Thursday, October 31, 2019

Survey of Human Resource Management Essay Example | Topics and Well Written Essays - 250 words

Survey of Human Resource Management - Essay Example All three branches of the government—legislative, executive, and judicial play a significant function in making authorized surroundings for human resource association. The legislative branch, which consists of the two houses of Congress, enacts a number of laws leading human resource activities. Senators and government usually develop these laws in reply to apparent societal needs. The executive branch, include the many authoritarian agencies that the president oversees, is responsible for implementing the laws accepted by Congress. Some national agencies concerned in variable human resource management consist of the equivalent employment opportunity in the workplace and the administration and the monitoring of the safety health and hazard. In spite of all these there can be orders from the president also, which are always liable for approval. The judicial branch, the centralized court structure, control the employment law by understanding the law and holding tests relating to disobedience of the law. The Supreme Court, at the peak of the judicial division, is the point of ultimate petition. Verdicts made by the Supreme Court are obligatory; they can be upturned only by the laws approved by Congress. â€Å"The Civil Rights Act of 1991 was partly designed to overturn Supreme Court decisions† (Ragone n.d.). It is understood that the three branch of the government are utmost important and they have good impact on the human resource, which are considered as precious assets. Ragone, N. n.d. Checks on the Supreme Court. Netplaces.com. [Online] Available at Accessed on 28, December

Tuesday, October 29, 2019

Cultural-Adaptation Essay Example for Free

Cultural-Adaptation Essay The East African tribe ‘Maasai’ can be found in Kenya and certain parts of Tanzania. Their subsistence strategy has primarily been pastoral for several centuries. The Maasai herd cows, sheep and goats for a livelihood as they depend on the meat and milk for their survival. The Maasai are also semi-nomadic people, making them pastoral nomads (ONeil 2). This helps them move from place to place, in search of better climatic and external conditions suitable for raising their herd animals. They constantly move to areas having greener pastures and adequate water to ensure that their livestock are healthier; it also facilitates grass growing back again in areas that have been grazed by cattle. Their choice of location would also depend upon other factors such as safety from predators such as lions. The Maasai do not construct permanent settlements as they are constantly on the move; they live in temporary dwellings that are simple to construct. The social structure of the Maasai has played a key role in preserving the tribe’s primary subsistence strategy as pastoral for centuries. The age-based social structure is quite fair and consistent as there is no discrimination based on caste or familial segregations. However, there are certain gender-based roles and customs within the tribe. The men are divided into the youths, the warriors also know as ‘moran’, and the elders. On the other hand, the young girls get married to warrior men, bear children and raise them; the women can also become elders after their bear four children. The youths become warriors around the â€Å"age of 13 to 17† and move to a different village, live in unsecure enclosures called ‘manyatta built by their mothers and eventually get married (Martin 7). It is the duty of the warriors to ensure that the tribe is safe and cattle are protected from predators. They are mentally conditioned as well as physically trained from a very young age to perform this duty. The Maasai women specialize in building houses from sticks, mud and cow dung. This helps the tribe to move from place to place easily and sustain their semi-nomadic way of life. The Maasai men also build thorn fences to keep their cattle safe in enclosures. The elders are supposed to impart wisdom and live passive lives, as the responsibilities and duties of the tribe pass over to the next generation of warriors. The authority figure in their social system is a person known as laibon, roughly translated as ’medicine man’; the ‘laibon’ also fills the religious needs of the tribe and practices shamanism for healing. This uniform socio-cultural structure lends stability and contributes to the subsistence of the Maasai way of life, as there is very little room for rebellion within the group. Many aboriginal cultures around the world are going through transition due to modernization and the Maasai are no exception to this rule. Urbanization had led to the Maasai being confined to smaller areas, thus threatening their way of life. To cope with these changes, a small segment of the tribe has recently changed its subsistence strategy to agriculture, fishing and taking menial jobs in urbanized areas. The tourism industry promoted by the government has compelled certain Maasai tribes to diverge away from their self-sufficient lifestyle and act as showpieces for tourists (Akama 717). However, the Maasai still retain certain aspects of their cultural identify such as speaking a language called ‘Maa’ and wearing a red cloth called the ‘shuka’; they also pierce their earlobes and adorn large metal earrings. Despite the influence of the modern world, a large segment of the Maasai tribe is still quite self-sufficient as they produce their own food from cattle and take care of other needs such as shelter and medicine. Works Cited Page Akama, John. Marginalization of the Maasai in Kenya. Annals of Tourism Research, Volume 26, Number 3, July 1999. Martin, Marlene. Society-MASAI. The Center for Social Anthropology and Computing. June 14, 2009, http://lucy. ukc. ac. uk/EthnoAtlas/Hmar/Cult_dir/Culture. 7860 ONeil, Dennis. (2007). Patterns of Subsistence: Pastoralism. Palomar College. June 14, 2009, http://anthro. palomar. edu/subsistence/sub_3. htm

