Tuesday, August 25, 2020

The History of Arabia and its Culture Assignment - 152

The History of Arabia and its Culture - Assignment Example The term throughout the entire existence of Arabia before the introduction of Islam is alluded to as Times of Ignorance. This is as per the practices and convictions of agnostic Arabs. The Arabs dedicated to a few religions which are portrayed as polytheists, Christian Jews, and skeptics. Most Arabs loved a few icons. The nonbeliever Arabs accepted on the interminable world. After Romans devastation of Jerusalem, in A. D. 70, drove Jews into Hijaz, Arabia. Romans changed over the Ghassan Arab clan to Christianity (Farah 45). The state religion in the Kingdom of Saudi Arabia is Islam. Saudi Arabia has Mecca and Medina urban areas. Muhammad, the pioneer of the Islamic religion lived and passed on in the urban communities. The urban areas pull in travelers in millions yearly. â€Å"Custodian of the Two Holy Mosques† is the King of Saudi Arabia’s official title (Farah 27). The two mosques are; Masjid al-Haram and Al-Masjid al-Nabawi, in Mecca and Medina separately. Saudi Arabia offered ascend to the Arabic language, which is utilized in the Quran. Islam changed Arabs in a few different ways. For example, the religion assumes a huge job in the Saudi state and society. The impact of the strict foundation, ulema, is extraordinary. The Kingdom of Saudi Arabia involves the Arab Islamic state which is sovereign. Islam is the state religion, and the constitution is The Holy Quran; and the Sunna, customs of the Prophet. Middle Easterner Israeli clash involves military clashes and the political pressures including Israel and some Arab Countries. The premise of the current Arab Israel strife is the ascent of the Arab patriotism and Zionism, toward the end nineteenth century. Domains saw by the Jews as truly theirs, are additionally seen by the Pan Arabs as having a place with, generally and by and by, Palestinian Arabs (Morris 217). This pressure among the Palestinian Arabs and Jews began toward the start of the twentieth century.â

Saturday, August 22, 2020

Behavior of Gases Essay Example for Free

Conduct of Gases Essay Presentation: In this analysis, the issue attempting to be fathomed is the thing that gas laws are being utilized when the weight, temperature, and volume are being estimated. The three gas laws are Boyle’s Law, Charle’s Law, and Gay-Lussac’s Law. The Boyle’s Law is when volume and weight are being thought about. Weight and volume are conversely relative, since when weight goes up, volume goes down. The Charle’s Law is when volume and temperature are looked at. Volume and temperature are conversely relative also. In conclusion, Gay-Lussac’s Law is when weight and temperature are analyzed. Weight and temperature are straightforwardly corresponding; along these lines when weight goes up, temperature likewise goes up. The recipes are as per the following: Boyle’s Law: P2 P1 = P2 V2 Charle’s Law: V1/T1 = V2/T2 Gay-Lussac’s Law: P1/T1 = P2/T2 Hypothesis: If volume, temperature, and weight are estimated, they will adhere to the laws and fit under Boyle’s, Charle’s, or Gay-Lussac’s law. Anticipated Results: It ought not out of the ordinary that when volume and weight are estimated, weight will go up and volume will go down. At the point when volume and temperature are looked at, volume will go up and temperature will go down. In conclusion, when pressure andtemperature are estimated, weight will go up as temperature goes up. Exploratory Procedure: Part I Connect a 20mL syringe to a LabQuest Select: File New Then, Mode: Change to Events with Entry Next, Enter Name as Volume Enter Units as mL Select OK Start at 10mL on the syringe and trust that the perusing will Select Keep at any rate 6 information focuses (any of your decision) Just haul the syringe out (making the mL readings higher each time) Stop the Data Collection and view the chart and focuses Record Part II Place an Erlenmeyer flagon in a measuring glass sufficiently large to fit the cup Connect a temperature mechanical assembly to the Lab Quest and spot test in recepticle Then interface the weight cylinder to the Lab Quest in channel 2 and associate the opposite finish of the cylinder with the elastic plug to the Erlenmeyer jar Select: File New Then Mode: Change to Selected Events Exit In sensors menu, change units to Kelvin Tap diagram X-hub: picked temperature Place fixture, room temperature water in the measuring utencil Select Keep Place ice in the recepticle Select Keep Place room temperature water in the container again and place on a hot plate Wait for the water to bubble Place temperature test and Erlenmeyer flagon back in recepticle Select Keep Record result from diagram and graph Results: VOLUME (mL) PRESSURE 10 103. 27 12 87. 6 14 76. 14 16 67. 5 18 60. 96 20 55. 15 This information and diagram is looking at volume and weight. The diagram speaks to the Boyle’s Law on the grounds that as the weight is going up the volume is going down. Kind OF WATER TEMPERATURE (K) PRESSURE Normal 102. 8 295 Ice 98. 29 275. 4 Boiling 122. 31 357. 4 This information and diagram is looking at temperature and weight. The chart speaks to Gay-Lussac’s Law in light of the fact that as temperature goes up, pressure goes up also. Conversation: This analysis went amazingly smooth. The information was anything but difficult to gather as long as you kept the Lab Quest and instruments stable to guarantee for precise readings for temperature, weight, and volume. The diagrams and information effectively concurred accurately with the speculations of the gas laws, as was indicated accessibly once the charts were made. In spite of the fact that the information concurred with the hypotheses effectively, the temperature readings for freezing and bubbling may have not been totally exact on the grounds that the temperatures of the water was not estimated precisely for right bubbling and frigid temperatures, yet recorded exclusively for the speculations and to demonstrate them. In general, the examination held up well and the speculation and hypotheses were demonstrated to be right. Conduct of Gases. (2018, Oct 25).

Monday, July 27, 2020

What Is Right of First Refusal Everything You Need to Know [FAQ]

