Thursday, October 31, 2019

Labor Relations Reseach Paper Research Example | Topics and Well Written Essays - 1250 words

Labor Relations Reseach - Research Paper Example Predominantly, in the heavy industries of south west and the north east, another get natured in the thriving consumer industries of the east, southern coast provinces (Beik, 2005). This has steered to the rise of two new labor movements. State sector workers have complained and struck to shield their jobs, while in foreign-owned and private factories, dismal conditions and dictatorial management are matters that have provoked insurgency. The largest and the most dramatic labor protests in China get induced by laid-off workers against the regularly corrupt and illegal methods in which their enterprises get sold off, or for owing unpaid benefits, which they remained entitled to. Nevertheless, their radicalism happens at the moment of departure from the working classes when they do not anymore have the power to halt production. However, there has been a rising trend for workers to be against the corrupt conditions in which their enterprises get privatized, and to leap in before they get laid off (Pringle, 2010). Deng Xiaoping agreed as many western academics ostensibly do not, that not only is there no essential connection between political and economic liberalism, but the realization of China’s economic success has been reliant on political repression to subdue the inevitable dissatisfaction (Oxford University, 2011). When tanks rolled into Tiananmen Square in 1989, he described the frightening logic behind the resolution: â€Å"Even if we sacrifice 10 to 20 thousand persons, we must exercise control above the situation of the country and get twenty years tranquility in response†. However, workers showed to be far stronger than Deng expected, with strikes recounted even in the 2nd half of 1989. The most significant feature of the growing industrial disturbance is that for the first while since 1948, strikes have become an undying feature of Chinese society. In addition, unlike the past, this has occurred at a time of agreement among the leadership o f Communist Party (Oxford University, 2011). For instance, the Chinese Honda Motor Company faced the worst strikes in its 18-year-old manufacturing business. The company said it needed to develop communication with its employees in the nation after the strikes took the company by shock. Honda, Japanese second - largest automaker, made the report after strikes at 2 suppliers in China paused its car output in China for the first time and required the company to raise their wages. Another third strike, at Honda Lock (Guangdong) Company, Guangdong province, got suspended for the union leaders and management to negotiate over pay. There are no effective networks in China for management and workers to negotiate, said Crothall Geoffrey, a Hong Kong-based China Labor Bulletin advocacy group spokesman. Discussions between the two parties get handled by government - associated union officers who can not selected by the workers. Honda is trying to construct a system that will facilitate a flow of communication between workers via managers to Honda management team and Japanese company officials (Beik, 2005). The first measure to be taken by the company was increasing its wages as demanded by the striking workers. Before any communication developments, the company had to solve the underlying problems of the strike which primarily included wages increment. After ward, the company had

Tuesday, October 29, 2019

African Americans health disparities Essay Example for Free

African Americans health disparities Essay In 2011, the diagnosis rate for HIV cases in the United States was 15. 8 per 100,000 population and 60. 4 among Blacks. Of 197,090 diagnoses of HIV-infection from 2008- 2011, Blacks/African Americans accounted for: ?47% OF THE TOTAL ?64% OF WOMEN ?66% OF INFECTIONS ATTRIBUTED TO HETEROSEXUAL CONTACT ?67% OF CHILDREN, AGES 13 In 2010, the death rate for blacks was higher (25. 0 per 100,000) compared with any other racial ethnicity group (3. 0 whites). Blacks represented 49% of all deaths with HIV in 2010. A recent study showed that blacks diagnosed with HIV are less likely than other groups to be linked to care, retained in care, receive antiretroviral treatment and achieve adequate viral suppression. African American Males African American men accounted for 42% of HIV cases diagnosed among men in 2011. A majority (72%) of African American men with HIV contracted the disease by male to male contact while 19% contracted HIV through heterosexual exposure. African American Females Among African American women, high risk heterosexual contact was the most frequently cited mode of transmission, accounting for 89% of cases diagnosed in 2011. More Information: ?HIV/AIDS TOPIC SITE ?HIV/AIDS AND AFRICAN AMERICANS ?HIV/AIDS STATISTICS AND SURVEILLANCE Sexually Transmitted Diseases (STD) Gonorrhea In 2010, 69% of all reported cases of gonorrhea occurred among blacks. The rate of gonorrhea among blacks in 2010 was 432. 5 cases per 100,000 population, which was 18. 7 times the rate among whites (23. 1). This disparity has changed little in recent years. This disparity was larger for black men (22.2 times) than for black women (16. 2 times). Chlamydia In 2010, the overall rate among blacks in the United States was 1,167. 5 cases per 100,000, a 4. 0% increase from the 2009 rate of 1,122. 2 cases per 100,000. The rate of chlamydia among black women was over seven times the rate among white women (1,536. 5 and 205. 1 per 100,000 women, respectively). The chlamydia rate among black men was almost 11 times the rate among white men (761. 8 and 69. 9 cases per 100,000 men, respectively). Syphilis.

Saturday, October 26, 2019

Polarisation of Light Investigation

Polarisation of Light Investigation Valentin Haemmerli Abstract. An optical system consisting of a laser, a polariser, a quarter-wave plate, a prism, and a light detector connected to a multi-meter was used to find the transmission axes of the polariser and the quarter-wave plate, find the angle of polarisation of the laser relative to the optical axis and investigate the quality of the polariser and quarter-wave plate by comparing the theoretical and experimental values of degree of polarisation for linear, circular and elliptic polarisations. These were found to be 0.98 ±0.03 compared to 1 for linear, 0.18 ±0.03 compared to 0 for circular and 0.59 ±0.03 compared to 0.65 for a particular ellipse. Introduction Polarisation of electromagnetic radiation is a fundamental phenomenon arising directly from the wave properties of light. Polarisation of light in the visual spectrum has many commercial applications such as stress analysis of birefringent materials[1, 2], sugar content analysis in the brewing industry and in food chemistry[1], liquid crystal displays [2] and in sunglasses. In addition to these applications, polarisation of light has a number of important scientific uses, including â€Å"determining the refractive indices, absorption constants and reflecting power of †¦highly absorbing materials† [1]. There are three different cases for polarised light; linear, circular and elliptical. The aim of this investigation was to calibrate the optical system and subsequently use it to analyse transmission intensities for each of these types, and compare the respective degrees of polarisation to theoretical values. Theory Polarisation Types Electromagnetic waves have electric and magnetic field components propagating as sinusoidal waves where the directions of the electric field vector is perpendicular to both the direction of the magnetic field vector and to the direction of propagation at all times. Due to this constant relation between electric and magnetic field vectors, we can describe polarisation in terms of electric field only for simplicity. Linear polarisation is the case where the x and y components of electric field for a wave traveling in the z-direction are varying in phase with each other, so they are both at their maxima at the same time, and both at their minima at the same time, and the electric component of the wave is always in the same plane. This is shown in Figure 1a). Circular polarisation, shown in Figure 1b), occurs when the x and y components of the electric field vector have the same amplitudes and have a phase difference of Ï€/2, or Ï€/2 plus an integer multiple of Ï€. The end point of the resulting electric field vector traces out a circle in the x-y plane, which translates to a helix once time is taken into account. Elliptical polarisation, of which circular polarisation is merely the special case when the amplitudes are equal and the phase difference is where . Elliptical polarisation is therefore any case for which the end point of the electric field vector traces out an ellipse in the x-y plane. This is shown in Figure 1c). Brewster’s Law Brewster’s Law states that for a beam incident on a flat horizontal glass surface of a prism at the Brewster angle, given by ,(1) where is the refractive index of the prism, only the component of the beam with polarisation parallel to the incident plane is reflected. This fact can be used to determine the polarisation of the incident beam after it has passed through the analyser. By rotating the analyser until there is no reflected component the beam is polarised vertically and hence has not component in the horizontal direction. Quarter-wave plate A quarter-wave plate is an optical device which is made of two materials with different refractive indices which has the effect of introducing a phase difference of Ï€/2 between the perpendicular x and y component of the electric field vector for light of a particular wavelength. The quarter-wave plate has two perpendicular transmission axes. A quarter-wave plate can therefore be used to change the polarisation of the incident light from linear to elliptical and in the simple case of the ellipse, circular. Degree of polarisation The equation used to find the degree of linear polarisation of light for transmitted intensities measured for angles of analyser is ,(2) where I is intensity. Experimental Method We first found the transmission axis of the Polaroid analyser using Brewster’s Law of horizontal polarisation using the set up in Figure 2.We started at an approximate value of Brewster’s Angle using n=1.6 for the refractive index of the prism. We set the incident angle to this, and then rotated the analyser until no light was reflected from the face of the prism, but light was still transmitted through the analyser. By slight changes of the incident angle on the face of the prism and the angle of the analyser to minimise the transmission, we found the transmission axis of the Polaroid analyser. We found the degree of polarisation of linearly polarised light using the set up in Figure 3, by rotating the analyser through 360 º and noting the transmitted intensity detected by the light detector and multi-meter in volts. Plotting the intensity as a function of angle and comparing it to a theoretical plot of transmission from Malus’ Law, we also found the angle at which the laser beam was polarised. Using the set up shown in Figure 4 we found the transmission axes of the quarter-wave plate. With the analyser set to an angle perpendicular to the angle of polarisation of the laser beam (i.e. a minimum intensity), transmitted intensity was measured for angles between 0 and 360 º of the quarter-wave plate. The minima of this dependence correspond to the transmission angles of the quarter-wave plate. Once the transmission axes were found, the quarter-wave plate was set to an angle of one of the transmission axes plus 45 º to give circularly polarised light. The intensity was measured as a function of the angle of the analyser. This was used to find the degree of polarisation of circularly polarised light by rotating the analyser through angles from 0 to 360 º. Finally we tested for a theoretical value of elliptical degree of polarisation of 0.65 by turning the quarter-wave plate 22.7 º past one of the transmission axes and once again rotating the analyser through 360 º and measuring intensities to give an experimental degree of polarisation. The error in the analyser angle and quarter-wave plate angle was determined by observing the range of angles over which the intensity did not change. This was  ±2 º in both cases, and when both the analyser and quarter-wave plate were on the optical bench this gave a combined error of  ±4 º. The ambient light reading was taken to eliminate a systematic error in intensity readings. This was found to be 0.00 V. Experimental Results The degree of polarisation of the analyser is 0.98 ±0.03 from the maximum and minimum intensities in Figure 5 and equation (2). The error comes from the uncertainty in the measurement of the intensity. The angle of polarisation of laser beam is 10 ±2 º. This was determined from the angle difference between the experimental data and the theoretical plot of Malus’ law. The error is given by the error in analyser angle. The transmission axis of the analyser runs from 170 º to 350 º  ±2 º, this is given by the maxima of the experimental data in Figure 5. The transmission axes of the quarter-wave plate are 20 ±4 º to 200 ±4 º and 110 ±4 º to 290 ±4 º from the minima in Figure 6, corrected for the angle of polarisation of the laser beam. The degree of polarisation of circularly polarised light is 0.18 ±0.03 from the maximum and minimum intensities in Figure 7. Theoretically the quarter-wave plate should be at one of its transmission axes plus 23 ±2 º for a degree of polarisation of 0.65. At this angle the experimental degree of polarisation was 0.59 ±0.03 from the maximum and minimum intensities in Figure 8. Discussion The error in the sensitivity of the polariser and quarter-wave plate are much greater than the accuracy of the scales on the polariser and quarter-wave plate. The errors are found to be  ±2 º for each, while the accuracy of the scale is  ±0.5 º. This is far too small because intensity did not change over such a small change in angle. One possible reason for such a large difference between theory and experimental values for degree of polarisation for the case of elliptical polarisation, 9.2%, is that the quarter-wave plate was designed to give a phase difference of Ï€/2 for a specific wavelength of light due to the dependence of refractive index on wavelength. The wavelength of our laser was not the same as this design. The difference could be reduced by using a more suitable laser or quarter-wave plate. The theoretical degree of polarisation for circular polarisation settings of the quarter-wave plate and analsyer is 0, compared to the 0.18 ±0.03 found experimentally. Similarly, the analyser was not ideal, imperfectly blocking components perpendicular to the transmission axis. The theoretical degree of polarisation for the analyser is 1, while experimentally we found it to be 0.98 ±0.03. The contribution to the error from the quarter-wave plate is therefore larger than that from the analsyer. There are two possible reasons for imperfect circular polarisation. The first of these is that the quarter-wave plate was set to the wrong angle, not at 45 º to a transmission axis. This would lead to an error in the degree of polarisation of approximately twice the error in the angle, or approximately 4. This is far too large for our degree of polarisation and therefore unlikely, since the difference between theory and experiment is only 0.18. The other reason is that the quarter-wave plate did not shift the phase of one component of polarisation by Ï€/2. Then the difference is approximately the difference between the theoretical phase difference and the actual phase difference. This is the more likely case, as discussed above, the quarter-wave plate is designed for a specific wavelength of light. Conclusions We investigated three types of polarisation of light using an analyser and a quarter-wave plate. We found degrees of polarisation for each type, and compared them to their theoretical values. This gave us an idea about the quality and suitability of the analyser and quarter-wave plate for our laser, with the quarter-wave plate contributing the largest amount to the difference between the theoretical and experimental polarisations. In the process of finding these values we also determined the transmission axes of the analyser and the of the quarter-wave plate. Appendix Derivation of the angel of the quarter-wave plate for degree of polarisation 0.65 From equation (2): , (3) , (4) From (3) and (4), , (5) where is the angle offset from the transmission axes of the quarter-wave plate and is the component of the electric field vector. This gives us, from equations (1) and (5), . (6) References [1]C. A. Skinner, The polarimeter and its practical applications, Journal of the Franklin Institute, vol. 196, pp. 721-750, 1923. [2]P. A. Tipler and G. Mosca, Physics for scientists and engineers : with modern physics, 2008. 1

