Monday, September 30, 2019

Rag Pickers in India

Sustainability of Human Rights with Special Reference to Child Rights: A Case Study of Rag Pickers in Cuttack City Abstract Dillip Kumar Mallik The discourse on rights is evolving with time. The rights of the Rag Pickers as part of the broad rights discourse have assumed significance in contemporary times. My Ph. D research is located within the rights framework. Rag Pickers are those children we can find out them in railway station, municipality areas, bus stand, industries areas, garbage and household areas with having a heavy gunny bags and collected and sorted: plastic, paper, bottles, bones and metals.Diferent plans outlined by Government Agencies have rolled out government has taken lot of initiative for empowering the childhood. For example, policies like Sarva Shiksha Abhiyan, the free mid-day meal programme and many others have been there for a long tyime. But the question is if they are successful, then why there is early drop out of students and more significantly, why chi ldren belonging to poor sections in urban areas have turned into rag pickers. The metro cities have the largest number of rag pickers in the country.It would be difficult to ascribe any particular caste or any other form of identities to these children. The central question of this research is whether Government policies are inadequate to respond the needs and requirements of this group of children. Along with this central question the study also looks at other related questions. Whether the rag pickers belong to marginalised groups? Do these rag pickers constitute a majority of school drop outs? The research revolves round these questions.Some of the key objectives of the research are 1) to study and understand the socio-economic condition of the rag pickers, Second is To know the impact of the rag pickers on the society, Third, to provide proper education as well as health awareness for the children. Fourth, to make assessment the changing behavioural pattern of the children of ra g pickers, and finally To improve the nutritional health status of children. The researcher choose Cuttack district of Odisha will the area of study because it is one of the oldest cities, better known as the Business Capital of Orissa.The study was concentrated slums, railway stations, medical, municipality area and most important industrial estates where these children were picking more rag. In the present study the researcher employed interview schedule and group discussion as the tools for data collection. Both primary and secondary sources of data will employ for this research. The primary data are collected from the respondents of Cuttack district of Orissa. The secondary data are based on books, journal, article, guides, magazine, newspaper, and statistical report, published and unpublished document and mostly from internet sources.In the present study the researcher will employ two types of method for data analysis: qualitative and quantitative. Both the methods are correlat ed with each other, though qualitative method is little prior than quantitative methods. Qualitative method is a raw material for any type research, by which we know the details about the theoretical aspect, but by using of quantitative method we would able to manipulate and evaluate the statistical analysis of the data through the helps of advanced computing package like SPSS.

Formal Report Essay

Electronics about Building a Website for the Company Proposal to build a website for S-N-F Electronics to increase sales and saving money with-in the company. S-N-F Electronics TITLE Team E: Keith Henningsen Heather Mapes Tyler Nooney 14 April 2013 Memo of Transmittal for Research Report Transmittal Correspondence TITLE TO:Management of S-N-F Electronics FROM: Team E (Keith Henningsen, Heather Mapes, and Tyler Nooney. ) DATE:April 14th 2013 SUBJECT: Transmittal for research on establishing a website This is a follow up to see how our first proposal sent on 17 March 2013 . The company still feels that it is extremely important to have a website in order for our revenue to increase, also to keep our clients happy. Customers in this day and age are all about speed†¦ the faster and easier it can be done the better! Since this is the way it is now, we need to keep up with the ever-changing world of business. In order to do this successfully the company feels we can achieve this with something as simple as a website. We have been losing out on profits and clients to companies that are keeping more current with the times. In order to actively compete in the ever-changing business world, we will need to give our customers whatever it is they need, and what they need is convenience. A lot of people these days don’t have time to get on a phone and wait to go through the channels they need to to place an order and write down addresses and dates. For example, a client company might have people on phones and computers all day, so instead of having to hold incoming calls and waste time, all they’d have to do is go onto our website and quickly put down the information and in a couple of business days their order arrives! Most everybody nowadays has some sort of device that can access the Internet. By having a website we will be accessible to everyone who either has access to Internet or access to a phone. Plan of Action So long as the management agrees that a company website will be beneficial and worth creating, our team can start with the actual building of the website. We have drawn up what the website will look like and how exactly it will function. After we create the IP address all that is left to do is for our team to input the data and format we have already have lain out and we can be head to head with our competition in no time. We’ve projected the entire process to take no more than 7 business days to have the website up and ready to start doing business, so it will be a speedy and efficient transition into the Internet age. Summary People from all walks of life and all different professions write some sort of formal report. A formal report is necessary when a company is proposing an idea that the company would like to be funded for. The proposal in most cases is to benefit the company. In our situation we feel this would substantially benefit our company. S-N -F Electronics is proposing to get a website up and running. We have taken a survey within the company and all have agreed that establishing a website will be extremely beneficial. The only way as of right now for our clients to place an order is to make a phone call to our business and that right there was enough for people to put off ordering till the next day, or the next day, then they might forget. A lot of people do not have time to sit on the phone and wait on hold for the next representative. If we have a website we would be able to accommodate the people who are not computer friendly and also the busy people who would like to jump on the website and place a quick order. Our goal is to make all our clients happy and wanting to come back! Obstacles The only foreseeable obstacle that we have to overcome has to teach the employees how to work using the new system. Transitioning employees from taking orders through the phone to taking orders online as well may be challenging for some, so we have a plan to prevent this from occurring. In the final stages of development we will bring the employees in that will be using the new system and allow them to see every component that goes into working with the website. If they can see how it will work firsthand, then it will be more likely that they will take to the new system with greater ease and be ready to work as soon as the website is officially up. Conclusion As we have stated, our team is ready to get a company website up and running, so we hope that you agree with our reasoning. As soon as the company in its entirety can agree with having a website to work with, S-N-F Electronics can begin profiting from the use of the Internet as a means of processing orders.

Saturday, September 28, 2019

Cause and Effects of Dehydration and Hydration

Erik Lipka Mrs. Van Mierlo English 101 05 21 February 2013 The Effects of Dehydration and Hydration Water is a necessity in our world today but especially involving the health of human beings. Water is so important to human life that we would not survive without it because people become dehydrated when an insufficient supply of fluids are consumed in a day. â€Å"Human survival is dependent on water — water has been ranked by experts as second only to oxygen as essential for life† (â€Å"Health Benefits of Water†). Proper hydration and the avoidance of dehydration are mainstays for health and well-being.The importance of drinking water is crucial in order to maintain a healthy and proper functioning body. Dehydration is actually quite common in our society today. â€Å"Dehydration occurs when the amount of water leaving your body is greater than the amount being taken in† (â€Å"Functional Fit Facts†). Severe dehydration can be deadly which may caus e symptoms such as intense thirst, absence of sweat, heart racing and delirium. More commonly experienced is a mild or moderate form which results in feelings of dizziness, fatigue, headaches and poor concentration.The majority of folks don’t realize they are undergoing symptoms of mild dehydration and that they can cure themselves with the proper intake of fluids, water for example (â€Å"Functional Fit Facts†). Proper hydration varies depending on many factors such as age, physical condition and even the climate. A commonly recommended amount of fluid intake is a half-ounce of fluid per pound of body weight, daily (Glenn Sabin). Drinking water helps with the regulation of temperature in the body through perspiration. This is especially important when playing sports. Water also plays a key role in the digestion of food.Food cannot be digested without water. Water is needed to break down and to digest food. It helps to eliminate waste and deliver nutrients to where the y are needed. â€Å"If your body lacks water, your heart, for instance, needs to work harder to pump out the oxygenated blood to all cells, so are the rest of the vital organs, your organs will be exhausted and so will you†(â€Å"The Benefits of Drinking Water†). It is amazing how important water is to our health and well-being. Water is also the basis of all of our bodily fluids such as saliva and blood and it dilutes toxins and removes them from the body through urine (â€Å"The Role of Water†).Every cell, from head to toe, needs water and this is why it is so important to drink enough water and stay properly hydrated. Dehydration both mild and severe can result in many harmful effects such as tiredness, headaches, constipation and dry skin. One symptom that indicates dehydration and the need to drink more water is the color of the urine. If your urine is dark yellow or orange in color and has a strong smell, this is an indication that the person is not proper ly hydrated. Urine is usually a pale yellow to clear color when the person is properly hydrated.Skin is the largest body organ and needs plenty of water to prevent dryness. One sign that you are dehydrated is thirst however you should not wait until you are thirsty before drinking more water. Your brain consists 90% of water. A headache and fatigue could very well mean someone is dehydrated and the brain is not functioning properly (â€Å"Benefits of Drinking Water†). Water is very beneficial and has many positive health effects. Drinking water helps the body break down fats assisting people with weight loss. When they drink a sufficient amount of water, it acts as an appetite suppressant so it helps people eat less.Since the brain consist mainly of water, being hydrated helps people concentrate, think more efficiently and raises awareness. â€Å"Related to the digestive system, some studies show that drinking a healthy amount of water may reduce the risks of bladder cancer and colon cancer† (Benefits of Drinking Water). Some cancer causing agents are diluted in the urine reducing the time that they are in the bladder. Another benefit of drinking plenty of water is people are less likely to get sick and they feel healthy. Drinking plenty helps fight against kidney stones, heart attack and the flu.It is also said to improve the immune system (â€Å"Benefits of Drinking Water†). The effects of dehydration and hydration are essential to the health of the human body. Being dehydrated can be deadly and hydration is vital to human life. It’s important to stay hydrated for many reasons in order for the body to function to its greatest ability. Many people are not informed as to the importance of water and are not able to identify the effects of mild dehydration. The symptoms of mild dehydration can be helped simply by drinking enough water.These are the main effects of hydration and dehydration. Works Cited â€Å"The Role of Water in the Body and Why It Is Important That We Drink Enough of It. † Water. N. p. , n. d. Web. 04 Apr. 2013. â€Å"What Is the General Effect of Dehydration on the Body? † What Is the General Effect of Dehydration on the Body? N. p. , n. d. Web. 04 Apr. 2013. â€Å"Proper Hydration and Your Health. † FON Therapeutics. N. p. , n. d. Web. 04 Apr. 2013. â€Å"The Health Benefits of Water. † The Health Benefits of Water. N. p. , n. d. Web. 04 Apr. 2013.

