Thursday, October 31, 2019

TED speech reflection Essay Example | Topics and Well Written Essays - 250 words

TED speech reflection - Essay Example It is a useful tool that is for planning in the health service sector especially in Maternal and Child Health (US Department of Health and Human Services, 2010). Maternal and Child Health quality should be continuously. The mortality rate in developing countries was very high in the past although major steps have already been taken thus reducing the number significantly. It is very paramount for health ministry’s to invest in the sector since children are the future generation of the universe. There an enabling environment should be provided for them to discover their talents, achieve their needs and desires and grow in all aspects. Hence, the need for strategic Maternal and Child Health Planning arises (Fraser, 2013). The following variables are, therefore, the drivers that affect efforts made towards achieving the Maternal and Child Health. They include time, the environment and equity. In order to improve MCH, time is a very imperative aspect. Children should be treated in time to eliminate the number of deaths that arises as a result of late treatments. In addition, environment forces influence the steps made towards achieving bet ter service provision. Countries, which have low living standards, have numerous challenges in achieving the LCT in MCH. Finally, the service is not provided uniformly; some people can obtain their preferred treatment during the process of accessing health services (US Department of Health and Human Services, 2010). US Department of Health and Human Services, Health Resources and Services Administration, Maternal and Child Health Bureau. (2010). Rethinking MCH: The life course model as an organizing framework. Concept Paper, Version 1.1. Retrieved from

Monday, October 28, 2019

Dracula and The Strange Case Essay Example for Free

Dracula and The Strange Case Essay Dracula, by Bram Stoker, and The Strange Case of Dr Jekyll and Mr Hyde, are classic examples of Gothic literature. Gothic literature is a genre that combines elements of both horror and romance. It is identified by its use of terror and horror to shock the reader, and this is usually created by setting the novel in huge, austere castles, with mysterious protagonists and horrific imagery.  In the opening of Chapter 2 of Dracula, we are being described the imposing castle of the protagonist Count Dracula, in the eyes of a Solicitor’s clerk’s journal, called Jonathan Harker. This first person narrative, which also appears in The Strange Case of Dr Jekyll and Mr Hyde in the form of the Mr Utterson, creates a lot of terror as the fact that they are describing it, really makes the reader come to terms that this actually happened. However, we do not know whether what they are saying is true or false, as we only have the word of the respective characters, given the piece a sense of mystery and suspense. As these two passages are based on description (describing the house and Mr Hyde in The Strange Case of Dr Jekyll and Mr Hyde and describing Count Dracula’s house in Dracula), adjectives are key in creating tension and terror. In Dracula, the adjectives reflect that in the dark, all your senses are heightened, so everything seems bigger, â€Å"I stood next to a great door, old and studded with large iron nails, and set in a projecting doorway of massive stone†. This piece is also given an aural dimension by adding noise. In the phrase, â€Å"the sound of rattling chains and the clanking of massive bolts drawn back. A key was turned with the loud grating noise of long disuse† the adjectives used are onomatopoeic which gives the reader a sense of sound which brings the writing to live. In The Strange Case of Dr Jekyll and Mr Hyde, negative adjectives are used to describe the house to create an unpleasant aura surrounding the house, associating it with evil, â€Å"the door was blistered and distained. [it bore] the marks of prolonged and sordid negligence†.  The theme of light and dark plays a large part in Gothic literature, where darkness symbolises evil and horror and light symbolises happiness and safety, down to humans primitive terror of darkness. Both the ‘stories’ take place in the dark, automatically creating a sense of terror. In Jonathan Harker’s Journal, he likens the situation to a ‘horrible nightmare’, meaning the reader can empathise with him. In both passages, we are given a vivid description of the outside of the buildings, but we are not told about the inside, leaving it up to the readers imagination. This is very effective as it makes the reader feel like he is actually in the scene being described. In Chapter 2 of Dracula, Stoker personifies the house, â€Å"it was not likely that my voice could penetrate through these frowning walls†. This is effective as it again makes you think what is on the inside, and in this case, who is doing the ‘frowning’. Again this same technique is done in The Strange Case of Dr Jekyll and Mr Hyde. The phrase, â€Å"a certain sinister building thrust forward its gable† gives the house a sense of its own power, through the personification. This is also shown by likening the faà §ade of the house to a face, â€Å"a blind forehead of discoloured wall†. In the two passages, the door is focused on: â€Å"the door which was equipped with neither bell nor knocker† and â€Å"I stood close to a great door, old and studded with large iron nails†. This is because it is the gateway between what we know, and what we don’t know as a reader. The fact that there is â€Å"neither bell nor knocker† is important as it gives the house an impenetrable quality, making the reader guess what it is the doors are hiding. It also demonstrates the use of contrast to create tension. Contrast is effective as when to juxtaposed things are linked together, tension is created as the reader is unsure what is happening. Contrast is shown by the main protagonist from Dracula. We are told that he is black and white, symbolising that he is both dead and alive. We are not told anything about the two main protagonists. However the image the reader is presented with are very different in the two passages. In The Strange Case of Dr Jekyll and Mr Hyde, we are disgusted by this amoral character who tramples over this small child. In the phrase, â€Å"the two ran into one another naturally enough at the corner; [but] the man trampled calmly over the child’s body†, the adverb, â€Å"calmly† is the most horrific as it shows he had no problems with what he did. However, in Dracula, the Count is shown to be very hospitable and welcoming, â€Å"I bid you welcome to my house. Come in; the night air is chill, and you must need to eat and rest†. This stark contrast raises the issue as to whether Count Dracula is all that he seems, hence creating terror.  Both these passages play on the readers’ fear of the unknown. Both authors use varied techniques to create terror and successfully bring the reader into the narrative. What makes The Strange Case of Dr Jekyll and Mr Hyde more horrific is that it uses all the Gothic themes, except he then places it into London, making it much more believable than castles and counts. The fear is that it really could be anywhere.

Saturday, October 26, 2019

Great Gatsby :: Essays Papers

Great Gatsby Gatsby's Pursuit of the American Dream The Great Gatsby, a novel by Scott Fitzgerald, is about the American Dream, and the downfall of those who attempt to reach its illusionary goals. The attempt to capture the American Dream is central to many novels. This dream is different for different people; but, in The Great Gatsby, for Jay, the dream is that through wealth and power, one can acquire happiness. To get this happiness James must reach into the past and relive an old dream; and, in order to do this, he must have wealth and power. The American Dream had always been based on the idea that each person no matter who he or she is can become successful in life by his or her hard work. The dream also embodied the idea of a self-sufficient man, an entrepreneur making it successful for himself. The Great Gatsby is about what happened to the American Dream in the 1920s, a time period when the dream had been corrupted by the avaricious pursuit of wealth. The pursuit of the American Dream is the sublime motivation for accomplishing one's goals and producing achievements, however when tainted with wealth the dream becomes devoid and hollow. Jay Gatsby, the central figure of the story, is one character who longs for the past. Surprisingly, he devotes most of his adult life trying to recapture it and, finally, dies in its pursuit. In the past, Gatsby had a love affair with the affluent Daisy. Knowing he could not marry her because of the difference in their social status, he leaves her to amass wealth to reach her economic standards. Once he acquires wealth, he moves near to Daisy, "Gatsby bought that house so that Daisy would be just across the bay (p83)," and throws extravagant parties, hoping by chance she might show up at one of them. He, himself, does not attend his parties but watches them from a distance. When this dream does not happen, he asks around casually if anyone knows her. Soon, he meets Nick Carraway, a cousin of Daisy, who agrees to set up a meeting, "He wants to know†¦if you'll invite Daisy to your house some afternoon and then let him come over (p83)." Gatsby's personal dream symbolizes the larger American Dream where all have the opportunity to get what they want. Later, as we see in the Plaza Hotel, Jay still believes that Daisy loves him. Great Gatsby :: Essays Papers Great Gatsby Gatsby's Pursuit of the American Dream The Great Gatsby, a novel by Scott Fitzgerald, is about the American Dream, and the downfall of those who attempt to reach its illusionary goals. The attempt to capture the American Dream is central to many novels. This dream is different for different people; but, in The Great Gatsby, for Jay, the dream is that through wealth and power, one can acquire happiness. To get this happiness James must reach into the past and relive an old dream; and, in order to do this, he must have wealth and power. The American Dream had always been based on the idea that each person no matter who he or she is can become successful in life by his or her hard work. The dream also embodied the idea of a self-sufficient man, an entrepreneur making it successful for himself. The Great Gatsby is about what happened to the American Dream in the 1920s, a time period when the dream had been corrupted by the avaricious pursuit of wealth. The pursuit of the American Dream is the sublime motivation for accomplishing one's goals and producing achievements, however when tainted with wealth the dream becomes devoid and hollow. Jay Gatsby, the central figure of the story, is one character who longs for the past. Surprisingly, he devotes most of his adult life trying to recapture it and, finally, dies in its pursuit. In the past, Gatsby had a love affair with the affluent Daisy. Knowing he could not marry her because of the difference in their social status, he leaves her to amass wealth to reach her economic standards. Once he acquires wealth, he moves near to Daisy, "Gatsby bought that house so that Daisy would be just across the bay (p83)," and throws extravagant parties, hoping by chance she might show up at one of them. He, himself, does not attend his parties but watches them from a distance. When this dream does not happen, he asks around casually if anyone knows her. Soon, he meets Nick Carraway, a cousin of Daisy, who agrees to set up a meeting, "He wants to know†¦if you'll invite Daisy to your house some afternoon and then let him come over (p83)." Gatsby's personal dream symbolizes the larger American Dream where all have the opportunity to get what they want. Later, as we see in the Plaza Hotel, Jay still believes that Daisy loves him.