Friday, October 25, 2019

Free Catcher in the Rye Essays: Holdens Phony Phobia :: Catcher Rye Essays

Holden's Phony Phobia in The Catcher in the Rye What does phony mean to you? Do you consider it something that is not what it really seems? Or even something or someone that isn't normal in all ways or just in some? Phony is one of the words in the English literature that can have numerous interpretations. Can be being phony possibly hinder an attempt to accomplish a task to fully function mentally? Can phony delay an individuals maturing period? In J.D. Salinger's Catcher in the Rye, Holden's "phony phobia" restricts him from becoming a fully matured adult. In Holden's attempted journey in becoming a fully matured adult, he encounters many scenarios involving friendships, personal opinions, and his love of children. His journey is an unpleasant and difficult one with many lessons learned along the way. Holden possesses abnormal relationships with some of the characters in Catcher in the Rye. Many of his friends and those he talks highly about are young children. He does not make any negative comments about these companions, and there is no mention whatsoever of phony. Holden has a strong relationship with Phoebee, his younger sister. Holden vocalizes about the fact Phoebee can visit him anytime in the summer, "What I'd do, I'd let old Phoebee came out and visit me in the summertime and on Christmas vacation and Easter vacation" (205). Holden shows a solid liking to his sister and is always wanting her by his side. He finds a hard time associating with older, mature individuals. Also, a strong relationship with Allie his deceased younger brother, is apparent due to the twenty references in the novel. In fact, most of Holden's fondest memories are of those times with his younger siblings. His comments of innocence help establish this connection. Someone who is trying to learn the sta ges of developing into a mature adult would not develop as soon, or as fully when spending their time solely with those who are five to seven years of age. They would not experience the guidance from older adults to correct wrong behavior. The guidance of an elder isn't present and they need to learn by themselves. Harrison Smith has defined Holden's friendships quite clearly "What was wrong with Holden was his moral revulsion against anything that was ugly, evil, cruel, or what he called 'phony' and his acute responsiveness to beauty and innocence, especially the innocence of the very young.