Friday, September 27, 2019

Immigration Choice Essay Example | Topics and Well Written Essays - 500 words

Immigration Choice - Essay Example The choice of the Copper Island represents a more calculated risk for the family. Mr. Paneo, being the head of the family, primarily considers the welfare of his wife and his two children by showing preference to less risky alternatives. Instead of waiting for more than a year before the immigration permit to United Territories is processed and granted, the Paneo family is better off sending Mr. Paneo immediately to Copper Islands. It should be noted that aside from the long wait for the immigration permit, the Paneo family lacks the assurance that they will meet the immigration eligibility for United Territories. The members of the Paneo family have strong ties with each other considering their decision to stay together as one family. However, it is also assumed that they are also willing to endure some sacrifices for their utmost benefit. Thus, the Paneo family, with sad but hopeful hearts, will permit their father to immigrate first in the Copper Islands for a year. This will allow Mr. Paneo to find a good job and a house before his family move in. This will also enable him to prepare his family by providing them with essential information like the climate, the culture, the food and things that they need to be cope with.

Thursday, September 26, 2019

Research theory and skills for sport management Proposal

Theory and skills for sport management - Research Proposal Example The purpose of the program in research theory and skills for sports management is to achieve a professional program. The program will enable sports managers to be leaders in Researching on available theory and expertise in sports administration in all sections of the sports industry. With this regard, the program will aid the managers to serve as directors of athletics for universities, professional sport franchises managers, public and private sports executive directors including fitness and leisure organizations. The research theory and skills of sports management have offered an outstanding training for prospective sports management and the ability to provide the variety. There are experiences required to meet the necessities of the growth of sports administration in all sections of sports industry (Andrews, 2010). The program in Research Theory and Skills for Sports Management has enhanced understanding, sensitivity, including mutual respect among its members. Research theory and skills for sports management is necessary for the future success of the sports industry. The individuals having the responsibility to appoint managers should be advised accordingly to put into consideration the research theories and skills for sports management. The individuals who desire and those who are already in a managerial position in sports are encouraged to reflect on research methods and competencies for sports management in order to enhance greater productivity. It will provide understanding of how prof essional sports management operates. The research methods and skills of sports management have helped to eliminate the limitations of depending on past traditions in sports industry (Cunningham, 2013). The program targets to encourage the development and testing of research theories and skills for sports management stressing the importance of accurate as compared to general theories and skills of management. As a result, the

Ernest Rutherford Essay Cont Example | Topics and Well Written Essays - 750 words

Ernest Rutherford Cont - Essay Example In 1971, Earnest continued to make contributions in the field of physics through a series of experiments and would later discover that it was possible to disintegrate nuclei of light elements like nitrogen using energy from alpha particles of radioactive materials. Therefore, Earnest was the first to induce an artificial nuclear reaction, and his idea is the basis for nuclear reactions in the modern world for producing energy and weaponry. He is famous for coining the names alpha, beta, and gamma rays in a bid to classify the various forms of rays since the concept was barely understandable in those days (Nobel Media 1). In this case, the scientist made a significant contribution to electromagnetic radiation. Furthermore, Ernest observed that radioactivity of objects reduced with time (Rutherford 17). Eventually, he came up with the term half-life as the time it takes for the radioactive materials to disintegrate thus the scientist was the one who set the laws governing radioactive decay. In addition, Rutherford is the scientist behind the nuclear model of atoms where he inferred that an atom comprise a nucleus that is surrounded by many orbiting electrons and his conclusion is how modern science view atoms (Weisstein 1). Earnest‘s contribution in nuclear physics has contributed to a great deal in the area of modern physics and chemistry (Weisstein 1). The concept of radioactivity, especially the alpha, beta, and gamma rays is the basis for understanding how solar radiation reaches the earth and the overall effect on atmospheric temperature. Earnest found that gamma rays were of high frequencies and if they reached the earths surface, the temperatures could be high and unbearable for the inhabitants (Rutherford 1). In this case, Earnest made an important contribution for the modern scientists to understand how issues like global warming and

Wednesday, September 25, 2019

Deep Green Underwater Kite Essay Example | Topics and Well Written Essays - 1250 words

Deep Green Underwater Kite - Essay Example The use of renewable energies is one of the steps taken to reduce the negative impact on environment by reducing the potentials of pollution and its extent. There are other reasons for the rapid advancements in the technological world. The major reason for making these rapid advancements possible and available to the people is the increasing population and its demand. The overwhelming increase in the population leads to demands which are impossible to be met using the old technologies. New ways of production and manufacturing are being utilized to meet the demands of the growing population. Limited energy supply is one of the reasons we need latest technologies. Deep Green Underwater Kite is of the technologies which have recently been launched and are of great help to meet the energy demands of people without risking the environment and natural life. The innovation of Deep Green underwater Kite is associated with a Swedish company Minesto. This unique toy-like device leaps and dives in the ocean water. This toy-like device works with more power and generates as much as 800 times more energy in the water currents than it may generate in the sky. The reason for such power generation process lays in the fact that seawater 800 times denser than the air. The turbine that is attached to the kite, hence, achieves to generate more energy than it can in the air. Minesto names this device as Deep Green and claims that it is capable of generating approximately 500 kilowatts of power also in the smooth and calm sea. This new technology is supposed to boost up the business for tidal power by as much as eighty percent (Harrell 2010). The Deep green underwater Kite is a simply designed 7 ton kite turbine which catches and regenerates power taken from the ocean just like a kite works in the air. The kite-like turbine is aimed at generating approximately 18 terawatt hours of power every year. This amount of energy is ample to meet the energy demands of more or less four millio n UK houses. This technology is more appreciated for its effectively green process and provision of green electricity. The Swedish military and aircraft designing company Saab was originally aiming at producing a wind turbine but the concept changed with the idea of using seawater as it is more powerful and productive for the thought of generating energy. The kite twists to escalate the velocity in the ocean ten-fold. The most important and precious factor to consider here is the cost-effectiveness of the device. The amount of energy it generates compared to the amount spent on each Kilowatt unit it generates gives an idea of its low cost technique. It costs as low as $0.09 cents to $0.20 cents per KWh. Using this technology in today’s financially weak society may help the overly populated societies in gaining access to the demanded quantities of energy. This cost effective device is useful in order to meet the demands and satisfying the energy requirements keeping an environ mentally sound system of generating energy. These kites are, hence, cost effective in terms of design, structure and use. Once installed, they require lesser investment in maintenance of these devices (Kraemer 2009). The Deep Green Underwater Kite is an invention which is equally helpful for those who use it and for those who do not. The

Tuesday, September 24, 2019

Racial profiling Essay Example | Topics and Well Written Essays - 250 words

Racial profiling - Essay Example pend on philosophical and religious determinations of whether ends justify means in situations such as aviation terrorism, and whether certain means, such as racial profiling, can never be justified by ends† (Bloom 1). If racial profiling will continue giving accurate predictions about developing aviation terrorism, then the issue of stereotyping, by definition, does not occur. In other countries like Canada, racial profiling is not explicitly endorsed in the anti-terrorism legislation. However, this does not indicate that racial profiling does not happen in Canada. The Canadian law does not target individuals openly based on their race but it tends to keep out groups seeking equality through its application. There are a few indicators suggesting that Canadian Muslims and Arabs are subjected to racial profiling. For instance, several high profile cases indicate that racial profiling takes place in Canada in its fight against terrorism (Bahdi 297). In Canada, racial profiling is not giving any comfort or solutions to problems of security. It is only heightening the sense of vulnerability and disempowerment of racialized groups in Canada (Bahdi

Monday, September 23, 2019

What are the challenges in implementing Sustainable Development Essay

What are the challenges in implementing Sustainable Development through a project such as Bristol Green Capital Discuss with reference to your groups experience and how this differs from other groups - Essay Example ainability of the environment, as the resources are getting scarce day-by-day, which has further played a crucial role in propounding the contemporary way of project management initiatives (Whitehead, 2002). From a generalised perspective, it can be argued that sustainable development is a combination of growing concerns related to socio-economic problems and environmental obstacles (Hopwood & et. al., 2005). Sustainable development can be defined as an approach towards human development wherein the resources used meets the human requirements along with maintaining the sustainability of the eco-system within the surrounding (Bulkeley & Betsill, 2013). Accordingly, it is considered that human requirements are to be met in the present day through sustainable development, as stated by Ye & et. al (2005). Emphasising the stated dimensions of sustainable development, this paper aims to discuss the challenges faced in practicing the mentioned notions in projects such as Bristol Green Capital. This particular entity operates as a ‘free membership organisation’. Correspondingly, it aims at developing Bristol a city offering high quality life to its residents maintaining a significantly low carbon emission (Bristol Green Capital Partnership, 2014). Accordingly, to gain an in-depth understanding of the functionalities of this organisation, 5 groups have been taken into consideration for this study, which include Transition Bristol, The Bristol Partnership Team, Low Carbon South West, Local Enterprise Partnership (LEP) and The Knowle West Area Neighbourhood Development Forum. Following a brief overview of these groups, a critical assessment of the differing views of the selected groups will be performed in this study. Aligning the findings from the assessment, conclusions will be drawn on the challenges faced by the project when focusing on sustainable development of the city. Transition Bristol is a volunteer-led enterprise, acting in support for Bristol Green Capital