Sunday, October 27, 2019

Dangerous Goods Can Create Accidents Engineering Essay

Dangerous Goods Can Create Accidents Engineering Essay Dangerous goods are essentially for wide range of global industry, commercial, medical and research requirement and processes. This is because of the advantages of air transport, a great deal of this kind of dangerous cargo is carried by air transport called airplane. Besides that, in term of definition dangerous goods (DG) is something about hazard material or can be easily said any risk object which can causes mischief such as explosive, corrosive, flammable, toxic and even radioactive. Nevertheless, ICAO has been recognized the importance of this type of cargo and has been taken steps to ensure that such of cargo can be carried safely. Furthermore, dangerous goods posses lots of significant risks and impacts. For example like it can start a fire and help in spreading a fire. Then, it can react with aircraft material, can release toxic vapor and even come o worst explosion might happen. http://www.ritchiestraining.co.uk/pix/uploaded/Library/Ritchies_Dangerous_Goods_By_Air_and_Sea.jpg Figure 1: Dangerous Goods Can Create Accidents Page 1 https://blogger.googleusercontent.com/img/b/R29vZ2xl/AVvXsEie3otoXrJxis8zWFnp7M4r0HGqnDcQdrXR6nndcjbQJ_N15dU5Pf_2F9HOhQTUOUcdfIC6uupHUV5-b28UsVXTMTAWh6P8A31AsH4WghzKkjOdHdYZDz3Hp_Pa6WUhA5oS5DC1ICCysmQ/s660/wentwrong+header+copy+small.jpg Figure 2: ValuJet Accident by Explosion There is an incident where can be proved that hazard material can causes harm to aircraft itself. On May 11, 1996 Everglades, Miami, Florida ValuJet, Flight 592 McDonnell Douglas DC-9-32, N904VJ. The in-flight fire was caused by activation of one or more oxygen generators in the forward cargo hold. The generators were outdated, improperly labeled, lacked safety caps and were prohibited from being transported on a passenger flight. The loss of control resulted either from flight control failure or incapacitation of the crew due to extreme heat and smoke. Recently, all 110 aboard killed. The person who handles dangerous goods at airport called dangerous goods inspector. He / she must be well trained in every aspect of the duties as a technical inspector and regulatory officer otherwise the aviation will turn down. This kind of person must aware where an each shipment of dangerous goods may possibly represent an intimidation to life, health, property or environment. In addition, the inspector should obey the procedures and regulations attempt to handle cargo and minimize the danger during transport. Basically, how do the inspector handle the DG is he / she carried out at cargo facilities with the scale and nature of the operation. Besides that, inspection of procedures includes visiting operators or handling agents premises as proper. Page 2 2.0 Transport Dangerous Goods by Annex 18 Annex 18 can be specified as standard and recommended practices which enable dangerous goods to be carried safely. Annex also makes compulsory upon Contracting States the requirements of the Technical Instructions, which contain the very detailed and various instructions necessary for the correct handling of dangerous cargo. Logically speaking, the use of these common bases by all forms of transport allow cargo to be transferred safe, sound and even smooth between air, sea, rail and road modes. Nevertheless, ICAO requirements for the safe handling of dangerous goods firstly identify a limited list of those substances which are unsafe to carry in any circumstances and then show how other potentially dangerous articles or substances can be transported safely. Technique of Transport Dangerous Goods Classification 5. Procedures Emergency Respond 3. Documentation, Acceptance for Air Transport 4. Handling Stowage 2. Packaging, Marking Labeling Figure 3: Technique of Transport Dangerous Goods Page 3 Identification and Classification of DG The nine hazard classes are those determined by the United Nations Committee of Experts and are used for all modes of transport. Class 1 includes explosives of all kinds, such as sporting ammunition, fireworks and signal flares. Class 2 comprises compressed or liquefied gases which may also be toxic or flammable examples are cylinders of oxygen and refrigerated liquid nitrogen. Class 3 substances are flammable liquids including gasoline, lacquers, paint thinners, etc. Class 4 covers flammable solids, spontaneously combustible materials and materials which, when in contact with water, exit flammable gases, such as some powdered metals, cellulose type film and charcoal. Class 5 covers oxidizing material, including bromated, chlorates or nitrates and this class also covers organic peroxides which are both oxygen carriers and very combustible. Class 6 includes poisonous or toxic substances example pesticides, mercury compounds, etc comprise together with infectious substances which must sometimes be shipped for diagnostics or preventative purposes. Radioactive materials are in Class 7 which there are mainly radioactive isotopes needed for medical or research purposes but are sometimes contained in manufactured articles such as heart pacemakers or smoke detectors. Corrosive substances which may be dangerous to human tissue or which pose a hazard to the structure of an aircraft are dealt with in Class 8 for example, caustic soda, battery fluid, paint remover. Finally, Class 9 is a miscellaneous category for other materials which are potentially hazardous in air transport, such as magnetized materials which could affect the aircrafts navigational systems. http://www.ctsgb.ltd.uk/assets/generic/icons.gif Figure 4: 9 Classes of Dangerous Goods Page 4 Packaging, Marking Labeling Basically, the operator or handling agent looks at the external appearance of all the packages of dangerous goods as a safety package inspection before being transported. In addition, the items need to keep in the operators custody provided whether the goods are due to transport or have been transported. However, the inspection will check that the requirements of marking and labeling have been fully filled. Hence, type of packaging that has been used is permitted and tag along with the correct specification. For the radioactive material, the handling agent will pack the material based on the radiation level packages which fit in state for transport. Nevertheless, the packages of dangerous goods should only be opened in exceptional circumstances and with extremely caution. Once if the package opened, they need to take the potential hazard from the contents into account and handle it with fully attention. Any package opened during an inspection, it must be handed before to the consignee which means the goods must be restored in its original condition by inspector. https://images.fedex.com/images/us/services/options/ground/hazmat/PhenolSolid_Boxes.jpg Figure 5: Packaging, Marking, and Labeling Page 5 Documentation and Acceptance for Air Transport Documentation is to determine a dangerous goods shipment meets all applicable requirements. Information that contain in several documents need to transport out a detailed check because it is necessary to cross refer from one document to another. The handling agent must check the associated documents when he / she have the packages of dangerous goods in his / her premises. A document check only is made when there are no packages available. There are several inspections that required inside the documents such as Air Waybill, Shippers Declaration, Acceptance Check List, Notice to Captain and others. The intention of inspecting the Air Waybill is to ensure that they have completed correctly by using the correct classification and method of packing so that it can be established. Thus, the purpose of inspecting the Acceptance Check List is to make sure that the handling agent uses a form which allow for completion by the acceptance clerk. Nevertheless, the Notice to Captain is to determine that all the required information was given and checked. At this moment, where the form was signed by the pilot and the loading / stowage requirement met. https://images.fedex.com/images/us/services/options/ground/hazmat/OP-900_Exception.jpg Figure 6: Documentation of Dangerous Goods Page 6 2.4 Handling and Stowage Handling also can be known as loading so that it can be pronounced as loading and stowage. The inspection of loading and stowage at the cargo side is to ensure the dangerous goods are adequately secured to prevent movement. Then, the requirement of segregation distances can be maintained respectively when any radioactive material has been stowed. Besides that, any cargo aircraft that has placed dangerous goods on the main deck and only get accessible by the Technical Instruction. And also make sure of toxic or infectious substances are not in close proximity to animals and foodstuffs, it can be harmful to them and also aircraft fuselage if there are any leakages from the toxic substances. http://www.csc-scc.gc.ca/text/plcy/images/318-gl5-1_e.gif Figure 7: Handling and Stowage Table Page 7 2.5 Procedures and Emergency Response The procedure of transport dangerous goods is a guidance tool for airport directors and crews to use when developing, evaluating, updating or training an Airport Emergency Plan. It also can be informed the emergency responders to who are not experienced with airport operations or airport emergencies. However, whenever once hazardous material spills out on the aircraft body, it can be resulted as aircraft accidents or incidents. This is because the body of aircraft will be corroded and eventually it will create a whole on it and can be cabin pressurization and even lead to the aircraft crash. Thats why precautions should be aware to avoid exposure to hazardous components for safety purposes. In this kind situation, Airport Emergency Plan (AEP) needs to clean up the aftermath emergencies involving hazardous materials such as foam and hydrocarbon. The agencies must follow the strategies and procedures which contain in the flow of hazardous materials after an emergency inside the aircraft or even at the airport. Besides that, they also need to repair the pavement of the runway if the materials damaged the runway by the spills. https://blogger.googleusercontent.com/img/b/R29vZ2xl/AVvXsEi_VDdU83hoYHKiFKRR7Kp4ODM0foYaxV-yb55_Y1dXEAS7bSjHU5mIoLGSJqrsmYKRHaDZXJTN7OIlhK00hyobzg3UOZunt5aAJMmT_WWamCEPxhTKOAnUaOU9sWJ5vf9wAUw_HBAsiWQQ/s1600/emergency_response_title_page.jpg Figure 8: Emergency Responses Page 8 3.0 Class 3 Flammable Liquids In many classes of dangerous goods that have been enshrined in the aviation law procedures. There are limitation on loading dangerous goods inside the aircraft, this is because not all classes are allowed to be loaded inside the aircraft unless with special exemption or provision. So, I choose Class 3-Flammable Liquids as my point of assignment of TDG. http://www.thecompliancecenter.com/store/media/catalog/product/l/b/lbcn06us_hi.gif Figure 9: Class 3 Flammable Liquid Flammables liquids can be defined as liquids, mixtures of liquids or liquids that contained solids in solution or suspension which is given off a flash point of flammable vapor at suitable temperatures must not more than 60-65Celcius. Transportation must follow the procedure which is transport the liquids at temperatures at or above the flash point for the safety purposes. Hence, this class has specific reason for regulation which is competent of posturing severe hazards due to the volatility, combustibility and potential in causing or propagating rigorous conflagrations. Besides that, there are several common transported flammable liquids in aviation industry such as acetone, paints, alcohols, perfumes, gas oil, and etc. Page 9 Nevertheless, dangerous goods inspector has an authority to handle flammable liquids. He also has capability to inspect all customer requests that has connection with logistics of flammable liquids for example like packing, packaging, compliance, freight, forwarding and training. Meanwhile, the labeling and marking of dangerous goods, the method in which they shall be located at beneath an aircraft, the responsibilities of the crews in respect of the carriage of dangerous goods and the action to be taken in the event of emergencies arising involving dangerous goods. Otherwise, if the operator fails to follow the procedure, it can turn down the aviation world industry and make disaster and even can affect the aircraft fuselage and passengers. http://images.thenews.com.pk/updates_pics/1-24-2011_9678_l_u.jpg Figure 10: Airport Explosion by Flammable Liquid Leakage at Moscow Page 10 4.0 Conclusion As my conclusion, Transport Dangerous Goods is very important subject where we as an aviator can know about the dangerous goods as well. Dangerous goods can be known as hazard materials which can cause harm to surrounding including human and animal. As we all know that dangerous goods has nine classes provided which is Class 1-Explosives, Class 2-Gases, Class 3-Flammable Liquids, Class 4-Flammable Solids, Class 5-Oxidizing Material, Class 6-Toxics and Infectious, Class 7-Radioactive, Class 8-Corrosive, and Class 9-Miscellaneous. Furthermore, with this kind of classifications we can conclude that the goods inside container are dangerous or not. Then, I have learned about the flow of instruction in dangerous goods which is classification, packaging, documentation, handling, and emergency responses. This flow is a must to operator, if one of them is missed, the transportation will automatically cancel and aviation industry will be terminated. Page 11 5.0 Bibliography 5.1 Website 1) www.dgiglobal.com 2) www.caa.md 5.2 References 1) Transport Dangerous Goods Slide Show 5.3 Books 1) Annex 18 Page 12 Content Page No. Content Page 1.0 Introduction 1-2 2.0 Transport Dangerous Goods by Annex 18 2.1 Classifications 2.2 Packaging, Marking and Labeling 2.3 Documentation and Acceptance 2.4 Handling and Stowage 2.5 Procedures and Emergency Response 3 4 5 6 7 8 3.0 Class 3 Flammable Liquids 9-10 4.0 Conclusion 11 5.0 Bibliography 5.1 Website

Friday, October 25, 2019

Your Writing Style Essay -- Writing Writers Education Essays

Your Writing Style How can one person know what good style is when writing a paper? Where is it written that we as students should have to follow specific guidelines while writing? Anyone wanting to make their writing clear, precise, and simply correct will usually try following some type of guideline, or book in order to perfect their own writing style. After reading both The Elements of Style by Strunk and White, and also Williams’s Style toward Clarity and Grace I can see why teachers discuss these books as tools for correcting and perfecting their students writing, and style. While at the same time understand someone out of the classroom setting, brushes up on their skills in writing with these books before they have to complete some type of report that needs to be concrete and readable. Students and other writers should understand that while these books can be effective tools they simply are that a tool and not a style that should be studied, and copied word for word. In these two different forms of writing and style that are addressed by both authors I feel they are targeting different audiences that have two dissimilar styles. These books are great tools for perfecting our style as writers, but they should not be relied on too heavily by the writer. Everyone has a different angle of style they go for in their writing; these books simply either enhance that style, or with books like Strunk and White’s curtail that style into one of the authors. Making a style one’s own is something most writers’ struggle with in the classroom and through out their careers because there are various types of books all claiming to be the â€Å"Bible† of style. These books are all geared toward... ... broad audience develop their own style, rather than copying his. Each book can benefit a student or person struggling to find the correct writing style for them, but they should understand these are simply guidance books to be used as tools, and not only way to write and use style correctly. Their style will develop over time when they implement some of these elements/rules with their own words. Works Cited Jamison, Larry. â€Å"Assignment 3 STRUNK-A-SAURUS VS TERRA-X-WILLIAMS.† February 16, 2004. Larry Jamison’s Blog. ljamison.blogspot.com (March 7, 2004) Newsom, Paula. â€Å"No Title.† February 10, 2004. Paula Newsom’s Blog. paulanewsom.blogspot.com (March 7, 2004) Strunk, William and White, E.B. The Elements of Style. New York: Longman, 2000. Williams, Joseph. Style toward Clarity and Grace. Chicago, IL: The University of Chicago Press, 1990.

Thursday, October 24, 2019

Hunting is a cruel Essay

Do you want to live? If you do you will think or know that Hunting is a cruel, it is wrong to kill animals as a means of entertainment. Less than 5 percent of the U.S. population hunts. Twenty percent of foxes who have been wounded by hunters are shot again. did you know that if hunting goes out of control people on the earth might die because we need meat for us to live in the world and if we do not have meat we can die. we all live on a cycle if that cycle has someone missing the others will dies, like for an example: The sun give the plant some sun light so it can grown then the plants grows but the frog eats the plant then the frogs get eaten by all the snakes so the the snakes die then the eagle dies because the snakes died. isn’t that a crime to the environment. well a cycle is a series of events that are regularly repeated in the same order, or it is a complete set or series. There are so many views of why hunting is right. We will also touch on animal testing. The following paper will prove and show why hunting for eating is fine yet at the same time hunting and fishing for trophy’s is bad. Hunting a fox,deer, and other animals is Wrong.It is already to much that drought, hurricanes, earthquakes, and volcanoes happen. The rought, hurricanes, earthquakes, and volcanoes only do is distroy the houses of animals and plants,too.

