Saturday, August 31, 2019

Cultural Landscape Essay

A cultural landscape is a piece of land that possesses natural and cultural resources related to an historic event, person, or group of people. They are usually man-made lexis of relationships with the nature and/or society or culture. These can include grand estates, public gardens and parks, educational institutions, cemeteries, highways, and industrial sites. Cultural landscapes are also humanist works of art, texts and narratives of cultures that express regional and cultural identity. They also present relationship to their ecological perspective. Human activities have turned out to be a major cause of shaping most cultivated landscapes on the surface of Earth. Human, animal and machine labor expended in using the land can create outstanding cultural landscapes with high aesthetic, cultural and ecological value such as the paddy-field rice terraces of south-east Asia, but may as well result in land degradation as is the case in some regions in the Mediterranean. The distribution of landforms such as steep slopes, fertile plains, inundated valleys in a landscape sets the frame for land use by determining factors such as accessibility, water and nutrient availability, but may over long periods of time also be changed through land use. On the other hand, land use serves distinct socio-economic purposes: land may supply materials and energy through hunting, agriculture or forestry, it may host infrastructure, or it may be needed to absorb waste and emissions (Haberl et al. , 2004). Landscapes can be seen as the contingent and historically variable outcome of this interplay between socio-economic and biophysical forces. During the evolution of cultural landscapes throughout the world, humans have developed adaptive land-use techniques and created specific patterns of fields, farmsteads, remnant woodlots and the like that depended on both natural and socio-economic conditions. In European agricultural landscapes, the long history of land transformation has led to regionally distinct regular patterns of geometrically arranged landscape elements, reflecting the historical and cultural background of the prevailing land-use system of a region (Bell, 1999). The spatial distribution of ecotopes, the so-called landscape structure, has therefore often been regarded as a mosaic of ‘frozen processes’; i. e. landscape structure assumedly mirrors the processes which had been going on in a landscape. This perception has even become a central paradigm in modern landscape ecology. While many ecosystem processes are difficult to observe directly, landscape structure can be derived from mapping as well as from remote-sensing data; therefore, landscape structure was often not only used to evaluate the ecological value of landscapes, but also to judge ecological aspects of the sustainability of land-use patterns (Wrbka et al. , 1999b). The Influence Of Land Form On The Intensity Of Land Use Cultural landscapes have, in contrast to natural and semi-natural landscapes, special characteristics. The disturbance regime as well as the major material and energy fluxes in these transformed landscapes is controlled to a large extent by humans. This is done by the different land-use practices applied for meadows, arable land or forests. Decisions about land use are made according to the local agro-ecological characteristics which are nested in a hierarchy of social, economical and technical constraints. Cultural landscapes can thus only be understood by analyzing the interplay between biophysical and socioeconomic patterns and processes. Landscape Structure And Intensity Of Land Use Odum and Turner (1989) found that the landscape elements of the Georgia landscape in the early 1930s had a higher fractal dimension than the elements of the same region in the 1980s. During the same period of time the use of fertilizers, pesticides and other agrochemicals increased dramatically. This illustrates that the growing human impact on the land may result in a landscape with decreasing geometrical complexity. Human activities introduce rectangularity and rectilinearity into landscapes, producing regular shapes with straight borders (Forman, 1999; Forman and Moore, 1992). Various studies suggest that the rate of landscape transformation is a function of land-use intensity (Alard and Poudevigne, 1999; Hietala-Koivu, 1999; Mander et al. , 1999; Odum and Turner, 1989), and that the geometric complexity of a landscape in particular decreases with increasing land-use intensity accompanied by a decrease of habitat heterogeneity and an increase of production units. Applying the thermodynamic laws to landscape structure, Forman and Moore (1992) suggested that the concentrated input of energy (e. g. , by tractor ploughing, plant production, wildfire) decreases the entropy of patches compared to adjacent areas and produces straight and abrupt boundaries. In other words, energy is required to convert natural curvilinear boundaries into straight lines and energy is required to maintain them. The reduction of the energy input increases entropy and revegetation convolutes and softens landscape boundaries. This means that the ‘landscape structure’, in the sense of Forman and Godron (1986), can be regarded as ‘frozen processes’. Landscape Structure And Biodiversity Many surveys show that species richness of vascular plants and bryophytes normally decreases with land-use intensity (Luoto, 2000; Mander et al. , 1999; Zechmeister and Moser, 2001; Zechmeister et al. , 2003). As the link between landscape structure and land-use intensity could be established, shape complexity as a measure of land-use intensity seems to be also a good predictor of species richness (Moser et al. , 2002; Wrbka et al. , 1999a). Accordingly, higher species richness in areas with high LD and richness values can be expected. The use of shape complexity indices as indicators for plant species richness is based on an assumed correlation between geometric landscape complexity and biodiversity (Moser et al. , 2002). Obviously, this correlation is not mechanistic but it is supposed to be due to congruent effects of land-use intensity on landscape shape complexity and species richness. Moser et al. (2002) gives a good literature overview about the driving factors responsible for the decrease of landscape complexity with increasing land-use intensity, which resulted in the following key findings: * The majority of landscape elements in agricultural landscapes are designed by humans as rectangles with straight and distinct boundaries (Forman, 1999). * Outside boundaries of semi-natural or natural patches are straightened by neighboring cultivated areas (). * Increasing land-use intensity is accompanied by a decrease of semi-natural and natural areas (Alard and Poudevigne, 1999; Mander et al. , 1999), resulting in a decrease of natural curvilinear boundaries. * Intensification in agriculture tends to increase the size of production units (Alard and Poudevigne, 1999; Hietala-Koivu, 1999). In addition to that intensification of land use on the production unit, e. g. , by fertilizing or increased mowing intensity, also leads to a dramatic decrease of the species richness (Zechmeister et al. , 2003). The description of the degradation of semi-natural and agricultural landscapes shows clearly the interdependence of biodiversity and landscape heterogeneity, induced by closely interwoven ecological, demographical, socio-economic and cultural factors. For an effective conservation management of biodiversity and landscape eco-diversity, a clear understanding of the ecological and cultural processes and their perturbations is essential. Intermediate disturbance levels lead to a highly complex and diverse cultural landscape which can host many plant and animal species. Landscapes, with ‘eco-diversity hotspots’, can be regarded as hint for ‘biodiversity hotspots’. Landscape pattern indicators therefore play an important role for landscape conservation planning. The understanding of landscape processes is crucial for the conservation of both, landscape eco-diversity and biodiversity. Conclusions From a conservation biology point of view, the ongoing process of genetic erosion and biodiversity loss as well as the replacement of specific recognizable cultural landscapes by monotonous ubiquistic production sites will continue. The biophysical characteristics and natural constraints of the investigated landscapes are interwoven with the regional historic and socio-economical development. This interplay is the background for the development of a variety of cultural landscapes which have their own specific characteristics. Geo-ecological land-units provide one solution. This is of special importance when the relationship of landscape patterns and underlying processes is under investigation. Works Cited Alard, D. , Poudevigne, I. Factors controlling plant diversity in rural landscapes: a functional approach. Landscape and Urban Planning, 1999: 46, 29–39 Bell, S. , Landscape—Pattern, Perception and Process. E. &F. N. Spon, London, 1999 Forman, R. T. T. , & Godron, M. Landscape Ecology. Wiley, New York, 1986. Forman, R. T. T. , & Moore, P. N. Theoretical foundations for understanding boundaries in landscape mosaics. In: Hansen, F. J. , Castri, F. (Eds. ), Landscape Boundaries. Consequences for Biotic Diversity and Ecological Flows. Springer, New York, 1992, pp. 236–258. Forman, R. T. T. Horizontal processes, roads, suburbs, societal objectives in landscape ecology. In: Klopatek, M. , Gardner, R. H. (Eds. ), Landscape Ecological Analysis: Issues and Applications. Springer, New York, 1999, pp. 35–53. Haberl, H. , Wackernagel, M. , Krausmann, F. , Erb, K. -H. , Monfreda, C. Ecological footprints and human appropriation of net primary production: A comparison. Land Use Policy, doi:10. 1016/ j. landusepol. 2003. 10. 008. , 2004 Hietala-Koivu, R. Agricultural landscape change: a case study in Y lane, Southwest Finland. Landscape and Urban Planning , 1999: 46, 103–108. Luoto, M.. Modelling of rare plant species richness by landscape variables in an agriculture area in Finland. Plant Ecology , 2000: 149, 157–168. Mander, U. , Mikk, M. , Ku. lvik, M.. Ecological and low intensity agriculture as contributors to landscape and biological diversity. Landscape and Urban Planning , 1999: 46, 169–177.

Friday, August 30, 2019

Cold War in the period 1945-53 Essay

â€Å"More a result of mutual misunderstanding than of expansionist policies by either the U.S.A or the U.S.S.R.† Discuss this view of the out break of the Cold War in the period 1945-53. This view of the outbreak of the Cold War in 1945-53 refutes the extremism of the orthodox and revisionist views, attesting a middle ground of â€Å"mutual understanding† that avoids appropriating blame to the policies of either superpower. However, the issue is less dichotomous than the hypothesis allows for. To call the Soviet Union’s foreign policy â€Å"expansionist† indicates that it has been interpreted as such, and is therefore subject to a possible misunderstanding of their motives for doing so. For example, Melvyn Leffler stresses the â€Å"reasonable criterion† when judging American and Soviet security demands, emphasizing that especially in the case of the Soviet Union, security was very much a reasonable imperative given their historical experience with invasions from contiguous states. In this case, Soviet policy may be defended as security-motivated, but was perceived by the U.S. as expansionist, based on the misunderstanding that the Soviet Union was entirely motivated by ideology. Conversely, Marc Thachtenberg defends the American point of view, arguing that Leffler’s interpretation understates the reality of Soviet threat, therefore justifying an increased American political and economic presence in global geopolitics (e.g. the Marshall Plan, 1947). Therefore, the Sovietization of Eastern Europe and the Americanization of the Western Bloc (both perceived as expansionist policies by the other) could be said to have arisen from mutual misunderstanding of each other’s motives. The period 1945-53 was replete with examples of both Soviet and American expansionism. Even as early as February 1945, Stalin had already made it clear at Yalta that territorial expansionism was to be one of his imperatives. By 1948, fully communist government presided over the states of Eastern Europe and the Berlin blockade of Soviet design on West Germany. A similar inclination was demonstrated in Turkey, Northern Iran and Korea. While the Soviet incursions into Iran have been defended as a desire only to control its oil fields (an objective also shared by the West) and pressure on Turkey may have been viewed as a matter of security. Robert Jevis points out that if either of these probes had succeeded, further Soviet gains would have been likely, a consideration that Stalin would hardly have missed. This suggests that Stalin’s approach to expansionism was opportunist rather than inexorably purposeful. In other words, he was driven by realpolitik rather than ideology. However, Nigel Gould-Davies insist that Stalin was â€Å"immersed in ideology†, citing the congruence of Stalin’s theoretical work, Economic Problems of Socialism, with the premises that Marx’s Critique of the Gotha Program. Further, in the case of Korea, while Western leaders and many later scholars, such as Alexander George; construe the attack on South Korea as evidence of Soviet expansionism. Recent evidence presented by Kathryn Weathersby contends that Stalin authorized the invasion solely because he was mistakenly convinced that the U.S.A would resist. The diversity of opinion demonstrates how easily a superpower’s policies could be misconstrued depending on how motives were perceived. In the U.S, thanks to the ominous views of Soviet leadership espoused by George Kennan, leaders were increasingly convinced of Stalin’s desire for world revolution, and inaccurately equated Soviet expansionism with this goal without considering, for example, Soviet security needs. Equally, apprehension in the U.S Administration was mirrored on the Soviet side. Stalin understandably perceived the Marshall Plan as a â€Å"blatant American device† for gaining control of Western and (if not worse) Eastern Europe. Concerning Korea, Anotaly Dobrynin asserts that by the 1950s, Stalin â€Å"saw U.S. plans and actions as preparations for an all out war of unprovoked aggression against the Soviet Union.† The rollback policy did little to assuage this fear, and even thought its pursuit by General MacArthur proved to be an unfortunate divergence from the Truman Administration policy, the Soviets had already been convinced of American expansionism. It can be seen again, therefore, that mutual misunderstanding on both sides led to perceptions of the other’s policies as being expansionist, which in turn, sowed the distrust and reason from retaliatory action that set the Cold War in motion. In conclusion, barring other factors, the outbreak of the Cold War in 1945-53 was more a result of mutual misunderstanding than of expansionist policies by either superpower.