Sunday, September 22, 2019

Maureen Frye Essay Example for Free

Maureen Frye Essay Marureen Frye made numerous mistakes in trying to implement her plan, a plan that was going to directly affect the salespeople of Quaker Steel Company as well as the District Sales Managers (DSMs), among other departments in the company. Her major mistake was sending a short-descriptive memo to the sales representatives. Why was this a major mistake? For one, Frye is trying to change the way the sales people allocate their time between big and small accounts, and yet she has not spend enough time in the field and with these salespeople. Although her simulations to optimize sales efforts might be correct, they are based on cold numbers and computations, sitting behind a computer, without taking into account the human factor that goes into those sales efforts. She does not have a feel for how they operate, where does their current success come from, what do they think and feel about how they are doing their job, and above what do they think it can be improved. Not only did Frye ignore the salespeople but she did not make good use of the relationship she thought she had with the DSMs. In fact, she had discussed her project with the Chicago DSM and he had seems to like to idea, with indicates that if more effort was put to introducing her plan to the other DSMs, using her good relationships with them, they could possibly perceive the idea well too idea of using the middle man. If she had no time to spend on the field and get to know the salespeople better, she made the mistake of not taking advantage of the relationship between the DSMs and the salespeople. Due to the hierarchical level of the DSMs, she is probably closer to them. As it is mentioned in the article, the DSMs leave a lot of free space to the salespeople which means that they are used to making their own decisions. This fact shows that the DSMs and the Salespeople have a special communication to understating each-other and to get the work done well. Thus, if a new project needs to be implemented, the DSMs are the most probable people to get through the salespeople and having them on board about this project is significantly important. This powerful link should have been taken advantage by Frye. Not having considered the above-mentioned steps, thus working in person with the salespeople or/and lobbying with the DSMs, Frye should have at least used the power of her superiors, Israel and Bethancourt, not only by  approving it but also as means of enforcement. For example, have them sign the memo she sent or give a direct order to the DSMs for its application. However, needs to be emphasized that this solution used on its own, is a last resort one just because she didn’t make use of the other options. This option would definitely be interpreted as a scare tactic, however it might have worked. As a manager or as the leader of her project, Frye first needs to find the authority from within and then also use the power given to her from her bosses. This option could be best used in collaboration with the previous options.

Saturday, September 21, 2019

Research Design in Geography

Research Design in Geography With the ever-growing expansion of global knowledge geographers like many other scientists both human and physical have begin to face an â€Å"information explosion† (Ebdon, 1985). The readily available written information and numerical data today is increasing at an accelerating rate. This has lead to the necessity for summaries of these large data sets showing the concise measurements of their attributes. Human and physical geography can be seen as two different disciplines one been primarily focussed on qualitative data and one quantitative data respectively; both been equally reliant and interested within secondary data sources. The contention as to why this is the case is outlined below. It can be noted that secondary data within the research discipline may be defined as â€Å"data which has not been collected with the specific research question in mind† (Emanuel and Egenvall, 2014). It can be seen as data which has previously been collected by somebody else however is effortlessly available; Secondary data was once a branch of primary data (Vartanian, 2010). It is seen as common source for academic disciplines to use within research projects either been obtained from quantitative or qualitative sources. Secondary data as an aspect of scientific disciplines has come about due to the global widespread transition from paper to digital (Gomez and Jones, 2010). Nowadays datasets can be created, analysed and distributed worldwide digitally. Digital secondary data is often structured within databases and organised as tables which can be analysed. An example of this is weather records available online within the NOAA – National Climatic Data Centre (NCDC) whereby annual to daily summaries are available as structured datasets. This climatic data online provides free accessible archives of global historical weather and climatic data addressing all variables. Compared to many other scientific disciplines geographers use a great deal of secondary data because of the numerous types of data available within geographic research (Montello and Sutton, 2006). Maps as a branch of secondary data support the basis of physical geographer’s research; there involvement in the environmental features, factors and processes which coalesce together to make a place unique. With the earth’s features and landscapes ever-changing in a spatial context maps allow geographer’s to study and monitor landscape change over time (Gabler et al, 2008). Climatologists are interested in weather maps as they show where and how weather elements change daily, over the seasons and yearly. This allows for predictions and management in areas which may be susceptible to high levels of rainfall, such as south West England; whereas Geomorphologists look at the study of the topography within a given area. Using maps physical geographers apply their knowledge they discover from the study of the earth; the observation of phenomena and compilation of data to seek solutions to the global issues to which they are interested in. Geographic Maps are readily av ailable at (Digi-map) ordinance survey map data on Edina Maps; an example of a historic map can be found at Physical geographers and other scientists work to describe and analyse the often complex features of planet earth and its environments by composing representations of the real world; models. A model is a simplified version of a more complex reality that allows for prediction; each model is designed with a specific purpose in mind. This is evident in Pacione (2001) with the idea of the concentric zone model and the multiple nuclei model in order to explain the spatial structure of the urban economy. A map is a branch of model as it shows a representation providing useful information required to meet specific needs. Maps are seen as a pictorial model (Gabler et al, 2008) and are used because they are efficient in conveying a great amount of spatial information that is easily recognisable. Likewise maps not only show spatial information and data but they also show essential information about the map itself which is interesting to geographers; the legend, scale and direction. A more recent approach since the 1990’s is the use of geographic information systems and aerial remote sensing as a branch of mapping. Initially geographers used maps achieved by producing a transparent overlay for each data set at a common scale, aligning overlays so that their co-ordinates corresponded and then drawing a new overlay showing for instance how rock types and soils interrelate (Freeman et al, 1993). However the more data there is to analyse the more complex the map becomes as a piece of secondary data. Therefore large complex data sets require the use of computer software designed to manipulate spatial data. This computer based technology assists the large geographic data derived from numerous digital map layers (composed of thematic maps) enabling geographers to address global problems that require large amounts of spatial data from a variety of sources (Gabler et al, 2008). Figure 1shows the clear procedure in order to use GIS to create secondary data. As Moran (1975) states though it is not just geography using such tool, statistical analysis with maps is of course important in all other sciences such as geology, epidemiology and geophysics. An example of this is the work been done on the small scale geographical distribution of cases of tuberculosis, cancer and leukaemia (Moran, 1975). This is done to see if there is evidence of clustering; which may give light on the causation of such diseases. Within the geographic discipline the common term secondary data refers to the relatively large databases those individual researchers would not be able to produce; for example census data, newspaper archives, satellite imagery or resource inventories. Secondary data is an important aspect in all geographic literature because it can be analysed in order demonstrate a depth of relationship between variables to show an underlying trend. Geographers use secondary data because it provides an alternative to the collection of primary data which in turn often gives the researcher access to more information than would be available (Vartanian, 2010). Figure 2 shows just a sample of large datasets available on Income Inequality as a branch of human geography. Archives are seen as another branch of secondary data whereby the use of existing records that others have collected primarily for non-research purposes such as financial reports, birth and death records, newspaper stories, diaries or letters. These could be seen as more beneficial to human geographers as they are qualitative data. A recent approach and use of secondary data is the use of personal solicited diaries as a qualitative method of research within social geography. In Meth (2003) diaries were used with women from South Africa who recorded their experiences of violence over a one month period. Within the article it shows that solicited diaries can contribute towards a feminist analysis of social processes similarly within human geography diaries can promote participation and engagement by respondents in the research process. This use of secondary data is also present in the recent study into the everyday geographies into the heterosexual love and home by Morrison (2012). Within this study solicited diaries are seen to provide participants with a sense of emotional reflection and they can allow researchers to access this knowledge which may not have been opened if another data collection method was used. However as Morrison (2012) states diaries offer â€Å"momentariness† research and cannot alwa ys be compared to everyday life. Compared to many other scientific disciplines, both human and physical geographers use a great deal of secondary data (Montello Sutton, 2006). Geographers can often be seen to study phenomena at large spatial and temporal scales where it can be seen as too difficult and upscale to collect data oneself. Likewise the idea that secondary data is not intended for ones research often inspires a geographers’ research area. As Montello Sutton (2006) found, much geographic research is that analysts study problems at the examination scale of such available dataset, which is often not the scale at which the phenomena operates. The primary reason for the use of secondary data is its availability; it is evident that there are thousands accessible in a myriad of places (Vartanian, 2010). This availability in such increasing amounts is due to the digitalization of many records. For human geographers the uttermost used source of secondary data is the population census (Flowerdew and Martin, 2013); which is produced in the UK every 10 years by the office of National Statistics (ONS). This in-depth data analysis provides demographic statistics but also details on education, transport, work and housing. Census data is available publicly online at no cost and is available globally; facilitating their use as an exploratory first step within a research project opposed to primary research within the same research area (Gomez and Jones, 2010). This approach is seen as more efficient in respect to time and cost in comparison to primary data collection. However it has become apparent that a large gap exists in the relati ve abilities of the rich and the poor countries to produce and control digital secondary datasets. However Gomez and Jones (2010) have seen the global south trying to narrow the digital divide by governmental projects in-order to create their own data collection. As geographers it is clear that the growing accessibility of digitalised data is related to the growth of geomatic technologies. Emanuelson and Egenvall (2014) address the issue of time and cost; it is apparent that secondary data is cheaper and more readily available than primary data. Due to this the ability to gain large samples of data is seen more apparent likewise the chance to limit selection bias due to been able to sample a large part of the population. Primary data can be affected by specific biases such as recall and non-response. Secondary data is less likely to be affected by these biases due to the data been collected for another research question in mind. Questions should still be considered in secondary data such as how representative is the data, reliability and completeness of data to ensure validity. The data should be validated in the same way (i.e. Identification of non normal observations and internal validity). Reliability and validity are important questions within research as this offers consistency of results under repeatability conditions and offers a â€Å"truth-value of researchâ €  (Montello and Sutton, 2013). The legitimacy of secondary data is carried by the organised order making it well suited for many types of quantitative or statistical analysis. Likewise secondary data is commonly produced by trained professionals who pre-test the questions and verify categories in order to produce standard and comparable information, both across time and space (Gomez, 2010). Most importantly the professional systems of collection assembly, storage and retrieval that constitute secondary data confer legitimacy that is widely recognised and works to empower such data and make it rhetorically convincing. Secondary data can arguably be involved within geography due to the â€Å"Quantitative Revolution†; a term used by Davies (1972) as an aspect of one of the four major turning points within modern geography. This revolution occurred during the 1950’s and 1960’s highlighting a method of change behind geographical research; a launch from geography been a regional finding based research to a spatial science (Davies, 1972). The idea of secondary data been incorporated into the discipline meant that there was a movement from descriptive to scientific. As Davies (1972) states there is a still a divide between human and physical geography as it can be seen that physical has developed this â€Å"quantitative revolution† further causing a general talk of human geography becoming its own independent subject. The revolution itself is the basis for geography using secondary data today due to its creation of dynamism, self-insurance and a reassertion of scientific princ iples (Newby, 1980). This introduction of â€Å"scientific thinking† (Davies, 1972) engaged the geographic discipline into the solution for spatial, social and environmental global problems. By turning an introspective subject into an actively concerned discipline interested in the relationship it has with alternative global topics. Throughout physical geography the growth in analysis has not only been linked to but also related to the change in content and focus of enquiry. An example of this is the growing use of systems and modelling approach in Geomorphology (Chorley, 1962) and the rapid expansion of technology allowing secondary data to be widely available. In human geography the beginning of quantitative techniques and the associated philosophical implications of a positivist approach led to change from 1965-75 (Gregory, 1983); arguably a decade later than physical geography. Urban geography experienced a drastic shift from an urban land use approach to quantitatively based studies of spatial urban and economic structures. This need for statistics within all aspects of geography was made clear by Wilson and Kirkby (1975) nevertheless some British Geographers are overlooking aspects which need real mathematical competence. It has become clear that secondary datasets have become an important role in economic research due to the expansion of availability of datasets. Within human geography and economics international agencies such as the World Bank and the United Nations (UN) since the 1990’s have expanded its data sets, as for years have published income distribution data in its annual world development report. Advancements within these data sets are enabling a greater scale and distribution (Atkinson and Brandolini, 2001). An example of this can be seen by the data sets constructed by Klaus Deininger and Lyn Squire (1996) and the world income inequality database (WIID). Alongside the expansion of research it can be noted that research has changed over time. This is displayed in the Social Service Review (SSR) during 1980 and 2007. In 1980 six main articles or notes used some form of secondary data either administrative or survey data whereas in 2007 it was twenty-two used articles published. Vartanian (2010 argues this is only a snapshot of a trend based on one elite social work journal; However secondary data is becoming increasingly important. Statistical data is an important aspect of geography as it offers credibility to an argument or advice. Moran (1975) claims that statistical geography bears the same relation to geography that econometrics do to economics. Statistics are present in all academic journals and are constantly been generated by governmental organisations in-order to generate spatial trends. Governmental run datasets such as national statistics online, the UK population census and GEsource, all offer data which can be found across most countries and can usually be disaggregated to quite small areas such as administrative and political divisions; which are popular amongst geographers (Flowerdew and Martin, 2013). Moran (1975) discovers that a great deal of statistical geography appears to be more descriptive than explanatory. The most common use of statistics in the UK by human geographers is the population census data. A geographic use of this is using census data to look at migration and morbidity in Bentham, G, (1988). Census data is an official complete collection of data from the population with details as to age, sex and occupation and renewed every 10 years. Bentham, G (1988) looks at the association between the geographical pattern of disease and possible casual factors; looking at the 1981 GB Census data. Self-reported morbidity statistics are used; displaying that the health status of migrants differs noticeably from that of non-migrants. Similarly Mesev, V (1998) uses census data within urban image classification. Mesev looks at a monitored classification strategy containing a group of techniques that allow the connecting of urban land cover from remotely sensed data with urban functional characteristics from the population census data. However statistical data should not bind us solely to secondary data; in addition there are administrative reports, business records, diaries, newspapers and maps. As with any form of methodology disadvantages are there; secondary data can be argued to have a lack of control (Vartanian, 2010). It can be said to have a lack of control over the framing and wording of survey items and that the questions important to your studied may not be included in such data. Likewise subtleties matter a great deal in research and secondary data can be argued to get broader and not answer the research question in the direct research title. Similarly Emanuelson and Egenvall (2014) consider that there is no control over the information what is included in datasets which have already been produced therefore impossible to validate. Moreover ecological fallacy and modifiable area unit problem can be an issue within secondary data; the assumption that all individuals in a group share the average characteri stics of that group and those trends within data are based upon existing boundaries that are unrelated to the phenomena in question. Secondary data will remain important to geographic research as a primary source of information to a growing number of data intensive applications. Using secondary data clearly gives the researchers important advantages such as data coverage, quality and costs as well as the ability to analyse phenomena that otherwise may be impossible such as analysis of populations at a global scale. It can be argued that â€Å"Data† refers to a body of information in numerical form therefore it can be argued that it is hard to categorise data as uniquely geographical except perhaps data which concerns the spatial characteristics of places and areas (Ebdon, 1985). GIS as a branch of mapping is seen as one of the basic uses of secondary data within physical geography due to its ability to provide an important route to enquiry enabling exploration and integration of geographical data (Freeman et al, 1993). Within the immediate future physical geographers have no sign of movement away from the statistical analysis and the importance of using secondary data and mathematical modelling is more likely to grow opposed to contract. Whereas within human geography the future is less clear; the positivist view point is being challenged leading to a number of coexisting approaches. Nonetheless according the Institute of British Geographers for the future â€Å"the numbers game is far from over† (Newby, 1980) and this analogy can be applied to many scientific disciplines.