Wednesday, October 23, 2019

Problems 50 & 51 (Ch. 22)

50. (LO3)Jack and Jill are owners of UpAHill, an S corporation. They own 25 and 75 percent, respectively. a. What amount of ordinary income and separately stated items are allocated to them for years 1 and 2 based on the information above? 1st Year or Year 1: Ordinary income is 42,500. 00 42,500*25% = 10,625 is allocated to Jack 42,500*75% = 31,875 is allocated to Jill Separately Stated Items: Interest Income 2,000. 00 500. 00 is allocated to Jack 1,500. 00 is allocated to Jill Dividend Income: 1,000. 00 250. 00 allocated to Jack 750. 00 allocated to Jill b. Complete UpAHill’s Form 1120S, Schedule K, for year 1. See attached c. Complete Jill’s 1120S, Schedule K-1, for year 1. See attached Schedule51. (LO3, LO4)Assume Jack and Jill, 25 and 75 percent shareholders in UpAHill corporation, have tax bases in their shares at the beginning of year 1 of $24,000 and $56,000, respectively. Also assume no distributions were made. Given the income statement above, what are their tax bases in their shares at the end of year 1. Considering the 24,000 and 56,000 respectively, Jack tax basis is calculated with his original cost of 24,000 + 10,625 + 500 + 125 = 32,250. 00 Jill 56,000 + 31,875 + 1,500 + 375 = 89,750. 00 1. LO1) Joey is a 25 percent owner of Loopy LLC. He no longer wants to be involved in the business. What options does Joey have to exit the business? The remedy to Joeys issue should be contained within the operating agreement. In some states such as CA, this is a requirement for LLC’s. In some cases where operating agreements are not available, a buy out membership interest dissolve the LLC may be the only options. 2. (LO1) Compare and contrast the aggregate and entity approaches for a sale of a partnership interest. Two approaches govern the rules governing the federal taxation of partnerships and partners– aggregate and entity. The aggregate, also known as conduit approach views a partnership as though each partner owned the assets and liabilities of the partnership. An entity approach treats the partnership and its partners as separate entities. Whereas congress is aware, the two approaches are confused due to nonspecific statutory language offering guidance. Under the aggregate approach, section 701 recommends that the owners are subject to tax, not the partnership. The entity approach is recommended by the IRS that subchapter K follow this approach with respect to partnership interest transactions. What restrictions might prevent a partner from selling his partnership interest to a third party? Restrictions on the activities of general partner places a limit on the amount of private investments management of a venture capital can make from any private investment. General partners are limited in their ability to sell their general partnership interest in the venture fund to a third party. These sales would reduce the general partner’s incentive to monitor and produce an effective exit strategy for the venture fund portfolio companies.

Tuesday, October 22, 2019

Leadership Class Facilitators And Discussion Example

Leadership Class Facilitators And Discussion Example Leadership Class Facilitators And Discussion – Coursework Example Leadership Affiliation Link: http www.google.com/url?sa=t it models ethical habits of the organization, build trust, enhances credibility and respect, promotes collaboration as well as curving a convenient working environment for all members of the institution.Differences between Ethics and MoralsEthics are rules of conduct accredited in relation to a specific class of human accomplishments or social group while morals are precepts that isolate DOS and Don’ts regarding personal behavior in any social institution. Other differences between ethics and morals include (Resick et al., 2013); ethics come from social systems, which are external to an individual, whereas morals are regarded as intrinsic human factors that define govern behavior. Ethics are observed because society approves of them while morals exist because individuals believe in actions either being right or wrong. Ethics tend to be uniform in a particular society with minimal variations in defining them while morals are quite flexible as they can change with individual pattern of beliefs and values. Not all people who strictly observe ethical principles have morals, contrary to that, a moral individual is likely to follow a code of ethics easily. Ethics are regulated by legal and professional guidelines whereas morals are governed by cultural norms (Resick et al., 2013).ReferenceResick, C. J., Hargis, M. B., Shao, P., & Dust, S. B. (2013). Ethical leadership, moral equity judgments, and discretionary workplace behavior. Human Relations, 66(7), 951–972. doi:10.1177/0018726713481633

Monday, October 21, 2019

Field of Dreams essays

Field of Dreams essays The movie I have selected for my film review is Field of Dreams. I feel that it is a great movie, and is an outstanding form of popular culture. There are many different events that take place throughout this film that show this. Field of Dreams stars Kevin Costner and James Earl Jones. Costner plays a guy named Ray who, one day while working in his cornfield, hears a voice. The voice tells him, If you build it, he will come. After he hears the voice a few times he tears down his cornfield, and builds a baseball field. Jones plays a retired author named Thomas Mann. Mann hears these voices also, and understands what Ray is going through. Reluctantly Mann goes along with Ray. After awhile-old members of the White Sox, who got banned from baseball for life, appear out of the cornfield. They now have a chance to play ball again. Mann ends up going back into the corn with the players in the end. This movie is more than just a movie about a sport. It has many other significant meanings. First of all, this film shows loyalty between Rays wife and him. Most wives would think their husbands were crazy if they told them they heard voices, which were telling them to build a baseball field. Its going to take a ton of money, and also a lot of knowledge on how to go about doing it. It shows how she believed in him when no one else would listen. She stuck by her husband like a wife is supposed to do, and gave him support when needed. I believe a lot of Americans liked seeing that type of commitment between two people, especially in a world where its not as prevalent as it should be. The second point this film shows is how much Ray loves baseball. Baseball has been a major part of American society and culture since the late 1800s. It is known as Americas pastime. Throughout the film it is made very evident of the love Ray displays for the great game of baseball. The amount of mon...