Thursday, August 29, 2019

An Introduction To DNA

An Introduction To DNA DNA (deoxyribonucleic acid) is the genetic material of eve living organisms including some viruses. It is a dimer consists of two strands that immerse upon each other and appear as a double helix that are linked together covalently with each other. Each strand is made up of similar repeating units called nucleotides. Each nucleotide composed of three different moieties,a 2-deoxyribose sugar,a phosphate group and a nitrogenous base. 1.1.1 2-Deoxyribose sugar The 2-deoxyribose sugar, a major structural component of DNA is a cyclic molecule .The sugars are joined together by phosphate groups that form phosphodiester bonds between third and fifth carbon atoms of adjacent sugar rings.The 5†² carbon of deoxyribose sugar is attached to the 3†² carbon of the next, and make a network of 3†² carbon and 5†² carbon.5’end of a DNA molecule is characterized by a free phosphate (P) group and the 3†² end is characterized by a free hydroxyl (OH) group. It lacks an hyd roxyl group at the 2 position as in a ribose therefore a sugar moiety is a 2-deoxyribose. Two free hydroxyl groups are also located on the 5 carbon and 3-carbon of 2-deoxyribose sugar.These hydroxyl groups give a DNA oligomer its designation of 5 and the 3 end(usually accent as â€Å"three prime end† and â€Å"five prime end†). 1.1.2 Sugar-Phosphate backbone The 2-deoxyribose sugar and a phosphate group forms the backbone in the DNA which are highly polar and defines directionality of the molecule. The polar hydrophilic back- bone is surrounded by a core of hydrophobic bases and is important for the stability and structure of DNA. The phosphate groups have a negative charge that gives a concentra- tion of negative charge on the backbone of DNA and also makes DNA,a negatively charge 5 1 Fundamentals molecule. The charge is also neutralised by DNA-binding proteins that contain the pos- itively charged amino acids lysine and arginine, which are attracted to the negatively charged phosphate backbone. See Fig. 1.1. Figure 1.1: DNA backbone 1.1.3 Nucleic acid bases DNA contain four different nitrogenous bases that make monomer of one nucleotide different from other. These bases are adenine (A), thymine (T), cytosine (C), and gua- nine(G). The bases come in two categories pyrimidines and purines. Larger nucleic acids adenine and guanine are members of a class of doubly ringed structures called purines while the smaller nucleic acids cytosine and thymine are members of a class of singly- ringed chemical structures called pyrimidines .A six-membered ring with two-nitrogen molecule formed a pyrimidine structure whereas purine is produced by a nine-membered, ring with four- nitrogen molecule. Each unit of the ring constructing the base is numbered to for specific identification. They are arranged in a particular order along the backbone of DNA to make a long chain of varying sequence that contains the code for proteins.The sequence specifies the exact genet ic instructions required to create a particular organism with its own unique traits. 6 1 Fundamentals 1.1.4 Base Pairing in DNA The nitrogenous bases are responsible to form double-strand of DNA in consequence of weak hydrogen bonds and have specific shapes and hydrogen bond properties. The three hydrogen bonds form between guanine and cytosine and then denoted as G.C or C.G,depending on which is associated with the first strand. Similarly adenine and thymine also bond exclusively by pairing of two hydrogen bonds and then denoted as A.T or T.A. This coupling up of nitrogen bases termed as complementarity.,A hydrogen bond donor need an equivalent hydrogen bond acceptor to form a hydrogen bond in the base across from it. Purines are only complementary with pyrimidines because molecules in pyrimidine-pyrimidine pairings are very far from each other that doesn’t makes the hydrogen bonding to be established. Purine-purine pairing are energetically unfavourable because the molecule s are too close and create an electrostatic repulsion. The only possible pairings are GT and AC. Primary and secondary amine groups or hydroxyl groups are common hydrogen bond donar while carbonyl and tertiary amines are common hydrogen bond acceptor groups. There are two hydrogen bonds between an A:T base pair. One hydrogen bond lie between the 6†² primary amine of adenine and the 4†² carbonyl of thymine. The other hydrogen bond form between the 1†² tertiary amine of adenine and the 2†² secondary amine of thymine. On the other hand,G:C base pair has three hydrogen bonds. One hydrogen bond lie between guanine with its 6†² hydrogen bond accepting carbonyl and cytosine having 4†² hydrogen bond accepting primary amine. The second hydrogen bond also formed between guanine on 1†² secondary amine and cytosine 3†² tertiary amine and the third formed between the 2†² primary amine on guanine and the 2†² carbonyl on cytosine.

Wednesday, August 28, 2019

Total confinement Term Paper Example | Topics and Well Written Essays - 1250 words

Total confinement - Term Paper Example Such units are meant for aggressive inmates. Generally, the units are single-cell, and are designed for confining inmates for up to 23-hours in one day over extremely period of time. Inmates in control units are mainly barred from enjoying normal contact with prison officials and fellow inmates. In contrast, the definition of a control unit is still debatable, since different countries have their own ways of categorizing prisons as Supermax (Rhodes, 2004). However, there are some general features which apply across board as far as Supermax prisons are concerned. Firstly, Supermax prisons provide long-term imprisonment of convicts. Once a criminal convict has been transferred to a control unit, he or she is expected to serve their sentence for several decades or indefinitely. Secondly, prison wardens and the administrators are at liberty to exercise high-handedness in their effort to exalt punishment on or in management of inmates (Rhodes, 2004). Any decisions made by the administrators or guards working in control units are final. Thirdly, Supermax prisons provide limited opportunities for inmate activities. The administrators limit entertainment, education, and recovery plans from substance abuse. In a nutshell, control units deviate from the generally rehabilitative culture of other prison facilities. Finally, inmates in Supermax prisoners are segregated from other prisoners, and as such, they are in solitary confinement. Supermax Prisons are primarily meant for intensive, and permanent solitary confinement purposes, which essentially deprives the inmates some of their human rights. The segregation policy is designed to inflict punishment upon the prisoners and safeguard them from causing self-harm or injury to others. Supermax inmates are allowed limited interaction with individuals from outside, perhaps because such interactions may heighten their criminal behaviour. In control units, inmates are normally permitted

Tuesday, August 27, 2019

American Academy of Physicians Assistants Essay

American Academy of Physicians Assistants - Essay Example The organization strives to enhance an improvement in healthcare through efforts to improve on the quality of the healthcare, the accessibility, and cost effectiveness (DEA Publishes Final Rule to Reclassify Hydrocodone Combination Products. (n.d.). The organization is guided by a comprehensive strategic plan through which the purpose for their existence is well laid out. Through such a comprehensive plan, the organization intends to achieve an acceleration of reforms both at the national and at the state levels majoring on increased access to healthcare and a reduction in costs (American Academy of Physician Assistants (AAPA)., 2012). They also intend to ensure that the patients who visit various healthcare centers get the value for their money. Through their consumer centric healthcare approach, the organization wants to make sure that key health decision making is left in the hands of the consumers of the products together with the key organizations who play a major role in the industry. They as well intend through competitive healthcare structures that the consumer get quality. Thie is well planned by way of consolidating the industry and the vertical integration of all the industry players. Such strategies are intended to open up the playing field making sure that there is a level play ground hence players are able to come in with their varied models (DEA Publishes Final Rule to Reclassify Hydrocodone Combination Products. (n.d.). These and more are the main issues that the society have come to realize as having an impact on the American population. Therefore, they are position the Pas by equipping them with skills and knowledge to combat such challenges head on. Through the values the organization stand for such as leadership and service, unity and teamwork, accountability and transparency as well as excellence and equity: the organization is able to impact positively on their stakeholders. The patients in the US as a result will be in the position

Monday, August 26, 2019

Siemens bribery scandal Essay Example | Topics and Well Written Essays - 500 words

Siemens bribery scandal - Essay Example Increase in the number of executives that have knowledge of the corruption that took place in Siemens has caused a spur in people regarding the extent to which von Pierer was aware of the corruption. However, the supervisory board chairman has maintained a firm opinion in these words, â€Å"Im deeply upset by what has happened† (Spiegel Online, 2006) and is surprised by the fact that few of the workers managed to eradicate all checks and balances. â€Å"It is hard to believe that something on this scale could be so organised and that no control was in place to catch it† (PILOT, 2012). However, there is a need to consider this act of Siemens in context of the business practices in place in Germany. This act happened at a time in which, bribery was not only a common practice in the businesses in Germany, but were also tax-deductible. The fact that Siemens appointed Hershman for the company’s assistance in the development of an effective anti-corruption program after the scandal of Siemens bribery broke out also speaks of the fact that no adequate system of checks and balances was in place in Siemens at the time when the bribery was made. Multinational corporations like Siemens are well-equipped to establish a strong system of checks and balances. Therefore, lack of an adequate system of checks and balances can be understood as ignorance and negligence of the concerned authorities in Siemens. â€Å"Corporations are better positioned to deal with corruption than governments, particularly publicly listed multinationals. They have lots of checks and balances that should prevent corruption. When we bring multinationals together with other private sector companies to work in collaboration, we can start putting pressure on governments to help lower their risk of corruption.† (Hershman cited in Kessler, 2012). Concluding, the processes of check and balance were extremely feeble and this helped the processing of payments. The corporate culture of