Friday, September 20, 2019

Effects of Improving Workplace Health

Effects of Improving Workplace Health Title: Working for a healthier workplace is a slogan used by the British Occupational Hygiene Society in the UK to promote the profession of occupational hygiene. Discuss how the provision of a healthier workplace can result in a reduction of work related illness and sickness absence. Examine the role of the occupational hygienist in improving workplace health, either as part of a health and safety team in a large organisation or as a consultant employed by a smaller company. Introduction: According to the British Occupational Hygiene Society, ‘Occupational hygiene is about recognizing, evaluating and controlling health hazards arising from work’ (BOHS, 2005). Many occupations require their workers to be exposed to hazardous conditions and evaluating and preventing these dangers of work is the sole aim of all occupational safety associations, committees and councils. In this essay we discuss health, hygiene and safety procedures in different industries and enterprises. For example, in the hospitality and food sectors, the National Food Safety guidelines have to be followed and basic food safety practices have to be maintained (Howard, 2004). Within all areas and sectors, the major competencies and performance criteria point to two areas of workplace rules: Maintaining hygiene procedures – following workplace hygiene procedures in accordance with enterprise standards, legal requirements Storing and handling items according to enterprise requirements and legal obligations. Identifying and preventing hygiene related risks Identifying potential hygiene risks in the job Taking steps to minimize or eliminate the risks associated with lapse of hygienic procedures within the limits of individual responsibility and in accordance with enterprise regulations and legal requirements. Reporting hygiene risks and procedural dangers as identified to the appropriate authority such as the occupational hygiene consultant. Identifying risks, maintaining hygiene procedures, preventing and controlling risks and reporting hygiene related dangers are the major hygiene related regulations that should be followed within any industry. We will discuss specific hygiene related risks and hygiene procedures within different industries and sectors. In the course of our discussion, we will examine: 1. The type and extent of workplace health problems in the UK and other countries; 2. Provide an overview of technical and organisational control measures; 3. The benefits and limitations of exposure monitoring; 4. The benefits and limitations of health surveillance programmes; and 5. The role of the occupational hygienist in developing healthy workplace strategies. Occupational Hygiene – Issues and Procedures According to the International Occupational Hygiene Association, Occupational Hygiene is defined as ‘the discipline of anticipating, recognising, evaluating and controlling health hazards in the working environment with the objective of protecting worker health and well-being and safeguarding the community at large.’ Occupational hygiene involves the proper identification of hazardous and harmful elements or agents used within a work environment which can be of physical, chemical or biological nature and can cause serious diseases, discomfort or even death due to exposure to these dangerous elements; evaluating the risks involved due to exposure to these hazardous agents; and control of hygiene related risks to prevent disease, death or ill health in the long term (Liberman and Gordon, 1989). The phrase is used synonymously with industrial hygiene and a company usually requires the consultation of a trained industrial or occupational hygienist to maintain the legal and procedural requirements of hygiene in the workplace. The Workplace Hygiene Charter managed by the Occupational Safety and Health Council provides the framework for occupational health and safety standards that have to be followed by all industrial sectors. The Charter provides the following criteria for employers and employees to meet workplace hygiene standards: Workplace Cleanliness in terms of clean environment and regular cleaning and dusting facilities Free of Accumulated Water – any water accumulated due to rain or other reasons should be removed to prevent insect breeding or other conditions detrimental to health Refuse Collection – the garbage should be collected regularly to maintain a clean environment in the workplace Drinking Facilities- drinking water should not be contaminated and should be clean and free of germs Pantry – food available within office precincts as in canteen should be prepared in a hygienic manner and high quality foodstuff should be used Pest Control – any presence of pests, insects or germs should be noted and removed with the help of professional pest control agencies, if required Ventilation – proper clean air and air circulation recommended Sanitary Conveniences – clean toilets and quick disposal of sanitary wastes are necessary Workplace Hygiene Information – this sort of information should be shared among professionals to increase awareness Maintenance and Monitoring – proper maintenance of workplace equipments and facilities and regular monitoring or checking of these facilities have also been recommended by the Charter. According to a Government White paper published by the Department of Health, ‘Twomillionpeoplesufferanillnesstheybelieve hasbeencausedby, ormadeworseby, theirwork. The paper produced as a report by the Department of Health suggests that although beinginwork, rather than being unemployed generallyleadsto betterhealth, notallworkplacescan be considered as healthy.There is considerable evidence and many research studies to show that lack of job control, monotonous and repetitive work, and imbalance in efforts and reward are all associated with health problems, chronic disease and coronary heart disease. The importance of job satisfaction has been highlighted as primary in promoting occupational health. Thus although work is generally considered good for people’s health, poor health and safety management and lack of a pleasant work environment increases risks of occupational hazards, diseases and injury. The DH government report further asserts that stress related conditions and musculoskeletal disorders are now the commonest causes of work related sick leave. Any focus on stress however can be counterproductive as it can lead to failure to tackle underlying causes of problems in the workplace. The problems and complex issues at the workplace can cause stress and affect people’s wellbeing leading to physical and mental ill health. Official Industry guides to general safety and hygiene practices show different hygiene procedures recommended for different industries. In a survey of hygiene knowledge among 1000 catering workers carried out by the Food Standards Agency in 2002, suggest that: More than a third of staff (39%) neglect to wash their hands after visits to the lavatory whilst at work. Half of all those interviewed (53%) did not appear to wash their hands before preparing food. Less than two thirds (59%) of the catering workers questioned had a certificate in basic food hygiene. Only 32% believed good food hygiene practices were important to their business compared with 64% who saw good food as the key to keeping their customers. (Source: Catering Workers Hygiene Survey, 2002) Within the workplace in case of food and hospitality industries safe and hygienic handling of food and beverage, regular hand washing, proper method of storing food to prevent contamination, using appropriate and clean clothing, avoiding contamination from food or to food stuffs, appropriate and careful handling of garbage, safe disposal of garbage, linen and maintaining standard sanitising procedures and personal hygiene are essential (Smith et al, 2005). The specific hygiene related risks in a food or hospitality industry can be bacterial contamination due to poor handling and storage, storage at wrong temperatures, uncovered or exposed foodstuffs, poor personal hygiene practice in the workers, poor cleaning and housekeeping processes and no protection against dust, insects or contaminated wastes. Poorly disposed garbage or inappropriate handling of waste or contaminated materials can lead to potential hygiene hazards. Apart from regular monitoring, control measures to improve hygienic practices in all industry sectors include: Providing training and knowledge to staff on hygiene related issues and auditing staff skills, ensuring that policies, regulations and procedures both of the enterprise and legal systems are followed strictly by staff members, maintaining audits of incidents, related to occupational hazards and hygiene and following up on progress of affected workers suffering ill health or disease due to occupational risks encountered (Taylor, 2004). However even if monitoring and regular checks to prevent occupational hazards have their own advantages, there are limitations to which this can be attained as there may be practical problems associated with maintaining safety procedures at the workplace. An example is given by the British Occupational Hygiene Society and the organisation’s website shows a problem too common in tropical agriculture and work in this area. The picture shows a man spraying pesticides on rice, but not wearing adequate protection (because of the heat and humidity), and many pesticides can be absorbed through the skin as well as by inhalation and affect safety of the workers. This is a very good example of the risks involved in certain occupations that necessitate direct encounter with harmful chemicals because of the nature of the job. Yet, as seen from this example, despite knowledge of the hazards and the safety procedures involved, the conditions may not be conducive to use all the safety measur es and thus the hazards continue to remain in many cases. One of the ways of monitoring and checking for occupational hazards and work related illness is by health surveillance measures taken by employers (Murphy et al, 2002). According to the Health and Safety executive (HSE), health surveillance is about closely monitoring for early signs of work-related ill health in employees who are exposed to certain health risks. This involves using certain procedures that include: Ã ¢ simple methods such as looking for skin damage on hands from using certain harmful chemicals; Ã ¢ technical checks on employees, such as hearing tests; Ã ¢ detailed medical examinations to diagnose deep rooted or chronic illnesses.