Thursday, October 31, 2019

The rise of Christianity was important to the growth of the late Roman Research Paper

The rise of Christianity was important to the growth of the late Roman period. How did the Church help continue civilization after the fall of the Western Empire - Research Paper Example Paul was an apostle who travelled across the Roman Empire in 30 years to preach Christianity to some of the important cities of the empire. Some of the cities such as Philippi, Athens, and Corinth consisted of thousands of desperate and poor people who were thought to be the perfect audience for the message of Christianity that supported eternal life. Paul went to the homes of these people and preached the message of Jesus. However, Jesus only went to the Jews while Paul took his message to the non-Jews as well. Christianity tended to ease the rules and adopted a more relaxed approach towards the ancient laws about circumcision and food. The Jewish traditions were greatly led down due to this but this was the main reason for the widespread of Christianity. As the Christian movement focused on non-Jewish members as well, the rules were changed from the strict ones to the relaxed ones so that Jews could adopt them. However, gradually Christianity had been adopted as a separate and new religion. As Christianity gained importance in Rome, the failings of Emperor Nero were hidden under Christians who were a far easier target. Christians were few in Rome by then even and they were now highly suspicious. Christians had become an easy target and their rituals were mistaken commonly. Nero, in this time, tortured the Roman Christians by throwing them to wild animals, burning them alive, or crucifying them1. However, even after this persecution, the Christian religion prevailed and although it did not repeat in other areas and was brief, it became more organized over the time. By 323 AD, Christianity had become the official religion in the Roman Empire. Ever since then, the Christianity and Catholic Church played a significant role in establishing and forming the Western Society. Throughout the history of the Catholic Church, it has been seen as a source of inspiration of social services such as medical care and schooling,

Tuesday, October 29, 2019

Can food ever be too cheap Can consumers be denied choice Can Essay

Can food ever be too cheap Can consumers be denied choice Can supermarkets offer the lowest prices and still be ethical You - Essay Example There is an argument if it is ethical for business community to overlook the environmental damage cause by the transportation of food from thousands of miles away, consume fossil fuels and cause green house gases. On the other hand people argue that the imported organic food items creats much of the CO2 at its production site. For instance, lamb imported from New Zealand produce around 1500 pounds of CO2 per ton while the same produce four times if raised in Britain. Since I am an staunch supporter of importing items from other countries, it is important to make one understnd that carbon emission is not the only reason for global warming issue. Other factors, which economists term as ‘factors inputs and externalities’, like use of fertilizers, packaging disposals, irrigation methodology, use of different types of transportations etc. are also considered while using ‘Food Mile Calculator’, a technique to quantify the carbon emission footprints. Secondly, grow ing population of the world has made it impossible to feed through local grown production. Therefore, rather an effort to control the obsession for food of our consumers, go beyond the borders, utilize naturally fertile lands and provide sustainable products irrespective of the season. The new deal drafted by World Trade Organization is helping new economies to emerge. It ensures that trade balance does not fall in favor of rich countries only. Countries like Indonesia and Bangladesh with huge populations are discouraged to depend only on American and European economic aids, and adopt ‘catch-up’ policies to reduce their trade deficit. The Soil Association (UK) voices for the â€Å"food miles† labelling system but insists that it is not trying to stop air-freight, produces more carbon dioxide than any other tansportation means. Reseachers believe that concentrating only on air-freighted products, that constitutes only 0.5% of the global production (Soil Associatio n), will hurt the economic efforts to build local economies of the under-developed countries. I can, therefore, confidently state that the real issue is not about the global warming but the accessibility of our consumers to a sustainable organic product and information about the economic and social impact of intercontinental world trade. Despite of freedom of choice, more environmental friendly and financial boost that each â€Å"food mile† brings to the international communities, people stand against it. I am not against the local producers, but people tends to be over conscious when it comes to air-freighted food. Of course, it does not bring the price down, but makes it possible to offer the food they like when it is not being home grown. The availability of such items gives an added-value to the supermarkets and for that businesses are entirely elligible to add increased cost of transportation and logistics. For instance, locally grown British broccoli, available only fro m February to April, is much cheaper than the Zimbabwean purple broccoli, available through out the year. Personally, I would prefer ‘food miles’ labels tagged rather denying our consumers from having healthy food choices, just because of a false notion. This is unethical business practice and does not help the local as well as international societies in any way possible. There are several

