Monday, September 30, 2019

Proposal for Handicraft

PROPOSAL OF MODERN AND CLASSIC HANDICRAFT 1. 0 INTRODUCTION * This product is owned by MODERN AND CLASSIC HANDICRAFT SDN BHD. This company is located Bandar Hilir, Melaka. Handicraft is a product made by human’s hands without using any machinery or equipment. Generally handicraft means art or skills of hands are not usually dined with machines but rather with hand tools. The price that we offer is very affordable to our customer. 2. 0 PRODUCT DESCRIPTION 3. 1 This company’s product is handicraft basket newspaper. It is made from recycling of paper such as old newspaper. 3. Our company has many competitors of handicraft such as a cane handicrafts, wood handicrafts, bamboo handicrafts, and shell handicrafts. Their design and collection very impressive and modern in the global design trend. Plus, they all have a great and cute design and have a lot of experience and ideas in the creation of handicraft. 3. 3 Our product features is made from newspaper. The creation are beau tiful and very high artistic. It does also promote recycling, have a light weight and easy to carry anywhere, durable, strong, very suitable in place in any room in the house and of course comes with cheap price. . 4 Our special features of product newspapers additional accessories such as ribbons to make a decoration into our product. It is to attract the people to buy our product because it is different from other products. 3. 5 Our product must be in the market because it is a very different product that other. An important that comes from this product is, it is made by hand. Moreover, it did not use any machine that harms an environment. Our product is also a terms combination in modern and classic handicraft.Another thing is, our main aim for this product to be on the market is, to avoid more pollution happen in our environment. Overall, this product is comes from the newspaper and 100% handmade product. It is value for the customers and the quality of the product is guaranteed . In this product, the customer also can find another design instead the small one and the big one. Example, the basket and dustbin. 3. 6 Our product is suitable for the bride, house wife, traditional and handicraft collector, and also some restaurant owner.This target of customers will likely to buy this product for specific purpose. For example the restaurant owner will buy our product for unique decoration of the table to place tissues. Same also goes to house wife. 3. 0 The objectives of our company are: 4. 7 To introduce to the people the uniqueness of our product that is comes from the newspaper. * The main option to produce this handicraft is to reduce the pollution and show benefit of that comes from recycles work. It is also will show the uniqueness about product that made by hands and uses the newspaper as the main item.We did not use any machines, so it will reduce many cost and can save the budget to produce our product. 4. 8 To share an interest from the shareholders of making a product that can build a good environment. * Our shareholders want to have a good environment in order to produce any product. We decide to bring our company name as a company that have a safe environment in workplace, also bring the interest of the shareholder. It can be proven by there’s no pollution like the factories of making any handicraft product.In terms to get any profit, we also remain the importance that we have care about our environment 4. 9 To market a various shape of handicraft product. * Our product is comes with various shape that will catch the interest of the consumer. Another important objective that we hold in this company is to bring a large marketing of our product. Instead people want to using a product to store a things from a plastic product, we want to make a new marketing about to store a product that comes from recycle things, and to give an awareness to the consumer about reduction of pollution. * 4. SIGNIFICANCE OF OUR COMPANY: 5. 10 To get the profit from a good product that we have made It is a valuable works that comes from a hand. Thus, it is important for the company to get the real profit from the product, so the worker in the company will feel the value that comes from the product. Instead, this is new innovation that the company wants to bring to the consumer. By only using a newspaper, there’s many benefit that everyone can share. 5. 11 To ensure that customers are satisfied with the our design Our target are to give our customer believe and satisfy with our design and collection.Although, we want them feel happy and should collect or buy our product again. It is because we will get satisfication our design with affordable price. 5. 12 To protect the environment Newspapers could be used to protect the environment and prevent pollution. Our product can also save money by recycling newspapers. Nowadays, there’s so many production of the products. People just want to get the profit, but didnà ¢â‚¬â„¢t think the effects that it will brings to environment. By this product, it will show the important on how the way effective of protect the environment.

Sunday, September 29, 2019

Describing Friend’s Character

I have a friend, his name is Dima. I know him about five years. He amazed me by his intelligence and brainy. He knows the answer on any question. Even if he doesn’t know the correct answer, he’ll find the way to explain it. I appreciate his optimism and indifference at the same time. When something bad has happened, he is always determined. He says that next time he would be more sense and had learned a lot from that situation. And next day he behaves as if nothing has happened. Moreover he looks indifferently at some situations that help him not to work up.Dima has got a unique humor; I can’t stop smiling when he begins joking. He is unconventional. He looks differently at the world. I can’t even imagine what is going on in his head. Also Dima is broad-minded, he is keen on travelling. He visits different places four times a year, moreover he adore snowboarding, that’s why the main part of his trips includes mountains. Dima is easy-going, he can ea sily find common ground. Nevertheless each person has negative sides of his character. Sometimes Dima is brusque and impolite. His straightforwardness spurns people.If he doesn’t gain person, he will deal shortly with him. I don’t think that it’s bad behavior, but sometimes it goes over the line. However he is frank and open-hearted. He enjoys having heart-to-heart talk with family and friends. In spite of his imperturbability he is vulnerable deep in his mind. But he won’t show it, because he thinks that it points out man’s weakness. In conclusion I would like to add that I’m proud that I have such friend. Dima is goal-seeking and ambitious. He knows what he wants and secures his object in any case.

Saturday, September 28, 2019

EWaste Essay Example | Topics and Well Written Essays - 750 words

EWaste - Essay Example Many of these products can be reused, refurbished, or recycled in an environmentally sound manner so that they are less harmful to the ecosystem. These days computer has become most common and widely used gadget in all kinds of activities ranging from schools, residences, offices to manufacturing industries. E-toxic components in computers could be summarized as circuit boards containing heavy metals like lead & cadmium; batteries containing cadmium; cathode ray tubes with lead oxide & barium; brominated flame retardants used on printed circuit boards, cables and plastic casing; poly vinyl chloride (PVC) coated copper cables and plastic computer casings that release highly toxic dioxins & furans when burnt to recover valuable metals; mercury switches; mercury in flat screens; poly chlorinated biphenyl's (PCB's) present in older capacitors; transformers; etc. Basel Action Network (BAN) estimates that the 500 million computers in the world contain 2.87 billion kgs of plastics, 716.7 million kgs of lead and 286,700 kgs of mercury. The average 14-inch monitor uses a tube that contains an estimated 2.5 to 4 kgs of lead. The lead c an seep into the ground water from landfills thereby contaminating it. If the tube is crushed and burned, it emits toxic fumes into the air. With the increase in use of computers and other electronic products, the problem of how to dispose the used computers and other electronic good... urning, disposal of e-waste without regard to proper environmental procedures all play a role in making the dumping of e-waste and its disposal a priority issue. It is estimated that 75% of electronic items are stored due to uncertainty of how to manage it. These electronic junks lie unattended in houses, offices, warehouses etc. and normally mixed with household wastes, which are finally disposed off at landfills. This necessitates implementable management measures. In industries management of e-waste should begin at the point of generation. This can be done by waste minimization techniques and by sustainable product design. Waste minimization in industries involves adopting: inventory management, production-process modification, volume reduction, recovery and reuse. The solutions suggested for solving the issue of e-waste range from reducing the toxic substances in the components prior to manufacture, recycling of the used electronic products, dumping of the e-waste in selected and notified areas, burning the e-waste products in designated incinerators that comply with environmental standards. Of course, the most common solution for e-waste management in the developed world is to ship the used computers and other electronic goods to developing countries like China and India where they are either used again or sold as scrap or in most cases, incinerated and the residual metal extracted from them. We will take a look at each of these solutions and the environmental policies in the developed world that contribute to as well as solve the problem of e-waste. The most common solution to tackle the issue of e-waste is to recycle it. However, not all products can be recycled owing to different market conditions that exist for these products. Though recycling has been

Friday, September 27, 2019

Strategic and Planning Management (Bachelor of Business) Essay

Strategic and Planning Management (Bachelor of Business) - Essay Example For new businesses, theorists have proposed various strategic business models. These models include analytical models and models for promoting an organizational system. It depends on the mission, nature, and goals of organizations that which of the models are effective and can be best applied. The models that are discussed frequently in the literature are SWOT and PESTLE, which are used for the business environment analysis (Kachru, 2009). Similarly, the literature also highlights extrinsic analytical models such as Porter’s Five Forces model, which identifies the competition, challenges, regulations and patterns of the new market. Keeping all such models in consideration, this study is going to develop an organizational business plan (Kachru, 2009). The models projected are to be applied in the business perspective to bring effective results for organization and its core services. The theme of the organization is a hotel providing hospitality, tourism, and food services. This is to construct a bridge a relationship between marketing principles, models, and effective organizational plan and system. According to the business literature, when a new business intends to emerge it starts off with deep, critical and intensive planning. Planning is vibrantly important whether it is strategic planning or corporate business planning they are important for a new business (Verardo, 1997). According to David Bangs, business plans have a significant relationship with the starting up of the business (Bangs, 2002). Plans affect starting decisions and decisions bring actions which eventually give foundation to the new business. The same implies to a new hotel business if it wants to get started it has to start with decisive planning stage (Dubrin, 2008, p. 122). As per the theorists’ perspective the starting planning phase is all

