Thursday, October 31, 2019
Social policy approaches associated with need, risk and rights Essay
Social policy approaches associated with need, risk and rights - Essay Example The CYF operates under the Public Finance Act 1989 while its responsibilities are formed under other related legislation. The CYF was formed in 1999 to protect the rights of children and to improve outcomes for children and youth at risk. It ensures the delivery of efficient social services along with assisting and supporting the children at risk. It is responsible for ensuring safety to children and young people who have been harmed or offended or are at the risk of being harmed. They do this by the provision of specialist and rehabilitative services. Child, Youth and Family Services help to improve the wellbeing of defenseless and exposed children. It also works for young people exposed to similar risks. Child, Youth and Family services working either in association with other departments or alone funds a number of community-based services. CYF has agreements with a range of Maori, Pacific and community service providers. The department of Child, Youth and Family Services helps the Government to fight child abuse especially for children present in foster care or orphan children who are adopted. The department provides adoption services and keeps a regular check on the foster care and the homes where the adopted children are present. The department works to provide information and education to such children in order promote public awareness of child abuse and degree of neglect in them so that they can differentiate between love and abuse. Along with education, the department puts emphasis on legal care and protection and provides youth justice services children and young people and their families. It helps in development and funding of the required community services for the children and youth at risk. It gives policy advice and services to the Minister of Social Development and Employment and the Government. The Departmentââ¬â¢s social work is based mainly on the Children, Young Persons, and Their Families Act 1989 some of the most far-sighted and innovati ve legislation. This Act emphasizes the role and responsibilities of families and communities and provides for family decision-making through legal processes known as the family group conferences. The department of Child, Youth and Family Services also works under the legislations of the Adoption Act 1955, Adult Adoption Information Act 1085, Adoption (Intercountry) Act 1997, Guardianship Act 1968 and The Social Worker Registration Act 2003. The Social Worker Registration Act 2003 was introduced and passed into law on 9 April 2003. The main purpose of the Act is to improve the efficiency of social work in New Zealand. A social worker who wants to become registered under the Act, is required to have qualification of social work, and needs to pass social work competency assessment. The Children, Young Persons and Their Families Act 1989 believes and operates on the principle that the primary role in providing care and protecting a child or young person is the responsibility of the chi ldââ¬â¢s or young personââ¬â¢s family, Whanau, hapu, iwi and family group. It is only when the children are not safe or are at risk of being harmed or offended then according to the principles of the act the children should be placed in family like settings where they develop a sense of belonging while their personal and cultural identity are maintained. When the children are given for adoption, the department of Children, Youth and Family services prefer families who are
Tuesday, October 29, 2019
Budget Monitoring and Format ( Individual Project ) Research Paper
Budget Monitoring and Format ( Individual Project ) - Research Paper Example The over-expense incurred by the investment specialists would tighten the amount of idle funds left for the company to meet the short term liabilities (Handlechner, 2008). Operational Risk The Money Cares Investment Corporation would face operational risks as the funds required for its daily operations would be curtailed due to the wastage of finances by means of credit cards for obtaining marketing supplies, transportation, and hospitalities. Financial Risk The budget planned for Money Cares Investment Corporation includes the estimated expenditures and the anticipated sources of the revenue in order to generate the future cash flow and meet the future liabilities. As a result of the over-expenses incurred by the investment specialists by the use of credit cards, it would lead to the deficit in the cash flows of future, thereby, posing financial risks in terms of the shortage of liquidity. Actions for the Company to Succeed In order to create a situation for the company to succeed, there should be a sufficient control established along with the continuous monitoring for the budgetary expenses planned for the company. The budgetary allocations are series of actions involving planning, implementation, and monitoring. In order to succeed, the company should construct a system of approval for the use of credit cards by the investment specialist. The CEO and Finance department should ask the clericals of the company to undertake the official work of recording the expenses on a daily basis. The expenses to be incurred by the usage of credit cards need to have a prior approval form a responsible authority. The investment specialists are also to be held accountable for the income generated and the expenses proposed by them. Thus, a proper budgetary control and monitoring system would help the company to succeed (Husson, 2002). A tally of the records will help the company to understand what amount of limit is left to be against the budget plan. This implementation of t he budgetary control will help to prevent over-expenses of the company. Companyââ¬â¢s Most Vulnerable Areas The most vulnerable areas of the company are the financial procedures and instruments used for the funding of the daily operations. This involves the role of the manager and the three investment specialists. The company has chosen to use credit cards in order to access funds required for transportation and hospitality of customers while having expenditures for food and drinks and marketing supplies of its solutions. The absence of a cost control mechanism supported by a lack of monitoring by the company has given a free hand to the investment specialists. The ownership of the investments by the specialists under such a process is under question. Thus, the control mechanism for monitoring the expenses of the company is the most vulnerable area of the business of Money Cares Investment Corporation. The Companyââ¬â¢s Assets The companyââ¬â¢s assets are the short term cas h positions held by the company which help them to service the short term liabilities. The liquidity level of the company helps them to service the expenses on credit cards and other short-term credits acquired by the company. The net current assets of the company help them to meet the cost of daily operations that include transportation costs, marketing of its solutions
Sunday, October 27, 2019
Methods to Discover Archaeological Sites
Methods to Discover Archaeological Sites What are the main methods used to discover archaeological sites in the landscape? Critically assess the pros and cons of the methods you identify using relevant examples. The archaeologist uses a range of techniques to actively discover and locate archaeological sites within the landscape; these methods are non-invasive and non-destructive and fall into four broad categories: Desk Top Surveys â⬠¢ Surface Surveys Geophysical and Geochemical surveys â⬠¢ Aerial Surveys (Grant et al, 2002. p5). In addition to these, some sites may be discovered by chance, for example when quarrying, dredging and peat cutting or simply out in walking in the landscape. These broad categories all complement each other and the most relevant methods in each case will depend on the terrain of the area being investigated and the resources and time available for investigation. Also, the questions being asked and the degree of accuracy required will have an effect on how these techniques are used (Greene. 1991. p54). Desk Top Surveys: The desk top survey is office based and uses existing documents such as maps, historical documents, previous archaeological records, pictures and literature, all of which can all provide hints and references to archaeological sites. Maps can be used to locate sites, and are among the most basic resources available to the archaeologist. Early 16th century maps are not always to scale but can be very useful, Ordnance Survey started publishing maps in the early 19th century and, by analysing a succession of maps of an area, much can be learnt from the changes in use of the land and buildings. (Grant et al, 2002. p8). Old tithe maps and terriers, usually found amongst the deeds and papers relating to the ownership and management of estates and properties, may offer insight about forgotten sites (Barker, 1993). Although the majority of early records have not survived, there is still a wide range of available which the archaeologist may find of value. Legal records, including wills and cou rt records, can provide boundaries of ownership and clues to the functions of buildings. The Domesday Book and other tax records and tithe awards can identify the economic use and boundaries of land, Pictorial records such photographs paintings, and engravings, and descriptive accounts written in books, diaries and travelogues can all be of value. Of particular interest is the work of William Stukeley (1687 1785), an accurate and observant recorder who travelled extensively throughout Britain, and William Camden (1551 1623),whose thorough and detailed descriptions were published in the first general guide to the antiquities in Britain, ââ¬ËBritannia in 1585 (Greene pp24 27). These records can be freely found in museums, libraries and private collections and may offer a rare record of an archaeological feature. Details of any previous archaeological excavations, finds and previous survey results are all held in local SMR and national NMR offices and can offer insight into possible sites for exploration. There is often much truth hidden in the legends and stories of antiquity and a study of these may provide a clue to a forgotten or place. Most traditions and myths are founded on real people and places which, over time, can become exaggerated and unbelievable. (Grant et al. 2002. p8). By sifting the embellishment from these legends the archaeologist is often left with a helpful factual narrative. This is a cheap and effective way of gleaning information, but it can be time consuming. During interviews with local residents in Kythera, Greece a vast amount of anecdotal information was generated on the use of the landscape of the island, its abandonment and reuse, and the connections between people, villages and churches which all helped to place archaeological work into context (Johnson Wilson. 2003). The desk top survey is of particular value where investigations are part of the planning process to ascertain whether there are likely to be archaeological remains which could be lost or threatened as a part of the building and development of the land. (Grant et al 2002. p6). Many historical records are free to access and can be found in libraries, museums, County Records and Archives Offices, on the internet, at Local and National Sites and Monuments Records offices and in private collections. Surface Surveys These are visual surveys which seek to find traces of possible sites and are carried out, most usually, on foot. A surface survey can be systematic or unsystematic, although the most commonly used, is a systematic approach (Renfrew Bahn. 2008. p78). The purpose is to make a survey of archaeological finds within an area to determine if they might point to past human activity (Lynch. 