Saturday, October 19, 2019

Articles Assessment Various Medical Care Health And Social Care Essay

E. McDonagh 3, K. Gupta 4, R. Hull 5 D. Barker 6, L. J. Kay 7and H. E. Foster Link: hypertext transfer protocol: //rheumatology.oxfordjournals.org/content/43/8/1045.full.pdf+html A brief sum-up of this article pertains to the appraisal of the musculoskeletal system in kids and how rarely this appraisal was being conducted amp ; documented. The survey showed how less MSK system appraisal was practiced though many of the study trainee baby doctors ( respondents ) recalled being taught how to measure MSK symptoms. They addressed the importance of MSK appraisal and how its consequences help finding other serious unwellnesss in kids such as osteomyelitis A ; leukaemia. Comprehensive history taking A ; joint scrutiny was advised to be taken upon the admittance of a child patient to look into if present unwellness is due to MSK abnormalcies or to a more serious life endangering disease. Furthermore, they have discussed the possibility of overlooking joint A ; locomotor diseases in kids when people measuring kid patients fail to measure MSK instantly ; and stressed that failure to make so may take to late diagnosing A ; late oncoming intervention. How make the constituents of the wellness history guide the appraisal? From the referred article, the importance of wellness history pickings was highlighted in footings of bearing in head the age-dependent fluctuation of normal joint visual aspect. Identifying of import articulation abnormalcies could be aided by proper A ; comprehensive history pickings. Chapter 6: Find a research article turn toing wellness instruction demands for the patient with a dramatis personae. Explain your findings in a one-page paper Article: â€Å" Cast Care † Link: hypertext transfer protocol: //www.enotes.com/nursing-encyclopedia/cast-care This article provides a brief drumhead about the definition, usage, A ; importance of dramatis personae for patients. It has besides some guidelines on the proper attention for patients with cast both for the professionals and patients involved. As a sum-up ; for a patient with a dramatis personae, it is advised for the wellness professionals to guarantee that the injured limbs with the dramatis personae to be secured and kept elevated ( either by a pillow or sling ) . It is besides advised to hold a crutch for the first 24-48 hours for extra support of the dramatis personae and injured limb. For wet dramatis personaes, it is of import to observe that compaction of the dramatis personae should be avoided as it can ensue to unneeded force per unit area and annoyance of the skin underneath, which can furthermore consequence to complications such as ulcers A ; sores. Handling of wet dramatis personaes can be administered by utilizing merely the thenar of the custodies. For patients that have a hip or organic structure dramatis personae, repositioning of the patient every two hours is advised for the first 24 hours ; that is to let the dramatis personae to dry and avoid force per unit area and annoyance every bit good. It is be sides prudent to rede patients that after the application of the dramatis personae he/she may experience that the dramatis personae will foremost experience warm and be cool and moist right after. This is a mark that the dramatis personae is drying. The after attention for patients with a dramatis personae goes with a list of things to retrieve. First of wholly, 1. ) we have to observe that the affected limb with dramatis personae should stay dry. Avoiding the dramatis personae to acquire wet bounds the opportunity of developing annoyance with the tegument. It is suggested that the dramatis personae must be covered with 2 beds of plastic when patients take their bath or showers. 2. ) One method used every bit good in order to diminish hurting and puffiness is to put crushed iced on the dramatis personae every 15mins while the patient is awake during the first 24 hours. It is administered by seting crushed ice on a plastic bag and covers it with a towel or pillow instance. 3. ) It is besides of import that the dramatis personae is secured from dust, soil, sand, or any other atoms that may annoy the tegument of the injured limb. ( Cast boots can be purchased to supply screen for the dramatis personae ) . 4. ) It is besides stresse d that the cushioning for the dramatis personae should be kept integral and patients to forbear the usage of unneeded objects as agencies to rub itchy skin underneath. 5. ) Patients must besides forbear on modifying the dramatis personaes such as frilling or cutting its borders without any doctor ‘s advice. 6. ) Last, patients should ne’er try to take the dramatis personae on their ain. Casts should be inspected on a regular basis and the clip of the remotion of the dramatis personae is merely given amp ; administered by a doctor ‘s advice. It is besides by regular review that we can look into if there are any complications that developed during the application of the dramatis personae. Chapter 7: A. Using the Internet, research literature turn toing direction of osteoporosis. Identify new medicines on the market to handle this disease. Article: â€Å" Management of Osteoporosis † Link: hypertext transfer protocol: //www.sign.ac.uk/guidelines/fulltext/71/section1.html As a basic regulation for direction A ; bar of osteoporosis, it is good suggested that protection to come from proper diet A ; proper Ca consumption. Awareness of our bone wellness is non merely observed through medicine but besides to regular A ; appropriate exercising. In footings of medical direction, osteoporosis is managed depending on different scenarios. It depends on the patient ‘s current medical consequences and on his / her medical history of vertebral breaks. It is besides different between male A ; female patients with osteoporosis. The basic end of osteoporosis intervention is to diminish the frequence of bone break ; with hazard factors including low BMD, age, history of break, and hazard of falling. This can be done through medical process, consumption ( bisphosphonates, raloxifene, calcitonin ) , or therapy ( hormone replacing therapy ) . Diagnosis A ; intervention of patients differs in five state of affairss: Post menopausal adult females holding multiple vertebral breaks ( governing other serious diseases out ) ; Post menopausal adult females holding osteoporosis and history of vertebral break ; Post menopausal adult females holding osteoporosis but without any diagnosing of vertebral break ( presently or in the yesteryear ) ; Aged individuals with hapless wellness and diagnosing of osteoporosis ( holding no history of osteoporotic break ) ; And, work forces with a diagnosing of osteoporosis with or without history of osteoporotic break. Treatment A ; doses of medicative consumption are different depending on these five scenarios. It is with the ordering doctor and the person or patient ‘s consent that determines on how far they can continue in any pharmacological intervention in order to pull off osteoporosis and queer its patterned advance. To minimise hurting, both acute amp ; chronic, use of the WHO Analgesic ladder has been suggested in order to mensurate the degree of analgetic consumption. In footings of new developmental interventions for the said disease, new happening engineerings has come up that non merely can offer curative maps in acute vertebral break but can besides diminish considerable hurting. These interventions are known as vertebroplasty ( shooting bone cement to fractured vertebra ) A ; kyphoplasty ( infixing and blow uping a balloon to fractured vertebra typically before bone cement ) . Both interventions are still undergoing clinical test but as antecedently mentioned, these types of intervention has the immediate aim of minimising hurting and farther end of pull offing osteoporosis. B. Find a research article comparing primary bone tumours to metastatic bone tumours. Sum up in footings of direction. Linkss: hypertext transfer protocol: //en.wikipedia.org/wiki/Bone_tumor hypertext transfer protocol: //www.nlm.nih.gov/medlineplus/ency/article/001230.htm To get down, primary and metastatic bone tumours are merely defined with as bone tumours that either have originated from the bone ( primary ) or have originated from someplace else i.e. chest, lungs, prostate, that has increasingly resulted to cram tumour ( metastatic or secondary ) . The difference chiefly in direction of these two sorts of bone tumours is that, since metastatic bone tumours have originated from a different sort or sorts of malignant neoplastic disease, intervention are with consideration to the patient ‘s original diagnosing of malignant neoplastic disease. Metastatic bone tumour in some manner has merely been an after consequence of the patient ‘s old unwellness. While in primary bone tumour where the original diagnosing has ever been foremost directed to the patient ‘s feeling of relieving hurting coming from the castanetss, the intervention is targeted straight on the said bone disease. Though, it has to be said that in handling primary and metastatic tumours, processs such as radiation therapy, surgery, kyphoplasty or vertebraplasty are all administered. Chapter 8: Research an article turn toing the patient who has undergone an amputation. Explain the patient ‘s rehabilitation and wellness instruction demands. Article: â€Å" Leg Amputation Rehabilitation † Link: hypertext transfer protocol: //www.merckmanuals.com/professional/sec22/ch336/ch336i.html Harmonizing to the article, rehabilitations for a patient that has been amputated starts from fixing the patient both physically and psychologically. Guidance may be required for patients who have undergone amputation in order to fix themselves on the alteration in his or her life. Physical wise, rehabilitation encourages amputees to larn ambulation accomplishments. This is encouraged to be administered shortly as the patient is stable. Ambulation accomplishments train patients who have undergone amputation to better their balance and condition their organic structure given their current state of affairs. It besides teaches them the appropriate usage and care of prosthetic device should they of all time be prescribed to utilize one. They are besides taught on how to decently care for the stump and on how to forestall on doing it hurting, infection, or annoyance by avoiding the stump to acquire badly dry and puting prosthetic device even before the lesion has healed. Last, patients who have undergone amputation are besides advised to take proper attention of their wellness and diet such as keeping good position, eating healthy A ; imbibing tonss of H2O. Articles Assessment Various Medical Care Health And Social Care Essay E. McDonagh 3, K. Gupta 4, R. Hull 5 D. Barker 6, L. J. Kay 7and H. E. Foster Link: hypertext transfer protocol: //rheumatology.oxfordjournals.org/content/43/8/1045.full.pdf+html A brief sum-up of this article pertains to the appraisal of the musculoskeletal system in kids and how rarely this appraisal was being conducted amp ; documented. The survey showed how less MSK system appraisal was practiced though many of the study trainee baby doctors ( respondents ) recalled being taught how to measure MSK symptoms. They addressed the importance of MSK appraisal and how its consequences help finding other serious unwellnesss in kids such as osteomyelitis A ; leukaemia. Comprehensive history taking A ; joint scrutiny was advised to be taken upon the admittance of a child patient to look into if present unwellness is due to MSK abnormalcies or to a more serious life endangering disease. Furthermore, they have discussed the possibility of overlooking joint A ; locomotor diseases in kids when people measuring kid patients fail to measure MSK instantly ; and stressed that failure to make so may take to late diagnosing A ; late oncoming intervention. How make the constituents of the wellness history guide the appraisal? From the referred article, the importance of wellness history pickings was highlighted in footings of bearing in head the age-dependent fluctuation of normal joint visual aspect. Identifying of import articulation abnormalcies could be aided by proper A ; comprehensive history pickings. Chapter 6: Find a research article turn toing wellness instruction demands for the patient with a dramatis personae. Explain your findings in a one-page paper Article: â€Å" Cast Care † Link: hypertext transfer protocol: //www.enotes.com/nursing-encyclopedia/cast-care This article provides a brief drumhead about the definition, usage, A ; importance of dramatis personae for patients. It has besides some guidelines on the proper attention for patients with cast both for the professionals and patients involved. As a sum-up ; for a patient with a dramatis personae, it is advised for the wellness professionals to guarantee that the injured limbs with the dramatis personae to be secured and kept elevated ( either by a pillow or sling ) . It is besides advised to hold a crutch for the first 24-48 hours for extra support of the dramatis personae and injured limb. For wet dramatis personaes, it is of import to observe that compaction of the dramatis personae should be avoided as it can ensue to unneeded force per unit area and annoyance of the skin underneath, which can furthermore consequence to complications such as ulcers A ; sores. Handling of wet dramatis personaes can be administered by utilizing merely the thenar of the custodies. For patients that have a hip or organic structure dramatis personae, repositioning of the patient every two hours is advised for the first 24 hours ; that is to let the dramatis personae to dry and avoid force per unit area and annoyance every bit good. It is be sides prudent to rede patients that after the application of the dramatis personae he/she may experience that the dramatis personae will foremost experience warm and be cool and moist right after. This is a mark that the dramatis personae is drying. The after attention for patients with a dramatis personae goes with a list of things to retrieve. First of wholly, 1. ) we have to observe that the affected limb with dramatis personae should stay dry. Avoiding the dramatis personae to acquire wet bounds the opportunity of developing annoyance with the tegument. It is suggested that the dramatis personae must be covered with 2 beds of plastic when patients take their bath or showers. 2. ) One method used every bit good in order to diminish hurting and puffiness is to put crushed iced on the dramatis personae every 15mins while the patient is awake during the first 24 hours. It is administered by seting crushed ice on a plastic bag and covers it with a towel or pillow instance. 3. ) It is besides of import that the dramatis personae is secured from dust, soil, sand, or any other atoms that may annoy the tegument of the injured limb. ( Cast boots can be purchased to supply screen for the dramatis personae ) . 4. ) It is besides stresse d that the cushioning for the dramatis personae should be kept integral and patients to forbear the usage of unneeded objects as agencies to rub itchy skin underneath. 5. ) Patients must besides forbear on modifying the dramatis personaes such as frilling or cutting its borders without any doctor ‘s advice. 6. ) Last, patients should ne’er try to take the dramatis personae on their ain. Casts should be inspected on a regular basis and the clip of the remotion of the dramatis personae is merely given amp ; administered by a doctor ‘s advice. It is besides by regular review that we can look into if there are any complications that developed during the application of the dramatis personae. Chapter 7: A. Using the Internet, research literature turn toing direction of osteoporosis. Identify new medicines on the market to handle this disease. Article: â€Å" Management of Osteoporosis † Link: hypertext transfer protocol: //www.sign.ac.uk/guidelines/fulltext/71/section1.html As a basic regulation for direction A ; bar of osteoporosis, it is good suggested that protection to come from proper diet A ; proper Ca consumption. Awareness of our bone wellness is non merely observed through medicine but besides to regular A ; appropriate exercising. In footings of medical direction, osteoporosis is managed depending on different scenarios. It depends on the patient ‘s current medical consequences and on his / her medical history of vertebral breaks. It is besides different between male A ; female patients with osteoporosis. The basic end of osteoporosis intervention is to diminish the frequence of bone break ; with hazard factors including low BMD, age, history of break, and hazard of falling. This can be done through medical process, consumption ( bisphosphonates, raloxifene, calcitonin ) , or therapy ( hormone replacing therapy ) . Diagnosis A ; intervention of patients differs in five state of affairss: Post menopausal adult females holding multiple vertebral breaks ( governing other serious diseases out ) ; Post menopausal adult females holding osteoporosis and history of vertebral break ; Post menopausal adult females holding osteoporosis but without any diagnosing of vertebral break ( presently or in the yesteryear ) ; Aged individuals with hapless wellness and diagnosing of osteoporosis ( holding no history of osteoporotic break ) ; And, work forces with a diagnosing of osteoporosis with or without history of osteoporotic break. Treatment A ; doses of medicative consumption are different depending on these five scenarios. It is with the ordering doctor and the person or patient ‘s consent that determines on how far they can continue in any pharmacological intervention in order to pull off osteoporosis and queer its patterned advance. To minimise hurting, both acute amp ; chronic, use of the WHO Analgesic ladder has been suggested in order to mensurate the degree of analgetic consumption. In footings of new developmental interventions for the said disease, new happening engineerings has come up that non merely can offer curative maps in acute vertebral break but can besides diminish considerable hurting. These interventions are known as vertebroplasty ( shooting bone cement to fractured vertebra ) A ; kyphoplasty ( infixing and blow uping a balloon to fractured vertebra typically before bone cement ) . Both interventions are still undergoing clinical test but as antecedently mentioned, these types of intervention has the immediate aim of minimising hurting and farther end of pull offing osteoporosis. B. Find a research article comparing primary bone tumours to metastatic bone tumours. Sum up in footings of direction. Linkss: hypertext transfer protocol: //en.wikipedia.org/wiki/Bone_tumor hypertext transfer protocol: //www.nlm.nih.gov/medlineplus/ency/article/001230.htm To get down, primary and metastatic bone tumours are merely defined with as bone tumours that either have originated from the bone ( primary ) or have originated from someplace else i.e. chest, lungs, prostate, that has increasingly resulted to cram tumour ( metastatic or secondary ) . The difference chiefly in direction of these two sorts of bone tumours is that, since metastatic bone tumours have originated from a different sort or sorts of malignant neoplastic disease, intervention are with consideration to the patient ‘s original diagnosing of malignant neoplastic disease. Metastatic bone tumour in some manner has merely been an after consequence of the patient ‘s old unwellness. While in primary bone tumour where the original diagnosing has ever been foremost directed to the patient ‘s feeling of relieving hurting coming from the castanetss, the intervention is targeted straight on the said bone disease. Though, it has to be said that in handling primary and metastatic tumours, processs such as radiation therapy, surgery, kyphoplasty or vertebraplasty are all administered. Chapter 8: Research an article turn toing the patient who has undergone an amputation. Explain the patient ‘s rehabilitation and wellness instruction demands. Article: â€Å" Leg Amputation Rehabilitation † Link: hypertext transfer protocol: //www.merckmanuals.com/professional/sec22/ch336/ch336i.html Harmonizing to the article, rehabilitations for a patient that has been amputated starts from fixing the patient both physically and psychologically. Guidance may be required for patients who have undergone amputation in order to fix themselves on the alteration in his or her life. Physical wise, rehabilitation encourages amputees to larn ambulation accomplishments. This is encouraged to be administered shortly as the patient is stable. Ambulation accomplishments train patients who have undergone amputation to better their balance and condition their organic structure given their current state of affairs. It besides teaches them the appropriate usage and care of prosthetic device should they of all time be prescribed to utilize one. They are besides taught on how to decently care for the stump and on how to forestall on doing it hurting, infection, or annoyance by avoiding the stump to acquire badly dry and puting prosthetic device even before the lesion has healed. Last, patients who have undergone amputation are besides advised to take proper attention of their wellness and diet such as keeping good position, eating healthy A ; imbibing tonss of H2O.