Wednesday, October 23, 2019

Metacognition knowledge and academic achievement of university students Essay

In general, metacognition is thinking about thinking. More specifically, Taylor (1999) defines metacognition as â€Å"an appreciation of what one already knows, together with a correct apprehension of the learning task and what knowledge and skills it requires, combined with the agility to make correct inferences about how to apply one’s strategic knowledge to a particular situation, and to do so efficiently and reliably. † The more students are aware of their thinking processes as they learn, the more they can control such matters as goals, dispositions, and attention. Self-awareness promotes self-regulation. If students are aware of how committed (or uncommitted) they are to reaching goals, of how strong (or weak) is their disposition to persist, and of how focused (or wandering) is their attention to a thinking or writing task, they can regulate their commitment, disposition, and attention. To increase their metacognitive abilities, students need to possess three kinds of content knowledge: declarative, procedural, and conditional. Declarative knowledge is the factual information that one knows; it can be declared—spoken or written. Procedural knowledge is knowledge of how to do something, of how to perform the steps in a process. Conditional knowledge is knowledge about when to use a procedure, skill, or strategy and when not to use it; why a procedure works and under what conditions; and why one procedure is better than another. Metacognition affects motivation because it affects attribution and self-efficacy. When students get results on tests and grades on assignments (especially unexpected results such as failures), they perform a mental causal search to explain to themselves why the results happened. When they achieve good results, students tend to attribute the result to two internal factors: their own ability and effort. When they fail, they might attribute the cause to these same internal factors or they might, in a self-protective rationalization, distance themselves from a sense of personal failure by blaming external causes, such as an overly difficult task, an instructor’s perverse testing habits, or bad luck. This tendency to attribute success to ability and effort promotes future success because it develops confidence in one’s ability to solve future unfamiliar and challenging tasks. The converse is also true. Attributing failure to a lack of ability reduces self-confidence and reduces the student’s summoning of intellectual and emotional abilities to the next challenging tasks; attribution theory also explains why such students will be unwilling to seek help from tutors and other support services: they believe it would not be worth their effort. In addition to blaming failure on external causes, underachievers often â€Å"self-handicap† themselves by deliberately putting little effort into an academic task; they thereby protect themselves from attributing their failure to a painful lack of ability by attributing their failure to lack of effort. The tasks that students need to perform vary not only among disciplines but among instructors in the same discipline. An effective strategy for preparing for a multiple choice test in biology is different from what is needed to prepare for a history exam with an essay that asks students to synthesize information from several chapters. Yet students often employ the same strategy—and sometimes the least effective strategy—for studying for very different kinds of tests. Furthermore, many students who perform badly misinterpret the tasks. Students need to understand the task accurately in order to use the most effective strategies. Research Question: The basic aim of the study was to identify the relationship between meta-cognitive knowledge and academic achievement of university students. Methods: To analysis and interpretation of data and Survey was planned to collect data from University of education (UE) and Govt. College University Lahore (GCU). Twenty five (25) students were collected of UE and Twenty five (25) students from GCU randomly. Metacognitive Awareness Inventory (MAI) was used to measure meta-cognitive knowledge. This inventory consisted of six components i. e. Planning, monitoring, evaluation, declarative knowledge, conditional knowledge and procedural knowledge but researcher selected three components i. e. declarative knowledge, conditional knowledge, and procedural knowledge. Responses were collected on three point scale i. e. Yes, no and to some extent. Scores of these components were used to compare Metacognitive knowledge of UE and GCU students. Analysis of data was presented in the form of Tables. Null hypothesis: There is no difference b/w the metacognition knowledge and academic achievement of students. Alternative hypothesis: There is difference b/w the metacognition knowledge and academic achievement of students. Ho: ? 1 = ? 2 Ha: ? 1 ? ?2 Table 1. 1 Comparison of mean scores of UE students and mean score of GCU students on component of Meta cognitive knowledge (Declarative Knowledge) by Independent samples t-test. University of Education (n=25) Govt. College University (n=25) t-value Mean SD Mean SD 6. 21 1. 63 6. 52 1. 23 .749 The result of independent samples t-test was conducted to compare mean scores of UE students and mean score of GCU students on component of Meta cognitive Knowledge (Declarative Knowledge). The value of t (48) = . 749 is not significant at ? =0. 05. This means that mean scores of UE students and means score of GCU students are not different on component of Meta cognitive Knowledge (Declarative Knowledge). Fig 1. 1 Bar chart shows comparison of mean scores of UE students and means score of GCU students on component of Meta cognitive knowledge (Declarative Knowledge). Table 1. 2 Comparison of mean scores of UE students and mean score of GCU students on component of Meta cognitive knowledge (Conditional Knowledge) by Independent samples t-test. University of Education (n=25) Govt. College University (n=25) t-value Mean SD Mean SD 2. 98 .87 3. 10 1. 08 .430 Table 1. 2 shows the result of independent samples t-test. Independent samples t-test was conducted to compare mean scores of UE students and mean score of GCU students on component of Meta cognitive Knowledge (Conditional Knowledge). The value of t (48) = . 430 is not significant at ? =0. 05. This means that mean scores of UE students and mean score of GCU students are not different on component of Meta cognitive Knowledge (Conditional Knowledge). Fig 1. 2 Bar chart shows comparison of mean scores of UE students and means score of GCU students on component of Meta cognitive knowledge (Declarative Knowledge). Table 1. 3 Comparison of mean scores of UE students and mean score of GCU students on component of Meta cognitive awareness (Procedural Knowledge) by Independent samples t-test. University of Education (n=25) Govt. College University (n=25) t-value Mean SD Mean SD 4. 16 1. 01 3. 76 1. 109 1. 328 Table 1. 3 shows the result of independent samples t-test. Independent samples t-test was conducted to compare mean scores of UE students and mean score of GCU students on component of Meta cognitive Knowledge (Procedural Knowledge). The value of t (48) = 1. 328 is not significant at ? =0. 05. This means that means scores of UE students and means score of GCU students are same on component of Meta cognitive Knowledge (Procedural Knowledge). Fig 1. 3 Bar chart shows comparison of mean scores of UE students and means score of GCU students on component of Meta cognitive knowledge (Declarative Knowledge). Table 1. 4 Comparison of mean scores of UE students and mean score of GCU students on component of Meta cognitive knowledge by Independent samples t-test University of Education (n=25) Govt. College University (n=25) t-value Mean SD Mean SD 13. 38 2. 83 13. 30 2. 60 .104 Table 1. 4 shows the result of independent samples t-test. Independent samples t-test was conducted to compare mean scores of UE students and mean score of GCU students on component of Meta cognitive by Independent samples t-test. The value of t (48) = . 104 is not significant at ? =0. 05. This means that mean scores of UE students and mean score of GCU students are same on component of Meta cognitive by Independent samples t-test. Fig 1. 4 Bar chart shows comparison of mean scores of UE students and means score of GCU students on component of Meta cognitive knowledge (Declarative Knowledge). Table 1. 5 Comparison of mean scores of academic achievement and Meta cognitive knowledge of both universities student’s by Independent samples t-test UE & GCU Low Achiever (n=25) High Achiever (n=25) t-value Mean SD Mean SD Declarative knowledge 5. 08 1. 49 7. 33 0. 78 4. 64 Procedural Knowledge 2. 46 0. 72 3. 46 0. 72 3. 48 Conditional Knowledge 3. 50 1. 07 4. 77 0. 44 4. 0 Meta-cognitive knowledge 11. 04 2. 18 15. 54 1. 09 6. 6 Table 1. 5 shows the result of independent samples t-test. Independent samples t-test was conducted to compare mean scores of academic achievement and Meta cognitive knowledge of both universities student’s by Independent samples t-test. These results show that mean scores of Metacognitive knowledge and academic achievement of both universities student’s are different. Procedure: To fulfill the above mentioned purpose instrumentation, data collection methods and procedures for analysis of data were used. The study was descriptive in nature as it addressed the prevailing situation of using meta-cognitive knowledge in daily life by students. The target population for this study was the students of UE and GCU Lahore. The researcher selected sample by using convenient sampling technique from the students of UE and GCU Lahore. Fifteen items wee included in the questionnaire taken from meta-cognitive awareness inventory. After the selection of sample and development of the questionnaire, the questionnaires were distributed. The questionnaire was administered personally by the respondent and filled questionnaire collected back. The return rate of the questionnaire was 100% due to personal administration. To analyze the data means standard deviations, independent sample t. test, was calculated. Results: 1. The mean score of Meta-cognitive knowledge (declarative knowledge) of University of Education are same from mean score of Govt. College University. Because the value of t is not significant at ? =0. 05. 2. The mean score of Meta-cognitive knowledge (conditional knowledge) of University of Education are same from mean score of Govt. College University. Because the value of t is not significant at ? =0. 05. 3. The mean score of Meta-cognitive knowledge (procedural knowledge) of (UE) are same from mean score of (GCU) because the value of t is not significant at ? =0. 05. 4. The mean score of Meta cognitive Knowledge and mean score of academic achievement are different among both universities. Because the value of t is significant at ? =0. 05.

Tuesday, October 22, 2019

To what extent is Othello a Hegelian tragedy Essay Example

To what extent is Othello a Hegelian tragedy Essay Example To what extent is Othello a Hegelian tragedy Paper To what extent is Othello a Hegelian tragedy Paper A Hegelian tragedy must have; a society in conflict and a series of opposing social forces that ultimately destroy themselves. It is argued that a Hegelian tragedy is not about the individual characters but rather what they represent. The beginning of the play Othello is set in Venice and the Venetian society is definitely portrayed to be in conflict. Firstly there is a war going on between Venice and the Turks. Othello is a general and plays a key role on the war. Eventually the venetians beat the Turks and Othello, Desdemona and the rest of the key characters go to stay in Cyprus. Secondly there is the conflict with race within the society. Othello, otherwise known as the moor, originates from North Africa and he is black. Many of the characters call his names such as thick lips and black ram as well as always referring to him as the moor. When Brabantio finds out that his daughter Desdemona is married to Othello, a black man, he thinks its monstrous and takes Othello straight to the duke. Lastly there are the constant arguments. In the opening scene of the play we see Roderigo and Iago arguing outside Brabantios house. Roderigo has paid iago a considerable amount of money to spy on Othello for him, since he wishes to take Othellos girlfriend, Desdemona as his own. Roderigo fears Iago has not been telling him enough and that this proves Iagos real loyalty is to Othello not him. Iago tells us of his hatred towards Othello for choosing Cassio as his new lieutenant and not him as he had expected. There are many opposing social forces in Othello; the main social forces are to do with white vs. black, love vs. lust, honesty vs. Lies and chaos vs. Order. The first social conflict to mention is black versus white. White people are seen to be generally higher up in society and black people lower down. It is clear that some of the white venetians strongly believe this statement should be the way forward for Venice and consequently they very raciest. This point is backed up firstly by Iagos hatred of Othello could be seen as partly being racially motivated. This is evident in his use of racially disparaging names for Othello. Secondly, and perhaps more importantly, Othello can be seen as a victim of racist ideology because he gives in to and accepts the racist constructions of himself. The opening scenes establish Othellos status as an outsider in Venice. Iagos hatred of Othello as racially motivated is emphasised especially in his description of Othello as his Moorship which implies that Iago sees Othellos high status as incompatible with his race. In a way, Venice is portrayed as a society in which there are competing ideas about race, because not everyone has a problem with Othello being black, especially Desdemona and of course the duke who likes othello and doesnt mind one bit that he is black. But it is also portrayed as a society where no one seems to be totally unaware of Othellos difference. To other opposing social forces are love and lust. In the play there are examples of both these aspects. True love is shown between Desdemona and Othello at the beginning of the play. The two love each other for who they are, rather than just how each other look. You can see from how they act at the beginning of the play by how they speak and interact with each other that they are truly in love. On the other hand, lust is brought up in the play on several instances. First there is Iago, believing women are only creatures of lust and nothing more. He doesnt seem to believe in love, even though he is married and his wife loves him. He mocks love, believing it is only lust that brings a man and a woman together. He makes a lot of sexual remarks and mocks women. Also there is Roderigo who is lusting after Desdemona, rather than loving her. He sees her as a prize, as he does not seem to know her at all. Also with Bianca and Cassio, he does not seem to really love her, and sees Bianca as more of an object of lust to him. There is a lot of lying in Othello but there is also honesty. When it is said that in Hegelian tragedies it is not about the individual characters but what they represent, we can say that Iago represents lies and Desdemona, even though she deceives her father, represents honesty. Iago does nothing but lie. Even lying to himself to convince himself of the lie for when he tells it to other people. Iago says at the beginning; I am not what I am this tells the audience that he is a liar and he is going to deceive the Venetian society in many ways. When Desdemona is accused of having an affair with Cassio she speaks the entire truth and doesnt lie at all. But sadly Othello believes the lies rather than the truth. There is a battle between order and chaos and this is shown throughout the entire play. Although Iago goes through lots of trouble to create chaotic events at the beginning Shakespeare tends to bring a sense of order into the play that calms down the previous events. This is shown when Brabantio visits the Duke with the issue of his daughter and Othello. The Duke makes the decision to leave Othello and Desdemona be and that Desdemona has chosen this path and Brabantio follows the Dukes decision. However Iago never stops trying to cause the chaos and as Othello sinks deeper into distrust of Desdemona and is more consumed by his jealousy, chaos increases and threatens to devour him. His suspicion of Desdemonas affair overpowers him and makes him mentally chaotic, leaving him in deep despair. To conclude Othello is to a great extent a Hegelian tragedy because it matches hugely all of the Hegelian traits, especially the opposing social forces and the play being set in a society in conflict.