Thursday, September 26, 2019

Visual analysis of biopic film 'Citizen Kane' and its underlying Essay

Visual analysis of biopic film 'Citizen Kane' and its underlying feature - Essay Example The film received nine Oscar nominations, but won only one for Best Original Screenplay (Citizen, 1997). The pessimistic theme of the spiritually failed man is illustrated from various unreliable points of view or perspectives, of different characters. This at times provides a contradictory and non-sequential portrait. The film illustrates the tragic story of a rags-to-riches child who was lucky to inherit a fortune. The child was taken by a wealthy banker, from his father, mother and humble surroundings. He was raised by the banker, and he eventually became a very wealthy, energetic and arrogant newspaperman. He built his reputation as a generous champion of the poor and the underprivileged in the society. This is because he had his mind focused on a political career (Jonathan, 2007). However, his political aspirations shuttered following the revelation of an improper love affair with a professional singer. The life of Kane was self-destructed due to the desire of fulfilling the ultimate American dream of power, success, wealth, fame, and immortality. Following his two failed marriages, he turned into a tyrannical monster. He spent his final days alone and unhappy (Christey, 2004). He met his death in a refuge of his desire, a magnificent castle filled with treasured possessions to make up for the emptiness in his life. The film created controversy before it was shown on May 1, 1941 in New York City. This is because it was believed to caricaturize and fictionalizes unique events and persons related to William Randolph Hearst (Higham, 1985). Hearst was a very powerful and influential publisher and newspaper magnate during that time. The controversy as a result of the film also entailed ruthless suppression during early 1941, due to FBI investigations, newspaper smears, intimidation, discrediting, and blackmail. The film faced accusations of

Wednesday, September 25, 2019

Book report Essay Example | Topics and Well Written Essays - 1000 words - 1

Book report - Essay Example He has written a beautiful and thought provoking account on the social history that many people would not have known. Throughout the book, Osofsky uses his great appealing writing to attract the reader till the end. With an attractive way of revealing details, he highlights the change of Harlem from being the largest segregated neighborhood in the nation to a slum. He had never been to Harlem or talked to the people there, but the way he wrote about it would tell you much more about the way he has used his mind. There have been many books previously written around the same topic but in most of these books the authors have only tried to look for the history of Negroes from the surface. The growth and development of the Negro communities have not been a very important issue since the civil war. Many people want to study about the Negro life but the material that is available is scanty. There are newspapers and various kinds of documents available through which one can go back to the 20 th century. The Negro life in the cities can also be generalized through interviews with elderly people who have seen and experienced how the Negroes have settled their tough lives in the areas. There are a few authors who have researched and talked about the Negro history in their books and Osofsky has written one of the finest books. He has shown a series of events that took place since the Negro Resolution in the 1960’s and how the creation of a Harlem ghetto took place. Since Osofsky has written an account of all the events and details revealed in the series of events, he has made a detailed research about all the history that he could reach up to. The book is well documented about the afro-American migration in the early 20th century. Every new day bought a new turn in the making of the ghetto and Osofsky has managed to analyze every detail in a colorful and informative manner. This book would take you back in the 20th century and bring to you the history that was unreve aled yet eye opening. It shows the period of the black migration and settlement in Harlem exclusively. Gilbert Osofsky has written this book in three parts to make it much clearer and planned out. In the first part, he starts his book with an introduction to the Harlem settlement. Osofsky clearly gives a picture of how Harlem was before this migration. Harlem was a rich neighborhood with no blacks. Instead there were more of Jews and Italians who used to live in that community back in the 1800’s and early nineteenth century. It shows an analysis of the social, economic and political conditions of a community which was known to be one of the finest neighborhoods in the nation. The creation did not greatly bring a change in the economic condition Harlem was in, but it was a change prominent enough to be seen than what it was to what it is now. Harlem was a wealthy area where ministers and rich people used to live in their mansions. He brings out the history of Harlem before the 20th century and then talks about the events through which this migration of the blacks took place. With his brilliant mind and analysis he reaches out the message to the people and convinces them that the social, economic and political factors were the major reasons why Harlem became a slum. These factors were also greatly the causes behind Harlem’s development equally. The real estate guesswork is what made the upper reaches of Manhattan more accessible for the black migrati

Tuesday, September 24, 2019

Global political economy Essay Example | Topics and Well Written Essays - 2000 words

Global political economy - Essay Example and definition that real free trade is both beneficial and possible. Question one According to Aristotle democracy is usually not the best form governance. This is also true for oligarchy and the monarchy rule. The rule in democracy is for and by the people who are named in the government type. Aristotle’s main litmus test for styles of governance can be defined as whether or not he viewed them as ultimately virtuous or non-virtuous. According to Aristotle (5) asserts that the decision-making process that takes place within a true democracy as ultimately non-virtuous. This is due to the fact that Aristotle previously defined virtue as a trait that is less common than non-virtue. Therefore, by very definition, rule by majority would be much more likely to display non-virtue than virtue. According to Aristotle, the reason that democracy is unable to present a high level of virtue among the citizenry of a given region/nation is due to the fact that democracy is ultimately based o n a flimsy and misunderstood representation of the word freedom. Aristotle (7) reported that, â€Å"democracies define freedom badly... Everyone lives as he wants and toward whatever end he happens to crave†. What this ultimately represents is its schizoid system in which a litany of human wants, needs, and desires are all represented under the umbrella term of democracy; therefore somewhat whitewashing the term to appear to represent the desires and needs of a broad number of people. However, due to the fact that these individuals must be grouped by their handlers in order to speak to a specific range of needs, democracy rarely represents the needs of the people, masses, or the society at large. According to Aristotle a democracy is the rule of the majority and rule of the poor. When making a decision on the non-virtous and the virtous. Aristotle views that the rule of the majority in practise it is non-virtous because it is too hard to find the majority who can be virtous. The rule of the majority and the poor under a democracy does not aid the city state to attain its telos. As consequence, Aristotle is of the belief that a democracy is not a good form of rule because both the rule of the poor and majority does not attain the telos of the city state. Another reason why the democracy is not a virtous form of government is actually rooted in a concept of equality in a democracy. To Aristotle, a good government is one which is rules aristocratically; meaning that it based on merit (Aristotle 5). In Aristotle’s defination, a democratic is the one has the most people have a participation in the ruling. Thereby, there is at least an approximation of participation of on an equal basis because all the persons have equal participation rights. For Aristotle, the second determinant of whether or not democracy is a normal form of government that should be practiced around the world, he relies upon the definition and understanding of the concept

Monday, September 23, 2019

Illegal domestic workers and their legal options Essay

Illegal domestic workers and their legal options - Essay Example Undocumented workers and their plight. Undocumented workers are increasingly subjected to a variety of injustices. Included in this is the fact that the undocumented worker pays into social security and medicare, yet does not receive the benefits from these programs. According to Porter (2005), undocumented workers pay a variety of payroll taxes which contribute to the overall solvency of both the medicare and the social security benefits, but, since they are undocumented, they are not entitled to collect these benefits. One of the reasons why they contribute, yet cannot collect, is that they get a fake social security number, therefore the employer must withhold payroll taxes for these workers. However, since they have a fake social security number, they cannot collect these benefits. Moreover, Porter (2005) states that, even if these workers were aware of what their employers withhold from them, many of them are not aware of the reasons why these wages are withheld. ... This means that an illegal alien with the same education, work experience and language proficiency as a documented worker will make 22% less than that documented worker, if the worker is a male, and 36% less if the worker is a female. Moreover, Mehta (2002) found that the undocumented workers in his study are more liable to work in unsafe conditions than the documented workers in his study, and that the undocumented workers were less likely to have health insurance. Moreover, these workers also do not have access to medicare or medicaid, therefore they do not, by and large, have access to health care at all. As far as unsafe conditions go, undocumented workers are more likely to report that they operate machinery without proper training. They are also more likely, according to Mehta (2002), to report that they are working in unsanitary conditions, therefore they are more likely to get sick because they are working in these conditions. Mehta (2002) also states that undocumented worker s are more likely to slip and fall on the job. And, if these undocumented workers do get hurt on the job, they are less likely to obtain worker’s compensation benefits, and, even if they apply for worker’s compensation benefits, they are less likely, than documented workers, to actually obtain these benefits. Lee (2010) states that illegal immigrants are also the target of discriminatory laws. He cites federal laws which state that illegal immigrants cannot access federal benefits, and state laws which states that illegal immigrants cannot access public schooling, either secondary, elementary or post-secondary. There was even a law in Texas, pending, which states that the children of undocumented individuals in

Sunday, September 22, 2019

My Tiger Mom Assignment Example | Topics and Well Written Essays - 750 words

My Tiger Mom - Assignment Example Music is supposed to be about freedom, right? Not at all! Tiger moms choose what you can play. Playing the piano is a requirement. You can’t just play for fun. You play for the win. FTW- For The Win. I hate that urban acronym. It’s always about that. FTW. You can’t be second in anything, or worse, the third. Excel in almost everything! Or face the wrath of your Tiger mom! At first, I thought I played the piano only for my Mom. But I actually loved it. I loved how my fingers created music. I love my piano. I love my music. I love music. I excelled in playing the piano for some time, but soon enough, my peers surpassed me. Mom wasn’t too pleased. I tried my best, but I gave up. I wanted to do something else. I still play the piano, but only when I feel like it. Only when my soul wants me to. Mom didn’t mind because I was doing great in school. Her priority, I mean, our priority, is academic success. Now, let’s talk about sports. My mom was not into sports so much. But she let me swim. I swam and I was free, but not as free as I wanted to be. I wanted sleepovers and more time with my friends. Not that we talked about these things in China. My friends and I only imagined our days of freedom together, falling in love with strangers, and making mistakes.

