, K. (1996) The effect of music amplitude on the reaction to unexpected visual events. The Journal of General Psychology, 123 (1), 51-62. ÃÅ"nal, A.B., Steg, L. and Epstude, K. (2012) The influence of music on mental effort and driving performance. Accident Analysis Prevention, 48, 271-278. University of Southampton Driving Simulator (2016). Available from: http://www.southampton.ac.uk/engineering/research/facilities/driving_simulator.page. Wikman, A.-S., Nieminen, T. and Summala, H. (1998) Driving experience and time-sharing during in-car tasks on roads of different width. Ergonomics, 41 (3), 358-372. Zijlstra, F.R.H. (1993) Efficiency in work behaviour: A design approach for modern tools. TU Delft, Delft University of Technology.
Tuesday, November 12, 2019
Study Notes
E7-2 (Determine Cash Balance) Presented below are a number of independent situations. Instructions For each individual situation, determine the amount that should be reported as cash. If the item(s) is not reported as cash, explain the rationale. 1. Checking account balance $925,000; certificate of deposit $1,400,000; cash advance to subsidiary of $980,000; utility deposit paid to gas company $180. 2. Checking account balance $600,000; an overdraft in special checking account at same bank as normal checking account of $17,000; cash held in a bond sinking fund $200,000; petty cash fund $300; coins and currency on hand $1,350. 3. Checking account balance $590,000; postdated check from customer $11,000; cash restricted due to maintaining compensating balance requirement of $100,000; certified check from customer $9,800; postage stamps on hand $620. 4. Checking account balance at bank $37,000; money market balance at mutual fund (has checking privileges) $48,000; NSF check received from customer $800. 5. Checking account balance $700,000; cash restricted for future plant expansion $500,000; short-term Treasury bills $180,000; cash advance received from customer $900 (not included in checking account balance); cash advance of $7,000 to company executive, payable on demand; refundable deposit of $26,000 paid to federal government to guarantee performance on construction contract. . Cash balance of $925,000. Only the checking account balance should be reported as cash. The certificates of deposit of $1,400,000 should be reported as a temporary investment, the cash advance to subsidiary of $980,000 should be reported as a receivable, and the utility deposit of $180 should be identified as a receivable from the gas company. 2. Cash balance is $584,650 computed as follows: Checking account balance |$600,000 | | Overdraft |(17,000) | | P etty cash |300 | | Coin and currency | 1,350 | | |$584,650 | Cash held in a bond sinking fund is restricted. Assuming that the bonds are noncurrent, the restricted cash is also reported as noncurrent. 3. Cash balance is $599,800 computed as follows: | Checking account balance |$590,000 | | Certified check from customer | 9,800 | | |$599,800 | The postdated check of $11,000 should be reported as a receivable. Cash restricted due to compensating balance should be described in a note indicating the type of arrangement and amount. Postage stamps on hand are reported as part of office supplies inventory or prepaid expenses. 4. Cash balance is $85,000 computed as follows: Checking account balance |$37,000 | | Money market mutual fund | 48,000 | | |$85,000 | The NSF check received from customer should be reported as a receivable. 5. Cash balance is $700,900 computed as follows: Checking account balance |$700,000 | | Cash advance received from customer | 900 | | |$700,900 | Cash restricted for future plant expansion of $500,000 should be reported as a noncurrent asset. Short-term treasury bills of $180,000 should be reported as a temporary investment. Cash advance received from customer of $900 should also be reported as a liability; cash advance of $7,000 to company executive should be reported as a receivable; refundable deposit of $26,000 paid to federal government should be reported as a receivable. 13. FIFO, weighted average, and LIFO methods are often used instead of specific identification for inventory valuation purposes. Compare these methods with the specific identification method, discussing the theoretical propriety of each method in the determination of income and asset valuation. The first-in, first-out method approximates the specific identification method when the physical flow of goods is on a FIFO basis. When the goods are subject to spoilage or deterioration, FIFO is particularly appropriate. In comparison to the specific identification method, an attractive as-pect of FIFO is the elimination of the danger of artificial determination of income by the selection of advantageously priced items to be sold. The basic assumption is that costs should be charged in the order in which they are incurred. As a result the inventories are stated at the latest costs. Where the inventory is consumed and valued in the FIFO manner, there is no accounting recognition of unrealized gain or loss. A criticism of the FIFO method is that it maximizes the effects of price fluctuations upon reported income because current revenue is matched with the oldest costs which are probably least similar to current replacement costs. On the other hand, this method produces a balance sheet value for the asset close to current