Thursday, October 31, 2019

Geomorphology Lab 3 Report Example | Topics and Well Written Essays - 500 words

Geomorphology 3 - Lab Report Example Further, a model for predicting age can be succinctly tested based on weathering degree. The class split into three groups and recorded the varying degrees of weathering for different tombstones at the Murray Cemetry. The characteristics of the 20 tombstones were recorded by each group. The characteristics recorded for each tombstone include height, width, length, name, thickness at bottom and thickness at top, texture, lithology, tilt and visual weathering class. The data obtained were entered into an excel spreadsheet as shown in the result section. As shown in the above the graph, with the help of a best fit line, there is a general trend observed between weathering class and age. A positive gradient indicates that there is a positive relationship between the two and as the age increases so does the weathering class of tombstone increases. As shown in the graph, there is a general trend between weathering class and height of the tombstone. The equation gives a positive gradient, showing that as the height increases there is a positive effect on the weathering class. The weathering class increases with increase in height. A line of best fit, as shown in the graph, indicates that there is a considerable relationship between weathering class and length. The graph shows that an increase observed in length leads to an increase in weathering class. The positive gradient shows that there is a positive relationship between the two. The results obtained were able to support the initially listed hypotheses. For age, there was observed consistency in its relationship with weathering class as shown in the graph. Hence, from the methodology used, the hypothesis â€Å"The degree of tombstone weathering is related to tombstone age† is sufficiently supported because there was observed consistency with a positive gradient. The results supported hypothesis two which stated that â€Å"The degree of tombstone weathering relies on the height of the tombstone† given

Tuesday, October 29, 2019

Culver City Essay Example for Free

Culver City Essay Because of the changes that have taken place in the nursing home industry throughout the past decade, service area competitor analyses have become an increasingly important aspect of environmental analysis. The process of service area competitor analysis involves first of all an identification of the service category for analysis. It then moves on to include identifying of competitors, determining the strengths and weaknesses of rivals, and anticipating their moves based on the analysis of the data collected. The service area selected for this particular analysis is the Culver City nursing home industry. The market for nursing home care in Culver City, California is changing rapidly and has been considered a buyer’s market for specialty care. The population of Culver City in relation to the number of senior citizens is an important consideration in the decision to enter the nursing home market in this city. The number of persons each nursing home usually takes is in the range of 80 to 85% of its carrying capacity (Pandya, 2001). One must not forget that â€Å"the demand for nursing home care [is] driven by the availability of financing† (Willging, 2003). Also notable is that approximately 36% of seniors have been financing nursing-home care out of pocket (2001). In carrying out a service area competitor analysis upon this city, it is necessary to take a look at such aspects as its financial and economic situation, the demographics, and the trends that might derive from them. It will also be necessary to assess the strategies being pursued by the nursing homes that service the area and the consumer reaction to these policies. According to the analysis of the Culver City finance budget, the city began a period of economic growth in the late 1990’s where the property taxes began reflecting an increase in the value of real estate and overall taxes represented a general increase in per capita income. Over the period the city was able to sustain both low inflation and unemployment rates. Investment grew almost three fold, according to the Dow Jones Industrial, S P 500, and the Nasdaq composite charts (City of Culver City, 485-86). However, economic growth has plateauxed since 2001, and the employment rate that had fallen from 9 to 3. 9 percent, has risen up to approximately six percent (485). Across the United States, the health care industry has had to cope with economic changes resulting from rising medical costs. The Culver City population sustained a growth of 47% between the years 1990 and 2000 (â€Å"City Population,† p. 2). The records of the Culver City Redevelopment Agency reveal that the population of the city is 39,119. On average, there are about 16,826 households represented in the area, and the income for the average household is about $76,013 per annum. The income for the average family household amounts to $90,930. The Culver City trade area extends beyond this. If the area considered extends to a three mile radius beyond the hub of the city, the population increases 305,287 and boasts an average family income of $79,689. Within a five mile radius live about 852,147 people, and the inclusion of this population brings the average household income back up to $87,820. The median age of Culver City is 40, and 84% of all the adults of this city have attained at least a high school education. Thirty five percent of these adults have also attained at least a bachelor’s degree in higher education. The population is distributed mainly among persons of Caucasian, Hispanic, African American and Asian origins. Forty-six percent of the inhabitants are white, 25% are Hispanic, 12% are Asian and another 12% are African American. The remaining 5% are of unknown or â€Å"other† origin (â€Å"Demographics†). In Culver City is a rather prosperous community. Only 2. 96% of the population earns less than $20,000 per year. Those who live on an amount between $20,000 and $50,000 amount to 13. 46% and another 22. 37% live within the next tier level, between $50,000 and $75,000. Seventeen percent live on $75,001 to $100,000, and a third of all the people live on an income higher than $100,000. Approximately 16% of the Culver City residents are over sixty years old (â€Å"Demographics†). For strategic management purposes it is dangerous to consider the over-65 group as a homogeneous one (Willging, 2003). Shifts in demographic and increases in lifespan have changed the make-up and the desires of the aging population (Ginter, et al. 2006, p. 6). The senior citizens and retiree demographic in Culver City has been divided into three groups for the sake of consumer analysis. The retirement group has a median income of approximately $53,000 which is about $11,000 higher than the national average. Non-whites are represent about 43% of this group and approximately 35% of this group has attained a bachelor’s (or higher) degree. This group is likely on average to spend a mid-to-high amount on entertainment, but spends a bit lower on average on health care, presumably because not all retirees are senior citizens (Artsmarket, 2002, p. 12-13). The active senior singles group has a median income of $32,000, which is also higher than the national median. They participate in many health activities and have a medium-to-high likelihood of spending money on health. The portion of none whites in this group is approximately 22%, and 25. 7% percent of the members of the active senior singles group have attained college degrees (Artsmarket, 2002, p. 14-15). The prosperous older couples group has a median income of approximately $67,500, which is an astounding $32,000 higher than the national median. Thirty percent of these have attained bachelor’s degrees (or higher) and people of color make up 29 % of the group. Their likelihood of spending on health care is in the high range (Artsmarket, 2002, p. 16-17). The city’s economic situation presents costs and benefits to any prospective nursing-home business venture. The fixed costs of entering the market would be considerable, but the increased unemployment rate (up from 3. 9 percent) would make the price of labor a little more affordable than in recent years. A favorable thing for businesses is the tax rebate program that has been instituted by the city to encourage new business. This grants them tax relief from either business or utility users’ tax (â€Å"City of Culver City, 489). A new entrant into the nursing home industry in Culver City must consider the quality of care that is to be provided by that business entity. The general problems with funding being experienced by nursing homes across the country has led not just to many law suits and eventual bankruptcy, but to the loss of customers to competitors (Day, 2005). Culver City customers also require not just a variety but quality of service. Variety will be an asset; however, as there is great intensity of rivalry among existing organizations, and the nursing home industry is experiencing rapid growth driven by the demographic and social trends mentioned above. It must be noted, for example, that a good portion of the seniors are educated, and â€Å"educated seniors tend to be more knowledgeable and have higher expectations of a facility† (Willging, 2003). The significant portion of non-whites must also be considered and real attempts made to cater and appeal to them. In addition, it must be noted that a vast majority of these seniors have lived active lives; therefore, facilities which cater to this would be magnetic to their tastes. The competitors in the Culver City nursing home industry, though they provide adequate care and the necessary facilities, can be categorized into four groups that denote they quality of service they offer as well as the level of reimbursement that they require for those services. For this service area nursing home facilities are pursuing four basic strategies: high price with highly specialized services (strategic group 1), low price with few ancillary services (strategic group 2), medium price with some services, (strategic group 3), and high price with many services (strategic group 4). Customers who seek the attributes of one strategic group, such as highly specialized rehabilitation services, are unlikely to be attracted to another strategic group. A good idea for a newcomer in the nursing home market is to choose the group to which it is best able to cater, and possibly to diversify the scope of the service by offering one or two (not many) extra services. Then, concentrate on providing the best service possible in that group. Diversity does exist in the consumer groups, but this information must be acted upon with care. Early retirees, for example, who might need nursing home care, may not yet qualify for state or federal assisted care (Clinton, 1993). Medicare and Medicaid provide full coverage to only about 9% of seniors, and many are forced to pay out of pocket (Day, 2005). The figures have shown that many Culver City seniors can afford this, but paying out of pocket means that the consumers will be even more unlikely to accept less than the best care. This look at the nursing home industry as it exists in Culver City has revealed that, though a â€Å"buyers’ market† exists and the competition is very high, a newcomer in the market might still have a chance to win a significant market share. This must be done by paying attention to the demographic as well as the economic situations that have the power to affect the market. The psychographic and demographic aspects show that a diversity of services must be offered and that any newcomer desiring be successful in such a competitive and demanding market must be willing to (carefully) diversify. References ArtsMarket. (2002). City of Culver City: Acorn Cluster Lifestyles and Local Profiles. Bozeman: Author. www. artmarket. com City of Culver City. (2004). â€Å"Fiscal 2004-05 Adopted City Budget. † Budget and Finance. Author. http://www. culvercity. org/citygov/budgetfinance/depts_budgfinanc. html â€Å"City Population. † (2001). Redistricting Committee. Oregon State Legislature. http://www. leg. state. or. us/comm/redistricting/citypop. pdf Clinton, Bill. (1993). Remarks and a question-and-answer session with the AARP on health care in Culver City, California. Weekly compilation of presidential documents. News and Society. http://www. findarticles. com/p/articles/mi_m2889/is_n40_v29/ai_14550594 Day, Thomas. (2005). â€Å"About Nursing Homes. † Guide to long term care planning. National Care Planning Council. http://www. longtermcarelink. net/about_nursing_homes. html â€Å"Demographics. † City of Culver City. http://www. culvercity. org Ginter, P. M. , Swayne, L. E. and Duncan, W. J. (2006). Strategic management of health care organizations. 4th ed. Malden: Blackwell. Pandya, Sheel. â€Å"Nursing Homes. † Policy and research for professionals in aging. AARP. http://www. aarp. org/research/longtermcare/nursinghomes/aresearch-import-669- FS10R. html Redevelopment Agency of Culver City. â€Å"Community Profile. † City of Culver City. Culver City: Government. http://www. culvercity. org/citygov/redevelop/demogr. html Willging, Paul. R. (2003). â€Å"Don’t let demographics fool you. † Nursing Homes. Aug. 2003. http://www. findarticles. com/p/articles/mi_m3830/is_8_52/ai_108198554