Sunday, October 27, 2019

Introduction Of Melamine Milk History Essay

Introduction Of Melamine Milk History Essay In 2008, Chinese milk was a food safety incident in China involving milk, infant formula, other food materials and components added with melamine. Melamine is used to manufacture melamine-formaldehyde resin a type of plastic known for its flame retardant properties. They added melamine that has nitrogen-rich and is illegally added to food products to increase their apparent protein content. It has also been used as non-protein nitrogen in soy meal, corn gluten meal and cottonseed meal used in cattle feed. Melamine is known to cause renal and urinary problems in humans and animals when it reacts with cyanuric acid inside the body sometimes in drinking water and in animal feed. The Kjeldahl and Dumas test the protein levels fail to distinguish between nitrogen in melamine and naturally occurring in amino acids allowing the protein levels to be falsified. Introduced into milk, it can help conceal its fraudulent dilution with water. November 2008 China reported 300,000 victims, six infants dying from kidney stones and other kidney damage. The chemical appeared to have been added to milk in order to cause it to appear to have higher protein content. In a separate incident four years before, watered-down milk had resulted in 13 infant deaths from malnutrition. The scandal broke on 16 July, after sixteen infants in Gansu Province who had been fed on milk powder produced by Shijiazhuang-based Sanlu Group were diagnosed with kidney stones. After the initial focus on Sanlu market leader in the budget segment government inspections revealed the problem existed to a lesser degree in products from 21 other companies. The issue raised concerns about food safety and political corruption in mainland China, and damaged the reputation of Chinas food exports with at least 11 countries stopping all imports of mainland Chinese dairy products. A number of arrests occurred as a result of the scandal; the head of Sanlu, seven local government officials, as well as the Director of the Administration of Quality Supervision, Inspection and Quarantine (AQSIQ) were fired or forced to resign in response to the incident. In late October 2008, similar adulteration with melamine was discovered in eggs and possibly other food, traced to melamine being added to animal feed-despite a ban imposed in June 2007 following the scandal over pet food exported to the United States. As of July 2010, Chinese authorities were still reporting some seizures of melamine-contaminated dairy product in some provinces, though it was unclear whether these new contaminations constituted wholly new adulterations or were the result of illegal reuse of material from the 2008 adulterations Source of contamination The World Health Organization (WHO) said that melamine may be found in a variety of milk and milk products at varying levels, from low (part per billion) ppb to (part per million) ppm ranges. One academic suggests it may have been part of the food chain in China for a long time, as cyromazine (a melamine derivative) is a very commonly used poison in China. Cyromazine is absorbed into plants as melamine, and may therefore be present in the food chain, which includes poultry, eggs, fish, and dairy products. It is not known where in the supply chain the melamine was added to the milk. The chemical is not water-soluble and must be mixed with formaldehyde or another chemical before it can be dissolved in milk. Caijing reported that spiking fresh milk with additives such as melamine was no longer a secret to Hebei dairy farmers for the past two years. Caijing reported that the melamine in the tainted milk may have come from scrap melamine costing  ¥700 per tone less than one-tenths of the price of 99% pure industrial grade melamine. The melamine production process produces pure melamine by crystallization; the melamine remaining in the mother liquor is impure (70%) and unusable for plastics, so it is scrapped. It said that Sanlus baby formula melamine content was a result of tampering by adding low cost vegetable protein (such as low grade soya powder), and large amounts of scrap melamine as filler. Scrap melamine contains impurities such as cyanuric acid that form more insoluble crystals than melamine alone, aggravating the problem. Victims On 17 September 2008, Health Minister Chen Zhu stated that tainted milk formula had sickened more than 6,200 children, and that more than 1,300 others, mostly newborns, remain hospitalized with 158 suffering from acute kidney failure. By 23 September, about 54,000 children were reported to be sick and 4 had died. An additional 10,000 cases were reported from the provinces by 26 September. A World Health Organization official said 82 percent of the children made ill were 2 years of age or below. The Hong Kong Centre for Food Safety said that 99% of victims were aged less than 3 years. Ten of Hong Kong children were diagnosed with kidney problems at least four cases were detected in Macau and six in Taiwan. Non-human included a lion cub and two baby orangutans which had been fed Sanlu milk powder at Hangzhou Zoo. The government said on 8 October it would no longer issue updated figures because it is not an infectious disease, so its not absolutely necessary for us to announce it to the public. Compiled figures reported by local media across the country, and said the toll stood at nearly 94,000 at the end of September, excluding municipalities. Besides that, 13,459 children had been affected in Gansu, Reuters quoted Xinhua saying. Henan had reported over 30,000 cases, and Hebei also had nearly 16,000 cases. In late October, the government announced that health officials had surveyed 300,000 Beijing families with children of less than 3 years of age. It disclosed that approximately 74,000 families had a child who had been fed melamine-tainted milk, but did not reveal how many of those children had fallen ill as a result. Due to the many months before the scandal was exposed, media suggests that official figures are likely to be understated. Kidney stones in infants started being reported in several parts of China in the past two years. A number of yet to be officially acknowledged cases were reported on by the media. However, those deaths without an official verdict may be denied compensation. On 1 December, Xinhua reported that the Ministry of Health revised the number of victims to more than 290,000 and 51,900 hospitalized authorities acknowledged receiving reports of 11 suspected deaths from melamine contaminated milk powder from provinces, but officially confirmed 3 deaths On treatment of urinary stones in affected infants, the New England Journal of Medicine printed an editorial in March 2009, along with reports on cases from Beijing, Hong Kong and Taipei. Urinary calculi specimens were collected from 15 cases treated in Beijing and were analyzed as unknown objects for their components at Beijing Institute of Microchemistry using infrared spectroscopy, nuclear magnetic resonance, and high performance liquid chromatography. The result of the analysis showed that the calculus was composed of melamine and uric acid and the molecular ratio of uric acid to melamine was around 2:1. In a study published in 2010, researchers from Peking University studying ultrasound images of infants who fell ill in the 2008 contamination found that while most children in a rural Chinese area recovered, 12 per cent still showed kidney abnormalities six months later. The potential for long-term complications after exposure to melamine remains a serious concern, the report said. Our results suggest a need for further follow-up of affected children to evaluate the possible long-term impact on health, including renal function. Sanlu group The scandal began with revelations of contamination of Sanlu milk products. The New Zealand dairy cooperative Fonterra which owns a 43% stake in Sanlu, said they were alerted to melamine contamination on 2 August (almost a month before the issue became public), and have said to have pushed hard for a full public recall. Although there was an immediate trade recall, Fonterra said that local administrators refused an official recall Apologize On 15 September, the company issued a public apology for the contaminated milk powder. Sanlu was ordered to halt production, and to destroy all unsold and recalled products. Authorities reportedly seized 2,176 tons of milk powder in Sanlus warehouses. An estimated 9,000 tons of product had been recalled. Tian Wenhua, Chairwoman and General Manager of Sanlu and Secretary of the Sanlu Communist Party chapter was stripped of her party and functional posts during an extraordinary meeting of the Hebei provincial standing committee of the four Shijiazhuang officials, including vice mayor in charge of food and agriculture, Zhang Fawang, were reportedly removed from office. Shijiazhuang Mayor Ji Chuntang resigned on 17 September. Li Changjiang minister in charge of the AQSIQ was forced to resign on 22 September after the State Council inquest concluded that he was responsible for the negligence in supervision. Investigators also blamed the Shijiazhuang government. Local Party Secretary Wu Xi anguo was fired on the same day. Arrests Sanlu GM Tian was charged under Articles 144 and 150 of the criminal code. A spokesman for the Hebei Provincial Public Security Department said police had arrested 12 milk dealers and suppliers who allegedly sold contaminated milk to Sanlu, and six people were charged with selling melamine. 300  kg of suspicious chemicals, including 223  kg of melamine, were confiscated. Among those arrested were two brothers who ran a milk collection centre in Hebei for allegedly supplying three tones of adulterated milk daily to the dairy the owner of another collection centre which resold seven tons of milk a day to Sanlu, was arrested, and his operation was shut down. Zhang Yujun (alias Zhang Haitao), a former dairy farmer from Hebei, produced more than 600 tons of a protein powder mixture of melamine and maltodextrin from September 2007 to August 2008. He and eight other traders, cattle farm owners and milk purchasers who bought the powder from him were arrested in early October, bringing the total to 36. During the week of 22 December 2008, 17 people involved in producing, selling, buying and adding melamine in raw milk went on trial. Tian Wenhua, former Sanlu general manager and three other company executives appeared in court in Shijiazhuang, charged with producing and selling milk contaminated with melamine. According to Xinhua, Tian pleaded guilty, and told the court she learned about the tainted milk complaints from consumers in mid-May. She then apparently headed a working team to handle the case, but did not report to the Shijiazhuang city government until 2 August. The Intermediate Peoples Court in Shijiazhuang sentenced Zhang Yujun and Geng Jinping to death, Tian Wenhua to life in prison, on 22 January 2009. Zhang was convicted for producing 800 tons of the contaminated powder, Geng for producing and selling toxic food. The China Daily reported Geng had knelt on the courtroom floor and begged the victims families for forgiveness during the trial. The court also sentenced Sanlu deputy general managers Wang Yuliang and Hang Zhiqi to fifteen years and eight years in jail respectively, former manager Wu Jusheng to five years. Several defendants have appealed. Zhang Yujun and Geng Jinping were executed on 24 November 2009. Effect on the company The value of the company plunged as a result of the scandal. On 24 September, Fonterra announced that it had written down the carrying value of its investment by NZ$139  million (two-thirds), reflecting the costs of product recall and the impairment of the Sanlu brand because of the criminal contamination of milk. By 27 September, China Daily reported that Sanlu was close to bankruptcy, and might be taken over by the Beijing Sanyuan Foods Company. The company is also facing lawsuits from parents. The Beijing Review said that Sanlu expects to have to pay compensation claims totaling 700  million, and it became clear that the company would be broken up and sold. On 25 December, Shijiazhuang court accepted a creditors bankruptcy petition against Sanlu. Media commentators expected the Sanlu distribution network to be sold. Trade and industry impact for Chinese industry The State Council ordered the testing of product of all dairy producers, and to this end, some 5,000 inspectors were dispatched. The mainland Chinese market has grown at an average annual rate of 23% since 2000. In 2006, milk production reached 30  million tons, ten times the volume of a decade before. It was valued at some  ¥122  billion (US$18  billion) in 2007, and consumers have severely lost confidence in the industry. The events have exposed the often incestuous relationship between local business and local government. In addition to the tax revenues to local authorities Sanlu contributed  ¥330  million in 2007, many companies invite local officials to become silent partners in their corporations in return for protection at the political level; former Sanlu chairman Tian Wenhua, was made honorary deputy to the Provincial Peoples Congress. The scandal has also highlighted structural problems of inadequate production volume, inherent quality issues, and poor production methods. The Inner Mongolia region produces over one-fourth of Chinas milk and Mengniu and Yili have invested millions to establish state-of-the-art dairy facilities in its capital, Hohhot the companies still rely on small-scale farmers for over 90% of their production because of the capacity constraint of the modern facilities. Both companies were said by farmers and agents to have habitually purchased milk which failed quality tests, for only two-thirds the normal price. A new policy was put in place on 17 September to stop that practice. Foreign operations in China Mengniu-Arla, joint-venture between Danish/Swedish co-operative Arla Foods and Mengniu halted production on 16 September 2008 after three out of 28 tests taken from Mengniu showed traces of melamine; contaminated batches had been recalled.Mengniu, milk supplier to Starbucks was replaced by Vitasoy when the coffee retailer eschewed milk in favor of soya milk in its China operations. KFC also suspended selling Mengniu milk. Tokyo-headquartered Lotte Group a major snacks maker, recalled its Koalas March cookies in Hong Kong and Macau because of contamination, and promised to look deeply into all the details of the manufacturing process in order to preserve customer confidence. The range was also ordered off Dutch and Slovakian shelves. Its Chocolate Pie was seized when samples tested positive in Malta. On 29 September, British confectionery group Cadbury withdrew all of its 11 chocolate products made in its three Beijing factories, on suspicion of melamine contamination. The recall affected the mainland China markets, Taiwan, Hong Kong and Australia. Tests in Hong Kong found excessive amounts of melamine in China-made Dairy Milk products. On 30 September, Unilever recalled its Lipton milk tea powder after the companys internal checks found traces of melamine in the Chinese milk powder used as an ingredient Heinz recalled cases of baby cereal in Hong Kong after discovering they contained melamine. Nestlà ©s factory in Heilongjiang was also implicated: the Taiwanese Department of Health forced the delisting of six Neslac and KLIM products on 2 October for containing minute traces of melamine, although the minister said they did not pose a significant health risk. Since the milk crisis broke, Nestlà © says it has sent 20 specialists from Switzerland to 5 of its Chinese plants to strengthen chemical testing. On 31 October, it announced the opening of a $10.2  million Beijing research and development centre, to serve as the base and the reference in food safety for Nestlà © in Greater China. Nestlà © Chief Technology Officer said that the centre was equipped with highly sophisticated analytical tools for detecting trace amounts of residues and undesirable compounds like melamine or veterinary drugs or natural toxins http://en.wikipedia.org/wiki/2008_Chinese_milk_scandal EFFECT ON INTERNATIONAL TRADE ADVANTAGES: No problem of dead baby. No problem of infant breast. DISADVANTAGES: Loss job. Increase in countrys income. Relationship between local business and local government. Ruin relationship with other country. CONCLUSION The foods that have melamine content bring bad impact not only to the customers who are using the product but to the producer. It also gives impact to the China industry. It also makes consumer loss confident to the industry. RECOMMENDATION Government must test the product before market it. Government must take action to the people who make poison product. The organization should run their business with honestly and do not take advantages. Customer should careful before their buy the product.