replacement costs. It is claimed that FIFO is deceptive when used in a period of rising prices because the reported income is not fully available since a part of it must be used to replace inventory at higher cost. The results achieved by the weighted average method resemble those of the specific identi-fication method where items are chosen at random or there is a rapid inventory turnover. Com-pared with the specific identification method, the weighted average method has the advantage that the goods need not be individually identified; therefore accounting is not so costly and the method can be applied to fungible goods. The weighted average method is also appropriate when there is no marked trend in price changes. In opposition it is argued that the method is illogical. Since it assumes that all sales are made proportionally from all purchases and that inventories will always include units from the first purchases, it is argued that the method is illogical because it is contrary to the chronological flow of goods. In addition, in periods of price changes there is a lag between current costs and costs assigned to income or to the valuation of inventories. If it is assumed that actual cost is the appropriate method of valuing inventories, last-in, first-out is not theoretically correct. In general, LIFO is directly adverse to the specific identification method because the goods are not valued in accordance with their usual physical flow. An exception is the application of LIFO to piled coal or ores which are more or less consumed in a LIFO manner. Proponents argue that LIFO provides a better matching of current costs and revenues. During periods of sharp price movements, LIFO has a stabilizing effect upon reported income figures because it eliminates paper income and losses on inventory and smooths the impact of income taxes. LIFO opponents object to the method principally because the inventory valuation reported in the balance sheet could be seriously misleading. The profit figures can be artificially influenced by management through contracting or expanding inventory quantities. Temporary in-voluntary depletion of LIFO inventories would distort current income by the previously unrecognized price gains or losses applicable to the inventory reduction. E8-14 (FIFO, LIFO and Average Cost Determination) John Adams Company's record of transactions for the month of April was as follows. Purchases Sales April 1 (balance on hand) [emailà protected] $6. 00 April 3 500 @ $10. 0040 41,500 @ 6. 08 9 1,400 @ 10. 00 8 800 @ 6. 40 11600 @ 11. 00 131,200 @ 6. 50 231,200 @ 11. 00 21 700 @ 6. 60 27 900 @ 12. 0 29 500 @ 6. 79 4,600 5,300 (a) Assuming that periodic inventory records are kept in units only, compute the inventory at April 30 using (1) LIFO and (2) average cost. (b) Assuming that perpetual inventory records are kept in dollars, determine the inventory using (1) FIFO and (2) LIFO. (c) Compute cost of goods sold assuming periodic inventory procedures and inventory priced at FIFO. (d) In an inflationary period, which inventory methodââ¬âFIFO, LIFO, average costà ¢â¬âwill show the highest net income?
Sunday, November 10, 2019
Buddhist Beliefs
Core beliefs of Buddhism: Buddhism, as a religion, lays great emphasis on the adherence to the basic beliefs. Buddhism, like most of the great religions of the world, is divided into a number of different traditions. However, most traditions share a common set of fundamental beliefs. The basic Buddhist belief comprise of the basic teachings and concepts of Buddhism. Lord Buddha urged His followers to concentrate on the Four Noble Truths, which helps in attaining freedom from suffering. In the following lines, we have provided more information on the basic Buddhism beliefs: The Four Noble Truths: The Buddha's Four Noble Truths explore human suffering. They may be described (somewhat simplistically) as: Dukkha: Suffering exists: (Suffering is real and almost universal. Suffering has many causes: loss, sickness, pain, failure, the impermanence of pleasure. ) Samudaya: There is a cause for suffering. (It is the desire to have and control things. It can take many forms: craving of sensual pleasures; the desire for fame; the desire to avoid unpleasant sensations, like fear, anger or jealousy. ) Nirodha: There is an end to suffering. Suffering ceases with the final liberation of Nirvana (a. k. a. Nibbana). The mind experiences complete freedom, liberation and non-attachment. It lets go of any desire or craving. ) Magga: In order to end suffering, you must follow the Eightfold Path. Another fundamental belief of Buddhism is often referred to as reincarnation ââ¬â the concept that people are reborn after dying. In fact, most individuals go through many cycles of birth, living, de ath and rebirth. A practicing Buddhist differentiates between the concepts of rebirth and reincarnation. In reincarnation, the individual may recur repeatedly. In rebirth, a person does not necessarily return to Earth as the same entity ever again. He compares it to a leaf growing on a tree. When the withering leaf falls off, a new leaf will eventually replace it. It is similar to the old leaf, but it is not identical to the original leaf. After many such cycles, if a person releases their attachment to desire and the self, they can attain Nirvana. This is a state of liberation and freedom from suffering.