Kinotrope Technology in The Difference Engine Essay

Kinotrope Technology in The Difference Engine - Essay Example Charles Babbage, now known as Lord Babbage, invention leads to Britain being ruled by intellectuals. The Lord Byron, once Charles’s assistant, goes on to become Britain’s prime minister (Gibson & Bruce 67). Furthermore, the invention of the Difference Engine causes class warfare between the old guard and the new guard. The new guard wins this war, led by Lord Byron who assumes power after this upheaval. The novel is not one continuous narrative about Babbage rather it is the amalgamation of three stories. The novel first introduces the reader to Sybil Gerard, the daughter of a Luddite. Luddites, in this book, are the working class that oppose technology and are suppressed by the rulers (Gibson & Bruce 83). Sybil is not successful in her search for gainful employment and resorts to prostitution to make ends meet. Later she becomes the apprentice of a clacker under Sam Houston in the state of Texas. The second character is Edward â€Å"Leviathan† Mallory who has several titles under his belt. He is an explorer and a palaeontologist. His story revolves around the fact that he is being chased for his knowledge of a device known as the Modus (Gibson & Bruce106). The last character in the book is Laurence Oliphant who elaborates the misgivings of this Information age. The book requires one to brush up on the history on Europe and America. The brushing up helps in reducing confusion during the book as it relays an alternate history with real life characters (Rapatzikou 47). Moreover, the writers display depth in information on the technological capabilities that would be realistic in that period. Majority of novels adopt a utopian perspective in describing technologies in their novels. The culture of this generation still possesses barbaric practices such as slavery and sexism remain in force despite the technological advancement of the era. Other areas such as medicine are left in medieval status (McHale, Brian & Randall

Sunday, August 25, 2019

The Rise of the Internet Essay Example | Topics and Well Written Essays - 500 words

The Rise of the Internet - Essay Example From seeking knowledge to making friends on the internet and from paying bills online to purchasing groceries from online stores; the internet holds a significant place in my life. And not just in my life, the rise of the internet in the past few years has changed the way of living and thinking of many people all around the globe. Once it was the time when access to any information was limited, however; the advent of the internet has given the true meaning to the word of â€Å"information and its access† to anyone anywhere in the world. For me as a student, it is now much easier to gain access to any kind of e-book, information, and e-library within minutes without buying expensive books to study. With the passage of time, the internet has become an important element of one’s life. The Internet has played a vital role in my life in a positive manner. The rise and use of the internet may have its adverse impacts on the lives of many people. The usage of the internet depends on how a person takes advantage of the facility. Some may use it negatively while others can benefit themselves from the unlimited advantages of the internet (Young, 1996). As far as my life is concerned, the internet plays a very important role in it. It keeps me connected to my family members and friends who are living far away. The Internet has shrunk the distance and the boundaries between the relations. But sometimes I think that because of our too much dependency on the internet has made us more cyber social and less social in real life. Like any other technology, this is a major drawback. I see myself as more actively involved in social media networking websites such as Facebook and Twitter as compare to meeting and interacting with friends in person. Updating statuses and sharing vid eos and photos have become an important part of my life.

Saturday, August 24, 2019

Ethnic Minority Movements in the USA Term Paper

Ethnic Minority Movements in the USA - Term Paper Example The term paper "Ethnic Minority Movements in the USA" aims to carry out an in-depth research on the ethnic movements, which had been launched in the USA during nineteenth and twentieth centuries onward. One of the most important reasons behind conducting study includes the exploration of ethnic conflicts in the country. The studies reveal the very fact that although no society could be viewed as free from ethnic-racial discrimination, yet the same evidently exists in the multicultural regions of the world, particularly Europe, the USA and the Middle East with its extreme awkwardness, high intensity, and condemnable severity. Consequently, the existence of different ethnicities and racial groups serves as a universal phenomenon, though some of the societies, especially the USA, witness existence of almost all ethnic groups in the country. The American society consists of white Anglo Saxon, indigenous Red Indian, African American, and central and south Asian and Far East populations, a nd hence represents almost all ethnicities existing on the face of the earth. It is partly due to the reality that the USA has observed tremendous progress in all areas of life during the last two centuries. As a result, the individuals from various zones and regions of the globe have migrated to the USA on the temporary or permanent basis for seeking higher education, getting medical treatment, starting corporate ventures and in search of job and employment. The ancestors of contemporary era African Americans had also been taken as slaves.

Friday, August 23, 2019

3010 Essay Example | Topics and Well Written Essays - 750 words

3010 - Essay Example tiple learning styles, (4) information is presented via multiple channels, (5) grounded in personal reality, (6) conveys a clear goal, (7) earn and build on respect, and (8) create a friendly learning environment. Competent faculties are required to facilitate this to ensure efficient professional development of employees. Having professionals working in a business facilitates ease in the working environment and assurance of quality performance which is primarily the goal of every institution (Ulrich and Brockbank, p.243). 2. The legal context of employment decisions. It has been said by Bohlander and Snell (p.96) that when the HR management and all its functions are acted in compliance with the law organization and companies become more unbiased and more effective workplace. Awareness to the provisions of the law is therefore valuable in HR management especially in choosing the manpower for the organization. This way, occurrence of costly and time-consuming litigations can be prevented. 3. Building an HR Strategy. HR managers are expected to act in two manners when it comes to making decisions for the company. First is that they are fairly familiar with the business to be capable of directing the business strategy to be taken. And they play reactive role to initiate critical thinking among the members of the organization to come up with proficient strategy for the problem at hand. This criterion is necessary for HR managers to perfect to be able to help the members of the organization in arduous decision making and strategic planning (Ulrich and Brockbank, p.224). 4. HR Organization. Like in any other group of management of business, creating a clear organization is essential. This precludes confusion of authority, responsibilities and roles of each member. Selection of HR organization is base on the business organization type (Ulrich and Brockbank, p.179) and only after its fulfillment will the real value of HR management be achieved. 5. HR Competencies that

Thursday, August 22, 2019

Natural Resources Essay Example for Free

Natural Resources Essay Renewable energy is energy that is derived from natural resources which can be replenished naturally such as tides, sunlight, geothermal heat, rain and wind. Renewable energy accounts for about 10. 1 of the locally produced electricity in the United States. According to Nebel and Wright, hydro power which is generated using water is the prime source of renewable energy apart from solar energy, wind power, geothermal power and biomass and bio-fuel energies (214). The Tazimina project in Alaska is an example of hydropower plant that does not require a dam. Other hydroelectricity dams are found in Tennessee valley and on the Colorado River. Wind power which uses wind to generate electricity is becoming more and more popular and is mostly used in some regions such as in Appalachians, Western United States and Alaska. Though this source of energy does not pollute the environment it poses negative environmental impacts to wildlife. Although solar technologies and geothermal power have minimal destructive environmental impacts biomass power has the prospective of becoming the leading energy source not only in the U. S but the entire world. Biomass can be produced almost everywhere and is derived from wastes and alcohol fuels and can be converted into liquefied fuel to meet transportation energy requirements. It can also be used to produce electricity and as a source of heat. Ethanol and biodiesel are common forms of bio-fuels used in the U. S and are produced from plants. The U. S department should focus on reconnoitring ways of converting cellulose from forest residue, agricultural wastes and other materials to ethanol which is the most environmental friendly source of fuel. Since the U. S government released $30 million shillings towards the funding of Clean Energies Technologies to enhance the transition to a viable energy future, this can greatly assist in building an inclusive state renewable energy scheme that addresses the full range of market issues and technologies. As it is observed by the World Watch Institute (2006), we all need energy that is secure, improves public health, protects the environment, is reliable, offers technological leadership and addresses climate change. Works Cited Nebel, Bernard J. , and Wright, Richard T. Environmental Science: The Way the World Works. Ed. Upper Saddle, NJ: Prentice Hall, 1987. World Watch Institute, â€Å"American Energy: The Renewable Path to Energy Security†. September 2006. Retrieved on 20th July, 2010 from: http://www. worldwatch. org/files/pdf/AmericanEnergy. pdf