Thursday, October 24, 2019

The Devil And Daniel Webster Essay -- essays research papers

The play "The Devil and Daniel Webster" was written by Stephen Vincent Benà ©t in 1938. Stephen Vincent Benà ©t was born in 1898 in Bethlehem, Pennsylvania. His education came from Yale University and the Sorbonne in Paris, France. "The Devil and Daniel Webster" has a wide array of characters, each with a distinguished personality, yet an overall temperment that would be fitting of a New England community. The main character is Jabez Stone, a wealthy New England statesman whose possition was the state senator of New Hampshire. He had started out as a farmer though, but moved up in life and, when he was about thirty years of age, married the fair woman, Mary Stone- who was in her early twenties. The fiddler, though not incredibly important, was a key character in that he provided foreshadowing.When he said, "But the very devil's got into that fiddle of mine.", he was forshadowing the coming of the devil to disturb the merriments. A very key character in this play is the devil himself, which took the name of Scratch (for that was what he was called in New England communities). He had come to steal the soul of Jabez Stone, claiming that he had a right to Jabez because of a legal contract. Last- but most certainly not least in this story- is the great Governor of New Hampshire, loved by all, Daniel Webster. Daniel Webster was not only the governor, but an excelent orator. He had a way of using words to pursued the opinion of others, sometimes by conve...

Wednesday, October 23, 2019

Citizens of Karachi

ALI REHAN (O5461) BLOODSHED EVERY WHERE, BLOOD IS ALL AROUND IS THE BLOOD INVISIBLE? WHY AREN’T WE REACTING? Citizens of Karachi are witnessing probably the worst of the times this city has ever gone through. Despite the horrible circumstances prevailing in the city, it is difficult to mention even a single act of public retaliation strongly condemning it in rightful manner. Have the citizens silently approved all that is happening and learned to live with it? If not, then why don’t we hear a call to end this?Since when have these people turned so passive, why don’t they react? A little deeper look into it will show that people do react. Reaction should be a source of damage control, but here, unfortunately, the way people react makes it a cause of worsening situation. Blood isn’t invisible, we see what is happening, and we hear who is crying, we know that next may be us, fear is all around, we feel helpless! The fear that surrounds us and state of being d irectionless has turned us into passive retaliators who do no harm the people who instill fear, instead, retaliate, but to our own harm.Burning our own city during protests is commonly seen. It is very unfortunate that citizens of Karachi-for most of the times-act as part of problem. Almost every instance of protest for a ‘right cause’ ends up in ‘wrong ways’. People have stopped trusting each other. A citizen of Karachi cannot imagine trusting strangers. And for a Karachiite, stranger is every person who is not his/her family member, with exception of a few close friends (rarely). DON’T AGREE Try answering this. How many people (outside your immediate family) , can you entrust with RS 1 lac and get the amount back when demanded?Security guards have become a need, we don’t feel secure. People have left enjoying the way they did in past (there is a reducing trend observed amongst the number of people visiting cinemas, amusement parks, and domes tic tourism). A financially well-off person avoids enjoying luxuries he/she can easily afford from the fear of becoming one of the victims of crime. There are hundreds of people who avoid purchasing expensive cars, motorcycles, cell phones etc , as they know that in a city like ‘Karachi’ , those (police) entrusted with duty to guard your possessions-can make you penniless!Here, criminals have free hands to operate and strong links to escape punishment. It is important to look at how the reactions varies with the social class people belong to. Upper Class that is financially well of, employs security guards, lives in safe areas, and waits for the first opportunity to emigrate†¦this class has isolated itself from the problems faced by common people. They worry a lot, but face a little. With every penny of their possessions ‘insured’, there is nothing they would loose.Middle Class employs all its resources to educate itself, and those who succeed, aim to fly abroad at given opportunity (dream is US, CANADA, UK, and MIDDLE EAST). They are the people with maximum potentials. It is always the middle class that plays the most active role in bringing revolutions. Lower Class (which is the largest of all),cannot educate, cannot move abroad, and has limited opportunities to grow, feels insecure. And as a way out—joins the strongest militant group and participates in increasing violence in the city. This is how violence is reciprocated with further violence.How will this cycle stop..? There is no end to the cycle until those with resources (upper class and middle class) aren’t concerned with solving the issue. There is no end to bloodshed until citizens stop complaining and start challenging the authorities whose interests this killing serves. There is no end to killing until a leader emerges to guide efforts of masses in a right direction. There is no end to killing until we learn how to react . How long does it take for a ci tizen of Pakistan to get a bad news to hear? The country has blood flowing all around.Here people die for reasons, and people die for no reasons. The short-tempered spice loving citizens of Pakistan are habitual of relaxing themselves employing ways that are not only futile when it comes to resolving their issues, instead, they create further worse issues for others to face can hardly recall any public protest that served its purpose without having caused destruction to state property and public assets. A call to strike means that lacs of people who are daily wage earners will have a day to worry for their need expenditures.People blame and react on suspicions. Our present is full of incidences of political target killings throughout the country and though it has been going on for a long time-our government intelligentsia has delivered a complete failure in figuring out how to stop it. Now let us wait for an angel to visit them and whisper in their ears â€Å"you need to control su pply of arms and killings would stop. † Another wrong way of reaction is displayed by media in our country-it over reacts.In an effort to sell their story and attract maximum viewership, electronic media channels sensationalize stories to extent of their creativity and capability. Television channels rarely consider the impact that their news transmission is likely to cast. Hours long broadcast of a single act of terrorism only serves the purpose of terrorist groups as terrorist want their projection to spread fear and media help them achieve their desired objective. How will this be corrected? All the problems that have been created by us need to be fixed by us.At many instances, we are part of problem and at numerous others, our silence over a problem signals that we are ready to live with it. Following examples may seem harsh, but they are a true reflection of reality. We are mentally prepared before sending our children to school, college, university that security of our c hild is not guaranteed and we would accept any mishap as undeniable/inevitable fate. We may sooner or later get to hear news of our close relatives’ death in a bombast, street crime incident or target killing attack and our lives may also end one day in much the similar way.As there is no single problem, there is no single solution. Each one of us will have to consider what lies in his/her sphere of influence, and try to correct that boldly. Courage will have to be demonstrated and sacrifices need to be made. Words do not count, it is our actions that matter. A great quotation of HAZRAT ALI is â€Å"the maximum limit of cruelty is determined by the tolerance level of the oppressed† . We need to be intolerant towards wrongs and challenge it bravely. Nothing would change until we learn to react and react in right manner.

Tuesday, October 22, 2019

Psychology-Chapter 7 Essay Example

Psychology Psychology-Chapter 7 Paper Psychology-Chapter 7 Paper Essay Topic: Literature George Miller found that the average person is able to keep about ____ digits in mind at a time. seven Tim can remember what he had for lunch yesterday. This is an example of aan episodic memory. The memory of things that happen to us or occur in our life are referred to as episodic memory. Recall of what your professor said in class is ____ memory, and recall of what you wore that day are instances of ____ memory. semantic; episodic General knowledge of history, algebra, and literature refers to ____ memory. semantic Tracy took tennis lessons when she was very young but had not played tennis for years when she decided to enroll in a tennis class at college. A moment after she picked up her racket, she realized with surprise that she had shifted it to the correct forehand grip without even thinking. Tracys ____ memory made this possible. implicit The memory that tends to fail when we are feeling stressed, distracted, and preoccupied is called prospective memory. The stages of information processing in memory are encoding, storage, and retrieval Which of the following could be used to store The Star Spangled Banner song in memory? acoustic code ____ means maintaining information over time. Storage While doing his homework, Joe noticed that he was having difficulty remembering a formula for his statistics assignment. He realized he would have to review it more often to be able to recall the information. Psychologist refer to his realization as metamemory. A psychology student wants to know how to remember the various aspects of operant conditioning. His teacher tells him to relate it to classical conditioning, which he already knows. This is an example of ____ rehearsal. elaborative The process of locating and returning information to consciousness is referred to as retrieval Sofia is taking a chemistry exam. She has not studied conscientiously, and the meanings of the chemical suffixes seem to be confusing. Sofias difficulty in remembering is most probably due to encoding failure. Psychologist believe that we possess a sensory register for each of our sensory systems. Photographic memory involves iconic memory and eidetic imagery. The memory that enables one to hold information for a limited time in their mind is called short term memory. To save information that is in short term memory you must repeat the information mentally or out loud. The way in which we conceptualize our worlds, our beliefs, and our expectations are built around cognitive structures called schemas. ____ is formed in long-term memory by organizing information into groups of classes according to common or distinct features. Hierarchical structure Remembering nonsense syllables is difficult because they are meaningless and require acoustic coding and maintenance rehearsal. In taking the position that only fill-in-the-blank tests are suitable for testing the knowledge of students, Professor Terry is mainly interested in measuring recall When old information interferes with the recall of new information this is ____; when new information interferes with the recall of old information this is ____. proactive interference; retroactive interference Psychoanalysts believe that dissociative amnesia involves repression Freud discovered that many patients could not recall episodes that happened prior to the age of three and that their recall was cloudy through the age of five. He identified this phenomenon as ____ amnesia. infantile

Monday, October 21, 2019

The Industrial Uses of Gold and Silver Essays

The Industrial Uses of Gold and Silver Essays The Industrial Uses of Gold and Silver Essay The Industrial Uses of Gold and Silver Essay The Industrial Uses of Gold and Silver Metals such as gold and silver have been considered precious throughout history for their rarity and aesthetic appeal. These elements are important in modern industry as technological advances expand the applications and uses of their unique physical properties. The uses of these two metals are found in almost every field of interest. From medical to aerospace technology, the applications of these substances provide another reason for their desirability. The evolution of technology has increased its demand for gold’s physical properties. One of the key differences between gold and silver is its resistance to tarnishing. Even though silver and copper are better conductors, gold’s defiance against environmental effects makes it a perfect for electronics where consistent performance over time is desired. Melting other metals with gold forms a gold-based alloy which is extremely heat resistant but can still act as a conductor. These alloys are then used in electronics that operate under intensely high temperatures, such as toasters (World Gold Council, 2012). One significant area where gold is consumed for its reliability is the military. The military uses gold in the form of connectors where the reliability of its electronics is an important factor because using gold connectors can mean the difference between life and death. This is why every tank, helicopter, fight jet, and other military hardware has gold in some form or another. The medical field has also recognized the gold’s reliable characteristics. Most, if not all of the life support electronics are plated with gold as its conductor. One medical application of gold that is not related to electronics is the treatment of a condition called Lagophthalmos. A person with this condition has the inability to fully close their eyes. By implanting tiny amounts of gold in the upper eyelid, the extra weight allows them to completely close their eyes. Gold is used because it has excellent biocompatibility unlike many other metals which have a toxicity level harmful to humans (Goodman, 2002). Gold is not the only metal with medical applications. Silver has valuable anti-bacterial characteristics and unlike other metals with anti-microbial properties, it is not harmful to humans (Daima, 2011 pg. 1). Before antibiotics were invented, silver was been used as a weapon against diseases during World War I. One of the best features about silver is the fact that bacteria cannot adapt to it like they do with antibiotics. Today, silver is added to medical instruments such as bandages and scalpels. Some hospitals have even gone to the extent of coating door knobs, flooring, and files with silver to create a more sanitary environment. Silver was also recently proven to promote the growth of new cells, making wounds heal faster (The Silver Institute, 2012). Even though it is not as corrosion-resistant as gold, it is highly valued in the electronics industry as super conductor. This means silver-based batteries are also super capacitors, lasting much longer than other batteries. Another unique property that silver has is its ability to reflect heat and radiation. Many of today’s office buildings have silver coated windows. This application of silver reflects up to 95% of the Sun’s rays, reducing the cost of cooling during hot summer days (The Silver Institute, 2012).

