Monday, September 30, 2019

Global economy: trading blows Essay

There has been diplomacy subtle between the US treasury and China over the China’s exchange rate. The issue has dominated the relationship of the two largest economies that would determine and shape the future of the world economy. US has however received occasional support from Europe and other selected emerging markets. The dispute is that, the Chinese currency policy unbalances the world economy and disadvantages the foreign companies. This has caused the white house to face challenges in the management of its trade and investment relationship with Beijing as it has been evident in the way the American businesses are discontented and fuelled by incidents such as the Google China censorship spat. US is however frustrated by the fact that it lacks the instruments to conduct the international trade policy in the modern economy. The tools it has are inadequate to cope with the interlocking web that China has used to distort the global trade and investment patterns whereby it uses state-sponsored policies. The US has in the past used old fashioned architecture of the trade policy of a metal bashing economy that is predictable as it focus on the exchange rate –on its manufacturers competing head on with Chinese companies in the American market. Though America has â€Å"trade defense â€Å"instruments like the antidumping, countervailing duty and safeguard measures , Chinese imports have not been stopped as evident September last year when one such tool was used provoking a storm of protest from free-traders. When China joined the WTO, US and Europe have got to use a lot of efforts to tame China’s dominance in the global market. However China has experienced growth as it becomes increasigingly interested in locating production locally and selling services like the telecommunications, information Technology and media under the rubric of its â€Å"indigenous innovation† policy. China has successful tamed the influence of US in its economy by claiming that she is modernizing her economy while it ascend the value of chain and ease way from dependence on foreign companies for investment and technology. Procurement is used to favor Chinese companies through idiosyncratic technical standards like the homegrown wireless technology which deny licensing to more familiar international standards. This has made the foreign business representatives criticize the policy publicly claiming that they are less and less welcomed in china. The menu of options available to mitigate such problem is limited. The most obvious is the litigation at the WTO. This option is one of the attractive ones that has made Beijing accepts the normal part of trade relations, not a declaration of war. It has drawback from the issue like IPR after it lost a case on the enforcement of IPR. On the issue of revaluing renminbi; that is allowing its currency to increase, China has made a bold step of abandoning its currency peg to the US dollar and adopting a more â€Å"flexible† exchange rate policy. This decision would temporarily cause international criticism as evident at the Canadian G20 summit that almost turned into a bash-China session before Beijing announced that that it was changing the policy. The US administration however notched that this was a victory for behind the scenes diplomacy as there was the risk that the currency dispute that would descend to into a trade war. This dispute had now been solved, the Obama administration claimed The economic impact of the policy has however been limited as renminbi has only appreciated by 0. 3 percent. Chinese officials have ruled out any significant increase in the value of currency given that there is a decline in the current account surplus. However there is some element of politics and Beijing is desperate to avoid an impression that it is giving into the foreign pressure as well as avoid a revive criticism by the US that she is gaming the trading system due to a foreseeable slow appreciation of the Chinese yen against the US dollar. References: Alan Beatie. (2010, July5). Global Economy: Trading Blows. Financial Times 2010. Retrieved July 6, 2010 from

Sunday, September 29, 2019

EU and NAFTA: On Human Rights Essay

The European Union (EU) and the North American Free Trade Agreement (NAFTA) has had several initiatives that address human rights issues. These initiatives obligate and mandate its signatories and the member states to follow particular rules regarding human rights. In terms of influence, varying levels of success can be noted. The human right action done by both organizations is notable, although the level of success is arguable, as there are criticisms to implementation and scope of these programs. Also, there are still existing issues on human rights that has yet been addressed and influenced by these international organizations. European Union The European Union has human rights as one of its priorities, as it conducts dialogues and coordinates with other countries and international organization. In fact, the EU has institutionalized the focus and prioritization of the issue by establishing the European Court of Human Rights which was founded as product of the European Convention on Human Rights. This court has resolved some very notable cases, and until now serves as a mechanism and agency to promote human rights and prosecute its violators. The Human Rights Watch notes however that some anti-terrorism strategies has resulted in some human rights violations in the EU, as laws protecting human rights have been weakened. Also, the EU policy on migration and refugees altogether prevents asylum seekers and refugees, even deporting them back to the home country. This is a strong indication that the EU has not perfected its human rights strategy by neglecting these issues, even detaining migrants, as Human Rights Watch notes. Individual EU members also committed human rights violations with regards to the policy of refugees and migration. The NAFTA has had initiatives and agreements that address some human rights concerns, but it has gathered criticisms on its inability to effectively implement the provisions. Also, the need to balance trade and human rights is emphasized as one of the lacking values of the organization. Some human rights initiative of the NAFTA has proven to be not very successful; as impressive as the texts of the agreement are, the implementation falls short of expectations and has had disappointing results. For instance the Human Rights Watch notes that the NAFTA Labor Accord was ineffective, and that its results should serve as lesson for future trade agreements. This labor accord – the North American Agreement on Labor Cooperation – was supposed to harmonize trade relations and labor rights, but this agreement has not elicited any results. Labor rights protection should be part and parcel of any trade agreement, but not one of the complaints of abuse and injustice has been addressed by the NAFTA initiative. The FIDH Report on the effects on human rights of the NAFTA also notes that although the organization promoted stronger economic links between United States and Mexico, it has essentially dismantled Mexico’s agricultural industry and made it dependent on the US. This has impacted negatively on the situation of Mexico, with increased poverty as result of NAFTA initiatives. Labor law reforms, as was mentioned above, also have to be considered to prevent abuse of human rights. Conclusion The European Union and the North American Free Trade Agreement are not devoid of concern for human rights issues, but the existing and past initiatives has to be reinforced in order to effectively influence its member states and the human rights situation.

Saturday, September 28, 2019

Classical Art and Renaissance Term Paper Example | Topics and Well Written Essays - 1250 words

Classical Art and Renaissance - Term Paper Example The qualities of Romanesque art were presented in the construction of Basilica of Paray-le-Monial in France. Further, a perfect case of Gothic Art was employed in the construction of the Notre Dame Cathedral in French capital, Paris. Renaissance The expression Renaissance implies "rebirth." It began in Italy in the twelfth and thirteenth centuries and was upheld for more than three successive centuries. It signaled a period when urban areas became very common. The Renaissance society witnessed the resurfacing of traditional art and structural design of buildings. It led to the growth of renewed education of immense work from antique Greco Roman cultural heritage (King, 2003). The Renaissance era also spawned the best artistic and philosophical accomplishments of the West. Moreover, it illustrated the manner in which individuals perceived themselves in the general civilization compared to the classical period. Individualism assumed a remarkable role in the wake of the Renaissance era. Individuals in the Middle Ages looked upon themselves as comprising a ethnic segment of the society, relations or other all-encompassing demography. They never held the opinion that their individual accomplishments were of any importance until the Renaissance came to be. According to King (2003), throughout the twentieth century in the history of Italian society, individuals’ perceptions transformed as they appreciated their individual uniqueness. They gauged their individual characteristics, both strengths and weaknesses. The Renaissance encompassed Renaissance art, culture, and reorganization art. It is notable that a large percentage of the Renaissance art was during the sunset years of the... The expression Renaissance implies "rebirth." It began in Italy in the twelfth and thirteenth centuries and was upheld for more than three successive centuries. It signaled a period when urban areas became very common. The Renaissance society witnessed the resurfacing of traditional art and structural design of buildings. It led to the growth of renewed education of immense work from antique Greco Roman cultural heritage. The Renaissance era also spawned the best artistic and philosophical accomplishments of the West. Moreover, it illustrated the manner in which individuals perceived themselves in the general civilization compared to the classical period. Individualism assumed a remarkable role in the wake of the Renaissance era. Individuals in the Middle Ages looked upon themselves as comprising an ethnic segment of the society, relations or other all-encompassing demography. They never held the opinion that their individual accomplishments were of any importance until the Renaissan ce came to be. According to King, throughout the twentieth century in the history of Italian society, individuals’ perceptions transformed as they appreciated their individual uniqueness. They gauged their individual characteristics, both strengths, and weaknesses. The Renaissance encompassed Renaissance art, culture, and reorganization art. It is notable that a large percentage of the Renaissance art was during the sunset years of the thirteenth century, through the early seventeenth century. Oil paint was mainly used by painters of the time.

Friday, September 27, 2019

The Role of Food in Understanding Chinese Culture Assignment

The Role of Food in Understanding Chinese Culture - Assignment Example Hierarchically, culture is a significant factor that divides food variability. Individuals’ with the same culture share same eating habits. As a result, they share the same food variables assemblage. Individuals belonging to distinct cultures share different food variables assemblage (Chang 1). This is a clear proof that food choices vary from culture to culture. Within similar cultures, food homogeneity is not mandatory. As a matter of fact, there exist a small range of food variable manifestations in various social situations. Individuals belonging to distinct occupations or social classes eat differently. People in mourning, on festive occasions or on routine occasions consume differently. Different eating codes are upheld by different religious sect. In various life stages, women and men eat differently. The eating differences might be as a result of taste preferences, but some are determined by an individual culture. Explaining these differences, identifying and relating them to other social life facets are of great significance. The availability of natural resources determines the food style of a culture. That is the main reason why the Chinese food is characterized by the animals and plants assemblages that have existed in their land for a long period of time. Thus, the purpose of this paper is to elucidate the role of food in understanding Chinese culture. Role of food in understanding Chinese culture Chinese cooking involves the combination of food stuffs. For example spices, meats, fruits, vegetables, legumes and starch staples. In the category of spices we have the ginger, red pepper, cinnamon and spring onion, for meats we have dog, pork, mutton, beef, chicken, goose, venison, fishes and pheasant, with fruits we have the apricot, peach, plum, apple, pear, jujube date, mountain haw, orange, litchi and longan, under vegetables we have Chinese cabbage, amaranth, malva, turnip, mushroom, radish and mustard green, legumes consists of broad bean, s oybean, mung bean and peanut and lastly starch staples comprises of rice, millet, maize, wheat, sweet potato and kao-liang. Given the fact that ingredients varies from culture to culture, Chinese foods have a local attribute due to the used ingredients. It is not efficient and effective to use ingredients for purposes of characterization; however, they can be used as a good start. With regards to food, Chinese are not that nationalistic as they do not resist imports. This is evidenced by the presence of foreign foodstuffs adoption since the beginning of history. Goats, sheep and wheat were perhaps brought into China in the prehistoric time from Western Asia, whilst many vegetables and fruits came into the country from Central Asia. Furthermore, sweet potatoes and peanuts originated from the coastal traders (Jacques 135). As a result, all these ingredients became part and parcel of Chinese food. Up to date, dairy products and milk have not occupied a place that is prominent in the Ch inese cuisine. In comparison to other food traditions, the Chinese culture of preparing food from ingredients that are raw to morsels that can be eaten involves the combination of interrelated and complex variables. Shopping for fresh fruits on daily basis is significant for all the cooking in China. Unlike the United States fast food society, live sea food, vegetables and seasonal fruits are often selected to ensure freshness. In that case, snappy crabs,