2006). A grid is normally laid out on the ground to aid mapping and a team of walkers go over each area on the grid, recording sites and finds. The overall record of the types and scatter of the artefacts found can give a good idea of the age of a site and its possible previous uses (Adkins et al 2008). Fieldwalking is an effective and relatively cheap way of surveying land and has a vital place in the discovery of archaeological sites. Once the finds are identified and analysed, the data can also help to provide information about the date of a site and its possible functions. Results are generally more reliable where the region is walked repeatedly as a long term project (Renfrew Bahn. 2008. p 79). It does have some limitations in that different fieldwalkers may have differential types of collection across the same sight. Fieldwalking works best on arable land, but needs to be carried out at times in the arable cycle when vegetation is low. (Grant 2002). Tesserae found during field walking at Rowler Manor in Croughton, Northamptonshire led to the discovery in 1991 of a Roman Villa along with a mosaic pavement (Dawson, 2008) Geochemical and Geophysical Surveys The activity of humans significantly alters the geochemical composition of soil, and the archaeologist can use chemical testing to determine areas of alteration to the soil by human activity. The most common geophysical test is phosphate analysis. This chemical is present in most living things and the presence of domesticated animals, people and plants in a landscape will increase the concentration of phosphates in that landscape. Areas of high saturation of phosphates can then be explored further to ascertain the significance of the activity (Renfrew Bahn. 2008. p105). At Plas Gogerddan, Ceredigion in Wales, geochemical analysis was used to determine that burials on this Early Christian Burial site could be identified using phosphate analysis and possible grave sites of further burials were recorded (Murphy 1992). Geophysical surveying has developed considerably over the last few years and is used with great success in archaeological site prospection. There are two main methods of geophysical surveying, these are electrical resistively and magnetometery (Bowden 1999. p 120). Resistivity surveying involves passing an electrical current through probes set into the ground, and is based on the ability of sub-surface materials to conduct that current, Generally, higher resistance features such as buried walls have a limited moisture content and infilled ditches and pits which retain moisture will give lower readings. (Reference) The technique is especially suited to the discovery of stone structures. Its success is affected by local geology and also the weather conditions. Very dry or very wet conditions, as well as variations in the temperature can affect the quality of the results as they affect rate of flow of the electric current. The resistivity equipment is heavy to use and the survey can take some time to complete, but this is a cost effective method of survey. Magnetised iron oxides are present in the soil and past human activity alters and redistributes these, creating stronger and weaker responses which can be detected as magnetic anomalies. It is very portable and good for rapid surveying of land. The results produced can be very detailed and they are very useful for identifying buried ditches, pits, kilns and hearths. (Reference) The subsoil of the land can influence the results; the most responsive soils being are chalks and limestone. Igneous subsoils are the most difficult to investigate with this technique and the results on clay soils can be erratic. Resistivity and magnetometry techniques were used in karstic terrains in County Cork, Ireland, which identified the position of a previously unknown cave (Gibson et al, 2004). A number of newer techniques including Ground Penetrating Radar (GPR) and Geographic Information Systems (GIS) are also available and becoming popular tools for the archaeologist. GPR was developed for use in defence and engineering. It is an expensive process and is of greatest value where buried deposits are close to the surface of the soil. It has the benefit that it can take readings through tarmac surfaces, and therefore is useful in urban environments (Grant et al. 2002). GIS is a powerful computerised mapping system with the ability to analyse quantitative data, which is useful for plotting scatters of finds and test hypothesis. GIS was effectively used at Tel Shiqmona, Israel, to conduct coastal and marine surveys and to evaluate the potential of Maritime trading with the Phoenicians (Breman. 2003) Aerial Surveys The use of aerial photography was pioneered by O G S Crawford, an Archaeologist and Observer in the Royal Flying Corps during Word War 1. Crop marks, soil marks and shadow marks all cause patterns which can be observed from the air. Most aerial photographs for archaeology use are taken at an oblique angle which give better views of a site, although they do distort the perspective. It is important to include a landmark in the photographs in order to provide a fixed point for mapping a site (Riley 1982). Aerial Photograph of Crook Laithe Settlement, Linton, Yorkshire This technique is most effective on arable land and upland areas, least effective on heavily ploughed land and ineffective on heavily built up areas and land with plastic covering over crops. Aerial photography is valuable to the archaeologist and an immense number of archaeological discoveries have been made using this method (Riley, 1982). In a survey in Augacatel, Mexico, where heavy jungle prohibited the economical use of ground surveys, 25 photographs were taken revealing up to 63 possible man made structures (Matheny, 1962) The weather conditions are important and photographs are best taken when the sun is low in the sky (early morning or evening) on a clear day, as the shadow marks will show up best under these conditions (Adkins 2002). The costs of flying are expensive, but since the equipment and film are comparatively cheap and large distances may be covered in one flight, this is an effective and crucial technique to employ in archaeological prospection. In addition to these techniques, some sites are discovered quite by chance. In 1985, a farmer found a number of bones and a small round lead object on a sandbank in Orkney. After showing his finds to an archaeologist, this lead to the discovery of a Viking boat burial (Towrie 2010). Whilst digging a well, some peasants unearthed fragments of terracotta, which lead to the discovery of arguably, one of the most spectacular discoveries of the 20th century, The Terracotta Army of Qin Shi Huang in China (Tianchou 1996). The high cost of archaeological excavations mean that it is important for the archaeologist to know where to dig in order to avoid expensive mistakes. The techniques outlined above all assist the archaeologist in the discovery of sites in the landscape, so that future excavations can be carried out in the most cost and time effective manner. ââ¬ËIt is remarkable how much can be revealed about a site without excavation (Greene 1991. p 42). References Adkins, R L and Leitch, V. 2008. The Handbook of British Archaeology (revised edition). London. Constable Robinson Ltd. Barker, Philip. 1993. Techniques of Archaeological Excavation. 3rd Edition. London. B.T. Batsford Ltd. Bowden, Mark (Ed.). 1999. Unravelling the Landscape. An Inquisitive Approach to Archaeology. Stroud. Tempus Publishing Ltd. Breman, J. Journal of GIS in Archaeology. Volume I. APRIL, 2003. Marine Archaeology goes Underwater with GIS. Dawson, M. 2008. Northamptonshire Archaeology. Vol 35 2008. Excavation of the Roman Villa and Mosaic at Rowler Manor, Croughton, Northamptonshire p 45 93 Gibson, P.J. Lyle P., George D.M. Aug 2004 Journal of Cave and Karst Studies, v. 66, no. 2, p. 35-38. Application of resistivity and magnetometry geophysical techniques for near-surface investigations in karstic terrains in Ireland. Grant, J. Gorin, S. Fleming, N. 2002 The Archaeology Coursebook. London, Routledge Greene, Kevin, 1991. Archaeology. An Introduction (Revised Edition). London, B T Batsford Ltd. Johnson, I Wilson, A. Journal of GIS in Archaeology. Volume I. APRIL, 2003. Making the Most of Maps: Field Survey on the Island of Kythera Lynch, Tim. Nov 2006, British Heritage; Vol. 27 Issue 5, p52-54, 3p Matheny, R.T. American Antiquity, Vol. 28, No. 2 (Oct., 1962), pp. 226-230. Value of Aerial Photography in Surveying Archaeological Sites in Coastal Jungle Regions Published by: Society for American Archaeology Murphy, K. (1992) Archaeological Journal, Vol 149, pp. 1-38. Renfrew, C Bahn, P. 2008. Archaeology: Theories, Methods and Practice. (5th Edition). London, Thames and Hudson Ltd. Riley, D.N. 1982. Aerial Archaeology in Britain. Aylesbury, Shire Publications Limited. Tianchou, Fu (ed.) 1996. The Underground Army of Emperor Qin Shi Huang. Beijung. New World Press Towrie, Sigurd: 2010. The Orkney Jar. http://www.orkneyjar.com/history/scarboat/index.html [accessed 8th March2010]
Friday, October 25, 2019
Francios Rabelias Essay -- essays research papers
In Italy, early 1300s, a cultural movement began. This period of time is known as the Renaissance, an age of reborn interest in the arts. During this time artist emerged with paintings that recognized daily life, in contrast with paintings of holy and importain people just a few years earlier. Artist began to paint in three dimensions, writers began write satires, and they started blending their opinions into their stories. They became concerned with human welfare, humanism. “ Humanism was a program of study rather than a unified philosophy. It stressed the studia humanitatis, or humanities, which included grammar, rhetoric (the art of persuasive argument), poetry, history, and moral philosophy. It was designed to make the Christian well-rounded and virtuous. '; People like Michangelo, Leonardo da Vinchi, Lorenzo de Medici, Raphael,and St. Thomas More were humanists. They were concerned with human welfare, this is the reason why it is represented in there works. The one I am going to focus on is Francios Rabelias. Rabelias was a writer. Over time many of the information we have about him as been lost or destroyed. “We have most of his works, but it is believed there is more. '; Below I have listed a believed chronology of Rabelias, it may have inaccurate due the lack of information on Rabelias. “1494 Now the Generally accepted date of Rabelias’s birth, although at times it has been published back as far as 1483. Born at La Devini...
Thursday, October 24, 2019
Discuss the View That Children Always Suffer When Both Parents Work Essay
As more and more parents try to work at the same time, problem arises: Do their children suffer when both of them donââ¬â¢t have enough time to take care of their children? It seems depends much more on the children, especially their attitudes towards this issue. Children will probably suffer a lot when they are young (below 12 years old) and both parents are at work. This is because they are not old enough to take care of themselves. They need their parentsââ¬â¢ support, both mentally and physically. If parents neglect the growth of their children, it is quite possible that their children will get some bad habits from outside (eg, friends, medium), as they are not mature enough to distinguish right and wrong. And they need their parentsââ¬â¢ consistent guidance to help them to be the best person they can be. Adolescent will suffer if they are not that self-controlled and both parents work. They can easily run wild when both parents donââ¬â¢t pay much attention about them. Their academic results may be adversely affected. Also, lots of problems will arise, such as skipping school, teen pregnancy and smoking. When both parents work, they may not have enough time take care of their children. And it seems that there is a gap between them and their children as they donââ¬â¢t have enough time to interact with their children. They may not take action in time when their children have misbehaved. And these may be reflected in poorer academic performance by the children, less attention given to their childrenââ¬â¢s health problem and higher rate of behavior problems of their children. However, if the children are well self-controlled and quite positive about the fact that both of their parents work, it seems to be a good chance for them to become more independent. Children at times will need to learn to do things on their own so it will not be a difficult task for them when they reach adulthood. As they may have already learnt lots of important skills (eg: cooking, self-sufficiency), which they have to learn when they become adults. It also leaves their children a space for them to develop independently when both parents work. To support the family is probably the main reason why both parents work. Actually children are benefited from this. When both parents are employed, they are able to earn more money to raise their children and support the family. They can provide a better living surrounding and a better education environment for their children. Of course, children will suffer when both parents work as they may not get enough care from their parents. However, at the same time, they will also benefit in other aspects, such as better education environment and healthcare system. Compared the gain and loses, I think children will lose more than what they have gained. Who wants to live without their parents when they are young, even though they know it maybe for their own good?