Friday, October 25, 2019

Chivalry :: Medieval Traditions Romance Essays

Chivalry Chivalry according to medieval examples involves some definitions of playing other than to wave arms and says such things like striving for, or what is all about. Such definition is seem and elusive to understand according to its form of emotional than intellectual. Well, according to this information, I feel that Chivalry is a romantic issue. I do not trying to say is the usual romantic as we known on the movies when a man loves a woman and so on. By romantic, I mean an ethic where we can feel the hard of the ideal, and the sweet of the ideal, and it is so special or perfect to failure in the real word. Some examples are that some histories are no as real as we think, for instance; Don Quixote is no more than a glamorous fool who believe in defeating some warriors, but in reality those warriors did not never exited. The mean problem in discussing chivalry within the society is that chivalry is a word with many different meanings. If we try to discuss its meaning, we must need t o pay attention before we start using the lies at the heart of this game that we play. The game starts with different steps to follow. First, these steps are the authentic medieval uses, which range from the early, deem boys on da horses, and so on. The behavior of the boys on the horses, to the late period was to idealize conduct of the knights. The game plays an important roll in the genoricity of its authenticity. But I feel that no one of this have to deal with the used of the word within the society. The romance that is involved in Chivalry is so powerful and cannot be denied. The society should be an enactment of medieval romance as much as a medieval re-enactment. In the ideal, Chivalry has never stood still; that is the great reason that it is so elusive, and continues to have such power. Romance, the striving for the romantic ethic, had a powerful role in the Middle Ages. The men and woman within a certain class threw themselves at an ideal in way rarely seen in history. I call that ideal â€Å"chivalry† and hold it distinct from what was performed in the face of reality. For

Thursday, October 24, 2019

Direct Marketing Memorandum

This memo is with regard to the current problem as to the proposed shift in marketing strategy for company products. As you have all been made aware, a recommendation was recently submitted to the Vice President for Marketing with the suggestion being to establish a direct-marketing system for the company in order to increase sales and productivity levels.Furthermore, the rationale behind this line of thinking was that a direct marketing model would better improve the company’s capability to reach out to customers directly, and being able to address their needs and wants quickly and efficiently. This however, is now being contested by some of the major retailer clients in our distribution network, especially since it is their perception that this will essentially lessen their own sales and marketing initiatives.Not only will it mean reduced orders and client patronizing on their end, it will also effectively deprive them of profits and financial sustainability. It becomes ther efore the position of this memo that a compromise must be arrived at, since the needs of both parties in this scenario must be taken into careful account. The new recommendation then is as follows: the establishment of a modified direct marketing system similar in nature to the model currently in use by Hewlett-Packard Corp.Instead of accepting orders on the company site and depriving retailers of their major function, decentralization to a certain degree will be done by forwarding all orders or requests on the site to the retailer systems for processing. While this model reduces outright profits on the part of the company, as opposed to the original direct marketing one, it would still retain the favor of the retailers in our distribution network, which basically amount to roughly 60% of all sales operations. This is believed to be the best option for the company to take given the current circumstances.

