Wednesday, October 30, 2019

Study the topic of Moses and the horns and its relationship to the Essay

Study the topic of Moses and the horns and its relationship to the Alexander Romance and Dhul-Qarnayn - Essay Example When Moses came down from Mount Sinai with the two tablets in his hand, as he came down from the mountain Moses did not know that the skin of his face shone because he had been talking with God. Aaron and all the people of Israel saw Moses and beheld the skin of his face shone and they were afraid to come near him. But Moses called to them and Aaron and all the leaders of the congregation returned to him and Moses talked with them. And when Moses finished speaking with them he put a veil over his face. Whenever Moses went in before the LORD to speak with him he would remove the veil .And when he came out and told the people of Israel what was commanded, the people of Israel would see the face of Moses that the skin of Moses was shining. However, E. Suhr2 argues that the scribe who transcribed the passage using the secondary meaning may actually have done so advisedly and that scholars should not assume that a mistake of such proportions could have been made by a man who was an educated monk. The word in question was used three times in the description of Moses' transfiguration; would not the scribe have been aware of the consequences of such a change to the meaning of the passage He goes on to give us examples of the use of the adjective (horned) being applied to other messianic figures in religious history and literature. These figures had all performed heroic tasks and were saviours of their people. Horns therefore appear to have had, at one period, attributes of divinity and purity; a meaning that is diametrically opposed to our present day conception of them as being satanic. Eloise Hart3 also confirms this. In her essay she states that being horned was a symbol of being in intimate communion with the divine, that it signified neophytes who had passed a grueling test of faith. Certainly, there are references to horns and gods dating all the way to Sumerian times: the god Janus was portrayed with two heads and early Sumerian kings often took on the role of king-god; they were the pivot on which every facet of the kingdom turned.. The seals of Akkad depict the king as wearing horned crowns, symbolic perhaps of the close association of the ruler with divinity4. Some Akkadian seals also portray sacrificial bulls being brought to their knees by their horns; There was evidently power in the horns since the sacrificial bull is almost invariably shown held by a horn in the same manner.5 There are also references to horns and divinity in many ancient religions, including Celtics and Sumerian and early Egyptian. Dionysus was also known as the horned god ; Apis the Bull God for example is portrayed with the sun disk of divinity between its horns.6 The merging of the two meanings is clear here. The unicorn is also associated with Christ. Suhr contends though that the passage may not refer to horns in the literal sense; when both meanings are taken together, it can be interpreted to signify that the quality of Moses' face had changed, that perhaps there had been an alteration in his features or skin that allowed them to be described as horned. He justifies this through the use of examples such as Siegfried from Das Nibelungenleid, who on slaying a dragon bathed in its blood and his skin became horned. He also quotes Luke from the New Testament in the description of Jesus' transfiguration, where the gospel mentions that "the fashion of his (Jesus')

Monday, October 28, 2019

Political Development Essay Example for Free

Political Development Essay Morocco is located in North Africa at the border of Atlantic Ocean and Mediterranean Sea . Onto the south it neighbors Western Sahara and due east with Algeria. Its terrain consists of mountain, desert and coastal plain with only about 21% of total land which is productive . The people in the region basically comprise of the Berber, Arab, African, Spanish and French. Morocco is considered to be one of the most westernized Islamic nations. Its population is close to thirty million with a population growth rate of 2% per annum . Arabic is general spoken language. The Southern parts of Morocco uses French while in the Northern parts, Spanish and French are commonly used languages. English language is a new language which is being introduced in the country. Majority of the population are Muslim affiliates and number of Jewish, while in northern parts especially those who speak Spanish and French, a greater portion belong to catholic religion. Morocco’s economy is that of liberal in nature which follows the dictates of demand and supply. Privatization policy is not a new phenomenon as some of the sectors were handed down to the hand of private sectors. However, its economy is characterized by relatively slow economic growth and inflation rate. Basically, employment largely anchors at agricultural sector which is never reliable due inadequate rains . Unemployment is escalating generally, affecting majority of the youths especially in urban areas . Social evils such as trafficking of young women and girls for prostitution and domestic service and sexual abuse are the characteristic phenomena in Morocco besides high level of illiteracy, and unemployment . Non-Governmental Organizations refers to lawfully constituted organizations that operate independently from the government. There are some Non –Governmental Organizations which acts as donor and or development partners depending on the charter of their mandates. Virtually all of the Non-Governmental Organizations acts on humanitarian grounds focusing on alleviating human suffering by improving the human welfare for quality living. Some Non-Governmental organizations operates on a large scale where they may cover a very large geographical region, while still others operate at national level or in limited areas within a country . International Non-Governmental Organizations cover several geographical regions as their scope of operation while local Non –Governmental Organizations usually operate within the country or in some parts of the country International and Local NGOs in Morocco: United States Agency for International Development (USAID) is one of the International Non-Governmental Organizations that has intensified its work in the country of Morocco through an economic program. Since Morocco has a liberal economy, it is governed by the law of supply and demands. In the context of globalization, farmers in the country would have faced cut-throat competition after agricultural tariffs were lowered as result of trade agreement between USA and Morocco. To save the farmers from such agony, USAID works with the farmers to have their crop yields improved and creates alternative jobs in form of industries to avert overdependence on farming as the only way of employment. It assists by linking export business to competitively get into the US market in ways such as by cutting down the numbers of days officially needed to register the business from sixty to eleven. This was actualized when USAID got into the microfinance field in Morocco. It had two prime objectives. One was to start a microfinance institution that would be self sustainable and grow to support the farmers and businessmen’s need. The second one was to foster policy that could favor this establishment of microfinance sector. All of its efforts toward making true these objectives were very successful due to its technical skills it possessed and its full commitment for these projects’ sustainability to serving large number of the poor . This has been witnessed particularly for the last seven year of its operation. Besides improvement of economic growth of Moroccans, it also featured in improving education level by increasing access to quality education and relevant basic education to all. This was because there has been high illiteracy level in the country. To achieve this USAID used ‘school-to-work’ approach by ensuring linkage between training and employments at various levels. Basic education has much attention on achieving high retention rates to ninth grade and possible equipping the learners at this level to adaptable skills for the next level. It lays more emphasis on courses such as information technology and tourism in technical colleges as the country has prominent tourist attraction sites and this is geared to promote tourism industry in the country. Global Rights is an International Non-Governmental Organization that partners for justice through advocacy of human right by collaborating with local activists. They speak to make heard injustices done at global level. It deals with legal and human rights education comprehensively from semiliterate to illiterate women from all walks of life in Morocco. This initiative aims to empower women to know their collective and individual rights so as to be assertive to these right and give them power in decision making in all matters affecting them, be it in household, community, national or at global level. So far the program has reached thousands of women across the country. By so doing the initiative aims at curbing alarming number of young women and girls at risk of human trafficking for prostitution and domestic service in the region. Besides human trafficking in different parts of Morocco, there has been an increase in cases of sexual abuse among young women and girls. Therefore, this necessitated direct service and intensive advocacy . Increased access to information has been deemed to be one of the successful approaches particularly starting with community liaisons, lawyers, teacher, researchers and the at-risk population and entire community would help curb such vices. Food and Agricultural Organization has not been new in Morocco. This country having been relying heavily on the agricultural sector for employment, much is needed to be done to revive the sluggish economic growth of the country . Food and Agricultural Organization (FAO) is the United Nation’s agency that is involved in collecting, analyzing and interpreting and sharing the information with relevant stakeholders related to agriculture and nutrition. It is barely four months when an outbreak that posed threat to sheep and goats was announced in Morocco. In the month of September peste des petites (PRR) threatened to kill about a million sheep and goats where a hundred and thirty three outbreaks were reported within twenty nine provinces of Morocco. Being a viral causative agent and a very contagious to all ruminants, about 17 and 5 million sheep and goats respectively were at stake . This could be translated to loss of family livelihoods as so many of them depended on this. In response to this, Food and Agriculture Organization (FAO) took drastic measures after receiving request from the government to beef up the interventions. This made FAO’S Emergency Centre for Transboundary Animal Diseases (ECTAD) to convene a two-day meeting in Tunisia to chart the way forward over the situation. During the two-day summit, it was collectively agreed to help the Morocco government to prepare an emergency plan and see its implementation together with appropriate coordination with veterinary services of Maghreb among others from neighborhood countries. Right now FAO is in the advanced stage of setting up an urgent regional cooperation project. Control measures that were taken necessitated quarantine of suspected or affected farms and institutions and make urgent review of animal disease emergency contingency plans as well as raise awareness on the outbreak of the disease by all stakeholders concerning its risks and clinical signs. This is the latest development that FAO has been able to undertake in Morocco. Besides, livestock production, in the sector of agriculture, F. A. O has been in the forefront to see the country is in the process of achieving the millennium goal number one; that of eradication of extreme poverty and hunger through adoption of new innovations such as high yield, and fast growing crops that are drought tolerance. This will enable the country to attain level of food and nutrition security required. Use of biotechnology which has been witnessed in Nigeria where cassava clones are being propagated as disease free plants for the higher yields, are now incorporated in Morocco. World Food Program is the world’s largest humanitarian body. World Food Program is on a global campaign to ensure undernourished school going children are educated through its school feeding program. During worst time when there is total crop failure in Morocco, it has severally responded by providing relief food to the regions that needs emergency intervention. Community Based Organizations are local non-governmental organizations which are found in Morocco just like in other third world developing countries. Community based organizations collaborate with International Non-Governmental Organization and are the ground players. International Non-Governmental Organization for sustainable development make use of local organizations so that without setting other new parallel programs they can build on the existing system and facilitate on capacity building of the community. Faith Based Organization is a local non-governmental organization that has particular religious group affiliation. For instance, in northern parts of Morocco there is significant number of Christians who have come together to form faith based organizations to cater for the needs of their less fortunate member in time of need. Conclusion Non-governmental organizations primarily have humanitarian affair at their centre of focus. They feature on development transformation of community in which they are operating on. According to the transformational development indicators, the lives of many communities in different parts of the country have really improved. The level of illiteracy has decreased as a result of increased enrollment and retentions in schools . School- to- work approach has created job linkages among youths as a way of fighting unemployment in the country. Through, improving agriculture and easy accessibility to credit facilities, farmers are able to get good returns while others are able to diversify their income. This has seen improvement of living standard of the community. References: Agnaou Fatima, (2004); Gender, Literacy, and Empowerment in Morocco. ISBN 0415947650, 9780415947657, Routledge Davis K. Diana, (2006); Neoliberalism, Environmentalism, and Agricultural Restructuring in Morocco. The Geographical Journal, Vol. 172 Facts about Morocco, (2008). Retrieved on 16th November 2008 from: http://cc. msnscache. com/cache. aspx? q=morocco+factsd=74397575479858mkt=en-USsetlang=en-USw=1d93f448,870bb89e Fisher Julie, (1998); Nongovernments: NGOs and the Political Development of the Third World. ISBN 1565490754, 9781565490758, Published by Kumarian Press Kourous George Omolo Dominic, (2008); Outbreak of peste des petits ruminants in Morocco. Retrieved on 16th November 2008 from: http://www. fao. org/newsroom/en/news/2008/1000918/index. html USAID/Morocco, (2004); Annual Report. Retrieved on 16th November 2008 from: http://pdf. dec. org/pdf_docs/PDACA063. pdf