Sunday, October 20, 2019

A Time To Kill Essays - A Time To Kill, Clanton, John Grisham

A Time To Kill Essays - A Time To Kill, Clanton, John Grisham A Time To Kill A summary: Two white men, Billy Ray Lobb and Pete Williard rape the 10-year-old black girl Tonga. Everybody in the town is upset with the incident and the two men are found quickly and brought into jail. At the bail hearing Tongas father, Carl Lee Hailey, shoots the two rapists and now the town is split into two sides. One side understands Carl because a lot of fathers would have done the same thing in his situation. But the other side that contained most of the town people want him to be punished in the gas chamber. Jake Brigance becomes Hailes lawyer and realizes how complicated it is to deal with such a famous client. He has ti fight against the District Attorney who wants to use this trail to get famous. The case gets national attention and a lot of different organizations (Like the K.K.K) get involved. After a long trial, Carl Lee gets free, and everybody goes back to normal life in Clanton, Mississippi. A review for a paper: Time to Kill, one of the best known novels of the last 15 years, is a courtroom drama by John Grisham, set in a small town in southern Mississippi. Jake Brigance, a young, white lawyer is hired by a murderer of two rapists who raped his daughter. Sound complicated? It is- the murderer is black and the rapists are (or were) white. Jake Brigance is given the impossible task of proving that Carl Lee Hailey, the black murderer, is innocent. Impossible, because of a mostly white county, because of the Ku Klux Klan which lives again in Clanton, because of a win-at-all costs prosecutor, because of the racism and hypocrisy of the Mississippi citizens and judicial system. This book illustrates how no matter how much the world tries to say they celebrate their diversity or look past the differences, you have to look no farther than a small Mississippi town to see how untrue this is.

Saturday, October 19, 2019

Weekly journal week4 Essay Example | Topics and Well Written Essays - 750 words

Weekly journal week4 - Essay Example This gave me a lot of freedom to be myself and also paved the way for me to work independently and under very little supervision. Generally, the day was very successful as I was able to communicate well with the customers on issues that the management wanted given to them. DESCRIPTIVE: On the second day, I was made to work with the customers yet again as I was assigned the role of customer relations strategist. What this role meant was that I was supposed to suggest practical ways in which the company could increase its customer base. REFLECTIVE: A unique feature of the day’s role was that I was given the freedom to come out with my own strategy on finding out what the customers expected from the company and how this could be achieved to ensure that we built faith with the customers and in turn enhanced our services to them. This was a challenging task but having worked as a PR for the company, I was offered the opportunity to identify a lot of these ways by which we could win the hearts of customers. In confirming my ideas, I designed a simple questionnaire, which I gave out to customers who visited the company premises. They indicated their desired service treat and these were coded and forwarded to the administration. DESCRIPTIVE: The third day saw a repeat of what was started on the second day. This means that I was made to act as a customer relations strategists again. What I did differently from the previous day was basically to collect feedback from the questionnaire that was instituted the day before. REFLECTIVE: This day did not start as challenging as the previous day because I had held the same position before. New customers were given new questionnaire as old one’s were forwarded to the management. There was a brief meeting with the management to discuss ways of implementing the suggestions. The finance and budget officer was in the meeting to budget for

Friday, October 18, 2019

Political Cultures of Canada and the United States Essay

Political Cultures of Canada and the United States - Essay Example However, there has been observed a tendency of the change of attitude on this perspective by the Canadians, becoming increasingly detached to their government, fading their support for the custom political parties, in favor of new ones with new ideologies. This raises the concern as to whether the Canadian people are becoming Americanized. This issue creates different opinions from scholars, with Paul Nesbitt-Larking supporting this viewpoint while Michael Adams sees it in the contrary, citing the support for government action and universal health policy as a characteristic of Canada only. According to Paul, there has been a lot of American influence on the Canadian domestic and foreign affairs, in an attempt to have Canada annexed to the US. Although Canada is the greatest trading partner to the US, the US does not seem to recognize this, attributing this status to Japan (Nesbitt-Larking 3).The US does not seem to appreciate the monarchial system of the Canadian government, always a ttacking it through diplomacy. Described as ‘Elephantine,’ the influence of the US on Canada is apparent in various fronts. From the economy, where the US dominates the Canadian economy, having the most profitable organizations in Canada owned by the Americans to the entertainment, military and political institutions which almost replicate those of the US (Nesbitt-Larking 4). Though Canada has for long greatly struggled to maintain its ‘communitarianism’ ideology, it has been greatly affected by the ‘Individualism’ ideology of the US to the extent of perceiving the US political culture as the most perfect. Thus, according to Paul, Canada is constantly struggling between adopting the US possessive individualism and the European collective and conservative communitarianism. This spirit of Americanization is observed to have crept into the minds of the Canadians who even think it wise to have a re-union of both countries. The advocates of such opi nions are those who perceive the American spirit of entrepreneurship and individualism as the perfect spirit to embrace. Therefore, according to Paul, Americanization of the Canadians is slowly taking shape, and it might eventually turn rife and change the completely Canadian culture both economic and socio-political into the American one. The continued growth in popularity of the US political culture and the spirit of individualism is likely to cause a fading of the traditional political cultures of Canada and eventually have the new ideology adopted and the old political culture, systems and institutions done away with. This is what Paul refers to as the â€Å"danger of Americanization.’ Whether this occurs is dependent on the Canadian people’s ability to resist this cultural transformation, an aspect that has been there for long enough (Nesbitt-Larking 9). It is argued that the Canadian political parties and leaders have been propagating the individualism spirit an d ideology over the past two decades. This can been through the advocacy of the free market systems (Nesbitt-Larking 11). Through the fiscal and monetary policies, these leaders reduced the size of the public sector, through cuts to the sector and the provinces in terms of funding. The policies created unemployment and leaned the middle class earnings, through taxation. All this was meant to reduce the importance of the public sector and promote the spirit of ind

History Essay Example | Topics and Well Written Essays - 1500 words - 13

History - Essay Example Note the Confucius section is the last section of your paper and incorporates your experience from the two individual studies. There is only one Confucius section, not one for each individual   Thomas Jefferson was one of the most significant figures in U.S. History. He played a central role in the revolution; however, his most important contribution to the development of the new nation was his work on the Declaration of Independence. Indeed, Jefferson could be described as the most important of the Founding Fathers. Jefferson was born in1743 to a prominent Virginian farming family. Like most children from well-to-do families in the South he was well educated, studying Latin, Greek and eventually Law and philosophy at the College of William and Mary (Whitehouse.org). It is here that Jefferson was introduced to the British Enlightenment thinking of John Locke, Francis Bacon and Newton – three figures who were to have an enormous impact on Jefferson’s own political views (Peterson 1236). Upon graduating Jefferson practised law and entered Virginian political life. It was here that Jefferson began his more radical writing, protesting against the introduction of what he considered the implementation of unfair laws by the British Parliament (Remini 34). Jefferson was involved in the Second Continental Congress which produced his most famous and enduring document; the Declaration of Independence. After the Revolutionary War Jefferson entered re-entered politics serving as Governor of Vir ginia, a member of the new Congress, Ambassador to France, Secretary of State, and ultimately, the third President of the United States (McPherson 2000: 28-29). Jefferson made tremendous contributions to the evolutions and development of the Untied States. The three most important were, however, the creation of the Declaration if Independence, his co-founding of what was to become the Democratic-Republican party, and his actions during his Presidency – namely the

Thursday, October 17, 2019

Legal Requirements of a Will Essay Example | Topics and Well Written Essays - 2250 words

Legal Requirements of a Will - Essay Example Having understood the meaning of the will, the next step in the process of formation of the will is to understand the requirements of creating the will which has to be legally binding in the Court of law. Following are the conditions which have to be fulfilled in order to have a legally binding Will: 1. The Will made by the Testator must be the final version of his Will. There shall be no will made by him before he finally signs the Will, if in case there is a Will previous to the final Will then that Will shall be terminated and duly notified in the existence of the new and the final draft. 2. The Will shall be signed by the Testator 3. The Will shall have two witnesses at the least, and the witness’s shall have no inheritance of the assets in the structure of the Will, as they are supposed to be independent people who have no interest coming out from the creation of the Will. The Will should be signed by them. 4. The Testator has to be of sound mind and should be above 18 years of age. 5. The Testator should have an executer to execute the Will in the favour of the beneficiaries after his death, since the executer is the one who is responsible for the execution of the Will and making sure that the beneficiaries get their due share in accordance to the Will. 6. The Testator has to clearly identify the inheritors of his will and has to account for his property in full valuation.