Saturday, September 21, 2019

Evidence-Based Practice Paper Essay Example for Free

Evidence-Based Practice Paper Essay The evidence-based practice guideline that I chose is titled, â€Å"Myocardial Infarction,† written by the Finnish Medical Society Duodecim. The intended users for this guideline are health care providers and physicians. The target population is individuals with suspected or known myocardial infarction. The objective of this guideline is to â€Å"collect, summarize, and update the core clinical knowledge essential in general practice† and â€Å"describe the scientific evidence underlying the given recommendations.† (Finnish Medical Society Duodecim, 2008) Clarity and Researchability of the Study’s Purpose and Question According to the researchers, the purpose of the study is â€Å"to test how teaching format (factual versus storytelling) and restructuring the social norm of caring for others to caring for self affects how women learn to identify and respond to myocardial infarction (MI) symptoms. † (McDonald, Goncalves, Almario, Krajewski, Cervera, Kaeser, et al., 2006, p.216) I feel that the purpose of the study is significant to nursing because nurses need to educate patients about what symptoms to observe for and report to their primary care providers. Also, if this study could determine which teaching format would better assist patients in acknowledging significant symptoms of an MI needed to contact EMS, then nurses could possibly be better able to educate patients about those symptoms. I believe that the study title of â€Å"Assisting Women to Learn Myocardial Infarction Symptoms,† is more general than the three research questions listed in the study: (a) â€Å"Are women who are taught how to recognize and respond to symptoms of an MI using a storytelling format more likely to be able to identify symptoms and plan to get help than women who are taught the same information using a factual format?†, (b) â€Å"Does teaching women to cognitively restructure the ‘caring for others’ social norm to ‘caring for self’ make them more likely to identify symptoms of an MI and plan to call EMS than women who are not taught this form of cognitive restructuring?†, and (c) â€Å"Are women who have been taught MI symptoms and response using the storytelling format and who were taught cognitive restructuring of the ‘caring for others’ to ‘caring for self’ social norms more likely to identify symptoms of an MI and plan to call EMS than women who were provided factual information about MI symptoms and response, and who were not offered cognitive restructuring?† (McDonald, et al., 2006, p.217-218) The two independent variables identified in the study are â€Å"teaching format (factual vs. storytelling) and social norms (caring for others first vs. caring for self)† and the dependent variable is â€Å"the posttest knowledge of MI symptoms.† (McDonald, et al., 2006, p.220) The American Heart Association (cited in McDonald, et al., 2006, p.216) states that â€Å"heart disease remains the leading cause of death for women and kills over 248,000 women each year in the United States.† Mosca, Ferris, Fabunmi, Robinson (cited in McDonald, et al., 2006, p.216) states that â€Å"the majority of women remain unaware that heart disease is the leading cause of death for women, despite a significant increase in awareness since 2000.† While the assumptions of the researchers are not clearly stated, I would assume that the researchers believe that women need to be further educated about the symptoms of MI in order â€Å"to avoid disabling or life-ending consequences from MI.† (McDonald, et al., 2006, p.216) Adequacy and Relevance of the Literature Review I feel that the literature review is relevant to the problem because they discuss the differences in MI symptoms among genders and which symptoms were commonly reported by women. DeVon and Zerwic (cited in McDonald, et al., 2006, p.216-217) â€Å"reviewed studies on gender differences in MI symptoms and concluded that symptoms were similar across gender; however, in seven studies back pain, dyspnea, and nausea and vomiting occurred more frequently in women.† According to McSweeney, O’Sullivan, Cody, Crane (cited in McDonald, et al., 2006, p.217) â€Å"women who have experienced an MI often describe additional symptoms besides chest pain, such as weakness, shortness of breath, unusual fatigue, diaphoresis, nausea, feeling flushed or dizzy, or a heavy feeling in the arms.† The literature review also discusses the possible reasons for why women delay in contacting EMS when symptoms of MI do occur. Finnegan et al (cited in McDonald, et al., 2006, p.217) states that â€Å"women might delay responding to their own MI symptoms to meet their caregiver responsibilities.† The literature review is logically organized, because it clearly talks about the differences among identification of MI symptoms among genders, along with the possible reasons for the delay among women in reporting their symptoms in order to receive immediate attention. The discussion about women not wanting to take care of themselves in order to continue assuming the responsibility of caring for their families, supports the research question of â€Å"cognitively restructuring the ‘caring for others’ social norm to ‘caring for self’.† (McDonald, et al., 2006, p.217) I feel that the 23 references used were appropriate for this study. The dates of the references range from 1989 to 2005, with this study being published in the May/June 2006 issue of Public Health Nursing. Majority of the references (20/23) had to deal with heart disease, while the remaining three discussed (a) theory of planned behavior, (b) story telling as a tool, and (c) applied multivariate statistics. Both, primary and secondary sources were used as references. Agreement between Purpose, Design, and Methods The study design described is â€Å"a pretest posttest full factorial experimental design with educational format (storytelling vs. factual) by social norms (restructuring the social norm of â€Å"caring for others† vs. no restructuring).† (McDonald, et al., 2006, p.218) According to LoBiondo-Wood Haber (2010) â€Å"a true experimental design has three identifying properties: (a) randomization, (b) control, and (c) manipulation† (p.179). In the study, the researchers randomly assigned the participants to one of four groups, each group receiving a different type of informational MI symptom pamphlet. LoBiondo-Wood Haber also state that â€Å"experimental designs are the most powerful for testing cause-and-effect relationships due to the control, manipulation, and randomization components† (p.185), which I think makes the design appropriate for answering the research questions in this study. Data was collected by having participants respond in writing first to a demographic form, and then to a Heart Attack Survey, both before and after, reading an informational pamphlet about MI symptoms. â€Å"The Heart Attack Survey consisted of two questions. The first question was open ended, ‘list all of the signs and symptoms of a heart attack that you are aware of.’ The second question used a 0-10 scale, with the corresponding anchors definitely would not call and definitely would call, to measure the behavioral intention of calling 911 within 30 min if heart attack symptoms occur.† (McDonald, et al., 2006, p.219) I feel that their data collection procedure is logical and practical because paper-and-pencil instruments â€Å"are most useful for collecting data on variables that cannot be directly observed or measured by physiological instruments.† (LoBiondo-Wood Haber, 2010, p.274) The researchers did not clearly discuss their instruments in terms of content validity and reliability. LoBiondo-Wood Haber (2010) define validity as â€Å"the extent to which an instrument measures the attributes of a concept accurately† and reliability as â€Å"the ability of an instrument to measure the attributes of a concept or construct consistency† (p.286). I think that both of their instruments were valid since the demographic form only measured demographic info, and the Heart Attack Survey only measured the number of MI symptoms the participants knew along their intent to call 911. However, I do not think the Heart Attack Survey was very reliable, since the researchers did mention that many of the women did not answer the same MI symptoms on the posttest that they had mentioned on the pretest. If the instrument was reliable, I would believe that the posttest would have the same MI symptoms as listed on the pretest, along with any new symptoms the women learned from reading the informational pamphlets. Suitability of the Sampling Procedure and the Sample I feel that the researchers used a convenience sample consisting of 113 adult women. The women were recruited by graduate nursing student data collectors in shopping malls, restaurants, and other public areas. â€Å"Inclusion criteria included of (1) female, and (2) age 25 years or older, and (3) able to speak, read, and understand English or Spanish. Exclusion criteria included (1) previous MI, (2) physician or nurse, or (3) current or past EMS worker.† (McDonald, et al., 2006, p.218) Descriptive characteristics of the sample include: (a) a mean age of around 42 years, (b) majority of participants having a high school education, with about an additional 36% having higher education, (c) most women were white, with next largest racial group consisting of black Americans, (d) nearly more than half being of non-Hispanic ethnicity, (e) few women having personal history of heart disease, while around half reported family history of heart disease, and (f) half reporting having careg iver responsibilities. I think the sample size was adequate for the study. The researchers state that â€Å"a small effect size for the intervention effect was anticipated based on the REACT findings† and â€Å"the sample size needed for a four-group multivariate analysis of variance (MANOVA) with a power of 0.80, a significance level of .05, two dependent variables, and a small anticipated effect size was n=115.† (McDonald, et al., 2006, p.218) There were an additional seven participants, but were not included in the final sample because they provided incomplete data, by not completing both the pretest and the posttest. The researchers state that â€Å"there were no significant differences between women completing the study and women not completing the study for age, ethnicity, race, marital status, education, having health insurance, a personal history of heart disease, a family history of heart disease, or responsibility for caring for others.† (McDonald, et al., 2006, p.220) The researchers state that â€Å"the study was approved for human subjects’ protection by the university internal review board.† (McDonald, et al., 2006, p.219) The researchers also state in their study that â€Å"each participant was provided verbal informed consent and a copy of the study information sheet.† (McDonald, et al., 2006, p.219) Correctness of Analytic Procedures The statistical procedures named in the study are: (a) analysis of variance (ANOVA), (b) χ2 (chi-square), (c) Pearson’s r correlation, (d) t test, and (e) analysis of covariance (ANCOVA). According to LoBiondo-Wood Haber (2010) â€Å"analysis of covariance (ANCOVA) is a statistic that measures differences among group means and uses a statistical technique to equate the groups under study in relation to an important variable† (p.574). In the study, McDonald, et al., (2006) tested the three research questions through ANCOVA: The two independent variables—teaching format (factual vs. storytelling) and social norms (caring for others first vs. caring for self)—were entered as the grouping variable. The pretest knowledge of MI symptoms served as the covariate, and the posttest knowledge of MI symptoms was entered as the dependent variable. (p.220) Since the study wanted to know the type of MI symptoms that the women could identify, the level of measurement for this study would be nominal. According to LoBiondo-Wood Haber (2010) â€Å"when data are at the nominal level and the researcher wants to determine whether groups are different, the researcher uses the chi-square (χ2)† (p.326). The MI symptoms would be considered categorical variables because they could have â€Å"more than two true values†; also, since only one point was given to each symptom identified, â€Å"there was no order† to the variables. (LoBiondo-Wood Haber, 2010, p.312) The researchers listed several p values in their study: (a) â€Å"the factual information with the social norms restructured group had more White participants (26.6%) and less non-White participants (0.9%) than the other conditions, χ2(3) = 7.94, p .05†, (b) â€Å"women responding to the English instruments reported significantly more symptoms (M = 6.4; SD = 2.73) than women (n=29) responding to the Spanish instruments (M = 4.7; SD = 3.26), t (111) = 2.75, p .007†, and (c) â€Å"for the pretest the number of MI symptoms and the 911 response score were unrelated, r (113) = 0.16, p .09, and slightly related, r (113) = 0.20, p .04, on the posttest.† (McDonald, et al., 2006, p.220) According to LoBiondo-Wood Haber (2010) â€Å"the minimum level of significance acceptable for nursing research is 0.05† (p.322). Clarity of Findings The findings described under the results section state that â€Å"the women identified significantly more MI symptoms after reading the MI pamphlet.† (McDonald, et al., 2006, p.220) â€Å"Table 1contains frequencies for the entire sample of the most frequently identified MI symptoms on the pretest and posttest.† (McDonald, et al., 2006, p.220) Table 1 highlights the finding that a majority of the MI symptoms were identified more frequently on the posttest when compared to the pretest. â€Å"Table 2 contains group frequencies for identified MI symptoms, with pretest frequencies for each of the four groups preceding the posttest frequencies,† which highlights the finding that â€Å"no significant group differences emerged for storytelling and social norms.† (McDonald, et al., 2006, p.220) While the results did show that â€Å"women generally learned three more MI symptoms to add to their previous knowledge of the commonly identified MI symptoms, chest pain, shortness of breath, and arm pain,† the results also discuss that â€Å"the storytelling versus factual format for teaching women about MI symptoms did not affect how women learned MI symptoms.† (McDonald, et al., 2006, p.221) I feel that these results show that more research is needed in order to find a way to adequately teach women the symptoms of MI and which symptoms would require them to quickly contact 911. While I do not think the conclusions are generalized beyond the sample, I agree with the researchers when they state that it is important for everyone to know that â€Å"MI symptoms are ambiguous, and that even when people are unsure about their MI symptoms they should always call 911.† (McDonald, et al., 2006, p.222) The researchers state in their study that there were â€Å"several potential limitations† that could have impacted their results: (a) participants were recruited from the community and might not have carefully read the informational pamphlets, â€Å"potentially reducing the amount of information learned†, (b) the words ‘heart attack’ were not included in â€Å"the content of the factual group pamphlets,† which might have led the women in that group to not associate the â€Å"symptom information with MI symptoms,† (c) â€Å"the pretest and posttest were identical and separated only by the time taken to read the intervention pamphlet† which as a result â€Å"might not reflect symptoms that the women later remember and identify as potential MI symptoms,† (d) â€Å"many women did not include all of the MI symptoms that they wrote on the pretest, decreasing the score that they received for identifying MI symptoms,† (e) â€Å"the MI symptom score did not reflect if the same symptom was included on the pretest and posttest, or if commonly occurring but less frequently recognized MI symptoms were learned,† and (f) â€Å"the 911 scale proved to be an inadequate measure of response to MI symptoms.† (McDonald, et al., 2006, p.222) According to LoBiondo-Wood Haber (2010) â€Å"a research study using a true experimental design is commonly called a randomized control trial (RCT)† (p.179). LoBiondo-Wood Haber also state that â€Å"an individual RCT generates Level II evidence because of the minimal bias introduced by this design through use of randomization, control, and manipulation† (p.179). Since this study used a â€Å"pretest posttest full factorial experimental design† and â€Å"the participating women were randomly assigned, using a web-based random number generator, to one of the four experimental conditions,† I would classify this study as an RCT generating Level II evidence. (McDonald, et al., 2006, p.218) According to the evidence-based practice guideline that I chose, â€Å"instead of chest pain, acute dyspnoea may be the primary symptom† and â€Å"the diagnosis should be made without delay since early therapy improves the prognosis decisively.† (Finnish Medical Society Duodecim, 2008) I feel that the results of this study support the guideline because it is important for women to be able to recognize the symptoms of MI early on and â€Å"be aware of their risk for an MI so that they can secure immediate emergency medical care when symptoms of an MI occur.† (McDonald, et al., 2006, p.216) References Finnish Medical Society Duodecim. (2008). Myocardial infarction. Retrieved from the National Guideline Clearinghouse website. http://www.guideline.gov/summary/summary.aspx?ss=15doc_id=12794nbr=006596string=myocardial+AND+infarction LoBiondo-Wood, G., Haber, J. (2010). Nursing research: Methods and critical appraisal for evidence- based practice, 7th Ed. St. Louis: Mosby. McDonald, D. D., Goncalves, P. H., Almario, V. E., Krajewski, A. L., Cervera,