Saturday, October 26, 2019

To Kill a Mockingbird by Harper Lee :: essays research papers

To Kill A Mockingbird Many say that the central theme in the movie To Kill A Mockingbird is southern society and racism, but the central theme is the mockingbird, of which racism is a small part. Atticus Finch, a lawyer and father of two children living in Maycomb, Alabama, says: â€Å"they say that to kill a mockingbird is a sin because all the mockingbird does is sing for us all day.† The mockingbird symbolizes something or someone who is attacked by society unjustly, and that includes two characters. First, the mockingbird theme holds true for Tom Robinson. Tom is a black man who works as a field hand and is charged with raping a white girl and put on trial. Atticus defends Tom in the trial and makes it clear that Tom is innocent and even proves that someone else was responsible for the girl’s wounds: her father. Even though Atticus has proved Tom innocent, he is still declared guilty, put in jail, and sentenced to death. Another character, Boo Radley, also fits the mold of the mockingbird. Boo was probably just a normal boy who was unfortunately born to parents who weren’t the nicest in town and liked to keep to themselves. It was rumored that, as a child, Boo was cutting out articles in the newspaper for a scrapbook and when his father walked by, Boo plunged the scissor blades into Mr. Radley’s leg, took them out, and just kept cutting the newspaper like nothing had happened. From that point on, his parents kept him locked in the house. The whole town was convinced that he was something of a monster and came out at night peeking in peoples’ windows. It was even rumored that he wilted every flower he passed. Throughout the course of the book, Jem, Atticus’ son, finds little treasures in the hollow of the tree by their house: a watch, a ball of string, a spelling bee medal. When Jem is attacked by a drunken man one night, Boo Radley comes to his rescue and finally shows him self, and it is evident that he has been the one leaving the treasures in the tree in an effort to bond with Atticus’ children. Why are these innocent people being judged by society? Surprisingly, it’s the same reason that racism started: people whose lives were secure and comfortable started to become threatened by something different that might alter their lives and felt the need to remove the threat.

Thursday, October 24, 2019

Coming Home Essay Essay

How does the poet bring out the theme of ‘passing of time’ in the poem ‘Coming Home’? The poem ‘Coming Home’ by Owen Sheers, explores the description of the poets visits to his family, and how the passage of time has changed some things and make some things feel odd. There are three main characters in this poem, namely the mother, father and the grandfather, as well as the narrator, who is the poet and reflecting on this visit of his. It is in the form of omnipresent narration, which gives it somewhat of a constant flow throughout each stanza. The reflection is done in a low tone, which makes the reader not focus at any particular part of the poem, while the vivid imagery and attention to detail captivates the readers mind throughout the poem. Passing of time is something that is evident in all of us, and appears to speed up when we are not with people close to us. The first stanza talks of the poets’ mother. A lot of time has passed since the poet last met his mother, and her hug is somewhat awkward since it is different from his memory of hugging her, probably when he was a teen or young adult. He calls the hug awkward, but only in the unfamiliar or odd sense of its meaning, rather than its negative meaning. The reader also gets the idea that the mother is taking the initiative to bridge the gap in their uneasy relationship. This is connected to the idea of passing of time, since it shows the awkwardness that is brought about by separation from one another over the time that has elapsed. The next scene is one where the mother is shown to be making something of dough. This involves a lot of physical process, and due to the fact that it is made of flour, this patting action also makes some of the flour go up and cover her face. This part of the poem shows the urge of the mother to try and cook something for her son, so as to continue some sort of tradition or some force of habit, despite her old age. This part also gives a great attention to detail, such as aptly describing the kind of motion involved in making whatever she is making, and also the point when the flour which covers her covers her and makes her face wrinkles disappear. The kinesthetics shown in this stanza (kneading, flipping, patting) also appeal to the auditory senses. The second stanza talks of the father working outside in a farm. The poet says that his father still goes outside, which tells us that it is a force of habit to keep doing what he wants to do.

Wednesday, October 23, 2019

The Cost of Independence

â€Å"The Cost of Independence – concerns and fears of Scottish Businessmen† Martina Macakova â€Å"What business leaders in Scotland really seek to hear is a positive discussion on the future for Scotland and what part they can play in shaping it, not a re-run of old arguments about potential damage to the economy of constitutional change. † introduction Ewan Hunter, Director of HunterSearch This essay deals with a discussion about Scottish independence through the perspective of local business leaders.Its aim is to analyze their opinion on Scottish tendencies towards independence, if and to what extent could they influence the results of upcoming referendum and whether Scotland’s business companies could play a role of an ally of the UK government. It provides the analysis of the current situation, especially in the light of recent events, as the First Minister Alex Salmond, leader of the Scottish National Party (SNP), in the beginning of January announc ed that the referendum on Scottish Independence should be held in autumn 2014.In this essay I will attempt to come with a prediction of the possible future development of the opinion of Scottish leading business companies. For that purpose I have examined mostly newspaper articles, opinion polls, governmental documents and public speeches given by the local business representatives. As a secondary source and the introduction to the topic of Scottish Independence I found very valuable a publication written by Jo Eric Murkens, Peter Jones and Michael Keating Scottish Independence: A Practical Guide. A division of state into two sovereign parts would be very complicated and long-term process.It is a process fraught with problems and controversy. Whether it is a break up of marriage or of nations, the major bone of contemption is always the same – who gets what. The division of Czechoslovakia in late 1992 and 1993 could serve as a precedent for similar action, anyhow the situatio n of the Union and former Czechoslovakia differs. In Scotland’s case, controversial may be especially the separation of state debt and North Sea oil reserves; the future of military bases on the island of Clyde, home of British nuclear missiles; question of the membership in the European Union and currency issue.Despite the fact that the independence is primarily a question of national identity and political change, we cannot forget that economic prosperity is prerequisite for well-functioning state. It's Scotland's oil If there was an independent Scotland would it be economic failure or success? It might sound a paradoxical thing to say but the core issue related to the economics cannot be really answered correctly. According to Peter Jones, the starting point for dealing with the economics of independence needs to be existing Scotland.And current Scotland is a Scotland that operates within the United Kingdom of Great Britain and Northern Ireland. It is obvious that public s pending would demand greater income as two new types of costs would affect the public sector. First of all, there are costs incurred by the need to add on functions (such as defense) and those incurred by the need to disentangle the Scottish element of such UK-wide bodies (for example Inland Revenue). Undoubtedly, Scottish government can count on the benefits from obtaining control of offshore oil and gas resources.The representatives of SNP repeatedly assert the Scotland would be among the world’s richest countries. Additional GDP acquired from the profit made by oil companies offshore is something what we can more or less rely on. Before his re-election campaign Alex Salmond grasped the opportunity to dust off SNP’s old slogan â€Å"It’s Scotland’s Oil†. It was a smart move. As the election results showed the resurrecting claim that all North Sea oil – as well as its revenues – belongs solely to Scotland, was what Scottish voters wa nted to hear. Oil and gas resources themselves don’t guarantee long lasting wealth.Douglas Fraser, Scotland Business and Economy Editor at BBC, expressed his concerns that there is an elephant in the room that needs to be discussed. The price of oil is volatile and volatile price of oil means volatile income. Moreover, the trend is clearly for the volume of oil and gas production to fall, though that is partly offset by higher average prices, higher tax rates, and so buoyant revenues. Yet, an economy of an independent Scotland would be dependent on number of variable factors whose precise effects cannot be forecast. Among those unpredictable factors is a haracter of the negotiations that can either minimaze or enlarge the degree of uncertainty. The level of uncertainty affects business confidence and investment and it is something that has been often mentioned by the Scottish business representatives while comenting on the question of independence. As Peter Jones points out, another parameter which stands completely out of political control is whether the general economic environment is good or bad. In adverse times, business would be extremely nervous about independence as would the international markets. In this situation the price of independence could be quite high.The aim of idependence is to change the monetary, fiscal and regulatory regime which is currently the same as the in rest of the UK. The Scottish voters are likely to approve a different kind of a devolution model, which would provide more powers for the Scottish Parliament, particularly in terms of tax-varying powers and fiscal policy in general. The conclusions of a poll conducted by Ipsos MORI in November 2009 are that 66 per cent of the respondents are in favour of the Scottish Parliament having increased its powers, whether in terms of further devolution or fully independence.The attempts to get the public involved and the referendum itself should be appreciated. That is the major di fference in comparison with the zero involvement of Czechoslovak citizens when the dissolution of Czechoslovakia was decided about. More explanation about the proposed concept of independence provides the â€Å"Scotland’s Future: Draft Referendum (Scotland) Bill Consultation Paper†. Independence in terms of the proposal would mean that the Scottish Parliament and Government would be responsible for all areas of legislation, including foreign affairs, defence and taxation, but the Queen would remain the head of the state.The current political and monetary union would be replaced by a social and monarchical union. Although the monetary union would no longer exist, Scotland would keep operating within the Sterling system until it would be decided in a referendum that Euro would be accepted. Although, SNP leaders would most likely to follow the peacefull process of velvet divorce of Czechs and Slovaks, it doesn’t seem that monetary question would be the case as the issue of currency remains unclear.While the Czechs and Slovaks immediately began to create their own currency, the Scots first considered adopting the euro. In connection with lasting Eurozone crisis First Minister Alex Salmond changed his rhetorics and now claims that they would keep the pound. The SNP proposes sticking with sterling until Scots choose, by referendum, to join the euro. According to Douglas Fraser from BBC, his problem, in explaining this policy, is that remaining with sterling leaves the Treasury and Bank of England in London to set Scotland's monetary policy, while having no influence over it.THE business of (un)certainty Until recent time, there has been almost deafening silence on whether Scotland should become an independent country from local business companies. We could argue whether the reason for the lies in potencional risk of going out on a limb, as Douglas Fraser suggest in one of his articles, or if it more simple than that and the business leaders are just too occupied with the current financial crisis. Fraser writes in his article titled Holyrood's challenge to business: â€Å"Iain McMillan seeks to balance support of some policy with pungent criticism.On balance, he says members say the potential advantages of devolved business taxation are outweighed by the likely costs. But it is the criticism that gets McMillan noticed, and nationalist voices can increasingly be heard questioning the legitimacy of the CBI as a voice for business in Scotland. The Federation of Small Businesses, the Scottish Council Development and Industry and Scottish Chambers of Commerce are careful to sit on the fence, probably because their memberships are split on constitutional questions.It is also because the implications of the Scotland Bill, or of increased devolution of taxation powers, are so unclear. [†¦] Representing the banks, insurers and asset managers, Scottish Financial Enterprise wants to know if the tax base could be changed as well as the rate. Would there be additional complexity, and at what costs to business? How volatile would tax receipts be, and can a value be placed on the value of being part of a larger, more diverse tax base, as at present?Even asking questions, which might be seen as hostile or at least awkward, is risky territory for business. † SFE Chairman, Mark Tennant, expressed his concernes regarding independence at the end of his speech at the annual dinner in December last year: â€Å"Our approach, however, should be empirical and focused on facts and the removal of uncertainties. [†¦] Our role is to identify the questions that need to be answered and ensure that the electorate receives an answer before they vote. † Also Danny Alexander who is MP for Inverness, Nairn, Badenoch and Strathspey, and Chief Secretary to he Treasury shares opinion that uncertainty hurts economy and remarks that „if the Eurozone has taught us anything, it is that monetary union between fisca lly independent states is an extremely difficult challenge. â€Å" He argues that Scottish Government says it would continue to operate within the sterling currency area, but doesn’t say how. His message to the Scottish leader „think carefully before sacrificing stability through independence. â€Å" Regarding to the timing of the referendum, David Lonsdale, assistant director of Glasgow-based CBI Scotland, said in an interview. We want it sooner rather than later. † From the comments above is obvious that umbrella organizations associating Scottish business companies such as CBI and SFE are taking the side of UK government claiming that referendum should be held as soon as possible and at the same time expressing serious concers about the benefits of country’s independence. For a long time it seemed that the individual business leaders adopted an ostrich strategy because few Scottish business leaders have spoken publicly about constitutional change.Howev er, year 2012 brought a turnover as some one of managers decided to stir up the still waters a bit. Martin Gilbert, chief executive officer of Aberdeen Asset Management Plc, Scotland’s largest fund manager, spoke out: â€Å"Whether it is independence or not is a matter for the voters to decide. I would like to see all the figures so you can make an informed judgment. At the moment you don’t know what the true figures are. † Boyd Tunnock, representative of the Scottish maker of Caramel Wafers and Snowballs, commented in e-mail statement: â€Å"Scotland and Scottish business needs certainty and clarity.We need the independence referendum to be held as soon as is reasonable so that investors know where they stand. † To some extent the uncertainty was diminished by the Salmond’s clear statement about the referendum date. One of country’s leading businessmen Jim McColl welcomed the Scottish Government’s upcoming consultation on Scotlandâ⠂¬â„¢s constitutional future by saying: â€Å"Many of us in business are convinced a prosperous future for this country depends on more powers for the parliament. Article Business leaders join in referendum debate published on Tuesday this week shows slighty more positive attitudes towards the constitutional change and vice versa express criticism towards the representatives of CBI, SFE and Westminster politicians: â€Å"Members of Scotland's business community have refuted questions over the timing of an independence referendum and called for an end to scaremongering and a proper discussion on the merits of taking all decisions about Scotland within Scotland. [†¦] There is little hard evidence that the referendum or the prospect of Scottish independence is damaging the Scottish economy.Business leaders have in the main expressed either a neutral or a positive attitude towards constitutional change in Scotland. † The author of the article supports his argument by quotin g some of the local business leaders: â€Å"Recently David Watt, Executive Director of the Institute of Directors in Scotland was asked by the BBC's Huw Edwards whether he was concerned by the prospect of a Scottish referendum in autumn 2014, as opposed to the Westminster government's preference for a vote as soon as possible.Mr Watt said that he thought that the date of the referendum made no difference. Having a timetable leading up to the second half of 2014 allowed businesses to plan. † Similar opinion has Dan Macdonald of Macdonald Estates: â€Å"The fact is the biggest decision in three centuries lies before us and we owe it to our children, and those who succeeded us to take whatever time is required to discuss the form and detail of what will be our New Scotland. In order to do that London politicians need to stop peddling scare stories and focus on a meaningful debate about Scotland's future. On the same is also owner of The Residence Glasgow, Sarah Jane Walls who f eels that there should be â€Å"less negative scaremongering and more positive debate about Scotland's future,† continuing that she is â€Å"excited about the possibilities for Scotland as independent country. † According to the survey processed for the Business Insider that covered opinions of business on Scotland’s independence, the majority of businesses (67 per cent) think independence for Scotland would not have a positive effect on their business with only five per cent saying it would be positive and 17 per cent unsure.Questionnaires were sent to companies listed in Insider’s TOP500, SME300 and SPRINT100 lists. One of the CEO with this opinion poll further commented: â€Å"Achieving Scottish independence will not, in itself, prove to be the panacea for the challenges being faced. After all, there is little or no evidence to show any change will be positive. Therefore, to help improve our economy appoint independent Scottish and international busin ess experts to properly advise our inexperienced politicians to tackle the real, everyday issues of business rather than spend unnecessary time debating the future of Scotland without ny clear evidence to support how, and indeed why, the status quo should be changed. † The contrary opinion expressed David Watt, executive director in Scotland of the Institute of Directors, by saying that none of the institute's 1600 members have expressed any concern as to a delay in a referendum vote. A spokesperson for UK Oil & Gas said although the body has no member consensus on the issue of independence, none of its members has raised the issue as a specific concern. Conclusion The aim of this essay was to deal with the issue of Scotland’s independence from the perspective of local business leaders.By analyzing especially newspapers articles that are dealing with the topic I learned that there are three possible attitudes towards Scotland becoming independent. One side represented m ostly by CBI and SFE publicly claims that independence vote could harm Scottish economy. The opposite camp, which is primarily constituted of blue-chip companies, suggests the contrary. These positively thinking business leaders are denying comments that a delay on independence and the independence in general will destabilise the Scottish economy. The third group is classified by being neutral or by refusing to comment on the independence question.It is logical that CBI and SFE are speaking less in favour of independence and the later date of referendum as they have closer relations with the government in London than the individual organization do. In my opinion, even the business leaders that proclamated their support for independence cause and Salmon’s referendum timing feel at least some doubts. Also I think that a lot of the is actually tired of the independence talk and they would rather here from both UK’s and Scottish Government some warranties in the time of ec onomic crisis and that the politicians will support their efforts to kick-start the ailing economy.From the side of the local business leaders there is understandable demand for answers on number of important question. That brings us back to the introduction of the essay where I comment that most of the issues regarding the economic situation of independent Scotland cannot be precisely predicted. However it sounds disappointing. Many options might take place and the situation depends on various factors that Scottish Government cannot influence. We don’t even know the answer to the fundamental question – whether there will be an independent Scotland. UK’s government is strictly against the eparation of the Union, neither the Scots itself are united on the matter and as stands out from the lines above, nor the Scottish businessmen. Still, the independence is surely more realistic than it was couple months ago. I believe that CBI and SFE could be potencial partner of the central government during the future negotiations over independence. They associate number of important companies and they could have certain influence on their members. On the other hand, there is a quite large number of companies, which are managed by people who decided to prove that the idiom â€Å"You can't fight City Hall† is a false statement.My belief also is that business could influence the negotiations, however I wouldn’t say that companies could be determine the public opinion in general. Which side in end the majority of the business leaders joins will depend on numerous factors, especially on how skilfull in answering difficult questions will Scottish political representatives be. SNP with Alex Salmond in lead is trying something that no-one has ever tried before. To conclude I would say that I propably wouldn’t bet on my own prediction because predicting something in terms of the economic situation of independend Scotland is like predicting the unpredictable.References Murkens, Jo E. ; Jones, Peter; Keating, Michael. Scottish Independence: A Practical Guide. Edingburgh University Press, Edinburgh, 2002. Tom Clark. If one day it really is Scotland’s oil †¦ what will we do with it? The Herald Scotland, 29 October 2011. Available online: http://www. heraldscotland. com/news/home-news/if-one-day-it-really-is-scotlands-oil-what-will-we-do-with-it. 15567484 (accessed on 16 January 2012). Douglas Fraser. What would happen to Scotland's economy after independence? BBC. 15 January 2012.Available online: http://www. bbc. co. uk/news/business-16548644 (accessed on 16 January 2012). Douglas Fraser. Holyrood's challenge to business. BBC. 30 September 2011. Available online: http://www. bbc. co. uk/news/uk-scotland-scotland-politics-15122749 (accessed on 10 January 2012). Scotland's Future: Draft Referendum (Scotland) Bill Consultation Paper. 15 February 2010. Available online: http://www. scotland. gov. uk/Publications/ 2010/02/22120157/0 (accessed on 10 January 2012). Danny Alexander. Uncertainty hurts economy. Scotland on

