Thursday, October 31, 2019

Health Promotion Module , NAPIER UNIVERSITY , Coursework

Health Promotion Module , NAPIER UNIVERSITY , - Coursework Example One has to describe the whole situation openly so the situation is cleared to everyone. Then it has to be analyzed that what happened was done in correct manner and finally it is evaluated that whether it could have been done in a better manner. All three critical thought processes of reflection ensure better learning from an individual’s past experience (Larrivee, 2000, pp. 293--307). Difference between reflection  in  action and  reflection  on  action Reflection in action is the process of thinking before the task has been done. All the consequences are kept in mind before taking first step of task. Reflection on action is opposite to reflection in action because here a person thinks about the act that has been done and he learns from his experience. In this kind of reflection people feel the situation more realistically and can express feeling more effectively (Keyte and Harris et al., 2012, pp. 155--160). Gibbs model of reflection compare with the Atkins and Mur phy model Gibbs model of reflection is very clear and includes description of situation, feelings of the person facing situation, analysis of whole situation and then evaluates the whole situation leading to new strategies if the particular situation encounters again. While in Atkins and Murphy model awareness to situation is necessary to continue the effective process for description, analysis and evaluation and then a person make further action plans. For the same reason I would prefer to use Atkins and Murphy model because prior knowledge is always better to know the new situation. One must know their comfort level of their feelings and thought [4]. TASK 2 - Evidence-based approach to global health promotion Summary Poverty is biggest evil and for many years humankind is working to eradicate it completely but there comes hurdles that haven’t made it successful like in the case of Africa where much aid has been given but have not shown a significant change (Van Der Berg, 20 08). The speaker Esther Duflo highlighted three problems and there solutions in the discussion, according to her three are three main problems which are as follows: Effective immunization When the speaker started her work in Udaipur Rajistan only one percent children were immunized. She observed that not only providing centers to people is enough but there must be some incentives that encourage them to immunize their kids on time. The strategy was implemented and showed a 6 times increase in the rate of immunization (Drewnowski and Specter, 2004, pp. 6--16). Effective use of net beds During the same case study they found that people were offered bed nets for free and after a year they purchased them because they were used to it unlikely those who did not get for free. Send children to school According to the speaker, only by curing intestinal worm problems a 30% increase in the population can be seen in children going to school (Nodhj?lp, 2013). The speaker carries all statistics an d shows very effectively by telling that education is the cheapest mode to eradicate poverty. As we all know poverty is root of evil. It creates unavoidable circumstances, when someone doesn’t have food to eat or someone’s children are dying he acts violently and here comes need of education

Tuesday, October 29, 2019

Natural monopoly Essay Example for Free

Natural monopoly Essay I believe that times change and as they, change rules and regulations must adapt to the times. Therefore, the treatment of the different industries must represent the different industries as they grow. I do not think the Telephone and Broadcast should never have or ever be considered a â€Å"Natural Monopoly†. The concept of natural monopoly presents a challenging public policy dilemma. On the one hand, a natural monopoly implies that efficiency in production would be better served if a single firm supplies the entire market. On the other hand, in the absence of any competition the monopoly holder will be tempted to exploit his natural monopoly power in order to maximize its profits. A natural monopoly is defined in economics as an industry where the fixed cost of the capital goods is so high that it is not profitable for a second firm to enter and compete. There is a natural reason for this industry being a monopoly, namely that the economies of scale require one, rather than several, firms. Small-scale ownership would be less efficient. Natural monopolies are typically utilities such as water, electricity, and natural gas. It would be very costly to build a second set of water and sewerage pipes in a city. Water and gas delivery service has a high fixed cost and a low variable cost. Electricity is now being deregulated, so the generators of electric power can now compete. But the infrastructure, the wires that carry the electricity, usually remain a natural monopoly, and the various companies send their electricity through the same grid. Cable as a Natural Monopoly Nearly every community in the United States allows only a single cable company to operate within its borders. Since the Boulder decision [4] in which the U. S. Supreme Court held that municipalities might be subject to antitrust liability for anticompetitive acts, most cable franchises have been nominally nonexclusive but in fact do operate to preclude all competitors. The legal rationale for municipal regulation is that cable uses city-owned streets and rights-of-way; the economic rationale is the assumption that cable is a natural monopoly. The theory of natural monopoly holds that because of structural conditions that exist in certain industries, competition between firms cannot endure; and whenever these conditions exist, it is inevitable that only one firm will survive. Thus, regulation is necessary to dilute the ill-effects of the monopoly. [5] Those who assert that cable television is a natural monopoly focus on its economies of scale; that is, its large fixed costs whose duplication by multiple companies would be inefficient and wasteful. Thus, competitive entry into the market should be proscribed because it is bound to be destructive. The Competitive Reality 1. A skeptic hearing exhortations that cable television is a natural monopoly that should be locally regulated could have some questions at this point. First, if cable is a natural monopoly, why do we need to guarantee it with a franchise? Economists Bruce Owen and Peter Greenhalgh argue persuasively that given economies of scale, if a cable company is responsive and efficient in its pricing and service quality then there will be little incentive for competitors to enter, and no need for an exclusionary franchise policy. [9] Thus, if entry restrictions are necessary to arrest competition, the industry by definition is not a natural monopoly. 2. Second, if cable is a natural monopoly, is it necessarily a local monopoly? Some observers use the terms interchangeably, but there is no evidence that economic laws respect municipal boundaries. Given large fixed costs, does it make sense to award a local franchise to one company when another already has facilities in an adjacent community? Yet such wasteful duplication, as the natural monopoly proponents would call it, occurs frequently under the franchise system. Local franchises make no sense in a true natural monopoly setting. 3. These questions, however, go to the heart of natural monopoly theory itself, a doctrine that is under increasing attack. [10] In the face of crumbling conventional wisdom in this area, the burden should be on the natural monopoly proponents to demonstrate that competition is not possible, and further, that regulation is necessary. Such a demonstration will prove impossible in the cable context. Cable is both extremely competitive, facing both direct and indirect market challenges, and, in any event, is better left unregulated. For many decades, economic textbooks have held up the telecommunications industry as the ideal model of natural monopoly. A natural monopoly is said to exist when a single firm is able to control most, if not all, output and prices in a given market due to the enormous entry barriers and economies of scale associated with the industry. More specifically, a market is said to be naturally monopolistic when one firm can serve consumers at lower costs than two or more firms (Spulber 1995: 31). For example, telephone service traditionally has required laying an extensive cable network, constructing numerous calls switching stations, and creating a variety of support services, before service could actually be initiated. Obviously, with such high entry costs, new firms can find it difficult to gain a toehold in the industry. Those problems are compounded by the fact that once a single firm overcomes the initial costs, their average cost of doing business drops rapidly relative to newcomers. The telephone monopoly, however, has been anything but natural. Overlooked in the textbooks is the extent to which federal and state governmental actions throughout this century helped build the ATT or Bell system monopoly. As Robert Crandall (1991: 41) noted, Despite the popular belief that the telephone network is a natural monopoly, the ATT monopoly survived until the 1980s not because of its naturalness but because of overt government policy. I hope that the above facts help support my beliefs that these industries should not be considered Natural Monopolies. These companies just executed and had better site than other in the same industry had. Today ATT is just as strong as it ever was. References Benjamin, S. M. , Lichtman, D. G. , Shelanski, H. , Weiser , P. (2006). FOUNDATIONS. In Telecommunications Law and Policy . (2nd ed. ). (pp. 437 469). Durham, NC : Carolina Academic Press. Foldvary, F. E. (1999). Natural Monopolies . The Progress Report. Retrieved January 9, 2012, from http://www. progress. org/fold74. htm Thierer , A. D. (1994). UNNATURAL MONOPOLY: CRITICAL MOMENTS IN THE DEVELOPMENT OF THE BELL SYSTEM MONOPOLY . 14(2).

Sunday, October 27, 2019

Children and Self-Harm

Children and Self-Harm A new study reveals that young people are influenced to an alarming degree by videos they watch on the Internet. This can include videos of other teens in the act of injuring or harming themselves. According to MedPage Today, most such videos lack warnings or viewing restrictions, making them popular among young adults and teens. Researchers worry that such videos may encourage copycat behavior of self-harm in children. It is important for parents to be aware that some adolescents try to harm themselves due to emotional issues. This self-injuring behavior may include cutting, severe scratching, mutilating the skin with sharp objects, biting, poisoning, and more, and it occurs among 14 to 21 percent of children, teens, and young adults. Apart from the power of videos to sway their behavior, self-harm in children and young adults is linked to low self-esteem and depression, as well as other emotional health issues, such as bipolar disorder and obsessive-compulsive behavior. Spotting the Warning Signs of Self-Harm in Your Child Children and teenagers who hurt themselves do so in secrecy, which is often the main indication that something is wrong. While it is normal among adolescents to pull away from parents when they are highly involved with friends or experiencing pressure, it is not normal for them to be physically and emotionally withdrawn for long periods of time. Though self-harming behavior can be dangerous, the actions do not include suicidal thoughts or attempts to end life. What are the red flags of self-injuring behavior? Could your child be doing this without you knowing? As a parent, it is important to know the following signs that your child may be self-injuring: Unexplained cuts or burn marks on different parts of the body, particularly on the arms, legs, and abdomen Presence of sharp objects, such as razors, blades, and knives, in your childs possession Prolonged periods of withdrawal or isolation, particularly in the bathroom or bedroom Changes in eating habits, such as deliberate self-starvation or binge eating Excessive exercising Wearing inappropriate clothing for the weather with the intention to hide the body marks Unhygienic practices, such as refusal to bathe or brush teeth Common Reasons Why Children Self-Harm It is estimated that around 10 percent of young people harm themselves at some point. Knowing the signs can help you understand the underlying origins and allow you to respond better. Self-harm in children is often an attempt to manage overwhelming emotional issues caused by the following: Social problems-may include bullying, academic difficulties, relationship conflicts with family or friends, sexual disorientation, cultural adjustments, etc. Traumatic experiences-may be in the form of physical or sexual abuse, death of a loved one, or a violent event such as an accident or an act of terrorism. Emotional causes-such as dissociative disorder, borderline personality disorder, or schizophrenia. These issues can cause intense feelings of anger, hopelessness, guilt, and self-hatred. If not addressed properly, the emotions can build up, triggering possible self-harm to release the pent-up feelings. Discovering Your Child Is Self-Injuring Learning that your child is engaging in self-harming behavior can be scary. Your initial reaction may be shock that your child is intentionally hurting himself or herself. You may also deny the behavior, as your memory conjures the image of a happy child, until the realization hits you that your child is in emotional distress. Its a valid feeling to be angry or frustrated with the fact that your child has lied or hid the truth from you. You may feel guilty for not noticing the change in your childs behavior or for disregarding it as part of the growing process. At the end of the day, you may try to grasp how your child feels to help you understand his or her condition better. Finally, you may blame yourself if you think you have not offered enough love and attention to your child. Help Is Available The good news is that self-harm can be treated with professional intervention. Resolving self-harm in children doesnt require hospitalization unless the conduct is so severe it endangers life. Self-harm is generally not a sign of suicidal intent, but a struggle to overcome emotional pain; thus, it takes counseling to treat self-harming behavior issues in children. Take the first step toward seeking help for your child at Carolina Counseling Services in Pittsboro, NC. One of the independently contracted counselors at CCS is the right-fit therapist to evaluate and help discover the root cause of your childs condition. Getting early help can be invaluable for your child to get over self-harm and get better. Call now to request an appointment.