What Is Right of First Refusal Everything You Need to Know [FAQ] If you’re brokering a business deal or starting a real estate business, you’re likely to encounter a RoFR at some point in the process.In simple terms, the clause is a contractual right (though, not obligatory) that gives someone the chance to buy an asset from a business or individual seller, before any other party has the opportunity to do so.Should the potential buyer choose to not exercise their RoFR, and turns down the offer to purchase, the business will then be free to open up bidding to other parties that are interested.It can be closely related to a RoFO (Right of First Offer), though it’s not the same.This indicates how substantial a difference can be made, by minor details in the language relating to the clause.That said, you must have a thorough understanding of both terms and their implications to make an informed decision about which clause to choose for your contract, or indeed, whether to accept either.WHAT’S THE DIFFERENCE BETWEEN RIGHT OF FIRST REFUSAL AND R IGHT OF FIRST OFFER?A straightforward way to differentiate between RoFR and RoFO, is that Right of First Refusal essentially gives the right to have a last look at a deal, whilst Right of First Offer gives the first look at a deal.When you have RoFR, you know the offers put in by other businesses, and decide whether you wish to match them or not. If you’re able to match the highest offer, it’s a relatively straightforward sale in that you would automatically win the bidding process.This is something often used by business partners, when one of them wants to exit the business. It’s a strategic way of controlling shareholders, and prohibiting outsiders from getting a stake in the business.RoFO means you can be the first to make a bid before anyone else. The seller isn’t obligated to take the offer, which means that they can either accept straight away, or opt to reject the proposal.However, if they’re unable to get higher offers elsewhere, they have the freedom to come back to the person with the RoFO, that originally placed the first bid.Choosing between the two clauses essentially comes down to the amount of knowledge the parties have in regards to the value of the investment.If a shareholder opts to give up their shares, they may not necessarily know how much they’re worth. This could be for any number of reasons.For example, if they only have a minority share, and therefore do not have the required information rights to find out.An RoFR means they can open up bidding to external buyers. Based on the offers that come in, they can get a good estimate of how much their shares would go for on the market.Right of First Refusal is the more useful tool for them in this instance, because it allows them to ensure they get the best value for their shares.Alternatively, if they’re already certain of the shares’ value, the RoFR process wouldn’t be necessary because it would not reveal any new information to the seller.Rather, they’d be better off mak ing an offer straight away to their fellow shareholders, for the value they know it’s worth.In this scenario, the Right of First Offer clause would serve them better, because they’d save on time and transaction fees.WHAT ARE THE BASICS OF RIGHT OF FIRST REFUSAL?Knowing that the RoRF allows the buyer to enter into a transaction before other parties, is just a small portion of the knowledge required to navigate this clause.Understanding the circumstances under which someone might prefer to have a RoFR, also helps to provide context.Typically, RoFR is requested by someone when they want to hold off on committing to any agreements, until they get a feel for how the opportunity may pan out.For instance, to find out if they can get better prices on the assets they intend to buy or sell.They therefore may wish to step in later on in the bidding process, rather than immediately pay or commit to anything.In cases where RoFR are used for real estate deals, a potential buyer of a property could use the clause to buy more time whilst they make their checks on the property, before going ahead with a purchase.This ideally gives them enough leeway to ensure the property is in a condition suitable enough for them to comfortably purchase it in.Whilst the RoFR allows this freedom to both the buyer and seller, it has certain parameters put in place typically being time periods.Therefore, the standard clause will usually have modifications made to it in order to suit both parties.These will reflect an agreement on the period of time that the buyer has, before having to decide whether to buy. In the instance that they choose not to, the seller would then be able to open up discussions with other potential buyers.WHAT TYPES OF CONTRACTS INCLUDE A RIGHT OF FIRST REFUSAL?A Right of First Refusal clause can be used in several different types of contracts.Shareholders agreementAs per the earlier example, one type of contract where a RoFR is typically used, would be a shareholder a greement.It’s not mandatory to include this clause in the contract.Though, once agreed upon and implemented in writing, it compels the shareholder leaving the business to extend their shares to their fellow shareholders in the first instance.The remaining shareholders would then decide whether or not to accept the offer. If the offer isn’t accepted, the shares are put on the market.The wording of the clause itself for a shareholders agreement can vary. It could be made simple and relatively straightforward in terms of how it works, or it may have several conditions attached to it.These conditions can denote the time period of the RoFR, the quantity and/or price of shares that will be made available.There are three key benefits to shareholders implementing the Right of First Refusal: They can control who becomes a shareholder, retain the largest percentage ownership of the company, and fend off bids from outside investors.Shareholder control:Whilst the clause can’t necessarily stop shares being sold to third parties, it does at least give the remaining owners a chance to lessen the likelihood of that happening.  Ownership:The remaining business shareholders can keep a majority of the shares, through wording the clause in such a way that they’ll have the right to buy the same measure of their current shareholding. Take the following example.Three founders own company shares 50%:25%:25%. One of the shareholders owning the 25% share decides to leave. The 50% shareholder now has the opportunity to purchase up to two thirds of the shares on offer.This would simultaneously help the shareholder with the minority of shares, who may not wish for the majority owner to get even more power; Whilst still allowing the majority shareholder to collect extra shares.Additionally, all the parties involved would have the power to achieve this, with the company still maintaining the same amount of control overall.Outside investors:Just the knowledge that a Right of First Re fusal clause exists can serve as enough of a deterrent to external investors.A lot of time and work is required to evaluate a business and how much value there would be in investing in it.Bearing that in mind, the prospect of doing all the necessary groundwork, with the knowledge they may not even have a chance of acquiring shares in the long-run, can lead to potential buyers simply walking away once they hear this clause is in effect.For that reason, because the Right of First Refusal can be so strong a deterrent to outsider buyers, it tends to be more of an appealing prospect for the founders to team up and sell altogether.To that end, the clause helps incentivize founders to become more aligned in their strategy and overall vision for the company. The goal being for them to sell at the highest possible price, when they are all eventually ready to sell.That said, whilst this can be a very positive thing for the founders, it could also be interpreted differently depending on the vi ewpoints of individual parties.Because it’s unlikely that outsiders would want to tackle the RoFR, it means that all the shareholders would tend to have to go along with others’ decisions.This will particularly affect those with smaller shares.Franchise AgreementFranchise agreements will normally give franchisors a non-obligatory option of exercising a Right of First refusal, when a franchisee wants to leave the system.The franchisee who is leaving, presents their franchise at the same price offered by other potential buyers. The franchisor will then have between 30-60 days to either accept the offer, or otherwise.Due to the fact that RoFR clauses have a tendency to put off external buyers, a Right of First Offer may be implemented into the agreement.If this happens, the franchisor would therefore have the right to place the first bid. If they refrain from making an offer, or if the offer made is not acceptable to the franchisee; The franchisee would then go out and obtain offer s from third parties.In this instance, the upside for the RoFR holder (the franchisor) is that they will either gain full operational control of the franchise, or a profitable sale from it.LeaseIf a tenant is renting a property and the property owner decides to sell, a lease in certain situations would give tenants a first look at buying the property before it goes on the market.The landlord will be legally required to serve formal notices to their tenants, in the event they want to sell. During this period, tenants would be granted a period of time to consider whether they wish to purchase the property themselves.The tenant’s RoFR will mean that during this period, the landlord cannot offer the property to anyone else at a lower price than that which was offered to the current tenants.A benefit of this arrangement is that It enables the landlord to save the money they would have otherwise spent on agency and advertising fees; whilst the tenant is given some security.There are a few important areas that need to be given extra consideration, when a RoFR clause is incorporated into a lease.Property to be coveredIt would need to be established exactly what property will be covered by the Right of First Refusal. In general, this detail tends to be relatively clear in the RoFR clause.However, there may be times when it causes confusion.Take for example, if the owner has more than one related property, and they intend to sell them all as part of a package.More specifically, the property may be part of a shopping center, or a cluster of commercial properties.What does that mean for the person holding the RoFR?Would they have to consider bidding on the whole group of properties, or will the right enable them to force the owner to sell each property separately instead?It could certainly make for tempestuous waters, if one the one hand, you have the RoFR holder trying to block the owner’s efforts to sell the property.Whilst on the other hand, the owner may be circ umventing this by teaming up with a third party buyer and making the terms of sale too undesirable for the property/ies to be bought individually. (The goal being to put RoFR holder off the property altogether.)One way they might do this is by limiting how much the right holder can use the property, whilst making it relatively easy for the third party buyer to continue their use of it, completely unaffected.There isn’t a definitive way to keep both parties 100% happy and ensure this type of situation doesn’t arise.However, acknowledging the issue at the outset gives both parties the opportunity to formulate an RoFR clause, that can on the whole, be fair and agreeable.Through doing this, they should be able to lessen the likelihood of having to navigate a particularly hostile transaction.Sale of the owner instead of the propertyAnother potential problem area is if the actual owner (when the owner is an entity) may be sold, rather than the property itself.If this is a possibility, it’s crucial to establish whether the RoFR can be triggered by any stock or membership interest sales.Assuming that the entity’s primary asset is the property, the RoFR should therefore indicate that the sale of stock is essentially the sale of the Property, which will consequently trigger the RoFR. (This would also apply to the transfer of membership interests.)If this isn’t clearly stipulated, the property owner may block the Right of First Refusal, by attempting to sell the company instead of the Property.DurationDefining the period of time that the Right of First Offer can be in effect once triggered, is a standard element of the clause that both parties usually agree on during negotiations. For that reason, duration isn’t typically a problem.Nevertheless, there can be uncertainties around a Right of First Refusal’s duration in a lease, if care isn’t taken to detect where this might occur.One example being a tenant that has a RoFR to buy a property, which is current ly being leased to them. The clause will typically have a sentence stating they have this right, which could go something like this:During the term of this Lease, the Tenant will have a ROFR on the Leased Premises.But what does that categorically mean?It could mean that during the lease, whenever the property goes on sale, the tenant can exercise their Right of First Refusal each time it’s on the market.Or, that they only have the right to the first sale but this can only be clarified through using unambiguous language to make it clear in the contract.The wording has to specify whether it’s a one-time, or ongoing right.General Commercial ContractsRoFR clauses are commonly found in general commercial contracts.Such as distribution agreements that give distributors exclusive rights to circulate newly released products from suppliers; As well as service agreements proffering permission to specific service providers to supply a service, before any other service provider is solicite d.WHAT ARE THE KEY TERMS IN A ROFR?There are four key areas to consider when deciding whether to accept the terms of a Right of First Refusal clause:Time Frame   The set period of time must strike a balance. It should be short enough for sellers to solicit third parties should they ultimately need to if it’s too drawn out to the extent of being open-ended, the seller may lose out on other potential buyers.That being said, it must be long enough for the buyers to take care of the specifics on their end. Such as a franchisor deciding whether to purchase a small franchise. They would require enough time to look into the business and do some risk analysis, in order to determine whether it would be a suitable and worthwhile investment for them.Commercial TermsThese stipulate which party decides the commercial terms, such as the price of a share will be sold at.If for example the franchisee determines the price on offer to the franchisor, the franchisor must decide if they agree on the price. But additionally, they would need to confirm the price the franchisee can put the business up on the market for external buyers.ValuationAn evaluation of the assets on offer would be undertaken. The valuation  will assist in clarifying whether the terms will fairly compensate the seller for their share, whilst weighing up the buyer’s potential investment against the return.In the case of a dispute between the two parties over the value of an asset, an independent third party can be useful in helping to reach a resolution.Other TermsThe Right of First Refusal clause works in conjunction with the rest of the contract, it is not separate from other stipulated terms.Take for instance, a shareholder agreement.Even if the remaining shareholders cannot purchase the shares on offer by the one that is leaving, there may be other clauses in the contract that deem it essential for the new buyer to be approved by them before the buyer can officially purchase the shares.WEIGHING UP THE PROS AND CONS OF ROFRIt’s important to have a firm grasp of the positives and negatives of the Right of First Refusal clause. There are considerably lucrative advantages, but it can also cause a degree of conflict.We saw an example of this play out in a very public way in 2013, when the Nestle group’s chairman Peter Brabeck broadcasted that he intended to open up bidding on his L’Oreal shares. As Nestle was the second largest shareholder of L’Oreal at the time, his decision to not extend the RoFR clause at the end of their 10 year agreement, was a very publicised one.The RoFR does generally have a tendency to benefit the person or entity holding the right, as opposed to the other party. It serves as a good insurance policy, in that the right holder probably won’t lose an asset that they definitely want (or need) to hold on to.Meanwhile, it may sometimes be an encumbrance to the seller because of the limitations it puts on how and when they can solicit buyers.What’s mo re, it can create a precarious situation for the seller in circumstances where there aren’t many external buyers to choose from. In those scenarios, there’s more pressure for the seller to obtain higher bids from the small amount of interest they do manage to attract.It’s not all doom and gloom for the sellers, though.Afterall, the clause does enable them to test the market and discover the best offer they can get.It’s also worth noting that on the whole, Right of First Refusal does in fact increase joint profits for both the seller and the right-holder, by reducing the profit of outside buyers.