Tuesday, October 22, 2019

Lithification Defined and Explained

Lithification Defined and Explained Lithification is how soft sediments, the end product of erosion, become rigid rock (lithi- means rock in scientific Greek). It begins when sediment, like sand, mud, silt and clay,  is laid down for the last time and becomes gradually buried and compressed under new sediment. Sediments Fresh sediment is usually loose material that is full of open spaces, or pores, filled with air or water. Lithification acts to reduce that pore space and replace it with a solid mineral material. The main processes involved in lithification are compaction and cementation. Compaction involves squeezing the sediment into a smaller volume by packing the sediment particles more closely, by removing water from the pore space (desiccation) or by pressure solution at the points where sediment grains contact each other. Cementation involves filling pore space with solid minerals (usually calcite or quartz) that are deposited from solution or that enable existing sediment grains to grow into the pores. The pore space does not need to be eliminated for lithification to be complete. All of the processes of lithification can continue to modify a rock after it has first become a rigid solid. Diagenesis Lithification occurs entirely within the early stage of diagenesis. Other words that overlap with lithification are induration, consolidation, and petrifaction. Induration covers everything that makes rocks harder, but it extends to materials that are already lithified. Consolidation is a more general term that also applies to the solidification of magma and lava. Petrifaction today refers specifically to the replacement of organic matter with minerals to create fossils, but in the past it was more loosely used to mean lithification. Alternate Spellings: lithifaction

Monday, October 21, 2019

Complete Guide on How to Write a Case Brief

Complete Guide on How to Write a Case Brief You’ve heard a lot about a case brief in your class at law school. What is it? And why do students hate this case brief so much? We are going to come through the process of writing together to help you deliver excellent content. How to write a case brief? Actually, the word â€Å"brief† serves different purposes in law. Now we are talking about a case brief that prepared typically by law paralegal students and other people studying law; it's a summary of the key points in a court decision. Usually, that's going to be in an appellate court decision; this paper is really short and typically takes a page or less. Why do we need briefing? The main point is to understand some basic principle of law, how it is being applied to a particular set of facts. The second reason is preparing for finals; you will apply this experience to your final exam. What should you write about in your casebook? Order Case Brief Standard Case Brief: Its Structure Title Reporter Publisher Court Year Procedural posture (how it got to the court of appeal) Statement of facts (narrative story) Issues of appeal (issues that were decided on appeal) Arguments (arguments on each side) Policy implications (different ways that the judged could have gone) Black letter law (rule of law) Rationale (appellate that judges used to make a decision) Dissents (any particular dissenting or concurring opinions) How to Write a Case Brief: Step By Step Guide Standard advice says you should open such paper with the case citation: put the name of both parties, which is usually something like â€Å"Jones versus Smith†. The opening lines include publisher, source. Write a court that made the decision and the year when final opinion was published. Statement Facts The first part is going to be setting out each fact. You must distinguish what facts really matter for the court decision. Here we disregard information that doesn’t have any bearing of a court decision. Reading the facts that case is dealing with helps to eliminate elements that are not relevant to the court’s decision. Identify facts established at trial. Procedural History In order to develop this section, answer the key questions: What court issued this opinion? How did the case get there? Find out, whether the case comes up from the trial court on appeal or it comes from another appellate court. The procedural history doesn’t matter unless the case turns on something that happened in procedural history. Issue It is the key question the court has to decide in a field of law. Note that it is a legal question. You must spot the issue and articulate the jest in a question. Now, fortunately for the students and people reading these cases, the courts usually are very helpful as all cases start with the words identifying the issue. For example, â€Å"the issue we face today is whether...† Frequently, the court will state that legal issue. It is a problem presented to the trial, and the court is going to be struggling with. The answer is to determinate who wins the case. In some briefs, we might put the holding. It’s a concise part, consists of 1-2 words to answer fundamental question. Rule It is a set of law that judges use to decide a particular case; it may include more than one rule depending on how complicated is the issue or how many problems it involves. In most situations, judges must consider a couple of different rules: it depends on the facts; the judges will discuss these rules; including all the important points in the front of your paper is crucial. Application Sometimes people call it analysis or reasoning. In this section, you should explain the choice of judges. Keep in mind the facts and put them together with the law they have used. The court will state what each party contends. Read the parts attentively; it helps to identify how the court applies the law to the issue. Conclusion It is a short statement saying the court affirmed or reversed the case and held for the appellant, appellee or defendant. However, the parties are designated. It’s time to say who won and who lost. Order Your Paper Brief in 11 Steps Read the case carefully. Do it twice. Identify facts. Choose the best brief format. Find a proper form. Create an outline. It’s your plan to stick for not being lost in writing. Elaborate every part of your paper. Describe rational, explain disposition in your own words. Find another opinion to include in your casebook. Remember that your paper must respond to a particular style format! Check the grammar. Re-read the paper in 1-2 days. Look with a fresh eye. Find out how the case relates to other similar cases. Give the answer whether you agree or disagree with the court? And how might it have been decided? By using the case brief, we have better understanding of law principles. Standard thinking says the more cases you read, the more you will be able to think like a lawyer. And it's certainly true! You will read lots and lots of cases, and the practice makes things simple. It's a good idea to get what goes into specific case, why a judge decided the particular way. You may learn how to use cases in your practice as both a sword and shield when you're litigating a particular idea. It can be even a different way for you to study.   There are no doubts that you’ll create the top-notch paper following our pieces of advice. Don't have much time for working on your new assignment? We know you’ve already prudent in a case brief making and other written tasks. Let our professional team do the entire job for you while you enjoy your student’s life! Contact us easily by email address or fill in the order form.