Friday, September 20, 2019

Recruitment and Selection: Analytical Report

Recruitment and Selection: Analytical Report Grimshaw (2009, pg no 7) claims that bringing person or persons into the organisation is called Recruitment. It begins with the declaration to recruit continue through to the induction and settlement of the new employees. The action of adjudicating between groups of one or more applicants who is more appropriate for a particular job is called Selection. Edwin, B. Flippo. 1980. The Personal Management. The action or process of exploring the applicants for employment and activating them to assign for jobs in the organisation is called Recruitment. Recruitment and selection designates the consecution and arrangement of activities affecting to recruitment and selection of employable applicants and job holders for an organization The main aim of recruiting and selection is to get qualified employees who are suitable into the culture of the organization. According to Erich and Leonard 2009 in his recent study it was found that an appropriate Job analysis is the base of all other human resources functions. If we dont properly understand the nature, attributes of the job, we cannot hire the proper candidates for that specific job. While recruiting candidates an organization should keep in mind about the worthiness and quality of that specific position of the job holder. They should be trained after recruitment; organization should provide guidelines, arrange some development programs for the better criteria. It should begin with a proper job analysis. (Erich and Leonard 2009) JOB ANALYSIS A recent study (Hartley 1999) found that an organised and efficient process for gathering, collecting and examining the information about jobs is Job analysis. The collection of information about the duties, responsibilities, necessary skills, outcomes, and work environment of a specific job can also be called Job analysis. It accommodates the basis for a job description, which access decisions on recruitment, training, streamlined efficient and rewards systems. There is no point for hiring people unless we know what we are hiring them for. The main aim of recruiting job analysis is to adapt job description and job specification which helps to hire good quality of work force into the organization. The management of a business need to conclude what sort of work need to be done. Job analysis is a key part of this need. COMPRISES OF JOB ANALYSIS Job analysis would commonly contain: Nature What is the job and how should it recounts to the business? Purpose Engagement and Commitment in the organization. Duties and Accountabilities Achievements and Outcomes that the Job holder capable for. Performance criteria Measurement of Job holders Performance. Resource requirements Like Equipment, Location or Entrepreneur. While recruiting; organisation should mention the above criteria for the Job holders so that the candidates should consider the aim, purpose, liabilities, responsibilities, duties thoroughly and deeply. Example: In AIRLINES the air hostess job is to look after and provide good quality of services towards their passengers. The criteria of this organisation are not high enough. Those candidates are given first priority whose communication is good, who are soft spoken, look smart and descend, have good behaviour and etc, because it is all about customer care services. If the air hostess looks good and if she/he speaks gently, the passenger will automatically be persuaded and that is how the good reputation of the company or organisation can be made and more possible good outcomes could be achieved. As it is said that: First impression is the last impression. While recruiting; an air line also looks that the candidates should not be short tempered. These are the basic demands for hiring candidates in an air line. If the candidates are able to meet these standards; they will be appointed. We can take another good example about army recruitment and selection. The Gurkha recruiting process is one of the toughest of any Army in the world. Their soldiers are selected from amongst many thousands of hopeful applicants.  Gurkha soldiers tour around the remote villages of Nepal conducting the initial screening tests. Every applicant must meet the certain standards of education, fitness and health. If successful, they will be called to attend the next step. Retired Gurkha Officers hold a number of selection days across the country. Every recruit has to give his best and has to take the maths exam in order to qualify for the next level. The criteria are quite high enough, and no weaknesses are accepted. All who make it through this stage are good enough to be soldiers in the British Army, but very few are able to make it. Central selection is that process where those applicants are selected who has passed previous stages. This is the last and final hurdle for the candidates. In Bokhara, Western Nepal the candidates have to report recruiting depot and spend 2 weeks being put through their paces. Doko race is the most hardest and gruelling assessment. Candidates has to complete a 2 mile race up a near vertical hill carrying 35kg of rocks in a basket, the weight borne by the traditional Nepalese carrying strap across the forehead, due to which their stamina and potential can be checked out and it should be completed within 20 mints. All the candidates should have passed the Nepalese School Leaving Certificate, equivalent to between GCSE and A-Level standard in the UK.  If successful, the will be taken to Catterick in North Yorkshire to undergo training in the Gurkha Wing of the Infantry Training Centre. In his 8 months training, the new soldier will not only learn military skills, but will also pass English language exams.   After passing all these training, he can feel proud what he has achieved, but he will have to work harder and harder to live for his reputation that his forefathers have built. (Gurkha soldiers recruitment) ESTABLISHING GOOD AND EFFECTIVE HIRING POLICY: According to Kumar and Sharma (2000) in their research, an employers recruitment and selection practices look to ensure and most capable for job holders. Job analysis information helps job holders to achieve those aims and goals by ensuring selection criteria, such as the knowledge, skills, accountabilities and capabilities needed to perform a job successfully. Policies should be flexible in order to make good and efficient hiring practice. Job title, duties, responsibilities tasks are very essential contents. Targets and performances standard that the job holder is required to accomplish for the benefits of an organization. An organizational managers and human resource (HR) can use these information to choose or to develop adapt selection devices for instance interview, questions and tests. This approach to selection legally required. Job Description: Kleynhans, Ronel. 2006. Human Resource Management. Job description can be used to create some advertisements to recruit new employees and should give them some extra information about the job. The recruiter has to know the qualifications, skills or knowledge that the candidates need to perform that specific job. Without giving any information, an organisation would have to recruit and select, employees without any clear guidelines, and this could have given very bad results for the employees and the organisation. Advantages of Job Description: Clark. M, Marjorie. 2008. The Job Description Handbook. Job description accepts various numbers of some other considerable purposes. It discloses expectations and allows employees know what it catches to exceed in their jobs. Grant, C. Philip.1989. Multiple uses Job Descriptions: a guide to analysis, preparationà ¢Ã¢â€š ¬Ã‚ ¦ It is a communication tool. If it is well prepared, it will give you a great deal about a job. Relevant information could be used in every human resource management and beyond the bounds. It will help the employees, their fellow workers, their bosses and people outside the organisation. If it is well described and prepared, will provide these people with a logical, laconic and accurate frame work. It mainly accommodates duties, aim, purpose, motives, responsibilities, vision, and working postures of a job along with a jobs title. A job description could also be used as a job indicator for candidates for a job. It can also be used as a guideline for an employee for the responsibility and duty within the organisation and the main aim and purpose of a job description is to have tracing an object of duties, sinsererities, and responsibilities to make the adumbrating action as direct and focused as possible. Job description may have the following contents: Responsibilities/roles can be improved by providing facilities to the members of the organisation. Empowering career moves within the organisation. Function of the assurance of the amount to pay. Specification of the job owner should be boosted comprehensively. While recruiting jobs into the market above standards could be the main elements for the job description. Job Specification: Kleynhans, Ronel. 2006. Human Resource Management. Credentials having minimum acceptable qualification that person should have to perform particular job. The concept of the job specification is derived from the job analysis. Educational requirements, personality traits or characteristics, experience, vision and physical abilities are included in Job specification. The candidates must have specific skills, capabilities, in order to fulfill the desired tasks of a position given by an organisation. A person specification can be outlined by the educational or institutional concerns, specialized training experience as well as more personal qualifications that an applicant must obtain. Heron, Robert. 