Wednesday, August 21, 2019

Arab Spring and the French Revolution Essay Example for Free

Arab Spring and the French Revolution Essay Prosper (Reap the rewards of your preparation and performance) The essay must include the following: Introduction paragraph (5 points) * First sentence is a quote used to â€Å"hook† the reader * You need to â€Å"in-text cite† the source of the quote * Then at least three sentences of French Revolution, Arab Spring background/historical context that sets up the thesis * Utilize facts from the French Revolution and Arab Spring * (Meaning: don’t respond to the prompt in the first four sentences) Thesis (15 points) A sophisticated, insightful, crystal clear thesis that states your argument and â€Å"drives† your essay * Thesis makes a claim that is analytical answering â€Å"why† or â€Å"How† (Hint: use the word â€Å"because†) * The thesis is the last sentence of the Introduction but is linked to each body paragraph topic (Claim) sentence Body Paragraphs Claim/Evidence (10 points) * Each topic (Claim) sentence must link to the Thesis otherwise I won’t read the paragraph; therefore no checks! * Each topic sentence must be supported with evidence from resources (utilizing details/facts—Characters, Setting, Plot, Quotes†¦Do Not Generalize!!! * A good rule of thumb is that each topic sentence (body paragraph) is supported with three evidences. Body Warrant/Analysis (10 points) * Include creative and thoughtful analysis * Make sense of FR/Prompt by stating something interesting and unique * Utilize â€Å"Big Idea† terms in your paragraphs (Analogy, Cause and Effect, Compare and Contrast, Foreshadowing, Irony, â€Å"Nothing New Under the Sun†, Paradox, â€Å"Turning Points†) * Explain the â€Å"Big Ideas† thoughtfully and completely Conclusion paragraph (5 points) Wrap the essay up with a conclusion that restates the main points of your essay * Do not include a new argument to the conclusion * Say something interesting: Leave me in awe, impressed; move my heart and mind! Mechanics/ MLA Requirements (10 points) * Excellent sentence structure, grammar and punctuation * The paper fulfills all MLA requirements (see checklist) * The Works Cited page is properly formatted (see checklist) * All of the required sources (3) are cited properly in the paper * The paper was submitted to turnitin. com by the deadline * The paper must be 850 1000 words Essay Rubric Unique/Original Strong Useful Basic Lacking Introduction (5/55)ExemplaryCommendable Capable Fair Poor 5 4. 5 4 3. 5 3 Proper Introduction†¦ * First sentence used to â€Å"hook† the reader * You need to â€Å"in-text cite† the source of the quote * Then at least three sentences of FR, Arab Spring background/historical context that sets up the thesis Unique/Original Strong Useful Basic Lacking Thesis (15/55)ExemplaryCommendable Capable Fair Poor 15 14 13 12 11 10 * A sophisticated, insightful, crystal clear thesis states your argument and â€Å"drives† your essay * Thesis makes a claim that is analytical answering â€Å"why† or â€Å"How† (Hint: use the word â€Å"because†) * The thesis is the last sentence of the Introduction but is linked to each body paragraph topic (Claim) sentence 2+ 21 20 19 17 16 13 12 11 Body: Claim/Evidence (10/55)ExemplaryCommendable Capable Fair Poor 10 pts 9 pts. 8 pts. 7 pts. 6 pts. * Each topic (Claim) sentence must link to the Thesis otherwise I won’t read the paragraph; therefore no checks! * Each topic (Claim) sentence must be supported with evidence from resources (utilizing details/facts People, Setting, Quotes†¦Do Not Generalize!!! ) * Each detail/fact will be checked (). The more checks () the better! Unique/Original Strong Useful Basic Lacking Body: Warrant/Analysis (10/55) ExemplaryCommendable Capable Fair Poor 10 pts 9 pts. 8 pts. 7 pts. 6 pts. * Include creative and thoughtful analysis * Say something interesting and unique * Utilize â€Å"Big Idea† terms in your sentences (Analogy, Cause and Effect, Compare and Contrast, Foreshadowing, Irony, â€Å"Nothing New Under the Sun†, Paradox, â€Å"Turning Points†) * Explain the â€Å"Big Ideas† thoughtfully and completely The ideas of the paper flow logically and are exceptionally stated Unique/Original Strong Useful Basic Lacking Conclusion (5/55)ExemplaryCommendable Capable Fair Poor 5 4. 5 4 3. 5 3 * Wrap the essay up with a conclusion that restates the main points of your essay * Do not include a new argument to the conclusion * Say something interesting: Leave me in awe, impressed; move my heart and mind! Excellent Strong Useful Basic Lacking ExemplaryCommendable Capable Fair Poor 0 pts 9 pts. 8 pts. 7 pts. 6 pts. Mechanics/MLA (10/55) * Excellent sentence structure, grammar and punctuation * The paper fulfills all MLA requirements (see checklist) * The Works Cited page is properly formatted (see checklist)

Tuesday, August 20, 2019

The Relationships Between Law And Democracy Politics Essay

The Relationships Between Law And Democracy Politics Essay The link between law, democracy, government policy, and employee behavior. Up to date, there is still confusion on the clear understanding of law, democracy, government policy, and human rights and freedoms. When studying the concepts of law and democracy, we can not avoid looking at the rule of law. The rule of law can be defined as a situation where the state involves its citizens in the process of making laws. It also requires that the legislative arm of government be separated from the executive and the judiciary i.e. the principle of separation of powers. Lastly it requires that no one should be above the law. With this opinion, we can conclude that without the rule of law, is not possible to achieve democracy. That it is the core element of a constitutional democracy. In understanding the differences and the relationships between law and democracy requires a wider understanding of law, constitution and democracy. In this paper we study the relationship between law, democracy, g overnment policies and employee behavior. The presence of democracy also influences the nature of government policies to be implemented in consideration of the human rights and freedom. Human rights also affect the labor laws and the behavior of workers. In a democratic state, strong civil society organizations are likely to emerge including the trade Unions to advocate for the workers rights (Resenfield, 2001). The Relationship between democracy and law To establish the relationship between democracy and law, we should understand the meaning of law and democracy. Law is understood to be the means where decisions are arrived at and implemented in a community. And in any community there is a center that makes these laws. In authoritarian or totalitarian regimes, there is often one person who is the centre of power. In most cases it turns out to a dictatorial regime. In a democratic system, members of a particular community are involved in the decision making process and in issues of governance. Therefore in democratic states, we can define law as the way in which the decisions that were arrived at are implemented by the authorities as a policy that represents the interest of the public (L D, n.d). Democracy is defined to be a system where members of a particular society are given the authority to govern themselves. There is always a relationship between law of a given society and the policies governing that society. Pubic policies have to be integrated into for the law for it to be implemented. Therefore law always provides connection between the democracy and constitution making, as it helps in the conversion of a societys norms or values into a form which the government can enforce or implement. Law helps in consolidating and promoting the interest of a particular community. This is achieved by encouraging the accountability of government by advocating for good governance. Through advocating good governance, it helps in fostering of democracy. Members of a community often elect a representative to present their interest and in the law making process. This is referred to a representative democracy (LD, n.d). There has been increased pressure to governments from international bodies and civil societies on the need for democracy in the international law. This was extended to the democracy in the elections in the states that are members or signatories of these organizations. Before joining, these international bodies push countries that are willing to join to form democratic governments. They also help in monitoring of elections among member countries when requested to. Member states are compelled to the protection of human rights, through a political process (Wouters, Meester, Ryngaert, 2004). The relationship between Government policy and Law There is a connection between government polices and Law. Government policies or public policies can only be implemented after being integrated into law. In democratic governments; law is often referred to as the rule of law. In this case, the people are often in involved in the process of decision making and governance. These governments are often held accountable by its citizens. They also hold free and fair elections after a specific period of time for example four or five years. In the rule of law, there is the principle separation of powers among the three arms of government, that is, the judiciary, legislative or parliament and the executive arm of government. This ensures that there is proper checks and balances. In democratic states, government policies are often geared towards enhancing human rights, media freedom and transparency. Most democracies are moving away from secret system of policy making to a more transparent one where its citizens can access any information of t he government from budgeting to national security. This was prompted by the trend of the use of the system of classification to group the information which did not relate to national security to hide some information from the public. This led to corruption and abuse of offices. In an attempt to bring back the public confidence and restore sanity in the government system, policy makers decided to make this information accessible to the public (Aftergood, 2009). Relationship between Employees behavior and law Application of labor laws in a given state is likely to have a direct impact on the workers and employer in that state. In most democratic states, trade unions have been formed to fight for and protect the workers rights. There is also international organization of workers known as ILO under an umbrella body of the UN that fights for the rights of workers. States are often pressurized by the international community to commit themselves to formulating labor laws that meet an international standards set by ILO to protect workers rights against unscrupulous employers. Protecting the rights of workers is of great importance, it can however be a threat to economic growth. Studies have shown that strict labor laws which are protective sometimes hurt the labor market which is against its main intention of protecting its workers. This in the long run can hinder the overall growth of the economy. Firms may resort to other economical strategies of adapting to the labor market requirements like employing few workers or move to places with less restrictive labor laws (Basu, Fields, Debgupta, n.d). Relationship between Democracy and Government Policy Good governance and democracy can propel economic growth rate of a country. Good governance is promoted by accountability from the citizens. With this, states are able to achieve their development goals as it attracts investors to pump in their capital in the economy and these results in to a rise in economic growth rate. It also helps to improve the peoples welfare and widening social and economic opportunities and raising the standards of living of its citizens. Democracy and good governance brings stability in countries even during elections and transition periods (USAID, 2005). Civil society usually participates in making government or public policy through advocating for the interests of particular groups of people they represent. They also contribute a lot in the process of democracy and good governance. They can act as a channel for passing vital information and enlighten the members of the pubic. They also help in promoting effective communication between the government and the public by acting as a link between them. In most cases the keep the government accountable. Civil society always participate in promoting democracy by participating in the democratic process through voting, educating the citizens of their rights. They also help to educe the citizens on the government policies and their importance to them. Sometimes the civil societies usually advocates for rights of the marginalized members of the society. The organizations representing these groups can drum up support for some policies and present to various governments on behalf of their member s. Civil society has also help in advcating environmental conservation especially during this time when there is deep concern on the potential effects of climate change due to global warming. Civil society have helped in drawing the attention of the world on the poverty, diseases and human rights abuses by the governments across the gone(AC, n.d)The benefits that arise when involving the citizens in the process of making policies are strengthening the relationship between the government and the citizens. This results in good governance and formulation of better policies. It helps in building the trust of the public in the system of governance hence promoting democracy and building a stronger civil society that hold government accountable (OECD, 2001). Relationship between workers union and democracy Strong trade democratic unions are often necessary in fight force workers rights. Trade unions also provided checks to the executive by demanding for transparency. They have been of great benefits to the workers by agitating for better terms of contract with the employer. They have also participated in the formulation of policies in collaboration with the governments particularly in the labor sector by demanding for reforms. However democratic workers unions have not gone well with the employers. Employers have tried to interfere with these unions especially during campaigns for representation. They have used various tactics such as; threatening to fire workers or better offers if they joined or participated or quit in the unions activities, threatening business closure, and giving transfers or giving hard jobs to workers who participated in the unions activities. These activities of the employers have interfered with democracy in the trade unions. Therefore the governments and inter national organizations should come up with policies and laws to protect workers from these intimidations from their employers Trade unions have also been used to push for reforms in the government (Mehta Theodore, 2005). Conclusion This paper has show the close link between law, democracy, government policies and employee behavior. In democratic governments, members of the public are involved in the decision making process and issues of governance. Therefore law is the way in which the decisions are made and implemented by the authorities in the interest of the public. Therefore it helps in the consolidation and promotion of the interest of a society. We have also seen the relationship between the government policies and law. Government policies can only be implemented if they are put into law. In democratic governments, citizens are involved in the decision making process and therefore, the citizens are involved in the formulation of government polices. Hence the people have the right to determine the law and policies that govern them. Employees are also affected in one way or the other by law, democracy and government policies. When we have strict labor laws, it scares potential employers away. They may eithe r move to a different location where there are less strict laws or limit the number of work force they employ. This has adverse effects on the economy. Workers unions have also helped in pushing the government reforms and in policy making. Afraid of the trade unions, employers have tried to interfere with the democracy within the trade unions. Therefore we can conclude that law, democracy, government policies and employee behavior are intertwined.