Wednesday, October 23, 2019

Company Case MKT 202 Essay

1. Microenvironmental factors involve actors, who remain close to the company and they affect the company’s ability to serve its customer. The company, suppliers, marketing intermediaries, customer market, competitors, and publics all of these are part of microenvironment. Toyota Prius introduction and relaunch were affected by several microenvironmental factors. These factors are discussed below: a. Firstly, the Toyota Company itself was a major microenvironmental factor that affected its product at the very beginning. The marketing department of Toyota didn’t do enough promotional activities for its new vehicle. In a country like U. S. where as we all know all SUVs sell likes hotcakes, no one would really be interested to buy a dull hybrid car. Also the department involved in designing the product was too weak to attract customers at first. When it was launched people considered Prius to be small, cramped compact with a very dull design. Also due to its low horsepower, the pickup time was very long. The car took 14. 5 seconds just to go reach a speed of 60km/hr. No matter how much environmental friendly and energy saving the car was due to low promotional efforts by the company and also the dull design, the introduction of Prius was highly affected. Also, even if the car was worthy enough of a purchase because of its environment friendly quality and fuel saving, enough people didn’t hear about it. But later on, Toyota did make its new version and the marketing of the product was raised as the brand image developed. b. Secondly, as we all know, the presence of a competitor can really make it hard for a company to position its product well. During the time Prius was being launched it had to face, Honda as its competitor. Honda successful launched its insight even before Prius came to the market. Of course not to mention, vehicles like Hummer, Ford were already there before Prius to keep customer’s attention towards them. But Toyota did differentiate its product from its competitor on providing benefits which other competitors weren’t able to provide at a cheap cost. c. Third factor was the customer themselves, who were totally inclined towards the brands which they have been using all their lives like General Motors, Ford and others. So the international markets for Toyota in U. S. were pretty weak at first. But then again, as new version was developed with new style a design and as the car’s horsepower was improved it did get customer’s attention. 2. Macroenvironmental involves larger societal forces, which includes demographic, economic, natural, technological, political, and cultural forces. There were several macroenvironmental factors, which played a role in affecting the introduction and relaunch of Toyota Prius. The factors are discussed below: a. Firstly, demographic factors played a part in affecting Prius. Even though Baby Boomers and Gen X had people who were middle aged and old and were potential customers for Prius. But the Gen Y included the young bunches who were more into sporty and stylish vehicle, attributes which Toyota Prius lacked. Toyota simply didn’t speak Gen Y’ers language. But Toyota had been able to deal with it since people from Gen X’ers had environment conscious people who were a big market for Toyota. b. Secondly, cultural factors played a big role too. American culture has been prone in using 4-wheel drives and they simply didn’t want a weird looking car to be a part of their lives. Also, people view of society, under cultural factor, played a part too. A patriot American would buy his countries product rather than buying products from other countries. Another factor under culture is people’s view of organization. Companies like General Motors, Ford, Audi had a stronger brand image then Toyota during that period of time. As the time went, new version came out, Toyota was able to fit in the culture and the U. S. government on introducing various incentives on hybrid vehicles also helped it. c. Thirdly, technological factor. Technology has always been there making our lives a better and there has been so much competition in the market on providing superior technology that, some company have trouble to establish a image against those companies who have already established a strong position in the competition. Toyota was technologically inferior compared to its rivals like Audi, Ford, and GM. Also, Prius at its very initial stage was not the car which people took interest in driving because of its technical lacking. Low horsepower, high pick up time, dull design all of these affected its image. Toyota was able to deal with it on its new versions. 3. Toyota market strategy was first used on people who were techies. It focused on early adopters, techies who were attracted to the advanced new technology. Techies were so into the Prius that they started modifying it technically and paying a great deal of attention to it. Toyota was able to differentiate its product in a way that no other company could with such a low cost. That’s why Prius became the best car ever used in US. After absorbing large revenues from the techies, it used it second version to target a wider market segment. Toyota was able to serve the bigger segment which consisted of those people who were environmentally conscious and as well as those desirous of fuel efficiency. Toyota did an immense amount of spending on media to let people know about its second version. In future Toyota can improve its strategy by introducing the hybrid feature into several models of car it has and thereby making a greater sales in return. But it shouldn’t introduce the hybrid feature in all the cars, since if other competitors starts making the same kind of car and has better brand image, then Toyota can no longer differentiate its product. But as demand for hybrids go up, Toyota should maintain a steady production and invest on making other new types for serving other segments and maintain a balance.

Tuesday, October 22, 2019

My Childhood Memories Essay Example

My Childhood Memories Essay Example My Childhood Memories Essay My Childhood Memories Essay Oh no! I shouted at the top of my voice. delight don’t interrupt down my grandparents’ house I had merely returned from New York to Trinidad with my parents. I left Trinidad when I was six old ages old. I grew up in couva with my grandparents. where I had many friends populating in there in the same villag. vitamin E I walked through the street where my friends and I one time played leap rope. The sight of the many antique houses caught my attending. I stop as I started at one house with boarded up Windowss. It looked weather beaten. but the sight of that house painted a arch smiling on my face because it was the house where I one time stole Mangifera indicas from my neighour. Uncle Bob. As I approached the pace a sea of colorss rushed past my eyes and painted the house and the garden became alive with fresh flowers and rocking coconut trees. I saw myself singing under the Poui tree and grandmother conveying newly extracted sugar cane juice for me. Even though this was merely a memory I could hear the tuneful vocalizing of the birds all twenty-four hours. Once once more. I could smell the frangranced sent of the big roses that bloomed near to the garden. Before I got off the swing I looked up to the tree and saw the soft. xanthous poui petals recognizing my face. Some of the bantam flowers gracefully fell at my pess. I grabbed a smattering and through it up in the air. I saw the vision of myself recognizing the nurseryman. who gave me roses to set in the vase. He was ever really sort and didn’t mind me playing in the garden.