Saturday, October 26, 2019

Exploration of Brain Processes in Reading

Exploration of Brain Processes in Reading Studies into the human cognition of reading tend to use Experimental Cognitive Psychology and Cognitive Neuroscience and Cognitive Neuropsychology approaches for developing further knowledge of the processes involved in the reading of language. The experimental cognitive psychology approach designs laboratory experiments to reveal the processes which are involved in the human cognition being researched. The experiments are considered to be a scientific way of researching, as they are highly controlled. (Eysenck and Keane 2010) Using this approach in understanding the processes of reading, involves the use of certain tasks in order to study these processes. The cognitive neuroscience approach involves intensive studying of the brain and behaviour. Due to advances in technology, there are now many different techniques available for studying the brain. These techniques obtain detailed information about the way the brain functions and the structure of it. From these techniques researchers can work out where and when in the brain specific cognitive processes occur, as well as determine the order in which parts of the brain become active when a person performs a task. Researchers can also find out whether tasks involve the same parts of the brain in the same way, and establish if there are any important differences in the parts of the brain used. (Eysenck and Keane 2010) Cognitive Neuropsychology looks at the patterns of cognitive performance shown by brain – damaged patients, as this can tell us a lot about human cognition. For example, Epelbaum et al (2008 as cited by Cummine, Dai, Borowsky, Gould, Rollans and Boliek 2013) observed a patient who had developed pure alexia; this is the ability to perform letter by letter reading, but not whole word reading. The patient developed alexia following a small surgical lesion which damaged the left interior longitudinal fasciculus (ILF) just behind the putative visual word form area (VWFA). Hanley and McDonnel (1997 as cited by Eysenck and Keane 2010) studied Patient PS, who understood the meaning of words when reading, but could not pronounce them. From this research it was suggested that phonological processing is accessed after word meaning when reading. However, there are issues with using this approach to explaining reading and the processes which are involved, as sometimes the impact of brain d amage on cognitive performances may be camouflaged because patients can develop compensatory strategies. Reicher (1969 as cited by Eysenck and Keane 2010) studied the word superiority effect, by briefly presenting a letter string followed by a pattern mask, participants then had to decide which letter was in a particular position. Reciher found that participant’s performance was better when the letter string formed a word. Rayner and Sereno (1994 as cited by Eysenck and Keane 2010) studied word recognition to assess whether this was automatic or not, they found the Stroop effect, this is when a colour e.g. ‘Orange’ is printed in a different colour e.g. Red, they found participants took more time to answer than when the colour was printed in either the same colour font or just in black, suggesting that we are not consciously aware of word recognition. Rastle and Brysbaert (2006 as cited by Eysenck and Keane 2010) carried out a meta-analysis of various studies of participants completing lexical decision and naming tasks. From the analysis it was found that when words were preceded by primes similar to them in terms of phonology they were processed faster than those words similar to them in terms of spelling. These findings suggest that phonological processing occurs automatically and rapidly. Yates (2005 as cited by Eysenck and Keane 2010) used both lexical decision making and naming tasks within their research, to support the assumption that phonological processing is used in visual processing. Yates’s research found that within both of these tasks, when words which have many phonological neighbours (words which differ in one syllable from each other) are fixated on for less time than those with fewer phonological neighbours. There are a number of issues and limitations within the experimental cognitive psychology approach. Often, the cognitive tasks involve the use of a complex mixture of different processes and it is hard to interpret the findings, for example, the Stroop Effect mentioned above, it is difficult to interpret what processes are actively involved in interpreting the colour of the word and reading it. Often the way the studies are controlled can limit how ecologically valid they are, for example in the lexical decision tasks participants have to decide if a string of letters forms a word and in the naming tasks they have to as quickly as possible pronounce visually presented words. Within these tasks normal reading times of participants are disrupted by the requirement to respond to the task, therefore can the results be generalised to real life and the wider population? Also, as both of the tasks, are not tasks we often engage in when reading normally, this can also impact on how true to real life the results are. There are also issues when interpreting the task performance results, as it provides us with indirect evidence about the internal processes involved in the cognition of reading, and it is difficult to decide at what time processes occur, whether they are at the same time, with some overlap, or at different times. For example, in Rastle and Brysbaert’s study it is unsure from the results whether phonological processing occurs before word meaning is accessed. However, this can often be clarified by using brain imaging techniques. Khateb and Annoni et al (1999) recorded event related potentials (ERP’s) during a semantic and a phonological reading task to determine the time period when semantic and phonological processing start to differently activate the neuronal language network in the brain. From the results the researchers found that these differences did not significantly occur. Event related potentials are linked to the use of EEG which is based on recordings of electrical brain activity measured at the surface of the scalp; ERP is a way of resolving one of the limitations of the EEG technique. ERP involves presenting the same stimulus to participants several times, as this resolves any spontaneous or background brain activity from obscuring the impact of the processing of the stimulus on the recording. ERP’s have a number of strengths in terms of their contributions towards research. They provide good temporal resolution, can indicate when a given process occurred to within a few milliseconds, e.g. in Khateb, Annoni et al’s study the difference between activation of semantic and phonological processing was only for 100 milliseconds. This technique also provides detailed information about the time course of brain activity, compared to a lot of other techniques. However, the technique does not precisely indicate which regions of the brain are m ost involved in processing. Cao, Bitan and Booth (2008) used dynamic casual modelling (DCM) and MRI to examine the effective connectivity between three regions in the left hemisphere of the brain in children with and without reading difficulties when completing a rhyming judgement task. The researchers found that the modulatory effect from the left fusiform gyrus to the left inferior parietal lobule was weaker in children with reading difficulties when completing the conflicting trials of the rhyming judgement task (where the words had either similar orthography but different phonology, or had different orthography and phonology). Another finding is that the modulatory effect from the left fusiform gyrus to the inferior frontal gyrus was significantly greater in conflicting trials than non – conflicting trials in the children in the control group; however, this was not apparent in the children with reading difficulties. The final finding was that the modulatory effect from the left inferior frontal gyrus to the left inferior parietal lobe and the bidirectional modulatory effects between the left inferior parietal lobule and medial frontal gyrus were positively correlated with reading skills in the control group of children only. MRI tells us about the structure of the brain by using radio waves to excite atoms in the brain, which produces magnetic changes which are detected by a large magnet; these changes are then interpreted by a computer and changed into a very precise 3d image. However, as most cognitive psychologists wish to look at the functions of the brain rather than the structure, MRI can be a limited technique to use when studying human cognitions. This can be resolved though by using the fMRI technique which looks at the functions of the brain. Meyler and Keller et al (2007) used fMRI to examine brain activity during a visual sentence comprehension task among poor and high ability readers. Meyler and Keller et al used a higher level comprehension task in order to expand on previous research which found a reduced or absent activation in the left parietotemporal and occipitotemporal cortices in individuals who suffer from dyslexia or have a low reading ability. The results form Meyer et al’s research found that poor reading ability was associated with reduced activation in those areas compared to those of higher reading ability. There was also a positive linear relationship between reading ability and cortical activation in Wernicke’s area, the right inferior parietal lobule, and the left post central gyrus. Mechelli and Crinion et al (2005) using fMRI wanted to build on the theory that readers employ word specific knowledge and general information about how a combination of words corresponds to phonological representations by exploring how neuronal interactions within the reading system are influenced by word type. The pars triangularis showed increased activation for exception words compared to pseudo words, however, in the dorsal premotor cortex, increased activation was found for pseudowords compared to exception words, and finally the pars occercularis showed increased activation in exception words compared to regular words, and for pseudo words compared to regular words. Bavelier et al (1997 as cited by Pinel 2011) used fMRI to measure the brain activity of participants whilst they read silently. The fMRI used in this study was particularly sensitive meaning that the researchers could identify areas of activity more accurately than in previous studies. The researchers recorded brain activity during the reading of sentences. The participants completed in periods of silent reading followed by a control period where they were presented with strings of consonants, which served as a basis for determining those areas of cortical activity associated with reading. Bavelier at al found in the lateral cortical surfaces which were monitored that there was a difference in the cortical activity. The results showed tiny areas of activity separated by areas of inactivity, these patches of activity were variable, and differed between participants, and from trial to trial on the same participant. Although some of the activity was observed in the classic Wernicke â₠¬â€œ geschwind area, it was widespread over the lateral surface of the brain. It was found that there was significant activity in the right hemisphere, however considerably more activity was detected in the left hemisphere. FMRI assesses distortions in the local magnetic field and provides a measure of the concentration of deoxyhaemoglobin in the blood. This technique shows temporal and spatial resolution at a higher level than PET. However, there are flaws with this technique as it provides an indirect measure of underlying neural activity. Also, as this technique involves the participants being encased into a scanner, some participants can feel uncomfortable, find it upsetting and experience side effects (Cooke, Peel, Shaw, Senior 2007 as cited by Eysenck and Keane 2010). The use of the experimental cognitive psychology approach provides a good basis for cognitive neuroscience research to study further, as although it can provide some explanation for what processes may be involved in reading, it cannot provide specific information on what part of the brain these processes occur in, or in what order and so forth. By combining both the experimental cognitive psychology and cognitive neuroscience approaches, more in depth research can be conducted. For example, Cao, Bitan and Booth’s study with combines the use of DCM, MRI and a rhyming judgement task provides more information and explanations for poorer reading abilities. Or Mechelli and Crinion et al’s research combined the use of fMRI and a phonological task finding that there are distinct regions within the left prefrontal cortex activated differently depending on the word type being read. Finally, the use of cognitive neuropsychology provides explanations for the processes involved in reading by studying patients with brain damage who have issues in certain cognitions presumed to be involved in reading, and examining which parts of the brain are damaged. Word Count: 2071 References: Cao, F., Bitan, T. and Booth, J. (2008) ‘Effective brain connectivity with reading difficulties during phonological processing’ Brain and Language Vol. 107 pp. 91 – 101 [online] Cummine, J., Dai, W., Borowsky, R., Gould, L., Rollans, C. and Boliek, C. (2013) ‘Investigating the ventral – lexical, dorsal – sublexical model of basic reading processes using diffusion tensor imaging’ Brain Structure and Function Vol. 218, No.6 [online] Eysenck, M. and Keane, M (2010) Cognitive Psychology A Student’s Handbook 6th ed. New York: Psychology Press Khateb, A., Annoni, J-M., Landis, T., Pegna, A., Custodi, M-C., Fonteneau, E., Morand, S. and Michel, C. (1999) ‘Spatio-temporal analysis of electric brain activity during semantic and phonological word processing’ International Journal of Psychophysiology Vol.32 pp. 215-231 [online] Mechelli, A., Crinion, J., Long, S., Friston, K., Lambon Ralph, M., Patterson, K., McClelland, J. and Price, C. (2005) ‘Dissociating Reading Processes on the Basis of Neuronal Interactions’, Journal of Cognitive Neuroscience, Vol17. No.11, pp 1753 – 1765 [online] Meyler, A., Keller, T., Cherkassky, V., Lee, D., Hoeft, F., Whitfield-Gabrielli, S., Gabrielle, J. and Just., M (2007) ‘Brain Activation during Sentence Comprehension among Good and Poor Readers’, Cerebal Cortex, Vol 17. No.12, pp. 2780 – 2787 [online] Pinel, J. (2011) Biopsychology 8th ed. Boston: Pearson Education