Shereton In Poland Essay Example | Topics and Well Written Essays - 1500 words

Shereton In Poland - Essay Example The company's objective is to be recognized as the establishment that manages the finest hotels, resorts and residence clubs wherever they locate (Four Seasons Online). While the business of managing luxury establishments defines the industry the Four Seasons Hotels and Resorts is in, the company identifies its success on "a clear understanding of and belief in what (they) do and when (they) couple this conviction with sound financial planning." (Four Seasons Online) The company also believes that their greatest asset, and the key to their success, is their people, together with a high service level where the exclusive focus is on luxury hospitality (Four Seasons Online). For the 11th consecutive year, the Four Seasons has been named by Fortune Magazine as one of the "100 Best Companies to Work For." (Four Seasons Online) The company's distinguishing edge is therefore a global network that is attuned to the needs of the luxury traveler, and this is cemented in the number of awards granted, including twenty-three AAA Five Diamond Awards for 2009 from the American Automobile Association (Four Seasons Online). In addition to accommodation awards, five Four Seasons Hotels and Resorts were also awarded the prestigious Five Diamond Awards for restaurants (Four Seasons Online). In addition to offering luxury accommodation and spa services, the Four Seasons Hotels and Resorts also provide leisure activities for groups and families to ensure visits to the hotels and spas are not seen as destinations, but as experiences. Many properties offer signature golf courses, ski lessons, water sports, tennis instructions, fishing adventures, cooking classes, fitness facilities, and family activities. This provides each property an opportunity to showcase the uniqueness of each hotel location, whether through outdoor activities or cultural events and provides customers with a form of escape. Business travelers are also provided with high tech business services including dedicated business centers that house high-speed internet access, expert communication support, and in-room convenience from speakerphones to data ports (Four Seasons Online). Other services include wedding arrangements and packages with personalized support, business meeting packages, and ad hoc celebrations and events with catered menus and private dining rooms. The company also offers a Four Seasons Gift Card that can be purchased and personalized for everyday or occasional gift giving. Four Seasons Resort Experience In addition to offering outstanding activities and service as detailed above, a number of Four Seasons Resorts also provide a more inclusive and personal experience for guests. One example is the Four Seasons Tented Camp in the Golden Triangle (where Thailand meets Laos and Burma) that is accessible only by riverboat, and consists of 15 free-standing tented accommodations on elevated ground catering to a maximum of 30 guests (Four Seasons Online). To further allow guests to embrace and understand the resort's environment, the resort also became a founding member of the Golden Triangle Asian Elephant Foundation (GTAEF), which offers guests the opportunity to rescue elephants off the streets of Thailand and provide them with a safe, humane, and natural environment. Since then, the Foundation has successfully rescued 11 elephant babies off Thai city streets (Four Seasons Online). This lodging concept is appropriate for resorts situated in countries that are rich in culture and

Wednesday, October 16, 2019

Legal Requirements of a Will Essay Example | Topics and Well Written Essays - 2250 words

Legal Requirements of a Will - Essay Example Having understood the meaning of the will, the next step in the process of formation of the will is to understand the requirements of creating the will which has to be legally binding in the Court of law. Following are the conditions which have to be fulfilled in order to have a legally binding Will: 1. The Will made by the Testator must be the final version of his Will. There shall be no will made by him before he finally signs the Will, if in case there is a Will previous to the final Will then that Will shall be terminated and duly notified in the existence of the new and the final draft. 2. The Will shall be signed by the Testator 3. The Will shall have two witnesses at the least, and the witness’s shall have no inheritance of the assets in the structure of the Will, as they are supposed to be independent people who have no interest coming out from the creation of the Will. The Will should be signed by them. 4. The Testator has to be of sound mind and should be above 18 years of age. 5. The Testator should have an executer to execute the Will in the favour of the beneficiaries after his death, since the executer is the one who is responsible for the execution of the Will and making sure that the beneficiaries get their due share in accordance to the Will. 6. The Testator has to clearly identify the inheritors of his will and has to account for his property in full valuation.

Tuesday, October 15, 2019

Report on Various Funding Sources Dissertation Example | Topics and Well Written Essays - 3000 words

Report on Various Funding Sources - Dissertation Example The company has no debt and is equally divided in terms of ownership among five private individuals. Differing debt and equity funding opportunities present their own challenges, advantages, disadvantages, and sets of relationships, with equity financing offering greater flexibility on the surface and reduced impact to cash flows, but likewise compromised by its tendency to dilute control and to be of higher cost in the long term compared to debt financing. Debt financing, especially senior debt financing, offers the advantages of low costs in terms of lower interest rates, and of giving the borrowing company complete, unadulterated control of the company's destiny. On the other hand, debt financing impacts cash flow and hinders the company from using cash flow and profits to finance other projects. This is due to the payments that are required on a regular basis to service the debt. There is an opportunity for the firm to float shares in an initial public offering on markets outside of the UK, but this has to be explored in greater depth, given how any equity infusion dilutes ownership and control. On balance, and culling the insights from real-life companies employing differing modes of financing, senior debt financing is the best option for the company (FindLaw 2013; Advani 2006; National Federation of Independent Business 2013; Nolo 2007; Berman and Knight 2009; Terjesen n.d.; Ivashina and Kovner 2008; Kokemuller 2013; Peavler 2013; SimplyFinance 2007; DCA Partners n.d.; Doidge et al. 2011; Krantz 2013; Gan and Applegate 2013). II. Sourcing Funding for the Firm A. Funding Opportunities There are various camps and schools of thought advocating either debt or equity as the preferred mode of funding that yields the most benefits to firms. On the one hand are arguments for debt being cheaper sources of funding, and being sources of funding that does not dilute the ownership stake of current shareholders. This favors the interests of the owners of this firm, who have valid concerns about loss of control tied to funding options (Berman and Knight 2009). On the other hand, there are schools of thought that tout private equity as being of greater overall benefit to firms in comparison to debt financing, for various reasons as well Arguments are tied to the cost of either source of financing, with debt requiring, in some cases, lower returns on investment in comparison to equity infusions, where investors may require of the current owners higher returns, as well as voting rights and ownership rights commensurate to their investments. The rest of this report explores the different options and their implications for the company as well as the issues of interest discussed above (FindLaw 2013; Advani 2006; National Federation of Independent Business 2013; Nolo 2007; Berman and Knight 2009; Terjesen n.d.; Ivashina and Kovner 2008; Kokemuller 2013; Peavler 2013; SimplyFinance 2007; DCA Partners n.d.). The table below details the key points to consid er relating to using either debt or equity to finance the project at this company, as well as to source on-going funds moving forward (DCA Partners n.d.): Table Source: DCA Partners n.d., p. 4 The key differences relating to the concerns of the owners of this company are with regard to level of involvement, which is higher for equity financing options, as well as costs, which is lower for debt financing, together with the role of the providers of the capital in board-level

Bring Mobile Phones to School Essay Example for Free

Bring Mobile Phones to School Essay It has been debated nationwide and even worldwide for and against students being allowed to bring mobile phones to school. Usually, a school consists of three parts namely, the Primary, Middle and Upper section. We live in the 21st century which is very much a digital age and nowadays, almost every student other than in primary section, has a mobile phone. In my opinion, mobile phones are good for children as long as they are educated in its appropriate usage and the privilege given without being abused. Here are some reasons and benefits as to why students should bring phones to school. In the past, children had less activities in and after school and parents often never knew where their children were until they came home. In today’s world, children are so involved in after school activities such as clubs and societies, sports, music and tuition as directed by parents. Parents need to coordinate with the children, coaches, teachers in charge and other parties within their busy day to day schedules. Mobile phones allow parents to communicate with children at any time. Parents can check up on children and arrange transportation or relay important information if necessary. This supports organizing the daily schedule as we go along the day’s activities and increases the safety aspect. Mobile phones can also be an invaluable tool in emergency situations. For instance, if a student is severely injured or there is a crisis situation, cell phones can allow students to contact authorities for help. This can be especially important for students who do not travel to and from school with a parent, but in public transportation or school vans. It also helps children to have communication and build up networks amongst groups of common interests. Facilities like SMS allow to reach and communicate with large groups instantly with a record for future references, which also will save time and money. This option is also an advantage for teachers to reach their students at large in an effective manner for common messages. Further, with the added options such as Dictionary, Thesaurus, Reminders, e-mails and camera, the mobile phone expands the knowledge base and the capacity of a child and his scope. These features are commonly available in all mobile phones. Moreover, the student who carries a mobile phone has to protect it, be disciplined in it’s usage and also has to be knowledgeable in using it to his or her benefit. This improves the capacity of responsibility, self-discipline and knowledge sharing of the child which are very important attributes in a person’s life.  In conclusion, I think students should be allowed to bring mobile phones to school under the parents’ guidance and the schools should be clear in communicating its rules and regulations in terms of usage of the phones within school hours.