Wednesday, October 23, 2019
Sustainable Lifestyle
Sustainable living is the maintaining of one's life or lifestyle at a steady level without exhausting resources or causing damage to the environment. It is a lifestyle that assumes continuous economic growth without irreversibly damaging the environment. Sustainable living is also a lifestyle that reduces an individual's use of natural resource. Having a sustainable lifestyle brings about change especially in the society.It provides us with the energy we need to be a positive force in the world. It is also about taking control of our own lives positively by getting what we need and to what we want, changing direction of the world and not destroying it, setting an intention that fosters and empowers the things we care about, which in the end gives us strength, clarity and purpose to live a better life. Living a sustainable lifestyle is more about common sense & making practical choices.Because sustainable living is all about making choices in the modern world, it is easily accomplishe d by breaking down the requirements of living into the following categories: Shelter, Food, Water, Power, Transportation and Waste. These categories represent all the areas in which sustainable living choices can be made. When it comes to Shelter, smaller homes are preferable as it creates a more fulfilling sustainable lifestyle both Indoor and outdoor. Smaller homes need less utility payment because fewer materials went Into its construction and therefore fewer materials are needed to maintain It.There would be fewer belongings, less debt and greater freedom for those who choose It. As for food, reducing consumption is the starting point towards achieving a sustainable lifestyle. According to Victoria Klein, the Author of 48 things to know about Sustainable living, ââ¬Å"The mantra for sustainable living is: Reduce, Reuse and Recyclingâ⬠. This way, we have the capacity to endure, save time, spend money wisely, and reduce waste and electricity. We would also have the ability t o simplify our everyday life.One of the challenges of living a sustainable life Is to find balance In our personal lives because for many people, sustainability Is all about balance. To find balance In our world, we must find balance In ourselves and we begin by taking care of ourselves, then our families and environment. Sustainable living Is very Important In the world we live In because there Is only a limited amount of natural sources on the earth and when It runs out, there would be none left.For example, you don't need to take your car If you are not going somewhere far, you don't need to throw away your plastic bottles when you know It can still be used (by recycling), you don't need to waste electricity during the day when you know there Is solar power (It Is sustainable)available. Changing your lifestyle to be more sustainable offers opportunities to save more money, help Increase the quality of home and possessions and contribute to a healthier style of living on the Earth .Living sustainable meaner that whatever we do has the least Impact, the least waste and Is a cycle and meaner that can be repeated Indefinitely without cumulative damage to the world. We need to eat the right foods, educate ourselves (know little of everything) and make friends. A sustainable life Is one In which physical and spiritual health provides us with energy to affect positive change In our society. In order for us to live a sustainable life, we need to find something positive that Inspires us. Positive reinforcement to the g things that inspire us would serve as a boost when maintain a sustainable lifestyle.
Tuesday, October 22, 2019
Blackberry in the UK Market
Blackberry in the UK Market Over the years RIMââ¬â¢s Blackberry brand has been a powerful contender in the IT industry. It was one of the pioneers which drove the smart phone revolution in 2007 but as per our research we found out that while Blackberryââ¬â¢s revenue and gross profit have been improving between the years 2007 to 2011, the rate at which they have been increasing has been deteriorating. There are many factors to consider in the stagnation of the companyââ¬â¢s growth.Advertising We will write a custom essay sample on Blackberry in the UK Market specifically for you for only $16.05 $11/page Learn More These can be attributed to the world economy with financial crisis at bay, aggressive competitors such as Apple, Android and Windows consuming the Blackberry market and/ or problems with regards to the saturation of the market with an abundant number of players in the industry. In terms of net marketing contributions, our findings show that year on year percentage cha nge has been decreasing. Packaging the companyââ¬â¢s sales, marketing and administration cost over the given years of 2007 to 2011 under the ââ¬Å"marketing costâ⬠, column we have observed that the 2011 marketing cost is two times that of 2010 which is more or less a 50% increase while revenue for 2011 has only increased by 33%. Such occurrence may had been a result of the growing number of aggressive competitors of Blackberry namely Appleââ¬â¢s iPhone series, Googleââ¬â¢s massive android franchises and Microsoftââ¬â¢s Windows Mobile smart phones to name a few. According to Iain Mackenzie of BBC New ââ¬Å"For at least a decade, besuited city types spent every spare minute twirling their way through corporate emails and pecking out responses. But then the iPhone arrived, after spending a year or so turning the consumer market upside down, it went after the office inboxâ⬠(Mackenzie, 2011). When the iPhone was first released in 2007, Apple improved its iOSâ⬠â¢s exchange server compatibility and provided additional security which not only attracted graphic designers and artists whom are the target market of Apple as a company but also captured Blackberryââ¬â¢s middle-aged gentlemen from the finance departments market. Along came Googleââ¬â¢s Android which collaborated with other brands such as HTC, Samsung, LG and other mobile phones to house its operating system. With Androidââ¬â¢s wide budget range it captured most of the markets of the smart phone industry from the high end ones to the lower end consumers. Lastly Microsoftââ¬â¢s Windows Mobile phones constant innovation and marketing has won a fair share of loyal followers in the corporate scene. With these growing competitors RIM had been having difficulties addressing concerns with regards to Blackberryââ¬â¢s competiveness. Another theory of Blackberryââ¬â¢s declining sales can be attributed to the recent problems encountered by its marketing department. On Octob er 2011, the Blackberry service in its largest markets had been disrupted causing its users to have problems accessing data services.Advertising Looking for essay on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More According to RIM the service problem was caused by a core switch failure within its infrastructure and the backup switch which was designed to carry over the functions of the system failed to perform resulting to a large backlog of data (Dipaola Miller 2010). The data crash has affected the companyââ¬â¢s brand image and positioning which also lead its users to question RIMââ¬â¢s capability in providing good service and products. Last October 2011, social networking sites such as Twitter and Facebook have shown customersââ¬â¢ complaints, disappointments and anger towards Blackberryââ¬â¢s services (Dvorak Weinberg 2011). Lastly, the departure of top executives and senior managers had lead t o its shareholdersââ¬â¢ belief that RIMââ¬â¢s unusual management structure hinders the company growth. Jaguar Financial which owns 8% of RIM is urging other shareholders to replace co-founders, Mie Lazaridis and Jim Balsillie from their roles as CEO and chairman of the company (Kelion 2011). The internal conflict between the shareholders and the management team has caused RIM a conflicting vision on how it will proceed in Blackberryââ¬â¢s future which presents as a weakness to its competitors with an unstable support system. Observing the revenue breakdown of RIM for the financial year end of March 2011, 80% of the RIMââ¬â¢s revenue came from sales of devices while only 16% came from services. A SWOT analysis on the company shows that the strength of RIM lies in its own capability in producing and manufacturing its own operating system (software) and mobile device (hardware). An additional bonus for Blackberryââ¬â¢s customers is the services it provides which is an ad vantage for its resellersââ¬â¢ because the latter can charge end-users monthly subscriptions. Currently there are about 50 million Blackberry Messenger (BBM) users around the globe thus the company still has its existing market at the same time third-party developers can create applications for Blackberry. Branding wise it is still the preferred choice of corporate users. Weaknesses of the Blackberry brand and smart phone are the bad press release it had conveyed through the service outrage last October 2011; the smart phones themselves are pricy and only cater to corporate users. Blackberry is perceived by many as a device for business people thus ordinary consumers may not relate to its features. It has lags behind with its apps and web browsing experience which are impressively provided by the new Apple, Android and Windows phones and its revenue sources are not diversified. Blackberry is missing out on a potential source of revenue by the absence of a strong app store.Adverti sing We will write a custom essay sample on Blackberry in the UK Market specifically for you for only $16.05 $11/page Learn More Analysing such strengths and weaknesses opportunities such as Blackberryââ¬â¢s potential in extending its software development to third party companies and its expansion in developing countries can broaden its market provided that it needs to address cost issues as the customers in the said countries are price sensitive. Threats such as competitorsââ¬â¢ branding and pricing might consume RIMââ¬â¢s market share and restrictions from conservative governments (UAE, India, etc.) on security network access may limit its expansion. The poor economic climate brought about by the global financial crisis and recession together with threats of patent lawsuits may challenge its global marketing expansion. Blackberry lacks diversity in its product base compared to its previous smart phone generations. It failed to constitute innovati on in its music and app stores which gives Apple and Google a competitive advantage. The operating systems of Blackberry, which can be provided on other phones present a challenge in terms of where to place it. On one hand it would increase the number of subscriptions and potential customers for app stores but at the same time it might lead to brand dilution. Analysing the PESTEL of the matter, in the political scene issues on security network may arise especially in the countries of UAE, India and China. On the economic scene, problems of exchange rate fluctuation affect the brandââ¬â¢s prices deeming them too expensive for the markets of developing countries. This occurrence will slow down the growth of Blackberry in its new markets. Socially smart phones are the trend nowadays with the popularization of social media networks and demand for instant communication may boost RIMââ¬â¢s sales. Technology wise the impact of 4G, instant messaging and growing demand of apps can be t aken advantage of the company in riding the wave. Finally patent infringement lawsuits may post as a threat to the company especially in its venture in new markets. Overall RIM needs to innovate in order for it to be competitive in the market and win back its market shares. Appleââ¬â¢s iPhone has been gaining much attention with its innovation over the years. Its revenue has been increasing at a faster rate than Blackberry. (Dilger 2011). Blackberry needs to develop a strong app market to catch up with its competitorââ¬â¢s innovations.Advertising Looking for essay on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Reference Dilger D., ââ¬Å"Appleââ¬â¢s Rivals Battle for iOS Scraps as app Market Sales Grow to $2.2 Billion.â⬠, 18 Feb. 2011.à https://appleinsider.com/articles/11/02/18/rim_nokia_and_googles_android_battle_for_apples_ios_scraps_as_app_market_sales_grow_to_2_2_billion.html (5 Dec. 2011). Dipaola, A. and Miller, H., ââ¬Å"Blackberry Challenges May Spread as Governments, RIM Collideâ⬠, Bloomberg, 3 Aug. 2010.à https://www.bloomberg.com/news/articles/2010-08-01/blackberry-expansion-at-risk-as-governments-tighten-curbs-on-mobile-e-mail (5 Dec. 2011). Dvorak P. and Weinberg, S., ââ¬Å"Misfires in Marketing at Blackberryââ¬Å", The Wall Street Journal, 25 Jun. 2011.à https://www.wsj.com/articles/SB10001424052702303339904576406062012367334 (5 Dec. 2011) Kelion L., ââ¬Å"Black Days for Blackberry as Outage Adss to RIMââ¬â¢s Woes.â⬠, BBC News Technology, 13 October 2011. https://www.bbc.com/news/business-15292302 Mackenzie, I., ââ¬Å"Will Blackberry crumble? â⬠, BBC News Technology, 12 Oct. 2011. PDF File.à https://www.library.uq.edu.au/ (5 Dec. 2011).