(HSE, 2005) Health surveillance is more than general health checks and can be done by the employees themselves or by occupational hygienists. In general health surveillance is especially recommended for prolonged exposure to loud noise or hand-arm vibration as in automobile or electronics industries; exposure to solvents, fumes, dust, biological agents and substances harmful to health as in chemical or agricultural industries; exposure to asbestos, lead or work in compressed air as in mechanical or electrical jobs and exposure to ionising radiations and diving as in marine or nuclear industries. Considering all the aspects of identifying, controlling and managing and reporting risks and health hazards in occupations, the role of the occupational hygienist takes centre stage. The British Occupational Hygiene Society has promoted a slogan for a safer and healthier workplace. As we have seen from Department of Health publications and Workplace Hygiene Charter maintaining hygienic, safe and healthy conditions at the workplace is a basic requirement and the hazard preventive techniques have also been highlighted. The primary role of the occupational and industrial hygienist in promoting awareness about hygiene and safety related issues and in monitoring safety procedures and facilities as well as identifying the risks of conditions seem to focus on the growing importance of a management process in promoting safety of workers. Schulte et al. (2004) discuss the implications of knowledge management in creation, assessment, transfer and utilization of knowledge to address specific challenges. Knowledge management has been considered as a manageable asset and the authors suggest that occupational hygiene knowledge itself being specialised also represents a manageable asset in companies and occupational hygiene should be appraised in terms of knowledge management. Considering this, the role of the occupational hygienist or consultant who is primarily responsible for promoting or spreading this awareness and transfers knowledge as an asset to the employees at large, is extremely important. The hygienist manages, controls, distributes and utilizes knowledge for risk assessment, evaluation and control of the situation. However things may just be improving as there is increased awareness on safety and hygiene issues at the workplace. Williams et al (2005) describe the changes in awareness in occupational hazards and risks of exposure. They found that workers who were directly involved in manufacturing operations in a chemical manufacturing facility in the US from 1976 to 1987 had likely TWA or time weighted average exposures to benzene of about 2ppm from 1976-1981 and 1ppm from 1982-1987. Their results seem to be consistent with improved industrial hygiene programs at chemical facilities and better awareness about this issue following adoption of stricter occupational exposure limits. Conclusion: In this study we discussed the administrative, managerial and legislative procedures related to health and safety issues at the workplace. In this context we discussed regulations related to hygiene within the different sectors and the corresponding risks in different industries. The regulations for a healthier and safer workplace as put forward by the Department of Health and the slogan for a healthier and improved workplace by the British Occupational Hygiene Society are examined in the context of changing regulations, increased awareness and a more responsible role of the occupational hygienist. The practical problems of following control and preventative measures of risks have been shown and the role of the occupational hygienist has been emphasised in promoting awareness and a healthier safer workplace. Bibliography: Ashford, Nicholas Askounes.1976 Occupational Safety and Health Act 1970 Crisis in the workplace :occupational disease and injury : a report to the Ford Foundation /Nicholas Askounes Ashford. Cambridge, Mass. ;London :M.I.T. Press,1976. Atthayuwat, Khemawat; Kleiner, Brian H , 2005 New developments in industry hygiene Management Research News, Volume 28, Numbers 2-3, February 2005, pp. 63-73(11) Emerald Group Publishing Limited Bryan Ballantyne, 2004 Glaucopsia: An Occupational Ophthalmic Hazard Toxicological Reviews, Volume 23,Number 2, 2004, pp. 83-90(8) Adis International Howard M.T. 2004 Food hygiene regulation and enforcement policy in the UK: the underlying philosophy and comparisons with occupational health and safety law Food Service Technology, Volume 4,Number 2, June 2004, pp. 69-73(5) Blackwell Publishing Liberman, D.F and Gordon, J.G, 1989 Biohazards management handbook /edited by Daniel F. Liberman, Judith G. Gordon. New York, N.Y. :Dekker. GREGORY MILLER; HYUNGJIN MYRA KIM; JAMES H. VINCENT , 2004 An Exploratory Study of Changing Occupational Injury Risk during the Closure of Industrial Operations Annals of Occupational Hygiene, Volume 48,Number 7, October 2004, pp. 623-633(11) Oxford University Press Murphy E.; Harrison J.; Beach J. , 2002 Implementation of statutory occupational respiratory health surveillance Occupational Medicine, Volume 52,Number 8, December 2002, pp. 497-502(6) Oxford University Press D. Proctor; J. Panko; E. Liebig; D. Paustenbach, 2004 Estimating Historical Occupational Exposure to Airborne Hexavalent Chromium in a Chromate Production Plant: 1940–1972 Journal of Occupational and Environmental Hygiene, Volume 1,Number 11, November 2004, pp. 752-767(16) Taylor and Francis Ltd Ridley, J.; Channing, J. (eds). 1999 Occupational Health and Hygiene Safety at Work Series, Volume 3 Elsevier Publications Smith, T. A.; Kanas, R. P.; McCoubrey, I. A.; Belton, M. E. 2005 Code of practice for food handler activities Occupational Medicine, Volume 55,Number 5, August 2005, pp. 369-370(2) Oxford University Press P. A. SCHULTE; T. J. LENTZ; V. P. ANDERSON; A. D. LAMBORG, 2004 Knowledge Management in Occupational Hygiene: The United States Example Annals of Occupational Hygiene, Volume 48,Number 7, October 2004, pp. 583-594(12) Oxford University Press Taylor, Geoffrey A. 2004 Enhancing occupational safety and health /Geoffrey A. Taylor, Kellie Easter and Roy Hegney. Oxford :Butterworth-Heinemann,2004. Characterizing Historical Industrial Hygiene Data: A Case Study Involving Benzene Exposures at a Chemical Manufacturing Facility (1976–1987) Williams, Pamela; Paustenbach, Dennis Journal of Occupational and Environmental Hygiene, Volume 2,Number 7, July 2005, pp. 341-350(10) Taylor and Francis Ltd Websites: British Occupational Hygiene Society http://www.bohs.org/ Health and Safety Executive http://www.hse.gov.uk/pubns/ DH publication – Choosing Health White Paper, 2005 http://www.dh.gov.uk/PublicationsAndStatistics/Publications/PublicationsPolicyAndGuidance/PublicationsPolicyAndGuidanceArticle/fs/en?CONTENT_ID=4094550chk=aN5Cor Catering Workers Hygiene Survey, 2002 Food Standards Agency www.food.gov.uk Workplace Hygiene Charter – Occupational Safety and Health Council http://www.oshc.org.hk/ International Occupational Hygiene Association www.ioha.com

Thursday, September 19, 2019

anger management Essay -- essays research papers

Anger Management Anger Management Education, founded in 1994, provided education and psychotherapy to individuals to help make sense of and manage anger in their everyday lives (Anger Management 1). Anger remains a healthy emotion when expressed appropriately, although devastating effects may still exist. Anger lies at the root of many personal and social problems, such as child abuse, domestic and community violence, physical and verbal abuse. Anger also affects our physical health, by contributing to headaches, migraines, severe gastrointestinal symptoms, hypertension, and coronary artery disease. Many of us do not have the knowledge or abilities required to express our anger as a healthy emotion. As a result, some of us store and suppress our anger, while others may express it, but in negative and unhealthy ways. Doctors knew for a long time that adults who dealt with anger poorly, stand a higher chance to develop heart disease and high blood pressure problems (Leopold 2). About 20 percent of us express angry personalities, 20 percent fairly easygoing, and the remaining 60 percent of the population fall somewhere in the middle (Foltz-Gray 132). Harvard researchers found that those with higher levels of anger stood at an increased risk of heart attack (133). In a study published in Health Psychology in 1999, heart-attack patients in Canada who received anger management training made significant reduction in blood pressure levels and needed less follow up care compared w...