Monday, October 14, 2019

Pulmonary Hypertension Syndrome in Fast-growing Broilers

Pulmonary Hypertension Syndrome in Fast-growing Broilers This study investigated variations of plasma angiotensin II and gene expression of renin, angiotensin converting enzyme (ACE) and angiotensin II type 1 receptor (AT1R) in the heart of pulmonary hypertensive chickens. Plasma angiotensin II was significantly increased at 28 days of age (P1R was increased at 12 and 42 days (P1R and ACE transcripts in the left ventricle of the treated group were increased at days 12 and 42 respectively compared to controls (P1R mRNAs were relatively upregulated in heart of chickens developing pulmonary hypertension while considerable reduction of renin/ACE and elevation of AT1R in right ventricle of heart may involve in dilated cardiomyopathy. Key words: Renin-angiotensin system, Pulmonary hypertension, Broiler chicken. Introduction Pulmonary hypertension syndrome (PHS, ascites) in fast-growing broilers is an elevated blood pressure within the pulmonary circulation (Baghbanzadeh and Decuypere, 2008). Pulmonary hypertension initiates the sequential development of hypoxemia, right-sided congestive heart failure, central venous congestion, cirrhosis of the liver, and accumulation of ascitic fluid into the abdominal cavity (Balog, 2003). It is commonly accepted that PHS in fast-growing broilers is a direct effect of right atrioventricular valve insufficiency, ventricular volume overload and right ventricular dilation and failure (Baghbanzadeh and Decuypere, 2008). In PHS, a high vascular resistance due to an anatomically inadequate pulmonary vascular capacity and excessive vascular tone reflecting an imbalance between pulmonary vasoconstrictors and vasodilators has been demonstrated (Wideman et al., 2013). Many vasoactive elements are involved in the pathophysiology of PHS such as norepinephrine, thromboxane,endothe lin, serotonin, nitric oxide, prostacyclin and angiotensin II (Teshfam et al., 2006, Hassanpour et al., 2009, Hassanpour et al., 2011, Wideman et al., 2013). Pathophysiologic alterations in the cellular and molecular levels of this syndrome have been noted (Kim and Iwao, 2000, Sato et al., 2012, Hassanpour et al., 2013a, Hassanpour et al., 2013b). Angiotensin II (Ang II) is the central active component of the renin–angiotensin system (RAS) that plays a major role in regulating the cardiovascular system, and disorders of the RAS contribute largely to the pathophysiology of hypertension, renal disease and chronic heart failure (Dostal and Baker, 1999). This system is an ever-evolving endocrine system with considerable checks and balances on the production and catabolism of angiotensin peptides most likely due to the manifold effects of angiotensin (Putnam et al., 2012). In the RAS, a precursor peptide, angiotensinogen, is cleaved by renin to form the decapeptide angiotensin I. The dipeptidase angiotensin-converting enzyme (ACE) cleaves angiotensin I to form the octapeptide angiotensin II (Levy, 2004). Ang II, through the activation of specific Ang II types 1 and 2 receptors (AT1R; AT2R), regulates cardiac contractility, cell communication, and impulse propagation. In addition, Ang II is involved in cardiac remodeling, gro wth, and apoptosis (Paul et al., 2006, Ferreira et al., 2008). The concept of a local RAS located in the heart with autocrine and paracrine roles has been confirmed in mammals by many studies, particularly with the demonstration that elements of the RAS and Ang receptors are present in cardiac tissue (De Mello and Danser, 2000). The objective of this study was to determine plasma angiotensin and the relative amounts of renin, ACE and AT1R mRNA expression in the heart ventricles (right and left) of broiler chickens with pulmonary hypertension experimentally induced by 3,5,3†²-l-triiodothyronine (T3). This hormone increases metabolism via increasing number and size of mitochondria and stimulation of the cell membrane enzyme Na+-K+ ATPase), thus, increases oxygen consumption and requirement (Griffin and Ojeda, 2000). The increased body demand for oxygen prompts an increase in cardiac output. High cardiac output triggers an increase in lung arterial pressure, presumably because of the low compliance of the pulmonary vasculature (Balog, 2003). Materials and methods Birds and treatments A total of 60 One-day old male Ross 308 broiler chickens were assigned to a control or treatment group (30 birds per group). Each group was randomly divided into three equal replicates of 10 chickens per pen. The chickens were reared for seven weeks on wood shavings under standard conditions and provided ad libitum access to water and a standard ration (Starter: 12.6 MJ metabolisable energy (ME)/kg of diet, 230 g/kg crude protein (CP), Grower: 13.2 MJ ME/kg of diet, 210 g/kg CP, Finisher: 13.4 MJ ME/kg of diet, 190 g/kg CP formulated) to meet requirements for broilers . In the treatment group, T3 was included in the basal diets at a concentration of 1.5 mg T3/kg after day 6 of rearing period (Hassanpour et al., 2013a). Throughout the study mortality was recorded daily. Those broilers that died during the experimental period were examined for lesions of heart failure and ascites. The Institutional Animal Care and Use Committee of Ahvaz and Shahrekord Universities approved all procedures used in this study. Assessment of right ventricular hypertrophy At 12 and 42 d of age, six chickens from each group were selected at random, weighed and killed by decapitation. The heart was resected and right ventricle hypertrophy was estimated as described by Teshfam et al. (2006). The ratio of right ventricle to total ventricle (RV/TV) was calculated as an index of pulmonary hypertension. Chickens with an RV/TV ratio >0.28 were classified as pulmonary hypertensive chickens (Wideman, 2001). The right and left ventricles of the heart were immediately frozen in liquid nitrogen and stored at -70 °C for subsequent RNA analysis. RNA extraction and cDNA synthesis In this experiment, frozen ventricular tissues which had been prepared in the aseptic condition, were homogenized in a liquid nitrogen bath. Total RNA from right (six samples from each group at 12 and 42 days) and left ventricles (six samples from each group at 12 and 42 days) was extracted by a guanidine / phenol solution (RNx plus, Sinaclon Bioscience, Karaj, Iran). 100 mg of homogenized tissue was prepared in this solution. The homogenate was then mixed with chloroform. The resulting mixture was centrifuged (9000 rpm, 4 °C, 15 min), yielding an upper aqueous phase containing total RNA. Following 100% isopropanol precipitation, the RNA pellet was washed with 75% ethanol. The RNA samples were resuspended in DEPC-treated water. Total RNA was treated with RNase-free DNase (Sinaclon Bioscience, Karaj, Iran) to avoid amplification of contaminating genomic DNA. RNA was evaluated by agarose gel (1.5%) electrophoresis to determine extracted RNA quality as indicated by discrete 18S and 28 S rRNA bands. The amount and quality of RNA were determined by spectrophotometry. Only RNA of sufficient purity, having an absorbance ratio (A260/280) greater than 1.9, was considered for synthesis of cDNA. Total RNA was reverse transcribed into cDNA in a short time after extraction (less than 6 hours) using M-MLV reverse transcriptase (Sinaclon Bioscience, Karaj, Iran) as described by Hassanpour et al. (2010). The reverse-transcription (RT) was done in a 20  µl volume containing 2  µg of extracted RNA, 200 ng random hexamer, 0.5 mM dNTP. This mixture was heated to 65 °C for 5 min, and 40 u of RNase inhibitor, RT buffer (50 mM Tris-HCl, 75 mM KCl, 3 mM MgCl2), 10 mM DTT and 200 u M-MLV reverse transcriptase were added. This mixture was incubated for 5 min at 25 °C, followed by 50 min at 38 °C. The reverse transcription mix was heated to 75 °C for 15 min to denature the RNA and then stored at -20 °C. Quantitative real time PCR Analysis In this study, relative quantification of real time PCR was used to measure changes in a gene expression in response to T3 treatment. The levels of renin, AT1R, ACE and ÃŽ ²-actin transcripts were determined in the six samples of right and left ventricles from each group at 12 and 42 days by real-time reverse transcriptase (RT)-PCR using Eva-Green chemistry (Sinaclon Bioscience, Karaj, Iran). This method requires a suitable internal standard to control for variability between samples and to normalise the input load of cDNA. ÃŽ ²-actin was used as an internal standard. Specific primers of Renin, AT1R, ACE and ÃŽ ²-actin were designed with Primer-Blast (www.ncbi.nlm.nih.gov/tools/primer blast/index.cgi?LINK_LOC=blastHome). The expected products of primers in PCR were checked in Nucleotide-Blast (www.blast.ncbi.nlm.nih.gov/Blast.cgi?PROGRAM=blastnPAGE_TYPE=BlastSearchLINK_LOC=blasthome) which found no similarity with other chicken genes. Primers are listed in Table 1. PCRs were carried out in a real-time PCR cycler (Rotor Gene Q 6000, Qiagen, USA) in three replicates for each sample of ventricles. 1  µl cDNA was added to 4  µl Titan Hot Taq Eva-Green Ready Mix (Sinaclon Bioscience, Iran), 0.5  µM of each specific primer in a total volume of 20  µl. The thermal profile was 95 °C for 5 min, 35 cycles of 95 °C for 40 s, 60 °C for 35 s and 72 °C for 30 s. At the end of each phase, fluorescence was assessed by the real-time PCR cycler and used for quantitative objectives. The no-template control and no-reverse transcriptase control were used to check contamination in the PCR reagents. Gene expression data were normalized to ÃŽ ²-actin. Data were analyzed using Rotor Gene-software, version 2.0.2 (build 4) (Qiagen, USA) and LinRegPCR software version 2012.0 (Amsterdam, Netherland), to give the threshold cycle number and reaction efficiency (Ruijter et al., 2009). Relative transcript levels and fold changes in transcript abundance were calculated using eff iciency adjusted Livak methodology (à ¢Ã‹â€ Ã¢â‚¬  Ãƒ ¢Ã‹â€ Ã¢â‚¬  CT method) (Livak and Schmittgen, (2001). Measurement of angiotensin II in plasma The six chickens per group at 12, 21, 28, 35 and 42 days were selected for blood collection. Blood samples were collected from the brachial vein in heparinized syringes and centrifuged at 2,500g for 10 min to obtain plasma. The total amount of Ang II plasma level was quantified by using a commercially available Ang II-EIA kit (catalog No.: S-1133, Bachem Chemical Company, Germany) following the manufacturers instructions. Plasma proteins was precipitated as follows before the use of this kit. Briefly, 1 mL plasma was mixed with 2 mL acetone and centrifuged (10000 rpm, 4 ºC, 10 min). The supernatant was extracted with 4 mL petroleum benzine and left at room for 30 min. After discarding the ether phase, the aqueous, lower phase containing the angiotensin was evaporated to dryness at 40 ºC. The dried extracts were redissolved in 0.25 mL assay buffer (0.1 M Tris-HCl, (pH=7.4), 3 mg/mL bovine serum albumin and 2 mg/mL neomycin sulfate) and stored at -20 ºC prior to assay (Gray and S imon, 1985). The materials for protein precipitation were purchased from Sigma-Aldrich Chemical Co. The Ang II-EIA kit is an in vitro quantitative assay for detecting the angiotensin II peptide based on the principle of a competitive enzyme immunoassay (competitive binding to the Ang II antibody between biotinylated Ang II peptide and peptides in samples). This kit has intra-assay variation Statistical analysis Data are represented as mean  ± SE. Comparisons were made using an independent sample t-test between each treatment and its control. Statistical analysis was done using SPSS-16 software (SPSS Institute Inc.). All data were checked to have a normal distribution and log transformed if necessary. Any data requiring log transformation were back-transformed for presentation of data. P values less than 0.05 were considered significant. Results Estimation of right ventricular hypertrophy The RV/TV ratio was greater in the treated groups at 42 days of age (0.303  ± 0.021) than controls (0.215  ± 0.017) (P=0.004), while this ratio was not significant at 12 days (control: 0.154  ± 0.014; treatment: 0.171  ± 0.012) (P=0.091). The increase of RV/TV ratio was 29% at 42 days. The clinical signs of ascites was observable in the most treated chickens at the end of rearing period. Expression of renin, AT1R and ACE genes in the right and left ventricles Real-time PCR results of renin, ACE and AT1R genes are shown in Figs. 1–3. The expression of ÃŽ ²-actin was detected in all samples. The renin, AT1R and ACE genes were expressed in the right and left ventricles of control and T3-treated broilers at 12 and 42 days of age. The relative amount of renin mRNA expression in the right ventricle of the treated groups was significantly increased at 12 days (15.5 fold) (P=0.009) and decreased at 42 days (4 fold) of age compared to controls (P=0.012; Fig. 1). The relative amount of ACE mRNA expression in the left ventricle of the treated group was significantly increased (9 fold) at 42 days of age compared to controls (P=0.008), but did not differ at 12 days of age (Fig. 2). In the right ventricle, the expression of this gene was increased (2.9 fold) at 12 days (P=0.031) while decreased (3 fold) at 42 days of age in the treated group compared to control (P=0.024). The relative amount of AT1R mRNA expression in the right ventricle of the treated group was significantly increased at 12 (5.9 fold) (P=0.036) and 42 (3.7 fold) (P=0.044) days of age compared to control. In the left ventricle of the treated group, the mRNA amount of this gene was only higher (3.9 fold) at 12 days of age than control (P=0.043; Fig. 3). Assessment of plasma angiotensin II The level of Ang II was measured in plasma samples of chickens at 12, 21, 28, 35 and 42 days of age. The amount of Ang II was significantly increased in T3-treated chickens only at 28 days of age when compared with control (P=0.041; Fig. 4). In this study, total mortality was 23.3% for treatment group and 3.3% for control group. Discussion In the present study, the effect of T3 hormone was observed at 42 days of age which increased cardiac index (i.e., RV/TV > 0.28). According to Wideman (2001), this high cardiac index is associated with sustained pulmonary hypertension (significant high blood pressure of pulmonary artery and right ventricle). In T3-treated chickens of our experiment, cardiac index was not critically high to be noticed as pulmonary hypertension at 12 days of age. Thus, any alterations in cardiac RAS gene expression at this age were not related to this syndrome (Klein and Danzi, 2007, Vargas et al., 2012). Ang II, apart from its effect of elevating arterial pressure, exerts mitogenic and growth promoting effects on cardiac myocytes; both of these effects contribute to the development congestive heart failure (Varagic and Frohlich, 2002). In our experiment, the amount of plasma Ang II considerably was higher at 28 days of age and so at this time of rearing period could be critical in the incidence of PHS , as previously suggested by Hassanpour et al. (2011). However, our data showed that Ang II may be involved as an important factor in the induction of PHS, but its role in the development of this syndrome and heart dilation is not predominant, versus PHS in mammals (Wollert and Drexler, 1999). It must be noticed that hyperthyroidism increases degradation of proteins far exceed synthesis (Decuypere et al., 2005). Thus, variation of Ang II amount during rearing period of chickens could be affected by excess T3. At 42 days of age, cardiac index was considerably high to cause heart failure and PHS. It is noticed that this stage could be associated with heart dilation, which may differ cardiomyocytes structurally and functionally from hypertrophic stage (Lowes et al., 2002, Hassanpour et al., 2013a). Thus, alternations in the expression of mentioned genes in the heart ventricles, particularly in the right ventricle, which was more affected by PHS than the left ventricle, could be due to dilated cardiomyopathy. Renin mRNA has been detected in the heart of various species (Paul et al., 2006). Pieruzzi et al. (1995) described that volume overload of heart was able to increase renin mRNA in the rat heart. In contrast, Iwai et al. (1995) were unable to confirm these findings. In the present study, mRNA variations of this gene were not considerable in the left ventricle of the treated chickens while in the right ventricle, conspicuous increase (12 days) and decrease (42 days) were observed. The initial increase of renin mRNA may be influenced by volume overload of heart due to thyroid hormone while consequent decrease of this gene could be due to occurrence of the PHS. As previously mentioned, the end stage of PHS could be associated with dilated cardiomyopathy of the right ventricle in which cardiomyocytes are unable to contract properly. Apparently, this disability occurs in the expression of many genes (Ladenson et al., 1992, Lowes et al., 2002, Teshfam et al., 2006, Hassanpour et al., 2013b) . A reduction of renin mRNA in the right ventricle may be due to negative compensatory feedback of cardiomycytes against high activation of systemic RAS (high plasma Ang II). It may be also noticed that T3 initially stimulates expression of genes (such as renin) and then, suppresses transcription in long time, similar to its effect on protein (Ruckebusch et al., 1991). Further, the elevation of ACE mRNA might be influenced by thyroid hormone and initial induction of hypertrophy in the heart ventricles, while the reduction of this transcript occurred in the dilated right ventricle at the end stage of PHS. Hao et al. (2013) reported an increase of ACE mRNA and concentration of Ang II in the right ventricular tissue of cold stress-chickens at 42 days of age. This apparent discrepancy between our results and study of Hao et al. (2013) could be due to different routes in the induction of PHS. Comparison of cardiac index in these two studies confirms that induction of PHS with T3 was more severe than cold stress. Probably, the right ventricular remodeling in the cold stress-chickens was not completely progressed. Thus, it could be logical reason for increasing of ACE mRNA and Ang II in the hypertrophic right ventricle. The increasing of AT1R in the heart hypertrophy and heart failure has been confirmed (Barlucchi et al., 2001, Diniz et al., 2007) which is in relative agreement with our findings. Wollert and Drexler (1999) reviewed that AT-receptors-dependent signaling cascades potently modulate cardiac myocyte function and growth. They also reported that cardiac hypertrophy in response to haemodynamic overload can occur independently of the AT-receptors. In conclusion, the gene expression of renin, ACE and AT1R was relatively upregulated in the heart of chickens developing PHS. The right ventricle of hearts from pulmonary hypertensive chickens showed considerable reduction of renin, ACE and elevation of AT1R which may be involved in dilated cardiomyopathy.