Friday, October 25, 2019

The Tragedies Of Shakespeare :: essays research papers

The Tragedies Of Shakespeare "Your noble son is mad — ‘Mad' call I it, for to define true madness, What is't but to be nothing else but mad?" (Wells and Taylor, 665) In Act two, scene two of William Shakespeare's play Hamlet, Polonius uses these words to inform Hamlet's parents of their son's insanity. He then continues on, telling Gertrude and Claudius that the cause of this madness is lovesickness over his own daughter Ophelia (665). From the privileged perspective of the audience, we know that Polonius is mistaken and that Hamlet is far from insane, but rather, "playing mad" for a purpose of his own. Madness in Shakespearean plays, and in tragedies in particular, is rarely what it seems on the surface. Instead, both madness and the characters experiencing it are layered with meaning; like an onion, layer after layer can be peeled off, eventually allowing a glimpse at the core concealed within. Shakespeare's treatment of the character Hamlet is typically multi- faceted and complex—Hamlet appears insane, ostensibly over Ophelia, however, his madness is feigned—a cover for internal conflicts, rooted not in thwarted affection, but rather in desire to avenge his father's murder. Hamlet even goes so far as to say his apparent madness is an act when he says "I am but mad north-north-west; when the wind is southerly, I know a hawk from a handsaw"(667). Shakespeare often used madness, either feigned or actual, as a teaching tool or vehicle to advance his plot. Sometimes this madness was feigned, as evidenced by Hamlet and Edgar (the legitimate son of Gloucester in The Tragedy of King Lear), but other times it was genuine insanity. Ophelia and Lady MacBeth are obvious examples of Shakespearean characters that have slipped into madness—Ophelia due to the loss of all those dear to her, and Lady MacBeth from guilt over the part she played in King Duncan's murder. In Hamlet, Ophelia's madness ultimately leads to her demise, and this, in turn, plays a part in Hamlet's willingness to engage in what will be his final battle. In this sense, it helps advance the play towards its climax. While Lady MacBeth's madness also leads to death, its focus is more on teaching than propelling the story to conclusion. While Lady MacBeth is initially seen as a cold, conscienceless, calculating woman, intent on advancing her husband politically (by any means necessary), her character changes as the play progresses. Early on in the play, she is full of ambition; indeed, upon reading MacBeth's letter, she complains about his nature and inaction: Yet do I fear thy nature, It is too full o' th' milk of human kindness

Thursday, October 24, 2019

Acc491 Wk 4 Dq Questions

*What are some of the different types of sampling methods that are available to the auditor? * How does the auditor decide which method to use? How will the different methods affect the audit? The types of auditing samples are broken down into two different categories: statistical and non-statistical sampling. The purpose of auditing samples are designed to give the auditor the results he or she seeks, without having to completely audit 100% of the items within the audit population. Here are some of the different types of auditing samples broken out into the two categories: Statistical Sampling Methods: Random Sampling – Is an auditing method that basically means that all sampling units in the auditing population will have an equal chance of being selected for evaluation, or that no bias would have played a role in what was selected. It is also important the samples that have been selected are not able to re-sampled again. Systematic Sampling – Involves selecting sampling units using fixed intervals between selections, the first interval having a random start. This method is often referred to as interval sampling. This is because this method is where the auditor will take the number of sampling units in a population and divides this into the sample size to give a sampling interval. For example, if an auditor is auditing sales invoice where the sampling interval is 20, the auditor will determine a starting point for sampling and sample every 20th sales invoice thereafter. Non-Statistical Sampling Methods: {text:list-item} {text:list-item} What is the importance of defining the population when performing audit procedures? How will this affect the sample size? How will incorrectly defining the population affect the sampling unit? The auditing population is the whole set of data for auditors to test in order to reach their final auditing conclusion. Auditors need to determine a population in which to examine samples from for specific auditing objectives he or she wishes to complete. For example, if an auditors' goal was to test for overstatements of debtors, the auditing population could entail listing of debtors. However, if the auditor was to testing for overstatements of creditors, then the population would not be only be a listing of creditors, but, also require the auditor to look for subsequent disbursements, unpaid invoices, suppliers' statements, unmatched receiving reports, or other auditable populations that would provide evidence of potential understatements to creditors. When the auditor is designing the auditing samples, the auditor should consider the specific audit objectives he or she wishes to fulfill, the nature of the auditing population for which they wish to sample, as well as any other factors affecting the auditing samples size. The determination of an auditing samples size should require judgment of: Assurance required Tolerable and Expected Error (or Deviation Rate) Stratification Erroneously defining the auditing population can have an incredible affect on sample size as the auditor then has to choose a sample for conducting the audit. Auditors should select sample size in a way that the auditing sample can be anticipated to be a fair representative of the overall auditing population in respect of the uniqueness that is tested. If an auditing population has not been defined then the chance for errors increases the indistinctness of the results taken from the auditing sampling. Furthermore, if an auditing population itself has incorrectly been defined, the sampling unit will not give the anticipated results. These errors can formulate an incorrect conclusion by the auditor, there by defeating the initial purpose of the audit.

Tuesday, October 22, 2019

Atmosphere and Fossil Fuel Inputs Essay

1. Weather and Climate. Discuss the concept of energy/mass conservation as it pertains to the climate system. Be sure to address each component of the climate system in your example and feel free to use multiple examples if necessary to address each component. 2. Facts and Fiction. Explain the figure below. Be sure to address the three key components discussed in class as well as the overall (net) anthropogenic impacts on global warming. 3. Atmospheric Composition & Structure. Draw a diagram labeling the five atmospheric layers discussed in class as well as the ozone layer. On your diagram, list the significance of each layer. 4. Atmospheric Circulation. Calculate the residence time of carbon dioxide in the atmosphere given the figure of the carbon cycle below. You can assume that the ocean, soil, vegetation and fossil fuel inputs together make the rate. 5. Ozone. Compare and contrast the two types of ozone depletion. Be sure to discuss the cause(s) of each, the impacts of each and the location of each at a minimum.

Mongolia Facts, Religion, Language, and History

Mongolia Facts, Religion, Language, and History Mongolia takes pride in its nomadic roots. Befitting this tradition, there are no major cities in the country other than Ulaan Baatar, the Mongolian capital. Government Since 1990, Mongolia has had a multi-party parliamentary democracy. All citizens over the age of 18 can vote.  The head of state is the President, but executive power is shared with the Prime Minister. The Prime Minister nominates the Cabinet, which is approved by the legislature. The legislative body is called the Great Hural, which is made up of 76 deputies. Mongolia has a civil law system that is based on the laws of Russia and continental Europe.  The highest court is the Constitutional Court, which primarily hears questions of constitutional law. Population Mongolias population rose above three million in the 2010s. An additional four million ethnic Mongols live in Inner Mongolia, which is part of China. Approximately 94 percent of the population of Mongolia are ethnic Mongols, mainly from the Khalkha clan. About nine percent of the ethnic Mongols come from the Durbet, Dariganga, and other clans.  An estimated five percent of Mongolian citizens are members of Turkic peoples, primarily Kazakhs and Uzbeks. There are also tiny populations of other minorities, including Tuvans, Tungus, Chinese, and Russians, which number at less than one percent each. Languages Khalkha Mongol is the official language of Mongolia and the primary language of 90 percent of Mongolians. Other tongues used in Mongolia include different dialects of Mongolian, Turkic languages (such as Kazakh, Tuvan, and Uzbek), and Russian. Khalkha is written with the Cyrillic alphabet. Russian is the most common foreign language spoken in Mongolia, although both English and Korean are used as well. Mongolian Religion The vast majority of Mongolians, around 94 percent of the population, practice Tibetan Buddhism. The Gelugpa, or Yellow Hat, school of Tibetan Buddhism gained prominence in Mongolia during the 16th century. Six percent of the Mongolian population are Sunni Muslim, mainly members of the Turkic minorities.  Two percent of Mongolians are Shamanist, following the traditional belief system of the region. Mongolian Shamanists worship their ancestors and the clear blue sky. The total makeup of Mongolias religions is above 100 percent because some Mongolians practice both Buddhism and Shamanism. Geography Mongolia is a land-locked country sandwiched between Russia and China. It covers an area of about 1,564,000 square kilometers, making it roughly the size of Alaska. Mongolia is known for its steppe lands. These are the dry, grassy plains that support the traditional Mongolian herding lifestyle. Some areas of Mongolia are mountainous, however, while others are desert. The highest point in Mongolia is Nayramadlin Orgil, at 4,374 meters (14,350 feet) tall. The lowest point is Hoh Nuur, at 518 meters (1,700 feet) tall. Climate Mongolia has a harsh continental climate with very little rainfall and wide seasonal temperature variations. Winters are long and bitterly cold in Mongolia, with average temperatures in January hovering around -30 C (-22 F). Capital Ulaan Bataar is the coldest and windiest nation capital on Earth. Summers are short and hot, and most precipitation falls during the summer months. Rain and snowfall totals are only 20-35 cm (8-14 inches) per year in the north and 10-20 cm (4-8 inches) in the south. Nevertheless, freak snowstorms sometimes drop more than a meter (3 feet) of snow, burying livestock. Economy The economy of Mongolia depends upon mineral mining, livestock and animal products, and textiles. Minerals are a primary export, including copper, tin, gold, molybdenum, and tungsten. The currency of Mongolia is the tugrik. History Mongolias nomadic people have at times hungered for goods from settled cultures - items such as fine metal-work, silk cloth, and weapons. To get these items, the Mongols would unite and raid surrounding peoples. The first great confederation was the Xiongnu, organized in 209 B.C. The Xiongnu were such a persistent threat to Chinas Qin Dynasty that the Chinese began work on a massive fortification: the Great Wall of China. In 89 A.D., the Chinese defeated the Northern Xiongnu at the Battle of Ikh Bayan. The Xiongnu fled west, eventually making their way to Europe. There, they became known as the Huns. Other tribes soon took their place. First the Gokturks, then the Uighurs, the Khitans, and the Jurchens gained ascendancy in the region. Mongolias fractious tribes were united in 1206 A.D. by a warrior named Temujin, who became known as Genghis Khan. He and his successors conquered most of Asia, including the Middle East, and Russia. The Mongol Empires strength waned after the overthrow of their centerpiece, the Yuan Dynasty rulers of China, in 1368. In 1691, the Manchus, founders of Chinas Qing Dynasty, conquered Mongolia. Although the Mongols of Outer Mongolia retained some autonomy, their leaders had to swear an oath of allegiance to the Chinese emperor.  Mongolia was a province of China between 1691 and 1911, and again from 1919 to 1921. The present-day border between Inner (Chinese) Mongolia and Outer (independent) Mongolia was drawn in 1727 when Russia and China signed the Treaty of Khiakta.  As the Manchu Qing Dynasty grew weaker in China, Russia began to encourage Mongolian nationalism. Mongolia declared its independence from China in 1911 when the Qing Dynasty fell. Chinese troops recaptured Outer Mongolia in 1919, while the Russians were distracted by their revolution. However, Moscow occupied Mongolias capital at Urga in 1921, and Outer Mongolia became a Peoples Republic under Russian influence in 1924.  Japan invaded Mongolia in 1939 but was thrown back by Soviet-Mongolian troops. Mongolia joined the UN in 1961. At that time, relations between the Soviets and Chinese were souring rapidly. Caught in the middle, Mongolia tried to remain neutral.  In 1966, the Soviet Union sent a large number of ground forces into Mongolia to face down the Chinese. Mongolia began to expel its ethnic Chinese citizens in 1983. In 1987, Mongolia began to pull away from the USSR. It established diplomatic relations with the U.S. and saw large-scale pro-democracy protests in 1989 and 1990. The first democratic elections for the Great Hural were held in 1990, and the first presidential election in 1993.  In the decades after Mongolias peaceful transition to democracy began, the country developed slowly but steadily. Source Mongolia Population. WorldOMeters, 2019.