Friday, November 8, 2019
Goodfellas summary essays
Goodfellas summary essays Wannabe gangster Henry Hill climbs the ladder through the hierarchy of the mob, but Henrys career falls apart after getting involved with drugs and has to rat on his former mob associates in order to save himself. Based on a true story Goodfellas came out in 1990. This movie begins in the late 40s when Henry Hill played by Rat Loitta was a young Italian-American in a New York City neighborhood. At Henrys young age he begins an obsession with the local gangsters in his neighborhood. Henry wants to become a gangster because they seem to have good lives with the way they dress and act. So Henry goes against his parents will to work for the mob. Still just a kid Henry begins parking the cars for the gangsters then continues his young criminal career buy selling stolen cigarettes on the streets. The police arrest Henry for selling stolen cigarettes but his arrest opens his career to new heights when he doesnt tell the police anything about the mob he works for. The local mob boss, Paul Cicero (played by Paul Sorvino) recognizes Henry for his silence to the police. Henry then continues up the gangster ladder working with Tommy DeVito (Joe Pesci) and Jimmy Conway (Robert De Niro) in their teenage y ears. Henry continues his gangster activity and marries a Jewish girl named Karen (played by Lorraine Bracco). Karen falls in love with Henry and is fascinated by his career as a gangster. Henry, Tommy, and Jimmy then steal cargo worth millions of dollars from an airliner at a near by airport (JFK airport) and pay Paul (the mob boss) his share. The gangsters continue their careers. Tommy becomes the most violent one out of the group always trying to prove his toughness with violence. Jimmy becomes obsessed with hijacking and theft. As the years go by the Henry picks up a cocaine addiction and traffics cocaine for profit even though selling drugs is strictly prohibited ...
Wednesday, November 6, 2019
Planning and Design of Airports
Planning and Design of Airports Airports have become a part of everyday existence, as air travel is necessary for many aspects of life. The design and technology that goes into building and engineering an airport is unseen but is very complex and structured. There are many details that are important to keep in mind in order to build a well functioning and effective airport.Advertising We will write a custom term paper sample on Planning and Design of Airports specifically for you for only $16.05 $11/page Learn More The runway is key part of any airport and at first, it might seem simple enough. The landing and takeoff of an airplane are considered to be one of the most important parts of any flights and so, great care must be taken in designing and building the runway. Usually, it is made of asphalt or concrete and the specifics of the plane are taken into account. The runways have a close relationship with the Earthââ¬â¢s magnetic poles and their shifts. The changes in magnetic poles, which can slowly drift in a certain direction, will result in a name or number change for the runway. Some runways are designed for takeoff and some for landing. This is due to the fact that during landing the physics are different when compared to takeoff or rolling of the plane into position. Runways are connected by ramps and the path that connects the two is called taxiway. As most of the airports are busy and the speed of traffic adds to the effectiveness of the functioning, taxiways are constructed to be used for a high speed usage. The markings on runways, ramps and taxiways are extremely important as they tell the pilots their specific purpose. It is done with letters, numbers and different color lighting. The marking lights are heavily relied on during night time for obvious reasons. There is a great amount of technology used to test and monitor surfaces, markings and other safety details of the airport and its features (Woods 23). Most of the time runways are made with con crete to provide obstruction free, smooth and hard surface. The thickness of concrete depends on the planes that are used and their mass is what determines if it is 10 inches or 1 meter thick. Modern airplanes that are used for commercial transports have one of the highest masses and so, the pressure from the chassis or landing gear is a key determinant. The construction and materials for the runways are very expensive and so, the manufacturers of the aircraft must keep in mind the amount of wear that the airplane will have on the concrete. Due to this, the weight of the airplane must be equally distributed between the touching points and the amount of tires play an important role in the pressure on the pavement.Advertising Looking for term paper on air transport? Let's see if we can help you! Get your first paper with 15% OFF Learn More Weather conditions are also taken into consideration, as some places are suscepted to frosting conditions while others neve r have to deal with temperatures below zero degrees. The pavement surface is an integral part of the runway because it is an area that comes into most contact with the plane. The contact between the surface and the tires must be maximized for braking and acceleration. As sometimes there is heavy rain, the surface is made with grooves that let water flow into them, which decreases hydroplaning or gliding of tires along the surface. Some of the materials that are used for the surface layer are asphalt, concrete, clay, a mixture of several materials called composite, coral which is made from coral reefs and others. The surface of the runways is important but so is the direction. It is determined