Friday, October 18, 2019

Develop a framework to summarize the literature in enterprise Essay

Develop a framework to summarize the literature in enterprise architecture - Essay Example This paper introduces three essential domains of the enterprise architecture framework. The domains are: It is oblivious from this definition that Enterprise architecture is not just a group of the component architectures. The interrelationships amongst these architectures and their shared properties are crucial to the enterprise architecture. According to [1], the business architecture describes the basic organization and necessities of the business based on company plan and objectives. It is made of four building blocks business model, process architecture, information architecture and organizational architecture. The business model provides a high level view on the type of the business in terms of goods and services existing in the market, the business partners, the value chain, market channel is used and the combination of property and data for producing value add. The process architecture categorizes and describes all process of the company and their individual value adds. It is the key construction block of the company architecture. The progression architecture is classified in the key business process client relationship management, product life cycle management, supply chain management and the operation and support processes. The application architecture offers a general idea on all applications behind the process of the business with the structure blocks applications, entry and information organization policy, statistics repositories, and EAI Services. The infrastructure or technology architecture is made up of software, hardware and network communications essential for operations of all applications. Infrastructure building blocks are the foundation services, place of work services, storage and server system, and network. Work place services give for presentation and work with facts and for output back up at the work place. They are composed of mobile and permanent

Data wharehousing Essay Example | Topics and Well Written Essays - 2500 words

Data wharehousing - Essay Example This is a concept of OLAP mainly used when it’s being related to data mining. This is possible through pre-aggregation, an aspect of relational databases in that they not only facilitate the creation of tables, but also can manipulate them together with the data they contain. Pre-aggregation in connection with OLAP basically explains how factual information, in this sense data that has been collected can be used to come up with probability estimations used for distribution (Kozielski & Wrembel, 2009). Data mining is a concept that has been confused with OLAP for a while. These two terms, though different have been used synonymously to refer to the other. However, these are two similar but different terms when viewed critically. Data mining is a data knowledge discovery mechanism that aims at identifying, from a pool of data, sets of useful and important data that may have been ignored, classifies the data in relation to the whole set and associates it to its class. This data a nalysis concept focuses mainly on dividing the existing data into small manageable sets, as regards their relationship. On the other hand, OLAP focuses on addition of more data to a pool that is already in existence. This is made possible since OLAP gives data a multi-dimensional approach, creating summaries in different dimensions that are then added up to the original data, making it more comprehensive A general definition associated with OLAP is that which describes it as software put in place to create a platform in which the user interacts easily with a complex database accessed online and is able to prompt the database for a service which n return provides a report in a form understandable to him/her. However, there are many other definitions attached to this concept. It’s amazing that some people even used the full name of the acronym as a definition, but this is entirely questionable since it does not give gist of what the concept is or what it refers to. The most com monly used definitions are listed below (Becker, 2002). First, there is what we can call the popular definition. It’s a precise and interesting definition of OLAP as set of many spreadsheets in a package. This is just but a typical meaning, mainly used to people who have little or no knowledge in information technology. Its true OLAP is used in spreadsheets to enhance the view of data, but it’s certainly not a set or group of spreadsheets. Secondly, OLAP has been popularly defined as a report given or presented with some extra information attached to it. This is adopted from the way OLAP works, by presenting data from different dimensions with diverse interpretations. In this case, OLAP allows the database users to scan through different perspectives of an issue. Lastly, there is the technical definition attached to OLAP. It describes on-line analytical processing as enhanced, friendly browsing of similar, multidimensional data. When a user prompts a query to the softw are, it may take up to less than a minute to give an output, hence its attribution as a fast software. It also does this in levels with a set of new data for each level. MegaSave uses data marts, tools used in presenting data and facts in multi-dimensions. The best definition, therefore, for such a scenario is the last one. This is so because so far,

Laws and Codes in Hebrew and Mesopotamia Essay Example | Topics and Well Written Essays - 1000 words

Laws and Codes in Hebrew and Mesopotamia - Essay Example They had followed these laws for many years to dictate their way of life including marriage, children, worship, and family values among others. It is through these doctrines that the understanding to their concerns and values is derived1. Concerns of Hebrews and Mesopotamians The Hebrews and Mesopotamians concerns and apprehensions are based on their law codes from ancient times. In this respect, these cultures believed that disobeying the laws of the Lord would result to punishment. According to the First Book of Moses, called Genesis2it is written that from the start Adam and Eve were punished by God for eating fruit from the forbidden tree. This clarifies that disobedience of God’s laws and commands has serious repercussions to the society. Further, the book cites that the Hebrews and Mesopotamians were expected to live a life without sin. Sins and wickedness caused the people to lose favor with God just as it is written about the time of Noah. The people in the era of Noah sinned greatly against God and he had to destroy the entire world. Noah and his family together with the animals in the world were saved because he was the only person devoid of sin3. God’s curse was a concern for the Hebrews because it meant that the person would have to die. The laws and codes of the Hebrews declared that God would place a curse against people who wronged prophets ordained by God. They were expected to listen to the words of God’s messengers else, they had to suffer the curse. For instance, the First Book of Moses, called Genesis speaks of king Pharaoh who stole the wife of Abraham and God sent a curse inform of plague into his household. The Hebrews and Mesopotamians were also concerned about the worship ofidol gods. God had forbidden the worship of idols and required all the people to worship him alone. In the same manner, they had to deter from mentioning the name of God in vain since it is a way of ignorance of his words. This requires people to worship the Lord but not joke in his name for punishment would be placed upon them. These ancient communities were not expected to kill, steal, or commit acts of adultery within the society. Such grave sins were punishable through death and God’s anger would be upon those that disobeyed his commands. In addition, the Hebrew and Mesopotamian people were expected to respect each other and not steal each other house or wives. It was clear that any person that hit or disrespected the parents were to be put to death without any mercy4. The Values of ancient Hebrews and Mesopotamians The ancient Hebrews and Mesopotamians were people who worshipped God without ceasing. They did the worship through prayers, tithing, and thanksgiving festivals, which were conducted as often as possible. Through the book of Genesis, the Hebrews and Mesopotamians worked the entire week but on the seventh day, it was a day to rest and focused on worshipping the Lord. They cleansed their bodies by washin g their clothes and further, entered the temple to worship God. The altar was placed in the God’s temple as a place where they gave their offerings and sacrifices to the Almighty God. Through these offerings, the people received God mercy and blessing in their lives. For instance, the Book of Genesis speaks of Abraham, Isaac, and Jacob who offered sacrifices, worshipped God, and in return received abundant blessings for them and their descendants5. The Hebrews and Mesopotamians established a covenant with God to remain true to his will. In this respect, they believed God as the sole provider, protector, and giver of life whom they depended entirely. A covenant was made between God and Israelites to circumcise their male children eight days after birth. This was to show that they belonged to God