Sunday, October 20, 2019

Winter Skate Characteristics and Information

Winter Skate Characteristics and Information The winter skate (Leucoraja ocellata)  is a fish - a type of  cartilaginous fish that has wing-like pectoral fins  and a flat body. Skates resemble a stingray, but have a thicker tail that doesnt have any stinging barbs. The winter skate is one of dozens of species of skates.  . Description: Skates are a diamond-shaped fish that spend most of their time on the ocean bottom. Their gills are on their ventral side, so they breath through spiracles  on their dorsal side. Through the spiracles, they receive oxygenated water. Winter skates have a rounded appearance, with a blunt snout. They look similar to little skates (Leucoraja erinacea).  Winter skates can grow to about 41 inches in length and up to 15 pounds in weight. On their dorsal side, they are light brown with dark spots, and have a lighter, translucent patch on each side of their snout on front of the eyes.   Their ventral side is light with brown blotches. Winter skates have 72-110 teeth in each jaw. Stingrays can protect themselves with stinging barbs on their tail. Skates do not have tail barbs, but have thorns in various places on their body. On young skates, these thorns are on their shoulders, near their eyes and snout, along the middle of their disc and along their tail. Mature females have large thorns on the posterior edge of their dorsal fins and spines on their tail, along the edges of their disk and near their eyes and snout.   So although skates cannot sting humans, they must be handled with care to prevent being punctured by the thorns. Classification: Kingdom: Animalia Phylum: Chordata Class: Elasmobranchii Order: Rajiformes Family: Rajidae Genus:  Leucoraja Species:  ocellata Feeding: Winter skates are nocturnal, so they are more active at night than during the day.   Preferred prey include polychaetes, amphipods, isopods, bivalves, fish, crustaceans and squid.   Habitat and Distribution: Winter skates are found in the North Atlantic Ocean from Newfoundland, Canada to South Carolina, U.S., on sand or gravel bottoms in waters up to 300 feet deep. Reproduction: Winter skates are sexually mature at 11-12 years. Mating occurs with the male embracing the female.It is easy to distinguish male skates from females because of the presence of claspers, which hang down from the males disk on either side of the tail. These are used  to transmit sperm to the female, and eggs are fertilized internally. The eggs develop in a capsule commonly called a mermaids purse - and then are deposited onto the ocean floor.   Once eggs are fertilized, gestation lasts for several months, during which time the young are nourished by the egg yolk.   When the young skate hatch, they are about 4-5 inches long and look like miniature adults.   The lifespan of this species is estimated at about 19 years.   Conservation and Human Uses: Winter skates are listed as endangered on the IUCN Red List. They take a long time (11-12 years) to become old enough to reproduce and produce few young at a time. Thus their population grows slowly and is vulnerable to exploitation.   Winter skates are harvested for human consumption, but are usually caught when fishermen are targeting other species.   References and Further Information: Bester, C. Winter Skate. Florida Museum of Natural History: Icthyology. Accessed February 27, 2015.Coulombe, Deborah A. 1984. The Seaside Naturalist. Simon Schuster. Kulka, D.W., Sulikowski, J. Gedamke, T. 2009.  Leucoraja ocellata. The IUCN Red List of Threatened Species. Version 2014.3.  Accessed February 27, 2015. Packer, D.B., Zetlin, C.A. and J.J. Vitaliano. Winter Skate, Leucoraja ocellata, Life History and Habitat Characteristics.  NOAA Technical Memorandum NMFS-NE-179. Accessed February 28, 2015.NOAA FishWatch. Winter Skate.  Accessed February 27, 2015.

Saturday, October 19, 2019

Cornflower Blue Marketing Strategy Assignment Example | Topics and Well Written Essays - 1000 words

Cornflower Blue Marketing Strategy - Assignment Example With increased demand for herbal products in the current world, competition has been on the rise. Marketing strategy of utilizing technology and advertisement will go a long way in making Cornflower Blue products be known in the entire region (Mennem, 2007). This is through the utilization of e-marketing and advertisement strategies. Every business in the 21st century is exceptionary keen in the choosing a target audience for its product. The embracing of marketing is an aspect of organizational function that will enhance communication, creation and delivery of value to the potential and existing customers (Hulsmann and Feffermann, 2011). This will also help in the management of customer relationships in a manner that will benefit Cornflower and its owners. Marketing is very critical in the sense that it influences the demands for wants of the target clientele through communication of what the organization has to offer the potential and existing customers (Burrow and Bosiljevac, 2012 ). 2. Market segmenting for two, different â€Å"Cornflower Blue’ products and product ranges. Through the utilization of positive perception people has on natural products, it would be imperative to tap on this strong point and develop a new market base from other regions rather than concentrating in Southern England. The information obtained from the customers will help in operation by enhancing what the customer wants from Cornflower Blue (Mennem, 2007). This will be in the target strategic move of coming up with a classic image of their outlets. The market segmentation would be crucial with body care and aromatherapy products being marketed and grouped together alongside the culinary products. This would see the effective and efficient creation and delivery of... Cornflower Blue is a small chain specializing in sale of herbal remedies, herb based body care and aromatherapy products. They also deal in culinary products like chutneys, honey and teas. With an outlet chain currently totaling five retail outlets, it stated as a family shop in the 60s, in Oxford. For effective marketing and realisation of higher sales, Cornflower Blue has to initiate a strategic marketing plan that aims at maximizing the sale by targeting all potential customers. According to Lamb and Hair, marketing is highly crucial towards the boosting of sale with the proper market target and utilization of strategic marketing steps. Shaw argues that any business venture that aims at promoting the sale has cost affiliation, with respect to this; Cornflower Blue will incur marketing costs, which will reflect in the realisation of increased profits. Cornflower Blue has been making its sales effectively but, with the incorporation of marketing strategy; there is prospective achievement that will see more sales and growth of its outlet chains. Marketing has progressively been changing with technology, and the embracing of ICT has resulted to e-marketing that Cornflower Blue can utilize to reach the global market. It is crucial for Cornflower Blue to shift from relying on the traditional mode of the word of mouth for marketing and embrace strategic marketing approaching devised in this plan. This incorporate brand differentiation, promotion and advertisement, marketing, as well as electronic marketing. The main recommendation in this regard would be for Cornflower Blue to launch a website named cornflowerblueworderfulproducts.com to market and distribute its products online. This is inline with being at per with the growing technology and maintaining competition in the growing industry of natural products.

Friday, October 18, 2019

The Changing Representations of African Americans in Drama Essay

The Changing Representations of African Americans in Drama - Essay Example The fact that "racism inscribed in the nation's Constitution and legal history has practically insured that a national tendency towards blindness, psychosis and stammering around race would carry over into the 21st century,"(Tate 44) and this is clearly demonstrated in America's modern media. Today we see the demonstration and celebration of the clever and reflective achievements of African Americans not only in the field of entertainment, but also in other distinct fields as well. This paper will explore the changing representations of African Americans in theatre and television. I will also examine the implications of these roles and the ways in which they influence others’ perceptions of the black race. There are many intelligent Blacks working in the American theatre today who have labored to bring forth its daring and often healing truths. Reviewing the bulk African American performance, theatre and drama, and brings into focus the years of glory of the Harlem Renaissance, ranging from the plays and sporting events to fights and dances. To assess the development in the American African theatre, one needs to examine the important contributions of the black male and female playwrights. With the contemporary focus on multi-cultural theatre, anthologies of plays by African Americans are important additions about the Black theatre because the number of venues in producing plays by African American authors has greatly increased (Collier). Criteria that make a television and film drama great and some productions mediocre are the significant stories that show the age and the period by portraying the characteristic conflict and choices and immediate circumstances of the characters’ lives. ' lives. Today, the visual media and studies are employing different approaches and methods whereby some skim the surface and shun the question of value, while others penetrate beneath the surface and take on questions of value in the most direct way. Drama and movies have presented models that have had the ability of being challenging, probing, insightful and therapeutic by portraying believable characters in credible situations, challenged to make choices. It is clear "America is experiencing a new black cultural renaissance, and nowhere is it more evident than on the nation's theatre stages." (Nesmith). While old stereotypes are not completely gone. Some shows project Blacks as lazy and not wanting to better themselves, when in reality it is an enormous struggle to overcome oppression and gain equal opportunities for themselves. Everything produced on the television cannot always be great drama. Certain shows set back race relations because their view of Black assimilation is not projected positively. But the works of the African American playwrights present the philosophy and magnitude due to the depth of the inner unity between the characters and the concrete collisions of the socio-historical forces of their time. Around the 1950's, the visual entertainment was shifting toward television shows, and it became important for the survival of the motion picture to have new ideas. This resulted in the 1950 Hollywood presentation of a Black middle class family, "No Way Out." "Thirty years ago, at the height of the Civil Rights Movement, in the year Malcolm X was shot and riots broke out across the country, Douglas Turner Ward used comedy and satire to deliver a message of the