Friday, May 22, 2020

​The reflection of any culture defines the practicality of...

The reflection of any culture defines the practicality of traditions, passed down from one generation to the next. These customs, which varies, interprets the central connection of the culture itself. Evidently, stories involving legendary figures, commonly known as myths, spreads throughout the civilization and not only captivate the attention of those who believes in these myths, but also provide a belief or a sense of dignity and honor of those representing their particular culture. Chinese mythology is evidential to this pattern. Although many records were not recorded in a systematic way, it is still a hefty amount of evidence of the myths collected by the Chinese. The legends ranged from characters such as dragons to gods who†¦show more content†¦Examining the Chinese dragon, which is internationally known as the Chinese symbol, we could conclude that the dragon is the threshold of the power China symbiotically represent. Basically, the Chinese dragon speaks for itself . It continues to be used as the mythical symbol for the nation of China’s strength, honor, and integrity. Furthermore, the Chinese myths interconnected with their religion is different ways. Coincidentally, the two does not cause a major conflict. Matter of fact, the deities are said to have been religious themselves, such as participating in heavenly afterlife events. Technically speaking, they are gods/goddesses. The connection between the myths and religions created an inner peace and subjective knowledge about the meaning of life itself. The Chinese had much to believe and to support. Matter of fact, the seeking of inner peace and knowledge led to the worship of their religions, such as Hinduism and Buddhism.† Buddhism in China† factually states: â€Å"By the first century B.C. Buddhism had already been established in Central Asia and was posed for the leap across the desert sands to the populous and civilized centers of China (20). This era, the transfer of religions from India and other countries, was also the keen foundation of the mythical stories. PeopleShow MoreRe latedOrganisational Theory230255 Words   |  922 Pagesdilemmas. The book engages in an imaginative way with a wealth of organizational concepts and theories as well as provides insightful examples from the practical world of organizations. The authors’ sound scholarship and transparent style of writing set the book apart, making it an ingenious read which invites reflexivity, criticalness and plurality of opinion from the audience. This is a book that will become a classic in organization studies. Mihaela L. Kelemen, Professor of Management Studies, KeeleRead Moretheme of alienation n no where man by kamala markandeya23279 Words   |  94 PagesEteocles and Polynices. Furthermore, Antigone dies after defying King Creon. The play is set in Thebes, a powerful city-state north of Athens. Although the play itself was written in 441 B.C., the legend goes back to the foundations of Hellenic culture, many centuries before Sophocles’ time. All the scenes take place in front of the royal palace at Thebes. Thus Sophocles conforms to the principle of the unity of place. The events unfold in little more than twenty four hours. The play begins onRead MoreA Theoretical Perspective on Dowry Deaths in India22724 Words   |  91 Pagesunderstand the concept of dowry as has originated and evolved in India. b) To conceptualize modern day consequences of dowry system. c) To refer to various laws in India and find out reasons for ineffectuality. d) To analyze the trend lay down in this regard by way of various judicial decisions. e) To critically analyze the reasons for divergence between the object of law with regard to dowry death and the practice evolved by judicial precedents. 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Sull and Charles Spinosa The most vexing leadership challenges stem from broken or poorly crafted commitments between employees and colleagues, customers, or other stakeholders. To overcome such problems and foster a productive, reliable workforce,Read MoreFundamentals of Hrm263904 Words   |  1056 Pagessave money From multiple study paths, to self-assessment, to a wealth of interactive visual and audio resources, WileyPLUS gives you everything you need to personalize the teaching and learning experience.  » F i n d o u t h ow t o M A K E I T YO U R S  » www.wileyplus.com ALL THE HELP, RESOURCES, AND PERSONAL SUPPORT YOU AND YOUR STUDENTS NEED! 2-Minute Tutorials and all of the resources you your students need to get started www.wileyplus.com/firstday Student support from an experiencedRead MoreCase Study148348 Words   |  594 Pagesstored in a retrieval system, or transmitted in any form or by any means, electronic, mechanical, photocopying, recording, or otherwise without either the prior written permission of the Publishers or a licence permitting restricted copying in the United Kingdom issued by the Copyright Licensing Agency Ltd., Saffron House, 6-10 Kirby Street, London EC1N 8TS. This book may not be lent, resold, hired out or otherwise disposed of by way of trade in any form of binding or cover other than that in whichRead MoreI Love Reading Essay69689 Words   |  279 PagesNational Knowledge Commission Entrepreneurship in India National Knowledge Commission 2008  ©National Knowledge Commission, 2008 This report has been prepared by Amlanjyoti Goswami, Namita Dalmia and Megha Pradhan with support and guidance from Dr. Ashok Kolaskar and Mr. Sunil Bahri. Table of Contents Acknowledgements Executive Summary Chapter I Chapter II Chapter III Chapter IV Chapter V Chapter VI Chapter VII Annexure I : : : : : : : : Introduction: Why Entrepreneurship What MotivatesRead MorePropaganda by Edward L Bernays34079 Words   |  137 Pagesin many cases, unaware of the identity of their fellow members in the inner cabinet. They govern us by their qualities of natural leadership, their ability to supply needed ideas and by their key position in the social structure. Whatever attitude one chooses to take toward this condition, it remains a fact that in almost every act of our daily lives, whether in the sphere of politics or business, in our social conduct or our ethical thinking, we are 9 Propaganda dominated by the relativelyRead MoreBackground Inditex, One of the Worlds Largest Fashion Distributors, Has Eight Major Sales Formats - Zara, Pull and Bear, Massimo Dutti, Bershka, Stradivarius, Oysho, Zara Home Y Kiddys Class- with 3.147 Stores in 70100262 Words   |  402 PagesInterorganisational management of environmental and social aspects in the supply chain Case studies from the textile sector Doctoral dissertation the international institute for industrial environmental economics Lund University, Sweden  IIIEE DISSERTATIONS 2009:2  Responsibility in the Supply Chain Interorganisational management of environmental and social aspects in the supply chain Case studies from the textile sector Beatrice KOGG Doctoral Dissertation May 2009 The International

Saturday, May 9, 2020

The Culturally Inclusive Educator Preparing For A...

Reflections on the reading The Culturally Inclusive Educator: Preparing for a Multicultural World by Dena Samuelson Developing an inclusive behavior necessitates the exclusion of oneself in the process. Acknowledging that others exist as they are without my own knowledge or interpretations of who they are appears to be the foundation of cultural inclusiveness. We should not be subject to the trappings of our own existence as to rely upon our own knowledge, biases, and limitations in recognizing others. The process is a moving out of oneself – the ability to view perspectives in the eye of another. We should not define or impose definitions on others for we may be limited to provide the knowledge to comprehend what we cannot see, have not seen, and may have failed to understand. Accepting that other people see things differently, go through life differently, and develop meanings about these things differently begins a multicultural perspective. Personally, this is an aha! experience to see that others’ being and becoming are not dependent on how they are perceived by others, by me. Pe ople are as they are themselves are capable of defining their existence. People should be recognized as able to choose their own meanings and purpose. They should not be as they are because I exist. As a future educator, I feel it is important not just to practice this behavior in my dealings with students and the society at large. The consciousness for embracing the differences of humanity,