Monday, August 19, 2019

Determining The Ratio Of Circumference To Diameter Of A Circle :: essays research papers

Determining the Ratio of Circumference to Diameter of a Circle   Ã‚  Ã‚  Ã‚  Ã‚  In determining the ratio of the circumference to the diameter I began by measuring the diameter of one of the si objects which contained circles, then using a string, I wrapped the string around the circle and compared the length of the string, which measured the circumference, to a meter stick. With this method I measured all of the six circles. After I had this data, I went back and rechecked the circumference with a tape measure, which allowed me to make a more accurate measure of the objects circumferences by taking away some of the error that mymethod of using a string created.   Ã‚  Ã‚  Ã‚  Ã‚  After I had the measurements I layed them out in a table. The objects that I measured were a small flask, a large flask, a tray from a scale, a roll of tape, a roll of paper towels, and a spraycan.   Ã‚  Ã‚  Ã‚  Ã‚  By dividing the circumference of the circle by the diameter I was able to calculate the experimental ratio, and I knew that the accepted ratio was pi. Then I put both ratios in the chart.   Ã‚  Ã‚  Ã‚  Ã‚  By subtracting the accepted ratio from the experimental you find the error. Error is the deviation of the experimental ratio from the accepted ratio. After I had the error I could go on to find the percentage error. The equation I used was, error divided by the accepted ratio times 100. For example, if I took the error of the experimental ratio for the paper towels, which was 0.12. I took that and divided it by the accepted ratio giving me .03821651. Then I multiplied that by 100 giving me about 3.14. Using these steps I found the percentage error for all of the objects measured.   Ã‚  Ã‚  Ã‚  Ã‚  The next step was to graph the results. I was able to do this very easily with spreadsheet. I typed in all of my data and the computer gave me a nice scatter block graph. I also made a graph by hand. I set up the scale by taking the number of blocks up the side of my graph and dividing them by the number of blocks across. I placed my points on my hand drawn graph. Once I did this I drew a line of best representation because some of the points were off a little bit due to error.   Ã‚  Ã‚  Ã‚  Ã‚  By looking at my graph I can tell that these numbers are directly proportional to each other. In this lab it was a good way to learn about error

Macbeth: Power Is The Paradox :: essays research papers

Macbeth: Power Is The Paradox People have a hard time getting what they want; in fact, the things they want can be incompatible with each other. In Shakespeare's Macbeth, the protagonist is lured to murder the king, Duncan, by the desire for power, an appetite honed by witch's prophecies and his wife's encouragement. But when he reaches the kingship, he finds himself insecure. He attempts to remove threats that decrease his security, including his companion Banquo and his son Fleance, predicted to be king. His lords grow angry and revolt successfully, after witches lure Macbeth into a false sense of security by further foretelling. In Macbeth, we see that, despite appearances of contradiction, man's goals of comfort and power are forever opposed in increment, though the two may decline together. The power from knowledge causes discomfort. As often has been said, ignorance is bliss. After Macbeth is promised the throne, Banquo asks why Macbeth is less than ecstatic. "Good sir, why do you start, and seem to fear / Things that do sound so fair?" (Act I, Scene 3) Macbeth's new knowledge makes him uncomfortable, as he realizes the implications. His first thoughts considering murdering Duncan appear, and he is scared. After he commits the murder, Macbeth says, "To know my deed, 'twere best not know myself." (Act II, Scene 2) Knowing that has committed such a vile act makes him uncomfortable. It will be difficult to act innocent and to deal with his guilt. When he later decides to murder Banquo and Fleance, he tells his wife, "Be innocent of the knowledge, dearest chuck, / Till thou applaud the deed." (Act III, Scene 2) Hecate sets Macbeth up for his final fall. The security provided by the second set of predictions is only short-lived. Feeling there is no threat to his power, Macbeth acts wildly, bringing his downfall and loss of both comfort and security. The problem with knowledge was that it was power resulting in a decline in comfort. Those most comfortable have the least power. The enjoyment of security prevents strength. The Porter delivers an ironic speech on the evils of drink, explaining, "Lechery, sir, it provokes and unprovokes: it provokes the desire, but it takes away the performance: therefore much drink may be said to be an equivocator with lechery: it makes him, and it mars him; it sets him on, and it takes him off; it persuades him and disheartens him; makes him stand to and not stand to; in conclusion, equivocates him in a sleep, and giving him the lie, leaves him." (Act II, Scene 3) While drink may cause comfort, this is

Sunday, August 18, 2019

Religious Controversy During the Time of Karl Marx Essay -- Karl Marx

Religious Controversy During the Time of Karl Marx Religion in Europe before and during 1848, the year the Communist Manifesto was written, was full of trials and tribulations. This is not a new thing for religion, ever since the creation of religion there has been problems. Religion is the one uncertainty that has caused disputes even wars in the past and in the present. Religion is discussed briefly in the Communist Manifesto. However, There is enough content about religion to see Karl Marx’s views on the matter but he does not go into depth on those views. Religion around the time of the Communist Manifesto was very unstable; two events prior to this time that contributed to this instability are the Separation of Christianity into Eastern Orthodox and Roman Catholic, and the Protestant reformations that took place. One of the most significant turning points in the history of European religion was the separation of Christianity into western and eastern religions. The Western Church became the Roman Catholic Church while the Eastern Church became the Eastern Orthodox Church. There was no formal split, the bishops of each church recognize each other as being genuinely Christian just a little odd in their beliefs. The Great Schism shows the difference between the two religions, and they are not all theological. One difference is that Eastern Orthodox priests are allowed to be married. Only monks in the Eastern Orthodox Church must remain celibate. This differs from the Roman Catholic Church where all priest must be single and chaste. [1] A major reason for the Schism was lack of communication. The two Churches grew so far apart in their mindsets and attitudes they could no longer understand each other. They... ...ring the time of the Communist Manifesto. Notes 1. Roger E. Olsen, The Story of Christian Theology, (Downers Grove: InterVarsity press) 290-91. 2. John H. Smith, The Great Schism, (New York: Weybright And Talley) 236-39. 3. Olsen, 291. 4. Alister E. McGrath, Reformation of thought, 2nd ed. (Oxford: Blackwell, 1993) 2-12. 5. McGrath, 2-3. 6. Discovery and Reformation, 1996,

Saturday, August 17, 2019

Insurance Management Project Report Essay

Problem Definition: Understanding the problem in the existing system & finding requested solution is the most important activity while planning the project. Hence the developing a new system we must get through problem associated with the current system. In the old system, the user was maintaining the records like Policy Holder Details, Policy details, Premium Payments, Agent Details, Company Details and bill in the paper sheets. Searching Problem: Searching is very difficult in file. Accessing, Deleting and Adding Problems as the user has to do it manually. The retrieval of data is time consuming, as the user has to search the whole file even for a single data. For updating record the user has to search particular record first and do the updates which are time consuming which was a big problem. The data that has to be deleted should also be crosschecked as it might lead to missing data. Objective and Scope of the project: Our main aim of the project is to get the correct information about particular Policy Holder, Agents, Policy or Insurance Company and to reduce human efforts. The user can maintain all the records about Policy Holder Details, Agent Details, Insurance Company, Policy Details, Premium Payment Details and Bill and save it in the database. The user can also maintain the record of his Policy Holder. The user can easily insert and retrieve the record without any training. The searching is made easy. The user can search the record by Date, Policy Holder name, Record number, etc. In this we have used crystal report for business objects as per the client’s requirement. In crystal report the user see the information about the particular Patient. Conclusion: The â€Å"Insurance Management System† process made computerized to reduce human errors and to increase the efficiency. The main focus of this project is to lessen human efforts. The maintenance of the records is made efficient, as all the records are stored in the SQL database, through which data can be retrieved easily. The navigation control is provided in all the forms to navigate through the large amount of records. If the numbers of records are very large then user has to just type in the search string and user gets the results immediately. The editing is also made simpler. The user has to just type in the required field and press the update button to update the desired field.