Friday, October 25, 2019

Problems in Air Traffic Control and Proposed Solutions Essay -- Aviati

Problems in Air Traffic Control and Proposed Solutions In northern California this summer, the Federal Aviation Administration (FAA) unintentionally performed it's first operational test of "free flight"; aviation without direct air traffic control. This was an unintentional experiment because it was a result of a total shut-down of the Oakland Air Route Traffic Control Center (ARTCC). Although Oakland is only the 16th busiest ARTCC, it's responsible for the largest block of airspace of any ATC facility; 18 million square miles. Oakland directs all upper-level flight from San Luis Obispo, California to the California/Oregon boarder, including most Pacific oceanic routes. The failure happened at 7:13 a.m. local time during the morning "departure push". Controllers estimated there were 60-80 aircraft under their control when the power died. All radar screens went dark and all radios went silent. It took 45 minutes to restore radios and bring up a backup radar system. It was more than an hour before the main radar presentations came on line. One controller described the sudden quiet in the control suite as "the loudest silence I've ever heard" (UPI , 1995). He went on to say there was "panic on everybody's face" as they realized they had been rendered deaf, dumb, and blind by this catastrophic equipment failure. It took a few minutes for controllers to realize the shut-down had affected the entire facility. There was no book procedure to cover this emergency scenario, so most controllers improvised. Controllers in adjourning Los Angeles, Salt Lake, and Seattle ARTCCs and various Terminal Radar Approach Controls (TRACON; the level of radar coverage below upper-level ARTCC radar) were asked to take control over all airspace within their radar coverage, and divert aircraft under their control inbound to Northern California. Control towers in San Francisco, Oakland, San Jose, Sacramento, and other airports in the area were instructed to hold all IFR departures on the ground. The most difficult problem was getting notification to the airborne flight crews. In one case, controller Mike Seko said, "We had Napa tower telling high altitude aircraft Oakland Center had lost everything, and to switch to emergency frequencies" (Seko, UPI, 1995). But most airborne aircraft on Oakland Center frequencies were in a state of "l... ...ly privatize it, another to rework it from within, and a few other variations of those. Legislators have their own reasons to support certain bills; is our safety one of them? The Federal Times editorial sums up an everyday controllers concern. He's the one working with that aged computer equipment, he's the one working the unnecessarily long shifts, he's the one scared every day his screen will go dark during the morning rush hour. I would be inclined to listen very closely to his concerns and follow his recommendations towards a solution. The FAA's Quality statement declares the agency as an organization dedicated to "eliminating barriers, improving communication, providing additional opportunities for training, and constantly encouraging all personnel to seek ways to improve". The FAA is proud of its Quality activities because they "foster such initiatives as continuous improvement of work processes, empowerment of employees, partnering of labor and management, and re- engineering". (World Wide Web FAA Home-page, 1995) These are very lofty goals that always require improvement. But will disaster strike before their processes gets us a new ATC system?

Wednesday, October 23, 2019

My First Day in School

Today also when I recall my old memories of school I become delighted and happy. First day of my school when I admitted in class I. When first time I entered in my school numerous felling were aroused in my mind and i was felling nervous and bit tensed. Although I was not a brilliant student not knowing even alphabets my teachers helped me in learning the alphabetsThat was the time when my first class began Manisha Ma’am entered in the class room every student stood up and greeted good morning Ma’am in return Ma’am replied very good morning sit down I also followed them Ma’am teaches us alphabets and how to use those alphabets in formulating the sentences and words then bell rang Ma’am went outside. Again next teacher entered in the class room and we stood up and greeted good morning Ma’am. Ma’am did not recognised my face as she had never seen me before in the class she immediately asked me the question very politely â€Å"Is this yo ur first class? I replied yes Ma’am then she asked my name I answered â€Å"Rashda Khanam† she said ok Rashda sit down her name was Priyanka very soft, polite and beautiful too. Again the bell rang this time nobody entered in the class room and every student went away along with their lunch box. My mother also gave me the lunch box filled with alu paratha and tomatao chutney. I opened the box and started eating, suddenly my one of my classmate again entered in the class room and said me very politely â€Å"why are you seating alone? come outside I went outside with her along with my lunch box and water bottle hanging in my neck, we all shared our lunch and I became friendly with everybody in the first day of my school, bell rang recess over every body were settled down at their respective places and waiting for the next teacher to come, within 5 mins miss Angilee entered in the class room and asked for the assignment she assigned previous day I found the teacher trict I was seating silently, miss wrote some arithmetics on the blackboard 45 mins passed bell rang every body came out from the class waited for their guardian at the door to come and took them. I saw my father was standing outside with chocolate ice-cream my favourite and then happily I reached my home and shared my first day experience with my parents. So this was my first day school and I am very pleased in recalling that day.

Tuesday, October 22, 2019

Physics Lab Report What Keeps a Stopper Moving in a Circle Essays

Physics Lab Report What Keeps a Stopper Moving in a Circle Essays Physics Lab Report What Keeps a Stopper Moving in a Circle Paper Physics Lab Report What Keeps a Stopper Moving in a Circle Paper Practice whirling the stopper in a horizontal plane until you can keep the paper clip a short distance just below the bottom of the tube. If the paper clip touches the bottom of the tube, then the clamp is no longer supplying the centripetal force. If the paper clips rises or falls appreciably as the stopper whirls then the radius of the circle is changing. B. Constant Radius and Variable Speed 3. With the paper clip against the tube and the string pulled taut, measure the length of the string from the top of the tube to the stopper. Record this as the radius, r, for all three data runs in 4. Whirl the stopper while maintaining a constant force reading on the scale. Once you obtain a constant force, start the stop watch and continue the whirling while monitoring the force. Stop the stopwatch after 30 rev. 5. Record your force and time in data table 1, data run 1. 6. Increase the rate of whirling while maintaining the clip just below the bottom of the tube, and observe what happens to the tension measured by the spring scale. It should increase. Repeat step 4 t this higher spring force. 7. Record your force and time in data table 1, data run 1. 8. Repeat step 6 and record the data in table 1, data run 2. C. Contact force and Variable Radius 9. Change the position of the paper clip to decrease the radius uniform circular motion for the stopper. Try to get as small a radius as you can and still be able to maintain a constant force. 10. Whirl the stopper while maintaining a constant force on the scale. Start the stop watch and continue the whirling while monitoring the force. Stop the stopwatch after 30 rev. 11. Record your force and time in data table 2, data run 1. With the paper clip against the bottom of the tube and the string pulled taut, measure the length of the string from the top of the tube to the stopper. Record this as the radius, r, in table 2, data run 1. 12. Change the position of the paper clip to increase the radius uniform circular motion for the stopper. Repeat step 10 at the same spring force as data run 1 . 13. Record your force and time in data table 2, data run 1. With the paper clip against the bottom of the tube and the string pulled taut, measure the length of the string from the top of the tube to the stopper. Record this as the radius, r, in table 2, data run 2. 14. Repeat step 12 measure the length of the string from the top of the tube to the stopper. Record this as the radius, r, in table 2, data run 2. Number of Revs 30 Table 1 Time ass IIS as Radius 0. 3 m 0. Mm Table 2 8. 94 s ass 0. 1 m 0. 2 m 3. 4. 1 . What does your data show about the relationship between centripetal force and change in speed at a constant radius of circular motion? 1 . As the speed increases the centripetal force also increases. 2. What do your data show about the relationship between radius of circular motion and change in speed at a constant centripetal force? 2. As the radius increases so does the speed of the stopper. 3. Analysis the resulting plot. Is there a pattern? If so what does the pattern mean? 4. Formulate an equation for the relationship between the spring force and the centripetal acceleration of the stopper. What does this equation tell you about the spring force? This shows that the spring force is in direct relation to the centripetal force. 5. Justify the method of recording time for 30 rev to minimize the error associated with calculating the speed of the stopper. In other labs you have used multiple data runs and averaged the data to minimize the random error associated with measuring. Why did you not have to do that on 5. To get the most accurate time we had the person timing also count the revolutions of the stopper. And we didnt have to do multiple data runs because the time is the least important In this lab we found that the variables of circular motion are directly related. We accomplished our goal which was to relate the variables involved in uniform circular motion. I also proved my hypothesis incorrect, my hypothesis was that the velocity of the stopper will increase as the radius is shortened, which in fact as the radius was shortened the velocity decreased. In this lab there were several sources of error, the stopper was spinning so fast we may have miss counted how many revolutions it had, and the force was not constant the entire time.

Monday, October 21, 2019

Teenage Capital Punishment essays

Teenage Capital Punishment essays The U.S. Supreme Court will later this year hear a case that will use our scientific advantages to determine the outcome. Researchers are looking further into whether a teenager convicted of murder should receive capital punishment or not. J. Anthony Movshon, a neuroscientist from New York University, said [the] brain data [that we have collected] create [s] reasonable doubt that a teenager can be held culpable for a crime to the same extent that an adult is. The researchers believe that the delayed frontal-lobe maturation of teenagers may affect their ability to make long-term plans and control their impulses, which means that the teenagers convicted of murder may not be completely culpable for their crimes; their brain development (or lack of) may be also to blame. Although much evidence supports this theory, Kagan, a Harvard researcher, logically argues that if incomplete brains automatically reduce adolescents capacity to restrain their darker urges, we should be having Columbin e incidents every week. The researchers supporting the theory that teenagers shouldnt receive capital punishment for murders tested and found that most teenagers are unable to identify emotion from facial expression due to an undeveloped section of the brain called the amygdala. Due to the fact that the amygdala is not fully functional in most teenagers, they could also mistake some emotions for threats, which may drive them to murder. This article will directly affect juveniles convicted of murder, but may also change how society looks at the teenage brain. If the research done does end up being true, then society may see that teenagers are not just like adults, but not because of hormones, because of their underdeveloped brain. In this article, this issue is addressed as a life-or-death problem, which is true because whatever the Supreme Court decides could determine whether some teenagers live or die. I liked ...