by the wind, as takeoff and landing happen as closely as possible to the wind direction. As the wind changes, so does the ââ¬Å"activeâ⬠runway being used. The length of the runways is related to the mass of the plane and geographical elevation. At least 1800 meters is required for aircra ft that are below 90000 kilograms. Planes that are larger in size and wider in their dimensions will have a minimum 2400 meters takeoff length. The higher the altitude the longer the runways will be. This is because the air is less dense at a higher altitude and more speed and distance is needed for an airplane to takeoff (Ashford 80). The changes in technology have greatly affected the design of the airports. The engines are made to have more power and so, the design of the airport is changed and aligned according to the plane, its power and dimensions. The amount of fuel needed for the plane will have an effect on its mass and power output, so the types of planes that use the airport play a key role. The airplane itself has many characteristics that differentiate it from others. The wing span, seating capacity, length of the fuselage, amount of fuel needed, on board specifications and age, all play a role in the development of the airport (Ashford 76). For example, a higher wing s pan will decrease the flying speed of an airplane and the speed of landing and takeoff will also be lower. The purpose of the plane plays a significant role in the design of the airport. If it is a military base or an airplane used by the military might land in a particular airport, the mass and dimensions are taken into account. Commercial and private airplanes have a great number of specifications that dictate the design of the airports.Advertising We will write a custom term paper sample on Planning and Design of Airports specifically for you for only $16.05 $11/page Learn More The amount of traffic and the loads are also factors that determine the layout and details of engineering a smooth functioning airfield. The safety of people on the ground and on the plane is an important matter and so, the conditions of the surface are constantly monitored. The wear on the runways is inevitable and specific division of airport workers must have a close eye on any defects and irregularities. Another factor that affects the design of the airport is the area it is located in and the usage by the public. A major city airport will have a larger area with bigger size terminal and more pockets or aprons for plane parking (Graham 207). The greater the amount of people that uses the airport, the higher is the amount of airplanes and the tower must take more effective and orderly control of the large number of airplanes. Smaller or private airports are not so demanding when comparing to major city airports and military bases. The airports that are used by the army have different types of aircraft: helicopters, smaller and faster airplanes and transport planes, which are sometimes more demanding than those used publicly (Edwards 71). Overall, a lot of engineering thought and planning goes into designing an airport. It is an intricate structure of systems that are all connected and serve a specific purpose. It is a place of extreme speeds and condition s that are taken very seriously, which reflects in the organization of both airplanes and airfields. Ashford, Norman. Airport Engineering: Planning, Design and Development of 21st Century Airports, Hoboken, John Wiley Sons, 2011. Print. Edwards, Brian. The Modern Airport Terminal: New Approaches to Airport Architecture, Abingdon, United States: Routledge, 2004. Print.Advertising Looking for term paper on air transport? Let's see if we can help you! Get your first paper with 15% OFF Learn More Graham, Anne. Managing Airports, Burlington, United States: Routledge, 2003. Print. Woods, Jessica. A Study of Airport Pavement-aircraft Interaction Using Wavelet Analysis, Ann Arbor, United States: ProQuest, 2008. Print.
Sunday, November 3, 2019
The Future of the Chinese Communist Party Essay Example | Topics and Well Written Essays - 500 words
The Future of the Chinese Communist Party - Essay Example The essay "The Future of the Chinese Communist Party" analyzes the future of the Chinese Communist Party that faces a major hurdle of the unresolved tension between the economic and political reforms. Though the party still maintains extensive political power with an aim of exercising its controls in the major sectors in the country. If the state wants to ensure that the policies that it pledged at the Plenum come to a realization, it must reduce its role. Schuman observes that a well-functioning economic system must have banks that function properly, for instance, the government must set clear lending decisions. State corporations must operate within the healthy political framework away from political interferences to allow for the flourishing of the private sector. David Shambaugh observes that the C.C.P needs to encourage particular policies that promote competition such as liberalization of prizes. Such policies would mean that the politicians sit back and observe how the market regulates resources. Zhao et al. note the rising tussle between the economic reformists and the authoritarian party leaders leads to some of the fatal problems noted by Barmà ©. If CCP is to succeed, it must let go of the reins of control in areas where ità is not welcome. The second challenge facing the party is the lack of accountability on sensitive issues that face its people. There are several occurrences that emphasize on this point as observed in the communist country. Among the grievances is the prevalence of income inequality.