Thursday, October 17, 2019

Changes and trends in the external market for Crown Hotel and Casino Assignment

Changes and trends in the external market for Crown Hotel and Casino - Assignment Example re process of formulating a workable strategic management plan for understanding changes and trends in the external market and how to address challenges that may arise. Over the past, the Casino and Hotel industry has grown in spite of competition from other companies and online gambling sites. Income is estimated to increase by rough a compound annual 2.8% over the last five years through 2014-2015. A greater per capita betting outflow has been instrumental in terms of financial performance, with customersindicating high demand for more gaming services. Additionally, the increase in discretionary income levels has further played an essential role for revenue growth. This is attributed to its customers having spent more money on non-essential services such as casino gambling services. Political factors play an essential role as companies such as the Crown Hotel and Casino strive to gain competitive advantage in the present intricate market. Government policies remain a major challenge for Crown since government decisions affect the daily running of business at Crown. These policies attempt to control how Crown should carry out its gambling services to a diverse range of consumers from different countries. For instance the government of China has been against excessive gambling and limiting gambling opportunities for Chinese citizens in their own country may prompt them to venture into gambling in other parts of the world such as Australia thus an increase in Crown Hotel and Casino business owing to its prestige and big image. In many organizations, political factor licensing plays a significant role in determining the success of Crown. According to Business review weekly: BRW, Casino is believed to raise 18% of Australia’s $19 billion from gambling industr y alone (2001, p 2). However, it is essential to highlight on how they are run and regulated. In this regard, Crown Casino has gone under the radar since it focuses on gambling in pubs and clubs. It raises

The moral diversity argument for nonobjectivism Essay

The moral diversity argument for nonobjectivism - Essay Example Different cultures and religions look at moral principles differently, based on their culture’s understanding of them. With this, it can be assumed that moral diversity is the differences in interpretation of morality. It does not mean though that these diverse principles would always be in contrast with each other. Some may actually be in support with each other. A particular moral diversity argument is the argument for non-objectivism, wherein non-objectivists claim that moral claims are relative and dependent on the beliefs of an individual or group. This is in contrast to a moral objectivist’s point of view wherein the truth and morality is independent of anyone’s judgment. Non-objectivism emphasizes the diversity between the belief systems of different cultures. Non-objectivism views moral diversity as real and possible since individuals and groups view moral principles and objectives differently. One truth can be the others false, depending on what culture is talking about it. Non-objectivism is concerned about particular views and dispositions of individuals rather than an absolute truth. It sees truth and morals as relative and subjective. Thus, moral diversity is in sync with the principles of non-objectivism. In contrast, objectivism views truth as absolute. There is only one truth, much like one teaching, similar as how Christianity’s Jesus teaches, that there is only One God. Moral objectivists see moral principles as independent of an individual or group’s interpretation of it. The truth and moral principles are right or wrong regardless of the belief of the person.

Wednesday, October 16, 2019

Laws and Codes in Hebrew and Mesopotamia Essay Example | Topics and Well Written Essays - 1000 words

Laws and Codes in Hebrew and Mesopotamia - Essay Example They had followed these laws for many years to dictate their way of life including marriage, children, worship, and family values among others. It is through these doctrines that the understanding to their concerns and values is derived1. Concerns of Hebrews and Mesopotamians The Hebrews and Mesopotamians concerns and apprehensions are based on their law codes from ancient times. In this respect, these cultures believed that disobeying the laws of the Lord would result to punishment. According to the First Book of Moses, called Genesis2it is written that from the start Adam and Eve were punished by God for eating fruit from the forbidden tree. This clarifies that disobedience of God’s laws and commands has serious repercussions to the society. Further, the book cites that the Hebrews and Mesopotamians were expected to live a life without sin. Sins and wickedness caused the people to lose favor with God just as it is written about the time of Noah. The people in the era of Noah sinned greatly against God and he had to destroy the entire world. Noah and his family together with the animals in the world were saved because he was the only person devoid of sin3. God’s curse was a concern for the Hebrews because it meant that the person would have to die. The laws and codes of the Hebrews declared that God would place a curse against people who wronged prophets ordained by God. They were expected to listen to the words of God’s messengers else, they had to suffer the curse. For instance, the First Book of Moses, called Genesis speaks of king Pharaoh who stole the wife of Abraham and God sent a curse inform of plague into his household. The Hebrews and Mesopotamians were also concerned about the worship ofidol gods. God had forbidden the worship of idols and required all the people to worship him alone. In the same manner, they had to deter from mentioning the name of God in vain since it is a way of ignorance of his words. This requires people to worship the Lord but not joke in his name for punishment would be placed upon them. These ancient communities were not expected to kill, steal, or commit acts of adultery within the society. Such grave sins were punishable through death and God’s anger would be upon those that disobeyed his commands. In addition, the Hebrew and Mesopotamian people were expected to respect each other and not steal each other house or wives. It was clear that any person that hit or disrespected the parents were to be put to death without any mercy4. The Values of ancient Hebrews and Mesopotamians The ancient Hebrews and Mesopotamians were people who worshipped God without ceasing. They did the worship through prayers, tithing, and thanksgiving festivals, which were conducted as often as possible. Through the book of Genesis, the Hebrews and Mesopotamians worked the entire week but on the seventh day, it was a day to rest and focused on worshipping the Lord. They cleansed their bodies by washin g their clothes and further, entered the temple to worship God. The altar was placed in the God’s temple as a place where they gave their offerings and sacrifices to the Almighty God. Through these offerings, the people received God mercy and blessing in their lives. For instance, the Book of Genesis speaks of Abraham, Isaac, and Jacob who offered sacrifices, worshipped God, and in return received abundant blessings for them and their descendants5. The Hebrews and Mesopotamians established a covenant with God to remain true to his will. In this respect, they believed God as the sole provider, protector, and giver of life whom they depended entirely. A covenant was made between God and Israelites to circumcise their male children eight days after birth. This was to show that they belonged to God

The moral diversity argument for nonobjectivism Essay

The moral diversity argument for nonobjectivism - Essay Example Different cultures and religions look at moral principles differently, based on their culture’s understanding of them. With this, it can be assumed that moral diversity is the differences in interpretation of morality. It does not mean though that these diverse principles would always be in contrast with each other. Some may actually be in support with each other. A particular moral diversity argument is the argument for non-objectivism, wherein non-objectivists claim that moral claims are relative and dependent on the beliefs of an individual or group. This is in contrast to a moral objectivist’s point of view wherein the truth and morality is independent of anyone’s judgment. Non-objectivism emphasizes the diversity between the belief systems of different cultures. Non-objectivism views moral diversity as real and possible since individuals and groups view moral principles and objectives differently. One truth can be the others false, depending on what culture is talking about it. Non-objectivism is concerned about particular views and dispositions of individuals rather than an absolute truth. It sees truth and morals as relative and subjective. Thus, moral diversity is in sync with the principles of non-objectivism. In contrast, objectivism views truth as absolute. There is only one truth, much like one teaching, similar as how Christianity’s Jesus teaches, that there is only One God. Moral objectivists see moral principles as independent of an individual or group’s interpretation of it. The truth and moral principles are right or wrong regardless of the belief of the person.

Tuesday, October 15, 2019

Rate of reaction Essay Example for Free

Rate of reaction Essay Apart from these few improvements I think the equipment and the method I used was an appropriate way of investigating how concentration effects the rate of reaction on an enzyme. A variable that I could try for an extra experiment is temperature. I could try increasing the temperature of the catalase to see if increasing the temperature has the same effect on an enzyme as it does with concentration. This would help me to see which variable, temperature or concentration has a greater effect on the volume of oxygen produced from the reaction of an enzyme. I am going to work out the rate of reaction from the average value of each of the concentrations of hydrogen peroxide. I will work out the rate of reaction for every 10 second from the average values by using my graphs. Reaction Rate for the concentration of   Reaction Rate for the concentration of 6%  cm3/s From looking at these calculations I can say that for all the concentrations of hydrogen peroxide the reaction rate was fastest at the start of the reaction. During the reaction the rate decreased and eventually the reaction stopped. I can explain this by using the lock and key model. This occurs because the catalase is breaking the particles of the hydrogen peroxide to form into oxygen. This causes the hydrogen peroxide to get used up as the catalyst can alter the rate of reaction without getting used up. This then leaves the catalase to react with no substance. Data Logging Data logging is another experiment I did to extend my experiment. I looked at the enzyme activity experiment in a different way. This time I used the same quantity of catalase and hydrogen peroxide but instead of measuring the volume of oxygen produced, I found out the temperature increase for each of the different concentrations of hydrogen peroxide. Method 1. Collect all equipment and set the experiment up 2. Wear safety glasses as you are using chemicals 3. Pour 25cm3 of each concentration of hydrogen peroxide into a measuring cylinder 4. Pour each concentration of hydrogen peroxide into three different polystyrene cups 5. Measure 1mm of catalase into three different syringes 6. Make sure that the end of the probe is touching the bottom of the cup and that the hydrogen peroxide is completely covering it 7. Inject all three of the catalase at the same time into each polystyrene cup 8. At the same time start the computer as you inject the catalase, to start of the measurement of the temperature, of the hydrogen peroxide 9. Watch how the computer measures the temperature for 2minutes as it transfers all the information into a graph 10. Stop the graph at 2 minutes and print out the results Conclusion From my results I can see that the 6% concentration of hydrogen peroxide has given of the highest temperature. This is because the concentration of 6% has many particles of hydrogen peroxide which will have a greater chance of colliding with the catalase. The concentration of 1. 5% and 3% has given of less heat causing a lower temperature. This is because they have less particles of hydrogen peroxide to collide with the enzymes. This result can be explained by the kinetic and collision theory. The increase in heat gave an increase in the kinetic energy. This means that there would be more collision between the hydrogen peroxide particles and the catalase, which would lead to a better chance of collision being successful. This experiment is related to my first experiment as the increase in concentration gave off more oxygen which gave us an increase in temperature. I found out that the 6% concentration gave of the most oxygen which causes a rise in temperature and the 1. 5% gave of the least oxygen causing a lower temperature. The 6% also gave off the most oxygen in the shortest time whereas the 1. 5% concentration gave off the least oxygen in the longest time. From looking at my graph I can see that the 6% concentration had the steepest slope which if I relate back to my rates of reaction theory. I can say that the steeper the slope the faster the reaction. The 1. 5% concentration had the smallest gradient which means it had the slowest rate of reaction. Overall this proves my original prediction, that the 6% concentration of hydrogen peroxide has the fastest rate of reaction and the 1. 5% concentration has the slowest. Reaction Rates During a reaction, reactants are being used up and products are forming. The reaction rate tells us how fast the reaction is taking place. You can calculate the reaction rate by measuring how much reactant is used up or how much product forms in a given time. Reaction rate = change in amount of a substance time taken The reaction rate can also be calculated by using a graph. The slope of the graph tells us how quickly the reaction is happening. The steeper the slope, the faster the reaction Results from the Trial Experiment Time (s) Volume of O2 evolved (cm3) 1. 5% Volume of O2 evolved (cm3) 3% Volume of O2 evolved (cm3) 6% Average I did a trial experiment to help me understand the experiment. The trial experiment showed me how quickly each concentration of hydrogen peroxide produced the amount of oxygen gas in one minute. I also learnt that slow pressure is needed with the small gas syringe because too much pressure causes the catalase to spill out. Results from the concentration of 1. 5% Time(s) oxygen evolved (cm3)oxygen evolved (cm3) oxygen evolved (cm3) oxygen evolved (cm3) oxygen evolved (cm3) oxygen evolved (cm3) average. I am going to use columns 5,6 and 7 for my average because these columns have the nearest results to each other and the range of results are realistic. Results from the concentration of 3% Time(s) oxygen evolved (cm3) oxygen evolved (cm3) oxygen evolved (cm3) oxygen evolved (cm3) oxygen evolved (cm3) average 1 I will be using columns 4,5 and 6 for my average because these columns have the nearest results to each other and the range of results are realistic. Results from the concentration of 6% Time(s) oxygen evolved (cm3) oxygen evolved (cm3) oxygen evolved (cm3) oxygen evolved (cm3) average. I will use column 2,3 and 4 for my average because these columns have the nearest results to each other and the range of results are realistic. Time (s) Temperature (oC) 1. 5% Temperature (oC) 3% Temperature Show preview only The above preview is unformatted text This student written piece of work is one of many that can be found in our GCSE Patterns of Behaviour section.