Thursday, September 26, 2019

Marketing Strategy Essay Example | Topics and Well Written Essays - 1750 words

Marketing Strategy - Essay Example Marina Bay Sands targeted the ‘Meetings, incentives, conventions and events’ and business travellers as their major markets but the hotel is now aiming at the family and leisure markets as well. The hotel appears to be entirely matching with regard to their products, experience offered and their facilities. For this reason, they appear to be attracting and containing quite distinguishable market segments. Therefore, for future markets, the economic growth and population growth in China implies that China is no longer a huge and poor market. Marina Bay Sands like many other companies should now try to locate and target the most outstanding market for them (Jauhari and Rishi, 2012). This is because previous studies of China economy have not entirely acknowledged the remarkable growth of the middle class. Research done using data from Asia Pacific and MasterCard Worldwide showed that middle class reached 87 million by 2005 from just about zero ten years ago, and is expected to rise to 340 million by 2016. This means that the middle class will occupy the 60 percent of China’s urban households by 2016 which already clocked 39% by 2006. The other markets that constitute notable target include Malaysia, India, Indonesia, Thailand and Vietnam (Cui and Song, 2009:38-41). Over the years brand positioning has also been an essential part of marketing strategy and thus, the hotel industry has accepted and embraced its value in marketing and in particular when there is extensive brand segmentation. Just like several others Marina Bay Sands has developed multiple brands in order to serve multiple market segments (Burkard, 2011). This strategy of segmentation involves the idea that the brand name is a component of the process of illustrating tangibility to what basically appears intangible. This provides a shorthand way of setting up a particular property’s value when a customer is given significant information about the service or product. With resp ect to this, the brand’s quality is based on the awareness of the potential quests, their perception of the quality and the overall satisfaction of the customers. This concept that brand positioning provides added value to both the hotel and quests, is what a reasonable growth of brand positioning relies on. When hotel brand is managed well, the hotel tends to get a rising market share from a corporate strategy point of view. Cai and Hobson (2004) say that a brand can create a distinguishable identity by establishing a given set of promises to its customers where functional features of the products are not considerably differentiated. A personality that a brand creates may be relevant reason for a consumer to select one brand over the other. A brilliant brand personality is likely to make the brand more tangible thus reducing the intangibility associated with the hotel industry. Since there is the idea that brand positioning creates a personality for an intangible unit it is, therefore, related to the consumer emotions. Burkard (2011) explains that these emotional connections to a brand come about in part from the promises mentioned above. This means that the customers rely on brand names so that they can minimise the risk that is associated with unknown brands. Therefore, the hotel’

Wednesday, September 25, 2019

Family Having a Child with Life-Limiting Illness Thesis

Family Having a Child with Life-Limiting Illness - Thesis Example Consequently, the number of children with terminal diseases continues increasing, raising the cost of their care at family and national levels. Many research studies have been conducted to investigate the financial impact of life-limiting disabilities on medical care budgets of various countries, especially in the developed world. A study conducted by Michelson and Steinhorn (2007) in England investigated the palliative costs of managing various types of life-limiting disabilities on children. Though the study focused on particular standards needed to cater for patients suffering from a particular life-limiting disorder, it gave insights of financial costs that such life-limiting disorders have on families. Majority of all life-limiting conditions require palliative care and in children, such care is concerned with controlling the symptoms and maintaining the good quality of life of the child for the uncertain period before the child dies (Michelson & Steinhorn 2007). Though the deat h of children with the life-limiting condition is usually expected, it is difficult to determine when and how such children will die. Therefore, caregivers of people with such conditions are faced with financial challenges of preparing the patients until death. EAPC (2007) noted that though children’s palliative care at national level supports children and young persons diagnosed with life-limiting conditions, the inclusion of children with other types of disabilities often puts an extra strain on the care of such patients. According to Chochinov (2005) majority of children, hospices depend on charitable organizations for funding which in most cases is short-term and inconsistent. Others rely on short-term grants and statutory funds that are similarly unreliable and as a result, most parents use vast resources to add life to the child is remaining years to supplement the funding for their children’s care. There are different categories of life-limiting disorders most o f which are rare with unique symptoms. Consequently, it is difficult to determine the needs and care of children with life-limiting disorders. According to Dangel (2005), a strong relationship exists between the requirements of children in need of palliative care and those with other disabilities requiring complex care. However, those in need of palliative care are usually in an unstable state, requiring a different type of care according to their state of health at any given time. This is in contrast with other types of disabilities, which are generally in a constant state, making it easy to manage and plan for their needs. The unpredictable nature of life-limiting disorders makes it more expensive to manage, plan and take care of the sufferer than in children with other disabilities (Dangel, 2005).

Tuesday, September 24, 2019

Resalt of Modeling of optical parameters for optimum collection of Essay

Resalt of Modeling of optical parameters for optimum collection of concentrated solar radiation for photovoltaic devices - Essay Example 6.13) Best power exists when the distance between the Fresnel lenses and the CPC equal to the focal length, unlike when the focal length is less than the distance (Partain & Fraas 318). The phenomenon occurs because of loss in the concentrated beam that falls on the CPC. Besides, focal point forms at CPC if focal length is longer than the distance. Therefore, change in the path of the incident beam results into loss of the beam (Fraden 164). First law of refraction highlights the if the distance between the Fresnel lenses and the CPC equal to the focal length, most of the beam will concentrated at exit aperture (Lindenfeld and Brahmia 241) Moreover, the experiment established acceptance angle. Adjusting the Angle of incidence beam on the Fresnel lens (Tilt About x), when the distance between the Fresnel lenses and the CPC equal to the focal length as showing below. Based on the experiment, we identified that power generated by the CPV system decrease with increase in the Incidence angle (Luque 89). Whereas, at a point where power equal to zero, the Incidence angle becomes the Acceptance angle, usually (4o). Hence, the system limits deviation of radiation falling more than three degrees (Fischer 140). As shown in Table

Monday, September 23, 2019

Film Analysis - The Truman Show Essay Example | Topics and Well Written Essays - 2500 words

Film Analysis - The Truman Show - Essay Example These different stages in the story of a drama are organized in to a sequence by the construction of certain devises called as ‘narrative’.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  It is the narrative that defines a story in terms of space and time. It also decides and structures the dramatic elements and the events of the story. The narrative can also manipulate the awareness of audience by using a series of â€Å"co-creative techniques† such as â€Å"flashbacks, replays of action, slow motion, speeding up, jumping between places and times for constructing the story world for specific effects† (Schmidt 2011). There exist some theories that govern the narrative that share some links with the theories of drama. Both the narrative and the drama draw their theories from Aristotle’s â€Å"Poetics†, where he explains that topics such as â€Å"character, plot, beginnings and endings, poetic justice, and the goals of representation, are as re levant to narrative theory as to a poetics of drama†. In the modern times, however, most theorists follow the view of Roland Barthes who stated that â€Å"narrative is present in myth, legend, fable, tale, novella, epic, history, tragedy, drama, comedy, mime, painting [think of Carpaccio's Saint Ursula], stained glass windows, cinema, comics, news item, conversation" (Richardson  2012).  Ã‚  Ã‚   Though there are similarities in the literary and filmic narratives, there exist diverse dissimilarities when the narrative strategy is articulated through the medium of films. Since films use various cinematographic modes for the aesthetic expression of narrative, the concept of generalization that rules a dramatic film and a literary text gets obscured. The filmic... This study is an analysis of a drama film, â€Å"The Truman Show† and the narrative constructed in it. "The Truman Show" (1998) is an American drama film directed by Peter SWeir and written by Andrew M. Niccol. The film has a voyeuristic setting that allows its viewers to gaze upon the everyday life of Truman. A few close-up shots of the producers and the main characters of the Show provide an insight as well as the base for the main plot of the film, which is Truman's life. The time marker and the show credits are inserted in the Show while allowing the show viewers to watch their star Truman. Thus, the filmic audiences are provided with a 'window within a window' style of spectatorship. For instance, Truman is being gazed by the hidden camera in Meryl's necklace; his neighbors, friends and colleagues; the actors on the set; the production crew; the 'global' audience members of the television show on the film set; the real film spectators in the theaters; and finally the gaze effected by the subjectivity and reflexivity of the narrative text. Reality is a perception created by the temporal and spatial continuum. A successive and mutual blending of images gives these images a chronological function. In this film, the representation of reality is done not by the conventional integration or dissociation of time and space and image and sound. The subject of the show, Truman’s life, is a continuum in the electronic space, for the broadcast viewers. Truman's life, like any theater performance, is a staged performance by a group of artists who plays their roles to perfection.