Monday, October 21, 2019
Music History essays
Music History essays Youre standing on stage playing a song you wrote, jamming with your buddies, or just sitting in your room, playing out your emotions and you feel it, a feeling that is so harmonious, relaxing, exciting, and purifying that it can only begin to be explained by the word awesome. This is music, and its history is just as amazing. From Classical to Blues to Metal, music styles have continued to evolve throughout human history. These changes in music styles nationally have affected music here at Gardiner Area High School. At the time our school was built, the rock revolution was spreading across the country. Within a few years, musicians like The Jimi Hendrix Experience, The Who, and The Beatles would change popular music across the country and around the world. Teenagers all over were joining in as a way to rebel, escape, or just listen for the love of it. Some consider the change brought by Rock and Roll to be the major advancement in music of our time. If it wasnt for Rock and Roll, music today would be very different. Rock and Roll lead to Metal, Hardcore, Nu-Metal, and many other sub-genres that are very popular today. Before the school was built, many types of music spread around the world. Early in history, most tribes had their own style of music using very primitive instruments. Then there was Classical, which dominated for hundreds of years. Many musicians from that time period are still very popular today. Mozart and Beethoven were two of the greatest classical musicians, and today their music is listened to and played regularly. In the 1920s, the Jazz era mirrored the prosperity and happiness of the time. This could be considered the beginning of the change to rock, because Jazz began a move towards more upbeat music. It used guitar, bass, and drums (rock instruments) more than Classical had. As the 1930s came, and the Depression began...
Sunday, October 20, 2019
Biography of Eva Gouel, Lover of Pablo Picasso
Biography of Eva Gouel, Lover of Pablo Picasso Eva Goeul (1885ââ¬âDecember 14, 1915) was Pablo Picassos lover during his Cubist collage period in the early 1910s, one of several influential and romantic partners in Picassos life. She inspired a few of his most famous pieces of art, including Woman with a Guitar, which is also known as Ma Jolie (1912). Fast Facts: Eva Gouel Known For: Muse and mistress of Pablo Picasso, 1911- 1915Born: 1885, Vincennes, FranceParents: Adrian Gouel and Marie-Louise Ghà ©rouzeDied: December 14, 1915, ParisEducation: unknownSpouse(s): noneChildren: none Early Life Eva Gouel was born Eve Gouelà sometime in 1885 to Adrian Gouel and Marie-Louise Ghà ©rouze of Vincennes, France. At some point, she adopted the name Marcelle Humbert and claimed to have been married to a fellow named Humbert, but that doesnt seem to have been the case. Like most of the women Picasso met at this time- indeed like many people in the late Belle Epoque (1871ââ¬â1914) of Paris- Eva kept her background purposefully mysterious, going by different names which came from various sources. In the correspondence of Picassos friends at the time of their alliance, Eva was considered both sweet and calculating, described as a small spicy girl who looked like a Chinese doll by Italian painter Gino Severini (1893ââ¬â1966). Meeting Picasso Picasso met Gouel in 1911 at the cafe Ermitage in Paris, when she was going by the name of Marcelle Humbert. She was living with the Jewish-Polish artist Lodwicz Casimir Ladislas Markus (1870ââ¬â1941), a satirist and minor Cubist better known as Louis Marcoussis. At the time, Picasso had been living with his first muse, Fernande Olivier, since 1904. He was diligently absorbed in studies developing Cubism with painter Georges Braque, and Fernande was hotly jealous of that absorption. Fernande and Picasso often went to the Paris cafes with Marcelle and Louis. On a number of occasions, they were all invited to the writer Gertrude Steins home on the rue de Fleurus, which was a popular place for artists and writers in Paris at the time. Stein and Picasso were close friends, but she and her longtime partner Alice B. Toklas didnt spot the relationship between Picasso and Gouel until February 1912. Fernande and Marcelle became fast friends: Fernande confided her miseries to Marcelle, including her unhappiness with Picasso. In 1911, Fernande began an affair with the young Italian Futurist Ubaldo Oppi (1889ââ¬â1942). She asked Marcelle to cover for her in order to deceive Picasso, but it was a mistake. Instead, Marcelle began a clandestine affair with Picasso herself. Picassos Eve Picasso began his affair with Marcelle- now going by Eva Gouel at Picassos request- in late 1911. He began adding coded messages into his works, using allegorical imagery like bowls of peaches (thats Eva) and jugs with large spouts (thats Pablo). He also added written phrases like Jaime Eva (I love Eva) and Ma Jolie (My pretty one) as elements of the paintings. The famous Woman with a Guitar, the artists first work in Analytical Cubism, painted between 1911 and 1912, contains Ma Jolie, a nickname he gave to Eva after a popular song at the time. Picasso asked Marcelle Humbert to return to a version of her birth name, in part because he wanted to distinguish this mistress from the wife of his friend and fellow Cubist George Braque, also named Marcelle. He transformed Eve into the more Spanish-sounding Eva, and, to Picassos mind, he was the Adam to her Eve. Fernande On May 18, 1912, Picasso told Fernande that he had discovered her affair with Oppi and was leaving her for Eva. He moved out of her apartment, fired the maid and pulled his financial support of her; Eva moved out of her flat with Louis Marcoussis; and the new pair left Paris for Cà ©ret in southern France. In June of 1912, Picasso wrote friend and art collector Daniel-Henry Kahnweiler that I love [Eva] very much and I will write this in my paintings. Horrified, Fernande left the penniless Oppi and decided to seek out Picasso to rekindle their relationship- or so Picasso feared. Tucked away from the frantic Paris lifestyle in Cà ©ret, close to the Spanish border, Picasso and Eva got wind of Fernandes impending visit. They quickly packed and left instructions not to let anyone know of their whereabouts. They headed for Avignon and then met Braque and his wife in Sorgues later that summer. Death and Legacy In 1913, Picasso and Gouel visited Picassos family in Barcelona, Spain, and talked about marriage. But Picassos father died May 3, 1913, and that same year, Eva either contracted tuberculosis or developed cancer. By 1915, she spent weeks in the hospital. Picasso wrote Gertrude Stein describing his life as hell. Eva died in Paris on December 14, 1915. Picasso would live until 1973 and have dozens of affairs, a handful of which were well-known relationships with women, all of whom affected his art and life. Known Examples of Eva in Picassos Art: Picassos period ofà Cubist collagesà and papier collà © flourished during his affair with Eva Gouel; he also took two photographs of her. A number of his works during this time are either known or thought to be of Eva, the best-known of which are: Woman with a Guitar (Ma Jolie), 1912.Woman in an Armchair, 1913, Collection Sally Ganz, New YorkSeated Woman (Eva) Wearing a Hat Trimmed with a White Bird, 1915-16, private collection.Eva on Her Deathbed, 1915, pencil drawing, private collection Sources McAuliffe, Mary. Twilight of the Belle Epoque: The Paris of Picasso, Stravinsky, Proust, Renault, Marie Curie, Gertrude Stein, and Their Friends through the Great War. Lanham, Maryland: Rowman Littlefield, 2014.Otterstein, Pola. Pablo Picasso And His Women. Daily Art Magazine, November 28, 2017.Richardson, John. A Life of Picasso: the Cubist Rebel, 1907ââ¬â1916.à New York: Alfred A. Knopf, New York.à Tucker, Paul Hayes. Picasso, Photography, and the Development of Cubism. The Art Bulletin 64.2 (1982): 288-99. Williams, Ellen. Picassos Paris: Walking Tours of the Artists Life in the City. New York: The Little Bookroom, 1999.
Saturday, October 19, 2019
Fiber Research Paper Example | Topics and Well Written Essays - 250 words
Fiber - Research Paper Example (Whole Grains and Fiber, 2010, para. 1) What is the difference between soluble and insoluble fiber? Fiber can be ââ¬Å"characterized by its solubility in the intestines. Soluble fibers have a high water holding capacity while insoluble fibers do not. ââ¬Å"Despite the potential confounding of these classifications, both soluble and insoluble forms of fiber are important and appear to have different health properties in at least some settingsâ⬠(Van Horn, 1997, para. 3 and 5). What are the fiber recommendations for children versus adults, according to the article? Van Horn (1997, para. 17) indicates that children should get the majority of calories from complex carbohydrates. However, because of concerns relating to growth and energy it has been suggested by Pediatricians that the ââ¬Å"age plus 5â⬠rule be observed. This means that if a child is five years old then he or she should consume 5 + 5 = 10g of fiber per day. Once the childââ¬â¢s intake of calories approache s that of an adult (1500 calories or more) then a total of no more than 25g is recommended (Van Horn, 1997 para. 18). A recent article suggests that children 1 ââ¬â 3, 4 to 8, 9 to 13 and 14 to 18 should have 19g, 25g, 26 to 31g; and 29 to 38g respectively (Fiber & Childrenââ¬â¢s Diet (n.d). para. 2). The recommended intake of fiber for adults is 25 to 30g per day.
Friday, October 18, 2019
Employees Morale Essay Example | Topics and Well Written Essays - 500 words
Employees Morale - Essay Example Therefore, the company should employ a comprehensive exposure strategy for employees to ensure that they develop skills compatible with emerging trends in the rental car business (Bruce, 2003). The company should practice workforce exchange programs with other organizations offering car rental services in order motivate employees to appreciate the companyââ¬â¢s working environment. The employees should be given attractive remuneration to promote loyalty and energize their working potential (Bowles, Cooper & Palgrave, 2009). The company should plan for reasonable allowance strategy to ensure that hardworking employees are reward proportionately to their contribution to the companyââ¬â¢s success. The employees should be awarded attractive entertainment allowance to facilitate adequate refreshment when on holiday. The company working schedule should be well structured ensure that it is convenient for all employees. The employees should not be made to report very early and leave late from work. Overworking the employees lowers their working morale and sometimes pressures them to produce substandard results (Amar, 2001). In this regard, the company should consider restructuring the work program and allow workers to operate in shifts to minimize fatigue and work pressure. The company should focus on appreciating the hardworking workers to encourage them to put more efforts in their endeavor.. For instance, the employees showing distinguished performance should be promoted to higher ranks and their salaries to be reviewed to boost their working spirit. Research has shown that promotion is a significant booster of employeesââ¬â¢ morale. Employees will always work hard to get to high levels of their career. The company should not interfere with employee freedom at the work place. The employees should be allowed to mingle and share experiences
How the war on terrorism affected the way of life in Afghanistan Research Paper
How the war on terrorism affected the way of life in Afghanistan - Research Paper Example The horrific terror attacks elicited a mixture of economic, political and social reactions globally. Anti-Islam and hatred discourse that failed to separate the ordinary Muslims from the despotic, militant terrorists was rife all over. Issues of distrust between Christian and Muslim communities led to increased antagonism and in some instances extremist tendencies. For example, in the West, incidences of Muslim beatings and at times killings were reported. Examples of Muslim extremist tendencies were evident through support of the terrorist activities. Following the 9/11 attacks, it was quite clear that a retaliation response by the American government led by George Bush was eminent. To this end, the greatest fear pertained to what form of retaliation, how it would be enforced and also the potential impacts on the ordinary lives of the Afghan citizens. The impacts on the Afghan citizenry were also being assessed in consideration that they were still suffering at the behest of the Tal iban regime. In the period leading to 9/11, the Bush administration had been subject to scathing criticism for its position on various policy issues locally and internationally. These issues ranged from, geopolitics, environmental, economic, defense, inequality among others. However, the ghastly terror attack of September 11 resulted to considerable reduction of criticism towards the Bush administration. On the contrary, support for the Bush administration in light of the terror attacks began to rise significantly. This support was as a result of the announcement of the retaliatory action that the American administration would embark after the terror attacks. To this end, on 20th September, 2001, President George Bush made a televised address in... Conclusion The war on terrorism that began in earnest over a decade ago, has clearly caused profound impacts. These impacts cut across the divide of both pro and anti crusaders of terrorism. To this end, the long protracted war has not only impacted countries targeted for terrorism networks, but also the primary opponents of terrorism such as the United States. Following the September 9/11 attacks, it is clear that the geo-political, economic and social spheres changed dramatically for all actors. In light of the United States, the change of stance pertaining to foreign policy in dealing with terrorism dramatically changed to a military offensive against any threat to its security. Furthermore, the social fabric pertaining to relations among diverse religions was visibly tested. In addition, the astronomical cost of funding the war presented another significant burden on the American citizenry as well as local political intrigues involving pro and anti war protagonists. However, one vital aspec t that did not receive adequate attention was the assessment of impacts on the ordinary Afghanis citizens. Evidently, much attention has been focused on America and their justification for the war on terror without due consideration to the Afghani citizenry.