Sunday, October 20, 2019

The Development of Package Tours and Long Haul Destinations Essays

The Development of Package Tours and Long Haul Destinations Essays The Development of Package Tours and Long Haul Destinations Essay The Development of Package Tours and Long Haul Destinations Essay Essay Topic: A Long Way Gone Amadeus Fear Of Flying Package holidays have developed over time, these package holidays have grown with the increasing need of tourists. Package holidays include accommodation, transport and catering. After World War II in 1949, there was an appearance of the first jet airline. Entrepreneurs realised that there was a need for planes to transport passengers; this saw old military planes being transformed into charter flights. One of the first entrepreneurs was Vladimir Raitz, who in 1949 set up his own travel company called Horizon Holidays. He used a DC3 to carry thirty-two passengers to Corsica; this was the first package holiday, however, airfares were expensive, which meant that people continued to travel by steamship. Horizon Holidays in the meantime continued to grow by offering charter flights to Palma, Malaga and Tangiers. It was only in 1952 that airlines introduced the first tourist fares and in 1958 the first economy fares were offered. During the 1960s there was a growth in the amount of people who were travelling. People were able to afford holidays and employers offered paid holiday leave. It was during this time that more people became involved in the travel and tourism industry, and it became harder for tour operators to make a profit. As tourists began to book holidays, both the hoteliers and the airlines began to demand money in advance. On the other hand, to attract more customers, more money was spent on brochures and publicity. This forced tour operators to turn to banks for loans to cover the time between holidays being planned and sold. Bigger tour operators were able to convince hoteliers to build ski scrappers to accommodate more people, it was at this time that tour operators realised that aircrafts had to be improved and safety records had to be increased in order to attract more customers and overcome their fear of flying. During the 1970s more and more people were comfortable with flying, which saw the Transport Licensing Board receive more applications for route licences to transport their customers. It was in 1974 that there was a recession, which saw the price of oil double; the result of this was in the short term some countries saw a decrease in their visitor arrival figures but in the long run there was a rise in the number of inclusive tours sold. This was a shift, away from hotels to cheaper self-catering accommodation. In the 1980s there was a rise in exchange controls, which allowed tourists to travel for as long as they wanted without running out of money. Employers continued to give their employees paid holiday leave, which led to the expansion of winter sun and winter ski markets. There was also a growth in the city breaks market and long paid holidays and cheap airfares led to an increase in long haul package holidays. In the 1990s tourists had become more aware of package holidays and what was included, therefore they were expecting more e.g. quality hotels. People were also more conscious of environmental issues e.g. in May 2002; the Balearic Islands introduced a Euro per day eco-tax. There has also been an increase in eco-packages for tourists (World Tourism Association). Smaller specialist tour operators have found it difficult to compete with the bigger countries that offer cheaper prices. Long haul destinations are destinations that are more than five hours travelling time from the UK. Originally long haul holidays were considered a luxury, as it was expensive and time consuming to get to the destination and at this stage only wealthy tourists were able to experience long haul holidays. Over time, charter operators began to introduce scheduled flights on long haul routes and they used large modern aircrafts, which were capable of flying long distances without re-fuelling. With an introduction to these charter routes, they were able to offer cheaper airfares, which contributed to the growth of long haul holiday destinations. There was also a growth in self-catering resorts at the long haul holiday destinations. As tourists are prepared to sit on longer flights and in some cases transfer flights, they are reaching out to different long haul destinations. Three key long haul destination holidays are: * North America (USA and Canada) * Australasia (Australia and New Zealand) * Caribbean (Jamaica, St. Lucia and Barbados) They all have proved to be very popular with the British tourists. Kenya is another leading destination that offers safaris, beach holidays or a combination of both to tourists. Technological Innovations in the Travel and Tourism Industry: In the travel and tourism industry between the 1950s and today, there have been a number of technological developments. The two main areas involved are: transport technology and communication and information technology. Through improvements, transport technology has revolutionised passenger travel. Today a large number of passengers are transported by aircrafts, ships and trains quickly, safely and cost effectively. Technological advances and aircraft design, after World War II has seen air travel become a mass-market. The potential for air travel through the development of the jet engine meant that travel was fast, comfortable and affordable. It saw the joining of the tour operator and inclusive tour/package holiday become one e.g. Thomson Holidays Ltd offer combined transport accommodation, meals and resort services as one. The Boeing 707 jet airline service was first introduced in 1958 and has seen many improvements up to now, which has resulted in improved transport and has opened the market to foreign holidays. The foreign market was opened as these planes/aircrafts could carry more passengers quickly and cost effectively over longer distances. Other transport technology includes rail and ferries e.g. Eurostar, PO Ferries, Hover Speed and Brittany Ferries. They have all improved their services and lowered their prices. Smaller airline companies, such as; Ryan Air, Easy Jet and Go offer low price tickets in order to retain a market share. Communications and information technology has allowed major airlines to use computers as soon as soon as they became commercially available in the 1960s, to try and automate reservation operations. The British Overseas Airways Co-operation (BOAC) took the first step towards computerisation and they developed the Electronic Reservation System (ERS). IBM and Sperry Univac were working with emerging database software to try and improve on the Passenger Airline Reservation System- (PARS). Later, IBM developed the International Passenger Airlines Reservation System (IPARS) to accommodate the growth of international air travel. Computer Reservation Systems (CRS) and Global Distribution Systems (GDS) revolutionised airline tickets, package holidays, hotel accommodation and other travel and tourism products. GDS were developed from individual airline reservations, which have merged/amalgamated into four major global reservation systems; they are, Sabre, Galileo, Amadeus and World Span. This has allowed co-operations such as, Thomson Holidays Ltd to operate throughout the world and develop partnerships with agencies and tour operators. The CRS have given airlines an advantage as it allows travel agents to use reservation terminals to book seats, which means there is an increase in seat sales for the airlines and a reduction in the operating expenses. On the other hand, travel agents have a competitive advantage, as it is quicker and cheaper to make an airline reservation by a computer terminal than by telephone. The development of the Internet and interactive digital television, has allowed consumers to make their own travel purchases, because of this many airlines, tour operators and travel agents now have on-line bookings. Changes in Socio-Economic Circumstances: Since World War II there have been many factors, which have contributed to the growth of the travel and tourism industry. They are: An increase in the time available for travel activities- legislation dictates that employees are entitled to a paid holiday once a year. In 1951 sixty-six per cent of manual workers were allowed two weeks paid holiday leave, by 1970 fifty-two per cent of workers had three or more weeks paid holiday leave and by the 1990s holiday entitlement had risen to four or five weeks per year. The entitlement of paid holiday leave has helped the UK travel and tourism industry to grow, as consumers now take short holiday breaks in addition to their main holiday. In the 1950s the average working week was fifty hours but now typical hours range from thirty-seven to forty hours per week. This allows workers more flexibility in their jobs and working hours. Increase in disposable income- disposable income is the money that the average person has left over once all the bills are paid. In the UK disposable income has risen, which has led to an increase in consumer spending on holidays and in the travel and tourism industry. The state of the economy affects the amount of disposable income that consumers have, in the 1980s there was an economic boom in the UK, which led to a demand for overseas travel but the early 1990s saw a recession in the UK, which led to a decrease in demand for tourism products. The column graph below shows the increase in disposable income in the UK: Source: Social Trends 31 Improved transport systems and mobility- the UK has a wide and varied transport network, which means that most people have access to some form of transport. This transport network has made travel and tourism facilities more accessible. Car ownership is responsible for the increase in tourism as it is a means of transport for domestic holidays in the UK. The Channel Tunnel has led to an increase in car holidays abroad and the improvement in road networks has allowed access to countryside leisure activities. The column graph below shows the increase in car ownership per household in the UK: Source: Social Trends 30 Changing Needs, Expectations and Fashions: Overtime the travel and tourism industry has gone through many changes, these changes have been dictated by changing customer needs, expectations and the changing fashions. Throughout the ages there has been an improvement in technology e.g. aircrafts have become faster and quicker, this has led to customers changing their holiday destinations from local places to exotic locations. In the 1960s, UK residents tended to have short holiday breaks, mainly at the seaside and holiday centres at this stage were very popular as they catered for all tourists needs e.g. accommodation, catering and leisure activities. As aircraft technology made air travel accessible and affordable for tourists, they started taking holiday breaks abroad and for longer periods of time. Tourists started expecting affordable holidays to destinations such as, Spain and Portugal, which led to the introduction of package holidays. As tourists travelled more often to short haul destinations, they started to develop a desire to explore further a field, which has led to increased long haul holidays. Tourists expectations of air travel and their desire to travel further in the quickest time has led to the improvements in aircrafts and the introduction of planes, such as the Concorde. Once tourists have reached their chosen holiday destination, they expect all their needs to be fulfilled. Different needs by tourists has led to different holiday packages being introduced e.g. full board, half board, bed and breakfast, self-catering etc. Tourists expect the place they are staying at to provide adequate accommodation (price paid is in line with board offered), the food provided is what tourists would like to eat and the activities offered encourage leisure and recreation.

Saturday, October 19, 2019

Radiation Exposure and Radiation Diasters Affecting Marshall Island Research Paper

Radiation Exposure and Radiation Diasters Affecting Marshall Island - Research Paper Example The effects of radiation while dealing with radioactive material were demonstrated. The guidelines and limits were not established since the experience with radiation exposure was not enough to come up with a standard. To test the weapons, Nevada desert was used and underground tests were conducted to prevent massive radiation from affecting the ecosystem. However, as the magnitude of the projects increased, the US required a testing ground to effectively analyze the capabilities of the much higher yield weapons. Marshall Islands were taken from Japan during the Second World War and were administrated by the US under United Nations Trust Territory. These islands in the Pacific consisted of small islets and atolls. They were chosen as a proving ground for the nuclear tests. A total of 67 tests were conducted between 1946 and 1958 (Ferraro & Andreatta, 2012, p. 62). These explosions were mostly atmospheric and changed the ecosystem of the area. The paper will take into account the effe cts of radiation exposure and the magnitude of disaster on the Marshall Islands. Early Tests Two main atolls were used as testing grounds, Bikini and Enewetak. They are separated by 300 kilometers. The population was evacuated to safe distance on other atolls in the region, almost 200 kilometers away from the test sites (Angelo, 2004, p. 388). Bikini atoll alone experienced a total yield of 42.2 megatons during twelve years of testing. From 1946 to 1951, nine tests took place; eight of these tests were atmospheric and the yields were in kilotons, the highest being 225 kilotons (Nuclear Claims Tribunal, 2013). During the period, the fallout was controlled and the population was kept at a safe distance. The effects of these explosions were local and limited to some extent, however, in 1952, the yield drastically increased and 10.4 megaton test was carried out as opposed to kilotons before. The test left a crater of about 1 kilometer in diameter and the area was highly contaminated wit h radiation (CTBTO Preparatory Commission, 2012). The tests contaminated the soil by turning into radioactive materials. Thermonuclear Test The magnitude of tests increased and in 1954, hydrogen or thermonuclear bomb was tested for the first time. The yield was miscalculated and the outcome was almost three times the expected yield (Robbins & Adams, 1985, p. 12). The explosion was rated at 15 megatons and considered to be the most powerful explosion by the US. Furthermore, the wind condition at the test day was towards the population settlement on other islands. These two factors caused extreme radiation exposure to the inhabitants. Even with this exposure the affected community was evacuated two days after the test. Immediate Effects The immediate effect of the test included skin burns and hair loss in many inhabitants on the islands. The nearest island was 150, whereas, the farthest, 570 kilometers from the test site; however, a Japanese fishing boat about 150 kilometers was the n earest to experience the fallout (Lessard, 1986, p. 5). Debris including radioactive soil from the blast was received by the boat and from a crew of 23, one member died. The islands, however, received shower of radioactive particles in the form of ash carried by the wind. About 250 people were directly exposed to the radiation by the radioactive debris. The exact radioactive dose received by the inhabitants could not be determined as the