Sunday, September 22, 2019

Sustainable Water Annotated Bibliography Example | Topics and Well Written Essays - 1000 words

Sustainable Water - Annotated Bibliography Example In order to conduct this assessment, I have broken down the subject into two well-developed research questions as follows: I have researched regarding the subject matter in the past three weeks from 17th February to 9th March 2013. I have used five sources to assess the subject matter out of which two of the sources are published books, two journal articles and lastly an article from the website. These sources have been published within past five years which allows the research to have updated information regarding the sustainable water programs. This journal article focuses on the ways in which the water recycling can actually help the stakeholders to help in increasing the amount of water for industrial use. The article has determined an approach of assessing and providing statistics of six different sewage treatment plants. The authors have also made use of different tests regarding pH, electric conductivity etc. This has rather made the article credible in terms of information regarding subject matter. The articles targeted audiences are the stakeholders who are responsible for the development needed in the sewage system to make sure that only limited amount of water is being consumed. The tests which have been provided in the article have rather made my assessment regarding the sustainable water much easier. In other words, the usage of a more critical stance of sewage system helped me in knowing about the models which are being applied by many countries for sustainable water. The article from the website is very helpful in the research of sustainable energy because it talks about a variety of methods that can be applied with limited use of technology. These methods are not just applicable in some of the countries but everywhere because these strategies are compatible with all sorts of systems. The targeted audience of the website article is for general audience which makes the article to be quiet

Saturday, September 21, 2019

Organizational paradigms Essay Example for Free

Organizational paradigms Essay Every organization is different and there is no perfect organizational paradigm that fits an organization in all situations. Even though the most common organizational paradigms are hierarchies, holarchies, coalitions, teams, congregations, societies, federations, and matrix organizations there are many more kinds that exist which are a combination of these with a few extra attributes. â€Å"What is clear is that all approaches have different characteristics which may be more suitable for some problems and less suitable for others† ( Horling Lesser, 2005) I feel that among these organizational paradigms a combination of hierarchical and team based designs offer the best of the attributes. Because, hierarchical structured organizational is one of the oldest and time tested paradigms with very clear advantages over the other paradigms. A hierarchical organizational design helps decomposition and that is its major advantages. In addition, hierarchical organizations are formed with number of departments each with a hierarchy of its own and that helps the organization tackle large scale projects and scaling is comparatively easy depending on the need of the situation. They are also the simplest to understand and induction of new employees and their reporting system are comparatively more systematic and well organized. The trouble with hierarchical systems, however is that they tend to develop bottlenecks and decision making processes tend to take longer. That is the reason, for my belief that if the hierarchical organization create teams within itself, it would improve the overall flexibility of the organization and avoid the creation of bottle necks. Because teams are set of employees who work towards a common goal supporting and coordinating with each other. Whenever a larger problem crops up that cannot be handled by individuals the team can take care of them and take the organization forward. References Horling Lesser, 2005, A Survey of Multi-Agent Organizational Paradigms, retrieved May 14, 2009 from http://polaris. ing. unimo. it/didattica/cas/L6/Lesser_OrgParadigms. pdf

Friday, September 20, 2019

Implementation Of Compliance Monitoring Programme Framework Information Technology Essay