Managing organizational transition Essay Example | Topics and Well Written Essays - 1000 words
Managing organizational transition - Essay Example A transition in an organization is crucial for the business to thrive. Factors such as competition and demands by customers affect the transition in an organization. They are perceived to bring better services, innovative products and improve the efficiency of the organization. A well-planned transition sees to it that there is improved competitiveness, an encouraging financial performance, and most importantly an excellent customer and employee satisfaction. Most organizations have invested their time, energy and resources in the management of organizational transition management. The management of organizational transition has been known to increase an organizations power to accelerate the transitions process and to capitalize on the opportunities presented by the transition process. For the effective management of an organization, the company needs build their organizations capability to initiate change and facilitate rapid transitions (Durant 5). Durant also suggests that an organization needs to do away with processes that do not add value. Durant also believes that organisations, change agents should come up with a vision, which reflects on the groups energy the vision should be able to link the present and future. Durant looks at the initial stage during a transition, which he calls the unfreezing stage. He argues that this stage involves unlearning of past behaviours he explains that the organization at this stage experiences disconfirmation, which is an incompatibility between two or more attitudes. He suggests that the organisation needs to reduce the discomfort I agree with Durant, which changes most of the time causes discomfort. Usually it does not only happen in an organization, but also in all aspects of life, a comprehensible form of illustration would be a student who changes schools. In a new schooling environment, one is not at ease and tries so much to fit into the new system for some
Thursday, October 17, 2019
How increased unemployment is playing a role on the increasing poverty Essay
How increased unemployment is playing a role on the increasing poverty levels - Essay Example For instance, the level of unemployment in China is 4.3 % while that of Japan is at 4.5%, nevertheless the unemployment rate of these countries does not remain constant; it keeps changing with time (trading economics, 2011). Below is a graph indicating the difference in levels of poverty among countries. Fig 1: 2011 unemployment rates of different countries. Needless to say, there are a number of reasons that cause unemployment in the world. First, some individuals lack the required skills and knowledge to tackle tasks, hence hindering their chances of acquiring a job. Secondly, the welfare payments and unemployment insurance are believed to contribute to the increasing levels of unemployment. The unemployed continue benefiting from these governmentsââ¬â¢ assisted programs, hence becoming reluctant to search for jobs. This paper will discuss the issue of unemployment, its impact to the society in causing poverty, and the possible solutions at length. Major impact of unemployment t o society The Increasing levels of unemployment are continuously contributing to the level of poverty among nations, which negatively affects the economy and the society of these nations as well. There are various types of unemployment. Cyclical unemployment is one of them, which is influenced by the business cycle, for example, the higher the growth of domestic product, the lower the levels of unemployment, and vice versa (Hartley, 2010, p.29). Structural unemployment involves launching new products in the market, therefore changing the demand of certain goods. In return, unemployment rate in certain sectors increases, whilst jobs are created in other sectors. According to Kim (2010, p.57), one third of the worldââ¬â¢s... Unemployment as an Economic Problem Unemployment can be defined as the number of people in a nation without jobs, including those that are seeking for employment (OECD, 2003, p.32). Unemployment is a problem that affects many countries, to an extent of reducing productivity and loss of income opportunity. When the level of unemployment is high, the growth domestic product is lower compared to when the levels of unemployment are low. On the other hand, when the growth of domestic product is low, the levels of unemployment increase, the living standards of individuals are reduced, and the nationââ¬â¢s productivity decreases. Unemployment also contributes to loss of human capital, as the unemployed individuals do not contribute their skills and knowledge to the workforce. Moreover, unemployment does not only contribute to poverty, but it also reduces the levels of consumption and the ability of purchasing, and as a result, slowing down the potential of the market. Nevertheless, unemployment levels differ among different countries, taking different forms; however, the developing nations are highly affected by the unemployment issue compared to the advanced economies (OECD, 2003, p.32). For instance, the level of unemployment in China is 4.3 % while that of Japan is at 4.5%, nevertheless the unemployment rate of these countries does not remain constant; it keeps changing with time (trading economics, 2011). Below is a graph indicating the difference in levels of poverty among countries. Needless to say, poverty increases as the level of unemployment increases; this is evident since the unemployed have no source of income, making them to struggle in providing basics needs for their families.
Wednesday, October 16, 2019
Portfolio theory and invesntment analysis Assignment
Portfolio theory and invesntment analysis - Assignment Example In fact, it is required to estimate current investment strategy of the charity and then to propose actions for its improvement. Let us suppose that the portfolio has stocks. Structure of is determined by weights of stocks, . Per se, efficient portfolio allows the charity to obtain high expected values of return under tolerable value of risk. Efficient portfolio is determined by optimal weights of stocks, . In general, portfolios with high values of allow to achieve well optimized and efficient solutions but such portfolios are expensive to operate and difficult to analyze and manage. On the other hand, portfolios with small values of are cheap to operate and easy to manage but often such portfolios are too weakly diversified to be able to track the entire market or to beat the market index. Let us consider by examples how to determine optimal values of and weights and how to analyze structure of efficient portfolio . The present portfolio of the charity is concentrated in equity shares in leading U.K. companies. So, it is reasonable to suppose that each of them is in the top of the FTSE 100 Index, a capitalization-weighted index of the 100 most highly capitalized U.K. companies traded on the LSE. For instance, let us select1 the 7 largest constituents of the FTSE 100 Index. As of 9 December 2007, these ones were RDSA.L & RDSB.L, BP.L, HSBA.L, VOD.L, GSK.L, RIO.L, and RBS.L. Then, let us consider values of their market capitalization and also betas vs. UKX: Company Symbol Market Cap (millions ) Fraction (%) Beta vs. UKX Royal Dutch Shell PLC RDSA.L, RDSB.L 127,532.881 20.48 0.934, 0.983 BP PLC BP.L 117,355.224 18.85 1.056 HSBC Holdings PLC HSBA.L 101,548.136 16.31 0.723 Vodafone Group PLC VOD.L 98,199.053 15.77 1.068 GlaxoSmithKline PLC GSK.L 72,271.602 11.61 0.643 Rio Tinto PLC RIO.L 57,299.112 9.20 1.353 Royal Bank of Scotland Group PLC RBS.L 48,380.050 7.77 1.083 It is known that around 40% of the charity's portfolio is invested in one of these stocks, say, BP.L; the investment in each of the others is around 10%. In case of passive investment strategy the charity uses tracking portfolio, in which each of 7 fractions must reflect (sic!) market capitalization of appropriate leading company; e.g. see Focardi & Fabozzi (2004). Inasmuch as real market fractions of top 7 U.K. companies are distributed quite otherwise than in the charity's portfolio, we may conclude that the charity uses rather active than passive investment strategy. It seems that such choice of the investment strategy is quite reasonable. In case of passive investing the charity attempts at least "track" the market which is characterized, say, by the FTSE All-Share Index. If the market is down in a given period, the charity with an indexing strategy will also find investment performance reflecting that decline. Of course, such investing is a low-cost strategy due to reduced security analysis and insignificant start portfolio management costs. However, there are certain tracking errors when the tracking portfolio can not follow
How increased unemployment is playing a role on the increasing poverty Essay
How increased unemployment is playing a role on the increasing poverty levels - Essay Example For instance, the level of unemployment in China is 4.3 % while that of Japan is at 4.5%, nevertheless the unemployment rate of these countries does not remain constant; it keeps changing with time (trading economics, 2011). Below is a graph indicating the difference in levels of poverty among countries. Fig 1: 2011 unemployment rates of different countries. Needless to say, there are a number of reasons that cause unemployment in the world. First, some individuals lack the required skills and knowledge to tackle tasks, hence hindering their chances of acquiring a job. Secondly, the welfare payments and unemployment insurance are believed to contribute to the increasing levels of unemployment. The unemployed continue benefiting from these governmentsââ¬â¢ assisted programs, hence becoming reluctant to search for jobs. This paper will discuss the issue of unemployment, its impact to the society in causing poverty, and the possible solutions at length. Major impact of unemployment t o society The Increasing levels of unemployment are continuously contributing to the level of poverty among nations, which negatively affects the economy and the society of these nations as well. There are various types of unemployment. Cyclical unemployment is one of them, which is influenced by the business cycle, for example, the higher the growth of domestic product, the lower the levels of unemployment, and vice versa (Hartley, 2010, p.29). Structural unemployment involves launching new products in the market, therefore changing the demand of certain goods. In return, unemployment rate in certain sectors increases, whilst jobs are created in other sectors. According to Kim (2010, p.57), one third of the worldââ¬â¢s... Unemployment as an Economic Problem Unemployment can be defined as the number of people in a nation without jobs, including those that are seeking for employment (OECD, 2003, p.32). Unemployment is a problem that affects many countries, to an extent of reducing productivity and loss of income opportunity. When the level of unemployment is high, the growth domestic product is lower compared to when the levels of unemployment are low. On the other hand, when the growth of domestic product is low, the levels of unemployment increase, the living standards of individuals are reduced, and the nationââ¬â¢s productivity decreases. Unemployment also contributes to loss of human capital, as the unemployed individuals do not contribute their skills and knowledge to the workforce. Moreover, unemployment does not only contribute to poverty, but it also reduces the levels of consumption and the ability of purchasing, and as a result, slowing down the potential of the market. Nevertheless, unemployment levels differ among different countries, taking different forms; however, the developing nations are highly affected by the unemployment issue compared to the advanced economies (OECD, 2003, p.32). For instance, the level of unemployment in China is 4.3 % while that of Japan is at 4.5%, nevertheless the unemployment rate of these countries does not remain constant; it keeps changing with time (trading economics, 2011). Below is a graph indicating the difference in levels of poverty among countries. Needless to say, poverty increases as the level of unemployment increases; this is evident since the unemployed have no source of income, making them to struggle in providing basics needs for their families.