Wednesday, May 6, 2020

Gentlemen’s Magazine Free Essays

5 You have been approached by the editor of Gentlemen’s Magazine to carry out a research study. The magazine has been unsuccessful in attracting shoe manufacturers as advertisers. When the sales force tried to secure advertising from shoe manufacturers, they were told men’s clothing stores are a small and dying segment of their business. We will write a custom essay sample on Gentlemen’s Magazine or any similar topic only for you Order Now Since Gentlemen’s Magazine goes chiefly to men’s clothing stores, the manufacturers reasoned that it was, therefore, not a good vehicle for their advertising. The editor believes that a survey (via mail questionnaire) of men’s clothing stores in the United States will probably show that these stores are important outlets for men’s shoes and are not declining in importance as shoe outlets. He asks you to develop a proposal for the study and submit it to him. Develop the management-research question hierarchy that will help you to develop a specific proposal. The initial Research: -First we need to address the management’s concern. How to market Gentlemen’s Magazine to shoe manufactures. -How profitable is shoe manufactures? -What types of sales sources does shoe manufactures uses the most? -What percentage of clothing stores provide shoes sales? -What is the percentage of demand of men shoes? -How profitable are sales of shoes? -How profitable are men shoes going to be to Gentlemen’s magazine? -To customers: oHow many times a year do they purchase men’s shoes? oHow many pair of shows do they purchas e when they do purchase their shoes? What type of men shoes are they more likely to purchase? oWhat are the preferred colors? 5. Compute the mean of the following sample values: 16. 25, 12. 91, and 14. 58. 16. 25+12. 91+14. 58=43. 74 43. 74/314. 58 21. What is sampling error? Sampling error is the estimated error caused by the observation of a sample instead of the entire population. Could the value of the sampling error be zero? Only when the sample is the entire population the sampling error can be zero. If it were zero, what would this mean? If the sample error is zero that mean the entire population was the sample. 22. List the reasons for sampling. Give an example of each reason for sampling. Answer: The inability to sample the entire population. Ex: Trying to get the entire population’s hair color. 34. Information from the American Institute of Insurance indicates the mean amount of lifeinsurance per household in the United States is $110,000. This distribution follows thenormal distribution with a standard deviation of $40,000. . If we select a random sample of 50 households, what is the standard error of the mean? Answer: Standard error: 40,000/sqrt [50] = 8000/sqrt[2] or about 5656. 85 b. What is the expected shape of the distribution of the sample mean? Answer: The data should to be a normal distribution, therefore the shape would be â€Å"bell-shaped†. c. What is the likelihood of selecting a sample with a mean of at least $112,000? Answer: P(X ; 112,000) = 1 – P(X 100,000) = 1 – P(X How to cite Gentlemen’s Magazine, Papers

Tuesday, April 28, 2020

Ottawa Charter free essay sample

Good morning Mr. Anderson and class. Today I will be talking to you about my perspective on the effectiveness of Health promotion campaigns that have been implemented in Australia in order to address the National Health priority issues, concerning cancer, cardiovascular disease and injury. Health promotion is the process of enabling people to increase control over, and to improve their health. In my opinion, for a campaign to be successful it must address all areas of the Ottawa Charter in accordance with cost to an individual and community, social justice principles and priority population groups. The reason why a health campaign works so effectively is due to a multi-faceted approach, which encapsulates all areas of society including the individual, community, government and non-government agencies who have been able to work in correspondence with one another to formulate and achieve the required goal. Firstly, The National Tobacco campaign is a very successful campaign in my opinion as it is able to effectively facilitate all areas of the Ottawa Charter enabling people to increase control over, and to improve their overall health. We will write a custom essay sample on Ottawa Charter or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page As a result of this campaign both mortality and morbidity rates have decreased. Evident through a recent epidemiological study, there has been a drastic reduction in prevalence of adult daily smoking from 15.9 percent currently, which will lower to an estimated 10 percent or less by the year of 2018. The National tobacco campaign incorporated a segment aimed at smokers between the ages of 18 and 40, promoting a message quote â€Å"Every cigarette is doing you damage.† These advertisements were created specifically to portray the damage smoking inflicts upon a human in the most grotesque and hard hitting way possible. Non-smoking laws that have been implemented by the National Tobacco Campaign act as a catalyst in directing society to become aware of the decisions they make and the health consequences associated with them. An example includes the regulation of tobacco tax, where there is an apparent increase in prices, to make them less affordable to smokers hence helping build public policy and enhance social justice principles. In addition, the regulation of place of use,  including ensuring that all indoor areas of the workplace and the public are covered by legislation smoking prohibitions. In affect, this has created a very strong supportive environment that has halted the â€Å"social smoking† stereotype which is a major area of the Ottawa charter and a reason for why this campaign is so effective. Secondly, one of the most prominent and leading causes of both mortality and morbidity rates in regards to the national health priority issue of injury is that of road and traffic accidents. The implementation of the Ottawa charter within the â€Å"No one thinks big of you† campaign designed by the RTA (Roads and Traffic Authority) has influenced the obvious reduction in road related injuries. The key approach, which in my opinion is the reason to its success, is that the campaign incorporates speeding as its number one priority area and is specifically aimed towards young males. In 2002 before the introduction of the campaign there were 256 deaths in NSW but by 2007 it had reduced to a total of 120 deaths. The â€Å"No one think big of you† campaign has effectively addressed community support and education by decreasing the susceptibility of people speeding. It is targeted at young males to get age appropriate information about both the harsh realities of car accidents and provide help in developing skills. As a result of this there has been a deterrence of excessive speeding caused by the education provided by schools, the RTA and NSW police, irrespective of their socioeconomic and sociocultural environments and to be equipped with the refusal skills to assert their perspective on dangerous driving towards the rest of their peers. The campaign created a social stigma making speeding socially unacceptable and provides evidence for why I think this campaign is so successful. Thirdly, the way in which the Ottawa charter has been embedded into the heart disease foundation campaign is the key to its success. The campaign revolves around the employment of the Tick program, which labels products with a tick that has allowed the food industry to be challenged to lower amount of sodium, saturated fat and kilojoules, whilst increasing the fibre content since 1989. Cardio vascular disease is the largest health and economical burden on Australia but since the creation of the tick program there has  been a recent decline of CVD fatalities. The heart foundation campaign is unique in its approach, as it places focus on two precise areas of the Ottawa charter. It is specifically aimed at people who consume a high fat diet mainly due to factors of poor education or lower socioeconomic status that are most at risk. Therefore, the area of Building Healthy Public Policy is able to encapsulate the empowerment of population groups and various communities to take control of their health status and reduce health inequities. For example, with the compulsory legislation of putting all nutritional contents of the product on labels enable the buyers to not only know what’s inside it but also to be empowered to purchase the product. With the influence of this campaign, an individual is able to develop personal skill through dietary information, further health information service links and weekly newsletters as a way to improve participants knowledge and skills to easily plan, shop, budget and prepare healthy meals and snacks. In conclusion, in my opinion the health campaigns that have been implemented to address the national health priority issues in Australia, concerning cancer, cardio vascular disease and injury are all very effective. In all cases, the target population group is compelled to change their harmful behaviours and is credit to the structure and format of the Ottawa charter. Through the group effort of a multi faceted approach it has enabled all campaigns spoken above to obtain the required goal. This is evident as all trends involving cancer, cardio vascular disease and road and traffic accidents are declining at a steady rate, reducing pressures on the individual and community, increases social justice principles and lowers health inequities in Australia. I think that these health promotion campaigns must continue to use the same techniques and methods in relation to the National health priority issues and health determinants in order to further improve the overall health of Australians for the future. Ottawa Charter free essay sample Compulsory PDHPE lessons that focus on the short and long term effects of smoking on the body. Healthy Harold vans which visit primary schools to educate young children about the effects of smoking. Education through school’s pastoral care programs on how to not be peer pressured by friends to smoke at parties. Information in magazines such as ‘Woman’s Days’ and men’s health about the impact smoking can have on the body. Information in newsletters and university, magazines on the effects of smoking. Knowing how and where to access reputable information relating to smoking, for example, internet site such as the Australian drug foundation or local community health centres. Creating posters, postcards, coasters, stickers and wallet cards to educate people on the dangers smoking can do to the body. Creating Supportive Environments: Workplaces and public areas providing no smoking areas Companies providing counselling services for employees who are directly or indirectly affected by smoking. We will write a custom essay sample on Ottawa Charter or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Parents making sure their children’s gatherings and parties are smoking free. Parents modelling responsible behaviour by not smoking in front of their children. Advertisements to ensure people do not smoke in public areas. Strengthening Community Action: Supporting addiction towards smoking. Providing support groups for families who have lost loved ones due to smoking. Having limited areas where people can smoke to encourage people not to smoke Offering support groups for victims of addictions, and the side effects of smoking. Communities providing statistics to support the submission for alcohol reforms to the local government in their area. Building healthy Public Policy: Laws on smoking around public areas/children. Laws defining the minimum age for purchasing cigarettes. Local council laws on smoking free zones. Advertisements of the effects of smoking on the cigarette packets Increasing taxes on cigarettes Penalties for purchasing cigarettes under the age of 16 Reorienting health services: Increased funding for health promotion to target smoking Victims to talk to children about loved ones who have got addicted to smoking and passed from lung cancer Seminars run by health services to educate children mainly No smoking zones at places like festivals, and given fines if done.