Implementation Of Compliance Monitoring Programme Framework Information Technology Essay Only UK Financial Services Authority (FSA) alone has issued over  £13 million of fines in year 2011 so far ( £89m in 2010 and  £23 in 2009). (FSA, 2011) For the larger firms, the monetary value of such fine may be a drop in the ocean. Nevertheless, it may pose a major reputational risk. According to Bank of International Settlements Principles on compliance function in banks (BIS, 2005:14), the responsibilities of the banks Compliance Function (CF) should be to assist senior management in managing effectively the compliance risks faced by the bank. Furthermore, BIS survey on implementation of compliance principles in banks (2008) shows that the core tasks of the compliance function defined in laws, regulations or binding guidance in respondent jurisdictions are monitoring and testing compliance by performing sufficient and representative compliance testing as well as reporting on a regular basis to senior management where the results of the compliance testing should be reported in accordance with the banks internal risk management procedures. (BIS, 2005:14; 2008:3) The importance of an effective Compliance monitoring program is continually growing due to the increased complexity of regulations, rising regulator activity and the growing impact of non-compliance. Compliance monitoring is, indeed, the heartbeat of any CF. The creation of compliance and policy manuals are important, however, such policy management might be irrelevant without an effective compliance monitoring. (ComplianceTrack, 2011) (Appendix) Therefore, it is essential that every CF takes advantage of monitoring process to its fullest in order to protect their companies from negative consequences that non-compliance in their area may have. The aim of this assignment is to briefly outline a framework for Compliance Monitoring Programme for a pan European Financial Services (FS) organisation. This I based on the material discussed in class, further research, as well as my personal experience with Compliance gained in Irish and international companies operating not only in the FS, but also in communications, hospitality and consultancy industries. The Teamwork Compliance, with Compliance Monitoring at its core, is considered as the 2nd line of defence in the overall company Integrated Assurance Framework, also known as the Three Lines of Defence. (Appendix) The business standing in the so called 1st line of defence owns, manages and controls compliance risks through management, procedures, controls, quality assurance. The compliance monitoring then carried out by the CF in the 2nd line of defence provides assurance that the business adequately manages its compliance risks. In the final 3rd line of defence the Audit both internal and external performs the overall assessment of the adequacy of compliance functions. BIS (2005:13) suggest there should be appropriate mechanisms for co-operation among all the above assurance providers within the Integrated Assurance Framework and with the head of compliance. These mechanisms should be sufficient to ensure that the head of compliance can perform his or her responsibilities effectively. Hence, not all compliance responsibilities are necessarily carried out by a compliance unit. Compliance responsibilities may be exercised by staff in different departments. (Appendix1, 2) Such coordination with other assurance providers may lead to one of the three following review approaches (Zurich, 2010): 1. Review execution is performed by another assurance provider (e.g. Internal audit performs an AML review). In this case, CF should support the assurance provider with technical expertise during execution of the review (e.g. support in setting up the review program). 2. Joint reviews. CF participates in a review led by another assurance provider. In this case only one report will be written by the assurance provider who has the review lead. 3. Compliance Reviews. If review types 1 or 2 are not feasible or adequate, CF performs an own Compliance review. BIS Principles (BIS, 2005:14) stress that if some of the Compliance responsibilities are carried out by staff in different departments, the allocation of responsibilities to each department should be clear. As might be expected, PWC research (2009:16) shows, that in practice the three lines of defence can and often do overlap, depending on the organisational compliance structure (e.g. embedded compliance staff in the business who undertake real-time surveillance of transactions to ensure compliance with AML, market abuse or client order handling rules). To resolve these confilicts, PWC recommends to put the CF squarely in the advisory category (i.e. in the second line of defence). This means operationalising the first line of defence where compliance control and day-to-day monitoring becomes more clearly the responsibility of the business, with the compliance function providing oversight and advice. (Appendix) The Virtuous Cycle (Compliance assurance process) 1. Risk Assessment The continuous cycle is usually annual and starts with risk assessment to detect potential compliance issues and risks, in accordance with companys risk appetite. The monitoring is typically (Appendix) planned on risk-based basis as this approach enables resources to be targeted to the areas where they are most needed and will prove most effective, potentially not only saving compliance costs but also gaining greater business support for compliance measures. (Better Regulation, 2008) The following sources need to be considered to determine which compliance risks should be monitored on the highest group company level: 1. Risk assessments, which can, for instance, be categorised by business areas or standards prescribed by regulator (e.g. FSA handbook categories) 2. Regulatory Environment: Laws, regulations, specific requests by the Regulator 3. Monitoring currently executed and planned in the future periods by other assurance providers 4. Local risk assessments and compliance plans Moreover, the required depth, breath and frequency monitoring activities depend on the size and complexity of the nature of the industry and the company itself. 2. Compliance Plan Based on this input, CF establishes its review needs, which should subsequently be discussed and coordinated with other assurance providers in order to leverage on the existing review frameworks and to avoid duplication, gaps and to limit business interruption. All defined reviews on compliance risks, irrespective of which assurance provider executes them, will be included in the annual Compliance Monitoring Plan. This Compliance Plan typically details the what (scope and objectives, problems/risks, priorities), who (resources), when (start and finish dates, major milestones), and how (activities to be carried out and data to be collected). 3. Compliance Data Collection and Testing The Compliance procedure manual tells you how to comply with the regulators rules. How do you, however, ensure that your company has been following this manual? The answer is by conducting compliance testing on a regular basis to see whether those procedures are working as expected, and what the exceptions are. (Cyriac, 2011) Hence, CF should have a process in place that systematically collects all the compliance-relevant information. The list below defines the main issue and risk identification activities that CF can use to monitor compliance risks (Zurich, 2010): Compliance Testing The aim of compliance testing is to conduct detailed evaluation of compliance-relevant procedures and internal controls (manual and automated) built into company business processes to asses whether these are adequate to manage the risk within the scope of CF. Tests should be completed clearly, concisely and accurately, in line with CF and company standard methodologies. Ideally, large portion of such testing population can be sources from company management information system such as records of complaints, errors, exceptions, mitigating actions and their status, trends, and the like. Reasonable sample sizes when testing areas with a volume of data (e.g. trades) should be used. (Cyriac, 2011) Compliance monitoring is meant to be both proactive and reactive. It should collect data to prove the availability of controls and validations and it should also collect data relating to failure. (ComplianceTrack, 2011; PWC, 2005) The actual frequency of tests is dependant on the abovementioned risk assessments. As a general guideline, higher risk areas are recommended to be tested more regularly, at least monthly, medium risk areas, at least quarterly, and lower risk areas, at least annually. (Cyriac, 2011) As mentioned earlier, the CF can take advantage of the connections, resources and expertise within the Integrated assurance framework in certain circumstances where the CF may require to increase the independence, quality and/or frequency of their reviews. The following basic steps may be executed when performing a Compliance test: Review Preparation and announcement Inform the Business about the planned review and discuss review process, scope, timing and collaboration Prepare the review by gathering information and establishing the review program Fieldwork Execute the review according to review program and file supporting review documents and evidence Discuss observations and actions with the Business Testing by Other Assurance Providers Regular meetings should be arranged within the Integrated assurance framework to identify potential issues that might have an impact on compliance risks. Also, CF should be kept in the loop in regards to reports from other assurance providers. Complaints External Perhaps also part of a good MIS, complaint handling procedure should exist where all complaints are registered and tracked for regularly relevant compliance statistics (e. g. number of complaints, summary of major topics, actions taken, status, development needs). Complaints Internal To encourage employees to express concerns, an infrastructure for reports (often anonymous) should be in place (e.g. dedicated contact persons, hotlines, email address, web forms, etc.) and all staff informed and actively reminded of its existence. Reported issues are investigated and acted upon in timely manner and reported to relevant stakeholders (e.g. number of complaints, major topics, status, channels used for reporting). Day-to-day Counselling Compliance should not be seen not just as a monitoring tool but as an active, ongoing support to management. As business progressively manifests the right behaviour embodying both integrity and innovation the need for the CF to police its activities diminishes, and the value-adding counsellor role comes more to the fore. (Appendix?) (PWC, 2005) Having a good relationship with the business is vital to the success of the compliance function, particularly when it comes to assessing the compliance risk of the business. Companies with a mature compliance culture tend to think of the compliance function as a vital element of business operations and no decisions on, for example, new business ventures or services would be taken without the involvement of the CF and its advice on all compliance risk areas. (Metheven, 2011) At the same time, however, the pendulum should not be allowed to swing unreservedly in the counsellor direction. Compliance has a critical role to play in compliance oversight and monitoring in order not only to provide the necessary comfort to (senior) management but also to frame the advice it provides going forward. A clear delineation needs to be set between doing compliance and monitoring compliance. (PWC, 2005) Yet, interestingly, in PWC 2009 (:15) survey of 76 financial institutions based in 16 European countries forty-eight percent of respondents say the difference between the compliance management and the compliance monitoring programmes is still not fully understood within their organisation. Hence, CF should attend all committees where compliance risks may be discussed. Annual Relationship Management plan is a popular solution, outlining minimum required regular meetings with management to discuss potential risks, issues and new developments. Regulatory Environment Monitoring Changes in regulation, laws and industry should be monitored systematically. Where action is required, owner of the particular area should be advised of the matter and the deadline for implementation. CF should ensure the owner has all support needed (compliance, legal etc.) so the deadlines and requirements of the new regulation are met. As usual, it is important to keep all stakeholders informed. Compliance officers increasingly appreciate the need for a coherent dialogue with regulators to gain a better understanding of their changing expectations and the need to monitor the upstream risks of new regulations more effectively. (PWC, 2009:4) To ensure no surprises, or last-minute scrambling and the associated unnecessary expense, particular attention should be paid to monitoring new regulatory proposals. (PWC, 2009:9) How do we do it? UK monitor it, tell us about it, agree deadlines, help us to read the docs ensure interpretation ok, bring directors into the loop,à ¢Ã¢â€š ¬Ã‚ ¦ Regulatory Action Monitoring Reviews, investigations and requests from regulatory bodies should be received and analysed. CF must ensure timely resolutions of such requests, possibly also coordinating the whole process. It is a good practice to share the results of the Regulators activities (e.g. regulatory review report including fines or sanctions where appropriate) and implementation progress (status of internal actions) with relevant stakeholders. Training The best practice dictates that annual Training Plan should be established to communicate regulatory/compliance matters to employees of the organisation. These activities can be measured (e.g. coverage, success rate, completed by deadline) and results used as indicators for next periods. Local CF monitoring Important part of Compliance monitoring in organisations consisting of various units/branches is to ensure that CFs across the company execute their tasks according to the company principles. (Appendix) This can be done by regular meetings of group CF with local CF units (e.g. one-to-one/joint, face-to-face/teleconference/online; discussing risks, activities, infrastructure), reporting (e.g. issues, risks, activities, KPI performance), periodic meetings with key local business stakeholders (e.g. satisfaction, cooperation, added-value, prioritization, resource), regular quality assurance reviews (carried out by CF and/or in cooperation with another assurance provider) Monitoring of Outsourced functions and activities There are strong parallels in approach in terms of controlling third-party networks and outsourced functions or activities. (Appendix) Key control elements stressed by respondents include: à ¢Ã¢â€š ¬Ã‚ ¢ Quality of the due diligence exercise prior to entering the relationship à ¢Ã¢â€š ¬Ã‚ ¢ Contracts and written agreements (service level agreements) à ¢Ã¢â€š ¬Ã‚ ¢ Robust monitoring by the (local) compliance function and testing exercises (for example, mystery shopping) à ¢Ã¢â€š ¬Ã‚ ¢ Ongoing communication and training sessions à ¢Ã¢â€š ¬Ã‚ ¢ Metrics/controls/reporting à ¢Ã¢â€š ¬Ã‚ ¢ Quality of the compliance function within the third-party distributor or outsourcer, and compliance policies in place, as well as a clear definition of compliance processes à ¢Ã¢â€š ¬Ã‚ ¢ Onsite reviews by compliance and internal audit à ¢Ã¢â€š ¬Ã‚ ¢ Complaints analysis à ¢Ã¢â€š ¬Ã‚ ¢ Dedicated unit within the compliance function to oversee third-party distributors or outsourcers. Does IT help? Priority should be placed on the development and use of technology able to help management to really understand, on a timely and consistent basis, what is going on in the business. From the perspective of the CF, a robust technological infrastructure entails both sophisticated tools for monitoring compliance in business activities, together with appropriate tools for streamlining compliance function activities, and facilitating knowledge sharing. (PWC, 2005:11) The apparently low level of knowledge of IT within compliance functions supports the view that, in many organisations, the IT department is not considered to be a key stakeholder in the compliance function, and vice versa. However, PWC believe that technology is a key enabler to supporting compliance within the organisation, and presents a significant opportunity for many organisations. This means the use of technology to: Control and manage processes that cut across systems and organisational boundaries. Compliance touches nearly every operating and administrative unit and business process in an organisation so the task of controlling and managing the compliance process itself is huge. Each of these require appropriate application of technology in order to establish sustainable compliance. (e.g. document management, status reporting, automated internal controls) Appropriate use of IT can improve the quality of information and speed of delivery transferring data from one system to another, replacing manual processes for execution, analysis and reporting, challenging the quality of data, modelling alternatives and delivering reports and dashboard information to decision makers. Reliable information increases confidence to take action. à ¢Ã¢â€š ¬Ã‚ ¢ Identify and manage events in a consistent and auditable manner. Technology is used to identify events and report exceptions. This involves optimising control capabilities in existing business and support systems, use of integration technologies to bring together information from disparate source systems and administering and monitoring of risk and control self-assessments and other surveys. à ¢Ã¢â€š ¬Ã‚ ¢ Build accountability into the management and reporting of events. IT help ensure action by creating a closed loop environment that incorporates accountability for each incident and requires action. (PWC, 2005:61) According to PWC (2005) survey of 73 FS (63% banking, 19% investments, 18% insurance) institutions in 17 countries, 36 percent of respondents considered inadequate IT infrastructure for compliance monitoring as one of the biggest challenges of achieving a compliant organisation. (PWC, 2005: 19) 4. Data Analysis Results of reviews on compliance risks, as defined above, should be captured and analyzed. Every Compliance function should systematically monitor and analyze the captured data in order to identify compliance risks, issues, problems and trends. Key Performance Indicators reflecting the monitoring activities can be an important part of the reporting dashboard and help to identify trends on a local and group level. 5. Reporting and Follow up Reports to stakeholders (e.g. those charged with governance) on compliance monitoring and analysis need to present a balanced view of the situation, risks, issues, actions taken, highlighting both positive and constructive/developmental aspects, and proposing improvement actions. Reporting happens according to reporting standards of the particular company but generally include the following: Write and discuss report, observations and actions with the business Share report with relevant stakeholders Follow up actions Sample Reporting Content Executive Summary Background Objective and Scope Description of compliance testing/review carried out Observations Rating of quality of controls and processes under review. Actions 6. Review Being part of the Integrated assurance framework, Compliance should itself be subject to regular view usually annual as mentioned above usually by external and internal audit. Benchmarking with industry peers is also a beneficial practice. Without processes to judge program elements and implement necessary improvements, any compliance program will have difficulty staying efficient, effective and up to date. Well-developed routine monitoring and periodic assessment processes, with clear paths for communication of recommended changes, may be the best sign of a mature and effective management system. (OCEG, 2004:2)

Thursday, September 19, 2019

the gathering Essay examples -- essays research papers

Ernest J. Gaines was born on January 15, 1933, in Oscar, Louisiana. Many of his stories and characters are set in the swamplands of Louisiana. His target audience is Black southern youth; his goal is to give them a sense of pride in their heritage. Recently, Gaines participated in the conference "Black and White Perspectives on the American South," which intended to examine how the two races view themselves and the relations to one another. In the book A Gathering of old men, there was lots of symbolism throughout the scenes. Tthe book describes the transaction from the old south to the new south, a south that depends on the the co-existence of blacks and whites. In order for this too take place some old black men are going to have to stand up for themselves when a white cajun farmer by the name of Beau is murdered. The old black men in the story will have to face up to a racist sherriff by the name of Mapes.Beau Boutans brother Gil, who plays fullback for Louisiana State University, and depends on a black running back, is getting tired of his family violent name. He comes home to confront his dad Fix Boutan. By doing this Gil represents a new southern way. The man who murdered Beau, Charlie, was a very large man. He had been running away from his fears since he was a kid, but on this fateful day all that would change. It was finally time for Charlie to become a man after so many years. In one of the scenes from the book A Gathering of Old Men, the old men gathered around the Sheriff Mapes who symbolized white power with his gigantic size and his authority . Mapes was trying to figure out who had killed Beau Boutan. Their stories all came down to the same conclusion as the next mans story. They were fed up with verbal and physical abuse of from the Boutans. Mapes in all his years never seen such a sight or better yet a boldness in the eyes and mouths of the old black men. Even though he cursed them and hit them to get the truth, the old black men kept their stories, that they were all guilty of the murder of Beau Boutan. Before Mat left his house, one of the old black men, he and his wife got into an argument. She did not want him to be involved in what was going on. With tears of past hurt coming down his face he told her how for many years he has helped the white man get richer and the black man get poorer. He told her he was going down there f... ...ted to have written some short stories. He was criticized in his stories because he felt that poor white people will except the new south, which is built on the interracial cooperation, with some or none violent rejection (Summers 93). William faulkner, a black author, said Gaines fails to see the lingering tradition of the old south, that he does not see that white people will always be white people (Vinson 93). But I fell that faulkner fails too see the character Candy was. Even though she was on the side of the old black men, when they wanted to meet without her. She did not respect there request on the basis she thought she was still the leader or the head. Also Mapes character did respect Mathu and Charlie, but at the same time he referred to them at one points as â€Å"niggers†.Gaines story depicts the coming of a south that will tolerate the co-existence of blacks and white, but he was a little to far ahead the timeline in this book, in those days there would have been a lynching without a doubt(Wertheim123). In conclusion, Gaines touched up well on all the attitudes and stereotypes of the southern way of life, and on its objection of the co-existing between whites and blacks.