Friday, August 16, 2019

Early Detection Of Perinatal Asphyxia Health And Social Care Essay

Meconium staining amnionic fluid ( MSAF ) is associated with tonss of inauspicious result and has long been considered to be a bad forecaster of foetal result. Meconium aspiration syndrome ( MAS ) is often associated with foetal hypoxia which promotes meconium discharge in amnionic fluid, panting and aspiration of MSAF, and besides alterations in the vascular muscular media of pneumonic arterias of the foetus. About 30 to 50 % of MAS required mechanical airing or uninterrupted positive air passage force per unit area ( CPAP ) .Aim: –This retrospective survey was undertaken to happen out immediate foetal result in meconium stained spirits in relation to perinatal asphyxia.MATERIAL AND METHOD: –It was a retrospective survey. We reviewed the medical records of all Neonates admitted to neonatal intensive attention unit ( NICU ) between 1st September 2011 to 31st July 2012 at NICU of Manipal Teaching Hospital, Nepal. Gestational age of babes & lt ; 37weeks are coded as prete rm, & gt ; 42weeks as station term and 37 to 42 hebdomads as term. Chi square trial and Binary logistic arrested development were used for the analysis. We calculated odds ratios ( OR ) and their 95 % assurance intervals ( 95 % CI ) . P-valueConsequence: –Out of 399 entire admittances in NICU, male ( 62.4 % ) showed preponderance as compared to female ( 37.6 % ) , among which 6.8 % were instances of MAS, doing female ( 10.7 % ) more prone compared to male ( 4.4 % ) while perinatal asphyxia came out to be 11.5 % , doing male ( 12 % ) more prone to female ( 10.7 % ) . Post term [ odds ratio=3.50 ( CI: 0.39, 31.42 ) ] and term [ odds ratio=2.58 ( CI: 1.16, 5.75 ) ] babes were holding more hazard of developing MAS compared to preterm ( P & lt ; 0.01 ) . Post term [ odds ratio=9.15 ( CI: 1.91, 43.75 ) ] and term [ odds ratio=2.67 ( CI: 1.41, 5.08 ) ] babes were holding more hazard of developing perinatal asphyxia compared to preterm ( P & lt ; 0.01 ) . MAS babe is holding 6.62 ( C I: 2.85, 15.38 ) times hazard of developing perinatal asphyxia ( p & lt ; 0.01 ) .Decision: –MAS is a perinatal job which requires a full co-operation and coordination of Obstetrician and Pediatrician if it is to be avoided. Prompt and efficient bringing room direction can minimise the sequeale of aspirated meconium and diminish the opportunity of perinatal asphyxia.KEYWORDS: –Meconium aspiration syndrome ( MAS ) , Perinatal asphyxia, NICU, PaediatricBackground: –In the early 2000, the prevalence of MAS ranged from 0.20 % to 0.54 % in the general population [ 2-4 ] and from 1.0 % to 6.8 % in babies born through MSAF [ 1, 2-4 ] . A reappraisal of 10 studies published from 1990 to 1998 showed a combined incidence of 13.1 % for MSAF, 0.52 % of MAS, 4.2 % of MAS among MSAF, and 49.7 % of MAS necessitating ventilatory support with a 4.6 % mortality rate [ 3 ] . However, big population-based surveies were scarce and suggested a lower incidence of MAS: the national US birth cohort survey conducted on the footing of singleton term non-Hispanic white unrecorded births ( 1995-2001 ) showed that the rate of MAS markedly increased with gestational age ( GA ) , that is, from 0.10 % at 37 hebdomads gestation ( WG ) to 0.22 and 0.31 % at 40 and 41 WG, severally [ 5 ] . The prevalence of MAS could be extrapolated to 0.18 % in this population of term babies. In Australia, the rate of MAS necessitating mechanical airing in flat III units ranged between 0.024 to 0.046 % at 36-40 WG and so increased to 0.080 % at 41 WG and 0.14 % at 42 WG [ 6 ] . In France, the prevalence of automatically ventilated MAS was estimated to 0.043 % by a retrospective national study among newborns born in 2000-2001 [ 7 ] . Meconium-stained amnionic fluid occurs in about 13 % of unrecorded births. Meconium aspiration syndrome ( MAS ) occurs in 5 to 10 % of babies born through meconium-stained amnionic fluid. When MAS occurs, there is an addition in neonatal mortality and morbidity. Great advancement has been made in the betterment of endurance of babies with MAS. Great advancement in direction has been made since first description of the pathophysiology and hapless result of babies with MAS in 1975. [ 8 ] These include improved intrapartum and post-delivery direction of MAS. Although there is a important lessening in the happening of MAS and associated mortality in developed states MAS remains a major job in developing states. Meconium, the faecal stuff that accumulates in the fetal colon throughout gestation, is a term derived from the Greek mekoni, intending poppy juice or opium. It is a unfertile, thick, black-green, odourless stuff foremost observed in the foetal bowel during the 3rd month of gestation. Meconium consequences from the accretion of dust, including desquamated cells from the bowel and tegument, GI mucin, lanugo hair, fatty stuff from the vernix caseosa, amnionic fluid and enteric secernments. The black-green colour consequences from bile pigments. [ 9, 10 ] Most babies have their first intestine motion after birth ( within the first 24 to 48 hour after birth ) . Occasionally a foetus can go through meconium in uteri. Aspiration of meconium and amnionic fluid can go on during any point of the labour and bringing. The foetus could draw out this mixture of fluids while they are still in the womb, coming through the birth canal, or when they take their first breathe after birth. This is refer red to as Meconium Aspiration Syndrome ( MAS ) . MAS is an of import cause of respiratory hurt in the term neonate, is a serious status with high morbidity and mortality. [ 11,12 ] The pathophysiology is complex and non good defined, including airway obstructor, pneumonic high blood pressure, epithelial hurt, surfactant inactivation, and redness. [ 11,13 ] Fetal asphyxia [ 14 ] and infection are suggested to be chief causative agents. [ 15,16 ] Meconium produces inflammatory responses in both carnal theoretical accounts and neonates with MAS. [ 17 ] After intratracheal instillment of meconium in animate beings, there is an intense pneumonic inflammatory reaction with inflow of polymorphonuclear leucocytes, monocytes/macrophages, and T cells within a few hours. The production of proinflammatory cytokines further propagates parenchymal lung cell hurt, [ 18,19 ] and apoptotic epithelial cells are present in meconium containing lungs. [ 20,21 ] MAS is a disease of the term and near-term baby that is associated with considerable respiratory morbidity. The disease is characterized by early oncoming of respiratory hurt in a meconium-stained baby, with hapless lung conformity and hypoxemia clinically and patchy opacification and hyperinflation radiographically. [ 22, 23 ] At least one tierce of babies with MAS require cannulation and mechanical airing, [ 24, 25 ] and newer neonatal therapies, such as high-frequency airing ( HFV ) , inhaled azotic oxide ( iNO ) , and surfactant disposal are frequently brought into drama. [ 26, 27 ] In the past few decennaries, there seems to hold been a decrease in the incidence of MAS in many centres, at least in the developed universe. [ 25, 28, 29 ] The evident decrease in the hazard of MAS has been attributed to better obstetric patterns, in peculiar, turning away of postmaturity and expeditious bringing where fetal hurt has been noted. [ 28 ]Aim:This retrospective survey was undertaken to happen out immediate foetal result in meconium stained spirits in relation to perinatal asphyxia.MATERIALS AND METHODS: –Study design and the participants:It was a infirmary based retrospective experimental survey conducted in the Department of Paediatrics, Manipal College of Medical Sciences ( MCOMS ) , Kathmandu University. Manipal learning infirmary ( MTH ) is a third attention infirmary in pokhara metropolis of Nepal and it is a good facilitated and equipped infirmary for patients with neonatal intensive attention unit ( NICU ) . It was chosen for the survey because Manipal lea rning infirmary is a third attention 825 bedded infirmary and it was expected that most of the patients will come to this infirmary from Western Nepal.DATA COLLECTION: –This survey was carried out from 1ST SEPTEMBER 2011to 31st JULY, 2012. The survey population included patients admitted in Pediatrics NICU from different parts of Pokhara, Nepal. After obtaining the permission from the caput of the section, information was collected from the medical record section of the patient from NICU. The variable collected were Age, sex, weight, manner of bringing and gestational age. Sum of 399 instances were included in the survey holding both meconium aspiration syndrome, perinatal asphyxia and other neonatal infections.INCLUSION CRITERIA:Gestational age of babes & lt ; 37weeks are coded as preterm, & gt ; 42weeks as station term and 37 to 42 hebdomads as term.SAMPLE SIZE CALCULATION: To be added subsequentlyResult Variables:To happen out immediate foetal result in meconium stained sp irits in relation to perinatal asphyxia.Explanatory Variables:Factors at single degree are gestational age and sex.ETHICAL COMMITTEE APPROVAL:Predating the survey, blessing for the survey was obtained from the institutional research ethical commission.DATA MANAGEMENT AND STATISTICAL ANALYSIS:Analysis was done utilizing descriptive statistics and proving of hypothesis. The information was analyzed utilizing Excel 2003, R 2.8.0, Statistical Package for the Social Sciences ( SPSS ) for Windows Version 16.0 ( SPSS Inc ; Chicago, IL, USA ) and the EPI Info 3.5.1 Windows Version. A p-value of & lt ; 0.05 ( two-tailed ) was used to set up statistical significance. [ 30, 31 ]Consequence: –Table 1: Cross tabular matter between Socio demographic factors and meconium aspiration syndrome: Variables MECONIUM ASPIRATION SYNDROME p-VALUE Yes NO Entire Sexual activity Male 11 ( 4.4 % ) 238 ( 95.6 % ) 249 0.016 Female 16 ( 10.7 % ) 134 ( 89.3 % ) 150 Gestational age 1 ( & lt ; 37 hebdomads ) 12 ( 4.5 % ) 252 ( 95.5 % ) 264 0.001 2 ( 37-42 hebdomads ) 14 ( 10.9 % ) 114 ( 89.1 % ) 128 3 ( & lt ; 42 hebdomads ) 1 ( 14.3 % ) 6 ( 85.7 % ) 7 Table 1depicts: female ( 10.7 % ) more prone compared to male ( 4.4 % ) . Post term [ odds ratio=3.50 ( CI: 0.39, 31.42 ) ] and term [ odds ratio=2.58 ( CI: 1.16, 5.75 ) ] babes were holding more hazard of developing MAS compared to preterm ( P & lt ; 0.01 ) . from the above statistics it ‘s really clear the female in our survey are doing an dominant portion as compared to do in meconium aspiration syndrome. Along with this, we can do out that station and term newborns are holding larger hazard of developing meconium aspiration syndrome. Table 2: shows relationship of perinatal asphyxia with Socio demographic factors and meconium aspiration syndrome: Variables PERINATAL ASPHYXIA p-VALUE Yes NO Sum Sexual activity Male 30 ( 12.0 % ) 219 ( 88.0 % ) 249 0.676 Female 16 ( 10.7 % ) 134 ( 89.3 % ) 150 Gestational age 1 ( & lt ; 37 hebdomads ) 20 ( 7.6 % ) 244 ( 92.4 % ) 264 0.001 2 ( 37-42 hebdomads ) 23 ( 18.0 % ) 105 ( 82.0 % ) 128 3 ( & gt ; 42 hebdomads ) 3 ( 42.9 % ) 4 ( 57.1 % ) 7 Meconium aspiration syndrome Yes 11 ( 40.7 % ) 16 ( 59.3 % ) 27 0.0001 NO 35 ( 9.4 % ) 337 ( 90.6 % ) 372 Table 2: shows Perinatal asphyxia came out to be 11.5 % , doing male ( 12 % ) more prone to female ( 10.7 % ) . Post term [ odds ratio=9.15 ( CI: 1.91, 43.75 ) ] and term [ odds ratio=2.67 ( CI: 1.41, 5.08 ) ] babes were holding more hazard of developing perinatal asphyxia compared to preterm ( P & lt ; 0.01 ) . MAS babe is holding 6.62 ( CI: 2.85, 15.38 ) times hazard of developing perinatal asphyxia ( p & lt ; 0.01 ) . From the tabular array we formulated that male are holding more hazard of developing perinatal asphyxia as compared to females.post term babes and term are holding greater hazard holding asphyxia. Therefore from the above consequence we can do out that there is strong relationship between MAS and perinatal asphyxia i.e, meconium aspiration newborns are prone for developing perinatal asphyxia.Discussion:The increased hazard for pneumonic morbidity and mortality among babies born through meconium stained amnionic fluid is good recognized. Though many studies have noted a clinical spectrum of pneumonic disfunction such as mild tachypnea and terrible pneumonic inadequacy, this survey confirms that meconium stained amnionic fluid is associated with an increased hazard for pneumonic disfunction. The hazard for pneumonic disease, nevertheless, is non manifested every bit in all babies with meconium staining. As it was shown by several old surveies, the greatest hazard for pneumonic disease occurred among babies with associated marks of possible intrapartum foetal via media. Despite airway direction following recommended guidelines, these babies continued to attest a high rate of pneu monic morbidity [ 32-35 ] . The recommendation by the American Academy of Pediatrics in 1983 did non propose that all babies born through thick meconium stained amnionic fluid needfully necessitate tracheal suction. The 2nd edition of these Guidelines noted the absence of extra surveies to back up or rebut the pattern of tracheal suction for meconium stained amnionic fluid and recommended that â€Å" in the presence of midst or particulate meconium, the voice box should be visualized, and if meconium is present, the clinician should cannulate the windpipe and use suction † . The most recent edition of the Guidelines published in 1992, is downwind dogmatic. It is recommended that down babies with meconium in the hypopharynx have tracheal suction. However, it is further noted that cord visual image and tracheal suction in the vigorous baby with thick meconium may non be necessary. None of the Guidelines have recommended tracheal suction of babies born through thin meconium stained amnionic fluid [ 32, 33 ] .MECONIUM ASPIRATION SYNDROME WITH GESTATIONAL AGE:The overall incidence of MAS and terrible MAS additions with GA as reported in recent population-based surveies [ 36, 37 ] . The overall rates of MAS in the USA [ 36 ] and Burgundy are similar: 1.0 versus 1.1 per 1000 unrecorded births ( aˆÂ ° ) at 37 hebdomads ; 1.1 versus 1.0aˆÂ ° at 38weeks ; 1.5 versus 1.1aˆÂ ° at 39weeks ; 2.2 versus 2.4aˆÂ ° at 40 hebdomads, and 3.1 versus 2.6aˆÂ ° at 41weeks. Furthermore the incidence of terrible MAS recorded in Australia [ 37 ] at 41weeks ( 0.80aˆÂ ° ) is close to the 0.67aˆÂ ° observed at 39-41weeks in our series. Some surveies suggested that bar of post term gestation prevents terrible MAS [ 38 ] .Our retrospective observational survey showed that station term [ odds ratio=3.50 ( CI: 0.39, 31.42 ) ] and term [ odds ratio=2.58 ( CI: 1.16, 5.75 ) ] babes were holding more hazard of developing MAS compared to preterm ( P & lt ; 0.01 ) .MECONIUM ASPIRATION S YNDROME WITH SEX:In our survey, male ( 62.4 % ) showed preponderance as compared to female ( 37.6 % ) , among which ( 6.8 % ) were instances of MAS, doing female ( 10.7 % ) more prone compared to male ( 4.4 % ) .PERINATAL ASPHYXIA WITH GESTATIONAL AGE:For more than two decennaries, post term gestation has been defined as a gestation that persists beyond 294 yearss or 42 hebdomads of gestation [ 39 ] . The most common ground to name it is inaccurate gestation dating. Last catamenial period with regular catamenial rhythm is the best physiological landmark to measure the gestational age in gestation. However, a few adult females are certain of their day of the months and frequently cause anxiousness when they come with postdates [ 40 ] . The cause of post-term gestation is unknown. A Post term gestations are associated with higher hazard of perinatal mortality and morbidity including meconium aspiration syndrome, A asphyxia neonatrum respiratory hurt syndrome, icterus neonatrum, sepsis neonatorum, oligohydramnios, macrosomia, foetal birth hurt, foetal hurt and increased rate of cesarean subdivision [ 41 ] . Our survey showed that station term [ odds ratio=9.15 ( CI: 1.91, 43.75 ) ] and term [ odds ratio=2.67 ( CI: 1.41, 5.08 ) ] babes were holding more hazard of developing perinatal asphyxia compared to preterm ( P & lt ; 0.01 ) .PERINATAL ASPHYXIA WITH SEX:In legion surveies, asphyxia was more prevailing in male than female [ 42, 43, 44 ] . In our survey, male preponderance is seen. Out of 399 instances perinatal asphyxia came out to be 11.5 % , doing male ( 12 % ) more prone to female ( 10.7 % ) .Decision:The present survey showed a good correlativity of prevalence of meconium aspiration syndrome and perinatal asphyxia both in term and post term babes doing perinatal asphyxia more common in meconium aspiration syndrome. There is demand of a big randomized controlled test to analyze the functions of intrapartum nasopharyngeal and immediate postpartum tracheal suctioning in newborns born through MSAF in developing state scene.Conflict OF INTERESTS:The writers do non hold any struggle of involvement originating from the survey.RecognitionsDr. K.S RAO, Professor and Head of Department, Pediatrics, Manipal College of Medical Sciences, Pokhara ( Nepal ) for allowing the writers to utilize the infirmary paperss during the survey.What this survey adds:By agencies of this survey we can turn out that perinatal asphyxia is more prevailing in meconium aspiration syndrome.