2005. Job and work analysis: Guidelines or identifying jobs for persons withà ¢Ã¢â€š ¬Ã‚ ¦ According to him, the productive placement in employment of job finders with disabilities associates making the best possible match between qualifications, interest, assurance, expectations and the requirements of enterprises, attested in the job descriptions and job specifications for particular vacancies. The job placements process needs detailed job description for each vacancy and a depicted job specification defining the general and particular concerns for every vacancy. Both the job description and job specification are depended on job analysis. Without good quality job analysis the description of job favourable circumstances will be ambiguous than absolute, general rather than specific, broad rather than detailed. Job specification specifies the qualities much needed in a job incumbent for the efficient and effective performance of the job. According to MUNRO FRASER, he gave some 5 useful points regarding recruitment and selection which are as under: The Frazer 5 Points Impact on others or the kind of acknowledge a persons manifest, speech and manner calls out from others. Qualifications and experience the skills, capabilities and knowledge required for different jobs. Innate abilities how immediately and accurately a persons mind works. Motivation The kind of work that demands to a person and the amount of aspiration they are prepared to put into it. Emotional (psychological/interpersonal) adjustment ability to work and cope with the commands of living and working with other people. Employment Legislation: According to Smith and Thomas 2007 research it was noted that Employment law is subjected of as a rapid revolution which could have happened to any authorized subject in this current era, and is absolutely one of the most challenging areas of law which should be kept well informed. Human Resources are getting changed rapidly in this era by Employment legislation. This domain will help you understand what authorized tools exist now; how your business will be affected and on what areas you need to be careful for. These sorts of objects are jotted down in a non confused, understandable way. Employment legislation influences on recruitment and selection: During this era body of legislation or law has developed ruling employer/employee Connections, interactions and the rights of employees and the employers in the organisation. Employment Equality and Regulations are being followed and providing equal opportunities to the UK employers. No candidates or employee will get less favour or treatment on the grounds of sexual orientation, discrimination in the areas of sex, political belief, disability, marital status, race, ethnic origin, nationality, religion or social classes. Following are the Acts which elaborates Employment Legislation deeply. The employment rights Act: Employment Relations Acts of 1999 and 2003 gives the vast range of authorized rights for the employees which mentions, Pay statement and national minimum wage should be declared, the terms and conditions must be set out in writing in order to protect unfair and biased dismissal at work. According to the sex discrimination Act, 1975: Employees must be protected against discrimination on the grounds of gender, for instance: While job advertisements into the market as well as recruiting and selecting employees for jobs, In assisting employees, offering training and career opportunities. There are some exceptional cases in which this Act doesnt apply related to Genuine Occupational Qualifications (GOQs). For example: if a female actress is hired to play female part in the film. The Equal Pay Act of 1970: According to this Act, men and women should receive equal payment for the same work to be done. The Race Relations Act, 1976: Race discrimination is illegal in the same way as the sex discrimination Act. For instance: Advertise for an English waiter to work in an English restaurant. The Disability Discrimination Act, 1995: When a disabled person is treated less favourably by the discriminator it comes under the discrimination Act. The National Minimum Wage Act, 1998: Legally employee must be paid at the minimum wage and this is increased each year in line with the rise in the cost of living. All Employees can work maximum 48 hours per week, and four weekly holidays. Recruitment and Selection Process: The evolution of captivating, attracting, screening, selecting accomplished and qualified people for a job at an organisation, company or a firm is called Recruitment. Some important criteria must be considered while offering job vacancy into the market, which is mentioned below: Vacancy Arises Need to fill position confirmed Consider job Description, job Specification and Selection criteria Prepare for Advertising whether it is internally, locally or both Determine the position of the job holder Prepare information packages Packages shall be approved by Human Resources Confidentiality Application forms Selection committee Responsibilities and duties of Selection committee Developed interview questions Conducting interviews Verifying credentials Rank of applicants Reference checking Selection report Advice to applicants Appeals process Induction Review Above are the main and important factors in recruiting and selection process. Jobs can be advertised through many different ways. Now days it is advertised mostly via news papers, internet, t through TV channels etc. People are getting informed and educated through all this modern techniques. For instance: if I am working in the Banking sector as a Branch Manager and I have to leave, I would advertise via newspapers, internet, and street banners etc. These could be the cheap modes of advertisement. The person who is looking for this job should be capable, got managing and communication skills, confident, experienced, punctual, goal oriented and is able to satisfy his customer utmost. He will be recruited in Head office by Regional Manager and Branch Manager. Duration of the interview may be more than 1 hour. While recruiting he will be observed and take into consideration whether this job is suitable for him or not, because he will have to make some good decisions so that the maximum profit could be generated and is able to give laconic presentation in front of Regional Director, Branch Manager, and Country Manager. If I ask to offer jobs into the market I would recommend this format for hiring employees. VACANCY Branch Manager Positions 05 Job Title Publication: External Industry: Banking Sector Department: General Designation: Branch Manager Location: Romford Degree Title: MBA Career Level: 5 years Experienced, as A Branch Manager Apply by: Sep 20th, 2010 Posted: Aug 21st, 2010 Job Description The applicants for the above posted job should be able to achieve assigned invested targets as well as keep trying to increase investment level. Make some effective policies due to which we are able to make good relation with the customer and try to promote business and generate money. The Selection Criteria: The Branch Manager will be selected on the basis of following criteria: Good effective organisational skills, attention to detail accuracy. Knowledge of the Banking sector, and the good policy maker. Be able to communicate with the staff politely and gently. Good oral and written skills. Capacity to work in a team in international environment. Knowledge of English as a working language. It would be an asset if the candidate has professional and reach to above criteria in order to promote business. They should be devoted, sincere and loyal towards their duties and responsibilities. Good attitude and behaviour plays a very vital role in any organization. If the job holder is focused, expert and motivated good results and outcomes can easily be achieved. Due to this, performance will be better and more chances to win the confidence of the customer. Owing to this, the customer attracts towards you and that is what any organization looks for this in order to build goodwill and make a good reputation into the market and more efficient possible outcomes could be achieved.

Thursday, September 19, 2019

Napoleon and Caesar :: European Europe History

Napoleon and Caesar Napoleon Bonaparte's success as a military leader and conqueror can also be seen in another great leader, Julius Caesar. Both Napoleon and Caesar achieved great glory by bringing their countries out of turmoil. It was Caesar, that Napoleon modeled himself after, he wanted to be as great, if not greater than Caesar. Looking to the past, Napoleon knew what steps to take in order to achieve success Napoleon devoured books on the art of war. Volume after volume of military theory was read, analyzed and criticized. He studied the campaigns of history's most famous commanders; Alexander the Great, Hannibal, Frederick the Great and his favorite and most influential, Julius Caesar (Marrin 17). Julius Caesar was the strong leader for the Romans who changed the course of history of the Greco - Roman world decisively and irreversibly. Caesar was able to create the Roman Empire because of his strength and his strong war strategies (Duggan 117). Julius Caesar was to become one of the greatest generals, conquering the whole of Gaul. In 58 BC, Caesar became governor and military commander of Gaul, which included modern France, Belgium, and portions of Switzerland, Holland, and Germany west of the Rhine. For the next eight years, Caesar led military campaigns involving both the Roman legions and tribes in Gaul who were often competing among themselves. Julius Caesar was a Roman general and statesman whose dictatorship was pivotal in Rome's transition from republic to empire (Duggan 84). Caesar's principles were to keep his forces united; to be vulnerable at no point, to strike speedily at critical points; to rely on moral factors, such as his reputation and the fear he inspired, as well as political means in order to insure the loyalty of his allies and the submissiveness of the conquered nations. He made use of every possible opportunity to increase his chances of victory on the battlefield and, in order to accomplish this, he needed unity of all his troops (Duggan 117). From the time that he had first faced battle in Gaul and discovered his own military genius, Caesar was evidently fascinated and obsessed by military and imperial problems. He gave them an absolute priority over the more delicate by no less fundamental task of revising the Roman constitution. The need in the latter sphere was a solution which would introduce such elements of authoritarianism, which were necessary to check corruption and administrative weakness (Grant, Caesar 61).