Wednesday, September 18, 2019

America Under Siege :: essays research papers

America under Siege†¦ One the greatest bastions of freedom and democracy in our world is now under siege by cowardly forces. The terrorist attack on the World Trade Centre and the Pentagon is not only an attack against the US, but an attack against the entire Western civilised world. There is nothing more despised and cowardly then a terrorist attack on innocent bystanders, but yet it is still one of the most effective weapons in the world today. It has been used before and will probably be used again, as we see from the attacks in the US. This is the warfare of the new Millennium. No country can be prepared for terrorist attacks and defend against them, especially not for one in such scale as the attack on the US. When seeing the pictures on CNN for the first time, I first believed that this was a hoax, a movie or something like that, but soon the fearful truth hit me ; this was for real! I have read things like this in books and seen them in the movies, but I for one, did not believe that this would happen. In 1996, Tom Clancy wrote a book called â€Å"Executive orders†, where he described a scenario which is not so far from what happened on Tuesday ; a plane crashes into Capitol Hill, killing the entire Congress and the president of the USA. You can say that Clancy almost predicted that something like this would happen, and so did the intelligence community. Already in 1993 a secret Pentagon report called â€Å"Terror2000† described possible terrorist scenarios against American interests, and in fact, several of those scenarios have come true indeed. America under siege. I remember reading Tom Clancy’s number one seller ; â€Å"Executive orders†, and thinking that it would be so cool if I could experience something like that. Well, I did, and the rest of the world did on the 11. of September 2001. And I realised how wrong I was when thinking that something like that would be cool to experience. Tom Clancy starts his book with a poem written by Colleen C. Hitchcock, called â€Å"the Ascension†, and I think that it is very appropriate for this occasion : Ascension And if I go, while you’re still here†¦ Know that I live on, vibrating to a different measure -- behind a thin veil you cannot see through. You will not see me, so you must have faith.

Tuesday, September 17, 2019

Interview Question and Ans

Tell me about yourself? Ans1) My name is Sakshi Malhotra. I am from Faridabad. I have done my graduation degree in BBA from MD University, Rohtak. I am currently pursuing PGDM degree from IMS college. Apart from the academic interests I am a creative person. Q2) What is your greatest strength? Weakness? Ans2) (i) Strengths: * Good communication skills * Strong will power * Dedicated nature. (ii) Weakness: * I cannot tolerate back biting. I may easily lose temper if I come across dishonest people. Q3) Why did you choose to interview with us?Ans3) I chose to interview with you because the job profile fits ideally with the kind of work experience that I am looking forward to. This is the firm in which I can realize my full potential and gain quality experience in my professional life. Q4) What are your short-term and long term goals? Ans4) (i) Short –Term Career Goals: To work in any of the four competitors –KPMG, E & Y, PWC, DELLOITE (ii) Long Term Goal: Long-Term Goa l of mine is to broaden my experience in different departments and work processes of the industry so that I can become qualified enough to lead a company as the CEO.Q5) Describe a time you had to make a difficult decision? Ans5) The most difficult decision I had to make so far was to choose between a career in Hotel Management and a career in management. With the help of my family I decided to choose a career in management as it will still fulfill my dream of managing and I also get to choose the industry I want to work in. Q6) What do you do when a team member is not pulling his/her weight? Ans6) When a team- member is not pulling his/her weight then I will try to find out the reason for the de motivated behavior of the team member.If a can resolve the issue then I will put my efforts in that direction else if I cannot find the reason then I will try to lead by example by putting extra efforts and involving the team member. Q7) Think about a time you made a mistake. What did you le arn from it? Ans7) The mistake that I made was very trivial and hence not worth mentioning here but the lesson that I learnt was much more important. I learnt that it is always easier and better to admit your mistake and apologize for it. Trying to hide the mistake is just another mistake.

Monday, September 16, 2019

Do you agree the professional athletes such as football player and basketball player deserve high salaries to be paid? Essay

Undoubtedly, there is a long and tough way towards becoming a great and the famous sports star, not only persistent efforts but also talent are required. Few people on this field could accomplish great things like them. As a reward, they deserve a higher compensation. However, in my opinion, they are paid a crazy amount of salary that is far more than ordinary working people. A lot of money is needed for many purposes, for example, for the aid of starving people in the less economically developing counties, in building school buildings for the children in poverty mountains and help the patients regain their health. If the money that spent on the professional athletes are used on the purpose of these bare necessities of life. Thousands of people will be benefited, which is more meaningful in my opinion. In addition, there are professionals in other fields that provide the population by far much more than the professional athletes such as player of football. For example, education, essentially, is a vital key that will unlock a country’s potential. However, teachers are not paid too much. Generally, teachers are paid between 3000 to 6000 yuan a month in my city. Even those senior professor, who have years of experiences and have the respect of his students, is always paid less than 10000. Similarly, the average doctor, who have working more than 8 hours a day, earns around 5000 yuan a month. Hence, we have to pay more attention and pay more wages to them rather than the professional athletes. From those reasons, we can safely conclude that professional athletes are supposed to pay higher but moderate wages

Sunday, September 15, 2019

Is Macbeth a Tragedy?