Thursday, August 15, 2019

Are humans naturally good or evil? Essay

Fundamentally speaking, are humans naturally good or evil? This is a question that has been repeatedly asked throughout humanity. For thousands of years Philosophers have debated whether we have a naturally good nature that is corrupted by society, or an evil nature that is kept in check by society. I believe that we are all born what society calls evil. Our instinct is to kill and survive but as society and civilization has evolved we have been taught to live in a different manner. We try to rationalize our behaviour to act civilized. Evil is our inner beast that we choose to control or be controlled by. Jack from Lord of the Flies is a very good example as he was a boy who was well mannered. He agreed with Ralph about the idea of having rules amongst the boys on the island. He said that rules are necessary as they were not savages that they were English and they English are always right. As time passes, he forgets society and manners. He becomes the savage from within, the savage that was always a part of him but was hidden. Children behave in a bad way and can be thought of as evil but we change their behaviour and teach them what we call manners. We change their behaviour to suit our surrounding’s and the image we have made ourselves portray and disobey our human nature. The Darwin Theory clearly states that us humans have evolved from apes. Apes are animals that hunt to survive. We are more advanced than apes but still have a similar motive as our nature. We were born to hunt to survive like other animals. It is us whom have evolved in such a manner that we have created society. We have taught ourselves to act in a certain way. Cavemen are the original humans. They are early prehistoric humans. They behaved in a manner that was the original purpose for them, to kill to eat, to survive. We show our nature at an early age. We show our selfishness, to want things for ourselves. You only have to look at a child to see the signs of our evil trait. However, a child can be thought quickly to behave in a moral way. The child will often stick to the boundaries set at an early age for the rest of their lives. ‘Moral acts’ persevere our reputation in society because of our fear of the law. Us humans are born evil but obtain our inner sanity and change our actions to become good and civilized. On the other hand, there are some who cannot control their inner self and act upon their nature as they kill and break what we call the law, our society’s rules. Some of us do not obey the law. This is why we have serial killers, murderers, and criminals. Our world constantly has violence. As is proven by the constant wars happening around the world. Many people believe that media is to blame for the evil created in us. That theory is wrong as it all starts since the moment we are born as our first instincts can determine our future personalities. The media can be blamed to trigger the evil within us but not to create it as it was always there. Even though we are born what society calls evil, some people cannot contain their inner aggression and desperation for the kill sensation so they become a murderer. They become serial killers who react to the thrill of the chase. They sometimes fantasize for years about the type of victims and the method of the kill before they act upon the urges. The serial killers have been proven to have an extra X (female) chromosome. Having the extra female chromosome is also called Klinefelter’s syndrome. Tests have proven that serial killers carry the extra chromosome. The serial killer Bobby Joe Lang had an extra chromosome, which lead to him growing breasts during his adolescence stage. This led him to being bullied at school. This leads onto another question. Does a bad upbringing trigger the evil within us? This is shown in the novel Lord of the Flies, as Piggy is a character that suffers from many disabilities such as being overweight, his sight and his asmar. His parents passed away when he was younger. He lived with his auntie and comforted his sorrow and grief with the sweets from her shop. This led to him being bullied for many years not only at school but also in the island by the other boys. Piggy’s character was shy and sensible. He was not treated in the same way as the others because of his disabilities, which led him into disbelieving in himself, and caused low self-confidence. To conclude my essay I would like to state that out of the 7 billion people in the world, 10 million of them are prisoners. I believe that all people are born evil but only some people trigger their evil from within whereas others learn to control it.