Monday, October 21, 2019

Fecha de prioridad para obtener la green card

Fecha de prioridad para obtener la green card Tu fecha de prioridad es el dà ­a en el USCIS recibià ³ tu peticià ³n para una tarjeta de residencia. Es un dato importantà ­simo para saber cundo tendrs disponible una visa de inmigrante para ti. Si eres esposo/a, hijo soltero menor de 21 aà ±os, padre o madre de un ciudadano americano tu fecha de prioridad aparece en el documento en el que el USCIS confirma que ha recibido la aplicacià ³n. Pero realmente no es importante a estos efectos. Para ti no hay là ­mite anual en el nà ºmero de visas que se pueden conceder. Por lo tanto,  para ti no aplica el resto del artà ­culo. Por el contrario, si eres: cà ³nyuge de un residente permanente legalhijo soltero menor de 21 aà ±os de un residente permanentehermano de un ciudadanohijo soltero mayor de 21 aà ±os de un ciudadanohijo casado de cualquier edad de un ciudadano entonces sà ­ que la fecha de prioridad es muy importante para tu caso. Sigue leyendo. Los cupos anuales para tarjetas de residencia por razà ³n de familia Si ests en uno de los casos anteriores, para cada aà ±o fiscal hay un là ­mite en el nà ºmero de tarjetas de residencia que se pueden aprobar para cada categorà ­a de peticià ³n por razà ³n de familia. Pero como el nà ºmero de solicitudes que se presentan anualmente es superior al nà ºmero de tarjetas de residencia disponibles esto hace que se produzca aà ±o tras aà ±o una acumulacià ³n de casos. Y se resuelven por estricto orden de presentacià ³n de la solicitud para cada categorà ­a. Y aquà ­ es donde entra en juego la fecha de prioridad. Cà ³mo se sabe si tienes que seguir esperando o si ya hay una visa disponible para ti Tienes que saber tres cosas: tu fecha de prioridad. Puedes verla en el NOA2tu paà ­s de nacimiento. Y si es Mà ©xico, China, India o Filipinas ver si te puede aplicar un cambio de paà ­s (alternative chargeability)tu categorà ­a Las categorà ­as son estas: cuando el que pide a un familiar es un ciudadano americano: Categorà ­a F1, cuando el beneficiario es un hijo del ciudadano y reà ºne estos dos requisitos: es mayor de 21 aà ±os y est soltero o es viudo o divorciado.Categorà ­a F3, cuando el aplicante es un hijo de un estadounidense y est casado. No importa la edad.Categorà ­a F4, cuando la tarjeta de residencia se solicita para un hermano de un ciudadano. Estos son 10 pasos para este tipo de solicitud, que da una idea clara de quà © se hace en cada momento y de dà ³nde se producen las demoras. Cuando el que pide la tarjeta de residencia para un familiar es un residente permanente legal: Categorà ­a F2A, cuando el beneficiario es el marido o la mujer de un residente o un hijo menor de 21 aà ±os que est soltero.Categorà ­a F2B, cuando se solicita para un hijo soltero del residente permanente que tiene ms de 21 aà ±os. En este caso debe estar soltero, viudo o divorciado. En otras palabras, los residentes permanentes no pueden solicitar una tarjeta de residencia para los hijos casados. Una vez que sabes esos tres datos debes hacer los siguiente: Cada mes, a partir del dà ­a 8 aproximadamente, el Departamento de Estado publica en el Boletà ­n de Visas las fechas de corte (cut-off) para cada categorà ­a de visas de inmigrante para el mes siguiente.   Entonces, lo que tienes que hacer es buscar tu categorà ­a (f1, f2a, f2b, f3 o f4) y mirar la columna de Mà ©xico, si has nacido allà ­, o la del resto del mundo, si has nacido en otro paà ­s de Latinoamà ©rica o en Espaà ±a (o en otro paà ­s que no sea China, India o Filipinas). Y vers una fecha (escrita a la americana, primero el mes, luego el dà ­a y luego el aà ±o). Eso quiere decir que las peticiones en esa categorà ­a con fecha de prioridad anterior a ese dà ­a tienen ya visa de inmigrante disponible. En otras palabras, toda la tramitacià ³n se acerca a su fin, aunque todavà ­a no se ha completado. Si ests fuera de Estados Unidos, quiere decir que el consulado tiene a su disposicià ³n un nà ºmero para la visa de inmigrante. Y si ests ya en el paà ­s, que el CIS tiene un nà ºmero para proceder a tramitar el ajuste de estatus. Pero si tu fecha de prioridad es posterior al dà ­a de corte que aparece en el boletà ­n de visas, eso quiere decir que tendrs que seguir esperando. Retrocesià ³n Si todos los meses consultas el boletà ­n de visas es posible que un dà ­a te lleves un buen susto al ver que las fechas de corte en vez de ir adelantando, den un salto hacia atrs . Esto es lo que se conoce como retrocesià ³n, cuando por la razà ³n que sea no hay visas de inmigrante disponibles para una categorà ­a en concreto o incluso para un paà ­s dentro de una categorà ­a. Suele darse cuando el aà ±o fiscal se acerca a su fin. A tener en cuenta La fecha de corte que aparece en el boletà ­n de visas quiere decir cunto han estado esperando las personas que han hecho su peticià ³n en determinada categorà ­a. Pero si ahora presentas tà º una peticià ³n, no quiere decir que ese vaya a ser tu tiempo de espera. Puede ser mayor o menor. Pero en todo caso te da una idea de lo lento que funciona el sistema. Y aquà ­ se puede ver cunto se demora todo tipo de trmite migratorio, desde lo que tardan las residencias a presentarse en Corte, solicitud de visas u otro tipo de peticiones. Para evitar repeticiones a la hora de escribir el artà ­culo, se utilizan las palabras ciudadano, hijos, trabajadores, etc en sentido genà ©rico, incluyendo tanto al hombre como a la mujer. Es decir, cuando se habla de un hijo de un ciudadano hay que entender que tambià ©n se contempla el caso de la hija de un ciudadano o los hijos de una ciudadana. Y asà ­ en todos los supuestos. Consejo y dà ³nde encontrar informacià ³n Toma una test para verificar que tienes los conocimientos bsicos  sobre cà ³mo obtener y conservar la tarjeta de residencia. Es difà ­cil conseguirla. No corras el riesgo de que te la cancelen por ignorancia. Finalmente, es importante saber dà ³nde encontrar informacià ³n sobre el caso, saber dà ³nde reportar fraudes o dà ³nde solicitar ayuda.

Sunday, October 20, 2019

20 Synonyms for Ghost

20 Synonyms for Ghost 20 Synonyms for â€Å"Ghost† 20 Synonyms for â€Å"Ghost† By Mark Nichol Ghost conjures an image of a visual but incorporeal representation of a person, but not all ghosts are alike, and like ghost, most of its synonyms also have connotations that apply to the everyday, substantial world. Here are twenty of those terms, with references to their natural connotations as well as supernatural ones: 1. apparition: a ghostly figure, or a sight that is unexpected or unusual 2. bogey (or bogie or bogy): synonymous with phantom and spirit, but also something that prompts fear or dread; by extension, an unidentified aircraft, especially an enemy warplane (also the source of the term bogeyman often spelled boogeyman referring to a monster whose name is invoked by parents or other adults to frighten children into obedience 3. banshee: a female spirit whose appearance or wailing cry presages death 4. bogle: synonymous with specter (the word from which bogey and its variants were derived) 5. eidolon: synonymous with phantom, but also refers to an exemplar or ideal 6. familiar (or familiar spirit): a spirit that takes animal form and protects or serves a person, especially a witch (also refers to flesh-and-blood figures, including a companion or other well-known person or a person seen frequently in a specific place or in general, a household attendant for a important official, or somebody who knows a subject well 7. haunt (or hant): synonymous with ghost; also, a frequented location, or, as a verb, to visit or reappear or recur frequently, or to trouble, or to inhabit or visit (said of a ghost) 8. materialization: synonymous with apparition 9. phantasm (or fantasm): synonymous with specter; also, an illusion or product of the imagination, or a mental image of a physical object 10. phantom: synonymous with apparition, but other figurative senses include something that is elusive or that has no physical form, including a representation, or something that evokes dread 11. poltergeist: a noisy, mischievous ghost 12. shade: a spirit, or a fleeting or unreal appearance, in addition to the standard meanings associated with the obscuring of light 13. shadow: synonymous with apparition, in addition to literal and figurative senses regarding partial darkness 14. specter (or spectre): a visible ghost; also refers figuratively to some threat or imminent disturbance, such as the threat of famine or war 15. spirit: a ghost that may or may not be visible, or a being capable of possessing a person; also, an animating force, a supernatural being, or a characteristic quality or temper 16. spook: synonymous with specter, but also slang referring to a spy 17. sprite: synonymous with ghost, though more often synonymous with elf or fairy or used to refer to an elflike person 18. vision: a supernatural appearance, not necessary of a lifelike figure, that reveals something to the viewer, in addition to connotations associated with sight as well as imagination 19. visitant: a visitor from a spirit realm; also, a real-life visitor 20. wraith: synonymous with specter, but also has the sense of a representation of a living person that appears to another just before that person’s death; also, like shadow, refers to a remnant, either of a person or a thing Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the General category, check our popular posts, or choose a related post below:15 Terms for Those Who Tell the FutureThe Many Forms of the Verb TO BE20 Clipped Forms and Their Place (If Any) in Formal Writing

Saturday, October 19, 2019

The Consequences of Removing Dams and Changing River Flow in the Essay

The Consequences of Removing Dams and Changing River Flow in the Columbia River in Washington & Oregon - Essay Example This crisis poses wholesale environmental, economic and social consequences; hence, this survey examines some of the major consequences of removing the dams and changing the Columbia River flow and describing the impact upon salmon numbers. The debate over the controversial topic of dam removal in order to safeguard the salmon against extinction rages among environmentalists, scientists, politicians, fishing families, river-based entrepreneurs, etcetera. The Army Corps of Engineer's report, according to Richard Davis, identifies "three critical industries [that] would suffer closing or relocations if the dams were to be removed. Primarily aluminum manufacturing would be hit by higher electricity rates. Wood products producers would incur higher costs to ship logs, wood chips, pulp paper and lumber. [Likewise], food processors would be damaged by the loss of crops grown on lands irrigated from the lower Snake River" (awb.org/). "The U.S. "The U.S. Army Corps of Engineers has estimated that breaching the dams would increase electricity bills for Northwest ratepayers by $300 million, add $40 million to transportation costs, eliminate 37,000 acres of prime irrigated farmland, wipe out 2,300 jobs, and cut personal income by $278 million a year." (qtd in Brunell awb.org/cgi-bin/absolutenm/templates/a=1201&z=10) However, Dan Hansen noted that the U.S. Army Corps' extensive report provides no recommendations to resolve the environmental crisis the Pacific northwest faces (bluefish.org/offersno.htm). In contrast, however, the U.S. Fish and Wildlife Services was quite resolute in its response to the situation; it has claimed that deciding on a course of action should be very easy indeed because "for native fish and wildlife, a free-flowing river is better than a dammed river" (bluefish.org/offersno.htm). Apparently, according to Hansen also, some scientists believe that the best method of protecting the endangered fish populations lies in breaching the dams. The impact of dismantling the dams, however, would entail life-altering repercussions on the surroundings and human populations. For example, the annual economic costs would be pegged at $246 million owing to losses in electricity production (bluefish.org/offersno.htm). Sealing off the interlocking dam mechanisms with their attendant closure of the federal waterways would most likely result in the demise of Lewiston, Idaho, for example, as a "seaport." Should a dam breach be effected Lewiston, Idaho, would no longer be the harbor providing navigational facilities for ocean-going ships. Furthermore, because the locking mechanisms of Snake River dams facilitate barge freight from Lewiston, Idaho to the Pacific Ocean, commodities presently being shipped by barges would have to be re-routed to trucks or railways. Another ramification would engender the federal government having to invest billions into new highways, state roads and railway lines if the dams are disrupted (Brunell). Along this argument, Richard Davis also announced that the economic consequences of removing the dams "would fall heavily on rural Eastern Washington and the Columbia