Tuesday, October 15, 2019
Enhanced Oil Recovery Essay Example for Free
Enhanced Oil Recovery Essay Oil and Gas refers to the naturally occurring liquid and natural gas specifically made up of long chain hydrocarbons and various organic compounds found beneath the surface of the earth in entrapments called reservoirs; the presence of oil and gas in these reservoirs is the reason humans survive everyday and carry out their daily activities effectively. Different activities are usually carried out to ensure that the oil and gas present in the reservoirs continue to support humans through their day-to-day activities; such activities include exploration, development, production and finally, abandonment and reclamation. This process is what is referred to as ââ¬Å"the oil and gas processâ⬠. On completion of this process, numerous efforts are made to increase the quantity of oil that can be extracted again from the oil well and we refer to these efforts as ââ¬Å"recoveryâ⬠. There are three main types of recovery, primary recovery (solution gas, gas cap and natural water drive) secondary recovery (gas injection and water flooding) and tertiary recovery (enhanced oil recovery EOR, polymer flooding and steam flooding). In this article, analysis on the ââ¬Å"enhanced oil recoveryâ⬠technology and trends will be emphasized upon. Enhanced oil recovery becomes very vital when oil production has to be increased to obtain a recovery percentage of at least 75% (Rigzone, 2009). This can only achieved by using any of the four basic methods of EOR; these methods include chemical flooding, miscible gas displacement, thermal recovery and microbial EOR. Among these four mentioned, ââ¬Å"Thermal methods are the oldest EOR methods, they have been developed over the last thirty yearsâ⬠(Elsevier, 1981). Miscible gas displacement also called ââ¬Å"gas injectionâ⬠by some engineers refers to the process of injecting CO2, natural gas and Nitrogen into a reservoir; ââ¬Å"in miscible gas displacement, the gas is injected at or above the minimum miscibility pressure (MMP) which causes the gas to be miscible in oilâ⬠(Bandar, 2007). Chemical flooding also called ââ¬Å"chemical injectionâ⬠involves injecting chemicals such as a polymer directly into the reservoir to enhance the oil recovery. Thermal recovery introduces heat to the reservoir to reduce the viscosity of the oil. Many times, steam is applied to the reservoir, thinning the oil and enhancing its ability to flow (Rigzone, 2009). Over 50% of the tertiary recovery method employed by the United States of America is the thermal recovery method. The most common gas employed when ââ¬Å"gas injectionâ⬠is being used is the CO2 (carbon dioxide) gas. The two major reasons why carbon dioxide is used are because it is miscible with crude oil and also it is the cheapest of all the other miscible fluids present. Carbon dioxide injection into the reservoir based on previous experiences has shown that a recovery of up to 15% of the oil that was originally in the reservoir is achievable. With the injection of the carbon dioxide gas, changes occur in the reservoir such and temperature and pressure changes. Through the changes in temperature and pressure, carbon dioxide can form a solid, liquid, gas and supercritical fluid (Teledyne, 2007). Furthermore, when carbon dioxide has been injected into the reservoir, it begins to form a homogeneous mixture with the crude oil thus, the light hydrocarbons, which are present in the crude, mix with the carbon dioxide gas and this dissolves the oil. Upon miscibility of the carbon dioxide gas and the crude, the physical forces separating the liquid phase and the gaseous phase gives way and this helps the carbon dioxide gas move the oil from the rocks towards the wells for production. According to the USDOE, a very good example of an applied carbon dioxide gas injection technique is theà Wasson. Fields Denver Unit CO2 EOR project which has resultedà inà more than 120 million incremental barrelsà ofà oil through 2008 (2010). Moreover, carbon dioxide is not the only gas employed when the gas injection technique is employed. Nitrogen is another gas commonly used for gas injection basically to maintain the reservoir pressure; it can also be employed when gas cycling and gas lifting are to be employed. The minimum miscibility pressure of nitrogen depends largely on the pressure, temperate and the composition of the reservoir fluid. According to Schlumberger, ââ¬Å"above the MMP, nitrogen injection is a miscible vaporizing drive. Miscibility of nitrogen can be achieved only with light oils that are at high pressures; therefore, the miscible method is suitable only in deep reservoirsâ⬠(2011). Both methods of miscible injection from past experiences have proved very effective. When oil has been effectively recovered from these reservoirs using the miscible gas, the gas that has mixed with the recovered oil is separated from the oil and re-injected into the reservoir to enhance the oil recovery once again. This process can be repeated until the reservoir is completely depleted and cannot produce any more oil. Note that nitrogen gas injection is used when dealing with reservoir containing light oils and also very economical allowing a recovery of up to 40%. A practical example of nitrogen gas injection is in the Cantarell oil field in Mexico. Upon application of this enhanced oil recovery methods, there was a noticeable increase in the oil production from 1. 9 million bpd to 2. 1 million bpd. Fig 1: Typical illustration of the miscible gas process using CO2 and water (University of Kansas, 1999) Chemical flooding can also be referred to as chemical injection and is the process whereby chemicals and polymers are injected into a reservoir to increase its ââ¬Å"recovery factorâ⬠. EOR methods involving the use of polymers usually yield a recovery range of ~6% to ~30%. When these chemicals are injected into the reservoir, the oil that is trapped there is released thus it can flow freely into the production wells. Furthermore, ââ¬Å"polymers help increase the effectiveness of water-floods and boost the efficiency of surfactantsâ⬠(Duncan, Ferguson, Sudip and Neptune, 2011). The use of polymers in chemical injection further helps to enhance the competence of the surfactants and also the efficiency of the water flooding; to be precise, water soluble polymers are best used for this process. The polymer that is regularly utilised during the process is the partially hydrolyzed polyacrylamide and with development in technology, the quality has improved over time. In order to achieve the best results from the chemical injection process, there are certain characteristics that need to be in place. These characteristics include ââ¬Å"high remaining oil saturation, low water-flood residual saturation, high permeability and porosity, high polymer concentration and slug size, fresh water and soft water and reservoir temperatures of less than 220Fâ⬠(Gary, 2007). Favourable characteristics are not limited to these that have just been mentioned but if these characteristics are present, then the expected recovery from the reservoir in question would be satisfactory as up to ~30% recovery is achievable. Moreover, economics have shown that chemical flooding is not profitable when the price of the surfactants is compared with that of the price of oil; it usually cost a lot to obtain the surfactants needed to recover oil from reservoirs and in some cases, the chemicals which are injected into the reservoir are more expensive than the oil which they extract from that reservoir. Chemical flooding can prove to be very pricy and at the same time provide the engineers with the needed results. Thermal recovery is usually applied to reservoirs with depths lesser than 3000ft. These reservoirs usually contain very viscous oil. There are four main types of thermal flooding that can be applied to any reservoir; they include: Fig 3: The steam injection process (The Piping Guide, 2009) 1. Cyclic stem injection: Popularly known as the ââ¬Å"huff and puffâ⬠technique, it differs from all other types of thermal flooding in that it uses a central well to carry out every function from the injection of steam to the extraction of oil. The technique is quite straightforward, steam is pumped into the well and the well is covered up for some time so that the steam can get to the reservoir rocks and upon arrival, the steam enhances the oil flow. To improve the oil flow further, this process can be repeated over again which leads to a new process called ââ¬Å"steam driveâ⬠. 2. Steam drive: In this process, steam is re-injected into the reservoir constantly. Moreover, this process cannot be as effective as required if the reservoir rocks have fractures. If there were fractures, ââ¬Å"the steam would simply head straight through those into the producing wells instead of working its way through the reservoir rockâ⬠(Anon. , 2008). After the steam is injected, underlying heat is formed and this eventually aids the oil to flow with ease. 3. Thermally assisted gas-oil gravity drainage: this process is best suited for highly fractured reservoirs. In this process, the steam is injected directly into these fractures to reduce the viscosity of the oil and allow it flow easily. According to the petroleum development Oman, the steam ââ¬Å"just needs to get the oil flowing more easily. This then allows gravity to take effect, causing the oil to drain down into the fractures and then into horizontal producing wells that are situated towards the bottom of the reservoirâ⬠(2008). 4. In-situ combustion: In this process, a reasonable quantity of the oil in the reservoir is actually set on fire to act as a steam and gas generator. According to the petroleum development Oman ââ¬Å"itââ¬â¢s the trickiest of the four main thermal EOR methods to get right. It is generally only used in a reservoir that has high permeability (i. e. fluids can flow easily through the reservoir rock) and even then only as a last resortâ⬠(2008). Some of the oil might be lost during burning but more can be recovered as a result of the steam that has been generated that drives the oil towards the producing well. MICROBIAL ENHANCED OIL RECOVERY (MEOR) Microbial enhanced oil recovery also known as microbial flooding refers to the process whereby microorganisms are injected into the reservoir to increase oil production from a well. The process of MEOR is a biological based technology in which these microorganisms react with the reservoir fluids in order to mobilize the oil and move it towards the production wells. Usually, MEOR is used in the third stage of EOR after 12% to 20% of the oil in the well has already been recovered. The characteristics of the reservoir in which the MEOR process is being applied will greatly have an effect on its success. There are two types of MEOR, ââ¬Å"those in which the microorganisms react with reservoir fluids to generate surfactants and those that react with microorganisms to generate polymersâ⬠(Ronald, 2001). MEOR is an economical way of increasing oil production and as genetic technology keeps improving, it would become the most attractive and cheapest method of enhanced oil recovery as the improvement lowers the cost of oil production. Conclusively, certain strains of bacteria that exist and are used for the MEOR method sometimes do not survive due to the harsh conditions they encounter in the reservoirs but as mentioned earlier, microbiologists are working on a different strain of bacteria that can survive in the reservoirs irrespective of these harsh conditions. Enhanced oil recovery has an outstanding economic potential to increase oil recovery thereby maximizing profit. EOR also has it disadvantages that have negative effects on the ecosystem. Steam injection causes serious air pollution and also, polymer flooding which falls under chemical injection also leads to contamination of underground water which eventually makes it unfit for consumption. Furthermore, during the EOR process, a substance called ââ¬Å"brineâ⬠is produced at the surface of the well; this substance is highly toxic and also radioactive. On exposure to humans, it can be very dangerous and highly detrimental. In my opinion, more research on how the chemical injection process can be carried out without affecting the underground water supply and also how the thermal process of steam injection can be done safely without a threat to the atmosphere. Regulations put in place to control the environmental impacts of EOR should be as strict as possible so that eventually, the eco-system is preserved and oil and gas companies can still maximize profit.