Sunday, October 20, 2019

Introduction to Chinas May Fourth Movement

Introduction to China's May Fourth Movement The demonstrations of the May Fourth Movement (ä ºâ€Ã¥â€ºâ€ºÃ© â€¹Ã¥â€¹â€¢, WÇ”sà ¬ Yà ¹ndà ²ng) marked a turning point in China’s intellectual development which can still be felt today. While the May Fourth Incident occurred on May 4, 1919, the May Fourth Movement began in 1917 when China declared war against Germany. During World War I, China supported the Allies on the condition that control over Shandong Province, the birthplace of Confucius, would be returned to China if the Allies triumphed. In 1914, Japan had seized control of Shandong from Germany and in 1915 Japan had issued 21 Demands (ä ºÅ'Ã¥  Ã¤ ¸â‚¬Ã¥â‚¬â€¹Ã¦ ¢ Ã©  â€¦, Èr shà ­ yÄ «gà ¨ tio xing) to China, backed by the threat of war. The 21 Demands included recognition of Japan’s seizure of German spheres of influence in China and other economic and extraterritorial concessions. To appease Japan, the corrupt Anfu government in Beijing signed a humiliating treaty with Japan by which China acceded to Japan’s demands. Though China was on the winning side of World War I, China’s representatives were told to sign away rights to German-controlled Shandong Province to Japan at the Treaty of Versailles, an unprecedented and embarrassing diplomatic defeat. The dispute over Article 156 of the 1919 Treaty of Versailles became known as the Shandong Problem (Ã¥ ± ±Ã¦  ±Ã¥â€¢ Ã© ¡Å', ShÄ ndÃ… ng Wà ¨ntà ­). The event was embarrassing because it was revealed at Versailles that secret treaties had been previously signed by the great European powers and Japan to entice Japan to enter World War I. Moreover, it was brought to light that China had also agreed to this arrangement. Wellington Kuo (é ¡ §Ã§ ¶ ­Ã©Ë†Å¾), China’s ambassador to Paris, refused to sign the treaty. The transfer of German rights in Shandong to Japan at the Versailles Peace Conference created anger among the Chinese public. The Chinese viewed the transfer as a betrayal by the Western powers and also as a symbol of Japanese aggression and of the weakness of the corrupt warlord government of Yuan Shi-kai (è ¢ Ã¤ ¸â€"å‡ ±). Infuriated by China’s humiliation at Versailles, college students in Beijing held a demonstration on May 4, 1919. What was  the May Fourth Movement? At 1:30 p.m. on Sunday, May 4, 1919, approximately 3,000 students from 13 Beijing universities assembled at the Gate of Heavenly Peace at Tiananmen Square to protest against the Versailles Peace Conference. The demonstrators distributed fliers declaring that the Chinese would not accept the concession of Chinese territory to Japan. The group marched to the legation quarter, the location of foreign embassies in Beijing, The student protestors presented letters to foreign ministers. In the afternoon, the group confronted three Chinese cabinet officials who had been responsible for the secret treaties that encouraged Japan to enter the war. The Chinese minister to Japan was beaten and a pro-Japanese cabinet minister’s house was set on fire. The police attacked the protestors and arrested 32 students. News of the students’ demonstration and arrest spread throughout China. The press demanded the students’ release and similar demonstrations sprung up in Fuzhou. Guangzhou, Nanjing, Shanghai, Tianjin, and Wuhan. Shop closings in June 1919 exacerbated the situation and led to a boycott of Japanese goods and clashes with Japanese residents. Recently-formed labor unions also staged strikes. The protests, shop closings, and strikes continued until the Chinese government agreed to release the students and fire the three cabinet officials. The demonstrations led to a full resignation by the cabinet and the Chinese delegation at Versailles refused to sign the peace treaty. The issue of who would control Shandong Province was settled at the Washington Conference in 1922 when Japan withdrew its claim to Shandong Province. The May Fourth Movement in Modern Chinese History While student protests are more common today, the May Fourth Movement was led by intellectuals who introduced new cultural ideas including science, democracy, patriotism, and anti-imperialism to the masses. In 1919, communication was not as advanced as today, so efforts to mobilize the masses focused on pamphlets, magazine articles, and literature written by intellectuals. Many of these intellectuals had studied in Japan and returned to China. The writings encouraged a social revolution and challenged traditional Confucian values of familial bonds and deference to authority. The writers also encouraged self-expression and sexual freedom. The period of 1917-1921 is also referred to as the New Culture Movement (æâ€" °Ã¦â€"‡åÅ'â€"é â€¹Ã¥â€¹â€¢, XÄ «n Wà ©nhu Yà ¹ndà ²ng). What started as a cultural movement after the failure of the Chinese Republic turned political after the Paris Peace Conference, which gave German rights over Shandong to Japan. The May Fourth Movement marked an intellectual turning point in China. Collectively, the goal of scholars and students was to rid the Chinese culture of those elements which they believed had led to China’s stagnation and weakness and to create new values for a new, modern China.

Saturday, October 19, 2019

Analysis of the Theme for English B Essay Example | Topics and Well Written Essays - 2000 words

Analysis of the Theme for English B - Essay Example In similar situation where blacks were discriminated to a great extent, Hughes kept his spirit high for studying in good academic institutes, and moving on, and presently is studying in a college where all his fellows are white, and he is the only black in his class. The poet describes a day where the instructor asked the class to write a page on what the inner feel of the students is, as stated in the stanza as below: This is a clear depiction of how open ended the question was from the instructor, trying to understand what the students felt, and thought and to see their insight on things. The writer always had strong feelings about the issues related to racism, and therefore, had no option but to write on the same topic; the discriminatory feeling and the thoughts, all came out on that single paper, where by the writer illustrated the ideas associated with discrimination, feelings, experience, grudges, and finally, realizing the fact of equality. In clear terms, the writer stated that America is about equality to all, and no matter how much is disliked by black and/or the white, they are a part of each other since they are part of America. Towards the end, in a sorrow tone, the writer states that yesno matter how harsh it is but the fact remains that whites do have an edge over the blacks as he states: I guess you learn from me--- although you're older---and white--- and somewhat more free. 3. Research Question The underlying research questions for this analysis are as follows: i. What tone has been used in the poem and how is it justified ii. What role does the persona's sense of his race play in what he has to say about his paper iii. How does this persona seem to feel about education in general 4. Methodology The methodology adapted for this research includes primary and secondary research. Primary research constitutes reading the original poem and coming up with analysis of what I feel the writer is stating. Secondary research, on the contrary, implies that the existing research about the subject matter is studied, like books and articles. 5. Analysis & Discussion This section presents in-depth analysis and discussion about the poem. 5.1 A Generic Analysis of the Poem In Hughes' poem under consideration for this research, i.e. Theme for English B. there is heavy weight-age assigned to elements of literature such as the characters, the plot, the tone, symbolic representations, themes, view points, and the scenario set-up. The plot seems highly structured as it provides in depth background details, and is seamlessly associated to the scenario described as stated by the poet: "I am twenty-two, colored, born in Winston-Salem. I went to school there, then Durham, then here to this college on the hill above Harlem." This is a clear indication of the time period and the growing mode as the time moves on. The scenario setting initiates similar to the scenario whereby a student is direct to go

A French Bakery Chain Case Study Example | Topics and Well Written Essays - 1500 words

A French Bakery Chain - Case Study Example They strongly believed that acquisition would help them maintain steady advantage without incurring extra cost on the expansion of business on a stand-alone basis. The LPB stores had decentralized working and functioned as stand-alone stores which it easy for the Fields to amalgamate the administration within its core functioning process. It was for this reason that merely after a month of acquiring LPB, Fields reduced the subsidiary administrative staff from 53 to three. Many of their functions like accounting, finance, human resource, training etc. were merged with that of the Fields’ company that resulted in redundancy of jobs in LPB. The main reason for the action was that Mrs. fields Cookies followed mechanistic approach and heavily used technology within its administrative process to streamline sales and production. While Fields appreciated empowerment of its managers and workforce, they also used technology extensively in their production processes to predict and improve sales. The huge hierarchy of employees in LPB was therefore not suitable for the efficient delivery of Fields’ goals and daily targets. Hence, they could o nly retain two persons in operations and one from their R&D section. As LPB Manager, I believe that the strategy of Fields is not right. LPB has gained considerable credibility in the area of baked products, coffee, and sandwich. The huge size of LPB was a significant factor that had prompted Fields to acquire it. The LPB products and services could offer the huge scope of expansion of interests of Fields as they had already created a niche market for their cookies. The acquisition had provided them with the opportunity to introduce their specialty cookies in the European market. The combination outlet could serve as a major facilitating platform for their business with a wide scope of opportunities for improved revenues. In such a scenario of a win-win situation, the redundancy was neither necessary nor morally correct decision.  

Friday, October 18, 2019

RFID Impact on Supply Chain Management Research Paper - 1

RFID Impact on Supply Chain Management - Research Paper Example According to the research findings, radio frequency identification (RFID) tags are used to track assets, manage inventory and authorize payments, and they increasingly serve as electronic keys for everything from autos to secure facilities. RFID works using small (sometimes smaller than a fingernail) pieces of hardware called RFID chips. These chips feature an antenna to transmit and receive radio signals. So-called passive RFID chips do not have a power source, but active RFID chips do. RFID chips may be attached to objects, or in the case of some passive RFID systems, injected into objects†. Radio Frequency Identification (RFID) is a technology to recognize objects. This technology is for eternity classified as a technology similar to Automatic Identification and Data Capture (AIDC). AIDC consists of Barcodes, Biometrics, and Smartcards. Apparently, RFID and Barcodes technologies are considered as one of the key drivers in supply chain management operations to categorize obje cts or merchandise at various workflow stages. In the intervening time, Biometric and Smartcard technologies are employed for access control procedures, banking, and communication industry. The prime advantage of RFID technology is its ease of use and minimalism. RFID replaces barcodes and is a time saving, effective and reliable alternative. That is the reason why it is adopted and deployed in multipurpose applications i.e. Supply Chain Management (SCM), Inventory Tracking, Theft Protection, Location-based Services, Electronic Health Monitoring for healthcare systems, RFID integrated travel documents, payment systems, and context-aware applications. In recent years, this technology is flourishing robustly due to its extensive usability in upcoming technologies i.e. Ubiquitous Computing, Pervasive Computing, or Ambient Intelligence Solutions. RFID technology comprises of transmitters spreading electromagnetic technology in the environment to send and receive signals. The communicati on is conducted between two elements, transceiver, and transponder.