Reflection Paper #4 Essay Example | Topics and Well Written Essays - 750 words

Reflection Paper #4 - Essay Example This thwarts economy and general development of the developing nations. As a new Chief Ethics Officer, I would empower institutions of anticorruption and give them authority in performing their functions without influence. It is worth noting that leaders are the ethics officers of their organizations they are given responsibility to manage them. In addition, I would advocate for the adoption of instrumental, law and order, caring, rules and independence to create good climate in the organization. Besides empowerment to improve ethical climate in the organization, I will also advance communication policies and procedures so that information can flow swiftly from, between managers and employees, and vice versa. Corruption was justified in Germany by 1999. This is because most operations of Siemens Global during this time were full of corruption and bribery. It is reported from the journal that Siemens Global channeled payments to governments, transferred money to foreign accounts and other government officials to bribe them so that they secure contracts of various kinds. A radical change in the organizational policy will change employees’ behavior towards an ethical climate. This helps to shift and refine the organization ethical climate too. In the recent past, Siemens has joined the corporate ethics initiative in Russia. This initiative aimed towards fostering an ethical climate in its organization. It has also influenced many companies, which will soon join the initiative with an aim of increasing their participations in ethical matters. Most global companies such as Siemens believe on the profitability of their business activities, which go hand in hand with the company’s reputation. Therefore, there is need for companies to embrace ethical climate in their financial matters. This will in turn create regulations regarding the proper handling of the financial matters. As a Chief Executive Officer (CEO) of my company, I will

Book of mark, matthew, luke and john Essay Example | Topics and Well Written Essays - 1000 words

Book of mark, matthew, luke and john - Essay Example The narrative exposition employed in the gospel of Mark began the tradition of the gospel(Burridge 2005). The Gospel of Matthew writes to a Jewish Christian audience and is predominantly concerned with portraying Jesus as a teacher who is greater than Moses (Brown 1997). The Gospel of Luke attempts to answer the question of whether Christians whose allegiance is the Kingdom of God able to stay loyal to the Roman Empire? The book of John is an exception that views the Messiah as a ‘Stranger from Heaven’ and is often called the spiritual gospel (Burridge 2005). This paper thus intends to explain the different targeted audiences of the four gospels and the messages they proclaim to the readers. The gospel of Mark was written by John Mark who dwelt in Jerusalem as revealed in the book of Acts 12:12(Burridge 2005). It was initially written in a bilingual set up that involved the Greek and the Aramaic languages. The author was influenced to write by the young Christian generation, also known as the Christians of the second generation or the young man(Burridge2005). John Mark wrote this book and addressed it to the Gentiles and the Roman leaders in Rome or probably in Syria or Decapolis. During this time, the Gentiles were young and new to the Christian faith. They knew very little of Christianity and the death of Jesus to save mankind. At the same time, there was an ongoing persecution by the ruling class on Christians and those who proclaimed the message of the Gospel. Many Christians were killed and forced to denounce their loyalty to God. Mark therefore wrote this book to encourage and harden the Christians at that time in their worship and proclaiming of God’s Kingdom(Burridge 2005). In the book, Mark reveals Jesus as a suffering servant of God who is ironically powerful. He reveals to the Romans and the Gentiles that Jesus taught with authority as asserted by the mighty miracles he

Thursday, October 17, 2019

Personal statement Essay Example | Topics and Well Written Essays - 250 words - 12

Personal statement - Essay Example hough deeply religious, he has the modern outlook and he has paved way for participation of women, in the nation-building projects and I wish to be a part of the process actively through those endeavors. Personally, I am deeply interested in the subject of political science and my grandfather is my role model in this area. I am sure to have his guidance and blessings in my chosen career. He was a practicing politician and that provided the strength to our family. He was a great man of political integrity and character and we, the family members have imbibed his virtues. As for my academic credentials, I hold the bachelor’s degree in library science and information. I have three years’ experience as a librarian in a business school and that gave me a unique opportunity to be friends with the latest business management books. I am a voracious reader and have read and studied the autobiographies of famous leaders like Abraham Lincoln, Joseph Kennedy, Winston Churchill, Kar l Marx, Mahatma Gandhi, Mao Tse Tung etc. besides many leaders of Saudi Arabia. I am seeking admission to Master in Political Science to strengthen my theory knowledge of the subject of Politics. Your benign consideration of my application for admission at this important juncture in my life will be the deciding factor for my future goals and career

Finance International Expansion Essay Example | Topics and Well Written Essays - 1000 words

Finance International Expansion - Essay Example Major differences exist in the economic, political, socio-cultural, technology, competitive and financial environments of different countries. These need to be taken into account in planning the overseas expansion. Expansion decision has to be made after proper consideration of all strategic and operational issues arising from within international milleu. Decisions need to be made concerning a wider range of both Strategic and Operational Issues. Key Strategic Issues that need to be addressed include assessing our company's readiness to internationalise which includes the suitability of your product or service for overseas markets and the extent of local adaptation required; choosing the most attractive foreign market(s) and the best entry strategy to adopt; international pricing, distribution and promotion strategies; organising and controlling our overseas activities. Operational issues include export paperwork and documentation; legal and financial issues; finding and managing overseas partners and so on and are ultimately transferrable into financial and legal consultancy fees and travel expenses. Whether the company intend operating through agents/distributors or establish its own overseas sales subsidiary, the burden of control-related activities and costs is heavier than at home making it much more difficult to monitor and control overseas activities. There are significant financial risks associated with doing business abroad, including the risk of higher indebtness, risk of not getting paid at all and currency fluctuations-related risks. Further, when going international we will need to be sensitive and empathetic to the local political and cultural environments of different countries. That entails higher management and consultancy costs and will unltimately produce to elevation of cross-cultural and political analysis to the level of decision making tool. The competitive environment may be quite different from what we are used to at home. In whole, as a consequence of the above, international marketing is more costly and time consuming than domestic marketing and you will need to take a long-term view to achieve sustained profitability. The Barriers US Computer Systems companies, especially medium sized enterprises, face a number of barriers or obstacles when going international. These may include: Psychological Barriers including lack of international/global orientation; short-termism; product or technology rather than customer led 'mindset'; lack of commitment to international markets; exporting seen as 'too risky', 'not for us' or 'too much trouble'; the 'fear factor'. Organisational Barriers including limited resources (financial and managerial); lack of knowledge of foreign markets; lack of international experience; lack of formal training in international marketing; problems in finding suitable overseas partners; ability to compete away from home. Operational Barriers relating to export documentation and paperwork; language problems; payment delays and risks etc. Product/Market Barriers in the sense of overseas market demand particularities, i.e. that product or service may not be suitable for overseas markets without major and costly adaptation; the product or service may not have a unique competitive advantage abroad; further, problems in

Wednesday, October 16, 2019

Book of mark, matthew, luke and john Essay Example | Topics and Well Written Essays - 1000 words

Book of mark, matthew, luke and john - Essay Example The narrative exposition employed in the gospel of Mark began the tradition of the gospel(Burridge 2005). The Gospel of Matthew writes to a Jewish Christian audience and is predominantly concerned with portraying Jesus as a teacher who is greater than Moses (Brown 1997). The Gospel of Luke attempts to answer the question of whether Christians whose allegiance is the Kingdom of God able to stay loyal to the Roman Empire? The book of John is an exception that views the Messiah as a ‘Stranger from Heaven’ and is often called the spiritual gospel (Burridge 2005). This paper thus intends to explain the different targeted audiences of the four gospels and the messages they proclaim to the readers. The gospel of Mark was written by John Mark who dwelt in Jerusalem as revealed in the book of Acts 12:12(Burridge 2005). It was initially written in a bilingual set up that involved the Greek and the Aramaic languages. The author was influenced to write by the young Christian generation, also known as the Christians of the second generation or the young man(Burridge2005). John Mark wrote this book and addressed it to the Gentiles and the Roman leaders in Rome or probably in Syria or Decapolis. During this time, the Gentiles were young and new to the Christian faith. They knew very little of Christianity and the death of Jesus to save mankind. At the same time, there was an ongoing persecution by the ruling class on Christians and those who proclaimed the message of the Gospel. Many Christians were killed and forced to denounce their loyalty to God. Mark therefore wrote this book to encourage and harden the Christians at that time in their worship and proclaiming of God’s Kingdom(Burridge 2005). In the book, Mark reveals Jesus as a suffering servant of God who is ironically powerful. He reveals to the Romans and the Gentiles that Jesus taught with authority as asserted by the mighty miracles he

Tuesday, October 15, 2019

Finance International Expansion Essay Example | Topics and Well Written Essays - 1000 words

Finance International Expansion - Essay Example Major differences exist in the economic, political, socio-cultural, technology, competitive and financial environments of different countries. These need to be taken into account in planning the overseas expansion. Expansion decision has to be made after proper consideration of all strategic and operational issues arising from within international milleu. Decisions need to be made concerning a wider range of both Strategic and Operational Issues. Key Strategic Issues that need to be addressed include assessing our company's readiness to internationalise which includes the suitability of your product or service for overseas markets and the extent of local adaptation required; choosing the most attractive foreign market(s) and the best entry strategy to adopt; international pricing, distribution and promotion strategies; organising and controlling our overseas activities. Operational issues include export paperwork and documentation; legal and financial issues; finding and managing overseas partners and so on and are ultimately transferrable into financial and legal consultancy fees and travel expenses. Whether the company intend operating through agents/distributors or establish its own overseas sales subsidiary, the burden of control-related activities and costs is heavier than at home making it much more difficult to monitor and control overseas activities. There are significant financial risks associated with doing business abroad, including the risk of higher indebtness, risk of not getting paid at all and currency fluctuations-related risks. Further, when going international we will need to be sensitive and empathetic to the local political and cultural environments of different countries. That entails higher management and consultancy costs and will unltimately produce to elevation of cross-cultural and political analysis to the level of decision making tool. The competitive environment may be quite different from what we are used to at home. In whole, as a consequence of the above, international marketing is more costly and time consuming than domestic marketing and you will need to take a long-term view to achieve sustained profitability. The Barriers US Computer Systems companies, especially medium sized enterprises, face a number of barriers or obstacles when going international. These may include: Psychological Barriers including lack of international/global orientation; short-termism; product or technology rather than customer led 'mindset'; lack of commitment to international markets; exporting seen as 'too risky', 'not for us' or 'too much trouble'; the 'fear factor'. Organisational Barriers including limited resources (financial and managerial); lack of knowledge of foreign markets; lack of international experience; lack of formal training in international marketing; problems in finding suitable overseas partners; ability to compete away from home. Operational Barriers relating to export documentation and paperwork; language problems; payment delays and risks etc. Product/Market Barriers in the sense of overseas market demand particularities, i.e. that product or service may not be suitable for overseas markets without major and costly adaptation; the product or service may not have a unique competitive advantage abroad; further, problems in