Friday, October 18, 2019

Journals Research Paper Example | Topics and Well Written Essays - 500 words

Journals - Research Paper Example The problem of decision making that requires an individual to balance between good and bad. While good is not very promising, bad is neither the best option. This signifies a life situation that requires concrete decision making on serious issues. Such situations require an individual to compromise on one aspect or the other, yet the aspect to compromise is not as clear. Visualizing clearly the right decision to make troubles this person. He thinks of taking both opportunities, but there is only one option at a time. Taking either option would mean no opportunity to take the second. However, in every confusing situation, there is always a more promising option. Regardless of how complex the situation in life can be, there is always a better way out. The confused individual looks at both options carefully and takes the best, hoping to try the other, if life allows a chance. This is a poem depicting real life, informing people that compromising situation must occur, and calling for peo ple to ponder more and be decisive. There is more to life than just love. This poem is about the reality of life, telling people that love is not the ultimate solution to the challenges we have, yet it is the most important thing for man. There is a great irony in this poem. First, the impression of the title and the first sentence makes us believe that love is worthless, since it cannot supply man with the very basics of this life. However, this notion changes as the poem progresses, and we come to realize that love is in fact everything. Love is the most coveted thing by man, which overshadows everything else. Many people will not value anything else other than love. Even though an individual may have everything they need in life, all the treasures, all the comfort, all the possessions; lack of someone to love them will make all those meaningless. Love could be there, but people shall always need food and shelter. Love could be there but people still

Response to an Article What is for Sale Essay Example | Topics and Well Written Essays - 1000 words

Response to an Article What is for Sale - Essay Example †). THESIS STATEMENT This essay intends to respond to the thesis and one of the main ideas, emphasising the socio-political implications of such a transition in the human society, as presented in Sandel’s article i.e. â€Å"What Isn’t For Sale.† DISCUSSION Sandel’s article of â€Å"What Isn’t For Sale† fundamentally demonstrates that everything is made up for sale in the present day context. Sandel also illustrates certain instances that clearly depicts that everything made on this earth today is made for the selling purpose. For instance, as argued in the article by Sandel, the immigration rights particularly to the US is sold at $500,000; again, the shooting right to a jeopardised black rhino is sold at $250,000, and astonishingly, the upgradation of a prison-cell is sold at $90 per night. According to Sandel, not everyone can pay towards buying or availing the above mentioned services. However, the renowned college professor strongly realised that there are numerous ways for making huge money that further has ignited the trend of buying anything and selling almost everything in return of a nominal monetary value. ... From a futuristic perspective and with a hint of scepticism, Sandel also argues that the shift of today’s modern society towards which everything is made up for sale might generate worries in the economy that can further be associated with inequality in proper distribution of wealth along with income (Sandel, â€Å"What Isn’t for Sale?†). The above discussed perceptions presented in Sandel’s article drawing a critical judgement of the idea that everything for sale in this modern day context can be supported by a certain degree. This can be justified with reference to the fact that the market economy has radically transformed into a market society in recent times as compared to the preceding years. In this similar context, Sandel differentiated between the two important market concepts i.e. market society and market economy. According to Sandel, a market economy is often regarded as an effective and a valuable tool, which organises productive activity. On t he other hand, a market society is typically recognised as a place, wherein almost everything has been made up for sale or selling purpose quantifying the values of such objects in monetary terms (MacNeil/Lehrer Productions, â€Å"What Money Can’t Buy’ and What It Shouldn’t Buy†). It has often been argued that certain areas of human life have fundamentally become less market-driven, which eventually contributed in generating market society rather than market economy. One of the areas in this similar concern can be associated with reference to the fact that people had effectually paid for their respective spouses with dowries in the traditional period. In the article,

Child Slavery in West Africa's Cocoa Plantations Research Paper

Child Slavery in West Africa's Cocoa Plantations - Research Paper Example The paper tells that it is ironical that while children in cocoa growing countries live a miserable life, large manufacturers in Europe and the US reap huge profits selling chocolates made from cocoa. These children work in almost slave-like conditions while millions of consumers derive pleasure by consuming cocoa products. According to UNICEF, nearly 200,000 children are made to work in West and Central Africa through human trafficking. Mostly, these children are exported from Mali, Nigeria, and Cameroon. The cocoa farms in these countries operate in violation of basic human rights. Cote d'Ivoire and Ghana’s economy largely depends on the cocoa exports and the prices farmers fetch from the international market. International prices are not in their control and the value gain depends on the yield they get from their farms. Much of the work, even today, is done manually and farmers have never thought of exploiting technology to replace manual labor over last several decades due to its easy and abundant availability. At times, weather also plays their role in success and failure of cocoa crops. All these factors, and the traditional way of farmers’ thinking in using manual labor for having the lowest possible cost in producing cocoa, they continue to use child labor as they cost them much lower in comparison to adult labor. Cote d'Ivoire also known as Ivory Coast is the largest producer of cocoa beans followed by Ghana. Most of the child laborers in these countries arrive from Mali. Mali is one of the poorest countries not only in the region but in the world with a GDP of less than $1000 per capita as per the CIA Factbook as on 2010 with over 30% of the population below poverty line. The unemployment rate has been estimated huge 30% as per 2004 estimation. Over 80% people in Mali earn their living from agriculture. With hardly any earning opportunities available Malians are forced to move other neighboring countries. That is why poor families in Mal i agree to send their children to Cote d'Ivoire and Ghana.

Thursday, October 17, 2019

Apology letter for an assault happened two years ago Essay

Apology letter for an assault happened two years ago - Essay Example I have been nurturing these feelings of grief, guilt and repentance ever since I threw coffee on you and hurt you badly. Please, believe me that I am not a habitual binge drinker. I drink occasionally but that night at the club, my friends indulged me in heavy drinking which made me lose my nerves in the morning. I could vividly see a group of girls videotaping me, and that infuriated me. Please, trust me that basically I am a very good natured and calm person. I don’t know why I became so angry that day that I lost my temper and threw a hot mug of coffee on you. I wish I was in my senses. But time has passed, leaving only the repentance and remorse in my heart for my whole life. I cannot undo what I have done. I cannot bring back those moments. I wish I could undo the harm that I have done to you. I know that the physical injury will soon vanish, but the emotional and mental pain that I have caused you will hardly ever go away. All of that is just because of my stupidity and carelessness, of which I am really apologetic. Oh! How I wish I could rewind the time and undo the harm that I have done to you. I am so regretful. I also know that I do not deserve you excusing me, nor do I deserve a mini-second of your time. But please, consider my feelings. I have tried my best to remove from my nature what caused me to bring pain to a human being. I have attended almost over twenty therapy sessions with a psychologist. I have also attended a positive change inner mindset class with a social worker to remove all negativity from my behavior. I have completed almost 500 hours of community service at Salvation Army, breakfast club- a place where poor and homeless people are fed. I have done all this to bring empathy and kindness into my nature. I have also contacted a psychologist for counseling regarding quitting drinking. I really want to change myself. I want to become a person that is compassionate toward others. My assault toward you

Impact of Foreign Direct Investment in an Emerging Market Dissertation

Impact of Foreign Direct Investment in an Emerging Market - Dissertation Example This study will adopt a rational position in evaluating the impacts that FDI flows towards emerging economies, and this will be holistic in order to establish the impacts in either positive dimensions or negative dimensions.  This paper has the main objective as being to measure the impacts of FDI in developing countries in general (without particular preference towards any country in particular). This discussion stresses that there are various and distinct methods that researchers employ while conducting such a research study as the current one. In this section, methodology will be used to refer to the systematic processes that will be adopted in conducting this study for data collection analysis and derivation of qualitative conclusions in answering the lead questions identified. It is however worth noting that research methods are part of the methodologies in any research study. The basis of choosing the various methods that are applied in this study is on first investigating literature through reviewing the methods that have been used in the past while studying the topic of such a related theme. This study notes that many of the past studies on FDI in emerging economies have been done through qualitative and deductive methodologies. This study also adopts a qualitative deductive methodology in analyzing the information presented through the literature reviewed for testing of the hypothesis guiding the study and effectively answering the questions posed for this study.

Wednesday, October 16, 2019

Child Slavery in West Africa's Cocoa Plantations Research Paper

Child Slavery in West Africa's Cocoa Plantations - Research Paper Example The paper tells that it is ironical that while children in cocoa growing countries live a miserable life, large manufacturers in Europe and the US reap huge profits selling chocolates made from cocoa. These children work in almost slave-like conditions while millions of consumers derive pleasure by consuming cocoa products. According to UNICEF, nearly 200,000 children are made to work in West and Central Africa through human trafficking. Mostly, these children are exported from Mali, Nigeria, and Cameroon. The cocoa farms in these countries operate in violation of basic human rights. Cote d'Ivoire and Ghana’s economy largely depends on the cocoa exports and the prices farmers fetch from the international market. International prices are not in their control and the value gain depends on the yield they get from their farms. Much of the work, even today, is done manually and farmers have never thought of exploiting technology to replace manual labor over last several decades due to its easy and abundant availability. At times, weather also plays their role in success and failure of cocoa crops. All these factors, and the traditional way of farmers’ thinking in using manual labor for having the lowest possible cost in producing cocoa, they continue to use child labor as they cost them much lower in comparison to adult labor. Cote d'Ivoire also known as Ivory Coast is the largest producer of cocoa beans followed by Ghana. Most of the child laborers in these countries arrive from Mali. Mali is one of the poorest countries not only in the region but in the world with a GDP of less than $1000 per capita as per the CIA Factbook as on 2010 with over 30% of the population below poverty line. The unemployment rate has been estimated huge 30% as per 2004 estimation. Over 80% people in Mali earn their living from agriculture. With hardly any earning opportunities available Malians are forced to move other neighboring countries. That is why poor families in Mal i agree to send their children to Cote d'Ivoire and Ghana.