Recieving and storing (report) Assignment Example | Topics and Well Written Essays - 750 words

Recieving and storing (report) - Assignment Example In understanding these areas, the study selected a small restaurant which is located in Toronto. The restaurant is a small-scale one and deals with mostly fast foods, which are consumed on a continuous basis by the locals. The restaurant is called stockyards smokehouse and larder. The study will attempt to provide a detailed analysis of the kind of activities which the restaurant is undertaking through information that has been obtained from the management as well as the means through which the business could be improved specifically on its receiving as well as storage procedures. The management together with the supplier of the restaurant has cash on delivery agreement as regards to the reception of the deliveries. Upon arriving with the products at the restaurant, the supplier drops off the products at the back of the restaurant at midday mostly. Reception of these food deliveries is usually by the person washing the dishes or the morning cook who on most does not verify on either the quality or quantity of the products. Deliveries of aprons and rags are made on Tuesday and Friday (Ghiani, 2007).. Duration of the deliveries is usually approximately 1 to 2 minutes and at most is 5 minutes. New products such as rags and pop are received on Tuesday and Wednesday respectively, while dry items for storage such as napkins, boxes and condiments are received on Saturday. Major challenges during reception of the deliveries include reception of goods at a busy time, unavailability of staff to countercheck the quality as well as the quantity of delivery and also limit ed space to store the items delivered. The restaurant uses different storage items for storage of different products with different characteristics. The storage items include walk-in-fridges, smoker freezers, and larder. These storage materials are not adequate and as a result, the restaurant requires additional storage space for refrigeration in order to

Thursday, October 17, 2019

Demings Plan-Do-Check-Act Coursework Example | Topics and Well Written Essays - 500 words

Demings Plan-Do-Check-Act - Coursework Example She faced many problems for the settlement of her infant child. Therefore, the idea came to my mind that she and many others like mothers are facing the adverse situation. In this case, a child may be disturbed. Therefore in order to save mothers and children form this adverse condition I planned to open a day care centre which actually provides the best services to the people regarding the care of their children that they feel fully satisfied after leaving their child here in the day care centre. The project of day care centre is done through a formal process even from the building to the hiring of staff. Initially the day care centre faces many problems. There was a little awareness about the day care centre in the public. In some cases, people do not rely on the environment and services of a day care centre. In my opinion, the problem was in the marketing of the project. We did not focus on the promotion and advertisements regarding day care centre. Some people are even unaware of the day care centre. A newly introduced project needs a high level investment on the marketing schemes. At the end of first year, the project of day care centre was a partial success just because of the lack of advertising promotions. The project could be fully successful if there was market analysis before its start. Therefore, in my opinion, a business manager should analyze the whole market in order to check the demand awareness of the project. Initially there should be a high-level investment on the marketing purpose. For these projects, there should be a marketing manager so that they can perform the duties in a regular manner (Lake, 2012). Then the management of the business can take right decisions. The concept of process management groups is very much similar to Deming’s plan, do, check and act strategy. This approach is very helpful in the problem just because of the division of work

Motion of Dismissal Research Paper Example | Topics and Well Written Essays - 1750 words

Motion of Dismissal - Research Paper Example Details of section 2-619 of the Illinois codes of civil procedures It is evident from the daily business activities regarding mortgages, that all mortgage transaction contains an acceleration clause. This clause in different instances requires the lender to make provisions to the borrower with a default notice, and the intent to accelerate. There is also an emphasis that the lender should provide the instructions, which can be taken as a remedy of the default date, and a new date set within 30 days in which the borrower must remedy the default (Lauterpacht and Greenwood, 1999). Lenders often ignore the clause; this is a condition, that actionable by a court of law in a foreclosure action. However, the precedent condition must be considered before another action. Such instances force the lender to follow the guidelines outlined in the mortgage acceleration clause before finding the foreclosure. Failing to follow the above guidelines do not invalidate the mortgage, though it may cause temporal dismissal of the foreclosure claims, therefore, resetting the borrower’s clock for the distress. In Illinois State, the 2-619 motion results from modification of the 2-615 motion and the 2-1005 motion. That is; they dismiss for failure motion on state claim, and the summary judgment motion. They both have a defensive nature, thus disposing the issues of facts and law. The motion adheres to the sufficiency and truth of the claim though it does not purpose the asserted affirmative matters (Lauterpacht and Greenwood, 1999). Affirmative matters refer to defenses that, either refutes critical conclusion, or negates a cause of action. Section 2-619 makes provisions for affirmative defenses; one can bring it regardless of the fact that it is retaining past the point of filling a 2-619 motion. Filling a Defamation Complaint Libel is a false statement from an individual, which in turn causes suffering to the other person. Defamation refers to a libelous statement in a print s tate. Traditionally, a print refers to a statement published in a newspaper or a letter, but in the recent days, it refers to the internet, and other mass media. Technology has been an element which is leading to increase in cases of defamation. Ideal examples are social networking sites such as Facebook, which brings the highest level of defamation that ever in the history. A court of law requires one to prove defamation through the following: 1. There must be a false statement from the defendant to the plaintiff 2. The statement must have reached a third party, through provable means. This means that the defendant must communicate the statement to the other person or persons. 3. The statement has to be harmful to the plaintiff 4. There must be damages on the part of the victim Making false statements If there is a false statement published about a public figure, it is the responsibility of the public to prove that the statement has a malicious intention in making the untrue statem ent. There are different standards for public figures, as they expect statements based on their public status. There have been arguments on the definition of public status, but there they not yet fruitful. The current definition from leading philosophers’ state that, public figure is something the public value in ones character. In many

Wednesday, October 16, 2019

Demings Plan-Do-Check-Act Coursework Example | Topics and Well Written Essays - 500 words

Demings Plan-Do-Check-Act - Coursework Example She faced many problems for the settlement of her infant child. Therefore, the idea came to my mind that she and many others like mothers are facing the adverse situation. In this case, a child may be disturbed. Therefore in order to save mothers and children form this adverse condition I planned to open a day care centre which actually provides the best services to the people regarding the care of their children that they feel fully satisfied after leaving their child here in the day care centre. The project of day care centre is done through a formal process even from the building to the hiring of staff. Initially the day care centre faces many problems. There was a little awareness about the day care centre in the public. In some cases, people do not rely on the environment and services of a day care centre. In my opinion, the problem was in the marketing of the project. We did not focus on the promotion and advertisements regarding day care centre. Some people are even unaware of the day care centre. A newly introduced project needs a high level investment on the marketing schemes. At the end of first year, the project of day care centre was a partial success just because of the lack of advertising promotions. The project could be fully successful if there was market analysis before its start. Therefore, in my opinion, a business manager should analyze the whole market in order to check the demand awareness of the project. Initially there should be a high-level investment on the marketing purpose. For these projects, there should be a marketing manager so that they can perform the duties in a regular manner (Lake, 2012). Then the management of the business can take right decisions. The concept of process management groups is very much similar to Deming’s plan, do, check and act strategy. This approach is very helpful in the problem just because of the division of work

Tuesday, October 15, 2019

What Is the Israel Lobby Essay Example | Topics and Well Written Essays - 250 words

What Is the Israel Lobby - Essay Example Smith categorized Israel Lobby to power formulation, media pressure, leadership development, education foundation, and transfer of capital to Israel (Smith, 2014). Just like Grant Smith, John Mearsheimer and Stephen Walt claims that Israel Lobby is the support provided to Israel by the U.S. Unlike Smith, Mearsheimer, and Walt, Frankel claims that â€Å"Israel Lobby is a collection of American Jewish organizations, campaign contributors and think tanks† (slide 211). The success of Israel Lobby, as it was argued by Smith, is in tandem with that of Mearsheimer and Walt; the Israel Lobby focuses on influencing the Congress, the executive, manipulate media, and policing academia (slide 207). However, Mearsheimer and Walt together with Frankel provide more focuses of Israel Lobby that were not expounded on by Smith. For instance, they assert that Israel Lobby also focuses on dominating think tanks, misusing anti-Semitism, and demonizing the Palestinians. The argument of Mearsheimer and Walt on the reasons for the U.S. pursuing her policies in the Middle East is in tandem with that provided by Smith; they all claim that the activities of groups as well as individuals who make up the lobby are the key reason (slide 207 and slide 211). Smith, Mearsheimer, Walt, and Frankel claim that the work of lobby make Israel gets direct foreign aid every year (slide