Friday, October 18, 2019

Industrial action Essay Example | Topics and Well Written Essays - 500 words

Industrial action - Essay Example If we are to look into this problem 17 years ago, it was stated that A 1990 survey of working time found that just over one in 16 employees in Britain had their working hours calculated on an annual basis.(1) At present there are a lot of workers that are being paid in output basis rather than the time they consume to finish the work. These works includes the likes of care giving, freelance jobs, journalists and the likes. The kind of workers that are included in these fields are paid in an output basis which most of the companies does, because according to the companies, these people are not required to attend regular working hours and the hours that they consume in fulfilling their tasks are not that identical and this prompted these companies were compelled to do such acts. However, this scheme was not accepted by majority of the workers and this scenario oftentimes creates conflicts and clashes between the workers and the employers. There are accounts that workers are either offered with favorable amount in order for the companies’ make the workers feel that they are compensated. In this way, the workers would think twice in bringing work related matters to the court, particularly the rights of the workers that are deprived by some of the employers. However, workers and managers must know their duties and their limitations. Furthermore, Abramson claimed this vintage virtue stating â€Å"Wherever authoritative roles exist, they differentiate between those who command and those who obey. Moreover, in any organization we can differentiate between those who participate in the hierarchy of command, regardless of their position in this hierarchy, and those who are subordinate.† This means that whatever the circumstance, the workers must comply with the kind of leadership his manager employs. If we are to base it in a British management perspective which deals with relationship with

Geology Essay Example | Topics and Well Written Essays - 250 words - 7

Geology - Essay Example There are footprints at Triceratops Trail that vary from those at Dinosaur Ridge. The Dinosaur Ridge tracks are approximately 100 million years of age, and one can see them from the top – as in where the creature pushed into the silt. Triceratops Trail characteristics tracks that are around 68 million years of age and are what is called negative tracks. These tracks, seen in 3D from the lowest part, shaped when the creature ventures in the mud, which was then loaded with sand, structuring a characteristic cast, and after that tilted vertical by the elevate of the Rocky Mountains. These techniques left tracks sticking from the divider since that unique layer of mud was mined away, and the sandstone cast is all that is deserted. Footprints of no less than four separate sorts of dinosaurs (a conceivable Tyrannosaurus rex, conceivable Edmontosaurus, and Triceratops incorporated), two sorts of flying creatures, a mammal, and a bug are seen on the sandstone dividers along the trail. Large portions of these tracks, when uncovered, were first of those from the Triceratops, the mammal, and the scarab (trail). Dakota Hogback, which is to the south of Golden, uncovers approximately 100 million years of rocks from the Age of Dinosaurs. An aged soil layer or paleosol at the point of geology where rock was dissolved and uncovered before the following layer of rock was set down. Chemical acted on shrouded fossil in this sandstone make concentric layers of mineralization, which are not sedimentary structures. The unique fountain formed at Pennsylvania age (about 300 Ma), uncovered at Red Rocks Park. Uranium minerals drop out of result when oxidizing liquids meet decreasing conditions in hydrocarbon-rich rocks. Triceratops Trail has a swampy, delta-like environment and is loaded with plant fossils. One will have the capacity to see impressions of palm fronds, sharpened steel leafed monocots, and ginger-like herbs.

The Symbiotic Relationship Between the United States and Britain Essay

The Symbiotic Relationship Between the United States and Britain - Essay Example The Second World War was initially fought on the European Continent and American role was marginal till it came under Japanese attack at Pearl Harbor in December 1941. The American masses were generally against participation in a Continental War. The British were facing a crisis of sorts as France was overrun and the Soviet Union came under the throes of the biggest threat ever, Churchill the British Prime Minister was left to Britain’s dogged determination to survive the critical days till America joined the war effort. The incidents leading to Pearl Harbor, America’s reaction to Japan’s surprise attack and British response denote that Churchill had foreseen the eventuality of this strike and declared war against Japan within 24 hours. It was a momentous event and Churchill could not hide his glee at finally drawing America into the Great War, as this tipped the balance in favour of the Allies. (Churchill: 1970). A key event which not only determines the course of the Second World War but also the post-war alliance was drafting of the Atlantic Charter. Churchill had developed a personal rapport with the American President, Roosevelt. Drafting of the Charter was a triumph of Anglo American cooperation. The declaration included provisions as no territorial aggrandizement or changes by the alliance partners, right of people to choose the form of government, fair and equitable distribution of resources and creation of peace and stability within nations as also on the high seas. (Churchill: 1970). The United Nations was thus formed after the war and a number of nations freed from colonial dominance.

Thursday, October 17, 2019

What policies, if any, should Europe implement to address Spains Essay

What policies, if any, should Europe implement to address Spains economic problems of declining prices and high unemployment - Essay Example ies include provision of financial assistance to Spain and its banks, substantial economic reforms, improve liquidity in the Euro zone banking system and initiate reforms on economic governance (Lee, 1). As a point of departure, the economic crisis in Spain going down to the rates of inflation and unemployment need immediate response to help the situation. The euro zone should release financial assistance from the it’s lending facility called the European Financial Stability Facility (EFSF) to Spain and its banks to rescue the nation’s financial base from further sliding prices. This facility provides loans in a direct manner to the euro zone governments (Patrick, Cohn-Bendit, and Griffiths, 38). The money is meant for recapitalization and purchase of government bonds primarily on the secondary markets. With the purchase of government bonds through the commercial banks of Spain, the situation is expected to slowly come to normal due to the ability of the government to pay for its spending, particularly the capital expenditure intended for national development. Equally, the European Union should seek that the Spanish government reaches and adheres to the set fiscal asceticism and structural reforms benchmarks. It is realizable that, the European Commission, the European Central Bank, and the IMF help most of the euro zone nations to create and monitor implementation of sound reform programs. This process reassures a stable market for the euro zone goods and services and attracts rescue funds from the EFSF (Patrick, Cohn-Bendit, and Griffiths, 45). In addition, the reformed structures help in faster comeback from an economic downturn. For this case Spain stands a better chance of receiving these funds, because of its early adoption of the reforms assures a stable market free of volatility. The other rescue response involves the unprecedented steps intended to improve the liquidity status of the Euro zone banking structure. For instance from May 2010, the ECB

Dental Braces Essay Example | Topics and Well Written Essays - 1000 words

Dental Braces - Essay Example These metal braces usually consist of small metal wires and brackets that are joined and bonded with each tooth. These are the braces which generally people picture as they hear about braces. They consist of metal wires which are attached to brackets that are fixed to each tooth in a row. These wires can be tightened or loosened by the orthodontists according to the need of the patient and they can provide control to the straightening process of the teeth. Their most distinctive feature is that they are visible metal wires that are sometimes considered embarrassing or a sign for ill dental health (Krishnan 2). The other type of braces is the modern type called invisalign. They are called invisalign because they are invisible and are aligned to the teeth as they are custom made. This option is suitable for most of the patients as it is a modern type of braces and it is worn and replaced every two weeks. There is no need of wires or metal brackets as the aligners are made of plastic. These aligners move the teeth into place and straighten them progressively. The treatment and the straightening process from these invisaligners take about 1 and a half years maximum (Carson 70). These invisaligners are the best alternative to traditional braces and are widely used nowadays. However, there are several limitations that hinder the widespread usage of these modern braces and complete elimination of the metal braces (Carson 70). Metal braces and invisalign braces both have advantages and disadvantages. The advantages of the metal braces over the modern type of braces can still be figured out and valued. The most important advantage is that the traditional metal braces are less expensive. In an era where the healthcare facilities are reaching new heights, patients find it easier to buy the less expensive type of braces. These braces also provide control to the

Wednesday, October 16, 2019

The Symbiotic Relationship Between the United States and Britain Essay

The Symbiotic Relationship Between the United States and Britain - Essay Example The Second World War was initially fought on the European Continent and American role was marginal till it came under Japanese attack at Pearl Harbor in December 1941. The American masses were generally against participation in a Continental War. The British were facing a crisis of sorts as France was overrun and the Soviet Union came under the throes of the biggest threat ever, Churchill the British Prime Minister was left to Britain’s dogged determination to survive the critical days till America joined the war effort. The incidents leading to Pearl Harbor, America’s reaction to Japan’s surprise attack and British response denote that Churchill had foreseen the eventuality of this strike and declared war against Japan within 24 hours. It was a momentous event and Churchill could not hide his glee at finally drawing America into the Great War, as this tipped the balance in favour of the Allies. (Churchill: 1970). A key event which not only determines the course of the Second World War but also the post-war alliance was drafting of the Atlantic Charter. Churchill had developed a personal rapport with the American President, Roosevelt. Drafting of the Charter was a triumph of Anglo American cooperation. The declaration included provisions as no territorial aggrandizement or changes by the alliance partners, right of people to choose the form of government, fair and equitable distribution of resources and creation of peace and stability within nations as also on the high seas. (Churchill: 1970). The United Nations was thus formed after the war and a number of nations freed from colonial dominance.