Friday, March 20, 2020

Building Self Esteem Essay Example

Building Self Esteem Essay Example Building Self Esteem Paper Building Self Esteem Paper Building Self-esteem Abstract A lot of people suffer from the lack of self-confidence and often they don’t know the real reason. They unconsciously show this reason, low self-esteem. It’s very difficult for them to reach the goal they set and often they think the reason is their dis-abilities. They don’t trust in their skills. In reality no one is fully confident, because confidence isn’t general. You may feel confident in some field, while not in another one. So everyone needs to know the reasons and signs of lack of self-confidence, and of course ways to build self-esteem. This essay consists of all necessary information, which is necessary to struggle with this psychological problem. Building Self-esteem Nowadays, the psychological disorders and problems are main reason of discomfort while they cause a lot of other problems. It’s proved that a problem with self-esteem is most frequent. Because of no one is self-confident with 100%, everyone should work on building its own self-esteem, because if you don’t love yourself and don’t appreciate yourself properly, no one will do. Self-esteem is the opinion you have about you. Self-confidence is belief that you can achieve everything you want, you have potential of success and you trust you abilities. It’s based on the attitude your strengths and weaknesses, your independence and social status. It’s knowing that you don’t miss any skill which is necessary for success. Self-esteem gives you the energy and ability to complete the task or work you begin (Self-help brochure). The belief that self-confidence is inherited is the myth. It’s learned. You may feel confidence in one activity, while opposite in the different one. It’s not constant at the same time, it may increase or decrease due to new events happening in life (Radwan, 2006). People who aren’t self-confident depend on the approval of others in order to feel good about themselves. They are risk-averse people, because they are afraid of failure, and so they miss a lot of available opportunities and this fact decreases the chances of success (Self-help brochure). There are a lot of reasons, which cause low self-confidence: wrong upbringing, inferiority complex, perfectionism, negative self-talk, poor self-image (Radwan, 2006). A lot of is depended on parents, how they treat with their children. They have a very important role in developing their child’s self-image. Also they have to teach them, how to estimate each situation. If parents are shouting and fighting because of every minor mistakes (e. g. staining clothes, breaking some things.. ) the result is that child starts thinking that making mistakes is shameful, that others are perfect, who don’t do mistakes and child feels inferiority. Parent should provide acceptance, because if they are too critical and discourage child from independence, child may believe he’s inadequate and inferior. As a result child will suffer from the lack of self-confidence (Self-help brochure). It’s proved that lack of self-confidence is not necessarily related to lack of ability. It is often the result of focusing too much on the unrealistic expectations or standards of others, especially parents and society. Friends influences can be more powerful than those of parents and society in shaping feelings about oneself. Children in their yearly age re-examine their attitudes and values, develop their identities and they often feel pressure from friends (Self-help brochure). Inferiority complex is a disorder that develops as a result of feeling inferior when compared to your peers or friends. This can act as a barrier to building self-confidence and so it is necessary to deal with it first (Radwan, 2006). Another great cause for a lack of self-confidence is being a perfectionist. A perfectionist always sets impossible goals and very high standards that he can never achieve and this causes his confidence to degrade as he fails again and again. They often think I must never make mistakes if I want to be great at what I do (Radwan, 2006). Telling negative words and phrases about you during the normal thinking process degrades the self-esteem as well (Radwan, 2006). It’s necessary to talk about the poor self-image during discussing lack of self-confidence. If you feel that you feel more confident during wearing your best shirt that while you were something else, that the reason of your lack of self-confidence is your poor self-image. Self-image is how you think about yourself: what kind of person you are, how you look, what’s your personal or social status. And poor self-image is when you are unhappy how you look, ou’re very pessimistic and think there is no hope for you (Radwan, 2006). There are a lot of signs which shows if a person suffers from the lack of self-confidence: shyness, aggression, over-sensitivity, attention seeking, self-consciousness, dependence on others, immediately replying on criticism, explaining every mistake and action, becoming a perfectionist and being unreasonably proud. Body language is also talking a lot of about it (UT learning center, 2006). Unconfident people give reasons for every action they do. They think others are perfect and are ashamed of little mistakes. So they try to give explanation to their actions and often are getting in the awkward situation. People with the law self-esteem can’t understand that making mistakes is the right of human and so many excuses aren’t necessary (Radwan, 2006). Everyone has experienced the situation, when you give someone a small critical comment and he returns immediately it but in an aggressive way. That shows that he lacks self confidence. People with high self-esteem listen to their critics and analyze them, if it’s constructive they get them, if not, it doesn’t bother them very much (Radwan, 2006). Some of these people try to hide their inferiority complex by their arrogance. Everyone has his own weak and strong points and it’s not necessary to compensate for these weaknesses. Again, no one is perfect (Radwan, 2006). Body language is one of the trustworthy ways to know if someone feels lack of self-confidence. As usual such people take the defensive position, which means standing (or sitting) with arms folded accompanied by crossing legs. Confident people rarely take this position (Radwan, 2006). Perfectionism is one of the main reasons of lack of self-confidence. They try to do everything perfectly because they consider the world perfect and they become upset when they get 99% instead of 100% (Radwan, 2006). Building self-esteem isn’t difficult if you concentrate and if you have wish. As UT learning center studied for developing self-confidence is necessary to accept yourself as you are, respect yourself, your abilities, your needs, focus on your strengths not on weaknesses, set realistic goals you can reach, develop good self-image and don’t blame others for your own mistakes, and don’t think others are perfect (Self-help brochure). Give yourself the credit for everything you do. Applaud yourself after every success, even if it’s little. Praise yourself for efforts rather than end products (Self-help brochure). Don’t miss a chance because of fear of losing. Important is experience, not winning or losing. Use every opportunity and be risk-lover (Self-help brochure). Use self-talk (not negative self-talk) and often remind yourself that you can’t do everything perfectly and get yourself as you are (Self-help brochure). Try to evaluate yourself independently and objectively, this will reduce your dependence on others attitudes about you. Focus on how you feel about your behavior, work and etc. this will develop your identity and will prevent you from giving your personal power away to others (Self-help brochure). Body language can make others think that you are confident even if you are not. Clasping the hand in front of the stomach, putting your hands behind your back, straight back, making your finger tips touch and walking with wide steps are all signs of self confidence. Clear tone of voice, well structured phrases, and assertive body language shows your high self-esteem (Radwan, 2006). Accept criticism with smile and try to analyze it with your cold mind (Radwan, 2006). Finally, when you are self-confident, you are happy, sure of yourself, highly motivated and have the right attitude to succeed. You feel independent; you don’t depend on others approval and can make decisions without a lot of hesitation. References Are You Singing the Low Self-Esteem Blues? Retrieved January 8, 2008, from http://bipolar. about. com/od/copingresources/a/lowselfesteem. htm Perera, K. (2007). What is Self-esteem? Retrieved January 7, 2008, from more-selfesteem. com/whatisselfesteem. htm Radwan, F. (2006). Poor Self-image and Poor body-image. The Ultimate Source for Self Understanding. Retrieved January 7, 2008, from 2knowmyself. com/self_body_image/poor_self_image

Tuesday, March 3, 2020

Circumlocution

Circumlocution Circumlocution Circumlocution By Maeve Maddox The noun locution comes from a Latin verb meaning â€Å"to speak.† As an English noun it means â€Å"a form of expression.† The prefix circum- is also from Latin and means â€Å"around.† Circumlocution, therefore, means â€Å"expressing oneself in a round about way.† Circumlocution has its uses. Alexander Pope uses it to comic effect in his mock epic, The Rape of the Lock, as when he refers to a little pair of scissors as â€Å"a two-edged weapon† and a â€Å"little engine.† Politicians, educators, and other people who want to manipulate our perceptions of reality find circumlocution an effective means of obscuring meaning or making something ordinary seem special or profound. For example, collateral damage ethnic cleansing economical with the truth mistakes were made text-to-text connections (comparison of two books) extended constructed response (essay) brief constructed response (paragraph) selected response (multiple choice) As can be seen from the examples, euphemism is a type of circumlocution, as are many clichà ©s. Euphemism: referring to something unpleasant by more pleasant words, for example, passed away for died. Clichà ©: a stereotyped or commonplace expression, for example, It was raining cats and dogs. Here are some examples of circumlocution from the web; italics mine: The Committee must afford an opportunity for public comment at each of its meetings. –Illinois General Assembly statutes. At this point in time, we do not have evidence of consumers postponing expenditure plans, which is something one would observe in a deflationary environment,† Draghi told a symposium organized by the Bundesbank. –European Central Bank President Mario Draghi. Why does the University have a requirement for health insurance as condition of enrollment? According to Brandimonte this was due to the fact that the subtraction task was easier The department may peremptorily suspend the driving privilege of the person until such time as the licensee shall have submitted to re-examination. The examples could be rewritten to avoid circumlocution: â€Å"The Committee must permit public comment† â€Å"At this time, we do not have evidence† â€Å"Why does the University require health insurance† â€Å"According to Brandimonte this was because† Here, with suggested translations, are some prepositional phrases that often contribute to circumlocution: in light of the fact (because) in reference to (about) with the exception of (except) in the event of (if) in a timely fashion (quickly) notwithstanding the fact that (although) on the grounds that (because) in view of the fact that (because) Circumlocution for stylistic effect can be useful to create a humorous effect or to create a pompous or deceitful fictional character. In writing intended to convey information in a straightforward manner, however, circumlocution is a major stylistic defect. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Style category, check our popular posts, or choose a related post below:Program vs. Programme25 Russian Words Used in English (and 25 More That Should Be)10 Terms for the Common People