Sunday, October 13, 2019

The Human Genome Project Essay -- Genetics Science Papers

The Human Genome Project The Human Genome Project is one of the most widely discussed topics in genetics today. The United States human genome project began in 1990, when the $3 billion dollar project to map 3 billion DNA base pairs was announced.(4) When the initial funding was provided, it was anticipated that the project would require 15 years to complete and the target date for completion was 2005.(8) Recent technological advances have shortened that time period, and it is now estimated that the program will be complete by 2003.(1) The program now has been expanded to an international effort involving research facilities in France, Germany, Japan, the United Kingdom and the United States. There are also several private companies that are sequencing the genome also. The majority of the funding for the United States human genome project has come from the Department of Energy's (DOE) Office of Biological and Environmental Research and the National Institute of Health (NIH). The objective of the project is t o create a DNA sequence library for a representative sample of the human genome. Such a reference library would prove to be priceless from a research standpoint, as well as an applied perspective. This library will aid in the identification of specific mutations which cause a distinct disorder or disease. If the normal base pair can be inserted in place of the abnormal one, gene therapy could become a reality. Along with this new technology comes several problems, both technical and ethical. The ethical issues play a major role in the use and possible implications of this technology. A special committee was formed to evaluate these ethical issues and to make recommendations regarding them. This committee was given the tit... ... http://www.ornl.gov/hgmis/publicat/hgn/v10n1/04bacend.html 5. U.S. Dept. of Energy. Human Genome News. "Five years of Progress in the Human Genome Project", Obtained from the WWW 09/07/99: 12/95: http://www.ornl.gov/TechResources/Human_Genome/publicat/hgn/v7n3/04progre.html 6. UNESCO. The Gene Letter. "UNESCO Declaration on the Human Genome and Human Rights, July 1997", Obtained from the WWW 09/07/99:07/99: http://www.geneletter.org/0398/UNESCO.htm 7. U.S. Dept. of Energy. Human Genome Project: "Ethical, Legal and Social Issues (ELSI) of the Human Genome Project", Obtained from the WWW 08/31/99: 08/31/99: http://www.ornl.gov/TechResources/HumanGenome/resource/elsi.html 8. U.S. Dept. of Energy. Human Genome News. "U.S. HGP on Fast Track for Early Completion", Obtained from the WWW 8/31/99:2/1/99: http://www.ornl.gov/hgmis/publicat/hgn/v10n1/01goals.html

Saturday, October 12, 2019

Education of Children with Learning Disabilities Essay -- Teaching Edu

Education of Children with Learning Disabilities For centuries, the education of children with learning disabilities has been a problem and a challenge. Many methods of teaching have been proposed, yet every day there are new techniques and strategies on how to achieve the maximum success of these children. The problem of educating a child cannot be solved quickly and easily, rather it requires much careful analysis and research. Workers in this field are developing new theories on a day-to-day basis. All the methods proposed seem to be the answer, yet the problem is not yet solved. Meanwhile, we must determine the best strategies for the most effective method of teaching a child with learning disabilities. Children whom we are discussing are those who are sometimes thought to be unprogressive or otherwise not achieving as well as they should at their age level in school. They are usually average children who experience extreme difficulty in learning how to read or to do mathematical problems, or who have difficulty in handling a pencil, buttoning buttons, or tying shoelaces. They can be harshly teased by their classmates for clumsiness or â€Å"stupidity,† and are frequently labeled as â€Å"disciplinary† problems by their teachers because they may act up in class in an attempt to blend in their lack of preparation. Their disabilities are often not recognized and many times these children grow up and go through life, still impaired, still making adjustments, never having been helped because the nature of their disability had not been recognized. Children with learning and behavioral difficulties have a lot in common with all children. They rarely exhibit any kinds of learning and behavior characteristics that are not also seen in the typical child. For example, many times they cannot tell the difference between similar letters or numbers. Many children also exhibit visual perceptual problems during their early exposure of reading instruction, but most children soon learn the appropriate visual discrimination and the associated letter sound, etc. However, it is the children that continue to experience these problems that are diagnosed as having learning difficulties. The proper identification of a learning problem is only the first step in the redemption process. Before the data obtained from testing and from subjective observations can have... ...mined by the capabilities of the child himself. There is a growing concern for children and youth with learning disabilities who have extreme difficulty both academically and in other areas despite their mental capability. The inquiry of the youngster who encounters extraordinary difficulty in learning, however, is not in anyway new. Throughout the years, children from all different surroundings and backgrounds have experienced difficulties in learning. Researchers and investigators have been trying to solve this problem. However, as of now, we may only come to one conclusion, that the best way to teach these children is to bring them up in a surrounding where they learn to develop a positive attitude toward themselves. The child must want to thrive and achieve his best. Whichever teaching method is chosen, whether it is mainstreaming or home-based, and the educator must have high expectations in order so that the child will gain self-confidence. This is only a guide, for it is clearly not a solution. It is most likely that a solution will never be found but rather we must work with each child as an individual so that he/she may reach his/her potential and achieve maximum success.