Napoleon and the French Revolution Essay Example for Free

Napoleon and the French Revolution Essay Some of historys greatest rulers such as Peter the Great, Catherine the Great, Frederick the Great, and Joseph II have been considered to be enlightened despot. One of these was also Napoleon Bonaparte. They ways by which Napoleon has been considered to be a despot are through his economic policies, religious and educational policies, and the Code Napoleon. The term enlightened despot has been used to describe many great rulers, but it might be misinterpreted. The word enlightened means to be influenced by the values and ideas of the Enlightenment. Also, the word despot is defined as to exercise dictatorial authority. Considering the definitions of these two words, the term enlightened despot would be defined as a person who believes to be influenced by the ideas of Enlightenment and exercises authority similar to that of a dictator. Napoleon had many accomplishments through his economic policies, such as establishing the Bank of France and reorganizing and centralizing tax collection. He also established the Continental System, which attempted to block England from continental trade. Napoleon also put into effect the Berlin Decree in 1816, which  prohibited trade with England. In 1807, the Milan Decree was passed which stated that any ship which traded or even been stopped by the British Navy was to be confiscated. French manufacturing was wholly unable to makeup for the loss of British goods. Soon afterwards, the French manufacturers and merchants began to resent the restrictions. Napoleon regarded his allies and conquered territories as a source for raw materials, conscripts, and a market for French goods. Eventually, Napoleons economic policies contributed to his fall. Religious and educational policies were also part of Napoleons accomplishments, which lead for him to be the greatest enlightened despot. One of the religious policies was the Concordat of 1801, which gave the Catholic Church special status. The Concordat also gave power to the government to nominate bishops who then had the power to appoint the priests. One of Napoleons educational policies was the establishment of the  Lycà ©es, which were state run elite secondary schools. The curriculum was to glorify Napoleon and teach obedience. He also founded the École Polytechnique, which was an engineering school. The final way by, which Napoleon became a despot, is through his Code Napoleon. It codified and reconciled the customary law of northern France with Roman law of the South. The Code Napoleon also provided equality of all before the law, religious freedom, and freedom of work, which reaffirmed the Le Chapelier law banning workers associations. A benefit of the Code Napoleon was that workers were not allowed to strike and were required to carry passports that could be checked by government officials or employers. Napoleon could be considered a sexist because the Code stated that a womans income would pass to her husbands family and not to hers. Another thing was that women workers wages did not belong to them; instead it belonged to their husband. Napoleon said, In France, women are considered too highly. They should not be regarded as equal to men. In reality they are nothing more than machines for producing children. This is an example of Napoleons discrimination towards women, which also relates to him being an enlightened despot. Rulers such as Peter the Great, Catherine the Great, Frederick the Great, and Joseph II have all been considered to be enlightened despots, but Napoleon Bonaparte is known to be the greatest enlightened despot until today. In a pattern similar to other despots, the people of France loved Napoleon at first, but enough they began to hate him. The ways through which he became the greatest enlightened despot are economic policies, religious and education policies, and the Code Napoleon. Only time will be able to show us if there a greater enlightened despot than Napoleon Bonaparte.

Monday, October 14, 2019

Environmental Exploitation Resources

Environmental Exploitation Resources The effects of human exploitation of the natural resources are not limited to deforestation and pollution; it has also affected the diverse animal species of all the earths ecosystems. In recent years scientists have explored the possibility of breeding endangered species in captivity and releasing them into the wild to ensure the species survival in the wild. However, these sorts of programs are not easy to fund or carry out. Several implications ranging from operational problems, to inbreeding within the species make it hard for conservationists to carry these programs out. Captive Breeding of Endangered Animals for Release into the Wild. Humans are the dominant species on earth. We are considered to be one of the â€Å"newer† species, since our species did not evolve until recent times. It is out species ability to adapt and modify its surroundings that has made it the real â€Å"king of the jungle†. Our dominance on this planet makes us completely responsible for all the things that happen and are not directly caused by natural phenomena. Humans are to blame for driving our fellow animal species to the brink of extinction. Our lifestyles and need to consume goods like there is nothing else in the world to do but consume and produce wastes are some of the main causes for the destruction of our natural resources. In recent years the effects of our dwelling in the planet has become more obvious than ever, and the attitude of people is changing. Scientists suggest that a possible solution for the problem could be to have the endangered animals bred in sanctuaries or places where they can be safe and later released into the wild (Meffe and Carroll, 2007). Implications The idea sounds logical and most people think it is the best way to increase the wild populations of some of the most critically endangered species in the world. However, there are several implications that the general public is not well aware of. Ability to Breed in Captivity For example, not all species have the same ability to breed in captivity. Some require very specific conditions that cant be mimicked in captivity. It is estimated that out of all the recovery plans for endangered species captive breeding is only recommended in 63% of the plans in the USA (Mathews et al., 2005). Ability to Be â€Å"Wild† Besides these conditions, some animals lose their ability to be â€Å"wild† when they find themselves in captivity. They lose certain behaviors that are absolutely necessary for their success in the wild regarding their skills to find food, find a mate, successfully reproduce and care for their young. Scientists have attempted to teach captive-bred animals some of these behaviors and have found it extremely hard to do and in some cases impossible (McPhee, 2004). Some animals learn most of these abilities from their mothers or from the interaction with members from their own species. Highly sociable species have another problem besides those listed above; they behave differently to most wild social groups and struggle to be accepted in the group. Species with this problem include African Wild dogs, lions and ungulates in general. Ungulates are animals with hoofs (Gusset, Slotow, Somers, 2006). Hunters Even when the animals are successfully reintroduced into the wild they are not completely safe. When populations recover and they are considered stable, the government tends to take the species off the Protection Act that punished human aggressors. As soon as they are left without federal protection, hunters move in and the cycle begins all over again. Since these populations are not as â€Å"wild† as others of the same species, they may find themselves lacking of abilities to avoid humans. For example, the grey wolf population in Idaho, Wyoming and Montana has increased slowly and has remained stable for a few years now, so they are to be lifted from the Protection Act in those states. This will allow hunters to kill 950-1,500 animals in order to reduce the population to an estimated 1,250 wolves. This decision was reached in favor of the farmers in the area want to protect their livestock from the wolves, but other groups say that this is not a valid reason because farmer are allowed to kill any wolves that attack, or harass their animals as long as they notify authorities within 72 hours (Legislature of the State of Idaho, 2008). Inbreeding Other problems include inbreeding of the endangered species. Since the surviving populations of some endangered animals are small, the interbreeding gives room for inbreeding, which increases the chance of genetically inherited disease or genetic predisposition to health problems that may affect the animals ability to survive and reproduce. Reproduction in the wild once the animals have been released is key to the survival of the species. If they are unable to reproduce and link their genes with those of wild populations, inbreeding will be more likely to occur and affect their ability to succeed (Pluhà ¡Ã„ ek, Sinha, BartoÃ… ¡ Ã…  Ãƒ ­pek, 2007). For example the Florida panther, a subspecies of mountain lion, is highly endangered and despite the efforts of conservationists and zoos, their reproductive success was so low it was estimated that the population would decline to the point of extinction. In order to save this rare subspecies of mountain lion, scientists studied the genetics of other subspecies of mountain lions to find out which one was more closely related to the Florida panther. The findings showed that the panthers in Texas showed a high resemblance, genetically speaking, to the Florida panthers and their populations were linked. This increased the reproduction success rate in a short time, giving the species and new chance of survival (Stokstad, 2005). The Ecosystem When dealing with conservation biology, every single niche of the ecosystem has to be taken in consideration before taking any course of action. When an element of the ecosystem is removed, it affects the other elements of the symbiotic community. Success Stories Black-Footed Ferrets. For example, when Prairie Dogs were exterminated by farmers and the government in the Great Plains area, the Black-Footed ferret, the only mammal of its class native to North America, was the one who suffered the most. These small mammals have one of the most specialized diets of all the mammals. They feed entirely on prairie dogs and live in their burrows underground. These particular species was thought to be extinct until the 1980s when a colony was sighted. Since their re-discovery the have proven to be a real success for conservation biologists. Their numbers are increasing steadily and education has made farmers aware of the importance of protecting these critters and their needs in the wild. They succeeded because not only did the federal government provided funds and resources for the protection of the species. Farmers were also educated and collaborated by protecting their lands and the ferrets living in it (Cubie, 2006). Przewalskis Horse. Another success story is that of the Przewalskis horse, or Mongolian wild horse. These horse species is the only â€Å"true† wild horse species left in the wild. This is the only species of horse that has never been tamed. They suffered the loss of their territory and pasture lands to the hands of the Mongolian farmers and their livestock. These beautiful horses lost their territory and suffered from diseases carried by the farm animals that had contact with them. Several zoos worldwide made a great effort to adopt the remaining individuals in the wild and started breeding programs. By 1960 the species was extinct in the wild and was kept alive in zoos. Their breeding programs started slow but steady and they have been reintroduced into the wild in new territories where they are not to be disturbed (Souris, Kaczensky, Julliard, Walzer, 2007). Scimitar Horned Oryx. A similar case happened with the Scimitar Horned Oryx. This antelopes were hunted for their horns, which are the largest of all the antelopes, to the brink of extinction. These magnificent animals live in the northern African deserts and the Middle East. Their population in the Middle East was affected by the constant armed conflicts that have taken place in the region for over 40 years. The dwellings of this antelope were protected and some individuals were captured to breed them in captivity. Their population recovered greatly thanks to the combined efforts of local park rangers who protected the reserves in which they were relocated to and the breeding programs. It is estimated that if scientists had not stepped in, the species would have become extinct by now (Campbell, 2007). Tigers. Tigers are among the most endangered species on earth and conservation efforts in the wild do not seem to be making any progress. In fact there is no population recovery. The different subspecies are still as endangered as ever and their numbers keep dropping every year. Some tiger sanctuaries in India have not had a single sighting of a tiger in years. These are situations that have pushed conservation biologists to take desperate measures and embark on controversial projects to save the critically endangered species (Ranganathan et al., 2008). Figure 1: Tigers in the Wild by Species (WWF, 2008) A very ambitious project a few years ago broke the scientific world when a pair of captive bred Bengal tigers was â€Å"trained† to become wild in a game reserve in South Africa. These tiger species is the second largest of all the big cats and it is native to Bangladesh and India. The biologists in charge of the project, Dave Salmoni and John Varty, decided to take them to Africa, because it is the continent with the highest success of large predator population recovery in the world. The tigers were taught to hunt, and avoid dangerous prey that was new to them such as Cape buffalo (Living with Tigers, 2004). This particular release project has proven to be effective yet very controversial. Tigers are not native to Africa, so their introduction to this new continent was seen as a bad choice since it would only mean more competition to the native predators. South Africas native predators include other vulnerable species, mainly big cats, such as cheetahs, African lions, and leopards. These felines compete against each other for hunting grounds and prey. The introduction of the much larger Bengal tiger will only increase competition and favor the introduced species since its characteristics make it a better and stronger predator (Living with Tigers, 2004). The second major issue regarding the introduction of tigers into Africa is the fact that the pioneer animal behaviorist, who was head of the project, hand raised the tigers and â€Å"trained† them to be wild. Therefore, the constant contact with humans during their development is more likely to make them seek human contact in the future. The tigers would not be afraid of humans and the villagers of the region could find themselves in dangerous situations with these mighty predators. Villagers are concerned because in case the Tiger Project releases more tigers, it would mean one more predator to watch out for (Living with Tigers, 2004). These issues have been addressed by one of the biologists in charge of the tiger project in South Africa, Dave Salmoni. Salmoni (2007) explains, that the â€Å"unfortunate reality is that tiger conservation in Asia is in a disturbing state. The problems facing the tiger are ones that cannot be overcome at a whim. We would be acting unethically if we started introducing tigers into an area that has not yet solved its conflicts with the tiger. Therefore, a project like this needs to take seed in another country. Once a working model for tiger conservation is established it is then possible to motivate decision makers to begin to start rectifying the problems the tiger faces. [†¦]In my opinion, if I were given the choice to save the tiger in Africa or see it vanish from the earth, I would choose Africa. Saving the tiger in Africa is not the goal of the project. We hope to use the sanctuary as a model for conservation in Asia.† Conclusion Most of the examples I have listed so far may seem to be all failures, but when we take into consideration that all other measures taken have failed, their results are not too bad. Governments around the world tried to protect their wildlife by designating reserves or protected lands. Poaching. The problem with these is that poachers and black-market traders can easily access the endangered animals and hunt them down. The truth is that there are not many options available when dealing with wild animals, especially those whose populations are so small, any sort of disturbance could be fatal. One of the biggest problems is that once the populations begin to recover and scientists back down and let nature take its course, human greed returns to claim their victims. Recent studies suggest that the populations of some of the most endangered animals are declining once again due to poaching and habitat destruction. For example, tigers, leopards and other big cats are killed for their furs, bones and claws. Elephants, rhinoceros and many species of antelope are killed for their tusks and horns. All of these products are used in the production of traditional Chinese medicine remedies, or sold as trophies or art pieces (WWF, 2008). Captive Breeding Solution. It may seem that captive breeding is not the best solution for this problem; nevertheless, it is the only solution that seems to be giving positive results in the long run. Protected areas can only help so much, especially in third world countries which do not have the resources to pay personnel who protect these wildlife reserves and they lack human resources to patrol the large extensions of land to make sure poachers are not entering the protected lands. Zoos help, but the interaction between humans and the wild animals ends up being a problem. Animals raised by hand are less likely to fear humans and therefore become easy prey for hunters or even other animals. Studies show that the loss of â€Å"wildness† of captive animals is not only limited to their learnt behaviors, some species show these changes by losing some â€Å"instincts† that are invaluable in the wild like their ability to avoid predators or techniques for finding food (Mathe ws et al., 2005). Some of these â€Å"learnt† behaviors can be eliminated by introducing the captive bred animals to wild populations from an early age so that they can learn from those who have better developed instincts and survival skills. This can be very hard to do because wild populations are not always receptive to outsiders and may see the additions as threats or future competition and get rid of it. But since there is no other plausible way to teach the captive bred individuals, their gradual introduction to wild populations is the best way to ensure their survival and later reproduction in the wild in order to increase the numbers of a population (Gusset, Slotow, Somers, 2006). In conclusion, no other conservation practice seems to be providing any positive results and captive breeding and releasing into the wild of endangered species are the only projects that have shown tangible results in the last few decades. It may not be the best way to ensure the survival of the many endangered species, but it is the only method that seems to be producing positive results and increasing wild populations numbers. It is important to understand the importance each creature plays in the world and its extinction will only cause changes in ecosystems that will end up affecting human beings as well.