A tragedy is often thought of as a sad, pitiful event. The factors used to label an event as tragic are the consequences and the lasting effects. For example, the consequences of one or more deaths can be seen as a tragedy. And tragedies are often remembered long after the event, clearly impacting the future for those involved. Many people interpret events such as a natural disaster, a death of a loved one, or a permanent disability as tragic. However, others say that this definition of a tragedy is incorrect and is misused in modern conversation. The people who think this way use the word tragedy to define literature.The literary definition of the word requires more careful consideration of the character and the overall effect of the play. In this literary sense, tragedy is defined by following four characteristics: first, the story must arouse pity and fear in the audience and/or reader; second, the story must call into question the man’s relationship with God; third, the tr agic figure must be capable of great suffering, be highly sensitive, and possess a tragic flaw which leads to his/her own destruction; and fourth, in the end, the character becomes aware that his own flaw has doomed him, but he is powerless to prevent his inevitable destruction.These characteristics have been used by many people to determine whether pieces of literature are considered a tragedy. For example, using these characteristics, the play Macbeth by William Shakespeare is considered a tragedy. Macbeth is a tragedy because the play has all the characteristics in the literary definition of a tragedy. Macbeth definitely arouses pity and fear in the audience/reader. The very first scene in the play instills fear in us audience members. The play opens in a wild and lonely place in medieval Scotland.Three witches enter, and in their cackling voices, they prophesize about the events that will happen in the future. For example, the witches predict that they will meet with the protago nist Macbeth â€Å"when the hurlyburly’s done, when the battle’s lost and won† (1. 1. 3-4). The witches are speaking of the civil war, which they say will end that day. They also say they will meet with Macbeth, one of the generals. These supernatural happenings start the play off with eeriness, stirring up fear in the audience. Additionally, pity is roused in the audience. The author creates sympathy for Macbeth by giving him a good quality: his courage.In the beginning of the play, Macbeth is portrayed as a brave and loyal soldier who fights for his king and his country. Macbeth has â€Å"unseamed [a traitor of the king] from the nave to the chops and fixed his head upon [the] battlements† (1. 2. 24-25). When the king, named Duncan, hears this news, he describes Macbeth as a â€Å"valiant cousin! [and] worthy gentleman! † (1. 2. 26). We start to pity Macbeth from the moment he meets the witches. Once the witches have prophesized that Macbeth will become Thane of Glamis, Thane of Cawdor, and King of Scotland, Macbeth begins to have dark thoughts of killing the king.However, the thought of killing the king is abhorrent to him, and the â€Å"horrid image doth unfix [his] hair and make [his] seated heart knock at [his] ribs† (1. 3. 156-157). This shows that Macbeth is very reluctant to take any action towards him becoming king. We audience members feel sorry for Macbeth as he is tempted by the prospect of becoming king but at the price of murdering a man that had been very good and generous to him. We pity Macbeth as he struggles with his morals and his conscience saying that â€Å"as [he] is [Duncan’s] kinsman and his subject, strong both against the deed; then, as his host, [he] should†¦not bear the knife† (1. . 14-17). However, in the end, Macbeth’s â€Å"vaulting ambition, which o’erleaps itself and falls on the other† (1. 7. 28-29) wins and he gives in to his evil urges. So wi th Lady Macbeth’s urging, Macbeth murders Duncan. Before the murder, Macbeth has such a troubled conscience that he hallucinates. He sees â€Å"a dagger†¦before [him], the handle toward [his] hand† (2. 1. 42-43) leading him to Duncan. We audience members also pity Macbeth because after he does the deed, he thoroughly regrets it. He shows this by saying if he had â€Å"died and hour before this chance, [he would have] lived a blessed time† (2. . 103-104). Without a doubt, the play arouses fear and pity in the audience. In addition to arousing pity and fear in the audience, the play calls into question man’s relationship with God. At the start of the play, Macbeth’s relationship with God is good. Macbeth fought nobly and courageously for a good cause, defeating the traitor to the king. Similarly, at the end of the play, Young Siward also fights nobly and dies for a good cause, defeating Macbeth. For this reason, Young Siward is described as â₠¬Å"God’s soldier† (5. 8. 55). Therefore, Macbeth could also be described as â€Å"God’s soldier† (5. . 55) up until he murders Duncan. As the King of Scotland, Duncan can be viewed as God. By killing Duncan, Macbeth has killed God. As a result, Macbeth has become the opposite of God, the devil. From this point on, Macbeth’s relationship with God is bad. At the scene of the murder, Macbeth could not say â€Å"Amen. † After committing a terrible crime, he â€Å"had most need of blessing, and ‘Amen’ stuck in [his] throat† (2. 2. 47-48). These events show that Macbeth’s relationship with God is questionable, which is one of the characteristics of a tragedy in literature.Another characteristic of a literary tragedy is that the tragic figure must be capable of great suffering. The tragic figure in this play is Macbeth. Macbeth certainly suffers from his conscience and guilt throughout the play. After murdering Duncan, Mac beth is so remorseful that he states that if he were â€Å"to know [his] deed, ‘twere best not know [him]self† (2. 2. 95). This means that in order for Macbeth to come to terms with what he has done, he must forget about his conscience. However, Macbeth cannot forget about his conscience and suffers from it. For example, Macbeth believes that â€Å"to be thus is nothing, but to be safely thus† (3. . 52-53). He feels that being king is worthless unless his position as king is safe. Macbeth is afraid that his position is not safe, but is endangered by Banquo, whose kingly qualities make him a threat. Thus, Macbeth murders Banquo. Nevertheless, Macbeth continues to suffer from his conscience. When he learns that Banquo’s son Fleance has escaped from the murderers, he now becomes â€Å"cabined, cribbed, confined, bound in to saucy doubts and fears† (3. 4. 31-32). This is because the witches predicted that Banquo’s son would be a king in the futur e, which would put Macbeth’s position as king at risk.Macbeth’s guilt prevents him from fully enjoying his ill-gotten position as king. For example, Macbeth is visited by the ghost of Banquo. Suffering from guilt, Macbeth nearly reveals the truth that he killed Duncan. Afraid her husband will reveal too much, Lady Macbeth tells the guests that Macbeth often has these fits. When the guests start to ask questions, Lady Macbeth tells them Macbeth â€Å"grows worse and worse; question enrages him. At once, good night†¦go at once† (3. 4. 146-150). These examples of Macbeth suffering from his conscience show that Macbeth is capable of great suffering.Besides being capable of great suffering, the tragic figure must be highly sensitive. Macbeth, as the tragic figure, is portrayed as a sensitive character. From the beginning of the play, Macbeth has been sensitive. Just the horrid notion of murdering Duncan â€Å"unfix[es] [Macbeth’s] hair and make[s] [his] seated heart knock at [his] ribs† (1. 3. 156-157). Macbeth becomes even more sensitive after his terrible crime of killing the king. When Lady Macbeth orders Macbeth to take the bloodied daggers back to Duncan’s room, Macbeth replies, â€Å"I’ll go no more.I am afraid to think what I have done; Look on’t again I dare not† (2. 2. 69-71). Also after the murder, Macbeth has become sensitive to every little sound. When someone is knocking at the gate, Macbeth wonders â€Å"whence is that knocking? † and realizes that â€Å"every noise appals [him]† (2. 2. 78-79). In addition to being frightened by sounds, Macbeth is also frightened by sights. For example, when Macbeth sees Banquo’s ghost, he becomes so terrified that his â€Å"cheeks [are] blanched with fear† (3. 4. 143-144). Each of these occasions demonstrates the sensitivity of Macbeth.Macbeth, the tragic figure, also possesses a tragic flaw which leads to his own destruct ion. Macbeth’s fatal flaw is his trust and confidence in the words of the witches. After the witches tell Macbeth that he will become Thane of Glamis, Thane of Cawdor, and King of Scotland, Macbeth begins to lust for power. If he had not heard the witches’ prophesy, his â€Å"vaulting ambition† would not have â€Å"prick[ed] the sides of [his] intent† (1. 7. 27-28). Without his ambition, Macbeth would have had no reason to murder Duncan because Duncan â€Å"hath borne his faculties so meek, hath been so clear in his great office† (1. . 18-19). Macbeth reminds himself that Duncan is such a good person and has never abused his royal powers so there is no possible reason for his murder except for Macbeth’s own driving ambition. Macbeth is ambitious and wants to become more powerful. Thus, he kills Duncan and takes the crown for himself. Next, Macbeth murders Banquo and attempts to murder Fleance because he trusts the witches’ words that Banquo â€Å"shalt get kings† (1. 3. 74), meaning that Banquo’s son Fleance will be the king in the future. The witches also tell Macbeth that â€Å"none of woman born shall harm [him]† (4. 1. 1-92) and he will never be vanquished â€Å"until Great Birnam Wood to high Dusinane Hill shall come against him† (4. 1. 107-108). Macbeth’s flaw in believing these words leads to his downfall. Macbeth, power-hungry and overconfident, considers himself invincible. However, the witches’ words have cause Macbeth to become too overconfident and he is taken by surprise when a man named Macduff, born by Caesarean section, leads soldiers disguised as â€Å"a moving grove† (5. 5. 42) to Dunsinane. Because Macbeth believed the witches in that he was invincible, he did not expect the words to have a double meaning.Consequently, Macbeth is killed by Macduff who was â€Å"from his mother’s womb untimely ripped† (5. 8. 19-20). Without a doubt, Macbeth’s trust in the words of the witches has led to his ambition and overconfidence, which, in turn, led to his own destruction. Macbeth definitely becomes aware that this flaw has doomed him, but he is powerless to prevent his inevitable destruction. He first becomes aware that his trust in witches’ words has doomed him when a messenger reports that a moving wood is coming to Dunsinane. Macbeth begins â€Å"to doubt the equivocation of the fiend† (5. . 48) and fears that the witches have tricked him. He also realizes that he is powerless to prevent his inevitable destruction. This is shown when Macbeth says â€Å"there is no flying hence nor tarrying here† (5. 5. 53) and decides to face death â€Å"with harness on [his] back† (5. 5. 57). Macbeth also become further aware of his doom when he comes across a man named Macduff who was â€Å"from his mother’s womb untimely ripped† (5. 8. 19-20) by a Caesarean section. He realizes that the â€Å"juggling fiends† have tricked him â€Å"in a double sense† (5. 8. 23-24).Macbeth’s trust in the witches leads him to believe that he is invincible, but when he discovers that the witches are not to be trusted, there is nothing he can do to prevent his destruction. Even though Macbeth knows all hope is gone, he decides to fight to the death and â€Å"will try the last† (5. 8. 37). In the end, Macbeth has been killed, and the rightful heir to the throne takes his place. These occurrences fulfill the last requirement for the play Macbeth to be a tragedy. As a result of all the characteristics being met, there is no question that Macbeth is a tragedy.The play arouses pity and fear in the audience and calls into question man’s relationship with God. The tragic figure Macbeth is capable of great suffering, is highly sensitive, and possesses a tragic flaw which leads to his destruction. And in the end, Macbeth becomes aware that his flaw has do omed him, but he is powerless to prevent his unavoidable destruction. Due to the characteristics described previously, Macbeth is definitely a tragedy. Even modern day conversationalists, who misuse the word tragedy, would have to agree that Macbeth is undeniably a literary tragedy!

Saturday, September 14, 2019

The Impact of Human Resource and Operational Management Practices on Company Productivity: a Longitudinal Study

Article 1: The Impact of Human Resource and Operational Management Practices on Company Productivity: A Longitudinal Study Dana Cuffee BSA 523 Operations Management and Analysis August 31, 2009 Dr. Woo This article talks about human resource and the operational management practices on a company productivity. This paper reports on the study that evaluates the individual and collective impact on manufacturing performance of the seven managerial practices most associated with these theoretical perspectives: empowerment, training, teamwork, total quality management, just in time, advanced manufacturing, technology, and supply chain partnering. There was little or no evidence related to a company performance in longitudinal practices to show companies that adopted specific practices to improve their performances. A study was conducted by Birdi, Clegg, Patterson, Robinson, Stride, Wall and Woo (2008), to determine the importance of psychology-based practice on a company’s productivity. They studied 308 companies over 22 years and implemented the 7 practices. As a result of the study, it was concluded that none of the operational practices were directly related to productivity. Empowerment focuses on giving individual or teams’ responsibility rather than management. Extensive training is providing employees with a wide range of skills. Teamwork is a group of employees working together on a common task. Total quality management is based on the principle that quality control should be a part of the production process. Just in time is a system for making products in direct response to internal and external demand from customers. Advanced manufacturing technology includes a range of computer based machinery, such as computer numerically controlled machines, robots, and computers aided design and process planning. Supply chain partnering is trategic alliances through long term relationships with suppliers to guarantee that the right materials and components are provided at minimum cost. The case study has three hypotheses. The first hypotheses included empowerment, extensive power and teamwork would independently enhance company performance. This is based on the theory that empowerment required extensive skills in order for it to work, thus both of t hese practices underscore the effectiveness of teams. Also, learning from extensive training requires teamwork and problem solving skills, which provides the competencies on which team performance depends. The second hypothesis was that having total quality management, just in time, advanced manufacturing technology, and supply chain partnering will independently enhances company performance. The combined practices worked as a synergy, affecting each other. Lean production adds supply chain partnering in the mix, which in turns, bolster the other practices by helping to ensure all the other components. The third hypothesis was that empowerment, extensive training, and teamwork will positively interact with total quality management, just in time, advanced manufacturing technology, and supply chain partnering to predict company performance. Stevenson (2007) also uses the seven practices in his book. Total quality management (p. 427) involves everyone in the organization in a continual effort to improve quality and achieve customer satisfaction. The just in time (p. 694) concept believes in a processing system in which goods move through the system and services are performed just as they are needed. Empowerment (p. 428) believes in giving employees the responsibility and the authority to make changes to accomplish their task. Cross training workers (p. 07) to perform different parts of a process and to operate a variety of machines adds flexibility and value to the worker. Some organizations use self directed teams (p. 329) to achieve a higher level of teamwork and employee involvement. They are empowered to make certain changes in their work processes. Stevenson has several advanced manufacturing technologies described in his book. To name a few are computer aided manufacturing, numerically controlled machine (p. 246) a nd robots (p. 247). All of them depend on the level of automation a company need. Every job wants to improve and get better over time (even the military). The military also focuses on the 7 practices of empowerment, training, teamwork, total quality management, just in time, advanced manufacturing, technology, and supply chain partnering. With the budget cuts, shortage of personnel and the concept â€Å"do more with less†; the military has to strategize just like civilian company. Normal every day function that were usually a soldier’s unit responsibility, but now the soldier is required to maintain and perform himself. In conclusion, this article, focuses on the importance of psychology based practices; empowerment, extensive training, and teamwork to sustain competitive advantages within human resource management. Once the companies fully implemented the seven practices, their overall performance did improved. References Stevenson, W. J. , (2007) Operation Management (10-ed) New York. McGraw- Hill/Irwin Birdi, k. Clegg, C. , Patterson, M. , Roberson, A. , Stride, C. , Wall, T. , & Woods, S. (2008). The Impact of Human Resource and Operational Management Practices on Company Productivity: A Longitudinal Study. Personnel Psychology, 61(3), 467-501.