Wednesday, September 18, 2019

Family Relationships in Morrisons The Bluest Eye Essay -- The Bluest

Family Relationships in Morrison's The Bluest Eye â€Å"The Bluest Eye† by Toni Morrison, is a story about the life of a young black girl, Pecola Breedlove, who is growing up during post World War I. She prays for the bluest eyes, which will â€Å"make her beautiful† and in turn make her accepted by her family and peers. The major issue in the book, the idea of ugliness, was the belief that â€Å"blackness† was not valuable or beautiful. This view, handed down to them at birth, was a cultural hindrance to the black race. A main theme in this novel is the influence of family relationships in the quest for individual identity. Our family or lack thereof, as children, ultimately influences the way we feel as adults, about ourselves and about others. The effects on us mold our personalities and as a result influence our identities. This story shows us the efforts of struggling black families who transmit patterns and problems that have a negative impact on their family relationships. These patterns continue to go unresolved and are eventually inherited by their children who will also accept this way of life as this vicious circle continues. Having inherited the myth of ugliness and unworthiness, the characters throughout the story, with the exception of the MacTeer family, will not only allow this to happen, but will instill this in their children to be passed on to the next generation. Beauty precedes love, the grownups seem to say, and only a few possess beauty, so they remain unloved and unworthy. Throughout the novel, the convictions of sons and daughters are the same as their fathers and mothers. Their failures and accomplishments are transferred to their children and to future generations. It is int... ... son, Louis, Jr. The cat becomes her surrogate child as the blue-eyed Fisher child became the surrogate child to Pauline Breedlove. The cat will die physically as Pecola will die mentally. Soaphead Church was a mixed black and white ancestry from the Caribbean. He inherits the need to be British and to erase all color. His schoolmaster father developed his own legacy of Anglophilia into a narrow intellectual statement of the unworthiness of man. Being a mulatto, he knew the â€Å"non-life he had learned on the flat side of his father’s belt.† Because racism prevents Soaphead from getting the job that his education merits, he gives up, he ends up with a non-life, like his father and his wife, the only person he ever truly loved, abandons him. He uses little Pecola to rid himself of the mangy dog that represents non-white, non-perfect beings whom he despises.

Tuesday, September 17, 2019

Meniscal Injuries :: essays research papers

The meniscus is one of the most commonly injured structures in the knee. Meniscal injuries can occur in any age group, but causes are somewhat different for each age group. In younger people, the meniscus is fairly tough and rubbery, and tears usually occur as a result of a fairly forceful twisting injury. In the younger age group, meniscal tears are more likely to be caused by athletic activity (Sutton, 1999).   Ã‚  Ã‚  Ã‚  Ã‚  In older people, the meniscus grows weaker with age. The tissue that makes up the meniscus becomes degenerative and much easier to tear. Meniscal injuries in older people occur as a result of a fairly minor injury, even from the up and down motion of squatting. Degenerative tears of the meniscus are commonly seen as a part of the overall condition of osteoarthritis of the knee in the older population. In many cases, there is no one associated injury to the knee that leads to meniscal tears (Sutton, 1999).   Ã‚  Ã‚  Ã‚  Ã‚  In order to understand how the menisci can be injured, you must understand the basic anatomy of the menisci and why they are important. The menisci are two oval (semilunar) fibrocartilages that deepen the articular facets of the tibia and cushion any stresses placed on the knee joint. They enhance the total stability of the knee, assist in the control of normal knee motion, and provide shock absorption against compression forces between the tibia and the femur (Booher, 2000). Articular cartilage covers the ends of the bones that make up the joint. The articular cartilage surface is a tough, very slick material that allows the surfaces to slide against one another without damage to either surface. This ability of the meniscus to spread out the force on the joint surfaces as we walk is important because it protects the articular cartilage from excessive forces occurring in any one area on the joint surface, leading to degeneration over time (Sutton, 1999).   Ã‚  Ã‚  Ã‚  Ã‚  Blood is supplied to each meniscus by the medial genicular artery. Each meniscus can be divided into three circumferential zones: the red-red zone is the outer or peripheral one third and has a good vascular supply; the red-white zone is the middle one third and has a minimal blood supply; and the white-white zone on the inner one third is avascular (Arnheim,1997).   Ã‚  Ã‚  Ã‚  Ã‚  The medial meniscus is larger and more oval or C-shaped in the outline than the lateral meniscus. The medial cartilage is also more firmly fixed to the tibia and the capsule than the lateral meniscus; as a result, it is much more frequently injured than the lateral cartilage.

Monday, September 16, 2019

Exam Study Guide Essay

The beneficial consequences that may result from the legalization of euthanasia as proposed by brock are the following: a. serve as an insurance policy- it comforts patients by allowing them to know that it is there if they need it b. respect the self determination of individuals c. provide a relief from prolonged suffering d. make a dignified death possible 2. In his article on VA euthanasia, Brock examines two broad lines of arguments against euthanasia: a. deontological b. utilitarian 3. People are generally opposed to killing because they have learned or been taught to think about it in negative terms. Killing is usually reported in the context of murder, not in the context of humanitarian service. 4. Allowing someone to die involves withholding intervention, when no cure is possible or withdrawing intervention because it is no longer able to cure a dying patient. 5. To the idea that active voluntary euthanasia is incompatible with a physician’s moral and professional commitment is to care for patients and protect life, Brock replies: the commitment to self determination and well being ought to be at the center of medical practice, not just preserving life. 6. To the objection that allowing euthanasia would undermine general confidence in health-care services providing optimal care for dying patients, Brock replies: There is no reason to fear that euthanasia is going to erode patients trust if only voluntary euthanasia is allowed. 7. Among the ethical considerations relating to genetic testing are the following: a. do parents have the right to be informed of all the results of a genetic test? b. does a person have a right to have children who are likely to be impaired? c. should public funds be used to pay for genetic esting when people are unable to pay? 8. Therapeutic sterilization is the termination of the ability to produce offspring if the mother’s life or mental health is in danger. 9. In the context of euthanasia, the slippery slope argument is the idea that it will eventually lead to a diminishing of our respect of life. 10. Abuses of laws permitting active euthanasia can be prevented by doing the following: a. make sure tha t it is the patient voluntarily making the decision to have it. b. make sure that there is no chance of recovery for the patient. c. he patient must feel that they are not being a burden to their family because of their illness. 11. Among the benefits of genetic testing are the following: a. improves the lives of the parents and at times, the child b. provides assistance for parents who wish to make rational decisions regarding their family planning 12. Ethical considerations with surrogate motherhood include the following: a. is it right to ask a surrogate mother to give up all rights to a baby she carried for nine months? b. potential court battles over custody of a child conceived outside of marriage. c. uture emotional distress when the child learns that they were deliberately taken away from their natural mother. 13. Extraordinary care means when caring for a comatose patient, one should include: B. CPR, mechanical breathing 14. The set of conditions that must be present to determine if a patient is an irreversible coma is known as the Harvard Criteria. 15. The care given to terminally ill patients that consist of comfort measures and symptom control is referred to as palliative care. 16. The Baby M case is an example of: C. problems encountered as a result of the use of a surrogate 7. An infertile couple who does not wish to adopt has the option of surrogate motherhood. 18. While the goal of therapeutic genetic interventions is to restore the patient to the best state of health as possible, the goal of nontherapeutic or enhancement genetic engineering is to improve on an otherwise healthy body. 19. A viable infant is one who is able to survive after birth. 20. Provide examples of ordinary versus extraordinary means used in the treatment of terminally ill: ordinary includes- treatment that is morally required, such as giving fluids and providing comfort measures. xtraordinary includes- procedures and treatments that are morally expendable, example: providing chemotherapy to a patient who has end stage cancer 21. The Karen Ann Quinlan case involved: C. removal of a respirator from a comatose patient 22. A type of settlement that allows people with terminal illnesses, such as AIDS, to obtain money from their insurance policies by selling them is called a viatical settlement. 23. The Karen Ann Quinlan case is an example of: C. withdrawing treatment 24. What are some of the measures to assess quality of life? a. general health b. physical function c. social function d. pain e. mental health 25. What measures does palliative care include? a. comfort measures b. symptom control for pain, shortness of breath, support therapy, etc. c. relief of pain and suffering d. make the end-of-life period a meaningful experience for the patient 26. Why did the surgeons attempt to separate conjoined twins Laden and Laleh Bijani when the chances of survival were apparently very slim? ecause he was persuaded to proceed with the operation based on medical evidence and the strong desire of the twins to be separated; he wanted to make sure they had their best chance. 27. What are the Kubler-ross’s five stages of dying? 1. Denial 2. Anger 3. Bargaining 4. Depression 5. Acceptance 28. People who are against euthanasia offer the following reasons: a. possibility of mistaken diagnosis b. doubt about how voluntary a patient’s choice is c. it dis torts the moral responsibility of doctors. The role of the doctor is to care for his patients, not to shorten their lives. 29. Genetic counseling involves investigation and counsel through interview and conferencing with prospective parents to determine: the risk of passing on a genetic disease to their offspring. 30. A surrogate mother is a woman who: a woman who is carrying the ovum of the wife or another woman who is unable to give birth, and the husband’s sperm to eventually birth a child- they are bound under contract to give up the child at birth to the couple they agreed to complete this with. Most are paid from $20-25,000 in medical expenses. 31. To the idea that active voluntary euthanasia is incompatible with the octor’s moral commitment to care for patients and protect life, Brock replies: the commitment to self determination and well being ought to be at the center of medical practice, not just preserving life. 32. For Rachels, the distinction between active and passive euthanasia often leads to decisions concerning life and death made on the conventional doctrine. 33. On the issue of euthanasia, Rachels argues that â€Å"letting die,† or â€Å"doing nothing,† is a form of passive euthanasia. 34. For James Rachels, the Standard View is wrong. If active euthanasia is sometimes permissible then passive euthanasia is also sometimes sometimes permissible.