Monday, October 21, 2019

Aspect Of Contract And Negligence For Business The WritePass Journal

Aspect Of Contract And Negligence For Business Abstract Aspect Of Contract And Negligence For Business ). The first legal element refers to the inclusion of an offer, which indicates one’s willingness to enter into a specific bargain. In this case, an offer is made by Phil, the Chief Executive Officer of Zulu Aviation Ltd. Another important legal element for the formation of a valid contract is associated with acceptance, which should indicate an agreement to the terms initially made. Phil’s offer of  £100,000 for reserving the Airbus 321 has been accepted by Joseph, EMA’s Managing Director. The third significant legal element showing the validity of the discussed contract is the availability of a legal purpose (Knapp et al., 2012). It is clear that the contract’s purpose is legal because it is based on the sale of a second-hand Airbus 321. Furthermore, mutuality of obligation presents a situation in which both parties ensure mutual understanding to the expression and form of their agreement. In other words, a common expectation is that the parties need to agree to the same thing, which is described in the same manner, and at the same time. These legal conditions have been met by both Phil and Joseph. Consideration indicates another essential element for the formation of a valid contract (Poole, 2012). Legal binding needs to be supported by valuable and realistic consideration. In the case study of EMA, Phil ensures his consideration by claiming that he will pay  £100,000 to EMA if the latter promises not to sell the Airbus 321 to another buyer for the period of five days. The importance of these components reflects in the validity and legality of the contract to be established, and if any of these conditions are non-present, it is virtually impossible to form a valid contract (Knapp et al., 2012). Impacts of Different Types of Contract   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   When discussing the specificity and implications of contract law, it is important to consider the impacts of different types of contract, such as bilateral and unilateral contracts, express and implied contracts, void and voidable contracts, and distance selling contracts (Hillman, 2004). Bilateral contracts are commonly used in daily life, as they represent an agreement between at least two individuals or groups. Unilateral contracts are associated with an action undertaken by one individual or group alone, as this type of contract allows only one individual to involve in making a specific promise or agreement (Elliott and Quinn, 2003). In express contracts, a promise is stated in a clear language, while in implied contracts, the focus is on presenting behaviours or actions which lead parties to believe that a certain agreement exists (Hillman, 2004). Void contracts are contracts that cannot be enforced by either party. According to law, void contracts are perceived as if they had never been established. The main aspect of void contracts refers to a situation where one of the parties performs in an illegal manner (Hillman, 2004). Therefore, void contracts cannot be conducted under the law. An example of void contracts can be found in Dickinson v Dodds [1876], where there is only an offer made and was intended to be an offer solely because it did not result in any legally binding agreement. There was no consideration ensured or promise and thus was judged non-binding. Although in the case of Shuey v US [1875] the revocation is prominent as the offer is, the type of offer is considered non-binding. On the other hand, voidable contracts are based on enforcement and hence they are valid (Elliott and Quinn, 2003). In general, only one of the parties is legally bound to such contracts. Yet, the unbound party has the right to cancel the contract and thus the contract automatically becomes void (Knapp et al., 2012). This implies that voidable contracts represent valid, legal agreements. Distance selling contracts refer to the main responsibility assumed under the law to protect consumers while they conduct shopping activities online. Such regulations also occur in situations where consumers enter into other contracts, as they are at a distance from the supplier (Hillman, 2004). Special protection is ensured to customers on the basis that they are unable to meet directly with the supplier and check the quality of goods and services that are offered for sale. Distance selling regulations have been enforced in the UK since 2000, but it is essential to note that they are inapplicable to contracts between businesses (Elliott and Quinn, 2003). The main legal effect of these regulations is that they enable consumers with the right to receive accurate and proper information about the supplier, including the products and services that are provided for sale. In addition, consumers tend to receive a written confirmation of such information, which makes the regulations credible . There is also a cancellation period of seven working days in which consumers have the right to withdraw from the contract. Individuals receive protection from different forms of fraud associated with the option of using payment cards (Knapp et al., 2012). Case Study of EMA In the case study of EMA, the focus is on determining whether the two parties have formed a valid, legal contract. As previously mentioned, the parties applied each of the essential legal elements for a valid contract, including offer, acceptance, legal purpose, mutuality of obligation, and valuable consideration. The terms of the contract between EMA and Zulu Aviation Ltd are clearly specified. However, it can be argued that the type of contract presented by the two parties is express considering that the promise for forming a legally binding agreement has been stated in a clear language verbally, via phone (Poole, 2012). Despite the precise form of the binding procedure, the validity of such express contract is apparent. There are strictly claimed promises on the behalf of both sides: the first party needs to pay a particular amount of money to guarantee the sale of the Airbus 321; the other needs to keep his promise not to sell the Airbus 321 to another buyer for the next five day s. It can be concluded that such initial conditions of forming a legal contract have been met (MacMillan and Stone, 2012). Simply put, there is an offer followed by an acceptance by EMA’s Managing Director. An example of the complex transaction that took place between EMA and Zulu Aviation Ltd can be found in the case of Byrne v. Van Tienhoven (1880), which presents relevant inferences on the issue of revocation with regards to the postal rule. In the case of EMA and Zulu Aviation Ltd, the phone rule (considering the phone conversation between Phil and Joseph) may not apply in revocation. In other words, while a phone conversation to arrange a contract may simply indicate a valid acceptance, it is most likely that the court will rule that it does not count as proper and valid revocation (MacMillan and Stone, 2012). Moreover, there is a stated legal purpose that legally binds both parties to form a valid agreement. They are focused on keeping their promise, which is an initial requirement for the establishment of a legal contract. It can be indicated that the objective of the contract between EMA and Zulu Aviation Ltd is to achieve a legal purpose. Thus, the condition of a creating a purpose for the existence of a binding contract has been applied in the case (Poole, 2012). The mutuality of obligation is also evident considering the motifs and promises ensured by both sides. There is a strong sense of mutual understanding on the behalf of each party regarding the expression and specificity of their agreement. In addition, there is an objective standard being applied in the case in terms of determining what the parties have precisely said in the process of forming their agreement (Knapp et al., 2012). The fact that the offer is clear and definite is indicative of both parties’ acceptance o f the terms outlined in the offer. There is a valuable consideration illustrated in the statement of Phil, who is ready to pay  £100,000 in case EMA’s Managing Director fulfils his promise. Therefore, this case study illustrates the application of an express contract law (MacMillan and Stone 2012). Implications regarding the Supply of Mobile Phones   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The only specified term in the contract between Key Services Enterprise (KSE) Ltd and Unique Mobile Solutions (UMS) Ltd is that of the provision of 500 mobile telephones, which are suitable for use in the UK. The court will classify these types of contractual terms as intermediate or innominate terms (Poole, 2012). The status of these terms is not clearly defined, as their significance lies between a condition and a warranty. Innominate terms were established in the case of HK Fir Shipping v Kawasaki Kisen Kaisha [1962], where the defendants chartered a ship for the duration of two years from the plaintiffs. In the agreement established between the two parties, there was a specific clause indicating that the ship was suitable for performing cargo service. Due to problems with the engine, 20 weeks of the charter were lost and thus the defendants were entitled to bring an action for damages for breach of contract on the grounds of the clause specified in the agreement (MacMillan and Stone, 2012). Under the circumstance that the use of the telephones supplied was illegal in the UK, and they could not be modified to make their use legal, the court will classify this term as misrepresentation or a false statement made by the mobile phone seller regarding the use of the products. As in the case of Gordon v Selico [1986], it is possible to make a misrepresentation by words or by conduct. However, it should be considered that representation is not a term. Moreover, the telephones supplied required tuning to particular frequencies, a task taking two minutes for each one. This aspect also indicates the presence of innominate terms (Knapp et al., 2012). However, under the circumstance in which the CEO of KSE signed the contract with UMS, there is no reference to any other document. In addition, KSE’s CEO accepted the receipt of the transaction without reading it, which represents a serious mistake that can be identified as negligence in lawful terms. The harm caused by the deci sion of KSE’s CEO to sign a contract with UMS is as a result of his carelessness. There is a failure to behave with the proper level of care required for the described circumstances (Poole, 2012). On the back of the receipt provided by UMS, the statement can be classified by the court as an exclusion clause because the provider of the mobile phones has directly excluded liability for contractual breach. In an attempt to analyse the exclusion clause as a term under the circumstance in which KSE’s CEO accepted the receipt without reading it, specific implications can be drawn. As a term in a contract, an exclusion clause indicates the purpose to limit or restrict the rights of the parties bound to the contract (Hillman, 2004). A true exclusion clause, as in the case of UMS, recognised a potential breach of contract, and then serves as an excuses liability for any potential breach. Therefore, it can be concluded that an exclusion clause was ‘incorporated’ into the contract with KSE. The effect of this term in the contract should be evaluated on the basis of incorporation (Elliott and Quinn, 2003). This means that UMS has actually incorporated an exclusion clause by signature (at the back of the receipt of the transaction provided to KSE). The fact that KSE’s CEO accepted the receipt and signed it means that the respective clause is considered part of the cont ract. Yet, the party representing the clause, UMS, has not taken any reasonable steps to bring it to the close attention of the second party in the contract (MacMillan and Stone, 2012). Applying the legal controls that the court would use in assessing the validity of the term in the contract should refer to principles of strict literal interpretation and contra proferentem (Hillman, 2004). In order an exclusion clause to operate, it needs to cover the breach with an assumption of a potential breach of contract. In case there is a breach of contract, the specific type of liability which is emerging is also relevant in the process of interpretation by the court. There is strict liability involved, which arises as a result of a state of affairs in which the party at breach is not necessarily identified as responsible for the fault (Smits, 2005). However, the court needs to consider the case of liability for negligence, or in other words, liability arising as a result of fault. A common tendency demonstrated by the court would be to require the party which relies on the clause to have drafted it adequately in order to result in a situation where that party is exempted f rom the liability arising (Cauffman, 2013). In the presence of ambiguity, as