Sunday, February 16, 2020

Essay on Ricardian trade Example | Topics and Well Written Essays - 500 words

On Ricardian trade - Essay Example On the same basis, England specializes in the production of cloth and imports wine according to the Ricardian model. The amount of wine produced from specialization in Portugal and the free movement of workers to the wine producing industry increases compared to an autarky situation. Cloth production by England also augments due to increased workers and specialization allowing for the fall in prices for both countries. This leads to an increase in the consumption ability of the people in both countries. Trade, therefore, can occur despite one country having absolute advantage in the production of both goods due to the presence of comparative advantage in the production of one good over another. Assumptions of the Ricardian Model include the assumption of perfect competition where there is perfect information, free entry and exit by firms, homogenous output among firms, firms cannot influence output and prices, and the aim of the firms are to maximize profits (Winthrop, 1344). The other assumptions are that there are two goods produced by two countries using one factor of production (labor) that is homogenous and freely moves between industries and that there is full employment. Other assumptions are general equilibrium, industry production of the goods and services, resource constraint and its immobility across countries, and lack of transportation costs for goods and services across countries (Winthrop, 1344). The structure of the Ricardian model is that a country that has comparative advantage in the production of a good specializes in the production of the good for domestic consumption and export while importing the good that it has comparative disadvantage in its production. The other country will specialize in the production of the second good for its domestic consumption and export the extra to the first country getting the supplies of the first good through imports. This results in benefit

Sunday, February 2, 2020

Effect of environmental regulations on trade Essay

Effect of environmental regulations on trade - Essay Example Held and McGrew (2002) review several definitions for globalization and emphasize that while all are accurate, few capture the complexity of the phenomenon and therefore, do not comprehensively define globalization. From their perspective, while it is virtually impossible to define globalization in a single sentence, it can best be described as an economic phenomenon whose primary motivation is the imposition of the capitalism and economic liberalization upon the global economy and, in brief, the globalization of capital.According to this definition, globalization is the removal of obstacles towards the movement of goods and services across national borders, such as import and export taxes, customs and tariffs, resulting in reduced state control over economies and markets.As may be inferred from the foregoing definition, globalization has facilitated the movement of capital goods across national borders, with little, if any, state intervention.Within the context of this understanding , globalization has expanded markets and, importantly, has provided producers, manufacturers and business entities both with access to foreign markets and the ability to compete with domestic goods on relatively equal terms.Even while emphasizing the validity of the aforementioned and stressing that trade liberalization has, to a very large extent, achieved all of the stated, it is important to concede to the fact that environmental regulations have countered the trend towards the free movement of goods and services across national boundaries. ... 2 Effect of Environmental Regulations on Trade As may have been deduced from the introduction, environmental regulations affect international trade volumes and patterns. The extent to which it may do so will be examined in this section. 2.1 Trade Volumes Several studies have upheld the argument that environmental regulations have the potential to function as obstacles to the movement of capital goods and services across national boundaries and, in so doing, afford domestic producers an advantage over foreign ones. These same studies have also found that countries which have comparatively lax environmental regulations have a comparative advantage over those which have more stringent regulations, insofar as attracting foreign direct investment is concerned (McCormick, 2001; Anweiler, Copeland and Taylor, 2002). On the basis of empirical evidence, however, Anweiler, Copeland and Taylor (2002) find that the aforementioned comparative advantage is not sustainable. For example, Mexico's lax environmental regulations may have afforded it a comparative advantage where US foreign direct investment is concerned but it has hardly contributed to the growth of Mexican international trade and exports since operative environmental regulations in ot her countries act as an obstacle to the entry of Mexican exports. Similarly, the comparatively low standards of domestic environmental regulations in the United States have adversely impacted US international trade volumes (McCormick, 2001). Indeed, in his study of US international trade from 1958-1994, McCormick (2001) found that environmental regulations functioned as a serious obstacles to US exports and trade, especially to Europe and