Tuesday, October 15, 2019

Impact of Foreign Direct Investment in an Emerging Market Dissertation

Impact of Foreign Direct Investment in an Emerging Market - Dissertation Example This study will adopt a rational position in evaluating the impacts that FDI flows towards emerging economies, and this will be holistic in order to establish the impacts in either positive dimensions or negative dimensions.  This paper has the main objective as being to measure the impacts of FDI in developing countries in general (without particular preference towards any country in particular). This discussion stresses that there are various and distinct methods that researchers employ while conducting such a research study as the current one. In this section, methodology will be used to refer to the systematic processes that will be adopted in conducting this study for data collection analysis and derivation of qualitative conclusions in answering the lead questions identified. It is however worth noting that research methods are part of the methodologies in any research study. The basis of choosing the various methods that are applied in this study is on first investigating literature through reviewing the methods that have been used in the past while studying the topic of such a related theme. This study notes that many of the past studies on FDI in emerging economies have been done through qualitative and deductive methodologies. This study also adopts a qualitative deductive methodology in analyzing the information presented through the literature reviewed for testing of the hypothesis guiding the study and effectively answering the questions posed for this study.

ACT Writing Prompt Essay Example for Free

ACT Writing Prompt Essay When you were in school have you ever came back from vacation and forgot what you have learned? Most kids when they come back from summer vacation they forgot most of the material they had just learned. Or during school students complain â€Å"I want more time off†. No one gets excited about school but if kids were used to getting no summer break then they wouldn’t have the need to want more time off. The traditional three-summer vacation should not be maintained because over summer students forget what they learned, the holiday breaks will be longer, and the students will be able to learn more. See more: The Issues Concerning Identity Theft Essay The three-month summer vacation should not be maintained. Other opponents may argue that students need the summer break to get away from all of the stress of school and that students need more breaks. However, if the three-month vacation was not maintained there would be less stressful situations because there would be more time to do work. Also students would get longer holiday breaks and more half days. Doesn’t it make more sense to have multiple vacation time then one chunk of it? The three-month summer vacation clearly should not be maintained. For instance, during summer vacation students are not thinking about school, the students are thinking about having fun. For example when the students come back to school they do not remember most of the material they have learned. There are many kids out there that hate coming back to school, so they never want to learn or they do not care. But for every new school year in the first few weeks teachers have to review what material was previously taught so the students well remember. That is a waste of time. If there was no summer vacation then the first two or three weeks wouldn’t be wasted on review. In addition, with no three- month vacation the students would be able to soak in a lot more knowledge and actually remember it for college. The students would be able to be better prepared for the feature, since they would be taught with multiple vacation time. For example in college students need to be prepared because college students do not get as much vacation time as high school students do. Also if the students in high school pay attention then college will be easier for them to understand because the professors do not help as much as public school teachers do. In the future the students will not get as much vacation time in their work career. When students come back from summer vacation the kids do not remember what they have learned. That is why school should be year round with no three-month summer vacation because the students forget the material, the holiday breaks would be longer, and the students would be able to learn more. There would be no more complaining about breaks and no more homework every day.

Monday, October 14, 2019

Dopamine Neuron Characteristics

Dopamine Neuron Characteristics Said Mohammed Al Hakmani The question of this assignment Discuss the characteristics of a dopamine neuron and how does this relate to what has been achieved in the culture dish. Introduction In our body a lot of organs that make our function of movement and control. Parkinson’s disease affect our move. It happen when there is a problem of the certain of nervous cells in the brain. The nerve cells make an important chemical is named dopamine. The dopamine sends signals to the part of the brain that controls movement. Also, the dopamine lets the move of our muscle smoothly. The Parkinson’s disease breakdown the nerve cells that make the dopamine. When the person do not have enough dopamine the problem of move can start and the person cannot control the way where to move. (1) Figure 1 shows the nerve cells in the brain (1) The Parkinson’s disease is progressive, which means it gets worse over time. But this happen slowly many years. Until now no one know what acutely makes the nerve cells breakdown. However, scientists are doing a lot of research to know the reason of the cells breakdown. Some study say Parkinson disease is gene abnormal in some people but so far there is enough proof to show that its always inherited.(1)Braak’s hypothesis proposes that the Parkinson’s disease begins in the digestive tract and in the brain’s centre of smell. The theory is supported by the fact that symptoms associated with digestion and smell happen very early on the disease. Professor Jia- Yi Lis research team has now been able to tack this process further, from the gut to the brain in rat models. The experiment shows how the toxic protein alpha-synculein is transfer from one cell to another before reaching the brain’s movement centre, giving increase to the characteristic of movemen t in the Parkinson’s disease. He prove that disease process actually can travel from the peripheral nervous system to the central nervous system, in this case from the wall of the gut to the brain.(3) Usually people start to have symptoms of Parkinson’s disease between the ages of 50 and 60. But in certain case start earlier. The symptoms of Parkinson’s disease first may be notice is tremor which means shaking or trembling. And these may affect the hands, arms, or legs. It is one of the most common signs but not everyone has it. Also, not everyone with a tremor has Parkinson’s disease. The tremor often starts only one side of the body or just one arm or leg. In addition, Parkinson’s affects the stiff muscles all through the body, so it causes problems like trouble swallowing or constipation. In the later stages of Parkinson’s disease a person may have fixed expression trouble speaking and other problems. Some people lose mental skills. (1) A dopamine Dopamine is a chemical signal that transfers information from one neuron and the next neuron. It released the signals from the first neuron and it floats into the synapse (the space between the two neurons) to the second neuron. The receptors bumps the signals down to the receiving neurons. The dopamine interested in many different important pathways and it known as the mesolimbic pathways which starts with cells in the ventral tegmental area in the midbrain.(2) The dopamine plays numbers of roles in human and other animals. It controls many functions such as movement, memory, pleasurable reward, attention, sleep, learning, mood, inhibition of prolactin production, and behaviour. The increase and deficiency of this dopamine chemical is cause of several disease like Parkinson’ disease. In the brain, part called the basal ganglia regulates movement. Basal ganglia in turn depend on a certain amount of dopamine to function. The action of this occurs by dopamine receptors D 1-5. Th e deficiency in dopamine in the brain may become delayed and uncoordinated the movement and other function of the body. (3) The dopamine is important neurotransmitter in the brain substantial part of the overall dopamine in the body is produced outside the brain by mesenteric organs. The production of dopamine within the central nervous system, depend on the dopamine biosynthesis. There are two steps of dopamine biosynthesis takes place in the cytosol of CAergic neurons and starts with hydroxylase of L-tyrosine at the phenol ring by tyrosine hydroxylase to produce DOPA.(4) Stem cell The stem cell have potential to develop into many different cell types in the body during early life and growth. In many tissues they serve as a sort of internal repair system, divided without limit to replace other cells as long as the person or animal is still alive. When a stem cell divides, each new cell has the ability either to remain a stem cell or become another type of cell with a more specialized function, such as a muscle cell, a red blood cell, or a brain cell and other cells.(5) The stem cells are featured from other cell types by two important characteristics. First, they are capable of renewing themselves through cell division, sometimes after long periods of inactivity. Second, under some physiologic or experimental conditions, stem cell can be become tissue- or organ-specific cells with special functions. In certain organs, such as the gut and bone marrow, they regularly divide to repair and replace worn out or damaged tissues. In addition, in other organs, such as the pancreas and the heart, stem cells only divide under special conditions. (5) Scientists primarily worked with two types of stem cells from animals and humans: embryonic stem cells and non-embryonic somatic or adult stem cells. In 1981 Scientists discovered ways to derive embryonic stem cells from early mouse embryos nearly 30 years ago. In 1998 the detailed study of the biology of mouse stem cells led to the discovery. After that method to derive stem cells from human embryos and grow the cells in the laboratory. These cells are called human embryonic stem cells. The embryos used to studies were created for reproductive purposes through in vitro fertilization procedures. When they were no longer needed for that purpose, they were donated for research with the informed consent of the donor. Researchers made another breakthrough by identifying conditions that would allow some specialized adult cells to be reprogrammed† to assume a stem cell-like state in 2006. This new kind of stem cell, called induced pluripotent stem cells (iPSCs). (5) The Stem cells are important for living organisms for different reasons. In the three to five days old embryo, called a blastocyst, the inner cells give rise to the en tire body of the organism, include all of the many specialized cell types and organs such as the, lungs, heart, skin and other tissues. In certain adult tissues, such as bone marrow, brain, and muscle, the adult stem cells generate replacements for cells that are lost through normal injury, or disease. The stem cells make new potentials for treating diseases such as heart disease and Parkinson disease. However, much work remains to be done in the laboratory to understand how to use these cells therapies to treat disease.(5) Research on stem cells continues to advance about how an organism develops from a single cell and how healthy cells replace damaged cells in adult organisms. The stem cell research is one of the fascinating areas in contemporary biology.(5) The laboratory of human embryonic stem cell The protocol of the laboratory that culture the stem cells must contain special equipment use to avoiding the contamination during make the HESC culture. The equipment that are use a CO2 incubator, that cannot use the detergent to clean use 70% of ethanol to get the best result to control the contamination. Used a biocontainment hood to control of microorganisms. A microscope with phase contrast optics to see the cell and colony morphology. A refrigerator 20Ć¹ and freezers 80Ć¹.Use the liquid nitrogen freezer to store the stocks of HESC and feeders. Also, need small water bath 37 Ć¹ to thawing the cell that are frozen.(6) Feeder culture The feeder culture use to growth of HESC. It prepare primary fibroblast that come from the CF-1 mice. The CF-1 mouse embryonic fibroblasts give the optimal growth of HESC without differentiation and recommended for many reason such as function well making feeder, available and cheaper. (6) The methods culture HESC The first thing need to culture the HESC is good feeder. Human embryonic stem cell should be passaged when the colonies reach size 300 to 500 cells. The plate should be passaged large culture of colonies. The cell always passaged to the plate of feeder cell less than seven days. (6) The materials that required for passaging Human embryonic stem cell are ESC medium, 15 ml centrifuge tubes, calcium/magnesium free PBS, collagenase type IV, cell scraper ,10 cm plates and 0.1% gelatin.(6) The procedure: Table show the methods of passaging HESC adopted steps only but I create the table (6) Growth of the HESC To growth the human embryonic stem cell transfer cell from preimplantation stage embryo to the culture dish. The cell will grow on the culture dish and will spread and divided on the surface of the media. The culture dish contain the mouse embryonic cell which provide the nutrients into the culture media to growth the cell. However, researcher now devised to grow the embryonic stem cells without mouse feeder cells to avoid the risk viruses that can transfer from the media to the human. (5) The test use to identify embryonic stem cells in the laboratory. There is no standard test approved yet to the scientists who study human embryonic stem cells. However, the laboratories that grow the human embryonic stem cells use different types of test such as: Growing and subculture of the stem cell for many months to make sure the health of the cell. Use techniques to determine the presence of transcription factors that produced by undifferentiated cells. These are two important transcription factors Nanog and Oct-4. The both factors help the genes to turn on and off to make maintain the stem cell to undifferentiated and self-renewal.(5) The GMP There are many challenges to use the stem cells for replacement therapy. However, the good manufacturing practice (GMP) is quality assurance system that use to make sure the product of stem cells is good and safe to use for treatment. The GMP in human embryonic stem cell culture required several components for good clinical practice. First, the culture or the feeder media that use in the laboratory must be reach to standard of GMP. Second, the inner cell mass of the blastocyst and passaging of the cell. Final, all components of the culture and cryopreservation media should validated to the GMP system. (7) The ethical issue surrounding the use of embryonic cell need be carefully controlled. In UK human embryonic stem cell can collected from left over embryos produced as part of vitro fertilisation. This can done under strict UK guidelines from Human Fertilisation Embryology Authority and only in the early stage embryos can be use in research up to maximum of 14 day of development.(8) The power of stem cell In 1980, the researcher take stem cell inside the developing embryos and growth in the laboratory to make the human embryonic stem cell. However, the adult stem cell are extremely powerful and easier for researcher to make embryonic stem cell and can converted into any type of cell in the body. But there is risk that the stem cell may grow uncontrolled in the body which cause to formation of tumour.(8) Scientist in Japan worked to make stem cell from normal adult cell in 2006 and this called induced pluripotent stem cell (iPS). This iPS cell in the future may use to make for the patient own cell and it be safe from other factor the affect the patient. The researcher attempted to treat the cell that are die from the nervous cell by make experiment on rat and mice. It show improvement to develop of dopamine that make replace of nervous cell. The researcher can measure the increase of dopamine neuron function in striatum of the patient by using positron emission tomography that make image of the brain.(5) Many researchers believe that embryonic stem cell could be excellent source of dopamine neurons because can grow in culture dish and make into any type of cell after long time in culture. Now, the dopamine neurons have been generated from the Human embryonic stem cell. One study research use the special type of companion cell with specific growth factors to promote the differentiation of the embryonic stem cell through several stages into dopamine (5) References Webmd.com, (2014). Parkinsons Disease Center: Symptoms, Treatments, Causes, Tests, Diagnosis, and Prognosis. [online] Available at: http://www.webmd.com/parkinsons-disease [Accessed 15 Nov. 2014]. Slate Magazine, (2014). Slate Magazine Politics, Business, Technology, and the Arts. [online] Available at: http://www.slate.com [Accessed 16 Nov. 2014]. News-Medical.net, (2014). Health News and Information News Medical. [online] Available at: http://www.news-medical.net [Accessed 16 Nov. 2014]. Meiser, J., Weindl, D. and Hiller, K. (2013). Complexity of dopamine metabolism. Cell Commun Signal, 11(1), p.34. Stemcells.nih.gov, (2014). NIH Stem Cell Information Home Page. [online] Available at: http://stemcells.nih.gov [Accessed 16 Nov. 2014]. Stemcell.umn.edu, (2014). Home MED Stem Cell Institute, University of Minnesota. [online] Available at: http://www.stemcell.umn.edu [Accessed 20 Nov. 2014]. Unger, C., Skottman, H., Blomberg, P., Sirac Dilber, M. and Hovatta, O. (2008). Good manufacturing practice and clinical-grade human embryonic stem cell lines. Human Molecular Genetics, 17(R1), pp.R48-R53. Stem cells the story so far. (2014). progress the research magazine of Parkinsons UK, (15 summer).