Tuesday, October 15, 2019

Dental Braces Essay Example | Topics and Well Written Essays - 1000 words

Dental Braces - Essay Example These metal braces usually consist of small metal wires and brackets that are joined and bonded with each tooth. These are the braces which generally people picture as they hear about braces. They consist of metal wires which are attached to brackets that are fixed to each tooth in a row. These wires can be tightened or loosened by the orthodontists according to the need of the patient and they can provide control to the straightening process of the teeth. Their most distinctive feature is that they are visible metal wires that are sometimes considered embarrassing or a sign for ill dental health (Krishnan 2). The other type of braces is the modern type called invisalign. They are called invisalign because they are invisible and are aligned to the teeth as they are custom made. This option is suitable for most of the patients as it is a modern type of braces and it is worn and replaced every two weeks. There is no need of wires or metal brackets as the aligners are made of plastic. These aligners move the teeth into place and straighten them progressively. The treatment and the straightening process from these invisaligners take about 1 and a half years maximum (Carson 70). These invisaligners are the best alternative to traditional braces and are widely used nowadays. However, there are several limitations that hinder the widespread usage of these modern braces and complete elimination of the metal braces (Carson 70). Metal braces and invisalign braces both have advantages and disadvantages. The advantages of the metal braces over the modern type of braces can still be figured out and valued. The most important advantage is that the traditional metal braces are less expensive. In an era where the healthcare facilities are reaching new heights, patients find it easier to buy the less expensive type of braces. These braces also provide control to the

Impact of the Recession on Construction Contractors Essay Example for Free

Impact of the Recession on Construction Contractors Essay The current crisis in the world’s financial system has left the construction industry facing its toughest challenges for a generation. Salaries are falling; job cuts are predicted to reach 400,000 in England alone; and the impacts look set to get much worse before they get better. No country is immune from the impact of this and the UK, and much of the rest of the world, is already in, or about to enter a recession. Even buoyant construction markets such as the United Arab Emirates (UAE) are starting to feel the effect, with construction growth rate expected to slow from 20% to 15% in 2009 (Al Mal Capital). The United Nations (UN) predicts world economic output will shrink by as much as 0.4% in 2009 (UNs World Economic Situation and Prospects Report, 2009). These are serious times, however, the industry needs to be prepared to contribute to the recovery by retraining workers, maintaining the highest of standards of quality and supporting innovation. Construction professionals must not lose sight of their commitment to issues of sustainability, health and safety, ethical business practices and improved building standards. These will future-proof the industry and allow it to grow after the economy recovers. Companies seeking to find an extra edge in an increasingly competitive marketplace are likely to employ greater innovation as they look to become more efficient. This could have far reaching benefits for the industry in the future, where innovation has never been more vital. Construction Output It is clear that construction is in for a period of deflation. Forecasts suggest that there will be a 7% decline in output over the next three years, however, this figure is heavily contingent on Government spending coming through as planned (Construction Products Association). In the second quarter of 2008 new order figures were at their lowest level since 2004; 14% below the average last year. Housing orders were down 30%, private industrial orders by 36% and commercial orders by more than  £1bn from 2007 (Construction Products Association). A rapid decline in private work has been partly propped up by more public sector spending, however the outlook for the private sector over the next few quarters is set to get worse. The Olympics will prop up the industry to a certain extent but the cessation of office development will have a much greater effect. Overall, even if all public sector funding was spent next year, the construction industry in 2009 would still see the largest percentage of fall in output since the early nineties, when over 500,000 left the industry. This has been brought about by the sharp fall in private sector investment in construction – offices, retail, entertainment, as well as private house building. Public Sector Spending The Government’s decision to bring forward  £3bn of capital spending on infrastructure was cautiously welcomed by the construction industry (Pre-budget statement, November 2008). Given the extremely high levels of borrowing that the Treasury is expecting over the next few years, there is a risk that Government will fund later debt repayments with cuts in capital spending on construction further down the track. There is also a risk that delays in the Government’s existing build programmes will lead to increased under-spend. Programmes such as the Building Schools for the Future Programme have already fallen behind schedule, and reports suggest that this is as a result of bureaucracy rather than lack of funding. Business Finance and Loss of Confidence According to the Confederation of British Industry (CBI), more than half of British firms have seen a decline in the ease of access to capital since the onset of the credit crunch; 30% of businesses have been, or expect to be refused new credit; and 78% expect business conditions to be worse next year. The Government must urgently take steps to unblock the financial markets and improve the flow of capital to business. The fiscal mitigation measures that were recently announced by the Chancellor (Pre-budget statement, November 2008) were not sufficient to address the underlying loss of confidence facing all UK businesses (and people). More innovative ways could be investigated by Government to help the industry survive, such as providing credit insurance; relaxing bonding requirements on public projects; setting up project bank accounts; and providing tax breaks/concessions for sustainable construction RD. At present, the latter has effectively ground to a halt largely as a result of the deeply entrenched uncertainty that abound. Jobs Loss of Skills Almost 400,000 jobs in the construction sector in England could be lost over the next two years (assuming GDP shrinks by 2.2% in 2009 and rises by 0.75% in 2010). It is predicted that the worst affected area will be London, where 23% of workers are expected to be made redundant (Public and Corporate Economic Consultants for the Local Government Association). On the other hand, Eastern Europeans are responding to the downturn in the market by returning home, and this has eased the severity of the job situation in many instances. Given the forecasts for construction output in 2009, it could be assumed that jobs in the public sector may offer more security than those in the private sector. This reinforces the need for Government to establish how an accelerated public spending package will be implemented. It is essential that the government makes sure timetables don’t slip, and that it does what it can to speed up deal flows and bidding times. Through no fault of its own, the Construction Industry, in particular the house-building Industry, is having to dramatically re-structure and down-size merely to survive. The loss of technical resource and therefore expertise has been considerable and there are already signs that an upturn in the fortunes of the UK economy will not see these people return. This is a real concern, particularly as the science and technology that underpins UK sustainable construction is becoming even more complex and at a time when we need experienced people if we are to meet our sustainability objectives. Furthermore, it is not something that can be addressed overnight by short-term training and/or education. Procurement It has been reported that the credit crunch is likely to reverse the industry’s trend towards negotiated contracts and partnering. Instead, there could be a swing back towards single-stage, lowest bid tenders aimed at achieving the lowest possible outturn cost. While single-stage tendering may be seen as a quick fix during the economic downturn, this does not take the long-term view, nor adequately consider best value for money. It does however provide a more risky financial environment which is likely to become a fertile breading ground for claims and liquidations as contractors cut their profits to secure work in a decreasing market. Partnering has proved itself as the most efficient way of undertaking all kinds of construction work including new buildings and infrastructure, alterations, refurbishment and maintenance. Indeed the figures show that that in the four years from 2001 to 2005,  £700m of public money was saved, and the potential for two and a half billion in savings, would have been feasible had best practice been adopted across the board. When times are hard, best practice is at its most crucial to successful business. Fraud An unexpected knock-on effect of the credit crunch has been a dramatic rise in worldwide construction fraud. Evidence suggests that the average construction companys loss to fraud has increased by 69% in the last year (Kroll Global Fraud Report), driven largely by tough economic conditions. A total of 890 senior executives participated in the worldwide survey, which covered 10 industries, with just over one-quarter based in Europe. More than 95% of the construction companies surveyed said they had suffered from corporate fraud in the past three years up by 77% from last years survey. Most frequent types of fraud occurring in the construction industry include theft of physical assets or stock, financial mismanagement, management conflict of interest, and corruption and bribery. Companies will need to be even more vigilant than usual to reduce fraud in the construction industry. Sustainability Opinion is divided about the impact of the credit crunch on the sustainability agenda. A recent survey from the UK Green Building Council (UK GBC) suggests that while the conventional building industry suffers, the sustainable building sector is experiencing growth. Asked whether the financial crisis has impacted on their organisation in tackling sustainability, 56% of UK GBC members said sustainability had become a bigger focus. Only 18% said the credit crunch has had an adverse effect on efforts to address sustainability. On the other hand, a survey of small-medium sized contractors suggests that tough government targets on sustainable construction are being missed, as buildings fail to achieve the standards set by the Code for Sustainable Homes (National Federation of Builders). The survey revealed that contractors appeared to be quite knowledgeable about the driving issues and regulations for sustainability, but in over half (53%) of projects tendered for, sustainability was not a client requirement. Either way, it is important that new buildings, not least those procured by government, are of the highest possible environmental standards. Green building can be at the heart of a low-carbon economic recovery, boosting growth and creating green collar jobs. This is particularly true in existing homes and buildings, where we need a massive programme of refurbishment to cut carbon, reduce energy bills and produce more comfortable places to live and work. By continuing to build using sustainable technologies the built environment will be preserved for future generations, and a proven record in sustainable design will be invaluable in gaining new contracts in the growing sustainable market. Education and Training The future success of the construction industry depends on the availability of skilled professionals. The credit crisis poses a significant threat to the number of students enrolling in graduate construction courses. Students may be apprehensive about pursuing a career in construction in this unstable climate. This would result in a loss of specialist skills, which in turn would hinder the recovery and future development of the industry. Sandwich courses could be at particular risk because of the lack of available placements available. Many companies are reducing the number of placements they have for students or not taking on any at all. This could result in a reduction in the number of places available on the courses because they can not guarantee work experience placements. Apprenticeships in the UK house-building industry have also suffered as a direct result of the credit crunch. However, opportunities still exist in the bigger public sector infrastructure projects such as schools, hospitals, railways and roads. As a result of these risks the Government is working with Construction Skills to try and secure as many positions as possible for students. A new taskforce is being created to ensure that construction training is as effective as possible, and apprenticeship funding will also be increased to over  £1 billion to try and prevent skill shortages (Department for innovation, Universities Skills). For professionals already within the industry, there is research to suggest that individuals with specialist skills or training could potentially gain a competitive advantage in the current economic climate (Chartered Institute of Management). The research predicts that professional qualifications could result in an additional  £152,000 in lifetime earnings. It also suggests that a working knowledge of sustainable building and other innovative methods will be a particular advantage, with major projects on the horizon requiring an extensive skilled workforce in these areas. It is important for employers to train and encourage further development if they want to secure the future of the construction industry. This will ensure that their workforce is properly trained in up-to-date techniques and will put them in a stronger and more competitive position to win new contracts when market conditions improve. Although it may be inevitable for some to make financial cuts to survive, it is crucial to maintain a constant number of new innovative minds that will allow the industry to recovery and continue to grow.