Friday, October 11, 2019

A comprehensive protection plan

The primary objective of drawing a comprehensive protection plan is to enable an individual or an organization to survive or avoid a disaster (security threat) and therefore continue with his/her normal daily activities smoothly. To be able to achieve the above, one has to fully access the existing vulnerabilities in relations to the present, and predict future trends. As such therefore, comprehensive protection planning is tedious, complex, and requires careful and proper strategizing. In order for the plan to be relevant, both the security agent and the client have to make sure that, the plan is adhered to, up to the dot.Protection plans are not a two-month project neither is it a plan that once completed one can forget about it. The plan must be maintained, and tested regularly to gauge its efficient.Any security protection plan has to be systematic so that in the end, security threats can be avoided. The following steps need to be followed in order to come up with a comprehensive protection plan. 1) Plan description; this involves things like; (I) Pre-planning, which deals with the understanding of the immediate environment of an individual or an organization. (ii)Vulnerability assessment:- This concentrates on activities which can reduce the possibility of   a disaster occurrence.(iii) Disaster impact:- A detailed study should be carried out to determine the outcome, should a disaster occur.(iv) Definition of tasks:-this deals with the real course of action should a disaster occur(v)Plan development:-during this phase, recovery plans are tackled and clearly documented.(vi) Testing phase:-the above plan is now   put into real test so as to gauge its feasibility and if possible alternatives are evaluated.(vii)Maintenance of the plan is a very critical phase as   it determines the success of the whole plan should a security threat take place.(viii) Implementation of the plan:– this is   the most important phase of a comprehensive protection pla n since the plan will be of no use if it will not be fully implemented. As such implementation includes the following; defining the plan approach, identifying plan implementers, and modifying the plan when need be.The next step, number (2) plan objectives, which as said earlier the main objective of security protection plan is to enable an individual to survive a disaster and therefore carry on with their duties. As such, it requires critical operations trough out the course of plan. These critical operations can only be achieved by establishing of clear objectives.The objectives to any protection plan includes the following; (I) provision of safety to people incase of a disaster. (ii) Continuation with normal activities after a disaster. (iii) Minimize immediate damage and losses. (iv) Minimizing of disruption time. (V) Identify critical support incase the situations are out of control. These objectives help both the security agent and the client to be fully acquainted with the sco pe of the plan and the general security and safety procedures.Number three in this order is the plan organization and staffing. For the plan to be efficient, it needs to be effected by a number of people. Every level of the plan needs to be taken care of by professionals e.g. guards, drivers etc. initially we had said that protection planning is a tedious, complex, and labor-intensive program.This is so because it will be of no use to draw a detailed plan of action and fail to assign duties to specific people. Professionals as said earlier need to be in full time contact to execute the plan incase of a disaster happening.Lastly in this order are recourse requirements; people or organizations who have tried to develop or implement protection plans without providing the necessary recourses have been largely unsuccessful.Therefore, it is imperative that in order to successfully carry out a protection plan, the essential recourses must be employed to the maximum. Of importance also is t he regular testing of plans due to changes of time, and environment. These recourses can be divided into three categories; personnel costs, capitals costs, and on-going costs.( http://www.utoronto.ca/security/documentation/business_continuity/dis_rec_plan.htm)The above steps when followed keenly, then a comprehensive security protection plan can be drawn and successfully executed when need arises. In our contemporary society, security threats have become the order of the day and therefore there is a need to come up with protection plans to combat these threats.Some of the most areas, which are frequently affected when disaster strikes are communication networks, personal security, and transport systems. The following is a detailed plan of action to undertake in relation to communication, personal security, and transportation of a client.

Thursday, October 10, 2019

Entrepreneurship Versus Intrapreneurship

Entrepreneurship versus Intrapreneurship1 Veronica MAIER2 Cristiana POP ZENOVIA Abstract This paper provides a review of theoretical studies on the concepts of entrepreneurship and intrapreneurship, pinpointing the similarities and differences between them. Entrepreneurship continues to thrive in almost all corners of the world. Entrepreneurs are reshaping the business environment, creating a world in which their companies play an important role in the vitality of the global economy. But there is not always necessary to establish a company in order to implement new ideas.A great potential lies in applying business principles within existing organizations. Keywords: entrepreneurship, intrapreneurship, human capital, business, leadership JEL classification: L26 Introduction Why are entrepreneurs and intrapreneurs suddenly more important today than before? An explanation to this question would be that the world is changing nowadays more rapidly under the influence of new technologies. T he increasing competition hinders our work. It does not suffice anymore to stand before our competitors simply driven by our will of competing; we have to bring something new to the market.Entrepreneurs and intrapreneurs play a decisive role as they help the company (newly established or existing) to engage in new business and enter new markets. The concept of entrepreneurship is seen as the process of uncovering and developing an opportunity to create value through innovation and seizing that opportunity without regard to either resources (human and capital) or the location of the entrepreneur – in a new or existing company (Churchill, 1992). 1 2 Investing in people! Ph. D. scholarship, Project co-financed by the SECTORAL OPERATIONAL PROGRAM FOR HUMAN RESOURCES DEVELOPMENT 2007 – 2013, Priority Axis 1. Education and training in support for growth and development of a knowledge based society†, Key area of intervention 1. 5: Doctoral and post-doctoral programs in support of research. Contract nr. : POSDRU/88/1. 5/S/60185 – â€Å"INNOVATIVE DOCTORAL STUDIES IN A KNOWLEDGE BASED SOCIETY† Babes-Bolyai University, Cluj-Napoca, Romania Veronica MAIER, Babes-Bolyai University, Romania E-mail:veronica. [email  protected] com Cristiana POP ZENOVIA, Babes-Bolyai University, Romania E-mail:cristina. [email  protected] com Volume 12, Issue 5, December 2011 971 Review of International Comparative ManagementIntrapreneurship represent the initiation and implementation of innovative systems and practices within an organization, by some of its staff under the supervision of a manager who takes the role of an intrapreneur, in order to improve the economical performance of the organization, by using a part of its resources, namely those that previously have not been used in an appropriate manner. Intrapreneurship improves the economical and financial performance of the company, by applying a more efficient use of the resources and by using a suitable motivational system for its employees (Istocescu, 2003).Similarities and differences between entrepreneurship and intrapreneurship Unlike the entrepreneur, the intrapreneur acts within an existing organization. The intrapreneur is the revolutionary inside the organization, who fights for change and renewal from within the system. This may give rise to conflicts within the organization, so respect is the necessary key in order to channel these conflicts and transform them into positive aspects for the organization.Even though intrapreneurs benefit from using the resources of the organization for the implementation of the emerging opportunities, there are several motives why innovation is more difficult to implement in an existing organization, such as (Malek & Ilbach, 2004): †¢ The size: the bigger the organization the more difficult it is to have an overview of the actions of every employee †¢ Lack of communication: Specialization and separation, help in concentr ating on the areas of interest, but hinder communication. Internal competition: Internal competition amplifies the problem because instead of sharing the knowledge with others it borders the knowledge sharing. Everyone wants to keep the information for themselves. †¢ Feedback received in case of success/mistake: Costs in case of failure are too great and the reward for a successful outcome too small. Intrapreneurs must be allowed to commit mistakes, because such mistakes are an inevitable part in the entrepreneurial process. The recognition of success is also very rare.No company provides payment in advance for what an entrepreneur might accomplish, but a lot of them like to talk about the concept of intapreneurship and expected their employees to get involved and assume their risk. But finally, when motivated employees get involves and have success their only reward is a small bonus. †¢ Dullness: Many companies are slow and reluctant to change. Intrapreneurs bump many tim es into the well known sentence â€Å"We always did it this way†, which leaves little or no space to creativity.The willingness to try new things appears only when the company's shortcomings become apparent, but even so they don’t give room to an innovative leadership. †¢ Hierarchies: Organizational hierarchies compel employees to ask permission for actions that fall outside their daily duties. The more complex the hierarchy the more difficult it is to impose change. Hierarchies 972 Volume 12, Issue 5, December 2011 Review of International Comparative Management have also tended to create a short-term thinking.Employees on lower hierarchical levels have a â€Å"Victim-Mentality† due to a reduced area of action and reduced responsibilities. Those who wish to implement innovative ideas should first consider what the best option for them is: as an intrapreneur, as part of an existing organization, or an entrepreneur in a newly established company. In order to give an answer to this question an analysis of the advantages and disadvantages of both concepts is required. The table below helps someone decide what type of business best suits him after confronting him with the advantages and disadvantages that await him.Table 1: Entrepreneurship and intrapreneurship: advantages and disadvantages ENTREPRENEURSHIP Advantages Disadvantages You are your own boss – independency †¢ Money pressure – giving up on the security of a regular paycheck The income increases †¢ Less benefits as the business is new You have the chance to be original You have part of excitement and adventure †¢ Long working hours †¢ Mistakes are magnified There are a lot of possibilities Salary potential – you decide upon your †¢ All decisions must be made alone own salary INTRAPRENEURSHIP Advantages Disadvantages Ability to stay in a friendly, well known †¢ Reward may not be up to expectation environment †¢ Innovation may not be appreciated Practicing your skills within an organizaaccordingly tion – lower risk †¢ You can be innovative but to a cerUsing companies resources, good name, tain limit – you are not your own knowledge boss Access to customers, infrastructure †¢ †¢ †¢ †¢ †¢ †¢ †¢ †¢ †¢ †¢ After seeing the pros and the cons of each concept we think that it is useful to see also the similarities and differences between these two concepts.Morris & Kuratko (2002) are of the opinion that the literature is sometimes confusing in underlining what exactly makes an entrepreneur different from an intrapreneur and what they have in common. This is why they point out a serious a similarities and differences: Review of International Comparative Management Volume 12, Issue 5, December 2011 973 Table 2: Entrepreneurship and intrapreneurship: similarities and differences †¢ †¢ †¢ †¢ Similarities Both involve opportunity recognition and definition. Both require a unique business concept that takes the form of a product, process, or service. Both are driven by an individual champion who works with a team to bring the concept to fruition. Both require that the entrepreneur be able to balance vision with managerial skill, passion with pragmatism, and proactiveness with patience.Both involve concepts that are most vulnerable in the formative stage, and that require adaptation over time. Both entail a window of opportunity within which the concept can be successfully capitalized upon. Both are predicated on value creation and accountability to a customer. Both entail risk and require risk management strategies. Both require the entrepreneur to develop creative strategies for leveraging resources. Both involve significant ambiguity. Both require harvesting strategies. Differences †¢ In start-up entrepreneurship, the entrepreneur takes the risk in intrapreneurship and the company takes the risk other than career-related risk. In start-up the individual entrepreneur owns the concept and business in intrapreneurship; the company typically owns the concept and intellectual rights with the individual entrepreneur having little or no equity in the venture at all. †¢ In a start-up potential rewards for the individual entrepreneur are theoretically unlimited where in intrapreneurship an organizational structure is in place to limit rewards/compensation to the entrepreneur/employee. †¢ In a start-up venture, one strategic gaffe could mean instant failure; in intrapreneurship the organization has more flexibility for management errors. †¢ In a start-up the entrepreneur is subject or more susceptible to outside influences; in intrapreneurship the organization is more insulated from outside forces or influence. †¢ †¢ †¢ †¢ †¢ †¢ †¢ Source: Morris, 2000Other famous authors have also pinpointed some differences between entrepreneurship and i ntrapreneurship. Even though intrapreneurship is rooted in entrepreneurship (Amo & Kolvereid, 2005; Antoncic, 2001; Davis, 1999; Honig, 2001), there are several differences between these two concepts. In this context Antoncic & Hisrich (2003) note that while intrapreneurs make risky decisions by using the resources of the company, the entrepreneurs make risky decisions using their own resources (Antoncic & Hisrich, 2003). Intrapreneurship takes place among employees from within an organization while entrepreneurship tends to mainly be externally focused (Antoncic & Hisrich, 2003; Davis, 1999).Entrepreneurs prefer to develop tacit knowledge, in new organizations, instead of using procedures and mechanisms from other companies. On the other hand intrapreneurs work in organizations that have their own policies, procedures and bureaucracy (Antoncic & Hisrich, 2003; Davis, 1999). 974 Volume 12, Issue 5, December 2011 Review of International Comparative Management Although there are sever al differences between entrepreneurship and intrapreneurship, they also have some connections because intrapreneurship is consistently positioned as entrepreneurship within organizations (Antoncic, 2001; Davis, 1999). Conclusions In this paper we have reviewed the literature, which explores both entrepreneurship and intrapreneurship and the relations between them.An important outcome of the review is the identification of the similarities and differences between entrepreneurship and intrapreneurship and also the advantages and disadvantages of both concepts. Nowadays, when we are facing economically difficult times, entrepreneurship and inrapreneurship are an excellent tool for breaking out of the trend trough innovation, by bringing something new on the market. Both entrepreneurship and intrapreneurship are instruments of innovation that help in creating new competencies and accessing new markets. Finally, without developing the insight towards these various aspects, no change of t he company can be realized, and changing, so adapting means in fact, the survival of that company.The value created yesterday, can mean nothing today, therefore only a sustainable company, who recognizes the difference between an entrepreneur and intrapreneur, can turn ideas and creativity into successful new values for tomorrow. Bibliography 1. 2. 3. 4. 5. 6. 7. Amo, B. W. & Kolvereid, L. (2005). „Organizational strategy, individual personality and innovation behavior† Journal of Enterprising Culture, 13(1), pp. 7-19. Antoncic, B. (2001). „Organizational processes in intrapreneurship: a conceptual integration†, Journal of Enterprising Culture, 9(2), pp. 221-35. Antoncic, B. , & Hisrich, R. D. (2003). â€Å"Clarifying the intrapreneurship concept†, Journal of Small Business & Enterprise Development, 2003, pp. 724 Churchill, N. C. , â€Å"Reserch issues in entrepreneurship† (2003). n Antoncic, B & Hisrich, R, D, Clarifying the intrapreneurship co ncept, Journal of Small Business & Enterprise Development, pp. 7-24 Davis, K. S. (1999). â€Å"Decision criteria in the evaluation of potential inrapreneurs†, Journal of Engineering & Technology Management, pp. 295327 Honig, B. (2001). „Learning strategies and resources for entrepreneurs and intrapreneurs†, Entrepreneurship Theory and Practice , 26(1), pp. 21-35. Istocescu, A. (2006). Intreprenoriat si intraprenoriat in Romania, Editura ASE, pp. 67-85 Review of International Comparative Management Volume 12, Issue 5, December 2011 975 8. Levesque, M. & Minniti, M. (2006). „The effect of aging on entrepreneurial behaviour†, Journal of Business Venturing, 2006. 9. Malek, M. & Ibach, P. K. (2004).Entrepreneurship. Prinzipien, Ideen und Geschaftsmodelle zur Unternehmensgrundung im Informationszeitalter, dpunkt. verlag, pp. 105-113 10. Merrifield, D. B. (1993). „Intrapreneurial corporate renewal†, Journal of Business Venturing, pp. 383-389 11. M olina, C. & Callahan, J. L. (2009). „Fostering organizational performance. The role of learning and intrapreneurship†, Journal of European Industrial Training, 33(5), pp. 388-400. 12. Nicolescu, O. & Nicolescu, C. (2008). Intreprenoriatul si managementul intreprinderilor mici si mijlocii, Editura Economica, pp. 52-59 976 Volume 12, Issue 5, December 2011 Review of International Comparative Management