Monday, October 14, 2019
Origins of Visual Expression in Art
Origins of Visual Expression in Art In this dissertation, I will research the origins of visual expression, firstly asking why was it made, and who was it made for? I will then be looking for the earliest examples of where visual expression was found and then be moving onto how western art was developed and controlled though the early centuries in Europe. Then focusing on how one artist (Marcel Duchamp) chanced how institutions and art galleries could value art and lead the way for the future artists. Finally, this will bring me onto look at the emergence of the YBAS (Young British Artists) and the dynamics of their surroundings which would evidently lead to their success in the international art world, helped by the modern systems of mass media, written medias and public opinion. In this, I will investigate the relationship between visual and modern day language mediums thought discourse, with an added envious on my own personal experience though the viewing of the art works in the exhibition at Liverpool Tate Bad art for bad people? by Dino and Jake Chapman (13th December 2006 ââ¬Å" 4th March 2007), also including another artist who was the forerunner of the YBA movement and who would later become the YBA pin up, Damien Hurst. I will look how Damien Hurst used the systems of the media, being, news papers, Magazine columns, visual media and mass audiences, to make his own unique stamp in the art world. I will look how the YBAS became into the international limelight during the late 1980s and 1990s, helped with the guidance and backing of the advertising mogul Charles Saatchi, and his effect on the mass audience of the British public and aboard, making the YBA movement a success in the worldwide art scene. Marcel Duchamp To study how Marcel Duchamps artistic practices gave such controversy though-out the art world, arising the nature of art itself and what we view, and value as art. I will study the work The Fountain? (1917) and how it can be singled out as the bench mark for future contemporary art practice of today, firstly looking upon the history of Marcel Duchamps life up to the point of his work The fountains? creation and existence in 1917. (3A) Marcel Duchamps Fountain 1917? www.google.com/fountain.gif/cwru.edu Marcel Duchamp was born into world, in 1913, the French writer Charles Peguy Remarked, The world has changed less since the time of Jesus Christ than it has in the last thirty years.? (18) He was speaking of all the conditions of western capitalist society: its ideas, its sense of history, its beliefs, modes of production, and its art. Born on the 28th July 1887 in Blainville, near Rouen in France, He was the brother of Raymond Duchamp-Villon, the sculptor, and of Suzanne Duchamp, the poetess and also half- brother of Jacques Villon. He began to paint in 1908 and at the age of 22 Duchamp was a member of The golden circle? a painters circle, which included Metzinger, Leger, and Picabia, He was painting in the style of Cubism and futurism, which is shown his work nude descending a staircase,? painted in 1912. (19) In 1913 Duchamp exhibited this work in the New York Armoury show, in which it was the much more ridiculed work at the show. In 1912 when he painted Nude descending a staircase? Duchamp said, that painting is washed up?. (20) In abandoning painting, he said, I want something where the eye counts for nothing.? At this point the Duchampian revolution consists of the notion of the ready-made?. (20) This term describes common objects with or without modification that were relocated in museums and galleries. The term objet trouve? first was first recorded in a letter to his sister Susanne Duchamp in 1913. (21) The earliest readymade of Duchamps was the Bicycle wheel of 1913. This consisted of a bicycle wheel fixed onto a wooden stool. These readymades ojects were mass produced objects with common uses such as snow shovels and bottle racks which Duchamp would then sign. He would give the objects names that were totally irrelevant for their practical use. In 1915, Duchamp went to the USA for the first time. (22) The USA now better developed than Europe in technology, communications and now had the tallest building in the world. Soon, Duchamp settled and became the centre of a group of painters round the Stieglitz? gallery in which the group adopted the anti-art? attitude as with Zurich Dadaism. (23) In 1917, Duchamp sent his mass- produced urinal, (readymade) called fountain? to New York, (where the first show for the society of independent artist was held. Simply called independent show?, (24) signed with the name R.Mutt?, it was nothing but a common urinal. The work that was signed with a false name and exhibited on its back became centre to an unrealistic approach and was pulled out of the exhibition. The theory behind the readymade explained in an article, anonymous but believed to be by Duchamp himself in defence to his alter-ego, Mr Mutt, In the May 1917 issue of the avent- garde magazine The Blind Man?, run by Duchamp and his two friends, printed this text. Whether Mr Mutt with his own hands made the fountain or not has no importance. He chose it. He took an ordinary article of life, and placed it so that its useful significance disappeared under the new title and point of view-created a new thought for that object. There are three important points here: First that the choice of the object is itself creative act. Secondly, that by cancelling the useful? function of an object it becomes art. Thirdly, that the presentation and addition of the object have given it a new thought?, a new meaning? (25). Duchamps readymade also asserted the principle that, art is defined by the artist. The idea of art is made in the artists mind as a concept for their personal perspective of how their world is interpreted. This is true for every person, as everyone can think of ways an object means more than its physical form. This is also true of objects that have sentimental value. In any place the owner has the object in owe of what it represents regard of its space. As objects of no meaning are only then represented by the space the object inhabits. Marcel Duchamp gave the world a diverse outlook on the way art and the object could be perceived and portrayed in society, therefore leaving the door of the art world and its individuals open to create and develop concepts and ideas of art, which left the old institutions and practices to be questioned and revaluated. From abstract expression to the YBAS, Marcel Duchamps Fountain can be seen as a turning point in the ideas of where art can take the artists and the viewer. This can be seen none more so than the young graduate group of British artists of the late 1980s to take the international art world by storm, they were later to be known as the YBAS. Duchamps single act of artistic expression changed the way we could view art but to explain this he had to enforce it with words. Discourse and written language had more importance now rather than just the documentation of visual art and its history. Written language now became a factor in which works of art were viewed, and with the evolution of the tabloids and the mass media would become intertwined feeding off each other for publicity, good or bad.
Sunday, October 13, 2019
Upton Sinclairs The Jungle :: essays research papers fc
Long and tedious, with the purpose of showing the unsanitary conditions of the Chicago meat industry, The Jungle is a book that was written by Upton Sinclair. After his manuscript was completed in 1905, it appeared serially in Appeal to Reason, a widely circulated socialist periodical. This initial publication caused much controversy and immediate reaction. Much difficulty was encountered, however, when he tried to get it published in book form. None of the publishers wanted it published completely in its current form, and Sinclair didn’t want to cut any of it out. It was finally published in 1906, by Sinclair himself with considerable financial aid from Jack London. There is no table of contents as it is written in the form of a novel. Likewise, there are very few footnotes and the footnotes it does have are on how to pronounce things. There is a bibliography in the back which lists all of his sources for information on meatpacking and his other documentation. For the most par t it is historically accurate, as it tells the life of a man who works in a realistic meat packing setting. Because it is fictional, though, it probably would not be much of an aid to a historical researcher. The novel itself, containing over Three hundred pages, is rather long and tediously boring. Ã Ã Ã Ã Ã Sinclair’s central purpose in writing The Jungle was to persuade people to join the socialist party and to adopt the view that socialism is the only way to conquer the capitalistic empires that abuse the working class. The socialist ethic is that the general public will have joint ownership of the factory. Thus, they will finally be able to eliminate the undesirable working conditions and to advocate new, more comfortable working conditions. Sinclair uses many clever devices in order to get his readers to agree with this ethic. First, he keeps the many characters basically flat and two-dimensional throughout the whole novel. After their initial introduction, they are not developed any further or given any more human characteristics. They are outlined by what the author tells you they do; no thought or decision making on their part is ever shown. He also keeps all of the characters at the same level. The reader never knows any more about one character’s personality than he does about another character’s personality. He only knows basically nothing about either character’s personality. Another device Sinclair employs is leaving only one option, one alternative, to being held captive by capitalism.
Saturday, October 12, 2019
Dysfunctional Medical Insurance Essay -- Argumentative
Dysfunctional Medical Insurance A mom is waiting frantically in the local emergency room while her little girl continues to cry with pain. An hour goes by without any news as to when she will finally be treated. At last, their number gets called and they go over to the registration desk. The lady behind the desk opens their file and shakes her head in disbelief as she turns to look at yet another mother with remorse. She continues to tell the mother that the hospital has refused to provide medical attention to her little girl due to insurance problems. This scenario is sadly very common in the lower class families with little or no insurance coverage, in fact ââ¬Å"20% of the U.S. population lacks medical coverageâ⬠(Richman). While the initial idea of medical insurance seems more beneficial than not, the current health insurance situation has caused many negative repercussions for both the patients and the physicians. Some of these disadvantages include: denial of health care, compromised medical att ention, astronomical billings, privacy issues, discriminatory plans, and even possible risks of fraud. The original idea of medical insurance should have been a noble way to help Americans afford medical bills in a case of an emergency or just routine physicals and check-ups. A lot of Americans coming from different financial situations could not afford the emergency or even the customary treatments and would therefore go without medical attention. This obviously had dire consequences on the patientsââ¬â¢ health, thus forcing the need of an alternative option. ââ¬Å"Fortunately, a handful of physicians associated with Sacramento's Sutter General Hospital saw beyond the despair. Seeing a need for an alternative health care financing vehicle in the early 1930s, the doctors created the first open enrollment hospital insurance plan in the United Statesâ⬠(Sutter Health). As originally planned, this new medical insurance proposed benefits to both the doctors and the patients; patients could afford to be treated, while doctors could see more patients-even of the lower income clas s. Somehowââ¬âbetween then and now, the plan has been twisted and turned around so much that it has lost some of its greatest benefits and reputation. Because of the numerous loop holes in the current insurance plan, I believe that right now the drawbacks and disadvantages are overshadowin... ...been hit with a half of billion dollars in claims. As the extensity of this crime allows, there are many other issues to be dealt with besides just the insurance aspect. However, if insurance wasnââ¬â¢t implemented into our society or even if loop holes didnââ¬â¢t exist in this case, then this crime could not have been possible. Since insurance was introduced to our society, there have been many problems. Much like the little girl who was denied medical attention, many people suffer from these disadvantages of medical insurance. I believe that the medical insurance idea is argumentative, because there are a lot of repercussions that people may or may not have thought about. Besides the recent crimes being committed against them, the insurance companies are benefiting immensely, but are we? The prices of medical treatments are rising, the doctorââ¬â¢s attention to actual patients as opposed to who has insurance is diminishing, and less people are benefiting from health insurance. I do not think that medical insurance should have been proposed in the first place. I do admit that it should have been a benefit to Americans, but I have yet to see everyone benefit as initially planned.