Monday, October 14, 2019

Literacy and Numeracy: Personal Development Plan

Literacy and Numeracy: Personal Development Plan A new prospect by the Australian government will have new teachers who have graduated from university undergo a literacy and numeracy test to show that they are at a competent level to teach students. Students leaving university will be required to place in the top 30% to pass. EDU114 is a current course at the University of the Sunshine Coast which is helping aspiring teachers to get ready for life in the classroom. In this course, one of our tasks is to form a personal develop plan to help us achieve our goals to pass the literacy and numeracy test in 4 years. I have undergone four practice literacy tests and four practice numeracy tests. Below are my results and my personal development plan to help me lift my results to become a successful and competent teacher. Literacy was done first so I will examine my results for these test first. I have averaged out all my results for the four tests to make them easier to analyse then broken the tests down into sections. These sections are: spelling, punctuation, grammar, comprehension and total score. My total score for the four tests averaged out to be 70.5. If we are to assume that anything over 70 would be top 30% then I have just scraped in. The main section holding me back has been comprehension with a low score of 59 while my best scoring section was grammar which was 78. Spelling and punctuation were 67.5 and 76.5 respectively. If I am to improve on these numbers one of my goals is to move my comprehension score from a 59 to a 75 by the end of the second semester. To do this I will be keeping a reading journal by my side when I read books, whether it be recreational or for study. By keeping a reading journal and taking notes, it will force me to absorb what I am reading rather than just taking in words. By handwriting in a journal, it forces me to use the correct spelling without the help of auto correct on the computer which will also improve my spelling. By repeating this same test in 8 months time, it will give me a greater understanding of my improvement in all areas while at the same time being a long enough time for me not to remember the answers. My numeracy test was very poor compared with my literacy test. My total score was only 54.25 with my lowest score coming in at 36.75 for written arithmetic. The other two scores were written data at 52 and mental arithmetic at 68.5. As you can see, none of these scores are anywhere near sufficient to get in to the top 30%. My goal for numeracy is similar to my literacy goal but instead of just focusing on one section like comprehension, my goal is to redo the test at the end of the second semester and have my total score at 75. To do this, I will be getting help from an outside source known as the Khan Academy. The Khan Academy has been recommended to me by other students who needed help in their math classes. It takes you through problems, ideas, solutions, graphs and anything you need help with and explains slowly so you can understand. By using this site each week and methodically going through their format for learning, I will improve my mathematics knowledge and be able to check my mathematics knowledge at the end of the year. The literacy and numeracy tests that the Australian government is implementing are designed to make sure educators are in the top 30% of Australians for literacy and numeracy. These test are a way to make sure that our students are only receiving correct information. After reviewing my tests in literacy and numeracy I can see that I have a bit of a way to go until I am ready to teach. However, with my goals in place I believe that I will be able to reach the top 30% by the end of my university degree. I look forward to the end of the year where I can test myself again and check my progress, after which I can reset my goal posts and aim higher for next time.

Sunday, October 13, 2019

Implications of Internet Censorship Essay -- Critical Thinking Essays

  Ã‚  Ã‚  Ã‚   Abstract:   This paper deals with the ethical and social implications inherent in filtering content online.   As exposure to the Internet penetrates deeper into mainstream lives across all demographic groups, there has been increased concern about the ability of children to obtain access to printed and graphic material believed to be detrimental to their development and/or well-being.   Not only could this material be argued to be damaging, it could possibly lead children to act violently or maliciously towards others.   Proponents of filtering objectionable content argue that through such means society will be able to utilize the power of the Internet to acquire information, while still adhering to certain community values regarding the welfare of children.   Numerous critics of this argument claim that by filtering Internet content, society would be crippling individuals' right to use the power of the Internet for free-speech.   They argue that not only will unregulated speech be discouraged, but that the means for filtering are themselves inherently imperfect, often restricting worthwhile content from reputable queries. While not a complete solution to the dilemma, perhaps enforcing an instituted rating system on web pages might be an effective means for working past the unpredictable nature of content filters.    Just one decade ago few could have envisioned a world where scientists, business professionals, media agencies, activist groups, and children all over the globe would have access to equal common material via an online medium.   Originally started as a small interconnected network for government agencies, educational institutions, and computer researchers to trade information, the Internet has permeated the daily ... ...n Law Firm, http://www.fmew.com/archive/censor/.    The Internet Police. http://www.internet-police.co.uk/aims.html.    "Information about Labeling and Rating Systems". Massachusetts Institute of Technology. http://www.mit.edu/activities/safe/labeling/summary.html. "Communications Decency Act," Yahoo!. http://dir.yahoo.com/Society_and_Culture/Issues_and_Causes/Civil_Rights/Censorship/Internet_Censorship/Communications_Decency_Act/. Communications DecencyAmendment (full text of final language passed by the u.s. senate on June 14, 1995). http://www.prognet.com/contentp/rabest/thebill.html. "Internet Indecency and Communications Decency Act," University of Texas. http://www.gslis.utexas.edu/~cjyoung/. "Net filters strain to block sites," cnetNews.com, http://news.cnet.com/news/0-1005-200-4833800.html?tag=st.cn.1.lthd

Saturday, October 12, 2019

Protestant Reformation :: Religion History

Protestant Reformation In the 16th century the Protestant Reformation divided the Roman Catholic Church. This reform was led by Martin Luther whose original intentions were to reform the church, but resulted in a split between Protestant and Catholic. Soon the Protestant Church itself divided resulting in two more churches, one Protestant, and the other reformed church. The Reformed Church is better known as Presbyterian, whose conspicuous leader was John Calvin. John Calvin had many beliefs which had been adopted by the Presbyterian Church. His ideas were modified from those in the Catholic Church. Presbyterians do believe in the Trinity as Catholics do but differ from Catholicism when dealing with ideas like original sin, salvation, and the idea of penance. Presbyterians believe that original sin is rooted in faithlessness which brought man to fall. The idea of salvation to Presbyterians is that salvation is reached through the grace of God, rooted in the deep faith of a person. Catholics believe in penance for sins through reconciliation. Presbyterians believe that penance is dealt with directly with God. Ultimately, Presbyterians believe that God’s truth was and is embodied in Jesus Christ, Lord, and Savior. One of Calvin’s beliefs included that of which God is God of state and nation and the state must be guided by his word. This idea is embodied in the idea of civil government. The Presbyterian government was originally formen when John Calvin was in Geneva. In a Presbyterian form of government there are four different officers. There are pastors, teachers, 12 elected elders, and deacons. The elders are seen to be equal to the clergy. Through this government the Presbyterian belief in total life of the community is displayed and put into practice. The Presbyterian definition of a sacrament is an outward sign by which the Lord represents and testifies his good will towards us. A sacrament is a testimony of God’s grace. Presbyterians acknowledge two sacraments. One is Baptism, and the other Eucharist. Baptism is a symbol of cleansing, forgiveness of original sin permanetly, and makes us all share in the death and resurrection of Jesus Christ. It makes us one with God. The sacrament of the Eucharist is a memory of Christ’s death and a confession of faith.

Friday, October 11, 2019

Arson Paper

ARSON†¦ WHAT IS IT? Krystle Lamb Houston Community College Criminal Justice 1301 ABSTRACT Arson is one of the world’s oldest known crimes. It can cost a life or a generous amount of money in damages. Even though it can take a person’s life, arson is classified as a property crime to law enforcement agencies. It is time consuming and very difficult to investigate. Only twenty percent of arrests result in a conviction because it is classified as a â€Å"property crime† rather than a violent crime. The motives of arson range from profit to murder. People who use arson use it because it’s a quick easy act of terrorism to a person or company they are trying to hurt. I believe there should be more and better adequate training for investigators and prosecutors to put away the people that can commit such a crime. The United States has one of the highest fire death rates in the world. In 1998 the â€Å"NFPA reported about 14. 9 deaths per million population. Between 1994 and 1998 about 4,400 Americans died and about 35,100 were injured yearly. Also about 100 firefighters a year lost their lives in their hazardous job related duties. (http://en. wikipedia. org/wiki/Arson) Fires kill more Americans a year than natural disasters combined. Arson is the most expensive crime committed, this can be attributed to the several factors which are the lack of education on the problems of arson, and prosecutors do not want to take on the case because of circumstantial evidence, quick payments from insurance companies, and inadequate train ing for investigators. Legal arson is categorized in two categories; aggravated arson and arson. â€Å"Aggravated arson is burning of property while endangering human life. Arson is burning of property that does not include the risk of human life. â€Å" (http://en. wikipedia. org/wiki/Arson) Fire crime scenes begin like any other investigation. The trick is to connect the suspect to the crime. There are clues to determine if a fire is suspicious or not. For example, the color of the flames has to do with the accelerant use. Like alcohol burn with a blue-orange flame. The descriptions are usually gained from the witnesses. The odor of smoke can explain what material was used to start the fire. Before a fire is visible, the smoke can be observed. If the smoke is black then it is petroleum based. If the smoke is a white color the vegetation material was used (hay or straw. ) If the structure is completely engulfed in flames then it is difficult to determine which material was set to burn. The size of the fire gives the investigator information if it was arson or not. For instance, if a building is engulfed in flames in a short period of time, then that might be because of arson. Natural fire tends to burn at a slower steadier pace with a natural pattern but this is circumstantial. One of the articles that I decided to write about was the incident that took place at the beginning of September in Needville, TX. â€Å"It was a fire that burned 400 acres and charred a barn in the Needville area and was intentionally set, officials  said. The blaze started at the corner of a pasture on Foster School Road near Brinkmeyer on Sept. 7, according to the Fort Bend County Sheriff's  Office. The blaze raced southwest and jumped Baker Road. It also destroyed a facility that housed two vehicles and travel  tailer. More than 100 firefighters from 20 agencies from nearby areas, including the Needville Fire Department, battled the  blaze. In conclusion, arson is a very serious crime and should be taken very seriously when one is criminally charged. Way too much money is lost, as well as the lives of others who are less fortunate. Works Cited Lezon, D. (2011, September, 7). $10,000 reward in arson fire near Needville. The Houston Chronicle. $10,000 reward offered in arson case. Retrieved September 15, 2011 from http://abclocal. o. com/ktrk/story? section=news/crime_tracker;id=8371513 Huge reward offered in Needville arson. Retrieved September 29, 2011 from http://www. fortbendnow. com/2011/09/28/56990 $10K reward out for anyone who turns in serial arsonist in Needville. Retrieved September 22, 2011 from http://www. yourhoustonnews. com/fort_bend/news/reward-out-for-needville-arsonist/article_74e0b30e-5347-5171-9852-b5f9002d0477. html Karki, Sameer , K. (2009, february 13). Arson. Retrieved from http://en. wikipedia. org/wiki/Arson