it might be in the case of KSE and UMS, the court would most probably apply the legal control of strict literal interpretation against the party which extensively relies on the exclusion clause in the contract. In the process of assessing the validity of the exclusion clause in the contract, the court may also apply the legal control of contra proferentem (MacMillan and Stone, 2012). In case ambiguity persists even after attempts have been made to construe an exclusion clause with regards to its natural meaning, the court may decide to apply a rule identified as contra proferentem. This term implies that the clause needs to be construed against the party in the contract that imposed its initial inclusion, respectively UMS. In the context of negligence, the court would most probably take the approach that a party would enter into a contract that permits the second party to evade fault based liability (Cauffman, 2013). Law of Tort Liability in Tort and Contractual Liability   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   While discussing certain implications of liability, contrasting liability in tort with contractual liability is important. All activities initiated by individuals as well as organisations are regulated by law. Tort law represents a branch of the civil law, and it should be considered that any dispute in civil law is usually between private parties (Horsey and Rackley, 2011). As indicated in the previous section, strict liability illustrates a solid legal doctrine according to which a party is held responsible for the damages resulting by his or her actions. Strict liability is also applicable to tort law especially in cases involving product liability lawsuits (Okrent, 2014). In the context of tort law, strict liability refers to the process of imposing liability on a party or individual without a particular finding of fault. In case fault is found, the court would determine a situation known as negligence or tortuous intent (Hodgson and Lewthwaite, 2012). As a result, the plaintiff would need to prove the occurrence of the tort and the implied responsibility of the defendant. The objective of strict liability is to discourage any forms of reckless behaviour as well as irrelevant product development and manufacturing. Therefore, liability in tort refers to the duty of care along with the negligence of that duty. On the other hand, contractual liability is associated with a situation in which two or more parties promise specific things to each other (Okrent, 2014). Liability in tort and contractual liability are similar in the point that they are both civil wrongs, and the individual wronged sues in the court in order to obtain compensation. However, the m ain difference is that in a claim related to liability in tort, the defendant may not have been involved in any previous relationship or transaction with the claimant. On the contrary, in a claim of contractual liability, the main condition that should be met is that the defendant and claimant should be the parties representing the contract (Hodgson and Lewthwaite, 2012). Case Study of King’s Restaurant   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In an attempt to analyse the situation described in the case study of King’s Restaurant, it appears that it should be considered on the basis of tort of negligence. The claimants in this case, Carlos and Janet, need to prove certain elements to the court so as to provide a valid proof of negligence and claim damages (Okrent, 2014). These elements refer to proving that the restaurant owed them a strict duty of care; the restaurant breached that particular duty of care; and Carlos and Janet suffered damage resulting from the breach. The notion of the duty of care was established in Donoghue v Stevenson [1932] in which the court enforced the decision that an individual may sue another person who caused them loss or damage even in the absence of contractual relationship. Yet, in the case of Carlos and Janet, it needs to be considered that even if the court proves negligence, the restaurant may have a defence that protects it from liabil ity, or decreases the precise amount of damages it is liable for (Horsey and Rackley, 2011). Hence, it can be argued that there is tortuous liability action against the restaurant. There is a breach of a statutory duty in King’s Restaurant case study, as the direct consequence was harming a person, which gives rise to tortuous liability for the restaurant towards Carlos and Janet under the legal doctrine of negligence (Christie et al., 1997). However, the victim should be identified in the class of individuals protected by the statute. Another important condition related to the success of the tort suit is that the injury should be of the specific type that the statute intended to prevent. Thus, the claimants need to prove their claim on specific balance of probabilities. It is also important for Carlos and Janet to show that the damage suffered is not quite remote from the breach (Horsey and Rackley, 2011). It should be assumed that a duty of care existed in this case because King’s Restaurant is identified as an award-winning and very expensive English restaur ant, which directly brings the conclusion that the services provided by the restaurant should be at a superior level. The standard of care should be determined through expert testimony and through the consideration of applicable, professional standards in the industry. The harm in the case is mostly physical, which makes it a sufficient claim for negligence. The problem in the case study can be resolved if Carlos and Janet definitely consider the option of claiming tortuous liability against the restaurant (Christie et al., 1997). Case Study of Angelina and Christian Auctioneers   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In this case, the legal principles of tort of professional negligence misstatement and vicarious liability can be applied. The tort of professional negligence misstatement refers to representing a fact, which is improperly and carelessly made. This claim is usually relied on by another party and results in their disadvantage (Hodgson and Lewthwaite, 2012). Vicarious liability presents a doctrine according to which an individual is responsible for the actions of another person because of a special relationship available between the parties, such as the one between an employer and an employee. Angelina has rights and remedies against Brad and Christian Auctioneers in connection with the incorrect advice given to her about the worth of the painting (Okrent, 2014). In the case, Angelina relies on the other party for their expertise, knowledge, and judgment. Moreover, the person who provided advice to Angelina, Brad, knew that the other party w as relying on him and his judgment about the painting. It can be also argued that it was reasonable for Angelina in the presented circumstances to rely on Brad and Christian Auctioneers. Brad on the behalf of his organisation, Christian Auctioneers, has given a negligence misstatement regarding the painting’s value. His judgment was personal rather than professionally based (Hodgson and Lewthwaite, 2012). Angelina’s rights against Brad and Christian Auctioneers are based on the premise of the special relationship established between her and this organisation. In the process of examining the special relationship concept, an example can be observed in the case of Shaddock Associates PTY Ltd v Parramatta City Council [1981], in which a solicitor acting on behalf of Shaddock established contact with the Parramatta City Council to seek advice regarding the potential impact on a property as a result of road widening proposals (Okrent, 2014). The council employees gave the solicitor a negligent misstatement, and as a result, Shaddock purchased the property and significant losses have been suffered. When applying the law in the case of Angelina, duty of care should be established in order to claim for negligence. It is important to consider the question of whether it was reasonably foreseeable that the actions of Brad and Christian Auctioneers would cause harm or loss to Angelina. Fur thermore, it is essential to establish the presence of a physical or factual link between Angelina and Brad and Christian Auctioneers. It can be deduced that their relationship was physical considering that Angelina approached the company to give her a valuation of some antique furniture present at her flat (Christie et al., 1997). The court would also need to determine the vulnerability of the plaintiff, and it can be indicated that the vulnerability to Angelina was high because she was relying on Brad and Christian Auctioneers for their professional advice in order to make a sound decision (Horsey and Rackley, 2011). The court would need to consider the actual damages caused. Considering that Angelina sold a valuable painting of Rembrandt for only  £100 is indicative of the losses she suffered due to the incorrect advice given to her. Moreover, the principle of vicarious liability could also refer to this case (Horsey and Rackley, 2011). Vicarious liability is applicable because liability is attributed to Christian Auctioneers that has a responsibility for its employee, Brad, who negligently causes a loss to Angelina because of the incorrect advice provided to her. In other words, the employer is responsible for the actions of the employee. Therefore, this form of strict liability can be imposed on Christian Auctioneers due to the negligent conduct of its employees in the case of Angelina (Okrent, 2014). Possible Defences Available to Christian Auctioneers   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   There could be possible defences available to Christian Auctioneers. Such defences are mainly based on the assumption whether there is a contractual relationship between the parties (Okrent, 2014). An example of this aspect can be found in the case of Henderson v Merrett Syndicates Ltd [1994], emphasising a statement of responsibility by an individual providing professional services along with reliance by the individual for whom the services were provided. Therefore, in the case of Angelina, it can be deduced that there was no special, contractual relationship between the parties (Christie et al., 1997). Angelina sought a free valuation, which may imply that there would not be liability for such type of information. Conclusion   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   This paper discussed essential aspects of contract law and tort law. The first part of the paper focused on describing the elements comprising a valid, legal contract along with differentiating the effects of common contracts (MacMillan and Stone, 2012). Details from two case studies were provided, namely from East Midlands Airways Airbus case and the case involving the supply of mobile phones. Important issues pertaining to contract law were discussed with the application of relevant law. The second part of the paper emphasised important principles of tort law by differentiating liability in tort and contractual liability. Negligence liability was discussed with regards to the case study of King’s Restaurant. Specific details about tort of professional negligence misstatement and vicarious liability were provided in the case study of Angelina and Christian Auctioneers (Okrent, 2014). In conclusion, legal and business practitioners need to stay informed about valid and applicable law principles with regards to contract and negligence in order to adhere to professional standards of conducting appropriate business practices. References Byrne v Van Tienhoven [1980] CPD 344 Cauffman, C. (2013). ‘The Principle of Proportionality and European Contract Law’. Maastricht Faculty of Law Working Paper. Working Paper No. 2013-05. Christie, G. C., Meeks, J. E., Pryor, E. S., and Sanders, J. (1997). Cases and Materials on the Law of Torts. St. Paul, MN: West. Dickinson v Dodds [1876] Ch. D. 463 Donoghue v Stevenson [1932] UKHL 100 Elliott, C. and Quinn, F. (2003). Contract Law. London: Longman. Gordon v Selico [1986] HLR 219 Henderson v Merrett Syndicates Ltd [1994] UKHL 5 Hillman, R. A. (2004). Principles of Contract Law. St. Paul, MN: West. HK Fir Shipping v Kawasaki Kisen Kaisha [1962] EWCA 7 Hodgson, J. and Lewthwaite, J. (2012). Tort Law Textbook. Oxford: Oxford University Press. Horsey, K. and Rackley, E. (2011). Tort Law. Oxford: Oxford University Press. Knapp, C. L., Crystal, N. M., and Prince, H. G. (2012). Problems in Contract Law: Cases and Materials. New York: Wolters Kluwer Law Business. MacMillan, C. and Stone, R. (2012). Elements of the Law of Contract. London: Stewart House. Okrent, C. (2014). Torts and Personal Injury Law. New York: Cengage Learning. Poole, J. (2012). Casebook on Contract Law. Oxford: Oxford University Press. Shaddock Associates PTY Ltd v Parramatta City Council [1981] HCA 59 Shuey v US [1875] 92 US 73 Smits, J. M. (2005). ‘The Principles of European Contract Law and the Harmonization of Private Law in Europe’. Maastricht University Faculty of Law, pp. 567-590.