Wednesday, August 14, 2019

Project Management on World Trade Organization ministerial Conference of 2005

Executive Summary The aim of this report is to investigate the project management aspects relating to the World Trade Organisation’s (WTO) ministerial conference in 2005. This report details the issues relating to project management and the impact of the project management practices on the outcome of the event. It identifies the key stakeholders in the project and the role they had in determining the success/failure of the project. This report further discusses the role of the leadership and the effective team building and management skills and how much of an impact these had in the successful project delivery. Introduction The World Trade Organisation (WTO) Sixth Ministerial Conference which is abbreviated as MC6 and popularly known as the Hong Kong Ministerial Conference was held between the 13th and 18th December, 2005 at the Hong Kong Convention and Exhibition Centre. The total turn around expected for the conference was representatives from around 148 countries across the globe. The Hong Kong People’s Alliance led a protest on the WTO which mainly consisted of farmers from South Korea. The three main designated protest zones included Wan Chai Sports ground and the region around Wan Chai Cargo Handling Basin. The total budget for the ministerial conference was Hong Kong $250 million (WTO, 2005).BackgroundThe highest decision making body of the World Trade Organisation is the Ministerial Conference that meets a minimum of once every two years. This ministerial conference provides the organisation with the direction and helps in the decision making process (HKPA, 2006). The conference held from 13th – 18th December 2005 is the sixth ministerial conference and was aimed at making a decision about the liberalisation of farm trade and reaching an agreement relating to farm subsidies . It also aimed at successfully concluding the 2006 Doha Round (Target WTO, 2005).The role of the project managerThe project manager of the WTO conference 2005 is responsible for the success of the project and also ensuring that the stakeholders relationships are well maintained and that all the stakeholders are able to effectively communicate and share their ideas about agricultural issues (Heydon, 2006). Given that the WTO ministerial conferences play a major role in the decision making process and ensuring that multilateral trade agreements are smoothly implemented, the role of the project manager cannot be underestimated (Alam, 2008). This report discusses the role of the project manager in establishing good stakeholder relationships and his role in the success of the project.Project Objectives and ScopeThe objectives and scope of the 2005 HK WTO conference was to establish: Market access – reduction in the tariff of goods Domestic support – direct payments to be made to the farmers and local producers Export Subsidies Services – remove restrictions internationally in various service sectors and Singapore Issues – demand for transparency in laws, fair competition etc. (UN, 2005) The scope of the project management planning activities included arrangement of venue, security and emergency, organisation of logistics, managing media, budgeting and risk and contingency planning (Alam, 2008). Stakeholder Analysis This section of the report discusses the key stakeholders in the HK WWTO 2005 meeting, stakeholder analysis methods to effectively communicate with these stakeholders in order to ensure smooth communication. Stakeholder Analysis is defined as the activity which analyses in depth the attitudes of all the key stakeholders towards a project (Goodpaster, 1991). Other definitions by researchers (Freeman, 1984) include ‘a group of individuals who can affect or be affected by the achievement of the organization objectives’.Key StakeholdersThe key stakeholders of the WTO include the member nations, the vendors, tradesmen, farmers and other categories of trade associations, the media, the public, governing bodies, the international trade community. It also includes the general population and public that are affected directly or indirectly as a result of the agreements and arrangements made by the WTO Ministerial conference committee (Alam, 2008).High Power , High InterestOne of the member nations that holds high power as well as high interest in the World Trade Organisation. There are a total of 153 nations in the WTO and the USA engages with various other nations and takes a leadership role in the WTO ministerial. For instance, USA played a key role in the Doha Conference and was blamed both directly and indirectly for holding up t he talks and the progress of the sessions. Given the high power and interest it holds in the WTO, USA aims to boost its exports. It plays a major role in the WTO negotiations to enhance its stance in the WTO as a ‘leader’ and also to use the opportunity to initiate talks with its trading partners like Japan and India. Given its power, most decisions of the trade-rounds are highly influenced by the United States (BBC, 2013).High Power, Low InterestHong Kong as one of the key members of the WTO was the host to the fifth ministerial conference in the year 2005. Though being a key member, Hong Kong has not shown much interest in the activities of the WTO and has not taken any proactive steps in issue resolution of the ongoing issues of the WTO. Be it agriculture or environmental issues,Hong Kong remains to be a silent spectator in most cases which clearly indicates the lack of interest in influencing the member states or steering them to decision making on specific issues (BBC, 2013).Low Power, High InterestThe farmers and the agriculture community worldwide have high interest in the activities of the WTO as the trade agreements that are negotiated and agreed upon have a serious bearing on their livelihood and concerns. There is a growing concern relating to fairer trade markets, food security and farming subsidies. Though there is a lot of interest shown by the farming community, they do not have the power to speak and hence do not have the influencing capability. The increase in the suicide rates of farmers is also attributed to the failure of WTO to understand their concerns and the lack of transparency and inequality in dealings of the WTO (Long, 2007; Shiva, 2014). Researchers also suggest that there is a lack of understanding from the WTO committee members on the needs of the farmers and the decisions made are not in line with their demands (Anderson and Martin, 2005).Low Power, Low InterestThe last type of stakeholders have the least power an d are also not very much interested in the activities of the WTO. The citizens of Hong Kong for example, belong to this stakeholder group. Given that the multilateral agreements are huge and complex, the authorities do not have the capacity and capability to scrutinise the details of all contracts. Also, the authorities of a country are not held accountable for the negotiations and agreements signed. This makes them lose interest given that they neither have the power nor the capacity to influence the decision making. Also there are restrictions that prohibit them from questioning the authority (Keohane and Nye, 2001; Scharpf, 2000). Stakeholder Management Stakeholder management is essential for the smooth communication and functioning of an organisation and also to ensure that the objectives of the organisation are achieved. Stakeholder management should be in line with the strategic management objectives of the organisation and the type of the stakeholder that needs to be satisfied should be taken into account depending on the organisation type in order to ensure that these expectations are met. It is essential to first identify the various stakeholders, their role in the organisation, the decision making authority they have in the organisation and how much their ideas or ideals would affect the success of the organisation. Once these are identified, it is essential to develop a stakeholder management strategy that is aimed at not only satisfying these stakeholders but also helps achieve the overall objective of the organisation (Freeman, 2001). In a multicultural organisation or where the organisation is huge and spans across different continents and cultures, the stakeholder management strategy becomes inevitable. It defines the communication methods and helps understanding the do’s and don’ts in each geographic location. It also helps achieve transparency in operations and facilitates better participation of the stakeholders in the decision making process. Stronger business decisions that are sustainable, long term and ethical are facilitated by a good stakeholder management approach (Carroll and Buchholtz, 2014).Communication ManagementResearchers believe that not all stakeholders of an organisation have equal importance. For example, in a non-governmental organisation which is aimed at helping people, the pubic might be the key stakeholder as opposed to a business organisation which aims at satisfying the primary needs of the shareholders. Hence, in a diverse world where the needs of the organisations diff er, it is essential to understand the primary stakeholders who needs to be satisfied and devise a communication management plan to ensure that the communication to these stakeholders are made in near real-time and in an effective manner (Podnar and Jancic, 2006; Jacobson et al, 2009).Tuckman’s Communication ModelBruce Tuckman devised a five step communication model in the year 1975. These five steps includes: Forming Storming Norming Performing and Adjourning Forming: This is where the leader gives the guidance to the team and the initial stage in the communication process. This is a stage where the roles and responsibilities are unclear Storming: Brainstorming activities take place, compromises happen, clarity increases and the team members get a basic understanding of what is required of them Norming: The team members agree by consensus. The leader facilitates the decision making but the team members are now in a position to agree. The roles and responsibilities defined by the leader in the forming stage are now very clear and evident. Performing: The team members are strategically aware and are able to execute their responsibilities and perform better in order to achieve the goals. They work on their own and there is very little interference from the leader. The leader is called for when there is guidance required both in terms of personal and interpersonal development Adjourning: Also known as Deforming or Mourning, refers to the breaking up of the group after the successful completion of the task. This stage involves identification of good performers, the well-being of the team and also measuring the performance. (Tuckman, 1977) Conclusion This report gave a brief about the role of the project manager in the HK 2005 WTO ministerial conference and the various stakeholders, the level of interest and the power to influence the decision making of the WTO. Furthermore, this report also discussed effective stakeholder management techniques and methods, communication strategy in relation to the WTO. References Freeman (1984) Strategic Management, A Stakeholder Approach, Pitman, Boston Podnar, K., & Jancic, Z. (2006). Towards a categorization of stakeholder groups: An empirical verification of a three?level model. Journal of Marketing Communications, 12(4), 297-308. Jacobson, S. K., & McDuff, M. D. (2009). Communication as an effective management strategy in a diverse world. Wildlife and Society: The Science of Human Dimensions. Tuckman, B. W., & Jensen, M. A. C. (1977). Stages of small-group development revisited. Group & Organization Management, 2(4), 419-427. Carroll, A., & Buchholtz, A. (2014). Business and society: Ethics, sustainability, and stakeholder management. Cengage Learning. Freeman, R. E., & McVea, J. (2001). A stakeholder approach to strategic management. Scharpf, F. W., & Schmidt, V. A. (Eds.). (2000). Welfare and work in the open economy: volume ii: diverse responses to common challenges in twelve countries (Vol. 2). Oxford University Press. Keohane, R. O., & Nye, J. S. (2001). Power and interdependence (Vol. 3). New York: Longman. Shiva, Vandana (2014) Of food, farmers and WTO’s doublespeak, Available at: http://www.asianage.com/columnists/food-farmers-and-wto-s-doublespeak-972 accessed on 06/12/14 Long, Jessica (2007):â€Å"WTO Kills Farmers†: India Free Market Reforms Trigger Farmers’ Suicides, Global Research Anderson, K. and Martin, W. (2005), Agricultural Trade Reform and the Doha Development Agenda. World Economy, 28: 1301–1327. doi: 10.1111/j.1467-9701.2005.00735.x BBC (2013): Profile: World Trade Organization, Available at: http://news.bbc.co.uk/2/hi/europe/country_profiles/2429503.stm accessed on 05/12/14 WTO (2005): Hong Kong WTO Ministerial 2005: Briefing Notes, The â€Å"Win-Win† Potential for trade and environment, Available at: http://www.wto.org/english/thewto_e/minist_e/min05_e/brief_e/brief11_e.htm accessed on 05/12/14 HKPA (2006): Hong Kong People’s Alliance on WTO, Wayback Machine, Available at: Accessed on 05/12/14 Target WTO (2005): Target World Trade Organisation, Available at: http://www.targetwto.revolt.org/ Accessed on 05/12/14 Alam S (2008): Sustainable Development and Free Trade, Institutional Approaches, Routledge, UK Heydon K (2006): After the Hong Kong Ministerial Meeting: What is at stake?, OECD, France United Nations(2005): Perspectives from the ESCAP Region after the Fifth WTO Ministerial Meeting: Ideas and Actions Following Cancun (Studies in Trade and Investment), United Nations

Great Lakes Dangerous Currents Research Paper Example | Topics and Well Written Essays - 1250 words

Great Lakes Dangerous Currents - Research Paper Example These lakes develop substantial water currents which pose a danger to swimmers and other merry makers. Around the beach, strong currents from the lake may spill over causing immediate floods. In addition, storms may develop over the water, thus compromising on the safety of small water vessels like boats. Based on these facts, local authorities concerned with marine habitats have conducted research are analysis on dangers posed by Great Lakes currents. According to Allen (2013), research results on intensity and strength of dangerous currents are used in conducting public education on combat strategies and safety measures to adopt while swimming around the lake’s shores. This essay appraises the breadth and depth of hazard associated with the currents. Appraisal will involve acknowledging available scientific information related to causes and nature of Great Lakes dangerous currents. Nature of Currents Prior to evaluating the nature of Great Lakes currents, it is appropriate t o develop a comprehensive understanding of water currents in general. In this case, water currents refer to massive movement of water at significant velocity either towards or away from the shores. These massive movements result from phenomenal incidences like breaking waves, temperature difference and dynamics in direction and speed of wind. In the context of lakes, speeding wind may cause water to accumulate and move fast towards the shoreline. On reaching a lake’s shoreline, those currents break after hitting the solid sand and moves backwards into the lake. In most cases, what determines the level of danger associated with currents is the speed and direction of water movement. John and Stephen (2011) say that fast currents are more dangerous than slow currents. On the other hand, Allen (2013) agrees that currents moving out into the lake are more lethal compared to those moving towards the shoreline. Causes of Death Great Lakes of Michigan are known to develop dangerous c urrents causes drowning and eventual deaths. Statistics shows that every year, deaths recorded by authorities within the lake increase at a rate of 3%. In the recent past, young males are on the receiving end. Male college students and teenagers are prone to drowning because of their enthusiastic and adventurous nature of swimming. In most cases, those killed by the currents were either pulled away from the shore or they were trying to rescue a drowning friend. According to Michigan State University (2013), trying to rescue a drowning person can be dangerous, especially whenever the rescuer is not wearing floatation equipment. On the other hand, people tend to panic whenever they are caught up with a retreating current. As acknowledged earlier, these retreating currents develop as a result of breaking waves. Great Lakes have a lot of structures like piers and walls which can initiate currents. Actual Status of the Lakes Lake Michigan Of all the Great Lakes in the state Lake Michigan features as the leading cause of fatalities associated with dangerous currents each year. One reason for this notorious trend is because Lake Michigan is undergoing an infrastructural development period. These infrastructural breakthroughs are increasing the Lake’s popularity among domestic and international tourists. Apart from the significant tourists’ population, Lake Michigan also has unique beaches with pre-disposing factors which favor