Wednesday, September 18, 2019

Cell Phone Radiation :: Telephones Health Communication Essays

Cell Phone Radiation Introduction to Cell Phones Today, cell phones have become widely used among our society. However, there has been some customer concern of human safety concerning the use of cell phones. Cell phones are know to emit low levels of radiofrequency energy in the microwave range while in use and while in the standby mode, which leads to many ethical issues. History It is very interesting to note that a cell phone is actually a radio. However, it is an extremely sophisticated radio. Alexander Graham Bell invented the telephone in 1876. Wireless communication can be traced back to the invention of the radio by Nikolai Tesla in the 1880's, which was presented by an Italian, Guglielmo Marconi, in 1894. By combining these two technologies people have come up with the making of the cell phone. From the Dark Ages to Modern Times Before cell phones were invented, people installed radio telephones in their central antenna tower per city and about twenty-five channels were available on that tower. The central antenna needed a powerful transmitter, enough to transmit forty to fifty miles. There were not enough channels for many people to use radio telephones. However, the cellular system, which is the division of a city into small cells, has allowed millions of people to use cell phones simultaneously. In the United States, a typical analog cell phone carrier receives 832 frequencies to use across the city. The phone carrier breaks up the city into cells, which are usually about ten square miles. Each cell has a base station which has a tower and a small building that contains the radio equipment. One cell in an analog system uses one seventh of the available duplex channels. Each cell phone uses two frequencies per call, thus, making it a duplex device. A duplex device means that one frequency is for talking wh ile the other frequency is for listening and both people can talk at once. As for a simplex, such as a walkie talkie, two people communicate using the same frequency and only one person can talk at a time. In addition a walkie talkie usually has one channel while a cell phone can communicate on 1664 channels or more. Furthermore, a walkie talkie can transmit about one mile using a 0.25 Watt transmitter while a cell phone operates within cells, giving cell phones a wide range. How Does It Work? All cell phones have special codes associated with them, which are used to identify the phone, the phone's owner, and the service provider.

Tuesday, September 17, 2019

George Lucas And Movies: No Future? Essay -- essays research papers f

George Lucas and Movies: No Future?   Ã‚  Ã‚  Ã‚  Ã‚  When looking into the future people see many different things. Whether it be flying cars, buildings floating in the air, or people walking around in space suits, everyone has their own idea. Most of the time when people look into the future they look far into it, not in the next several years. The future is usually defined as twenty or more years beyond the present. Many movies and stories written about the future world seem to have the common theme that technology will play a big part in the development of the future. The development of technology will lead to the advances that will take the world into the next century and beyond. George Lucas' film THX 1138 and Robert Zemeckis' Back to the Future are both examples of movies that portray technology and the advances of the future. THX 1138 and Back to the Future both portray technology as a danger to society that could ultimately lead to its downfall.   Ã‚  Ã‚  Ã‚  Ã‚  George Lucas made THX 1138 long before he became famous in his later movies. He based the film on his movie that he used as his graduate project and thesis. It was his first attempt at directing and producing a Hollywood film. His goal was to create a film that would show the future state of the world if it was to continue on its path of the search for perfection of everything. He shows the future as a place that many people would probably not want to live or to be associated with.   Ã‚  Ã‚  Ã‚  Ã‚  Lucas shows that everyone will be the same. People will wear the same clothes and have the same haircut. Names are no longer a part of society. In the movie each person is given a prefix of letters followed by a number. They are basically drones who follow orders. Technology has advanced so far that every motion or action of the person is monitored. Anytime that one of them does something wrong it immediately appears on the computer screen as to what they are doing and what their number is. It is possible for the computer to monitor all of their vital signs and mental activity. Each person is carefully monitored and watched. The people are told what to do and act based on how they were trained. They work in shifts of labor and are almost extensions of the computer that tells them what to do. There is no more guessing about disease or how a person is feeling... ...This would mean that there would be no set future for the world. Each person would try to change the future so that everything would benefit themselves. This would lead to the eventually destruction of society and maybe no future at all.   Ã‚  Ã‚  Ã‚  Ã‚  George Lucas and Robert Zemeckis both portray the future in their films. The future however is very different between the two movies. In THX 1138 everyone is controlled by the technology that has created computers that can control things. In Back to the Future each individual person has the option to control the future of the world. Both movies give too much power to one thing. Either Technology or the individual have too much power to have society run smoothly. Both of these things would most likely lead to the destruction of society as it is. A point must be reached somewhere in the middle or there may not even be a future for people to dream about. Works Cited Back to the Future. Dir. Robert Zemeckis. Perf. Michael J. Fox, Christopher Lloyd, Lea Thompson. 1985. Videocassette. Universal Pictures, 1986. THX 1138. Dir. George Lucas. Perf. Robert Duvall, Donald Pleasence. 1970. Videocassette. Warner Brothers, 1971

Monday, September 16, 2019

Phobias and Addiction Paper Essay

A phobia is a learned bodily response in reference to a difficult life event. Centered in the amygdala portion of the brain which regulates the â€Å"fight or flight† response, a somatic sensation of anxiety occurs in the presence of specific stimuli. The precipitating factor may have been experienced by the person themselves-or may have been experienced â€Å"secondhand† through misfortune that may have occurred to a friend or loved on. In some cases, a phobia may have no discernible cause or may appear â€Å"irrational†-to everyone but the person experiencing it! Phobic reactions or symptoms of anxiety can include: a racing heart, sweaty palms, an upset stomach and a general feeling of unease. Classical conditioning is a response that is triggered by an outside stimulus-or the thought of such stimulus. The perfect example is the Pavlovian response-in which Pavlov would ring a bell before dinnertime and his dogs would salivate. Over time, he extinguished the presence of the food yet kept the ringing of the bell. The dogs still salivated-at the idea of food coming, a basic bodily response to the suggestion of a specific stimulus. This is commonly referred to as a â€Å"Pavlovian response. † Classical conditioning has two components to it-the acquisition stage and the extinction phase. In the acquisition stage, the initial learned response is obtained. For example, in the case of a phobia-a person may break out in a cold sweat presence of crossing a bridge as he drives. In the extinction phase, the bridge may not be present but the memory of it may be present-enough to still cause the phobic reaction. Thus, merely thinking about a stimulus, even when it is extinct, can still bring on the same phobic response. The phobic response, therefore, is strengthened each time it is felt. The stimulus-present or not-extinct or not-become fused together in the person’s mind. The phobia sufferer then will go to great lengths to avoid the stimulus at any cost. The phobia then worsens as he avoids facing his fears head on. This is how classical conditioning can increase the intensity of a phobia. Addictions are defined as a persistent behavioral pattern that is marked by physical and/or psychological dependency on someone or something. Addictions became â€Å"an issue† in the treatment milieu when they significantly disrupt the life of the addicted individual. Terminology has become quite complicated. Those individuals from a medical background define addiction from a physiological basis. For example-opiates, benzodiazepines, barbiturates, alcohol and nicotine are classical examples of those substances, which cause a physical dependence. On a lesser scale, there are those items that can cause a physiological dependence, as evidenced by changes in the neurotransmitters in the brain-some examples would be over the counter nasal sprays or laxatives. Psychological addictions can be defined within the context of a â€Å"slippery slope†- there are as many â€Å"addictions† as there are specialists to treat them. (Evidence the most recent news of the plethora of celebrities being treated for sex addiction. ) Some examples of area in which psychological addiction may occur include the following-shopping, pornography, eating, exercise and self injury. There is a physiologic reward, however, as the object of the addictive person’s attention -aka†the reward† activates the â€Å"pleasure enter† of the brain-emitting dopamine. Therefore, the addictive behavior is rewarded with a rush of dopamine to the person engaging in the behavior. Operant conditioning is the use of consequences to form or shape a behavior. There are three main components relevant to operant conditioning. First, there is the aspect of reinforcement-this basically applies to a consequence that causes the â€Å"addictive† behavior to occur with greater frequency. An example of this would be as follows- An individual is consumed with shopping. They scour the news every day to find out where the sales will be taking place; they belong to a network of people that trade shopping information relevant to their area of interest. Then the day comes and they make the purchase. This act reinforces their addiction with a momentary high (that is usually short lived. ) Second, the aspect of punishment-a consequence that makes an action occur, less frequently-comes into play. When an addictive urge is felt, and the desired object is taken away (i. e. the punishment†) the urge to obtain the desired â€Å"rush† still exists-albeit even stronger. The person then works harder to obtain the drug, the act, and the food-whatever the addiction is. In this way, the operant conditioning aspect of punishment reinforces and addiction. Third, there is the element of extinction. Extinction occurs when there is a lack of consequence following a behavior-good or bad. An individual who is wantonly exhibiting a sexual addiction while in a s erious relationship-let’s take that as an example. Without being â€Å"caught†, there is no consequence. The addictive behavior continues unchecked. It is reinforced. I have exemplified the ways in which operant conditioning can develop and maintain addictive behavior. The difference between classical and operant conditioning is as follows: very succinctly put, classical conditioning forms a relationship between two stimuli-for example, one thinks of/or sees a chocolate cake, the salivary glands begin to work! Operant conditioning forms a relationship between a stimuli and a consequence. You touch the stove while it’s on, you get burnt. Bet you won’t do that again-a relationship is formed on the basis of a negative consequence. Conversely, the consequence can also be positive. Example-you do your homework on time and as assigned, you get a good grade, a positive consequence has occurred, which will (hopefully) shape future behaviors. Extinction is achieved through the gradual phasing out of â€Å"reward† in operant conditioning, while hoping to still achieve the same behavior. Example, one has been rewarded with a good driver award after years of possessing a great driving record. With the extinction of this positive consequence (i. e. no reward)-one would hope that the good driving habits would continue. In classical conditioning, I will present an example-if we ring a bell and cause a dog we have a conditioned stimulus-however if we keep ringing that bell without giving the dog any food (an unconditioned stimulus) eventually the dog will unlearn his conditioned response. Extinction has then occurred. In summation, extinction is operant conditioning relates to the phasing out of consequence – in classical conditioning it is the phasing out of response.