Saturday, January 25, 2020

Person-centred Care Essay

Person-centred Care Essay Introduction: Reflective essay on person centred care Modern day Healthcare has increasingly embraced concepts of client-centred practice and empowerment. However, Taylor (2003) posits that existing literature on the subject does not give clear and unambiguous descriptions of the ways by which nurses can empower clients. Nonetheless, nursing practice is inclusive of people from very different backgrounds. In my ward for example, a high proportion of the nurses did not get their initial qualifications and experience in the UK, and my mentor too did not start of as a nurse from the UK. As a result of this, in the absence of well defined guidance for patient empowerment as a practice concept (by regulatory authorities), nurses and other healthcare practitioners will always encounter difficulties in the performance of their duties in recognition of patient empowerment as a concept. The way patient care is manifest in hospitals has evolved over time and now centres around collaborative working with different teams coming together to ensure that client care and outcomes are improved (Hansson et al 2008), (Hewison and Stanton 2003). Working in this way requires that the patient is an inclusive and active partner in his care planning and care delivery. This new way of working has also been emphasised by the government introducing the agenda for patient-centred care and patient empowerment. The Department of Health stipulates that the NHS needs to empower patients more and give them control over their healthcare (DoH 2008) and the World Health Organisation (WHO) also requires that patients are always consulted before any procedure is carried out on them (WHO website). The whole concept of empowering patients may not be new to healthcare practitioners because some healthcare practitioners are known to have spoken about making efforts to carry the clients along in the process of their care delivery (Stewart et al. 2002), but Paterson (2001) claims that some healthcare professionals have also been known to use subtle and covert ways to avoid fully implementing the patient empowerment requirement even at the risk of going against regulation to empower patients. Empowerment has been (in essence) practitioner defined to suit the practitioners. As an example, at the MDT meetings I attended, the patients views were not adequately promoted, and considering the requirements of the patient empowerment agenda, the patient is supposed be in charge of his healthcare. I raised this with my mentor and the ward manager, and recommended that the patient be consulted before, and updated after every meeting that has to do with his care delivery. Acknowledging client empowerment as a way forward and in emphasising the need for this modern way of working, the Prime Minister in a key message in January 2008 said that patients are to be treated as active partners in their care. Brown et al (2006) consider that for care to be client-centred, care delivery must be focused on the client and empower and engage the client to his/her full potential as a partner in his/her care delivery. Whereas the client-centred concept requires that what is best for the patient is done, patient empowerment requires providing clients with adequate information and the knowledge required to make informed decisions and take control of their lives (Kielhofner 2002). The issue of patient empowerment raises an issue about empowering intellectually disabled persons who cannot make suc h decisions on their own. If an adult with intellectual disability does not have complete ability to communicate, their choices can be diminished which in turn can make it particularly difficult to ensure that their opinions are heard (Cameron and Murphy 2002); and even in instances where a nurse is designated the health facilitator for the client, there is no guidance as to how much decision making can be undertaken on his behalf (Martin and Carey 2009). These further complicate issues in nursing management for a qualified nurse and will call on good managerial skills. Modern healthcare practice environment is a highly regulated one with stringent requirements of the healthcare practitioners. The continued drive for improvement in both healthcare delivery service and the patients experience and quality of life (DoH 2005) have led to the promotion of improved integration between healthcare disciplines and agencies, and regulatory requirements to promote the concept of patient empowe rment (DoH 2008), (Corsello and Tinkelman 2008), (Glasby and Parker 2008). Empowerment is a natural phenomenon and is essential to humans. Patient empowerment may be resisted by nurses because of existing nurse-patient relationships (Nyatanga and Dann 2002) and so a deliberate cultural shift needs to be pursued to inculcate nurses with the shift in paradigm. To achieve, the nurse will need additional training, and the clients ought to be carried along in drawing up treatment plans. The more the client is involved in the treatment planning, the more the client appreciates his/her part in the patient empowerment agenda, and the more the satisfaction with the care delivery service. I have used simple courtesies like saying thank you to the client, and realised it brightens their day very much and also makes them much happier and willing to discuss their feelings and opinions with me. The convergence of management and nursing has evolved over the past few decades and management is often cited as the reason for failings, and also as the likely solution (Pollitt 1993) to many of the problems in the NHS. Management was first f ormally defined by Henry Fayol (1949) as the composite function of planning, organizing, coordinating, commanding and controlling activities or events. More recent definitions in management theory look at management from the perspective of empowerment, total quality management, organizational culture etc. (Hewison and Stanton 2003). Leadership and management skills in nursing overlap to a very large extent but whereas leadership skills are needed in the more personal aspects like mentoring and motivation, management skills are needed to meet organizational targets and the management of available resources. Summary With the problems associated with recruitment and retention of nurses in the health sector, and the attendant high turnover of nurses came an additional expectation of nurse-managers to help reverse the trend (even though several of the pioneering nurse-managers had not had formal managerial training) (Contino 2004). Contino (2004) described the managerial skills required of a good nurse manager to include change management, communicating plans, managing the flow of information, managing nursing ROTAs and managing finances (income and expenses). Courtney et al (2002) rate financial management knowledge as one of the top requirements for a nurse manager in order to understand financial forecasts, financial plans, financial ratios and financial performance ratios. A nurse manager needs to be very conversant with current practices and concepts. A good understanding of service improvement and knowledge (and use) of the available developmental resources for nurse improvement like the Lead ership at Point of Care programme (Janes and Mullan 2007) are essential for successful nurse-management. Carney (2009) reported that clients were more likely to be dissatisfied whenever they felt the nurse leader was incompetent. The Nursing and Midwifery Council (NMC) requires that the nurse is conversant with and aware of current developments in practice by way of continued professional development after qualifying as a trained nurse. To manage a team well, a nurse will need very good communication skills in addition to the authority to take decisions within the boundaries of his/her responsibility (Cross and Prusak 2002), (Carroll 2005) as and when necessary. A nurse manager should be a good team-player and able to multi-task (Jaynelle and Stichler 2006) and possess very good communication skills that go beyond language and/or grammar, to listening, being assertive and ensuring that the nurses decisions are enforced especially when the nurse speaks on behalf of a client (or helps to amplify the clients voice) (Harris 2003). The nurse manager should ensure that adequate communication links are established between the client and the MDT so that client views are always considered. The nurse manager should patiently try to clearly understand the patient (Lynden 2006) so as to be able to ensure clients views are accommodated in clients care delivery. In situations of acute ailments, clients can present with intellectual disability or a moderated ability to communicate verbally which can make it difficult to understand their opinions or wishes (Cameron and Murphy 2002) for their care process. To be a leader, todays nurse will need to be able to command the respect of other team members. To achieve acceptability nurse managers need to be people with high integrity and people management/motivation skills and be able to work in a collaborative setting (Carroll 2005). Integrity in this perspective is synonymous with honesty (Kouzes and Posner 2002) and several studies have highlighted the importance of honesty fo r nurse management or leadership because people (clients and nurses alike) will want to assure themselves that their leader is worthy of their trust (Kouzes and Posner 2003). During my placements in an adult care unit of a major hospital, from observation and interaction with patients and healthcare staff, my attention was drawn to a plight of some of the patients in my care: I realised that some of the patients were not being allowed to determine the course of their treatment as required by the patient empowerment agenda (DoH 2008) and this was more especial in patients with acute ailments. There was a lack of full management implementation of the Patient empowerment agenda, with particular emphasis on the relevance given to the patients choice (or voice) in the patients care delivery. The quality of care delivery is assessed by its ability to improve patient care through the collaborative team work of healthcare professionals and how patient-focused the care delivery is. For the purposes of this work, I shall refer to a renal patient in my care during my placement as Mr. B (not real name). All references to him or a hospital do not identify either. When Mr. B was †¦ and was refusing to be compliant, I approached him and had a talk with him. I discovered that his lack of compliance was in protest of the fact that he was not aware he was being put on †¦ reinforcing the position of Corsello and Tinkelman (2008) that clients will respond better to care that encourages their participation and is considerate of their specific needs. To ensure that this did not happ en again, I brought the patients complaint to the attention of my mentor and ensured that the multi-disciplinary team was made aware by adequately documenting my findings and observations. I regularly sought advice and guidance from my mentor because mentoring and role-modeling are active ways of knowledge transfer in large organizations (Carney 2009) and improves the care delivery service. Service improvement remains a core requirement for the Knowledge and Skills Framework for a registered nurse (DoH 2004) and requires an all-party embracing culture of seeking continuous improvement (Janes and Mullan 2007) where honest and periodic performance appraisals are evident. Service improvement in the NHS has been an issue of high importance and has necessitated the establishment of groups that are charged with charting out improvements within the NHS like the NHS Improvement (NHS Improvement Programme 2008). Practicing nurses are encouraged to keep abreast with developments from such groups. A new service improvement concept of patient-safety is gaining popularity in healthcare although regulatory definition is not yet specific (Feng et al 2008). Flin and Yule (2003) claim patients can be injured through the actions of healthcare staff, and Feng et al (2008) insist that a blame and shame culture inhibits learning from mistakes and can exacerbate incidences of mistakes. To this end (in the UK) an Expert group was established that recommended that the culture around error reporting shifted towards finding the cause of the error rather than the culprit (DoH 2000). Nurses are often under pressure from shortage of nursing staff, and a change in the nursing environment can improve patient safety and outcomes (Lin and Liang 2007). During my placements, I observed that Mr. B was often in bed for prolonged periods between nursing visits. I appraised the risk of the situation and ranked his needs by priority. He looked like he was beginning to get sore from immobility, so I delegated his need for exercise to the physiotherapist in the MDT, and having assessed the competency level of the HCA on the ward, I delegated the tasks of keeping Mr. Bs environment clean and regularly turning him to air his back to the HCA. The HCA had been previously supervised for this task and had been assessed as competent to perform it satisfactorily. Conclusion To achieve the required improvements which accompany patient empowerment that the NHS strives for, there must be a change from the current culture where the nurse sees the client as a patient (Nyatanga and Dann 2002) towards seeing clients as part and parcel of the decision making in their care delivery. Quality will be improved when patient empowerment/voice in patient care is active, client engagement is on a regular basis, and nurses are more patient in hearing patients out and in attending to patient calls. Patient safety issues including the security of the patient, proper risk assessment, maintaining cleanliness of his environment and regular visits should be the norm

Friday, January 17, 2020

Merits and Demerits of Police Identification

?Discuss any four types of police identification parade emphasizing on their respective merits and short comings. Police identification parade can be referred to as a situation whereby suspects believed to have committed a crime are presented or lined-up for witnesses to identify if indeed the one or group of persons who committed the crime is amongst the line-up. This method is used inorder to help the police confirm if indeed suspect did commit the crime. There are several ways in which police identification parades can be conducted.Depending on the type of situation and resources available for use; be it human or technological will most preferably assist the police on what methods to put in (type of identification parade). When police forces are carrying out their functions, they also have a duty to have regard to the need to eliminate unlawful discrimination, harassment and victimisation and to take steps to foster good relations. The main focus of my study is to address only fou r of these identification parades and analyze into detail their main objectives and discuss their merits and where they fall short.Some of the identification parades we know of may weigh in different levels with regards to effectiveness. Others are judged to be more effective whiles some others are least effective. In this code, identification by an eye-witness arises when a witness who has seen the offender committing the crime and is given an opportunity to identify a person suspected of involvement in the offence in a video identification or similar procedure. From a legal point of view the question that an identification parade attempts to answer is whether the suspect is in fact the culprit.First of all, I would like to discuss about the ‘video identification’. With this method, suspects are kept in a confined area or room under a surveillance camera. A ‘video identification’ is when the witness is shown moving images of a known suspect, together with similar images of others who resemble the suspect. Sometimes in absence of the videos photographs of assumed suspects are shown to the witness to help identify the culprit. Even though it is sometimes useful, it is not the best since it shows still-life images which shows only one sided angle on the view of things and thereby makes it difficult for identification.The video is more advantageous in suspect identification because since there are moving images and gives different angles on the view of things. Examples are; the different kinds of expressions and mood swings exhibited by, the witness can easily identify the suspect if indeed he o she is part. These eye-witness identification procedures are designed to test an eye witness’ ability to identify suspects and to provide safeguards against mistaken identity. Secondly, the identification parade that will be considered here is the ‘line-up’.With this procedure, suspects are arranged or lined up for witnesses t o view and see which of them are or is the culprit. Here, the police officer in charge instructs the suspects to turn to whichever direction the witness asks. The witness is therefore asked to point out to the real culprit(s) who indeed committed the crime. Since this is an open parade, things could get complicated and physical in the sense that, if the witness pin points the suspect, and tempers are not calm, the suspect might step forward and harass the witness physically.In some cases, witnesses might be forced to give false data when they stare directly into faces of the suspects. Some suspects make facial expressions which are very threatening to witnesses and therefore conclude that the witness is not part of the parade for fear for their life. In other cases too, the witness might point to the wrong person who also has an appearance like that of a criminal (shabbily dressed, muscular, bony face, black lips) . Also depending on the type of question the witness is asked, he or she might give false information.Example: if the police asks; â€Å"which of them attacked you or committed the offence? † the witness is implied to just chose a suspect even if, the real culprit is not among the parade. Such questions are imperatives which do not really ask a direct question but instead expects you to comply or conform. Apart from this method shortcoming, there is no doubt that it’s sometimes reliable. Thirdly, identifications can be carried out by using a one-way mirror which is a better procedure as compared to that of the open line-ups.With this method, suspects are lined up in a room which is much secured with glass windows from which the witness can have a clear view of all the suspects present. The windows here are made of glass which are tinted, so suspects do not see whatever that goes on outside but the witness who is outside the room sees all that goes on inside. Identification of culprit(s) becomes difficult for the witness if suspects are dressed in almost the same way and there is the chance that, there exist some similarities between any of the suspects, especially when the culprit is involved.Also not all eye witness’ have very good memeory when it comes to facial recognition. Furthermore, there is the sort of identification which has to do with verbal recognition. Here, different set of audio recordings of different suspects are selected and then played for the witness to identify the culprit. This method is only used in critical situations where the witness did not see the suspect but heard the person speak. This could be difficult for the witness to identify especially when the tapes been played are similar.Sometimes too, the suspect is kept in a confined room with a recording device and is asked by the police to mention specific words suggested by the witness. These words are sometimes the ones the witness heard the suspect say at the time of the incident. In conclusion to the above procedures, the poli ce force can put in severe measures that could enhance or yield positive and effective results to make their work much easier and simpler. There are also instances whereby two or more procedures of identification are incorporated into one to help solve cases which are very delicate and special.