Monday, October 14, 2019

Europe and Turkey Essay Example for Free

Europe and Turkey Essay Discussions about Euro-Turkish relations today would normally hover around Turkey’s application for membership to the European Union which has been pending since the mid 1900s.   Turkey, a predominantly Muslim country situated in southeastern Europe and southwestern Asia, has been an associate member of the European Community (the forerunner of the European Union) since 1964, but is still working for a full membership forty-two years later. (Turkey. The World Fact Book. Para 1) The union, which started as a regional economic grouping in 1951, counted among its six original members the countries of Belgium, France, West Germany, Italy, Luxembourg, and the Netherlands. It opened its doors for new members for the first time in 1973 when it welcomed into its folds Denmark, Ireland, and the United Kingdom. Another country joined in 1981(Greece) and two more countries enlisted in 1986.   The year 1995 accounted for three additional members, and, finally, in 2004, ten more countries were granted full membership to wrap up today’s final roster of twenty-five member-countries. The European Union, in a recruitment process which spanned thirty-one years, accepted a total of nineteen additional members since 1951. (European Union. The World Fact Book.   para.2)   This fairly robust growth in the union membership compels us to ask the obvious questions:   What happened to Turkey’s application for membership which was filed forty-two years ago – nine years before the union first opened its doors for new members?   Bypassed five times in thirty-one years, does Turkey still stand a chance for that elusive membership?   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   .   Historical Background.   The conundrum that characterizes the Euro-Turkish relationship has its historical roots in the 1800s.   When the heads of states of the European countries gathered together after the fall of Napoleon in 1814 in what has been known as the â€Å"Congress of Vienna† to literally remake the map of Europe, every country was represented except Turkey.   The reason for this was never explicitly given in any historical account.   However, this discriminatory act prompted Turkey to adopt the view that Europe was becoming a â€Å"Christian Club†, considering the fact that it was the only predominantly Muslim country in the region. There were attempts to brush aside this Turkish claim by referring to numerous incidents of massacre and claims of corruption in the Ottoman (Turkish) Empire – practices which were said to be intolerable for Europeans. (Gerolymatos, para.5)   Looking back at that point in history, however, we are left to wonder whether these reasons were real, fabricated, or even morally adequate to warrant such an exclusionary action on the part of the congress initiators.   In fairness to Turkey, could the rest of Europe claim absolute innocence of such offences during those turbulent years in European history?   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The Congress of Vienna.   A careful reading of the intents of the Congress of Vienna would show us that the Turkish claim might not be as baseless as congress organizers wanted it to appear.   The primary goal of the gathering was to restore political boundaries in Europe which were abolished by the expansionist wars waged by Napoleon.   One of the four principles that guided the Congress of Vienna in that self-appointed task of reestablishing the European political order was the â€Å"encirclement of France†.   At the time, the Congress of Vienna considered the task of adopting adequate measures to guard against future aggressions by France so urgent that it decided that fortresses situated in strategic points surrounding France should be controlled by allied forces for up to a period of five years. It is clear, therefore, that what was commonly at the back of every congress delegates’ minds at that time was what to do to contain France. Yet, it interestingly, the four major players in that meeting were Lord Castlereagh of Great Britain, Tsar Alexander I of Russia, Prince von Metternich of Austria, and Talleyrand of France![1] (Wallbank, Taylor, Carson. 1960)   What a way for a France-wary Europe to include a French representative in concocting anti-French plans!   Was it not ironical, therefore, that while France appeared to be the bad guy of the day, it was Turkey who got excluded from the congress? The Right of Turkey.   Let us look at the map of Europe in 1815[2] and consider the geographical locations of the three European countries who figured prominently in that conference with relevance to their proximity to France, vis a vis Turkey.   Great Britain is nearest, but it is an island separated from the continent by the English Channel, and was, in fact, protected by the most advanced navy during those times.   The Austrian Empire and the Ottoman Empire were almost equidistant from, and were both separated from France, by the Germanic Federation, the Kingdom of Hungary, Switzerland, and the Kingdom of Sardinia.   Tsarist Russia was farthest, because it is situated behind the Empire of Austria. (Wallbank, et al. 1960)   If the fear of further threats from France was what forced these three nations to exert undue influence on the Congress of Vienna to do something about France, then Turkey had as much right as they had to be in that meeting.   Now let us look at the allegations of massacres and corruption involving Turkey which â€Å"were just too much for Europeans to stomach†, and which, apparently, was made an excuse for not inviting Turkey to the conference. (Gerolymatos, para.5)   Again, we have to bear in mind that those were periods of instability and violent struggles for power and survival.   Governments and monarchies were scurrying to consolidate their influence and control over their domains.   As the Jacobins, who were at the helm of the National Convention that governed France in 1793, put it, â€Å"What constitutes the Republic is the complete destruction of everything that is opposed to it.†    And so it was that in France, historians believe that the â€Å"reign of terror†, which reached its peak in 1793, might have accounted for as much as twenty-thousand people executed simply because they were considered royalists, and counted among its victims Queen Marie Antoinette and the great orator Danton, â€Å"because he wished to end the policy of terror†.   It must also be pointed out that during the rule of the monarchy in France (the Bourbon House, represented by Louis XVIII, was restored in France by the Congress of Vienna), the judicial and municipal offices, among others, were for sale. (Wallbank, et al. 1960) So why are they (apparently including the French), being so righteous about these questions of massacres and corruption?   In my research in the subject, although I have found reports of maltreatment by the minority Turks over the Christians in the Balkan Peninsula, I failed to obtain hard historical evidence of â€Å"massacres† during the period in question. However, what I did find were the â€Å"massacre of all Greeks in Constantinople† in 1821 and the â€Å"Turkish massacre of the entire Greek population of the island of Chios in 1822†, both events happening in connection with the Greek uprising of 1821. (Wallbank, et al. 1960) Incidentally, these events happened seven years after the Congress of Vienna and could not have been the ones referred to by the congress delegates.   However, for purposes of discussion, granting that the Turks were as guilty as the French, why condemn the first and exonerate the latter? The Present Situation.   Turkey became a member of the North Atlantic Treaty Organization (NATO) in 1952. (Turkey. The World Fact Book.   para.1)   It appears that joining a military organization composed mostly of European countries several years after the Second World War did not present much of a problem for Turkey.   In my analysis, this was because Turkey was valuable to NATO at the time.   Together with Greece and Iran, it â€Å"formed the northern tier of the Western perimeter against the encroaching Soviet Union.†Ã‚   (Gerolymatos, para.6) It did not matter then that Turkey was not well-equipped militarily. The United States â€Å"lavished their newfound all[y] with billions of dollars worth of weapons systems† (apparently without any objections coming from her European friends), so that Turkey can perform the functions of a perimeter guard satisfactorily. (para.7). And so the truth was laid out for everyone to see:   that in the name of â€Å"military cooperation†, a subsidized Turkey was considered an ally, treated as â€Å"one of the boys†.   Perhaps even a member of the European family of nations?   Anything just to encourage Turkey to help in the defense of Europe against Russian advances. The European Union.   Moving into the field of economics, everything takes on a very different shape and color.   In this area, according to the Europeans, Turkey undeniably failed to qualify.[3]   It’s as simple as that.   The European Union, despite having considered Turkey as an associate member since 1964, did not lift a finger to help her make the grade.   Instead, the union bureaucrats, in claiming a softening of their position and again to brush aside Turkey’s allegations of the existence of a â€Å"Christian Club† in Europe (remember 1814?), agreed to consider Turkey’s application â€Å"provided that Turkey bring into force several pieces of reform legislation†, then stepped back and waited for results. (Turkey and Europe: An Invitation to Dance? Para.2) No more billions (with no strings attached) to bolster her economy to qualify the country for union membership.   Not like with NATO.   Indeed, it was a far cry from the billions of dollars worth of military hardware which turned Turkey into a worthy member of NATO.   Do I detect a double standard here?   Does it mean that it’s all right to pour billions of dollars into Turkey’s arsenal to help in defending Europe, but it could not be acceptable to help it economically so that it could be eligible for European Union membership?   Interestingly, the military strategists who welcomed Turkey with open arms, and the economists who can’t seem to accept her, are both based in Brussels, Belgium. â€Å"Islamization† of Europe.   There are fears among scholars and independent observers alike, that the â€Å"Islamization† of Europe is imminent in the coming years.   Mr. Pipes, the director of the Middle East Forum, cites two contributory factors, namely: â€Å"the hollowing out of Christianity† [in Europe], and â€Å"an anemic birth rate [among Europeans].† (Moslem Europe. Para. 2 3) Mr. Pipes explains this twin phenomenon as the diminishing number of Europeans who remain to be practicing Christians compared to the fewer, but ever committed and devout Islam followers, on the one hand, and the very low incident of births among Europeans (many of whom do not want to have children), against the unhindered reproduction among Moslems who do not practice birth control, on the other hand. (Para. 3) Following up on this argument being advanced by Mr. Pipe, the world will one day see a Europe populated by a Moslem majority and a Christian minority.   The logic in his reasoning is simple.   First, even if the Christian population remains the numerical majority, if the mainstream Christians are no longer interested in practicing Christianity, Islam, although preached by the minority, has an outside chance of becoming the dominant religious persuasion in the region.   Second, given the Europeans’ seeming indifference to procreation and taking note of the Moslems’ predilection for large families, the future demographic characteristic of Europe certainly favors the Moslem community. The situation, though, is not that hopeless if Mr. Pipe is to be believed.   According to him, although a remote possibility considering things as they are now developing in Europe, this trend towards Islamization could still be thwarted.   Three developments working in concert could still revitalize Europe and restore it to the Christian society that it once was:   first, Christian faith must be restored among the majority of Europeans and birthrate should be increased; second, the Moslem countries has to be modernized (effectively reducing unemployment) to cut down Moslem migration to Europe; and, third, migration to Europe should be diversified, with greater efforts directed at attracting more immigrants from the Christian regions such as the Latin American countries.   Mr. Pipe, however, seems to urge Europe to act with urgency because â€Å"the prospects diminish with time.† (Moslem Europe. Para. 7) Islamic terrorism.   There now exists in Europe what is called the Generation Jihad.[4]   Powell (2005) describes it as the â€Å"restive, rootless young Muslims who have spent their lives in Europe but now find themselves alienated from their societies and the policies of their governments.†   Powell believes that this alienation resulted from frustrations among the ranks of young Muslims to have better opportunities in life, as well as their resentment towards official policies which they feel are prejudicial to Muslims. (Generation Jihad. Page.2) To underscore the danger posed by Islamic terrorism in Europe, Powell cited estimates done by the French police which revealed that out of the recorded 1,600 mosques in France as of 2004, around 150 were controlled by extremist elements.    He also referred to a study which showed that 23% of the 1,160 French nationals who recently converted to Islam admitted to being Salafists, or members of a violent extremist sect. (Generation Jihad. Page 2)  Ã‚   He also argued that the occupation of Iraq by the United States and her allies has influenced the Muslims in Europe into believing that these western countries are determined to destroy Islam.   This belief somewhat radicalized the Muslims and convinced them that their only recourse is to fight and defend Islam. (Page 4) Conclusion.   As had been shown earlier in this paper, there undeniably exists a feeling of unexplained awkwardness and even mistrust among Christian European countries towards the predominantly Muslim Turkey since the nineteenth century.   The recent developments associating Muslims with terrorism in Europe are more likely to widen this rift between Turkey and the rest of the continent.   Moreover, the fear of the Islamization of Europe voiced by some observers does absolutely nothing to bridge this gap. Considering the poor economic conditions in Turkey which have already fallen short of the European Union standards, the aforementioned factors might prove fatal to the chances of Turkey for a full membership in the European Union.   Unless drastic economic and political measures are implemented, coupled with a complete turnaround in the European attitude towards Turkey, the wait for the much coveted EU membership might well take another decade or two.   Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   REFERENCES European Union. The World FactBook. Central Intelligence Agency. United States Department of State. Retrieved from: https://www.cia.gov/cia/publications/factbook/geos/ec.html Gerolymatos, A. Turkey and Europe: A Political and Historical Conundrum. Diogenes.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Retrieved from: http://www.omogenia.com/~diogenis/turkeyandeurope.html Pipes, Mr. Moslem Europe. Retrieved from: http://www.falange.us/moslem5a.htm Powell, B. (26 Sept. 2005).Generation Jihad. Time Magazine online.   Retrieved from:   http://www.time.com/time/magazine/article/0,9171,1109334-1,00.html   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Satiroglu, H.T.(03 October 2006). Turkey and Europe: An Invitation to Dance? WorldPoliticsWatch. Retieved from: http://worldpoliticswatch.com/article.aspx?id=229 Turkey. The World FactBook. Central Intelligence Agency. United States Department of   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   State. Retrieved from: https://www.cia.gov/cia/publications/factbook/geos/tu.html Wallbank, T.W., Taylor, A.M., Carson, G.B.Jr. (1960) Civilization. (Vol. Two). Glenview, Illinois. Scott, Foresman and Company. [1] See Wallbank, et al, pages 110-113, for an insightful discussion of the events in the Congress of Vienna. [2] See Wallbank, et al, page 193 for the map of the Ottoman Empire 1815. [3] Refer to the section on Turkey of The World Fact Book for the economic statistics on Turkey. [4] Read Generation Jihad by Bill Powell, pages 1-6, for a detailed discussion of this phenomenon.