Monday, October 14, 2019

Emily Dickinsons And John Keats Poetry Death English Literature Essay

Emily Dickinsons And John Keats Poetry Death English Literature Essay Death is an unavoidable part of life; and it is true that everyone is well aware of the fact that the circle of life includes both a beginning and an ending. Emily Dickinson and John Keats accept the fact that death goes hand and hand with life, and write about it in their poetry as their own way of dealing with it. While both use death in their poetry they use it in different ways. For Dickinson, both her poems, I like a look of Agony and Split the Lark and youll find the Music, show how death is a way to find the truth of a person. However, for Keats, in his poem Ode to a Nightingale death is feared but also seems to be the better option, compared to the suffering and pain life seems to bring. Both poets use their works to express their feelings and views of death. During the Civil War, Emily and her family, were especially affected because friends of the family were often killed in battle. Death of close friends was a significant feature of Emilys life; many close to her were taken away. This consequently heightened her interest, fascination and perhaps fear of death, which appeared in so much of her poetry, including I like a look of Agony and Split the Lark and youll gind the Music (Tandon 123). Death, the final experience one has, is for Dickinson the best benchmark; it reveals the ultimate truth or reality. In her poems I like a look of Agony and Split the Lark and youll find the Music, Dickinson shows the reader how the real truth of a person is found and seen in death. Here she is wishing pain on another, watching them in anguish in the final moments of life leading to death, doing so just so she can trust them. It is impossible to pretend or fake, so she finds out the real truth through the agony of the dying person. Dickinson turns the agony of death into a positive, because it is one of the few things that an observer can see and trust; to her it is a rare moment of undoubted truth. The detailed specifics of this poem make it clear that she has watched someone in agony, and by her own admission, has enjoyed it, which makes the poem even more disturbing. She doesnt just need tears of agony to trust someone, she wants a Convulsion, a Throe, glazed over eyes, Beads upon the Forehead. These are all symbols of the worst kind of pain, a pain that ends in death. This just goes to show how much Dickinson values the truth. The awful details of the ending of a life are to her valuable details because they are the proof that what she sees, hears and feels are real and true. This truth is a connection for her and the person dying because she can trust them fully, in most ways that she cannot trust others. The second poem by Dickinson, Split the Lark and youll find the Music has much of the same meaning of death. In this poem, the death of the lark reveals the truth, that the bird is in fact capable of sound and music. But the death of the bird comes with a price, after you have found the truth, that it is in fact capable of music, it is dead and can never sing again. Here Dickinson questions whether finding the absolute truth is worth the price of death. She begins the poem in the first stanza by explaining to the reader: By split the lark Dickinson means just that by cutting the lark open, you will easily find the bits and pieces that make the music bulb after bulb. She goes onto say, that if you want to make absolutely certain that it is true you can dissect it. Her description of the scarlet experiment and the gush after gush is the blood of the bird from being dissected and pulled apart. In the last stanza Dickinson also addresses one who, like Thomas, lacks belief and faith in what is true. Thomas in the Bible refused to believe that Christ had risen, that he lived, he lacked the faith in what was true, just like person killing the Lark. In both of Dickinsons poems, death is used to find the ultimate and final truth, something, which to her seems vitally important. John Keats views death differently in his poem Ode to a Nightingale. While Dickinson views death as a way to find truth, Keats fears death and wishes to live vicariously through the nightingale, who is, in his opinion, immortal. If he cannot live as a happy nightingale, Keats claims during the poem that he would like to die listening to the song of the nightingale and escaping the pain of life. Keats explains the pains of life to the nightingale in the third stanza saying: Surrounded by the nightingales song, the speaker thinks that the idea of death seems richer than ever, and he longs to die in the night with no pain while the nightingale pours its soul joyfully out. If he were to die, he explains that the nightingale would continue to sing, but he would have ears in vain and no longer be able to hear. Keats explains that the nightingale was . . .not born for death . . . but is an immortal bird and the reader can sense how he longs to be like the bird, happy in no pain and in no fear of death. Both poets use death in different ways to cope with their own understanding, interest, fascination and fear of it. They invite the reader in to see what death means to them and how they see it should be viewed. While Emily Dickinson views death as a way to find the truth about something or someone, Keats sees death as a fearful event but also a freeing one, which releases a person from the pain and suffering of life. While they are different in the way the use death in their poems, as well as, how the view death, they are both effective in conveying their feelings and emotions on the subject to the reader.

Sunday, October 13, 2019

Expansionism in the late 19th/ Early 20th century :: American America History

Expansionism in the late 19th/ Early 20th century Expansionism in America during the late nineteenth and early twentieth century shared many similarities and differences to that of previous American expansionist ideals. In both cases of American expansionism, the Americans believed that we must expand our borders in order to keep the country running upright. Also, the Americans believed that the United States was the strongest of nations, and that they could take any land they pleased. This is shown in the "manifest destiny" of the 1840's and the "Darwinism" of the late 1800's and early 1900's. Apart from the similarities, there were also several differences that included the American attempt to stretch their empire across the seas and into other parts of the world. Throughout history, the United States had come off as a stubborn nation that would take what they wanted at any cost. This was prevalent in both cases of expansion as the Americans risked war and national safety for the sake of gaining land, or even merely for proving a point. During the early years of expansion, the Americans had pushed aside the Native Americans and whoever else inhabited the land they wanted. They believed that the land was rightfully theirs and that every one else was merely squatting on their territory. This idea was continued into the early twentieth century as the Americans looked to the oceans for new territories to their kingdom. This idea is greatly exemplified in document 'E', in which Senator Albert J. Beveridge delivers a speech to Congress, saying that, "...and thanksgiving to Almighty God that He has marked us as His chosen people, henceforth to lead in the regeneration of the world..." In contrary to America's earlier beliefs, however, the race for expansion became more of a global competition than that of controlling the surrounding lands. Other countries were quickly scooping the remaining uncontrolled territories up, and America felt that they needed to stake their clam in imperialism around the world. The cartoon presented in document "A" shows how all the European countries were picking away at the lands still open for taking. In addition to the sense of "catching up" with the other nations around the world. America also felt that they were more powerful than ever, with the addition of an improving navy, turning their attention to the seas for conquer. During the earlier attempts of expansion, America had virtually no navy, which made oversea conquest out of their reach, leaving them only the surrounding areas for taking. Expansionism in the late 19th/ Early 20th century :: American America History Expansionism in the late 19th/ Early 20th century Expansionism in America during the late nineteenth and early twentieth century shared many similarities and differences to that of previous American expansionist ideals. In both cases of American expansionism, the Americans believed that we must expand our borders in order to keep the country running upright. Also, the Americans believed that the United States was the strongest of nations, and that they could take any land they pleased. This is shown in the "manifest destiny" of the 1840's and the "Darwinism" of the late 1800's and early 1900's. Apart from the similarities, there were also several differences that included the American attempt to stretch their empire across the seas and into other parts of the world. Throughout history, the United States had come off as a stubborn nation that would take what they wanted at any cost. This was prevalent in both cases of expansion as the Americans risked war and national safety for the sake of gaining land, or even merely for proving a point. During the early years of expansion, the Americans had pushed aside the Native Americans and whoever else inhabited the land they wanted. They believed that the land was rightfully theirs and that every one else was merely squatting on their territory. This idea was continued into the early twentieth century as the Americans looked to the oceans for new territories to their kingdom. This idea is greatly exemplified in document 'E', in which Senator Albert J. Beveridge delivers a speech to Congress, saying that, "...and thanksgiving to Almighty God that He has marked us as His chosen people, henceforth to lead in the regeneration of the world..." In contrary to America's earlier beliefs, however, the race for expansion became more of a global competition than that of controlling the surrounding lands. Other countries were quickly scooping the remaining uncontrolled territories up, and America felt that they needed to stake their clam in imperialism around the world. The cartoon presented in document "A" shows how all the European countries were picking away at the lands still open for taking. In addition to the sense of "catching up" with the other nations around the world. America also felt that they were more powerful than ever, with the addition of an improving navy, turning their attention to the seas for conquer. During the earlier attempts of expansion, America had virtually no navy, which made oversea conquest out of their reach, leaving them only the surrounding areas for taking.