Sunday, September 15, 2019

The Soothing Sensation That Is Bath Salts

The Soothing Sensation That is Bath Salts Introduction â€Å"Oh yeah, me and my girlfriend have a big bag of lavender bath salts sitting at home,† was the initial reaction when I asked a fellow engineer to portray as a testimonial for our borderline inappropriate bath salts infomercial. Contrary to popular belief, this new synthetic drug is far away from producing any effects that are similar to that of a relaxing bath. Until recently, bath salts were popularized to be a â€Å"legal high. In order to tip toe around the federal drug regulatory laws, bath salts were marked with a warning label that mentioned â€Å"not for human consumption. † In South Carolina, before the ban on October 24th 2011, bath salts could be purchased at one of the many head shops, gas stations, and even online. The appearance of the drug itself is usually in a powdered form that is sold within a package that is very aesthetically pleasing. These packages are sold under a variety of appealing na mes such as Ivory Wave, Vanilla Sky, Bliss, Blue Silk and etc.The composition of the synthetic drug bath salts can vary from dealer to dealer. Sometimes you may find traces of other stimulant drugs such as cocaine, amphetamines, or ecstasy, but the most important culprit in bath salts is 3,4-methylenedioxypyrovalerone (MDPV). MDPV falls under the category of phenethylamines and it is structurally related to synthetic cathinones. Synthetic cathinones are a group of drugs that are derivatives of the natural plant Catha edulis (also known khat), that contain the chemical phenylalkylamine alkaloid (Coppola, 2011).The remainder of the paper will provide some of the current available information such as pharmacokinetics, neurophysiology, and a brief discussion about MDPV as the primary active ingredient in bath salts. Pharmacokinetics The routes of administration of bath salts are similar to that of drugs in the â€Å"salt† class. The most common method is insufflation which result s in faster onset of the effects but does not have a long duration. There are also other routes of administration preferred by drug enthusiasts; these mechanisms include parietal injections, intravenously, â€Å"bombing,† and also rectal administration.The â€Å"bombing† method involves putting the salt crystals in to cigarette paper to form a capsule and then simply swallowing it. The rectal administration requires an individual to dissolve the salt crystals in a type of liquid vehicle (i. e. water) and then introduce the liquid to the rectum via the anus. The absorption of MDPV is primarily dependent on the route of administration. The nasal route obviously has the quickest absorption. On the other hand, the oral administration is absorbed poorly because when taken orally, the rate of absorption compares to that of cocaine.The metabolism of MDPV in the human liver occurs similarly to that of other synthetic cathinone. The process involves multiple steps and the last of which is where the catechol ring of MDPV is methylated by COMT (Prosser, 2011). COMT is one of several enzymes that are involved in the degradation of catecholamines (i. e. dopamine, norepinephrine, and epinephrine). Finally, after the metabolism, the excretion of MDPV waste occurs through the urine of feces. Since there are no published, the duration of the effects of MDPV must be recorded with the word of mouth from experienced users.The drug effects start presenting themselves approximately 10-20 minutes after nasal administration and duration is close to 2. 5 hours. With oral administration, users report the effect to set in between 15-45 minutes after ingestion and the duration can last anywhere from 3-4 hours (in rare cases as much as 12 hrs) (Psychonaut, 2009). Neurophysiology As mentioned previously, due to the limited amount of available information for understanding the mechanism of physiological action of MDPV, the neurophysiology is theorized to have a similar mechani sm to that of amphetamines and MDMA.This comparison is highly based on the structural similarities between amphetamines and synthetic cathinones (Prosser, 2011). The effects of amphetamines and their derivatives are produced by the three-fold effect on monoamine synapses. First, amphetamine-like drugs cause a leakage of neurotransmitters (NTs) from the presynaptic vesicles into the synaptic cleft. Second, they also increase the amount of NTs released in response to an action potential.Finally, there is an inhibition of monoamine reuptake from the synaptic cleft. As a result of the three-fold effect, there is an increase in concentration of NTs in the synaptic cleft which prolongs and enhances the effect of MDPV. Effects of MDPV on the Mind and Body Similar to most highly abused substances, MDPV has a laundry list of physical and psychological effects, including both desired and undesired. This data of effects is generated from first hand users and from the thousands of hospital admi ssions.With initial administration of MDPV, users can feel some desired effects that are not necessarily harmful (including but not limited to): increased energy, increased sociability, mild euphoria, increased concentration, sexual arousal (Coppola, 2011 & Psychonaut 2009). Individuals that experience these non-harmful side effects are considered to be very lucky because on the other side of the coin are some very serious undesired psychoactive side effects. These undesired effects include extreme paranoia, delusional thinking, visual & auditory hallucinations, self-mutilation, insomnia, violence, and restlessness (Prosser, 2011).Side effects of MDPV travels in pairs, if it affects the mind it will also have an effect on the body. Effects on the body include hypertension, tachycardia, chest pains, vasoconstriction, muscle twitches, bruxism, insomnia, and lack of appetite (Psychonaut, 2009). Currently, there is no effective treatment against MDPV overdose. The only method that is co nsidered is to treat the physiological symptoms as they rise in order to prevent the individual from cause harm to themselves or others.To integrate all of the information I have provided in the paper thus far, I will present one of the many case studies that were published by medical doctors after this dramatic increase in hospital admissions as a consequence of MDPV psychosis. A 27-year-old female named J. H was brought to the emergency room by the local police after they received multiple phone calls reporting an assailant breaking into their home. Upon arrival of the police, they were notified that there was a dead body in the hallway and that the homeowners were next for being killed. The police soon deduced that J. H. as suffering from paranoid delusions. In the emergency room, J. H. presented with hypertension, tachycardia, diaphoresis, and extreme fear but there were no sign of a physical disorder. When the results for her complete blood count, the comprehensive metabolic pa nel and the drug urine test returned completely unremarkable, she was transferred to the hospital’s psychiatric unit. The psychiatric staff recorded that she had a disorganized thought process, poor memory and was still convinced that she was in imminent danger. The only option for the doctors that was available was to start J. H. n treatment for Schizophrenia. The following day, her condition mildly improved and she was able to inform the doctors about the events that resulted with her being hospitalized. Apparently, she had a past history of opiate dependence, and one day, her and her boyfriend discovered bath salts, under the name of â€Å"Powdered Rush,† at a local head shop. They admitted to being on a binge period by insufflation for about five to six days prior to admission. The doctors concluded that paranoid psychosis from MDPV developed very much like that seen with methamphetamines and other psychostimulants.After three to four days of sleep deprivation, the re was an onset of paranoid psychosis symptoms. She was released from the hospital a few days later after she was able to recover from sleep exhaustion (Antonowicz, 2011). Discussion As of November 2011, it was reported that there is currently no research that focuses on addiction and withdrawal related to synthetic cathinones (Prosser, 2011). This means that conclusions about MDPV related addiction, dependence, and withdrawal must be extrapolated from other drugs that are similar in structure and mechanism of action.As discussed previously, the mechanism of MDPV is by inhibiting the reuptake of catecholamines to produce strong stimulant effects. MDPV stimulates the ventral tegmental area to release more dopamine, which in turn will project to multiple areas of the brain: prefrontal cortex (PFC), nucleus accumbens (NAcc), and the hippocampus. All of these structures contribute to the conditioning and reinforcing behavior of MDPV. Since the reuptake of dopamine is inhibited, there is going to be an increase in the concentration of dopamine in the synaptic cleft.One can imagine the addictive, dependence, and tolerance properties of MDPV to be a combination of the properties of morphine, cocaine, and ecstasy. To elaborate, the pattern of administration of MDPV resembles to morphine because there is a slow increase in the dose over time required to acquire the necessary effect. Then the administration pattern of ecstasy also factors in because of cravings it causes. When an individual abuses ecstasy the serotonin will become scarce over time due to overstimulation.The low levels of serotonin will cause the individual to crave more ecstasy, but no amount of ecstasy will help. Similarly, the over production of MDPV causes the catecholamines to run low in supply and cause the addict to crave more. Finally, the other pattern that contributes to MDPV resembles the administration pattern of cocaine. The components of cocaine administration pattern that is relative to MD PV are the binge and exhaustion periods. Individuals will abuse MDPV for a period of time and due to sleep deprivation the individual will crash.In conclusion, when we integrate the three patterns together, the overall pattern of MDPV will show an increase in dose of administration until the individual either crashes from exhaustion or passes away due to an event that occurred in psychosis. When viewing the overall pattern of MDPV use, it is easy to see that majority of the time this drug can be extremely harmful. But, some users report that when MDPV is ingested at low doses, it produces a stimulant effect that is similar to methylphenidate. This glimpse of reported user experiences can make MDPV a candidate for ADD/ADHD treatment (Psychonaut, 2009).One of the factors that can increase the frequency of abuse of MDPV is the marketing of the bath salts themselves. The overall design and nomenclature that the bath salts are sold under are very aesthetically pleasing. Through personal experience, prior to the ban of bath salts, the price was very affordable when compared to the quality of effect (approximately $18 for 50 mg). Now after the federal ban, the price of some bath salts online range from $900 to $2200 for a large quantity. Many news reports suggest that there is a common misconception of harm when it comes to substances such as bath salts or other similar â€Å"legal† substances.Just because there are substances that seem to sneak around the drug regulations, they should be assumed as being safe. Statistics from the American Association of Poison Control Centers state that there were 1782 calls nationwide to poison centers about designer drugs labeled as â€Å"bath salts† just during the first four months of 2011. This was an exponential increase when compared to just 302 calls in all of 2010 (AAPCC). Mark Ryan, director of the Louisiana Poison Center, writes a quote for an article on Drugs. com that said: â€Å"If you ake the very worst effects of the illegal drugs LSD and Ecstasy with their hallucinogenic, delusional type properties, and combine them with the extreme agitation, superhuman strength and combativeness of PCP, as well as the stimulant properties of cocaine and methamphetamines, you have summarized the potential negative effects of bath salts use. † In conclusion, there has been a dramatic increase in the abuse of bath salts with the primary ingredient being MDPV. The current approach of gathering information for the mechanism of action of MDPV is mostly done by modulating the internet.Despite the lack of research on synthetic cathinones, individuals still take the risk to abuse MDPV. But based on similarities found between MDPV and other stimulants, we can theorize the mechanisms of action in the central nervous system. In my opinion, if you have not exposed yourself to MDPV it would be a wise decision to keep it that way because, metaphorically speaking, MDPV is like your girlfriend; it not on ly screws with your body but also your mind. 🙂 (I thought I would put a smiley face so that I can actually get to see it). References 1. American Association of Poison Control Centers. . Antonowicz, J. , Metzger, A. , & Ramanujam, S. (2011). Paranoid psychosis induced by consumption of methylenedioxypyrovalerone: two cases. General Hospital Psychiatry, 33, 640. e5-640. e6. Retrieved December 4, 2011, from the SciVerse ScienceDirect database. 3. Coppola, M. , & Mondola, R. (2011). 3,4-Methylenedioxypyrovalerone (MDPV): Chemistry, pharmacology, and toxicology of a new designer drug of abuse marketed online. Toxicology Letters, 208(1), 12-15. Retrieved December 4, 2011, from the ScienceDirect database. 4. Hallucinogens Legally Sold as ‘Bath Salts' a New Threat – Drugs. om MedNews. (n. d. ). Drugs. com | Prescription Drug Information, Interactions & Side Effects. Retrieved December 6, 2011, from http://www. drugs. com/news/hallucinogens-legally-sold-bath-salts-new- threat-2 9344. html 5. Prosser, J. , & Nelson, L. (2011). The Toxicology of Bath Salts: A Review of Synthetic Cathinones. American College of Medical Toxicology, 7, 1-10. Retrieved December 4, 2011, from the SpringerLink database. 6. Psychonaut: Psychonaut WebMapping Research Group, MDPV Report, Institute of Psychiatry, King's College London, London, UK (2009).