Sunday, October 20, 2019

Words for Names of People

Words for Names of People Words for Names of People Words for Names of People By Mark Nichol Words that include the element nym, and some that include nom, pertain to names and naming. Such terms as anonymous (literally, â€Å"without a name†) and pseudonym (â€Å"false name†) are ubiquitous, but most others in this class are more or less obscure. This post lists and defines such terms that pertain to individuals and groups of people. An allonym (â€Å"other name†) is the name of one person employed as a pseudonym by one or more other people, as in the case of the name Publius, the non de plume of Alexander Hamilton, James Madison, and John Jay, which called back to Publius Valerius Publicola, a founder of the Roman Republic. (â€Å"Non de plume† itself, and â€Å"nom de guerre,† which mean, respectively, â€Å"pen name† and â€Å"war name,† are terms adopted from French that are synonyms of pseudonym.) An anthroponym (â€Å"man name†) is a proper name or a surname. (A gamonym is a name acquired as a result of marriage.) Aptronym is a recent coinage playing on apt, denoting a surname coincidentally appropriate to a person’s profession, such as when someone who makes beer is named Brewer. Autonym (self name)- or the synonym endonym, or â€Å"inner name†- refers to a term used by inhabitants of a place for that place (or themselves or their language), as in Deutsch, the German term for the German language; German is an exonym (â€Å"outer name†). (An ethnonym- people name- is a name for an ethnic group.) A charactonym is a fictitious character’s name that alludes to a quality of that person; literature is replete with such names, including those characterizing combative spouses in the early radio sitcom The Bickersons and the comic strip The Lockhorns. An eponym (â€Å"above name†) is a person, place, or thing after which someone or something is named. A mononym (â€Å"one name†) is a single name, such as Leonardo or Madonna. A patronym (â€Å"father name†), or patronymic, is a name based on a male ancestor’s given name, especially those with prefixes and suffixes integrated into surnames, such as Mac- or Mc- or Fitz- in Gaelic, -ez and -es in Spanish and Portuguese, and -son and variants such as -sen in Germanic languages. The female equivalents are matronym/matronymic; such forms are rare (at least in Indo-European languages), though -dottir is used in Icelandic surnames. 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 Vocabulary category, check our popular posts, or choose a related post below:What Is Irony? (With Examples)How Long Should a Paragraph Be?Empathic or Empathetic?

Saturday, October 19, 2019

Introuduction to Civil Eng. class the assigment is about the Ethics Essay

Introuduction to Civil Eng. class the assigment is about the Ethics - Essay Example The supervising Engineer also said that since the firm was involved in other business with this client as well, the former would only inform the clients about the location of the drums and nothing else; that is what the engineer did, including suggesting to the client that the drums be removed. The client thereafter contacted another firm to have the material removed. The Board decided that the engineer was wrong, as his prime concern should have been public safety. The problem that arises here is whether the engineer should disclose the facts to proper authorities for the public welfare, or stay true to the confidentiality clause ;though the Code dictates that the confidentiality of the client should be maintained at all times (Section III.4) and that information regarding the client should not be disclosed without the client’s consent (Section II.1.c), however, it also lays down quite emphatically that the safety, health and welfare of the public should be paramount (Section I.1, Section II.1) and that in case their professional judgment is overruled by such concerns, they should notify their employer (Section II.1.a). So, even though the engineer could say that he was protecting the confidentiality clause, he should have informed the proper authorities, or his employer, based on public safety concerns. The engineer was supposed to act with objectivity and integrity (Section II.3.a, Section III.1), and was not to do anything that discr edited his profession or deceived the public (Section III.3). The engineer owed the duty to his client as well as the public, which included the employees of his client, to report the matter to his client as well as to the proper authorities. He should have made sure that the hazardous waste was properly disposed off, as laid down by the law. However, on the same note, he was to keep the information of the

Friday, October 18, 2019

The History of Irish Education Part B Essay Example | Topics and Well Written Essays - 1750 words

The History of Irish Education Part B - Essay Example Through years of suppression and political discrimination, politics, in the end, and the shear determination of the Irish to educate their children evolved through concession and necessity into the creation of the National School System--a system destined to provide the basis for public education. Historical Background Originally set up by sects other than the majority Roman Catholics, small schools evolved in the early nineteenth century to educate the poor, manned by teachers most often untrained. Administration of the schools was quickly taken over by the Protestant Church of Ireland as both a religious and political move to Anglicise young Irish students. The Roman Catholic Church, while the majority, and Presbyterians felt pressured by these circumstances and feared a good deal of proselytising was ongoing within in schools. Both the Roman Catholic Church, gaining influential ground in the early nineteenth century after years of social, political and religious suppression, and P resbyterians, viewed as a strong Scottish influence to the Irish brand of Protestantism, had sought as a counter educational measure state support for schools of their own religious tradition. With the Irish Church most influential politically, it was charged that in the small schools of the time children of other denominations were being proselytised by Church of Ireland teachers as part of the educational curriculum. As early as 1812, education commissioners had called for better supervision of proselytizing in schools attended by various denominations, and by 1827 pressure was mounting for the state to cease channeling state aid through ‘voluntary agencies’(Hyland, Milne, 1987, p. 98) most often connected with particular religious groups. The Stanley Letter In October 1831, E.G. Stanley, then Chief Secretary of Ireland, wrote a letter to the Duke of Leinster , a liberal Protestant (Coolahan, 1981, p. 13) outlining plans for proposed national schools guided and overse en by a new sectarian educational board. The letter, now known as the ‘Stanley Letter’, addressed how the government would distribute aid to the board and outlined the basis upon which the board would support the schools. As suggested by Hyland and Milne (1987), the letter is generally accepted as the legal basis for national schools in Ireland, forwarding the recommendation of the Commissioners of 1812 that would effectively ‘banished [banish] even the suspicion of proselytism†¦admitting children of all religious persuasions†¦[and] not interfere with the particular tenets of any’ (Stanley, 1831 in Hyland et al, p. 99). As suggested in the letter (Stanley, 1831 in Hyland et al, p. 99-103) the system was set up as multi-denominational, with the schools governed by a member board consisting of two Roman Catholics, two from the Church of Ireland, and two Presbyterians. The multi-denominational concept at the beginning stages was met with resistance a nd suspicion, particularly by the Catholics and Presbyterians. (Coolahan, 1981) To overcome suspicion and due to Ireland’s history of past religious strife, there were imposed strict limits on the educational component of the proposal. According to Hyland and Milne (1987), during the school day ‘the teacher had to declare that religious education was beginning, hang a sign on