Thursday, January 9, 2020

Beethovens Seventh Symphony Analysis - 2490 Words

Symphony No. 7 in A Major (Op. 92), completed in 1812, might have been one of Ludwig Van Beethoven’s most popular pieces. The seventh of Beethoven’s nine symphonies, its premiere concert (December 1813 in Vienna) was performed at a charity concert in order to benefit the soldiers who had been wounded a few months prior in the battle of Hanau. It was performed three times in ten weeks following its premiere. During the time of the symphony’s premiere, Vienna was still distressed due to being taken over by Napoleon in 1805 and 1809 and yearning for victory; the audience at the premiere seemed to have loved the energy and beauty of the piece. The Seventh Symphony had been dedicated to both Count Moritz von Fries and Russian Empress Elisabeth†¦show more content†¦The Seventh Symphony itself can and has been described in many words and fashions. It’s victorious, moving, energetic, powerful, and full of heart. The piece is known for its rhythmic devices (such as dotted rhythm and repeated rhythmic figures) and the celebratory emotion to it, in which makes listeners want to dance and burst into blissful joy. It involves four movements: 1. Poco sostenuto – Vivace, 2. Allegretto, 3. Presto – Assai meno presto (trio), and 4. Finale, Allegro con brio. The score includes two flutes, two oboes, two clarinets, two bassoons, two horns, two trumpets, two drums (in which are tuned to A and E, except in the scherzo where they are in F and A), and basses. The first movement is in A major, with repeated modulations between C major and F major. The second movement also includes modulations (originally in A minor with switches to A major) and the third movement is in F major. The first movement of Symphony No. 7 is noted for its long ascending scales as well as its applied dominants relative to its C major and F major modulations. The Introduction begins with a short A chord from the full orchestra. After eight bars, the piece has b riefly entered the key of F major already and is now accompanied by scales of two octaves which begin softly, similar to the way a person creeps up and down a staircase. These scales repeat, gradually becoming louder and more extravagant. The third themeShow MoreRelatedEssay Plan. Essay Topic: Beethoven’S Symphony No.6 Is A1829 Words   |  8 PagesEssay plan Essay topic: Beethoven’s Symphony No.6 is a turning point in music history Introduction: - What is turning point in music history? Turning point is defined as â€Å"a point at which a notable or decisive change takes place; critical point;† , and it â€Å"represents a lasting shift in the zeitgeist or ‘spirit of the age.’† As an important part of Art, music has a crucial role on representing the human spirit of the age. When a turning point in music history occurs, it implies a change in humanRead MoreThe Impact Of Beethoven On The Development Of The Symphony Until Mahler3555 Words   |  15 Pagesthe development of the symphony until Mahler. Difficult as it may be to define the true relationship of an artist to his successors, this difficulty is enormously increased when the subject is as complex a man and musician as Beethoven. His role as both a â€Å"preserver of the eighteenth-century tradition1 and a pioneer of romantic self-expression, has secured his status as one of the most revered composers in the history of Western music. Throughout his symphonic cycle, Beethoven’s own journey of self-discoveryRead MoreAnalysis Of Adornos Critical Attack On Popular Music1686 Words   |  7 Pagespseudo-individualisation and regressive listening in terms of escapism. Standardisation will be evaluated in structural terms, and critiqued by Middleton (1990) and Witkin (2003). Adorno’s critique of popular music can only be understood in relation to his analysis of serious music, therefore, the essay will focus on both types of music. Adorno’s criticisms of popular music and critics of this criticism, will ena ble for a conclusion to be drawn on whether or not I agree with Adorno’s claims on popular music

Wednesday, January 1, 2020

What is the Fallacy of Composition

The Fallacy of Composition involves taking attributes of part of an object or class and applying them to the entire object or class. It is similar to the Fallacy of Division but works in reverse. The argument being made is that because every part has some characteristic, then the whole must necessarily also have that characteristic. This is a fallacy because not everything that is true about every part of an object is necessarily true of the whole, much less about the entire class that the object is part of. This is the general form that the Fallacy of Composition takes: 1. All parts (or members) of X have the property P. Thus, X itself has the property P. Explanation and Discussion of the Fallacy of Composition Here are some obvious examples of the Fallacy of Composition: 2. Because the atoms of a penny are not visible to the naked eye, then the penny itself must also not be visible to the naked eye.3. Because all of the components of this car are light and easy to carry, then the car itself must also be light and easy to carry. It is not the case that what is true of the parts cant also be true of the whole. It is possible to make arguments similar to the above which are not fallacious and which have conclusions which follow validly from the premises. Here are some examples: 4. Because the atoms of a penny have mass, then the penny itself must have mass.5. Because all of the components of this car are entirely white, then the car itself must also be entirely white. So why do these arguments work - what is the difference between them and the previous two? Because the Fallacy of Composition is an informal fallacy, you have to look at the content rather than the structure of the argument. When you examine the content, you will find something special about the characteristics being applied. A characteristic can be transferred from the parts to the whole when the existence of that characteristic in the parts is what will cause it to be true of the whole. In #4, the penny itself has mass because the constituent atoms have mass. In #5 the car itself is entirely white because the parts are entirely white. This is an unstated premise in the argument and depends upon our prior knowledge about the world. We know, for example, that while car parts might be lightweight, getting a whole lot together will likely create something that weighs a lot - and weighs too much to carry easily. A car cannot be made light and easy to carry just by having parts which are, individually, themselves light and easy to carry. Similarly, a penny cannot be made invisible just because its atoms are not visible to us. When someone offers an argument like the above, and you are skeptical that it is valid, you need to look very closely at the content of both the premises and the conclusion. You may need to ask that the person demonstrates the necessary connection between an attribute being true of the parts and it also ​being true of the whole. Here are some examples that are a little less obvious than the first two above, but which are just as fallacious: 6. Because each member of this baseball team is the best in the league for their position, then the team itself must also be the best in the league.7. Because cars create less pollution than buses, cars must be less of a pollution problem than buses.8. With a laissez-faire capitalist economic system, each member of society must act in a way that will maximize his or her own economic interests. Thus, society as a whole will achieve the maximum economic advantages. These examples help demonstrate the distinction between formal and informal fallacies. The error isnt recognizable simply by looking at the structure of the arguments being made. Instead, you have to look at the content of the claims. When you do that, you can see that the premises are insufficient to demonstrate the truth of the conclusions. One important thing to note is that the Fallacy of Composition is similar to but distinct from the fallacy of Hasty Generalization. This latter fallacy involves assuming that something is true of an entire class due to an atypical or small sample size. This is different from making such an assumption based on an attribute which is indeed shared by all parts or members. Religion and the Fallacy of Composition Atheists debating science and religion will frequently encounter variations on this fallacy: 9. Because everything in the universe is caused, then the universe itself must also be caused.10. ...it makes more sense that there is an eternal God who always existed than to suppose the universe itself has always existed, because nothing in the universe is eternal. Since no part of it lasts forever, then it is only reasonable that all its parts put together were not there forever either. Even famous philosophers have committed the Fallacy of Composition. Here is an example from Aristotles Nicomachean Ethics: 11. Is he [man] born without a function? Or as eye, hand, foot, and in general each of the parts evidently has a function, may one lay it down that man similarly has a function apart from all these? Here it is argued that, just because the parts (organs) of a person have a higher function, that, therefore, the whole (a person) also has some higher function. But people and their organs are not analogous like that. For example, part of what defines an animals organ is the function it serves - must the whole organism also be defined that way as well? Even if we assume for a moment that it is true that humans do have some higher function, it is not at all clear that functionality is the same as the functionality of their individual organs. Because of this, the term function would be used in multiple ways in the same argument, resulting in the Fallacy of Equivocation.