Sunday, September 15, 2019

Essay on Pride and Prejudice: Theme Essay

In this novel, the title describes the underlying theme to the book. Pride and prejudice were both influences on the characters and their relationships. Darcy alienated himself from the others at first because of his intense pride. His prejudice against the Bennet’s because of their poverty was also something that he would have to overcome. For Elizabeth, her prejudice against Darcy came from his snobbery. It caused her to not see his feelings for her and to believe whatever Wickman said. Darcy’s fierce pride often alienated him from others. For example, he acted so snobby and superior at the first ball with the Bennet’s that they were all turned off by him. His eventual love, Elizabeth, was disgusted at his behavior and formed a prejudice against him. Even after he fell in love with her and proposed to Elizabeth, he completely debased her family. Darcy realized eventually that he was going to have to change. He tried to look at his behavior and analyze why he acted as he did. In the end, he fought his intense pride so that he and Elizabeth could be happy together. Prejudice was also an issue for Darcy in that he disliked Elizabeth in the beginning because of her low social status, poverty, and socially inept family. Darcy was forced to deal with his prejudice when he fell in love with Elizabeth. This was not easy for him to do but it was necessary. His snobbery was countered by his love for Elizabeth. In the end, he overcame his pride and gave in to his feelings by marrying her in spite of her and her family’s shortcomings. Elizabeth had her own issues with prejudice with which to deal. Darcy’s cold arrogance and snobbery prejudiced her from him from the beginning and it took Elizabeth a lot longer time to overcome her prejudices than it did Darcy. This was because Elizabeth was a very caring person and did not like the things that Darcy had said about her and her family. When given the chance, Elizabeth loved to hear about how awful Darcy was, such as when she met Wickman, who was eager to slander Darcy. However, Elizabeth gradually came around and began to fall in love with Darcy, but it was difficult for her to overcome the prejudices that had been imposed on her by both herself and Darcy. This novel’s theme was tied up in the title of the book, Pride and Prejudice. The pride that Darcy felt and his initial prejudice against all of the Bennet family was eventually overwhelmed by his love for Elizabeth. For Elizabeth, she needed to overcome her prejudices about Darcy and see through his snobbery. In the end, all the pride and prejudice was dealt with and Darcy and Elizabeth were left in love.

Richard Rodriguez- Aria: A Memoir of a Bilingual Childhood Essay

â€Å"Aria. † an extract from the memoir â€Å"Hunger of a Bilingual Childhood. † histories for the writer. Richard Rodriguez’s. childhood experience with larning English as a 2nd linguistic communication. Throughout his essay he represents the power of the person to get the better of the linguistic communication barrier and how he overcame this peculiar job as a kid. Bing lacerate between conforming to the â€Å"public† linguistic communication or remaining true to his â€Å"private† linguistic communication. he discusses subjects of familiarity and linguistic communication. Throughout his extract. he presents statements against the thought of bilingual instruction and it’s negative effects on ESL pupils. like himself. Born in a Mexican immigrant household and traveling to a metropolis in California. Sacramento. Rodriguez had already known from the start that he’s â€Å"different† from the remainder of the kids in the country. He was Hispanic. He felt the difference expressively at school and it was non merely because of his physical visual aspect. The difference of is what isolated him the most. They differed socially. He felt a gulf between Spanish. the linguistic communication he used at place which offered comfort. versus English. the linguistic communication used in the public universe which to him was foreign. Rodriguez felt the separation from his English-speaking schoolmates. as he struggled to get the hang this â€Å"public† linguistic communication and hopefully derive credence. Since its initiation yearss. U. S. had ever been a runing pot of diverse ethnicities. Welcoming fledglings while take a firm standing they learn and embrace its civic civilization. It was suggested that those who come here in America should go Americans. Upon come ining grade school. it was a monolithic civilization daze for Rodriguez. He was put in an ESL category expected to larn English. to talk English. and communicate in English. but of class in a â€Å"English as a Secondary language† puting. It was a ambitious passage. nevertheless. with pattern. Rodriguez began to slowly follow the English linguistic communication giving him and his household assurance and deriving a sense of individuality among his equals. However. every victory came at a monetary value. Rodriguez had ever considered Spanish an intimate linguistic communication he used amongst his household. The more English he spoke intend the less Spanish. Not long after. he felt that connexion easy and to him he associated that as a â€Å"departure† from his childhood. In Greek. way means â€Å"emotions† and for Aristotle. poignancy is an entreaty to those provinces of head that have an emotional constituent. Since it is a memoir. his emotions were vivid in every individual page. He begins by showing himself as a immature Hispanic male child. go toing an American school for the the first with really small cognition of English ( Rodriguez 163 ) . The reader’s inherent aptitude is to experience understanding for the immature male child drowned in strangeness in his new environment. a new group of people. a new manner of life. and a new linguistic communication. He quoted. â€Å"I heard her sound it out: Rich-heard Road-ree-guess ( Rodriguez 162 ) † . Readers can sympathise with relatable feelings of being immature and vulnerable. when first being faced with the existent universe. Besides. he remembered being outnumbered in his school by people of different cultural backgrounds. Again. readers’ natural inherent aptitude is to sympathise with anyone who might experience like the â€Å"underdog† or person who feels excluded and different. And in conclusion. another large illustration was when Rodriguez notices his mother’s face vanishing from the school on his first twenty-four hours. he said. â€Å"Quickly. I turned to see my mother’s face dissolve in a watery fuzz behind the pebbled-glass door ( Rodriguez 163 ) . Again. the readers as worlds are of course inclined to sympathise with a kid confronting a new and potentially baleful experience without the aid and counsel of it’s female parent. therefore it is a terrific experience. It is apparent that Rodriguez felt many negative emotions being a minority in a foreign topographic point. he felt fright. and under appreciated for who he was. For Aristotle. the ethos of a talker is persuasive when the address demonstrates practical wisdom. moral virtuousness. and goodwill towards the audience. On his first twenty-four hours of school. Rodriguez commented that although he felt nervous on his first twenty-four hours of school. he knows that the other kids besides felt nervous as good. he observed his schoolmates being â€Å"uneasy†¦finding themselves apart from their households ( Rodriguez 162 ) † . He hence showed his sense of equity and his deficiency of self-pity. which reflects on his low character. Another illustration. is when Rodriguez carefully explains the ends of bilingual instruction as those ends are understood by it’s advocate. He states. â€Å"Bilingual schooling is a plan popularized in the 1970ss. that decennary when middle-class â€Å"ethnics† began to defy the procedure of assimilation— the American thaw pot ( Rodriguez 172 ) . † Once more. he present himself as carnival minded and nonsubjective. Besides. while he was showing his resistance to bilingual linguistic communication his used of the word â€Å"force† in â€Å"I hear them and am forced to state no†¦ ( Rodriguez 180 ) † implies that his point is non fiddling. It is something he feels he need to voice to do other ESL pupils feel more comfy. His phrasing suggests that he feels theta he has no other ethical pick but to state war he genuinely and unfeignedly believes. This proves that he is true and unfeignedly to what he believes and is honorable and caring about the well being of other kids who feels â€Å"different† . Sons are explained as the â€Å"text of speech† by Aristotle. And in conclusion. Talking as an intelligent and educated grownup. Rodriguez introduces the subject of bilingual instruction. He shows that he knows when his thought was foremost proposed. by whom it was proposed. by whom it was foremost proposed to. and the grounds that led people to suggest it ( Rodriguez 172 ) . His deduction proves him to be good informed and trusty observer. Next. Rodriguez reports more of his ain household background. connoting that his resistance to bilingual instruction will be rooted in really practical grounds with which he is rather familiar. he states â€Å"Bilingualists insists that a pupil should be reminded of his difference from others in mass society. of his heritage ( Rodriguez 173 ) † . His resistance will non be irrational but will alternatively be the consequence of grounds he personally knows all excessively good. The point Rodriguez is doing in his essay through the usage of rhetorical entreaties is that turning up as an ESL scholar was hard. but it enabled him to set up a public individuality in his English-Speaking community. He felt he had the right and duty to larn English. Rodriguez does non hold with â€Å"Hispanic American activists† who support a bilingual instruction for ESL scholars. He feels that teaching the kids in Spanish instead than English might detain their ain entryway in the public universe of English-speaking society and ache them in a long tally. He strongly feels that school should be taught in standard English. the same manner how other pupils are taught. Alternatively of seeking to absorb the difference in societal civilization. schools and pedagogues should promote pupils to encompass their roots. while seeking to larn the English linguistic communication. ESL Students should non experience the demand to maintain their primary linguistic communication sole when in the adult-life holding a 2nd linguistic communication is a great advantage. The positive facets of the place of ESL scholars should decidedly be emphasized in a school scene.