Friday, October 11, 2019
How the war manifests within the films Essay
In her writing, Karen Randell develops an open outlook amongst the views of two films, ââ¬Å"Night of the Living Deadâ⬠and ââ¬Å"Deathdreamâ⬠(Randell 67). These two zombie films dedicated a lot to the 1960s Vietnam war perspective on the dead and missing and how that issue wasnââ¬â¢t being addressed by war films during the time (Randell 67). Randell imposes how the war manifests within the films itself by providing a referentiality that is significant to the trauma of the war (Randell 68). This reference pertains to the how soldiers donââ¬â¢t return home and are considered ââ¬Å"Lost bodies/Lost soulsâ⬠(Randell 68). Controversial issues at the time were major (Randell 70-2). The late 1960s, early 1970s, was a period where the two films and the war met at its peak (Randell 72). Issues such as the ââ¬Å"Vietnam syndromeâ⬠became a huge topic (Randell 72). This was a syndrome found in returning soldiers due to restlessness, depression, and rage (Randell 7 2). With the anti-war movement flowing in society, and all other impacts due to the war, the films expose real anxieties that were present during that period. (Randell 67). George Romeroââ¬â¢s Night of the living dead, a prototypical zombie movie, gave great context into the mourning of the dead from Vietnam (Randell 68). The movie was made on a shoestring budget, shot on leftover film. (Randell 67-71). However, it greatly succeeded and is one of the most successful independent films of all time (Randell 71-2). The ââ¬Å"Realm of the Undeadâ⬠or ââ¬Å"Zombie worldâ⬠are both ways to classify the setting of this film (Randell 68). As characters are stuck in a surrounded zombie land, it sparks the horror that we see in any zombie movie today (Randell 70). The film resonates fear from the audience, being that the time period portrayed a high rate of soldiers who didnââ¬â¢t return home (Randell 69). Between 1968 and 1973 there were over 2500 American soldiers listed as MIA (missing in action) or POW (prisoners of war). There were also over 58,000 dead soldiers (Randell 67-9). It is very traumatic as a viewer to watch something like this si mply because it adds to the realism of the movie (Randell 68 -72). Even the language used in the film correlates with Vietnam. Night of the Living Dead refers to the mission of killing zombies as ââ¬Å"Search and destroyâ⬠, which was a big Vietnam War military strategy (Randell 71). The film certainly establishes an uncomfortable presence for society (Randell 72). As we look at the film Deathdream, the message is very much explicit as opposed to the implicit message in Romeroââ¬â¢s film (Randell 73). The main character ââ¬Å"Andyâ⬠is a veteran who supposedly died in Vietnam and came back to haunt his family and the neighborhood as a zombie (Randell 73). Realism plays a tremendous role in this movie (Randell 72). 1972, when it released, was a period where news about returning veterans and the development of ââ¬Å"Vietnam Syndromeâ⬠was huge (Randell 72). The movie just adds to it.(Randell 74). It essentially provides a display in which serves as ââ¬Å"A dark satire of the shell-shocked veteranâ⬠(Randell 74). To conclude, Randell confirms thoughts on how the real issues in society can very truly be displayed even in todayââ¬â¢s society through horror and fantasy (Randell 75).
Thursday, October 10, 2019
Distributive vs Integrative Bargaining
Distributive and integrative bargaining requires different strategies, tactics and skill sets in a negotiator to be successfully implemented. Distributive bargaining is know as a win-lose situation based on a fixed amount that has to be divided, whereas integrative bargaining is a win-win situation based on a mutually satisfactory solution. Distributive bargaining is most often referred to as a fixed pix negotiation. There is only so much to go around and it creates a competitive or sometimes argumentative negotiation with both sides vying to get the bigger share.This style negotiation is typically used between parties that have no prior history, and little likelihood of future negotiations. There are many different strategies used in a distributive negotiation, one of which is assessing the other partyââ¬â¢s target and resistance points. This can be very hard for a negotiator to accomplish, as there is very little sharing of information in this style of negotiation. Both parties keep information to themselves, as they do not want the opposing side to be able to determine their room to maneuver in, as they want to get the best deal or bigger part of the pie for themselves.Along with this is a negotiating strategy is to manage the other partyââ¬â¢s impressions; this can be done by passing along false information or incomplete information to keep another negotiator in the dark. There are many different tactics used in distributive bargaining. One seen in different forms is the use of delaying tactics. This can be done two ways, first by having a negotiator that lacks the power to make a final decision. This adds more time to a negotiation while the agreement is presented to the person who has the authority to approve or reject the agreement.The second delay tactic is by delaying the negotiation past a deadline and thereby incurring a cost or penalty to the other negotiator. However, the most known type of distributive bargaining tactics is the use of hardba ll tactics. Hardball tactics take different forms, but consist for a negotiator taking a firm stand or position and intimidate, push or bully their position onto the other negotiator. Some of these methods include good cop bad cop, lowball and highball, nibble and snow jobs. Integrative bargaining is referred to as increasing the pie in negotiation.This style encourages cooperation to join forces together to create something that works best for both parties. This approach focuses on commonalities rather than differences and working towards a common goal or objective. One of the strategies here is to share information and ideas to create understanding of what is being negotiated to better develop alternate solutions. This is very different from the distributive style as there is no collaboration or information sharing in that approach.Integrative strategies focus on thinking outside the box to create new and unusual solutions whereas distributive is very focused on their positions an d do not look to the parties needs. Integrative tactics includes compromise, unlike distributive bargaining. Compromise actually has many different forms and does not mean that both sides give up something. Variations of compromise include logrolling, creating bridge solutions, cutting the cost for compliance and nonspecific compensation.Both strategies require skill sets that will take time and experience to develop, however integrative strategy is the more difficult one to develop and implement. Integrative bargaining is a mind-set that a negotiator must live and cannot just give lip service to. Without committing to an integrative style from the very beginning a negotiator can send mixed signals and cause confusion in a negotiation. A negotiator must also be able to ââ¬Å"sellâ⬠the integrative approach to everyone at the negotiation and be able to move the negotiation towards a collaborative effort.
Wednesday, October 9, 2019
Fact and Fancy in childrenââ¬â¢s education Essay
When Dickens was a very young child, he would think about anything a normal child would think about. E.g. castles and dragons, this is the world of fancy, but this is also in conflict with, his education at school, the world of fact.à The world of fact is a name for how the children of those times were taught; they wouldnââ¬â¢t talk about anything to do with the world of fancy, only facts were useful for their future job so only facts were taught. In Dickensââ¬â¢ book Hard Times he describes this method of teaching as having one part of their ââ¬Å"tender young imaginationsâ⬠replaced by a ââ¬Å"grim mechanical substitute.â⬠This also relates to the title of the chapter, ââ¬ËMurdering the Innocentsââ¬â¢Ã Thomas Gradgrind also numbers his pupils, ââ¬Å"Girl number twentyâ⬠like machinery, computer 1 and computer 2.Again, Dickens shows how Gradgrindââ¬â¢s style of education turns the children into an object rater than a person by giving them numbers.à At the end of Chapter 1 he referred to the children as vessels ââ¬Å"then and theyââ¬â¢re arranged in order,â⬠he must have been referring to this numbering system. In modern times in the army, a solider in training is referred to as a ââ¬Å"jarheadâ⬠, an empty ââ¬Å"vesselâ⬠that is filled only with useful information (fact) and is emptied of all useless information (fancy). This could be used to state that the children were b eing trained for one main purpose. The main character is introduced, Sissy Jupe or Cecilia Jupe. Sissy lives by the philosophy of emotion, (fancy) she is a character who is only new to the world of fact as she is from the circus which is the world of fancy. Sissy has trouble adjusting to this world of fact and fact alone as she curtseys and blushes. Sissy Jupeââ¬â¢s father is part of the traveling circus in town for a short while and Thomas Gradgrind hates everything the circus stands for, with all its fun and creativity (fancy) so he reshapes her into a more respectable form. The circus where Sissy comes from is seen by Gradgrind to be opposed to the style of education at that time. Thomas Gradgrind has a hatred for Sissy because they both oppose each other, Fact Vs Fancy. When Bitzer is introduced, Sissy is not able to recollect factual definitions off by heart on the spot, Dickensââ¬â¢ gives us an interesting description of Bitzer compared to Sissy.à ââ¬Å"That she seemed to receive a deeper colour from the sun, the boy was so light-eyed and light-haired that the rays appeared to draw out of him what little colour he ever possessed.â⬠à This is Dickensââ¬â¢ telling us about the children of Thomas Gradgrindââ¬â¢s style of teachings. The sunlight is the world and has different effects on these two children. Sissy is a childà of the natural world, and her innocence has not been taken away, the sunlight seems not to have her taken away her colour. However, Bitzer on the other hand is a product of the education system; all natural life is taken away from him and you get the sense that he has been drained of spirit and personality making him no more than a robot who only responds when he is put into action by Thomas Gradgrind.à This was how dickens was brought up; as he wanted to become a writer he was always faced with the conflict of Fact versus Fancy in his life. Although this was the case he is one of the greatest 19th century writers ever and his books are still being read all over the world and are used as prime examples of life in the 19th century.
Subscribe to:
Comments (Atom)