Sunday, October 13, 2019

Slavery and Freedom in William Shakespeare’s The Tempest Essay

Slavery and Freedom in William Shakespeare’s â€Å"The Tempest† The subtly comedic interactions and juxtapositions between masters and slaves in William Shakespeare’s â€Å"The Tempest† generate a question which has been the source of much controversy throughout history: are the hierarchical classifications â€Å"slave† and â€Å"free† reflections of a person’s fundamental nature, or are they social constructions based on bias and self-interest which have nothing to do with absolute truth? This question is crucial because the way that we answer it has the potential to either justify or condemn the widespread practice of enslaving certain individuals. A close look at Shakespeare’s portrayal of masters and slaves in this play suggests that although those who enslave others would like to believe that slave and free are natural categories, they seem to be socially constructed. In his essay â€Å"The Ancient Comic Tradition†, Bernard Knox states that â€Å"Slave and free were not so much separate classes as separate worlds: Aristotle could go so far as to claim that they were separate natures† (131). While the concept that slave and free are separate worlds is defensible given the vast differences in lifestyle between the two, the idea that they are separate natures is not a logical extension of this fact, but rather a separate idea altogether. Fundamental nature has nothing to do with one’s political or social situation, but rather one’s innate capabilities, motivations, and morality. Our task, then, is to determine the degree of similarity (or lack thereof) in the innate capabilities, motivations, and morality of the masters and slaves in this play. Through close examination of Prospero and Caliban, it becomes apparent that although Caliban ... ...hich those who have insight into the situation may affect change, one of the most powerful of which is through fiction. Skilled writers can convey the flaws in the system through their narrative without explicitly stating them, thus engaging the reader to think through the implications of the narrative on their own. This way, any conclusion arrived at feels like the reader’s own insight, making it more plausible than if the conclusion is thrust upon the reader by an overtly didactic text. In â€Å"The Tempest†, Shakespeare never explicitly states that enslavement is not logically justified, but instead subtly implies it through his narrative. I believe that it is in part because of writers such as Shakespeare who have—whether intentionally or not—used the medium of fiction to expose the problems in their society that our world is gradually moving towards social justice.

Saturday, October 12, 2019

Tacit Knowing and Education :: Biology Essays Research Papers

Tacit Knowing and Education How is tacit knowing or tacit knowledge utilized in the classroom? This has been my question since discovering the term coined by Michael Polanyi and reading the excerpt of The Tacit Dimension. I have reflected on my experiences in a second grade classroom and observations of students being able to or not being able to refer to the tacit dimension in the classroom. In rethinking through Polanyi's assertion that "we can know more than we can tell", I will review ways in which students (children and adults) use intuition and other forms of tacit knowing in the classroom. I will also speak to the detrimental effects of particular school reforms such as the No Child Left Behind Act, which diminish the student's ability to use tacit knowledge in the classroom. What is tacit knowing/knowledge? It is something that is "implied or indicated but not actually expressed." It is what we already know by way of previous experience, or, habituation that has become second nature. This is not a far-fetched idea. If we go back to Plato's Republic, even he believed that humans have the capability to know the right thing to do because we were born with that information already in our minds. A life of study was a way to reflect on this knowledge and use it for the good of all. Children respond to material in the classroom using tacit knowledge. All we learn in some way relies on us connecting it somehow to something we already know. Tacit knowledge requires a synthesis of previous experience into the inner workings of the mind and memory. Certainly, other educational theorists saw the importance of this in the classroom. Some ways children use tacit knowledge is in the different interactions between other children and to adults, crying in the classroom to signify pain, confusion, and anger, etc. John Dewey's Experience and Education speaks specifically to this concept. "Every experience is a moving force." I equate "tacit knowing" to having previous experiences. Regardless of our being conscious of the importance of an event, our mind holds on to that experience and becomes a knowledge that we can utilize in the future. Can tacit knowing be utilized in the classroom? It is my opinion that it is becoming increasingly more difficult, particularly in public schools that must adhere to the strict testing of children for the sake of compliance to the No Child Left Behind Act, to rely on previous knowledge to help students learn in the classroom.