Sunday, October 13, 2019

Commentary on poem After The Flood :: English Literature

Commentary on poem After The Flood The poem â€Å"After The Flood† has a slow and steady tempo. The poet created it by not mentioning too many events at once, but slowly, and gives time for the observer to recall – â€Å"I remembered...† and gives his own opinion on the events – â€Å"It had not been a bad rise†¦Ã¢â‚¬  These give the readers a better understanding and a clearer picture on what is happening. As we read through the poem, we have an image of the observer, standing at the ruins of the park, observing carefully what is going on around and describing them in words what he sees and comparing them with the past condition – which was before the flood. The pace of the observer in observing is somewhat unified with the tempo of the poem, so the reader is like ‘following’ the observer and listening to him. After reading the poem, a calm and tense less image of the observer is created in our mind. Phrases like â€Å"The morning it was over†, shows that the observer is feeling calm and believes that everything is over and there is nothing more to worry about. â€Å"I walked†¦Ã¢â‚¬  shows the observer is worried of nothing and walked calmly to the Jersey side. â€Å"It had not been a bad rise† also shows that the observer doesn’t exaggerate on what he sees, but judges it fairly according to his own thoughts. â€Å"I felt I must surely†¦Ã¢â‚¬ ¦ so familiar†, this sort of tell us that the poet is so unworried and have time to recall the past and being a little nostalgic. Line 17-24 shows us the observer comparing the condition of the river presently and during the flood, he is calm and carefully observing the situation and even the sounds around him. The river in this poem is described through comparisons or figures of speech. The observer thinks the river is amazing as its intensity has decreased considerably. The water is described as ‘swollen’; this gives us the image of the water flowing along the river in a rough motion and is forming little waves. It is disordered and dirty. Line 19-20 is a simile where the flowing river is compared to a beast that is sneaking around. It is referred as ‘beast’ as it had created a massive destruction to the place and has ruined everybody’s mood. Now, it is as if the ‘beast’ is tired and retreats slowly, so it is said to be sneaking around. Another role of the river in this poem is to show continuity of life. Though the place had been devastated and the

Saturday, October 12, 2019

Dining Establishments And Eating :: essays research papers

Dining Establishments and Eating   Ã‚  Ã‚  Ã‚  Ã‚  There are many factors that may change your decision on choosing a place to dine. Some people dine out almost every night, and some people may dine out only once every month or so. People treat eating out differently than others. It all depends on the type of the mood, or the time the individual may have. There are many types of eating establishments that cater to the different types of occasions, from the more elite, to the brief luncheon, and to the fast outing.   Ã‚  Ã‚  Ã‚  Ã‚  For some people eating out is to be done in haste. For that type of people eating out is simple, done to avoid the time of preparation, and cleaning up a meal. Fast food is a quick, easy way to eat on the run, with a no frills atmosphere. These people are â€Å"on the run† with things that they must accomplish in a limited amount of time. Some fast food restaurants may include: Burger King, McDonalds, Subway, or Kentucky Fried Chicken. Fast food would be an easy solution to the problem of the time factor. Fast food can easily be recognized when you enter the parking lot. For fast food the parking lot is more accessible to people(less landscaping), more entrances and exit doors(for more saved time). Once entering the building one can distinguish a fast food restaurant, by the high traffic tile floors, plastic bench seating that does not move for comfort, and the poor taste of interior design with small amounts of decoration. These buildings were meant for eating quickly, and then leaving, visual impact is not a major concern. There will be no waiters to take your order. A line to the cash register is the only way to get your food, unless the decision of the drive up window is made. Food is often times pre-prepared to save time. Casual dining has more enjoyable food, and a more refreshed environment, with only a little more time involved. Some casual dining may include: TGIF† Fridays†, Dennys, or Eat and Park. Parking is a little further back, and more landscaping may be involved to have a grander appearance. When you enter through the only main entrance and exit door, wall to wall carpeting may be an option, and more lavish plants, and paintings. Instead of finding your own seat, a host will lead you to the section you prefer. The seating in some cases would be moveable for more comfort. In most, the seating is either plush cloth, or mostly padded vinyl, for comfort. Silverware would already exist on the table Dining Establishments And Eating :: essays research papers Dining Establishments and Eating   Ã‚  Ã‚  Ã‚  Ã‚  There are many factors that may change your decision on choosing a place to dine. Some people dine out almost every night, and some people may dine out only once every month or so. People treat eating out differently than others. It all depends on the type of the mood, or the time the individual may have. There are many types of eating establishments that cater to the different types of occasions, from the more elite, to the brief luncheon, and to the fast outing.   Ã‚  Ã‚  Ã‚  Ã‚  For some people eating out is to be done in haste. For that type of people eating out is simple, done to avoid the time of preparation, and cleaning up a meal. Fast food is a quick, easy way to eat on the run, with a no frills atmosphere. These people are â€Å"on the run† with things that they must accomplish in a limited amount of time. Some fast food restaurants may include: Burger King, McDonalds, Subway, or Kentucky Fried Chicken. Fast food would be an easy solution to the problem of the time factor. Fast food can easily be recognized when you enter the parking lot. For fast food the parking lot is more accessible to people(less landscaping), more entrances and exit doors(for more saved time). Once entering the building one can distinguish a fast food restaurant, by the high traffic tile floors, plastic bench seating that does not move for comfort, and the poor taste of interior design with small amounts of decoration. These buildings were meant for eating quickly, and then leaving, visual impact is not a major concern. There will be no waiters to take your order. A line to the cash register is the only way to get your food, unless the decision of the drive up window is made. Food is often times pre-prepared to save time. Casual dining has more enjoyable food, and a more refreshed environment, with only a little more time involved. Some casual dining may include: TGIF† Fridays†, Dennys, or Eat and Park. Parking is a little further back, and more landscaping may be involved to have a grander appearance. When you enter through the only main entrance and exit door, wall to wall carpeting may be an option, and more lavish plants, and paintings. Instead of finding your own seat, a host will lead you to the section you prefer. The seating in some cases would be moveable for more comfort. In most, the seating is either plush cloth, or mostly padded vinyl, for comfort. Silverware would already exist on the table