Friday, September 13, 2019

Gun Control Research Paper Example | Topics and Well Written Essays - 1750 words - 3

Gun Control - Research Paper Example Many other American considered that viewpoint to stand in direct defiance of the 2nd Amendment, which guarantees a citizen’s right to bear arms. However, most Americans support a certain amount of gun control that does not prevent its citizens from gun ownership but can more effectively weed out those most likely to misuse or abuse the right. There are three areas most heavily debated concerning the issue of gun control; the focus being on how gun control influences and effects violent crime statistics, suicide rates, and finally the potential of â€Å"civil wars† or the encouragement of other civil uprisings. Human beings have always committed crimes against each other of one kind or another, were harmful to themselves, and were prone to armed rebellions since the beginnings of society. From wooden spears to sabers and swords, humanity has worked very hard at developing ways to fight and conquer others. The discovery of gun powder and the use of firearms it has only helped to perpetuate those historical traditions. Films like â€Å"Braveheart† and â€Å"Troy† have dramatized how bloody and extreme of the battles fought long before the modern era; the concept of hand guns and semi-automatic weaponry were not even a â€Å"twinkle† in the inventor’s eyes. However, guns may have changed how we fight, but not the reasons that we fought. They were committing acts of robbery and murder long before guns were invented. People who wanted to end their lives and found the means to do so long before guns were invented. People, most certainly, fought wars over civil issues, long before the invention of firearms (Borade 1). For this reason many experts feel that guns do not cause crimes to be committed. However, at the same time a gun gives wrong-doers an advantage over their victims when implemented. Violent crimes are being committed every few

Thursday, September 12, 2019

Google company Essay Example | Topics and Well Written Essays - 2750 words

Google company - Essay Example The company has attachments to education and libraries as part of their company culture as stated in Guyette, (2007, p. 2). This is a marketing approach implemented to improve the market share. Most of the students are loyal customers of Google and help improve their brand name all over the world. Other contributors to the market share are partnerships and a wide range of advertising done using Ad Words (Guyette, 2007, p. p. 2). Google’s plan is to make more acquisitions internationally to add on the products that people require and, therefore, fill that market gap and to be more competitive with the competitors in an effort of trying to catch up (Guyette, 2007, p. p. 2). Therefore, this paper focuses on the marketing strategies of Google while evaluating its internal and external environments. Introduction Google, the most popular search engine, was founded by two Stanford students, Larry Page and Sergey Brin. Because of its popularity, it has captured the market attributed t o an industrious and innovative marketing plan team. Innovation is achieved by the many uses that google.com does to its customers who are the revenue earners of any organization as indicated by Fifield (2007, p. 23). The role of every organization is to achieve market success and this achievement is dependent on the customers’ preference. Thereby it is the role of the marketing departments in the organization to win the customers preference. Google has leverage over the other competitors who have led to its competitive advantage in the variety of uses that it grants the customer. The competitive advantage over the other firms instills focus to the marketing program of a firm as stated in Ferrell &Hartline (2011, p. 19). Google’s marketing strategy is evident on the fulfillment of the want s and needs that the customers desire. It has incorporated all the individuals, companies, organizations and any interested parties through segregation of these target groups as a ma rketing program in the market strategy. Through the use of its strengths and opportunities and constant awareness of weakness and threats imposed on it, the marketing strategy can be formulated matching the needs and requirements of the market ventured (Ferrell & Hartline, 2011, p. 19). Google controls 40% of the market and estimates to control 70% of the market in the near future. The control of the market varies according to countries. For Instance, in a country like France; Google takes 71% of the market share. This reduced market share is caused by the competitors in the market. In the US alone, Google controls 67% of the search market. This was achieved in November 2012 but dipped just slightly in December hitting 66.7% of market share (Goodwin, 2012, p. 2). This significant market dominance is a milestone for Google as a company and as a brand name despite all the competition. Goodwin (2012, p. 2) continues to explain the effect of the competitors on the search market. For exa mple, Microsoft, even with the addition of Bing-powered searches, is way far behind Google. The competition between yahoo and Bing in the month of January 2012 significantly led to the rise of Google’s market share (Goodwin, 2012, p. 3). Google faces its competition from other companies that are to the same goal of giving people

17th century baroque dress Essay Example | Topics and Well Written Essays - 1000 words

17th century baroque dress - Essay Example The baroque dresses initially consisted of bobbin lace, and had falling collars. The patterns continued to evolve and get bolder. By the middle of the 17th century, the laces in the dresses had become straight edged, and they had patterned flowers. The flowers were arranged in a symmetric way. The designs of the baroque dress were to continue to change and evolve through the century. During the last quarter of the 17th century, there was the development of lighter lace. The lace had more scrollwork and smaller flowers. It also had an abundance of frothy points. The women’s clothes during the late 17th century period mostly resembled the one piece gowns, although they mainly consisted of a skirt and a top that were sewn together at the middle. The design of the dresses was meant to ‘stuff up’ the female figure. The designers during this period begun to come up with elaborate dress textiles that changed depending on the seasons. The period also saw the constant crea tion of new and textured designs. The designs and textures of the dresses was underwent tremendous changes during the 17th century period. From the early 17th century to the mid 17th century, the high wasted baroque dresses that had characterized the earlier 17th century were replaced by dresses with long waists in the mid 17th century. The gowns were typically two piece gowns, with bodices and skirts.The bodice and the skirts were however in most cases sewn together at the waist. The gowns were also open at the front center.

Wednesday, September 11, 2019

Comparison of food-labelling laws of products containing GMOs in the Research Paper

Comparison of food-labelling laws of products containing GMOs in the European Union and the United States - Research Paper Example There has been a debate in whether manufacturers of GMOs should be forced to label their produce as GMO products. In the USA, many manufacturers of GMOs have argued against this idea saying that it would only cause unnecessary fear and speculation from the consumers. In light of this, the European Union and the United States of America have been in the front line in ensuring that these organisms have been regulated in both countries especially the foods to certify them for human consumptions (Albert 2). In European Union, Genetically Modified Organisms are mostly combined with irradiated foods which further categorize them as the type of foods that require evaluation from the food safety in the country such as the European Food Safety Authority(EFSA) (Princen 215). However, the EFSA must seek authorization from the European Commission , who have the mandate of writing down the proposal in reference to denying or granting the authorisation of the GMOs in their market. Of importance to note is that the European Commission may take a substantial period of time depending on the type of GMOs that have been put under scrutiny. According to the country’s regulation, the European Commission ensures that cases revolving GMOs are thoroughly investigated and confirmed especially those that need Safeguard clauses and temporary restriction. Similarly, the United States have taken the initiative of ensuring that Genetically Modified Organism (GMOs) are identified through labelling to provide a clear understanding of the organisms especially foods that are mostly used by human beings. In essence, the effects of the GMOs brought concern to product that were said to have ingredients that genetically modified. Apparently, people in the United States of America have constituently pushed for the initiation of food labelling laws due to the assumption that most GMOs are argued to cause cancer and other chronic diseases. Nevertheless, food labelling law in the country have co ntinually reduced fear among the people as it ensures that it is easy to differentiate between organisms that genetically modified and those that are not (Elderidge 133). However, laws regarding food labelling in the United States have met constant opposition usually fuelled by manufacturers of GMOs and junk food. For instance, in a state wide election in California in the 6th of November last year, a law called the proposition 36 was rejected in California. It is believed that the manufacturers of junk food and GMOs spend over $46 million to defeat the proposition. In Europe, the issue of labelling seems to be taken more seriously than in USA. For instance, in Europe, any food product that has a little as 0.9 percent of GM material has by law be labelled. This is not the same in USA. Of importance is that the senate in the United States of America have continually debated on this issue with the Vermont House argues to have passed a controversial bill that was said to require labell ing of foods with GMOs. Fortunately, the bill gained enormous support from twenty seven other states. Although, a tag of war was witnessed when three of the senate disputed the labelling of the product, a group of advocates affirmed that consumers have the right to know the kind of foods that they were using in terms of whether they were