Sunday, October 13, 2019

The Effect Of Globalisation On Health Environmental Sciences Essay

The Effect Of Globalisation On Health Environmental Sciences Essay The increased movement of both goods and people increases opportunities for the spread of disease around the world. There are also concerns about the following: potential public health problems due to market liberalisation, the emergence of new diseases globally and worsening of existing ones due to climate change and governmental oversight over economic policies that can affect spending on healthcare. International cooperation as a result of globalisation has also had a great impact on health practices in many countries including Europe. In this backdrop, as a healthcare management consultant working for an international organisation, you are asked to examine the implications and effects of globalisation on healthcare management. Identify the effects of globalisation on healthcare Globalization can be defined as a network of processes which nations, firms and business and people are getting more interdependent and connected across the global community through the increased and strengthened economic integration, exchange of communication, diffusion of the Western culture and travel as well as migration. We must give ample attention to the processes by which the connectivity and interdependence among nations are happening. Globalization is akin to a new phenomenon where basic human drive comes into action. The history of human kind has evolved through crossing borders, exploring new heights, expanding horizons, trading commodities, conquering territories and assimiliation of culture and social practices. Globalization involves people and their behaviours in a society. Similar to the trade and commerce benefits of globalization, the consequences and effects of globalization to healthcare is being magnified on a larger scale. The effects of globalization on healthcare might include the following: Tourism brings gaps among borders and increases awareness among cultural differences and practices. Global tourism starts to grow and a lot of countries have the liberalization of their airline industries which makes travelling more affordable. According to Sutherst,2004(Sutherst R (2004) Global change and human vulnerability to vector-borne diseases. Clin Microbiol Rev 17: 136à ¢Ã‹â€ Ã¢â‚¬â„¢173) there are approximately one million international travellers every day and a significant percentage of these people are travelling between developed and developing countries which can facilitate the spread of communicable diseases. With the increasing number of travellers, the possibility of acquiring infections and diseases is greater than those countries who are not that inclined towards global travelling. Globalization can dramatically improve healthcare through the development of policies rooted on equality and allocation of resources for all members of the society especially those ser vices pertaining to health (UNDP, 1999; Ben-David et al., 1999; Cornia, 2001). Globalization can foster protectionist policies, allocate subsidies and preserve livelihoods and rural life by which the European Union frequently advances. The benefits of these are the quality and health of the people. If there is proper funding of health projects, it can result into a healthier citizenry who can function at their best and contribute to the development of the society. Through the process of globalization, healthcare settings are best influenced by the increased universal access to healthcare, legislation regarding exposure to hazardous wastes and environment. The stronger the economy, the better are the facilities for public health, water sanitation, health services and a lot more. Through the globalization, the application and profound recognition of health as a human right are being brought into the consciousness of people from across the globe. People are now more aware of the interdependence and interrelationship of health with the various types of human rights such as cultural, social, political, economic and civil rights. WORD COUNT: 459 Assess the influence of international institutions in healthcare settings The diversity of services in terms of health care has been immensely affected by globalization itself. Developing countries has the ability to attract customers by providing quality healthcare at a lower cost than the counterparts in their own country. Within a short period of time there are a lot of changes by which health and the people are most concerned off. The development of global standards of excellence and quality will also bring forth the rise of processes in the accreditation and licensing of medical and healthcare medical education. Through globalization, the circulation of services and goods are more efficient than before. Specific multilateral agreements between States often serve as a detrimental factor for countries of the developing world. Despite the economic benefits of globalization, there are several effects on the healthcare practices and settings from one country to the other. One of the best indicators in the level of development of a country is health. The reflection by which the resources and wealth of the country are being allocated to, shared equally by the entire population. International institutions can influence the delivery of health care through globalization. However, health itself cannot be assumed as significant similar to that of the basic needs of human. The movements of healthcare professionals, the exodus of the members of the health team are strongly related to the complex cultural, ethical, and human resources issues in their mother land. Thus it is imperative that health professional must promote health as a global human right. International institutions must be prepared before launching headlong into the challenges of globalization, M. Srinivasan,2006 et al. (Visualizing the Future: Technology Competency Development in Clinical Medicine, and Implications for Medical Education Acad Psychiatry, December  1,  2006; 30(6): 480 490.) The health practices being implored can be influenced by foreign relations and policies of a country. It is best that the challenges of globalization shall be faced with much ease and confidence so that there will be no room for errors which will compromise the health of the people. Developed countries are tapping their international institutions to recruit and acquire trained graduates from poorer countries. With the movement of professionals, healthcare settings are improved through the expertise and carative characteristics of people from the poorer countries. These countries are improving their immigration policies to accommodate the influx of various members of the health care team. Healthcare setting in developed countries are influenced by international institutions who are expecting reciprocity in terms of economic and social implications of globalizations. The increased of workers in the health care industry, can facilitate the health of the citizens. WORD COUNT: 434 Evaluate the impact of European Union membership on workplace health practices. Health will not transform how we think about the foreign policies and the health practices we implore. The establishment of the European Common Markets has brought about a lot of changes not only in free movement of goods and capitals but social and cultural aspects of the country. Through the European Union, services and persons are free to move. The principles of free movement can be applied in the health care industry as well. The members of the health sector have the following changes in terms of the influence of the European Union: Through the membership with EU they can allow the free incorporation and inclusion of health care providers and professionals as well as the cross-border delivery of health care services. Since the year 1970, the European Union (EU) has passed a myriad of regulations regarding health practices. One of the regulations is to reinforce the mutual recognition of nurses, physicians and other members of the healthcare professionals in terms of their qualifications. Through this, the Member States will recognize the professionals who hail from among the members of the European Union which is considered to be an indispensable precondition for the non-restrictive movement of services. Thus , in reference to the establishment of the European job market for the members of the health care team, it has not led to the extensive migration among the member of the European Union (EU). The accession of the Eastern and Central European countries to the European Union( EU)did hot stirred an alarm of brain drain. Brain drain is the major concern among authorities due to the imminent depletion of healthcare professionals to the better off countries located in the Northern and Western Europe. The numerous potential effects of the European Union (EU) on the social protection systems in the applicant countries due to the variations and differences between the type of health care systems among the 25 Member States. A lot of authorities are expecting mass exodus of professionals from the accession countries. Free movement of health care professionals and occupations has not paved the way into the expected transnational migration among the Member states of the European Union. The language barrier is one of the major reasons why the health care sector deal on a personal level and are quite sensitive about it. There are countries in Europe where English is not widely spoken. Thus, it will be very difficult to administer and render health care services. WORD COUNT: 411 WORD COUNT: 1314 Question 2 You are employed by Sahara Oil Company based in Qatar as their Occupational Health expert. The company produces and refines oil; it also explores gas deposits. There has not been a recent review of the environmental effects of the companys operations. You have responsibilities for the environmental health issues of Sahara Oils operations in Qatar. As well, one important responsibility you have been given is to be conversant with the impact of environmental legislation, directives and guidance and the processes that organisations need to adopt in order to provide health protection to the employees of the company, their families and the members of the local community who are affected by Sahara Oils operations in Qatar. Identify the economics of adopting a policy of environmental awareness in heath care settings. All of the above lead to improved QOL and increased life expectancy. However, all this come with a cost to human health and the environment. Effects on health: Such activities and their impact on the environment have serious effects on health of communities,, esp. Chdns health. However, there is uncertainty of the effects of such activities or technologies on health as there is no scientific evidence that directly links such activities to disease causation. E.g., there is still ongoing debate about the scientific evvidence linking greenhouse gases to global warming. Governments inaction is because they fear that taking action would affect trade. E.g. taking action to prevent bon-fossil fuels :-charcoal and oil burning- in order to reduce CO2 emission into the atmosphere by developing nations i.e., China and India would collapse their industries and economy. However, the economic cost of technological development on the environment and human health is higly significant. The Precautionary Principle states that in the case of serious or irreversible threats to the health of humans or the ecosystem, acknowledged scientific uncertainty should not be used as a reason to postpone preventive measures. The concept of a universal precautionary principle apparently has its origins in early German and Swedish thinking about environmental policy, particularly the need for policymakers to practice foresight in order to prevent long-range environmental problems. The concept was included in the Amsterdam Treatyan important step toward establishment of the European Unionbut the concept was left undefined and was applied only to environmental policy. In the past 20 years, there have been numerous references to precaution in various international treaties, statements of advocacy groups, and academic writings, but the significance of the principle in international law remains uncertain. The EIB considers the need for applying the precautionary principle when there is a risk that a project may cause significant and irreversible damage to the environment. In such cases, measures should be taken by the promoter to avoid in the first place and if a feasible alternative is not available to reduce that risk to an acceptable degree. Assess the actions that need to be taken by organisations to maintain the environment. Pollution of the aquatic environment occurs from many different sources including from oil refineries. Oil refinery effluents contain many different chemicals at different concentrations including ammonia, sulphides, phenol and hydrocarbons. The exact composition cannot however be generalised as it depends on the refinery and which units are in operation at any specific time. It is therefore difficult to predict what effects the effluent may have on the environment. Toxicity tests have shown that most refinery effluents are toxic but to varying extents. Some species are more sensitive and the toxicity may vary throughout the life cycle. Sublethal tests have found that not only can the effluents be lethal but also they can often have sublethal effects on growth and reproduction. Field studies have shown that oil refinery effluents often have an impact on the fauna, which is usually restricted to the area close to the outfall. The extent of the effect is dependent on the effluent compo sition, the outfalls position and the state of the recipient environment. It is possible to detect two effects that oil refinery effluent has on the environment. Firstly it has a toxic effect close to the outfall, which is seen by the absence of all or most species. Secondly there is an enrichment effect which can be distinguished as a peak in the abundance or biomass. These effects are not limited to just oil refinery effluents, which make it difficult to distinguish the effects an oil refinery effluent has from other pollution sources. The discharge from oil refineries has reduced in quantity and toxicity over recent decades, allowing many impacted environments in estuaries and coasts to make a substantial recovery. Specify the measures that exist to improve workplace health and safety practices When oil refineries do not practice workplace safety, it can result in numerous problems. These problems can force a refinery to trim production or shut down completely. For example, dozens of oil refineries were shut down in 2007 due to fires, leaks, spills and power failures. Crude Oil Pre-treatment (Desalting) Fire Prevention and Protection: The potential exists for a fire due to a leak or release of crude oil from heaters in the crude desalting unit. Low boiling point components of crude may also be released if a leak occurs. Safety: Inadequate desalting can cause fouling of heater tubes and heat exchangers throughout the refinery. Fouling restricts product flow and heat transfer and leads to failures due to increased pressures and temperatures. Corrosion, which occurs due to the presence of hydrogen sulfide, hydrogen chloride, naphthenic (organic) acids, and other contaminants in the crude oil, also causes equipment failure. Neutralized salts (ammonium chlorides and sulfides), when moistened by condensed water, can cause corrosion. Overpressuring the unit is another potential hazard that causes failures. Health: Because this is a closed process, there is little potential for exposure to crude oil unless a leak or release occurs. Where