Friday, October 11, 2019

ASIC v Adler Essay

The case of ASIC v Adler is very unique as well as complicated since it involved several breach of duties in the Corporations Act 2001. The HIH collapse was caused by very bad corporate governance. Such breach of duties are, section 9 (director’s duties), section 180 (duty to act with care and diligence), section 181 (duty to act in good faith and for a proper purpose), section 182 (improper use of position), section 182(2) (business judgement rule), section 183 (duty not to improperly use information) and section 260A (financial assistance). All of these contraventions under the Corporations Act 2001 will be discussed in detail below. Section 9 – Who Is A Director And Their Duties Under section 9, a director of a company is defined as a person who is appointed to that position such as a director or alternate director, regardless of what name it is given to that position. Section 9 also includes certain people to be directors even though they are not properly appointed. Such people can act as a director even though without proper appointment of director position. This is where they act in the position of a director (which can be also known as de facto director) or the directors are used to act in accordance with the person’s instructions (which also known as a â€Å"shadow director†). Directors’ duties need to be existed in order to protect shareholders from the risks of directors giving harm towards the company. Shareholders basically have risks such as fraud, where the directors took control over the assets belonging to the company by using it for their personal interest, and mismanagement, whereby directors made an incompetent decision with the financial standing of the company. Furthermore, section 9 also defines the â€Å"officer of a corporation†, which basically includes company executives who held senior positions in the board  level. Such persons can be identified in certain situations where that person (the executives) makes or joins participation into making decisions in which affects the whole or substantial part of the company’s business activities or, the person who has the authority to affect in a significant way towards the company’s financial standings or, basically the same definition of a â€Å"shadow director† where the person are acting towards the instructions given to them to act. In the case of ASIC v Adler, the court held that Adler, the director of HIH, was also an officer of wholly-owned HIH subsidiary which can be related under the section 9 definition of directors. This applies to Adler even though he was not properly appointed as a director or an officer of the subsidiary. Since he has the role of director, the subsidiary holding company and also a member of HIH investment committee, this has showed that he participated in the decision making of the company’s business in which affected it the whole or substantial part of the business. As Santow J gave his judgement on this case, he gave a good summary of principles applicable to directors’ duties. Some of it are; a director must continuously kept informed of the activities of the company, they must be familiar with the fundamentals of the business whereby the company is doing. Section 180 – Duty To Act With Care And Diligence In the section 180(1), it provides that a director or other officer of a company need to exercise their powers and discharge their duties with a standard of care and diligence in which a reasonable person will do if they were the director or officer of a company due to company’s circumstances (section 180(1)(a)) and occupied the office and had the same responsibilities in the company as the director or officer (section 180(1)(b)). Executive directors are full time employees of the company who involved in the day-to-day management of the company. They have special responsibilities with their position and have a high knowledge of daily operations of the company. Non-executive directors, on the other hand, do part-time and have regular involvements in the company. In the case of ASIC v Adler, Williams who was the managing director for HIH and HIHC as well, contravened section 180(1) as he failed to ensure there were proper safeguard before HIHC gave the loan to PEE. Fodera, who was the finance director of HIH, contravened section 180 as he failed to discuss a proposal to give $10 million loan to PEE to the HIH board or its investment committee. As the executive directors of the company, both Fodera and Williams failed to carry out their role properly without informing the HIH board of their intention. Section 180 (2) – The Business Judgement Rule In the section of 180(2), the section provides that a director or any other officer who makes a business judgement rule, will not be held liable in respect of the judgement under the statutory, common law or equitable duties of care and diligence, in which all of the elements can be shown. Such elements are, the judgement was properly made in good faith and for proper purpose, there was not material personal interest in the subject as of the matter of the judgement, the directors and the officers informed themselves about the subject matter of the judgement to the extent they appropriately believed to be reasonable and also the judgement was believed to be in rational in the best interest of the whole company. All of these would be reasonably justified unless any other person in such position thinks that it is completely unreasonable. The business judgement rule basically gives the directors with a â€Å"safe protection† from a personal liability in the relation of the business judgements that they take are valid which is in a good faith and in the best interest of the company. This is because some of their business decisions may turn out to be profit-making or a total loss in honest and rational way. Some of the main reasons for the business judgement rule defences are risk taking and activities in entrepreneurial activities will be encouraged since directors are aware of the specific legislation that if they act honestly,  they will not be punished or personally liable as a result of adverse judicial review. Another rule defence is that better business judgement will be made as a result of removing of some uncertainty of liability under the statutory duty of care and finally, the shareholders interest are better provided by engaging risk taking activities. To make directors be liable for such small erro rs of decision will promote risk-adverse decision-making with contrast effect on the economy. If the directors or other officers are able to satisfy the above requirements, they will have â€Å"safe protection† which makes them to be protected from liability for any breach of their duties of care and diligence. This means that their business judgement in such situations will be reviewed by court. Under section 180(3), the business judgement is defined that any decisions to take or not to take action with respect to matter that is relevant to business activities of the company. This only refers to business decisions that has made relevant to the business activities. It does not include any decisions made in the position of directors powers such as the power to issue shares or pay dividends. By referring to the case ASIC v Adler, the court held that all three Adler, Williams and Fodera breached their statutory duty of care as stated in section 180(1). They also, however could not rely on the business judgement rule as their defence. Firstly for Adler, the business judgement rule did not applicable for him since he cannot satisfy the section 180(2)(b) since he had a conflict of interest in the relation of his decision to invest the $10 million payment from HIHC in PEE. Secondly for Williams, the business judgement rule did not apply to him because of his failed to ensure the correct safeguards were enforced was not business judgement for the purpose in section 180(3). However, even this was a business judgement, since he was a major shareholder of HIH, he basically has material personal interest as in the section 180(2)(b). Other than that, Williams also failed to present any evidence that his judgement was done in good faith for the proper purpose as stated in section 18 0(2)(a). Finally, Fodera cannot rely on his business judgement rule as he failed to refer the transaction of PEE to the HIH board or its investment committee. This was not a business judgement as  stated in section 180(3). Section 181 – Statutory Duty To Act In Good Faith And For A Proper Purpose Under section 181(1), it says that a director or other officer of a corporation to exercise their powers and discharge their duties in bona fide (good faith) for the best interest of the company and also for a proper purpose. The section 181(1) can be contravened if the director thinks that they are actually doing their duties for the best interest of the company in which any other director, in that situation, thinks that is clearly unacceptable approach to do it. This may be happen when a director have a conflict of interest personally with the interest of the company they are handling. In the case of ASIC v Adler, it can clearly be seen that Adler, had contravened the section 181(1) to act in good faith by properly excising his powers and discharging his duties for the best interest of the company. This is because, the transactions that occurred in the HIH, HIHC and PEE had been improperly used, for the sake of his personal interest. Section 182 – Improper Use Of Position Under section 182, the section states that it restricts officers or the employees of a company from improperly using their power to gain advantage for themselves or for any other persons to the company. In the case of ASIC v Adler, the court held that Adler had contravened the section 182 due to the arrangement of $10 million loan from HIHC to PEE which was then to be used to acquire HIH shares on the stock market. This transaction was merely done for the purpose of supporting the HIH shares to increase the price and thereby selling the HIH shares owned by Adler Corporation before PEE could sell off their HIH shares. Because of this transaction, PEE had incurred a total loss of investment by reselling on the HIH shares. In regard of this transaction, Adler was held that he had improperly used his position as a director of HIH, officer of HIHC and director of PEE to gain advantage for the Adler Corporation. The court also held that Williams, also had breached his duties as a director for both HIH and HIHC under section 182, to help gaining advantage for Adler Corporation. This is because Williams, used his position improperly by authorising the $10 million load payment without proper approval from the HIH’s investment committee, which he was required to disclose under the HIH’s investment guidelines. Other than that, the court also held that Adler improperly used his position as a director in the PEE transactions of acquiring a number of unlisted capitals at the cost price from Adler Corporation without obtaining independent valuations of these ventures. With these transactions successful, Adler and Adler Corporation was able to exclude himself from these commercially unviable business operations. Adler basically knew that each of those businesses were having major cash flow problems and each had a significant risk that they would ultimately collapse. Adler, however, failed to disclose his personal interest to the HIH board other than Williams and Fodera. Section 183 – Improper Use of Information As stated in section 183, a person who gets information because they are or are not director, officer or employee of a company, must not misuse the information just to gain advantage for themselves or to any other person whereby causing failure in the company. Section 183 also applies towards resigned or retired directors, officers and employees as well. Informations such as insider information can be taken as an advantage by any person in order to gain benefit by using it to themselves or by giving to other person. In the case of ASIC v Vizard, the court held that Vizard involved in the contravention of section 183, whereby he gained the insider information as he was the non-executive director of Telstra. He misused the information in order to gain advantage for CTI, Brigham and himself as well whereby based on the information that he receives (Telstra board’s decision to acquire  other company and selling their interest on another company), he would act accordingly to buy or sell off his shares ahead of Telstra. S260A – Financial Assistance In section 260A, the section states that it forbids a company financially assisting a person to obtain or acquire shares in the same company of its holding company. However, if some of the conditions are met then the company may proceed to do such transaction. Some of the conditions are, giving the financial assistance will not materially prejudice the interest of the company, its shareholders or the company’s ability to pay its creditors (under section 260A(1)(a)), the financial assistance is validated by the shareholders (under section 260B) or the financial assistance is relieved or exempted (under section 260C). Financial assistance is can be basically referred to where a company is lending money to a person to buy the company shares. This means that the company gives a certain amount of money to a person so that the person buys some of the company’s shares. Another example is where a company gives a surety or guaranteed a person’s loan in which the sum of the loan will be proceeded to buy shares in the company. The company is basically providing a loan to a person for the sake of buying back its own shares off the stock market. Another example is where the company is giving its own assets as a security to a person’s loan in which the loan money will be used to buy the shares of the company given its assets as security. The section 260A clearly states that a company is restricted from giving financial assistance to a person to buy its own shares in the stock market as it will cause material prejudice. By analysing the case of ASIC V Adler, it can be seen that Adler, who was controlling PEE, was clearly contravened the section of 260A by which giving financial assistance to PEE through HIHC, a subsdiary of HIH, which is also a company controlled by Adler. This financial assistance given to PEE, was then used to buy the HIH shares on the stock market. This transaction gives a false impression over the stock market as well as its investors that Adler was supporting the falling share  price of its company, HIH, by buying the shares personally. However, the court found out that Adler does not have the intention to make easy profit and reselling the HIH shares. The real purpose was to increase the HIH share price in benefit of Alder Corporation Limited as substantial shareholding in HIH. The actual evidence is that when PEE went to sell off the HIH shares, it was done only after Adler Corporation decided to sell off its HIH shares in which leads to total loss for PEE’s investment. The Supreme Court of New South Wales held that the main intention of the transaction was that HIHC gave PEE financial assistance in order to acquire the shares in HIH which is HIHC’s holding company. Due to this transaction, according to Santow J, both HIHC and HIH suffered material prejudice, which therefore, contravening section 260A.