Saturday, September 14, 2019

“Bonum Ex” Principle Essay

The principle â€Å"bonum ex integra causa, malum ex quocumque defectu† means â€Å"an action is good when it is good in every respect; it is wrong when it is wrong in every respect.† This means that in order that an action may posses in an essential degree — no action is absolutely perfect — its moral perfection, it must be in conformity with the law in three respects. First, the action, considered under the character by which it ranks as an element of conduct, must be good. The physical act of giving another person money may be either an act of justice, when one pays a debt, or it may be an act of mercy or benevolence, as it is if one give the money to relieve distress. Both, of these actions possess the fundamental element of goodness (bonum ex objecto). The motive, if there is a motive beyond the immediate object of the act, must also be good. If one pays a man some money that one owes him with the purpose, indeed, of paying one’s debts, but also with the ulterior purpose of enabling him to carry out a plot to murder one s enemy, the end is bad, and the action is thereby corrupted. The end which is the motive must also be good (bonum ex fine). Thus, an action, otherwise good, is spoiled if directed to an immoral end; conversely, however, an action which in its fundamental character is bad is not rendered good by directing it to a good end. The end does not justify the means. The circumstances under which the action is performed should be in entire conformity with reason, otherwise it lacks something of moral completeness, though it may not be thereby rendered totally immoral. We frequently say that something which a person has done was right enough in itself, but he did not do it in the proper place or season. Hedonism The supreme good of man according to Aristippus is pleasure or the enjoyment of the moment, and pleasure is essentially gentle motion. Pleasure can never  be bad, and the primary form of it is bodily pleasure. But, in order to secure the maximum of pleasure, prudent self-control is necessary; and this is virtue. Epicurus held that pleasure is the chief good; but pleasure is rest, not motion; and the highest form of pleasure is freedom from pain and the absence of all desires or needs that we cannot satisfy. Hence an important means towards happiness is the control of our desires, and the extinction of those that we cannot gratify, which is brought about by virtue Utilitariansism Utilitarianism is a modern form of the Hedonistic ethical theory which teaches that the end of human conduct is happiness, and that consequently the discriminating norm which distinguishes conduct into right and wrong is pleasure and pain. Moral Positivism Positivism asserts that sense experiences are the only object of human knowledge, but does not prove its assertion. It is true that all our knowledge has its starting point in sense experience, but it is not proved that knowledge stops there. Positivism fails to demonstrate that, above particular facts and contingent relations, there are not abstract notions, general laws, universal and necessary principles, or that we cannot know them. Moral Rationalism Rationalism is used to designate any mode of thought in which human reason holds the place of supreme criterion of truth; in this sense, it is especially applied to such modes of thought as contrasted with faith. In other words, man’s ultimate truth is what our reason dictates. Communism In its more general signification communism refers to any social system in  which all property, or at least all productive property, is owned by the group, or community, instead of by individuals. Thus understood it comprises communistic anarchism, socialism, and communism in the strict sense. The complete equality sought by communism is a well-meant but mistaken interpretation of the great moral truths, that, as persons and in the sight of God, all human beings are equal; and that all have essentially the same needs and the same ultimate destiny.

Friday, September 13, 2019

Report on the Barnhouse Effect Essay Example | Topics and Well Written Essays - 1000 words

Report on the Barnhouse Effect - Essay Example Dynamopsychism may be defined as the impact produced by the force of the human mind. It works with the help of energy released from the human mind. Firstly it requires a special talent or composition of the brain for a person to be potential to master this power of dynamopsychism. However every person with such talent needs at least ten years to master this art. Also this would require specific training about the technique used by the professor. As described in the report the professor initially began applying this power by trying to roll sevens with a dice. When he was successful he managed to roll ten sevens in a row. The professor realized that the same train of thought has occurred to him immediately before he managed to roll a seven. He focused on that thought train. The basic idea lies in concentration and deep thinking. When the focus is on a specific object or an action expected to be produced on the object, then human mind releases a train of energy, which finally executes t he function as desired. I think such forces are possible but offcourse special kind of training might be required for that. For instance sometimes many of might have experienced that while thinking about rain very deeply, the weather might actually become cloudy and it starts raining. Again, when something negative pricks the mind for long the ill fate might actually take place. Many individuals believe a particular dress is lucky for his or her interviews or exams because it tends to produce the same good effect in a row. If such minor effects are possible in our daily life a larger concentration of energy might lead to a greater exertion of psychic power. Aligning one’s thoughts to focus on a single object or issue is most important aspect for which human mind needs to be self-trained for sometime. Several philosphical notions have been brought forth in the report by

Thursday, September 12, 2019

MHE509 Emergency Planning and Methodology Module 3 Case Essay

MHE509 Emergency Planning and Methodology Module 3 Case - Essay Example This paper will discuss and answer the following question: 4) What are a few of the most important consideration that should be taken into account when evaluating the decision making abilities of the incident Commander Can his decision making abilities be evaluated by a supervisor or other responsible person without the experience from having to perform in similar situations 1. Based on the statements presented above, do you believe that the new Department clearly recognizes the importance of local government in responding to and controlling small to moderate size disasters Please justify your position The US Department of Homeland Security (DHS) employs approximately 180,000 people. It has a daunting mission: lead the nation's unified effort to secure America which encompasses the deterrence and prevention of terrorist attacks and protection from and response to threats and hazards. The department ensures safe and secure borders and promotes the free flow of commerce. (Light, 2007) The DHS clearly recognizes the importance of local government in responding to and controlling small to moderate disasters. The department develops a comprehensive overview of American strategic interests and objectives for the security strategy. It identified the alternatives to implement the national security strategy by defining the security goals for American society, and by describing the internal and external policy instruments required. Furthermore, it identified the sequence of measures needed to respond to external threats. (Parachini, 2003)The DHS works in close coordination with the local go vernment. A clear example of this is that the DHS relies on the first responders such as EMS personnel, public works, fire and rescue and police agencies. Whenever an emergency arises, one of these local agencies is the first to get notified and/or arrive to the scene, and hence, these local agencies are heavily involved. The state homeland security directors' top strategy is to link interoperable communications for first responders. The second strategy is to merge the response strategies of state and local agencies. The third strategy is to develop a state intelligence fusion center where emergency responses can be analyzed and solved. The fourth strategy is to confirm and protect critical infrastructure. The Department of Homeland Security also helps state and local emergency management efforts by providing huge budgets in grants, and program support. A major case is the Emergency Management Performance Grant (EMPG) which is an all-hazards emergency preparedness grant program in s upport of capacity building at the state and local level. The Homeland Security Grant Program

Wednesday, September 11, 2019

The Japanese Quasi-Jury and the American Jury Term Paper

The Japanese Quasi-Jury and the American Jury - Term Paper Example A body was created to collect views and give recommendations on the approaches to reform the country’s judiciary. The body proposed the establishment of the quasi-jury to try the high-crime cases. The quasi-jury structure was formulated through the ‘Lay Assessor Act’ the system was a concession between the political elements and the conservative individuals. The Supreme Court was opposed to the move to create a jury that was similar to the American jury. Under the law, the judges are required to use the law in the determination of the innocence or guilt of an individual as well as give a ruling on the sentence. Moreover, the judges make a determination on matters regarding the interpretation of the laws and decisions beyond the authority of the lay assessors. A presiding judge administers the trial procedures but the statutes of evidence in Japan’s judicial process are indistinct and simple compared to the procedures in the US. The presiding judge has the a uthority to limit the number of questions on a witness as well as the determination of the unsuitable evidence given by a witness before a ‘Saiban-in panel’. Moreover, the opposing advocate may reject the improper assessment of the evidence. The discussions between the judges and lay assessors demand that majority as opposed to a unanimous decision. Nonetheless, the composition of the majority must have a professional judge especially when ruling on the guilt of an accused person. The information arising from is regarded as confidential while those leaking the information being subjected to a fine. The composition of the bench and lay assessors is dependent on the situation and the magnitude of the... The legal system in Japan has been largely a civil law since the approval of the Japanese Civil Code in the late 1890s. The system was borrowed from the western nations such as France and Germany. The model persevered even after the Second World War and the adoption of the contemporary constitution in Japan. The separation of power among the various arms of the government is similar to the American model. The judiciary has autonomy like the other arms. In the US, there are divergent procedures in the cases depending on the state although they are largely guided by the constitution. The quasi-jury exercised in Japan has both positive and negative effects depending on the administration. Whereas citizen participation in the judicial process is significant, the established procedures and restrictions are important to assist in getting timely and fair justice. The judicial system in any nation should be informed by the culture of its people and the nature of the governance structures in order to ensure the obligations are met in a desirable approach. It would be more desirable if the principles and frameworks of the jury are reformed in line with the demands of the country and the global environment. Judicial systems are viewed as essential in human-social existence in the society. The Saiban-in system has resulted in minimal effect regarding the prosecution of cases. The system has given the public a dynamic responsibility in the judicial processes, which is likely to improve when the citizens become familiar with the system and the lay judicial involvement.