elevated operating temperatures are used when desalting sour crudes, hydrogen sulfide will be present. There is the possibility of exposure to ammonia, dry chemical demulsifiers, caustics, and/or acids during this operation. Safe work practices and/or the use of appropriate personal protective equipment may be needed for exposures to chemicals and other hazards such as heat, and during process sampling, inspection, maintenance, and turnaround activities. Depending on the crude feedstock and the treatment chemicals used, the wastewater will contain varying amounts of chlorides, sulfides, bicarbonates, ammonia, hydrocarbons, phenol, and suspended solids. If diatomaceous earth is used in filtration, exposures should be minimized or controlled. Diatomaceous earth can contain silica in very fine particle size, making this a potential respiratory hazard. Crude Oil Distillation (Fractionation) Fire Prevention and Protection: Even though these are closed processes, heaters and exchangers in the atmospheric and vacuum distillation units could provide a source of ignition, and the potential for a fire exists should a leak or release occur. Safety: An excursion in pressure, temperature, or liquid levels may occur if automatic control devices fail. Control of temperature, pressure, and reflux within operating parameters is needed to prevent thermal cracking within the distillation towers. Relief systems should be provided for overpressure and operations monitored to prevent crude from entering the reformer charge. The sections of the process susceptible to corrosion include (but may not be limited to) preheat exchanger (hydrogen chloride (HCl) and hydrogen sulfide (H2S)), preheat furnace and bottoms exchanger (H2S and sulfur compounds), atmospheric tower and vacuum furnace (H2S, sulfur compounds, and organic acids), vacuum tower (H2S and organic acids), and overhead (H2S, HCl, and water). Where sour crudes are processed, severe corrosion can occur in furnace tubing and in both atmospheric and vacuum towers where metal temperatures exceed 450 ° F. Wet H2S also will cause cracks in steel. When processing high-nitrogen crudes, nitrogen oxides can form in the flue gases of furnaces. Nitrogen oxides are corrosive to steel when cooled to low temperatures in the presence of water. Chemicals are used to control corrosion by hydrochloric acid produced in distillation units. Ammonia may be injected into the overhead stream prior to initial condensation and/or an alkaline solution may be carefully injected into the hot crude oil feed. If sufficient wash-water is not injected, deposits of ammonium chloride can form and cause serious corrosion. Crude feedstock may contain appreciable amounts of water in suspension which can separate during startup and, along with water remaining in the tower from steam purging, settle in the bottom of the tower. This water can be heated to the boiling point and create an instantaneous vaporization explosion upon contact with the oil in the unit. Health: Atmospheric and vacuum distillation are closed processes and exposures are expected to be minimal. When sour (high-sulfur) crudes are processed, there is potential for exposure to hydrogen sulfide in the preheat exchanger and furnace, tower flash zone and overhead system, vacuum furnace and tower, and bottoms exchanger. Hydrogen chloride may be present in the preheat exchanger, tower top zones, and overheads. Wastewater may contain water-soluble sulfides in high concentrations and other water-soluble compounds such as ammonia, chlorides, phenol, mercaptans, etc., depending upon the crude feedstock and the treatment chemicals. Safe work practices and/or the use of appropriate personal protective equipment may be needed for exposures to chemicals and other hazards such as heat and noise, and during sampling, inspection, maintenance, and turnaround activities. Solvent Extraction and Dewaxing Fire Prevention and Protection: Solvent treatment is essentially a closed process and, although operating pressures are relatively low, the potential exists for fire from a leak or spill contacting a source of ignition such as the drier or extraction heater. In solvent dewaxing, disruption of the vacuum will create a potential fire hazard by allowing air to enter the unit. Health: Because solvent extraction is a closed process, exposures are expected to be minimal under normal operating conditions. However, there is a potential for exposure to extraction solvents such as phenol, furfural, glycols, methyl ethyl ketone, amines, and other process chemicals. Safe work practices and/or the use of appropriate personal protective equipment may be needed for exposures to chemicals and other hazards such as noise and heat, and during repair, inspection, maintenance, and turnaround activities. Thermal Cracking Fire Protection and Prevention: Because thermal cracking is a closed process, the primary potential for fire is from leaks or releases of liquids, gases, or vapors reaching an ignition source such as a heater. The potential for fire is present in coking operations due to vapor or product leaks. Should coking temperatures get out of control, an exothermic reaction could occur within the coker. Safety: In thermal cracking when sour crudes are processed, corrosion can occur where metal temperatures are between 450 ° and 900 ° F. Above 900 ° F coke forms a protective layer on the metal. The furnace, soaking drums, lower part of the tower, and high-temperature exchangers are usually subject to corrosion. Hydrogen sulfide corrosion in coking can also occur when temperatures are not properly controlled above 900 ° F. Continuous thermal changes can lead to bulging and cracking of coke drum shells. In coking, temperature control must often be held within a 10 °-20 ° F range, as high temperatures will produce coke that is too hard to cut out of the drum. Conversely, temperatures that are too low will result in a high asphaltic-content slurry. Water or steam injection may be used to prevent buildup of coke in delayed coker furnace tubes. Water must be completely drained from the coker, so as not to cause an explosion upon recharging with hot coke. Provisions for alternate means of egress from the working platform on top of coke drums are important in the event of an emergency. Health: The potential exists for exposure to hazardous gases such as hydrogen sulfide and carbon monoxide, and trace polynuclear aromatics (PNAs) associated with coking operations. When coke is moved as a slurry, oxygen depletion may occur within confined spaces such as storage silos, since wet carbon will adsorb oxygen. Wastewater may be highly alkaline and contain oil, sulfides, ammonia, and/or phenol. The potential exists in the coking process for exposure to burns when handling hot coke or in the event of a steam-line leak, or from steam, hot water, hot coke, or hot slurry that may be expelled when opening cokers. Safe work practices and/or the use of appropriate personal protective equipment may be needed for exposures to chemicals and other hazards such as heat and noise, and during process sampling, inspection, maintenance, and turnaround activities. (Note: coke produced from petroleum is a different product from that generated in the steel-industry coking process.) Fire Prevention and Protection: The potential exists for a fire due to a leak or release of crude oil from heaters in the crude desalting unit. Low boiling point components of crude may also be released if a leak occurs. Safety: Inadequate desalting can cause fouling of heater tubes and heat exchangers throughout the refinery. Fouling restricts product flow and heat transfer and leads to failures due to increased pressures and temperatures. Corrosion, which occurs due to the presence of hydrogen sulfide, hydrogen chloride, naphthenic (organic) acids, and other contaminants in the crude oil, also causes equipment failure. Neutralized salts (ammonium chlorides and sulfides), when moistened by condensed water, can cause corrosion. Overpressuring the unit is another potential hazard that causes failures. Health: Because this is a closed process, there is little potential for exposure to crude oil unless a leak or release occurs. Where elevated operating temperatures are used when desalting sour crudes, hydrogen sulfide will be present. There is the possibility of exposure to ammonia, dry chemical demulsifiers, caustics, and/or acids during this operation. Safe work practices and/or the use of appropriate personal protective equipment may be needed for exposures to chemicals and other hazards such as heat, and during process sampling, inspection, maintenance, and turnaround activities. Depending on the crude feedstock and the treatment chemicals used, the wastewater will contain varying amounts of chlorides, sulfides, bicarbonates, ammonia, hydrocarbons, phenol, and suspended solids. If diatomaceous earth is used in filtration, exposures should be minimized or controlled. Diatomaceous earth can contain silica in very fine particle size, making this a potential respiratory hazard. ( Word count :1300 ) Question 3 You have been appointed consultant to a pharmaceutical company in Mumbai that sources clinical trial contracts from abroad, especially the United States of America and western Europe. Because of its international operations, the work force of the company is also varied with employees from various countries around the world. You are asked to explore the issues that affect the companys operations in the current economic environment when implementing healthcare management practices. Analyse the responsibilities of organisations in improving work place health and safety. The following are recommended practical activities that executives can do at each stage of their personal journey to understanding the value of diversity. 1. Discovery. Executives must become aware of the need to view racial and ethnic diversity as a significant strategic issue. They should thoroughly read this timely study and review many of the excellent references outlined at the end of the study. 2. Assessment. Executives must determine where their organizations are on the road to capitalizing on racial and ethnic diversity. The Tables in the article present a series of best practices against which an organization can benchmark its responsiveness to diversity practices. Another useful exercise during the assessment stage would be to determine what data their organizations have access to regarding the diversity of the population of the community they serve, their organizations patient demographics, and their organizations workforce. A scarcer and more diverse workforce. As a result, healthcare organizations (HCOs) must develop policies and practices aimed at recruiting, retaining, and managing a diverse workforce and must meet the demands of a more diverse patient population by providing culturally appropriate care and improving access to care for racial/ethnic minorities. Ultimately, the goal of managing diversity is to enhance workforce and customer satisfaction, to improve communication among members of the workforce, and to further improve organizational performance. Research on diversity management practices in HCOs is scarce, providing few guidelines for practitioners. This study attempted to close that gap. Results show that hospitals in Pennsylvania have been relatively inactive with employing diversity management practices, and equal employment requirements are the main driver of diversity management policy. The number and scope of diversity management practices used were not influenced by organizational or market characteristics. The results suggest that hospitals need to adopt diversity management practices for their workforces and need to pay particular attention to marketing and service planning activities that meet the needs of a diverse patient population. Diversity has become a crucial subject in the field of management as organizations pay increased attention to major demographic shifts in the U.S. population. As of 1999, 28 percent of the U.S. population was a member of a racial or ethnic minority group, and it is projected that by 2030, 40 percent of the U.S. population will be members of a racial or ethnic minority group (U.S. Census Bureau 1999). These changes are resulting in an increasingly diverse labor pool and customer base. Policymakers are also being more attentive to racial/ethnic disparities in access to care and health status. While such disparities are well documented, relatively less is known about the underlying causes for the disparities. Researchers have examined financial barriers, racism and discrimination, and patient preferences as potential sources of these disparities (Williams and Rucker 2000). To respond to the demographic shifts of the workforce and patient population and address racial/ethnic disparities in access and outcomes of care, healthcare organizations (HCOs) will need to become culturally competent organizations. Cultural competency has been defined as an ongoing commitment or institutionalization of appropriate practice and policies for diverse populations (Brach and Fraser 2000). While cultural competence is the goal, diversity management is the process leading to culturally competent organizations. Diversity management is .a strategically driven process whose emphasis is on building skills and creating policies that will address the changing demographics of the workforce and patient populations (Svehla 1994). Diversity management and leadership practices are known to enhance workforce and customer satisfaction, to improve communication among members of the workforce, and to further improve organizational performance (Cox 1994; Dreachslin 1996). However, only some organizations choose to respond to workforce and customer demographics by initiating diversity management practices and becoming diversity leaders (Dreachslin 1999). Others resist, making only those changes necessary to comply with affirmative action guidelines. A recent survey on career attainment among healthcare executives across different races/ethnicities confirms that much improvement is still needed in the cultural and diversity climates of HCOs (De Anda et al. 1998). Research examining diversity management practices in HCOs is scarce. To date, only three prior studies have examined diversity management practices in HCOs-one using case study methodology (Muller and Haase 1994) and two others using survey methodology (Motwani, Hodge, and Crampton 1995; Wallace, Ermer, and Motshabi 1996). These studies have focused on human resources issues in diversity management. Each of the three studies found that relatively few hospitals had implemented diversity management programs even when hospitals considered diversity management an important organizational issue. Furthermore, Muller and Haase (1994) found that all hospitals in their study fitted the pluralistic profile in which they were not actively managing diversity but employing diversity management policies and programs that were primarily compliance-oriented strategies. Compare organisational approaches to ensuring positive policies of work place diversity. Cultural diversity in the workplace is not only the right thing to do, it is the expeditious thing to do. It ensures responsiveness and responsiveness is synonymous with survival. Diversity in the workplace is important because of its contribution to organization decisionmaking, effectiveness, and responsiveness. Those from diverse populations have experiences, insights, approaches, and values from which can come many different perspectives on and alternative approaches to problems, and knowledge about consequences of each alternative. From a leadership position (for example, an executive, managerial, and/or supervisory position), suggestions and recommendations of such alternatives and