International Financial Policies Essay

International Financial Policies determine how firms in international market work because if respective governments of the countries put restrictions on doing trade, it may be relatively difficult to trade. One of the most important advantages of international financial policies is the fact that such policies often get the backing of the government therefore international firms find it relatively easy to have access to different resources besides availing different types of concessions in duties and taxes. On the other side, due to such international financial policies, international firms may have to work with relatively inefficient organizations due to contractual requirements. Most of the countries often attempt to bring in public owned entities to work with international firms therefore given the traditional bureaucratic inefficiencies of such public institutions, resources may not be efficiently utilized and firms may not be achieving their strategic objectives in real term. Trade Agreements The trade agreements are formed based on the assumptions that the countries attempt to take advantage of their relative comparative advantage. Trade Agreements are often formed between two or more countries to agree together to offer certain trade concessions to each other. Trade agreements are often formed at the government level and countries to the agreement often offer tax concessions, duty rebates, removal of trade quotas etc so that trade integration can take place and countries can actually benefit from the comparative advantages of each other. Trade Agreements have greater influence on the financial management policies because if favorable, trade agreements can relatively save lot of costs i. e. duty and tax concessions, lower interest rates etc. for the firms therefore they really have to devise policies which can allow them to manage their financial resources in most efficient manner.

Saturday, September 14, 2019

Romare Bearden

The art of Romare Bearden has been viewed and influential to many artists, musicians, political figures, scholars, and everyday people. Born in Charlotte, North Carolina in 1911, and soon moved to New York, also spending little time in Pittsburgh , Pennsylvania, Bearden was raised in a middle class household where both his parents held decent jobs. At an early age Bearden was exposed to great diversity of artists, musicians and writers, his home was a frequent hangout spot for major figures such as Duke Ellington, Langston Hughes and many more. Art was not always the main focus of Bearden.He studied at Boston University where he played baseball and eventually after taking a few art classes he illustrated the cartoons in the Baltimore Newspaper. Bearden also traveled the world to places such as Paris and the Caribbean islands, which all influenced his work to come. He also served in the U. S. army. Being raised in the south and black Harlem New York during the Harlem Renaissance and c ivil rights would be the birthplace of Bearden’s diverse ideas and extraordinary talents. Bearden became the most original and famous due to his unique collages that he mastered in isolation working methods.This artwork was displayed in abstract complicated positions and showed intricate details made from magazine and newspaper clippings, as well as foil and different fabrics. Pablo Picasso, Jose Clemente, and Diego Rivera were a few artists that also influenced his work. Romare broke many boundaries and traditional ideas and expectations of artists. He put a unique twist on the already established European collage method by using different techniques such as quilt work, print, many fabrics, textures, nature, landscapes, oils water colors and of course photo montage.These techniques gave his art a personality a vibe a feeling that made views want more the pieces always had many details and messages. Romare Bearden’s art work was extraordinary enough that his work was s een in museums worldwide but also displayed in books, album covers, and even the city of Berkley, California has a public display in the city council chambers called The City and its People that incorporates the city’s diversity and culture. Romare’s pieces were also easy to relate with. The intersection of art and everyday life such as school, home, clubs and nature ere very obvious in his work, for example in The Block and the Block II his everyday life that he seen on the streets was displayed, from working people to kids playing to mothers looking out their windows holding their baby. He embraced the elements of popular culture at the time, jazz clubs, blues, social realism of African culture, religion and childhood memories were all displayed in his works The Blues, Train Whistle Blues, Palms Sunday Procession, and The Street to name a few. Romare Bearden suffered from bone cancer and passed away in 1988 as a world renowned African American artist, author, songwri ter, and award winner.Although he left his love for art many times, as many artists do, he took a journey and always found a way back to express his love of art embracing culture and society. His works grew and changed throughout his whole life picking up pieces as his environments changed. Bearden displayed the beautiful, the ugly, and the in-betweens of African and African American life with European and Spanish influences along the way. His works were improved and iconic, leaving you wanting to see more of what you have never have seen before.

Friday, September 13, 2019

Introduction to Accounting Essay Example | Topics and Well Written Essays - 1000 words - 1

Introduction to Accounting - Essay Example Fixed costs are the costs that do not change even if sales of a product changes. These costs are incurred even if there no sales made. On the other hand, the cost will not change even when sales made are very high. An example is the printer that prints newspapers. The cost of producing incurred con the printer when it prints 10 newspapers is the same as the cost for printing 1000 newspapers. Therefore, the cost of producing newspapers in terms of printer’s cost is a fixed cost. Contribution is the amount that remains after all variable costs have been subtracted from the sales revenue. Contribution caters for the fixed costs and it leads to the net income. Contribution mainly deals with the profit made by selling the products. It is very important because it helps in determining the amount of goods that need to be sold in order to recover the costs incurred during production. For example, it helps in determining the amount of whisky products that have to be sold in order to get the cost of producing the whisky. This is a point in production that occurs when the amount of cost is equal to the amount of the total sales of the products. Although many businesses are after making profits, there are some points when the businesses neither undergo loss nor get profits. This is the breakeven point of the business. Graphically, breakeven point is achieved when the total cost curve meets the total revenue costs. An example of breakeven point is when the cost of producing whisky is equal to the amount achieved from the sales of the whisky. This means that the company neither gets profit nor loss. Breakeven point is important in recognizing the relevance of variable costs and the fixed costs. Despite this importance, breakeven point cannot be overstated since it cannot help in business decision making. This is a resource that is scarce and its supply is very low. Limiting factor is also known as the principle budget factor.

Thursday, September 12, 2019

The battle of Yarmuk (636) and the arab conquest of syria and palesine Essay

The battle of Yarmuk (636) and the arab conquest of syria and palesine - Essay Example One of the deciding factors of these battles aside from the strategies is the increase in numbers of Muslims that formed alliances with those of their own fates, and also their conquests of nearby regions, stopping the expansion of Christianity towards the Middle East and India, and allowed the Muslims to move westward up to Spain (The Great Islamic Conquests 49). It was believed by historians that if these battles did not happen or if it had other results, the history of the world might have been changed dramatically, since the major contributions of Islam like mathematics and science would be prevented from being spread, and without these two important concepts the beginning of the scientific revolution would be prevented. The Arab Conquests of Syria and Palestine When the Muslims were able to take control of former cities that were previously under Christianity, not only did they expanded their territories, but also removed the fertile lands that the Byzantine Empire relied on (Fo uracre 298). The unification of the bands of Arabs by the Muslim faith has created large and uniform bands that were able to take over territories because of their members having something in common: a strong faith in Muhammad (The Great Islamic Conquests 48). ... This created an opening for the Muslim Army to take over Syria and Palestine, before ultimately fending off the advancing Byzantine army at the Valley of Yarmuk. Around the year 628 A.C.E., the Prophet Muhammad signed a non-aggression pact with the Meccans because he was not yet allowing the Jihad, or Holy War to commence yet. However, due to the need to expand the Islamic faith and to loot the rich countries, some three thousand of his men initiated attacks on the eastern regions of Jordan, and eventually caused them a devastating defeat from the defending Byzantines (Avi-Yonah and Peres 199). Initially this made the Byzantine Emperor Heraclius complacent about the defenses of the Syrian borders, and after a year from being attacked by Muslim Arabs, he created an opening by not paying the tribes that defended this side of the kingdom (Kennedy 143). In addition to the discontent with the Byzantine rulers and religions, the persecutions added to the disinterest of the tribes that were living in the Syrian border, which made these parts vulnerable to either attacks or conversions (Kennedy 147). The Muslim army advanced towards southern Syrian borders, and one of the governors signed a peace treaty with Muhammad, which helped him secure one of the entrances to Syria (Avi-Yonah and Peres 199). After gaining control of Syria around 633-634 A.C.E., the Muslim army then planned on invading Palestine, annexing it and liberating the people from Byzantine rule. The battle lead by Khalid entered Palestine first by invading the northern part in order to control the region without other problems. The Byzantines were taken over by the Muslim soldiers due to the former undermining the capacity of the advancing Muslim army. Aside from the Byzantine Emperor