Friday, October 11, 2019

How Technology Changed The Making Process Architecture Essay

See for a minute the statement of good vs. immorality. Neither can look competently be entirely, without the other surfacing or interrupting the mold at one clip or another. Now consider the historical clash between the humanistic disciplines & A ; trades epoch of design and today ‘s computing machine aided ‘magnificence ‘ . Equally shortly as design AIDSs such as AutoCAD, and optical maser cutters were created, people began to reason for the loss of design beginnings and individualism ; some may even state its psyche and character. Those who were enticed by this new engineering that allowed production to be executed in half the clip on twice the graduated table, were in awe, and of course as with all two sided conflicts, confederations were formed. â€Å" Gone are the yearss of manus carving and infinitely palling adult male hours in workshops † shouted the people of the hereafter, â€Å" what takes you a hebdomad and four work forces, takes us a twenty-four hours with a computing machine, with no demand for acquiring Myxocephalus aenaeus. † The conceptual age of design was genuinely revolutionized by computing machines, no statement at that place, but was it needfully a good thing? â€Å" No! † shouted the people of tradition, â€Å" where you exceed us in production†¦ you lack in character, where is the bosom and psyche? The attending to detail absorbed through precise craft and trade? † ( Pemble, 2010 ) Once once more I feel that their statement is sound, but is it non besides a premier instance of people fearing what they do non understand? As is the instance with all statements, it frequently takes a measure back and a good long expression at both sides of the instance to bring on or make a via media that allows both sides to progress further than they imagined. For this we need to get down in Weimar, Germany, the twelvemonth is 1919 and the Bauhaus school of Art & A ; design is formed. Throughout Europe, universe war one had clearly left its grade. The German province ballad in confusion and its economic system ballad in rags and after the initial convulsion over the hereafter of Germany. Whether it be Soviet communist or capitalist German, several factors were set in rock, the manner of imperialist magnificence and ornamentalism design had to alter, the transmutation of 'emotional Expressionism to the prosaic New Objectivity ‘ ( Minusfive 2006 ) . This gave the German administration, Deutscher Werkbund, founded in 1907 and considered the precursor to the Bauhaus, a newfound vas for their visions of design. The Werkbund ‘s purpose was: ‘to harness the new potencies of mass production, with a head towards continuing Germany ‘s economic fight ‘ ( MinusFive 2006 ) . This sort of docket for alteration become evident in many countries of design, it may hold originated in architecture, with the Werkbund ‘s thought of economical product ion for lodging and the built environment, but it spread to even the most humble of objects, uniting industrial methods with artistic genius, an illustration I suppose being envelopes. Up until 1840 all envelopes were handmade, cut from paper and constructed before being used to direct mail. However, in that twelvemonth a British adult male George Wilson derived a method of mass production from the geometric layout called tessellation. This enabled multiple envelopes to be cut at the same time understating the waste cut paper. Merely five old ages subsequently the production of envelopes was revolutionized farther by two work forces, Edwin Hill and Warren De La Rue, whom pioneered a steam pressure machine that enabled the film editing, turn uping and gumming procedure of envelopes all to be done in one phase. As was to go on less than a century subsequently to assorted trades, the traditional method of production died easy at foremost, so all together outclassed and outperformed by its machine age replacement. Here is where the via media between industrial and traditional methods is required. During my journey in which I created my ain envelope design, I was able to see the virtues and disadvantages of both terminals of the spectrum. The first measure was to take a standard sized envelope and dissect, analyse, and animate it, several times, to acquire the feel for and a thorough apprehension of its design. I so, from a strictly conceptual position, came up with my design, which was to be a clasp waterproofing phonograph record shaped envelope. I so repeated the procedure I used for an bing design, for my ain, implying proficient drawings, theoretical accounts, paradigms, and experimentations, until I came up with my finalised design. Here is where the ‘best of both universes ‘ comes into its ain. If I were to ship on this undertaking in an indistinguishable manner, but in a 3D practical computing machine universe via plans such as CAD and 3DSMax, it would be quicker ; nevertheless†¦ there would be no feel for the design, surely no character, and there would be no manner of cognizing if it worked, or how it were to assemble. Tactual sensation is one of the appeals of handmade plants. It was at this point that I was encouraged to look into the more industrial side of production, so after reassigning my design from manus drawn programs to an AutoCAD design, It was so onto the optical maser cutter, which basically is a robotic device that reads the lines, line weights, and colorss of lines to find where demands to be cut or scored on the stuff placed under the optical maser. Now here comes the hard portion, but does turn out to be the portion that pays away, as the optical maser cutter is undeniably fiddly to setup and graduate with respects line weights, fold lines and cuts . ( Fig.1 ) Envelope Net Construction. ( Pemble, 2010 ) In this sense, there is still no smooth passage between adult male and machine, as it took several efforts for the optical maser cutter to ‘understand ‘ the design, nevertheless that said, one time calibrated it is the perfect tool for animating a individual design on a mass production degree. Modern methods have gratefully taken the emphasis and huge adult male hoursA required out of manus production and tradition, but the integrating andA rules of tradition and good design should ne'er go to the full digitalisedA like its replacement. Just like the statement of parallel vs. digitalA sing timekeepers, each will hold their function as one merely would n't be were it non for the original. ( Fig.2 ) Envelope proficient drawings ( Pemble, 2010 ) The point of this probe for me is that both modern and traditional trades both have their functions, and as many influential figures agree, neither should be neglected nor overlooked, for they both hold virtues. Technology has so renovated the design universe, but in today ‘s society it does on juncture overpower and fail to make itself justness, go forthing the piece cold, generic and gray, neglecting to make itself justness. This as with most facets of the design universe boils back down to the roots of the Bauhaus. Take for case the thought of BauhausA furniture design, it wanted to keep the traditions of A psyche in design, along with logic, so for case a better idea outA design made with more economic stuffs and engineerings, butA still manually overseen or produced would therefore potentially be the perfect design expression. Enter Mies Van Der Rohe. Originally from Aachen, he moved to Berlin in 1905. At the age of 19, he was unqualified and spent his clip skiping between constructing sites. Not precisely the start in life most would stereotypically tie in with a celebrated designer, whom set about alteration we feel the benefits of today. ‘The undertakings of design and building were combined in his early instruction, non separated by progressively common divisions between designer and builder. ‘ ( Zimmerman C. 2006, p.7 ) Mies van Der Rohe was trained as an complete bricklayer and stonemason under apprenticeship of hisA male parent, but besides trained as a proficient draughtsman, after taking a acute involvement in design whilst he worked for a specialised plasterwork company. He saw the demand for an apprehension of both the terminals of the constructionA spectrum from the initial flicker of an thought, to the laying of foundations, so that he may plan more expeditiously. Riehl House was his first committee under recommendation of a co-worker at Bruno Paul designers, and was finished in 1907. ‘The immature Mies proved himself able to plan and construct aptly, even skillfully, and capable of fruitfully prosecuting the most modern-day issues of the architectural universe in Berlin at the clip. ‘ ( Zimmerman C. 2006 p.19 ) This was merely the beginning of a long and fruitful calling for Mies, and this subliminalA subject was present throughout his calling, the breaking away from tradition and supposedA acceptable signifier, in favor of modular, efficient modern stuffs in design. This ability to pull and remember from the design ethos of past, and unite it with the head of engineering to make something that is non merely perfected in its balance, but besides pleases a wider audience is an ability he rarely neglected. A premier illustration is of this is dark ruddy masonry built Lange and Esters House. ‘The esters and Lange edifices were both surfaced in dark brick ; but they are merely partly bearing-wall constructions. They were among the first modern edifices to liberate brick from its burden bearing map. ‘ ( Zimmerman C. 2006 p.33 ) It givesA the visual aspect of a traditionally built house of the clip, yet modernised in aesthetics somewhat, and due to its modularA skeleton of steel it allows the big unfastened positions that it contains, and for the first clip in German architectural history, the spacial design dictated the structural computations. ( Fig.3 Esters & A ; Lange edifices ( Taschen, 2006 p.33 ) Merely like with his most prolific of undertakings like the SeagramA edifice, IIT Centre and exhibition hall in Berlin ( ironically hisA calling peaked both as he left and subsequently returned to the metropolis ) he usedA the most modern of attacks to build the edifice yet he stillA remained true to the classical ideals of unfastened fluxing infinite, secularA positions, and the overall command of the infinite provided. I suppose a pinnacle instance survey would be that of the Barcelona Pavilion. After being accepted into the Werkbund in 1927, Mies was commissioned by the German Reich to plan and construct the 1928 World exhibition in Barcelona. With its beautiful classical onyx and marble walling, and chrome framed glass frontages of multiple sunglassess, it was the prototype of signifier with map, a piece de opposition of the Bauhaus vision. Alternatively of the normal layout of conventional lodging or edifice, it followed Mies combination of ‘Rhythmic motion ‘ and â⠂¬Ëœcarefully composed positions. ‘ ( Zimmerman C. 2006 p.39 ) Though beautiful, like all single paradigms it was somewhat flawed ( due to deficient budget and deficiency of specialized stuffs, the prolific level roof was susceptible to H2O harm and about ruined the full construction ) , but merely like the method of test and mistake in many of the manus trades, Mies learnt from his errors, and embraced them with his hereafter undertakings, like the Seagram edifice and IIT, whereby he perfected his steel frame designs that have revolutionized today ‘s building. ( Fig.4 ) Barcelona Pavilion ( Taschen 2006 p.38 ) ‘The Seagram edifice was doubtless in this paradigmatic manner. It is frequently seen as the finest high-rise edifice Mies of all time built. No longer looking back to past historical design for legitimation, the edifice presents the architecture of capitalist economy with its most indispensable, concentrated face. ‘ ( Zimmerman C. 2006 p.16 ) Merely like in my probe into envelope design, sometimes things can be flawed ; the of import portion is larning from it and being able to go on. This is where I feel that by making all of the experimenting phase by manus, with voluminous sums of test and mistake, I managed to win in a design that as viewed by others was vitally flawed, my point being this. The initial design standards given to me was that the envelope had to be capable of keeping this essay and any attach toing notes, drawings, work etc and my design being round was hence flawed, sing all of my notes and work is on rectangular pieces of paper. It may look like a really simple reply to a glaring skip, but I have merely decided to enlarge the size of the envelope, and changed its ain standards in that it will be more like a booklet, capable of keeping my work. Merely as changes were needed to my envelope, drastic changes were needed to the universe of design. The air currents had changed way, and alteration was coming. As with a batch of the designers of the clip and followings of theA Neues Bauen, people frowned upon this new principle of design. ‘By 1933 many designers of Neues Bauen understood their unstable position in national socialist Germany, and many emigrated. ‘ ( Zimmerman C. 2006 p.14 ) With the tenseness turning quickly in Germany, and the intolerance of the now authorising Nazi party rapidly demoing itself, the design universe shortly became a focal point. With its expansive imperialist nature, the new Reich wanted its capital to demo this. However†¦ tradition ruled the moving ridges. ( Fig.5 Seagram Building ( Taschen 2006 p.72 ) Equally shortly as the National socialist party came to power the Bauhaus was voluntarily closed by its members, cognizing the position of the new Reich and how its left wing ideals would be dealt with. ‘Nazi authors like Wilhelm Frick and Alfred Rosenberg had labelled the Bauhaus â€Å" un-German † and criticized its modernist manners ‘ ( MinusFive 2006 ) Many designers of the clip shortly began to emigrate, limitations upon Mies ain work was imposed and his security was shortly threatened. In 1938 he made a calling altering pick and emigrated to the United States of America. Here I feel began the true nature of clever design. By that I mean the ability to cover the full spectra, rectifying the negatives and reenforcing the positives, and carry throughing the Bauhaus ideals of remarkable design. The Seagram edifice was by any criterion, stat mis in front of its rivals. Yet it achieved this without claiming to be the hereafter, or resenting the yesteryear. With authoritative insides, a posh dark outside tegument of externally mounted bronze, and topaz tinted glass ; it non merely looked the portion, but besides incorporate frontier engineering, to help in air current buffering and cut down UV glare/heat. Its fretted modular steel model besides represented the manner frontward, non merely with its drape walling efficiency that allowed simple climbs for the traditional Venetian blinds, but besides with respects a igniter, stronger, more adaptable building method that retained so called authoritative characteristics. However, the edifices piece de resistance is what many of today ‘s skyscrapers have to thank. Before Mies got his custodies on the committee, he looked at the rivals, the other structural venue, and besides back at his old constructs. He so did what no 1 else had done. He set the tower a sensible distance back from the street and created what we see throughout today ‘s metropoliss, urban landscape gardening. By making this public infinite, this null filler that bridged the public and private sector he thereby integrated the Seagram instantly with its environment, it was this kind of thought, that put Mies one measure in front, enabling him to provide absolutely for both terminals of the spectrum by merely believing outside of the box, where no others considered or dared to. It paid dividends, whilst besides puting the tendency of perpendicular design for decennaries to come.DecisionBalance is what enables many things in life to execute at their several bests, from the balance of work and societal, to the balance of a relationship, and none more so than the design univer se. When it comes to the statement of traditional vs. Modern, the initial phases of design should ever esteem their roots, therefore maintaining to manus drawn methods, trades, and human probe likeA sketching and theoretical account devising. It is all excessively easy to trust entirely upon CAD and other such plans that have made some of today'sA design instead inert and cold, without human appeal, and the lone possible preservative of these characteristics is the maintaining of traditional methods and heritageA to maintain the human signature alive. The probe I carried out made this all excessively evident, that trusting upon engineering to transport a design from origin to creative activity is a vitally flawed theory, and that without forfeit of adult male hours and attempt with my ain accomplishments, my envelope would be nowhere near as thorough or good designed, non stating that it is a perfect illustration, but what interior decorator is without his or hers errors? Far excess ively many things in life have slipped into the huge abysm that is history and all because we ‘ve become excessively eager and thirsty for this new age of production easiness, of technological employment, whereby objects are no longer designed, they are manufactured, devoid of all the initial inventiveness. ‘The radically simplified signifiers, the reason and functionality, and the thought that mass-production was reconcilable with the single artistic spirit. ‘ ( MinusFive 2006 ) Within the last century, the Bauhaus is the lone thing that has come in the manner of the apparently unstoppable machine age. It questioned workmanship vs. Mass production, usefulness vs. Beauty, and chiefly whether a remarkable proper combined signifier could be. In many countries it succeeded, particularly in furniture design, with the likes of Breuer and Stam, whom renovated modern furniture with the cost effectual usage of steel, supplying signifier and the most necessary map. At the terminal of the twenty-four hours, the difference over the necessitation of design development will ramp for old ages to come, the of import factor which I can non underscore plenty is the via media, the balance, the equilibrium, and nevertheless many other words there are to depict the simple fact that both are every bit every bit of import as the other. ‘One of the chief aims of the Bauhaus was to unite art, trade, and engineering. The machine was considered a positive component, and hence industrial and merchandise design were of import constituents ‘ ( MinusFive 2006 )