Wednesday, October 9, 2019

Influence Internet and Digital Technologies on Supply Chain Essay

Influence Internet and Digital Technologies on Supply Chain - Essay Example From the report it is clear that  organisations demonstrate concern on the agility of supply chain, reduction of product time cycle, efficiency, and product delivery. The essence of the above contention is to achieve high performance through introduction of effective and efficient services. The move from the traditional system to the electronic system was because of the influence created by the electronic system to the organisation performance.According to the paper findings the understanding of internet or information technology with respect to SCM would refer to a system where the organisation has no boundaries of sharing its information. Supply chain management is a process where an organisation coordinates, plans, and controls materials (goods) from supply to consumer. The chain consists of geographical facilities of distribution and links created through the transport system that connect the chain to the facilities. The chain would begin from the manufacturing organisation and would end with the consumer. The length of the chain determines the efficiency of the organisation.  Supplier to buyer relationship shows some degree of interdependence. Factors, which influence the interdependence, are bargaining power and supply power among others. The development of organisation’s strategy largely depends on its supply power.  The effectiveness of the chain would depend on the trust demonstrated by the concerned parties. Analysts contends that application of electronic system in product marketing i.e. IT reduces costs associated with coordination because it drastically cut cost of communication and the assets which offer create chain relationship (Salo and Karjaluoto, 2006:56). The competitiveness of a product in the market depends on the consumer information about the product. The essence of digital technology is to influence the traditional supply chain by creating effective operations. Study on traditional chain show that information availability i s limited thus leading to in adequate performance (Simchi-Levi, et.al. 2004:132). Communication is a vital element in the supply chain because it dictates terms of service between the suppliers and the buyers. The effectiveness of the system leads to strategic approaches, which influence the performance of the organisation. Researchers have observed that many organisations have embraced internet and other digital systems in their supply chain process. The shortcoming of the traditional chain includes limited functionality of the enterprise, inflexibility to adapt to environmental changes, limited support functionality in decision-making and limited modularity (Gordon, et.al. 2008:58). Supply Chain in the Book Industry Research on internet influence on SCM in book industry indicates that the application has an influence in the following areas procurement, supply relationship management, customer relationship management, and logistics (Wang, et.al.2011:13). The processes involved in s upply chain of books include publishing, creation, consumption and distribution. The trend is similar to other trends employed by other organisations. A bid to understand the impact of internet application to SCM leads to the following approach of explanations. Internet and other digital technologies on purchasing Availability of information through internet has influenced processes involve

Tuesday, October 8, 2019

International Insurance law Essay Example | Topics and Well Written Essays - 4000 words

International Insurance law - Essay Example The specific principle has been related mostly to the insurance law. The introduction of the above principle was considered as a measure for increasing the validity of marine contracts, a target that has been achieved but not fully. The examination of the principles’ aspects led to the assumption that the specific principle has led to the introduction of a series of rules; these rules are critically presented in this paper; appropriate literature and case law have been used in order so show the actual characteristics of the principle of good faith and its implications for the marine insurance contracts, to which the principle of utmost good faith is mostly related. It is concluded that the principle of utmost good faith has played a key role in the increase of validity of marine insurance contracts, at least for the side of insured. The weakness of the principle to provide a clear plan of action when a violation has occurred in regard to one or more terms of the contract invol ved is clear. The efforts that the Law Commission developed recently in regard to the protection of consumers in the particular field, could help to control the violations in marine insurance contracts – which are critical for the entire market – and to improve the performance of the principle of utmost good faith, as an element of the relevant agreements. 2. Utmost good faith in the English law 2.1 The context of the principle of utmost good faith The principle of utmost good faith has been derived from the principle of good faith – a common element of contracts. For this reason, in order to understand the elements and the rules of the principle of utmost good faith it would be necessary to refer primarily to the framework of the principle of good faith – as used in the common law. The principle of good faith can be characterized as an indispensable element of contracts. The above principle has been recognized as a valuable criterion for deciding on the validity of a contract – especially in cases where the intention of the parties involved is not easily identified.1 In the Scots law, the principle of good faith, or else the ‘bonae fidei’ is a prerequisite for all contracts,2 even if opposite views have been periodically developed.3 Theorists and researchers have used similar approaches in order to describe good faith. In accordance with the most common view, the good faith can be characterized as ‘acting on the assumption of honest dealing’4. The principle of good faith is not accepted as a general principle; it is rather used in specific types of contracts, like ‘the insurance and employment contracts’;5 Conflicts have been often developed regarding the potential value of the principle of good faith for contracts. In Scotland, the most recent trends, lead to the limitation of the necessity of good faith for contracts; however, there are opposite views supporting the value of good fait h in contracts. The supporters of good faith in Scotland refer to the need for continuation of civilian traditions, as an argument for promoting the use of good faith in contracts.6 It should be noted that the principle of good faith is not strongly supported in the context of the common law; on the contrary, in the civil law, emphasis is given on the use of the principle