Friday, November 1, 2019
Homeland Security Advisory System Research Paper
Homeland Security Advisory System - Research Paper Example In line with itsââ¬â¢ key mandate, the Department of Homeland Security developed the Homeland Security Advisory System, which according to Walsh et al. (2011), is a color-coded terrorism threat advisory scale. This present research paper mainly seeks to explore and discuss the creation, evolution, and the current state of the Homeland Security Advisory System. Creation of the Homeland Security Advisory System The Homeland Security Advisory System was formally created on 12th March 2002 after a Presidential Directive for providing a ââ¬Å"comprehensive and effective means to disseminate information regarding the risk of terrorist acts to Federal, State, and local authorities and to the American people.â⬠According to Walsh et al. (2011), the Homeland Security Advisory Systemââ¬â¢s color-coded terrorism risk advisory scale used to inform the public as well as other concerned authorities on the level of terrorism threat for a particular place or region at any particular time . The indicators of threat were supposed to make the public alert at any time on the level of terrorism threat that is prevalent within their present environment or the nation at large. Therefore, in case of elevated, high, or sever level of threat, citizens are usually required to be extra cautious, report about any suspicious activity, and be prepared in case a disaster strikes. For example, in case the alert level is elevated, high, or sever citizens are usually asked to avoid crowded places and be on the lookout for suspicious characters. Moreover, after the creation of the system, all security procedures within government facilities were tied to the alert level issued by the Homeland Security Advisory System. Therefore, when the alert levels is elevated, high, or sever, the security checks at government facilities are usually heightened and there is extra patrol check on these facilities. It is vital to note that the adjustments made on the advisory scale are usually made based on intelligence reports that have been gathered by the Department of Homeland Security, the Central Intelligence Agency, and other relevant law enforcement agencies (Alperen, 2011). Evolution of the Homeland Security Advisory System After its creation, the Homeland Security Advisory System was headed by Mr. Tom Ridge, who was the then Assistant to the President for Homeland Security but the task of developing, implementing, and managing the system was vested to the office of the Attorney General. However, Alperen (2011) stated that exactly after nine months since the system was created it was merged with the White House Homeland Security Council and the Department of Homeland Security, which were both created after the enactment of the Homeland Security Act of 2002. This change was seemingly meant to ensure that these two bodies work in joint co-operation to increase their effectiveness and to ensure minimum conflict between the bodies as some of their tasks overlapped which each o ther. The merge that occurred also eliminated the office of the Attorney General from the task of administering the system and it was passed on to the Department of Homeland Security, which was in a better position to manage the system than a law office that was not even part of law enforcement a
Wednesday, October 30, 2019
Guidance and Support to Meet Learning Needs Term Paper
Guidance and Support to Meet Learning Needs - Term Paper Example The difficulties that such students experience in learning is normally not associated with mental disability. The students possess a certain degree of intelligence, but their brain may fail to register information in the desired manner, thereby making it difficult for them to grasp information fast especially in learning institutions. Nevertheless, they are capable of studying and succeeding in academics. There are many characteristics that are exhibited by students with learning disability. These can be helpful to the teachers while trying to identify the students with special needs. The students occasionally fail to pay attention for a long period and are easily diverted by external occurrences beyond the classroom. They are normally forgetful and have problems of time consciousness. It is therefore difficult for them to make a proper time plan. The problem can also be exhibited in their inability to write legible handwritings and their reduced capacity to read. They usually omit some words while reading as well as pronouncing some letters incorrectly. This may be attributed to their inadequate coordination of the eyes and the hands. Understanding and adhering to instructions is usually difficult with a poor reasoning capacity, and therefore they fail to make sensible objectives. Such students are irritable and always require to be recognized, while on the other hand, they are quite disorganized and constantly mess up with procedures. There are various types of learning needs. Many are not known because they do not exhibit notable physical characteristics. The most common learning need is dyslexia. It is a problem that is associated with difficulties in understanding. Writing problems occur in some learners, reducing their capacity to spell and write words correctly. It hampers the studentââ¬â¢s ability to write a coherent composition or piece of academic writing. This problem is known as dysgraphia.Ã
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