Thursday, October 10, 2019

Introduction to Unilever Essay

Unilever is a British–Dutch multinational consumer goods company. Its products include foods, beverages, cleaning agents and personal care products. It is the world’s third-largest consumer goods company measured by 2011 revenues (after Procter & Gamble and Nestle) and the world’s largest maker of ice cream. Unilever is a dual-listed company consisting of Unilever N. V. in Rotterdam, Netherlands and Unilever PLC in London, United Kingdom. Both Unilever companies have the same directors and they operate as a single business. The current non-executive Chairman of Unilever N. V. and PLC is Michael Treschow while Paul Polman is Group Chief Executive. Unilever owns over 400 brands, amongst the largest selling of which are Aviance, Axe/Lynx, Ben & Jerry’s, Dove, Flora/Becel, Heartbrand, Hellmann’s, Knorr, Lipton, Lux/Radox, Omo/Surf, Rexona/Sure, Sunsilk, Toni & Guy, TRESemme, VO5 and Wish-Bone. Unilever PLC had a market capitalisation of ? 27. 3 billion as of 23 December 2011, the 18th-largest of any company with a primary listing on the London Stock Exchange. 1930 to 2001 See more: how to start a paragraph Lever House in New York City, which was the United States headquarters of Unilever from 1952 to 1997 Unilever was founded on 1 January 1930 by Antonius Johannes Jurgens, Samuel van den Bergh and William Hulme Lever, 2nd Viscount Leverhulme. The amalgamation of the operations of British soapmaker Lever Brothers and Dutch margarine producer Margarine Unie (a 1927 amalgamation of Anton Jurgens Margarinefabrieken N. V. and Samuel van den Bergh) made sound commercial sense, as palm oil was a major raw material for both margarines, and soaps, and could be imported more efficiently in larger quantities. The initial harvesting of palm oil was from British West Africa, from where news reports seen back in England showed the workers abroad in favourable conditions. In 1911 the company received a concession for 750,000 hectares of forest in Belgian Congo, mostly south of Bandundu, where a system of forced labour operated. The subsidiary of Lever Brothers was named â€Å"Huileries du Congo Belge†. During the great depression in the thirties, the Huileries sharply decreased the fee for gathered oil nuts, while the government of Belgian Congo strongly increased taxation. This resulted in social unrest in 1931, which is known as the Revolution of the Pende, in which eventually more than 400 members of the Pende tribe were killed. In the 1930s the Unilever business grew and new ventures were launched in Africa and Latin America. In 1972 Unilever purchased A&W Restaurants’ Canadian division but sold its shares through a management buyout to former A&W Food Services of Canada CEO Jefferson J. Mooney in July 1996. By 1980 soap and edible fats contributed just 40% of profits, compared with an original 90%. In 1984 the company bought the brand Brooke Bond (maker of PG Tips tea). In 1987 Unilever strengthened its position in the world skin care market by acquiring Chesebrough-Ponds (merged from Chesebrough Manufacturing and Pond’s Creams), the maker of Ragu, Pond’s, Aqua-Net, Cutex Nail Polish, and Vaseline. In 1989 Unilever bought Calvin Klein Cosmetics, Faberge, and Elizabeth Arden, but the latter was later sold (in 2000) to FFI Fragrances. In 1996 Unilever purchased Helene Curtis Industries, giving the company â€Å"a powerful new presence in the United States shampoo and deodorant market†. The purchase brought Unilever the Suave and Finesse hair-care product brands and Degree deodorant brand. In 1997 Unilever sold the speciality chemicals businesses National Starch & Chemical, Quest, Unichema and Crosfield to ICI for US$8 billion.. The US division carried the Lever Brothers name until the 1990s, when it adopted that of the parent company. The American unit has headquarters in New Jersey, and no longer maintains a presence at Lever House, the iconic skyscraper on Park Avenue in New York City. Unilever established a sustainable agriculture programme in 1998. 2001 to 2011 Global employment at Unilever 2000–2008 Black represents employment numbers in Europe, light grey represents the Americas and dark grey represents Asia, Africa, and Middle East. Between 2000 and 2008 Unilever reduced global workforce numbers by 41%, from 295,000 to 174,000. Notes: Europe figures for 2000–2003 are all Europe; from 2004 figures in black are Western Europe. For 2004–2008 figures for Asia, Africa and Middle East include Eastern and Central Europe. Source: Unilever Annual Reports 2004, 2008 In 2000 the company absorbed the American business Best Foods, strengthening its presence in North America and extending its portfolio of foods brands. In April 2000 it bought both Ben & Jerry’s and Slim Fast. In May 2007 Unilever became the first large-scale company to commit to sourcing all its tea in a sustainable manner, employing the Rainforest Alliance, an international environmental NGO, to certify its tea estates in East Africa, as well as third-party suppliers in Africa and other parts of the world. It declared its aim to have all Lipton Yellow Label and PG Tips tea bags sold in Western Europe certified by 2010, followed by all Lipton tea bags globally by 2015. Covalence, an ethical reputation ranking agency, placed Unilever at the top of its ranking based on positive versus negative news coverage for 2007. In 2007, Unilever’s Dove â€Å"Evolution† video that ran only online, was named the first ever non-TV spot to win the Grand Lion at the Cannes Advertising Festival. And in March, 2008, Unilever was named â€Å"Digital Marketer of the Year† by Advertising Age. In 2008 Unilever was honoured at the 59th Annual Technology & Engineering Emmy Awards for â€Å"Outstanding Achievement in Advanced Media Technology for Creation and Distribution of Interactive Commercial Advertising Delivered Through Digital Set Top Boxes† for its program Axe: Boost Your ESP. On 25 September 2009, Unilever agreed to acquire the personal care business of Sara Lee Corporation, including brands such as Radox, Badedas and Duschdas, strengthening its category leadership in skin cleansing and deodorants. On 9 August 2010, Unilever signed an asset purchase agreement with the Norwegian dairy group TINE, to acquire the activities of Diplom-Is in Denmark. On 24 September 2010, Unilever announced that it had entered into a definitive agreement to sell its consumer tomato products business in Brazil to Cargill. On 27 September 2010, Unilever purchased Alberto-Culver, a maker of personal care and household products including Simple[disambiguation needed], VO5, Nexxus, TRESemme, and Mrs. Dash, for $US3. 7 billion. On 28 September 2010, Unilever and EVGA announced that they had signed an agreement under which Unilever would acquire EVGA’s ice cream brands (amongst others, Scandal, Variete and Karabola) and distribution network in Greece, for an undisclosed amount. 2011 to present On 23 March 2011 it was announced that Unilever had entered into a binding agreement to sell the Sanex brand to Colgate-Palmolive for â‚ ¬672 million, and that Unilever would acquire Colgate-Palmolive’s laundry detergent brands in Colombia (Fab, Lavomatic and Vel) for US$215 million. On 24 August 2011, it was announced that Unilever had agreed to sell the Alberto VO5 brand in the United States and Puerto Rico, and the Rave brand globally, to Brynwood Partners VI L. P. On 14 October 2011, it was announced that Unilever had agreed to acquire 82% of the Russia-based beauty company Kalina. On 22 May 2012, it was announced that Unilever achieved top-ten status in the 2012 Gartner Supply Chain Top 25, resulting in the company’s best-ever performance in the index and establishing Unilever as one of the world’s top supply chains. Operations The Unilever R&D Centre in Bangalore, India Unilever is multinational with operating companies and factories on every continent (except Antarctica) and research laboratories at: Colworth and Port Sunlight in England; Vlaardingen in the Netherlands; Trumbull, Connecticut and Englewood Cliffs, New Jersey in the United States; Bangalore in India (see also Hindustan Unilever Limited); and Shanghai in China. [edit] Products For a full list of Unilever brands, see List of Unilever brands. Unilever’s products include foods, beverages, cleaning agents and personal care products. The company owns more than 400 brands, although its 25 largest brands account for over 70% of total sales. [29] Unilever focuses resources on 13 â€Å"billion-Euro brands†, each of which has annual sales in excess of â‚ ¬1 billion. Unilever organises its brands into four categories: Homecare, Personal Care, Foods and Refreshment (which includes tea, ice-cream and beverages).