Saturday, October 12, 2019

Physics of Hydraulics :: physics hydraulics

Missing Figures/Equations History The type of physics that I will be presenting is a branch of Fluid Mechanics. Fluid mechanics studies the physics of gases and liquids. Hydraulics is defined as: "a branch of science that deals with practical applications of liquid in motion." Merriam-Webster's Medical Dictionary, via www.dictionary.com The science started over thousands of years ago with Aristotle (384-322 B.C.) and Archimedes (287-212 B.C.). Many European scientists also contributed to hydraulics, including da Vinci, Mariotte and Boyle. The scientist who discovered the main principle I will be talking about is Pascal. A French scientist who studied math and physics. His work included studying atmospheric pressure, conic sections and the principles of hydrostatics. After Pascal there is Bernoilli, Franklin and Froud, who all also contributed to the science of hydraulics. How it works (the physics part) The basic rule of using hydraulic power is Pascal's Principle. Pascal's Principle: pressure exerted on a fluid is distributed equally throughout the fluid. Hydraulics uses incompresible liquids so the applied pressure from one end (small arrow) is equal to the desired pressure on the other end (big arrow). The big arrow is pointing toward a piston that is free to move, and is sometimes connected to a rod. When the force is applied, the piston moves up or down. The equations are: equations Of course, as Prof. Newman says, "there is no free lunch," In order to move the larger area, the smaller area has to move a lot in order to move the larger area a little. The larger area is nine times greater than the smaller area. In order to move the larger piston one inch, the smaller piston has to move nine inches. The Uses of Hydraulics Hydraulics are used in many ways. Most of them are used everyday and not even thought about. Here are some examples of how hydraulics are used. They are all machines (I'm a mechanical engineer!) Car Brakes Car brakes work when you push the brake pedal, it pushes the small piston. The piston applies pressure on the brake fluid, which press the brake pads on the large pistons. The brake pads come into contact with the brake drum and slows the car down, eventually stopping the car. Airplanes Airplanes and jet planes use hydraulics in many places. * Adjusting wings * Putting out/bringing in landing gear * opening/closing doors Real Life Hydraulics Unfortunately applying hydraulics in real life isn't so simple. There are a few things to consider if you are planning on designing and building hydraulic equipment.

Friday, October 11, 2019

Case Study: Swatch and the Global Watch Industry Essay

Introduction The Swatch Group had many early on successes due to repositioning strategies and a boost from acquisitions. On the surface, the Swatch Group was the world’s leading manufacturer of watches in the late 1990’s. They had 14 percent of the world market share and it appeared that gross sales and net profits were on the rise; however, under the covers, it was a much different story. Swatch was facing a myriad of issues that needed to be resolved in order for success to prevail. Management issues were plaguing Swatch; multiple key figures stepped down from the board in the mid 1990’s citing the CEO’s inability to listen to his staff. In addition to the management issues, Swatch was also facing fierce competition in many market spaces, including the largest consumer base space, the United States. In addition to lack of market penetration in the United States, Swatch had too many products, which equally distracted buyers and sellers. Lastly, manufacturing costs continued to soar in Switzerland, the Swatch Group’s home base. Other competitors were quickly cutting their costs by moving manufacturing overseas. The Swatch Group was at a crossroad; the strategy that had worked so well in the early 1990’s was no longer viable – the question now was what to do about it? Management Issues and Potential Resolutions Although Swatch faced many issues, internal dissension can be the quickest death of a company. Hayek needs to ensure the people chosen to replace the board member’s who stepped down are able to handle his leadership style. Equally as important as selecting a high-performing executive team, Hayek need’s to realize that traditional organizational principles of functional hierarchies will inevitably lead to rifts in management. This is a social issue that Hayek needs to address. If ex-board members continue to bad mouth Swatch it could have an impact on sales. To address this issue, Hayek needs to improve his leadership style and management model to actively involve his staff. As an employee, even an executive employee, being flat out told what you have to do all the time is often the ingredient for an unhealthy work environment, especially when trying to implement change. However, when  employees are involved in making a decision it is often easier to put into action th e decision that was made. There is sometimes a higher acceptance of the decision when it comes from the ground up and there is a higher probability that the decision will be executed efficiently. The outcome of such a change will inevitably be positive. When Hayek has more then one person getting together trying to solve a problem, he will have an increased chance at a better solution then if he were trying to solve it himself. The employees bring a lot to the meeting room with them. For instance, they may have â€Å"inside information† about why production is faltering. By creating a high-performing executive team that works as a cohesive unit versus â€Å"he has to be the big boss alone, and can never share opinions† unit, the Swatch Group should begin to see an improvement in the softer issues, such as employee satisfaction, higher executive employee retention, and a more open communication model. Competitive and Product Mix Issues and Potential Resolutions The Swatch group as a whole had an unparalleled ability to provide consumers with a wide range of products in all market segments. They could provide hi-tech watches that functioned as ski passes, fashion watches such as the Swatch, or an exquisite diamond studded precious metal watch – Swatch provided products at all extremes. However, certain product lines were more successful then others. The Swatch watch in particular was struggling to gain market share in the United States and elsewhere for several reasons including fickle consumer behavior and a product line that was daunting to consumers and resellers. The Swatch product was quickly loosing its competitive edge against other players such as Fossil, Guess, Timex and Seiko. Resellers were dropping like flies and consumers felt like Swatch had saturated the market with too many products. Worse of all, consumer perception was that Swatch was a fad. Swift decisions need to be made to reverse this before the brand becomes part of a MTV or VH1 â€Å"I love the 90’s† television show. Luckily, most of the decisions to be made regarding product mix have very little impact socially and ethically. Omega (part of the Swatch Group portfolio of brands), was facing a similar demise in the early 1990’s and successfully repositioned itself and became a major profit driver for the group. It achieved this by carefully selecting its marketing programs and drastically trimming its product line from 2,500 to 130. This strategy needs to be applied to Swatch, which focuses on the basic and middle-priced market. This is supported by the fact that the number of resellers dropped from 3,000 in the early 1990’s to 1,200 in 1998. Swatch needs to apply a SWOT analysis and determine which product lines are successful in this market space and drop the remaining products. In addition, the Swatch Group needs to look at their consumer base and determine if it would be profitable to launch a new product line that captures past consumers who have now progressed to the next stage of their lives and are desiring a more expensive and sophisticated watch. A marketing campaign needs to be chosen that helps attract new consumers in the basic and middle price market focusing on the smaller number of brands and a separate campaign should be created that focuses on keeping their existing customer base. These campaigns should be replicated to other countries to ensure the Swatch brand remains visible. Neither of these resolutions will be easy to implement; however, if done successfully Swatch will decrease their production costs because there are fewer product lines and increase their sales based on marketing campaigns to two separate groups: new customers and existing customers. Manufacturing Issues and Potential Resolutions Driven by high demand, offshore manufacturing centers are appearing throughout the world. Many of the Swatch Group’s competitors have switched their manufacturing to centers overseas and decreased their fixed costs, which resulted in an increase in profit. The Swatch Group had always remained committed to its home base, partly because their home base possessed centuries of expertise in watch making and partly because a timepiece cannot be stamped with â€Å"Swiss Made† unless at least 50% of Swiss manufactured products by value are present in the  timepiece. Although the mix of factors raising the possibility of outsourcing varies from company to company, there are a few themes that the Swatch Group needs to explore regarding the pressures to outsource. The Swatch Group needs to recognize that general concerns regarding cost and quality are the main drivers for outsourcing. In addition, outsourcing can turn a fixed cost into a variable cost, which will significantly help a company with varying volumes. Although most businesses can benefit hugely through outsourcing or manufacturing in another country, the Swatch Group needs to determine if it will be successful and profitable for them. Outsourcing a portion of their value chain is not a quick-fix response to production costs or performance lags. Additionally, the choices for outsourcing locations are many, they are not all equal, differing in several critical areas. Selecting the right option requires balancing factors such as cultural affinity, geopolitical risk, cost, and resource availability. To help narrow their focus in their analysis, initially, the Swatch Group should look to India for their outsource location. India has a large talent pool of skilled, experienced watch workers. These workers have hands-on experience supporting Titan industries. Titan is continuing to grow as a company and the pace of resource expansion is dramatically improving in keeping up with current as well as future technologies. Additionally, the Swatch Group should center their outsourcing attention to the assembly portion of the value added chain. This will ensure that 50% of the manufactured parts are still completed in Switzerland. The design, marketing, and most of manufacturing of the watches still remain where the expertise is located. The assembly of a watch is an extremely repeatable and easily controllable task, which will increase the success for outsourcing. Outsourcing assembly to India will have many positive effects for the Swatch Group. Cost reduction remains the primary objective of outsourcing; the Swatch Group will have the ability to provide a good at a lower cost and should be able to make the assembly cost more predictable and controlled. Ethically and socially, outsourcing has a caused many individuals and  increase in job insecurity. Lower labor standards in other countries are forcing many companies to outsource much of their manufacturing. This is especially unsettling for individuals who lack the skills to make themselves difficult to replace, such as in manufacturing. If the Swatch Group decides to outsource assembly, there will be no easy way to redeploy the assembly workers. They can setup a redeployment pool for those resources and try to redeploy them elsewhere in the company. However, if this is not possible, a business decision will have to be made to lay those workers off. The utmost sensitivity will be required as it is possible that generations of families have worked for the Swatch Group. The Swatch Group will need to carefully balance the outsourcing cost reduction possibilities with the social ramifications that may exist. Conclusion There are many issues facing the Swatch Group and there is no right way to solve any of the issues. Each issue comes laden with ethical and social consequences that will also impact the company. The Swatch Group will need to take steps to ensure that international integration does not cause domestic social disintegration. Regardless of how the issues are resolve, the greatest challenge is going to be finding the right balance between markets and societies. References Swatch and the Global Watch Industry