Tuesday, September 10, 2019

Outline and discuss the evolution of CSR, including its history, role Essay - 1

Outline and discuss the evolution of CSR, including its history, role in the financial crisis and prospects for the future. Supp - Essay Example The topic of social responsibility is a highly debated one, as several theorists think that â€Å"business is obligated only to make profits.†2 On the other hand, many believe that all business entities have a social obligation it is bound to fulfill. However, there is no denial of the fact that while operating to make profits, a business organization has to ensure that they keep the interest of the society and environment in mind because basically the revenues they make have to primarily derive from the same society and environment. Definition: Corporate Social Responsibility can be defined as the â€Å"relationship between global corporations, governments of countries and individuals citizens.†3 CSR is also encompasses the relationship between corporations and their stakeholders. The EU Commission further defines CSR as a concept where â€Å"companies integrate social and environmental concerns in their business operations†4 as well as during their interactions with stakeholders on a â€Å"voluntary basis.†5 Thus, in simple terms it is the responsibility corporate organizations have towards the society they work and operate in. Furthermore, this responsibility is not limited to the present generation in a particular society, but also extends to coming generations, that is the â€Å"future members of the society.†6 CSR is greatly related with â€Å"corporate citizenship, business responsibility, business reputation, ethical corporation, sustainable business†7 etc but is different from them. The CSR approach believes that stakeholders such as â€Å"consumers, employees, the community at large, government, and the natural environment†8 are supposed to be given a stronger focus. Social responsibility of the firms basically stems from the fact that they are using the natural resources available in the area where they function. Thus, they are bound to give something back to the society. In the present day, the wellbe ing of society has become increasingly important, and community is given the main priority in all spheres. In such a community centered world system, the question of who is responsible to safeguard the interests of the people cannot simply be answered by government. While government has a key role, the growing private sector companies including corporate entities need to focus not only on making profits, but also consider the impact of their operations within the society. History and Evolution of Corporate Social Responsibility: The basic idea of CSR has its roots in the era before the birth of Jesus Christ and is first seen when in â€Å"1700 BC†9 the ancient Mesopotamian ruler brought into practice a code that imposes punishment on â€Å"builders, innkeepers or farmers†10 by death if as a result of â€Å"their negligence†11 any inconvenience is caused to local citizens. The people engaged in any trade related activities have to abide by this code, not merely b ecause they feared â€Å"legal consequences†12 but because of their strong sense of â€Å"moral conviction.†13 On the other hand, ancient Roman senators were upset with the fact that businesses were unable to provide adequate taxes in order to â€Å"fund military campaigns,†14 therefore unsuccessful to â€Å"contribute to the war programme.†

Monday, September 9, 2019

Art history Essay Example | Topics and Well Written Essays - 500 words - 5

Art history - Essay Example Condottiere was the name given to the captain or leader who commanded a mercenary in the 14th and 15th century in Italy. The leader together with his mercenary engaged in fights in the Italian city-states on behalf of the contracting Papacy and the city-states. Thus, the word condottiere originated from condottiero meaning contractor. The mercenary worked with states directly fighting for them, and a fighting contract was signed with the highest bidder. Nevertheless, the contract bound them to a certain city or state with whom the contract was signed, but they moved from one lord or city to another, a game that was fatal for both parties. Additionally, some condottiere had their own small towns acquired through inheritance of conquer, for example, Attendolos who founded the Sforza family. In the Renaissance society, military skill was very expensive, but a wealthy city such as Venice was in a position to afford the services of a condottiere and his mercenary. Therefore, such wealthy cities hired military services only when needed, and this provided a way for them to spare its citizens from the horror and the rigors of war, and save on the cost of maintaining a standing military. Furthermore, the condottiere played a significant role in influencing the field of art as some of the greatest statues of all time in Italy were of the condottiere. An example of work of art that demonstrates the role of condottiere is Denatello’s Equestrian Statue of Erasmo da Narni, referred to as Gattamelata.

Sunday, September 8, 2019

Change & Continuity in Contemporary Business Essay

Change & Continuity in Contemporary Business - Essay Example It also enthused the workforce with renewed vision of the company and provided clarity to them with regard to their roles in the makeover of the organization. Yet, the transformation could be called only a part success since this transformation has not solved the company’s major problem of ageing median age of its customers. The company would be again forced to brainstorm in order to tackle this situation. In the hurry to tackle immediate crisis, it has not made any provision for future market changes. It is yet to act as per the perceived changes in the coming years. Eventually, the report recommends that Harley Davidson should seek its future in newer market segments with new products. Among its employees, it should train and guide a chosen set of people to catch the signs of advancing change in the market scenario and take steps to prepare accordingly. It also recommends the organization to diversify in other automobile segments such as cars and commercial vehicles. As evident from the time bar above, Harley Davidson saw lots of ups and downs before it entered the transformation phase. Harley Davidson, in its early days was the only motorcycle manufacturer in America and ruled the motorcycle market. However, it was caught unawares when foreign entrants flooded the market with innovative, quality and affordable products. The Japanese players catered to newer market segments untapped by Harley. The change in management of the company and the new management’s haste to catch up with the competitors added to the woes of the company which was already suffering from declined market share. The company slumped to its lowest in terms of market share i.e. 23%. It was at this point that few of its managers decided to take over the company. They tried to understand the strengths of the competitors and the weaknesses of their own organization and brought about a fresh insight into work. Under the able leadership

Saturday, September 7, 2019

TRAINING, LEARNING & DEVELOPMENT 'HELPING HANDS' CASE STUDY Essay

TRAINING, LEARNING & DEVELOPMENT 'HELPING HANDS' CASE STUDY - Essay Example It is against this background that I propose to delineate the strategic vision and mission of Helping Hand’s current corporate philosophy. It is not far fetched to suggest at this stage of my analysis that the management at Helping Hand, has almost foreclosed the significant opportunities that TL&D concept presents to business organizations at a critical phase of its growth process, by not revisiting its corporate strategy. There is an inevitable negative correlation between the gradual up-scaling of strategic corporate goals and a static TL&D policy. The outcome is not only predictably negative but also competitively disastrous. The principal stance of the Helping Hand’s senior management is that the operating capacity and efficiency of the middle management structure ought to be enhanced through a conventional and often credibility deficient technique of contracting out functional managerial tasks to outsiders who as consulting firms would rather put in place stop-gap measures. Stress management counselling services are performed by professionals who help client organizations to manage their staff well with a view to increasing worker productivity. Some of the latest techniques have been adopted, probably, by the Helping Hand’s rivals. For example, â€Å"Autogenic biofeedback in psychophysiological therapy and stress management†, has been received by stress management companies with open arms because it provides the counsellor with a more reliable tool (Lehrer and Sime, Editors, 2007, p.231). At Helping Hand, there is no such innovative strategic drive. Right now the level of staff mot ivation is at a low ebb. This is reflected in the high rate of labour attrition. Plans for diversification must be carried out with a total shake up in the existing organizational structure. Additional middle layers of management would necessarily add to the communication bottlenecks that underlie a tall chain of command. As a

Friday, September 6, 2019

The set time of 10 seconds Essay Example for Free

The set time of 10 seconds Essay The data will be recorded by measuring the distance travelled by the first oxygen bubble after the set time of 10 seconds. There is a set time of 10 seconds because after this time of activity, the enzyme Catalase begins to degrade and therefore the rate of reaction becomes slower. The table will be set up in the following way: Test Number Concentration / % Distance Travelled / cm   Average 20 Volume must be kept the same of the overall solution otherwise different scaled will be presented i. e. more substrate than usual: the bubble will go further; the result is not reliable and cannot be used. Safety Precautions: H2O2 at 20 volume (100% for this experiment) is a significant irritant, if it contacts the eyes it could cause itching and could lead to eye damage, therefore goggles must be worn during all handlings of H2O2. Care must also be taken with the H2O as it can come out of the end of the glass tube. This could get onto the floor and cause slipperiness, so care must be taken and the end of the tube must be sat on something absorbent. Equipment must also be rinsed thoroughly, as someone could unknowingly pick up a beaker covered with H2O2. Rinsing out excess substrate and enzyme could also increase the validity/reliability of the results. Suggested Data Analysis: The type of graph used will be a scatter graph with axes labelled as follows: Results may be analysed by looking at mean, mode and median to look for trends in the graph, for example, looking to see if as the concentration doubles, the distance travelled does the same. A scatter graph was chosen, as a trend line can be added, which can help identify anomalous results. Modifications: During the first run of the experiment, it was noticed that the Catalase was not running as quickly at 100% (20 volume) as it did in the trial runs (on a previous day). Therefore, running the experiment by measuring the distance travelled in a set time of 10 seconds became unpractical, as the distances travelled in this time were too small. So, a new set time of one minute was added before this limitation presented a problem. Results: Test Number Concentration / % Distance Travelled / cm Average. The results were collected in the order suggested in the plan (100% descending to 20%, then 20% ascending to 100%) to eliminate the affects of room temperature change when an average was taken. As two results were taken for each concentration an average was calculated for the distance travelled, this will be analysed. Data Analysis: From the graphs it is possible to see the trend that, as predicted, as the concentration of substrate increases, the rate of reaction increases. The gradient for the graph of the first run of results is: 0. 189 The gradient for the graph of the second run is: 0. 198 The gradient of the graph showing the average distance is: 0. 192 This shows a close similarity between the results. It was expected that as the concentration double, the rate of reaction would double also. On the graph showing the averaged results, this is approximately true for the double of 20% to 40%, but as show by the exponential trend line, as the concentration increases, the rate of reaction escalates. When 40% is doubled to 80% there is a 257. 14% increase. When the trend line approximation for 50% is double to 100% there is an approximate increase of 271. 20%. This shows that as the concentration of substrate is increased, there is more likeliness that the H2O2 will contact a Catalase enzyme because there are molecules of H2O2 to collide, so they are moving at greater rates, so the rate of reaction escalates with the concentration of substrate. Evaluation: The equipment used had high limitations, which could have affected the results. Firstly, when the mixture is made in the syringe, the reaction begins and water and oxygen are produced immediately, due to the syringe being difficult to attach to the glass tube, oxygen was lost in the process of attaching the syringe. This was unavoidable because the rubber connector had to be tight to prevent further gas loss. Repeats were important here so that excess gas loss could be identified. An anomaly that relates to this limitation is in the 40% concentration test in the second run. It is possible that it may have taken longer here to attach the syringe. Due to uncontrollable gas escape the bubble would have gone less far if it took longer to attach the syringe and further if it took less time. In most cases the values for the first run and the second run do not vary by more than 0. 2 around the average, so there is an uncertainty value on the distance travelled of ? 0. 2cm, as shown by the error bars in the graph to show average. As all measurements were made by the guide on the syringe, there could have been an effect on the concentrations, if the syringe was not marked accurately there would be an inaccuracy in concentrations, therefore there is an uncertainty value of ? 0. 1cm^3. This is shown as a horizontal error bar on the graph to show average. Show preview only The above preview is unformatted text This student written piece of work is one of many that can be found in our GCSE Patterns of Behaviour section.