Thursday, October 10, 2019

Case Review Law of Tort

TRESPASS TO LAND BUKIT LENANG DEVELOPMENT SDN BHD v. TELEKOM MALAYSIA BHD & ORS [2012] 1 CLJ FACTS The plaintiff purchased a land from Oakfield Enterprises Sdn Bhd through a sale and purchase agreement dated 15 May 1996. The plaintiff was aware at that time of the presence of squatters on the land. Following the said purchase, the plaintiff commenced eviction proceedings against the squatters and succeeded in obtaining judgment where the court ordered that the squatters surrender vacant possession of the subject land to plaintiff.The plaintiff’s solicitors demanded that second defendant cease supply of electricity and remove all structures in connection with the supply by letter dated 28 April 2004. Plaintiff brings a suit due to second defendant’s refusal to comply with the demand. The defence counsel, however, argued that second defendant could not be held liable for trespass in view of its statutory obligation under the Electricity Supply Act 1990 (ESA), and the plai ntiff had failed to distinguish between the lots owned by the plaintiff and the rest of the land.ISSUES 1. Whether second defendant's failure to comply with plaintiff's demand to cease supply of electricity and remove structures in plaintiff's land can be amounted to trespass to land? 2. Whether second defendant liable for trespass to a certain extent? JUDGMENT 1. The High Court had come to a conclusion that the second defendant liable for trespass to the extent of supplying electricity to legal occupants in plaintiff's land.The illegal occupants did not have the authority to allow TNB as licensee to place any structures on the land of its cables or wires to run over the plaintiff’s lots which would be trespass. A valid and subsisting High Court order declaring the occupants’ status as squatters or trespassers had been served on second defendant and they had to comply with the plaintiff’s demand to cease supply of electricity premised on a valid and enforceable order.Second defendant as a public utility provider had failed to discontinue the trespass when due notice of illegal occupation had been given. 2. Plaintiff had vide its solicitors’ letter of 28 April 2004 put second defendant to notice that the court had determined that the occupiers on the plaintiff's land who had been supplied electricity were trespassers and the lot numbers owned by the plaintiff were supplied. The defence raised there was no evidence of any response from second to the effect that the plaintiff’s lots could not be identified from the entire piece of land.The occupants being squatters were strangers to the plaintiff whereas second defendant was in possession of records showing their identities and location of the households that had electricity supply. Hence, the issue of non-identification or demarcation of the plaintiff’s lots did not arise in this case. 3. So, second defendant were held liable for trespassing plaintiff's land by placing c ables and wires to run over plaintiff's lots and also by supplying electricity to illegal occupants in plaintiff's land.COMMENTARY I agree on behalf of High Court's decision where second defendant (Telekom Malaysia Bhd) should be liable for trespassing into plaintiff's (Bukit Lenang Development Sdn Bhd). This is because they had been informed earlier by plaintiff's solicitor to cease supply of electricity and remove all structures in connection with the supply by letter dated 28 April 2004 but they still failed to do so. They also know that the people they are supplying the electricity are illegal occupants of plaintiff's land.From a legal view, even by placing something on other's land and continue the act would be considered as trespass to land. So, second defendant had trespass plaintiff's land intentionally as they were informed earlier to comply with it. Furthermore, second defendant's action of supplying electricity to the illegal occupants is regarded as immoral by abetting a nd conspires with them to occupy plaintiff's land illegally. Therefore, in moral view, they should avoid from doing so. In conclusion, High Court's decision that second defendant liable for trespassing plaintiff's land is reasonable.PASSING OFF DANONE BISCUITS MANUFACTURING (M) SDN BHD V. HWA TAI INDUSTRIES BHD [2010] 8 MLJ 500 FACTS In early April 2001, the Plaintiff discovered that the defendant, Hwa Tai Industries Bhd, had been manufacturing and selling chocolate chip cookies bearing the trademark â€Å"Chipsplus†. The plaintiff subsequently requested that the defendant cease the manufacture and sale of cookies bearing this trademark, on the basis that the trademark, as well as get-up and packaging of the product, were confusingly similar to their registered â€Å"ChipsMore† mark.However, the defendant refused to do so, and as such, the plaintiff sued the defendant for trademark infringement and passing off. The plaintiff argued that the defendant’s â€Å"Ch ipsplus† trademark infringed upon its registered trademark, while the similar get-up and packaging of the cookies amounted to the defendant passing off its â€Å"Chipsplus† cookies as the Plaintiff’s â€Å"ChipsMore† cookies, and this affected their business, reputation and goodwill in Malaysia.The defendant however denied the plaintiff’s claims, and further contended that the â€Å"ChipsMore† registration had lapsed, and was therefore invalid. ISSUES 1. Whether Hwa Tai Industries Bhd is liable for passing off defendant's chocolate chip cookies â€Å"ChipsMore† trademark? JUDGMENT 1. It was held that the defendant’s mark â€Å"CHIPSPLUS† used on chocolate chip cookies were to bring result in confusion to the public as the mark â€Å"CHIPSPLUS† and the Plaintiff’s registered mark for â€Å"CHIPSMORE† for the same product are conceptually similar.The court found that the defendant was liable for infring ement because the plaintiff had a registration certificate and renewal certificate evidencing a valid trademark, and the Plaintiff had not given the defendant permission to use their trademark. Furthermore, as â€Å"Chipsplus† was similar to â€Å"ChipsMore†, there was a possibility of confusion or deception amongst the public. Court found in the plaintiff’s favour and allowed the plaintiff’s claim for infringement and passing off. COMMENTARYI am against the decision made by the court as the mark ‘CHIPSPLUS' used by defendant was like merely to use the word ‘CHIPSPLUS' to promote their new cookies products with extra and additional chips and it is not necessary to prove that the word ‘CHIPSPLUS' can be used by plaintiff only. Other manufacturers can have freedom to use any appropriate word as label for their products as long as it does not totally imitate other manufacturer's product label. Plaintiff maybe has the idea to promote their c hips cookies by using the ‘CHIPSPLUS' word too and not have the intention to pass off defendant's trademark.

Wednesday, October 9, 2019

Case study Example | Topics and Well Written Essays - 1500 words - 5

Case Study Example Ahmed. It is not possible to cure Mr. Ahmed. Under these circumstances, Nurse Janet Simpson suggested the family members to talk with Dr. Hopkins and the staff Imam from pastoral care sitting in a conference room. The Imam explained to Doctor Hopkins that according to their religious belief, cessation of brain activity is not considered as death of a human being. At the same time, the Imam explained the family members that according to the medical staff, very soon Mr. Ahmed’s brain would cease functioning. It would be considered as death, even though cardiovascular system might still function. As time passed, Mr. Ahmed became a brain dead person. Dr. Hopkins again approached the family with the same request, to turn off the ventilator. However, family members did not agree to it, and Nurse Simpson also reminded Dr. Hopkins about what the Imam said. Dr. Hopkins was in a quandary. She answered the Nurse; â€Å"By the death, we mean brain death and that is the law†. Shite religious beliefs do not consider that the cessation of brain activity is death of a human being. This is Mr. Ahmed’s familys religious belief. This is client’s autonomy. This is client’s family’s autonomy. Dr. Hopkins, as a physician understands that she has to fulfill her medical duty by turning off the ventilator, because the patient is a brain dead person. This is Dr. Hopkins autonomy as a physician. She cannot exercise this autonomy. Her act may be classified as malfeasance, or considered to be against the beneficences to Mr. Ahmed and his family. The dilemma is a situation in which the choices of one of two opposing decisions are equally difficult. Dr. Hopkins choice is to turn off the ventilator or stay with the Shite religious belief. She understands that Mr. Ahmed medically is a dead person. Keeping the ventilator on she cannot perform a miracle. At the same time, she understands she has to follow Shite Muslim cultural tradition. Dr. Hopkins

Tuesday, October 8, 2019

Fire service administration Essay Example | Topics and Well Written Essays - 1000 words

Fire service administration - Essay Example This law makes the assumption that firefighters knew the risks before undertaking the tasks. This law is good in the way it is as it prevents fraud in the fire departments. However, it would be better if the firefighters were able to get some form of collection in case genuine accidents happen in the line of duty. This provision allows for the emergency service providers to respond to emergencies that are within their jurisdiction as soon as they are required, and only when the said emergency has occurred (Halliday et al., 2013). All parties in the agreement are required to supply the necessary resources as soon as possible. In other instances, the mutual aid agreements state that the necessary resources have to be dispatched to the nearest fire station regardless of the side of jurisdictional boundary. This policy is good as it caters for the needs of all stakeholders in the occurrence of emergencies. There is a need to protect the employees in a fire department based on the levels of risks that they get exposed to. The current policies ensure that the provision of all the safety gear needed to fight fire (FEMA, U.S. Fire Administration & NFPA International, 2002). However, there must be a comprehensive and detailed coverage that will ensure safety, health and compensation of the individuals in the fire stations. In addition, the policies should be stricter on the side of employers. The fire department policy regulates the operation of motor vehicles within the legal jurisdiction (U.S. Fire Administration, 2008). However, in cases where there are emergencies beyond the jurisdiction and urgent assistance is required, the motor vehicle operations can be altered to facilitate helping the people in need of the emergency services. This policy is good as it minimizes misuse of departmental resources. The current policy facilitates for the regular