Liable or Not Liable Essay Example | Topics and Well Written Essays - 250 words

Liable or Not Liable - Essay Example , EcoCath made according to me, a full disclosure of their business position with regard to products of interests, marketing strategies projected income and other linkages with potential investor companies. All this were at the disposal of Medsystems to factor in, investigate the extent of their efficacy before getting into a contract with EcoCath (courtcases.net, 2000). In their representations preceding the contract, EcoCath table all the material facts to Medsystems. These included the fact that the financial projections were not real and were a mere assumptions made as the bench marks for the business (courtcases.net, 2000). In the EcoCath prospects delivered to Medsystems the position of the company in relation to capitalization, future plans, financial data and collaborative agreements were vivid (courtcases.net, 2000). The collaborative agreement can plays a pivotal role in EcoCath’s defense, this is because in it was the cautioned by EcoCath that the partnership enter ed into with other investors will be risky and that assurance could not be given to these strategic partners regarding the agreements reached. It is the fair to believe that Medsystems were operating at the apex of information when they decided to sign the agreement (courtcases.net, 2000). The innocence of EcoCath is also corroborated by the fact that in their response later of agreement, they unequivocally stated that their persuasion to enter into the partnership was occasioned not by the EcoCaths prospects but by their physical assessment of the company any consent from their technocrats. They also acknowledged the enormous risks involved in share investments and that in the event of loss they will bear the circumstances (courtcases.net, 2000). Medsystems’ suit

A business plan Essay Example | Topics and Well Written Essays - 500 words

A business plan - Essay Example The Banking industry faces challenges concerning the financial systems in place. This is because the systems do not favor the small-scale entrepreneurs’ needs. This is manifest in the hard conditions set for the small-scale loan seekers. Finansol requires capital of US$25M to start operations (Austin, 2008, 34). The changes of regulations that govern the financial institutions will also enable the bank to obtain these funds through lease financing. The company has also access to funds through certificate of deposits and the issuing of bonds. Additionally, Finansol can seek funding through the exchange of loan portfolios for favourable percentage of stock. The start of the banking business will proof realistic because of the favorable business environment in the banking industry. The banks will offer favorable sources of lending facilities to the clients in a bid to boost business activities. The financial forecast of Finansol is realistic because the figure provided indicates the true position of the organization in the next five

Thursday, October 17, 2019

Language and Mode Assignment Example | Topics and Well Written Essays - 500 words

Language and Mode - Assignment Example Once reading the text, the mode of writing and the language itself captures the reader even more, for example, the first phrase says, â€Å"Some moments are so stunning they live you speechless.† The facial expression defines the phrase; it shows that the phone is so stunning leaving one speechless. The writer continues to give more information about the phone. This information about the features captivates the reader. Another mode for capturing the reader is the â€Å"club nokia,† this may interest the reader as it shows an advantage of owning a nokia phone. It explains how one can enjoy the fun of photo editing, photo sharing with ease. Some vocabularies used in the advert, which capture the reader, include; stunning, which means extremely attractive, in these case defines the uniqueness of the phone. The other word is speechless meaning unable to speak after temporary result of shock; in this case, it expresses the reaction after seeing the phone Test B is an advertisement of the virgin mobile phone network, which is very captivating. The advert has only one photographic design of a beautiful woman lying on a bed, the photographic design captivates the reader immediately making him want to know the meaning of the advertisement. The lady defines the first writers statement that includes the words â€Å"great seducer† which in this case is the girl laying in a seductive posture The writer uses very captivating words and quotes, some of the captivating vocabularies include; great seducer which means a figure or a feature which makes something very attractive, in these case the â€Å"great seducer is the 10 pound discount offer on phones and 15 pound free airtime. Another vocabulary is â€Å"deep reverie† which means pleasant thoughts that make one forget what he or she is doing. In these advert deep reverie means that the offers are too good they will make the reader forget what he or she is

Wednesday, October 16, 2019

Business Strategy Essay Example | Topics and Well Written Essays - 3500 words - 2

Business Strategy - Essay Example The distribution networks handle yogurt as one of the most interesting products in fresh food division. The consumers have also their own preferences where market and product development are also hinged on. An adult consumer is particularly interested in the health/nutrition component of the product thus she chooses yogurt with added probiotics, or natural yogurt. She consumes the product as a breakfast or a main meal of the day. While the young consumers eat yogurt mainly as a snack for self-indulgence though they still consider health and nutritional value. For the children consumers, they have mothers who choose the product, are considers self-gratification and at the same time the nutritional aspect. The dominant competitors in this sector which have a national scope are the incumbent players such as Sitia Yomo, Danone, and Parmalat; and the new entrant Muller. Other firms operating in the dairy industry (Nestle, Granarolo, Lactis, A.L.A., Milkon, Latteria Sociale Vipiteno) had also their share in the yogurt industry, including the importers (Ehrmann, Stuffer) which caters a multi-regional market. There were emerging challenges among competitors because of the entry of new players in the industry. This has reduced the amount of display space allocation to market leaders and brands. Also, the overcrowding of the sector has increased the discretional power of distribution. The growth in commercial brands and price brackets (from average to medium price) has reduced the linear shelf space available and thus has increased the referencing costs of the major companies. The emergence of modern distribution channels has also raised the level of competition among players with regard to the economic crisis and the development of distribution formulas, e.g., hard discount stores. This has caused major distributors to take actions aiming to improve price perception of the end consumers. They inserted commercial brands in the market and introduced premium prices. Development of new products was done by traditionally marketing oriented companies. On the part of product developers, there are also challenges that can be considered to better compete in the industry. These concerns the choices and evolving values of the end-consumers: the emerging culture of valuing low calorie and health aspects of foods; the fact that proper meals are becoming less popular; because of fast-paced life, there was less time spent for breakfast. 1.2 Changes and reasons Thus, the intense competition among major players in the industry, the not-so-fast paced growth rate, and highly price sensitive consumers have contributed in the structure change. On the part of Yomo, Danone, and Parmalat, they have opted to maintain substantial investments in advertising of their products as well as improving their trade investments. While Yomo has continued to give a high retail price positioning, Danone, Parmalat and Muller has opted to become aggressive in determining and enforcing their pricing policies. The creation of new refrigerated sections and reduction of linear shelf space given to other fresh products such as pre-packed salami, butter or margarine has expanded the display shelf space allotted

Language and Mode Assignment Example | Topics and Well Written Essays - 500 words

Language and Mode - Assignment Example Once reading the text, the mode of writing and the language itself captures the reader even more, for example, the first phrase says, â€Å"Some moments are so stunning they live you speechless.† The facial expression defines the phrase; it shows that the phone is so stunning leaving one speechless. The writer continues to give more information about the phone. This information about the features captivates the reader. Another mode for capturing the reader is the â€Å"club nokia,† this may interest the reader as it shows an advantage of owning a nokia phone. It explains how one can enjoy the fun of photo editing, photo sharing with ease. Some vocabularies used in the advert, which capture the reader, include; stunning, which means extremely attractive, in these case defines the uniqueness of the phone. The other word is speechless meaning unable to speak after temporary result of shock; in this case, it expresses the reaction after seeing the phone Test B is an advertisement of the virgin mobile phone network, which is very captivating. The advert has only one photographic design of a beautiful woman lying on a bed, the photographic design captivates the reader immediately making him want to know the meaning of the advertisement. The lady defines the first writers statement that includes the words â€Å"great seducer† which in this case is the girl laying in a seductive posture The writer uses very captivating words and quotes, some of the captivating vocabularies include; great seducer which means a figure or a feature which makes something very attractive, in these case the â€Å"great seducer is the 10 pound discount offer on phones and 15 pound free airtime. Another vocabulary is â€Å"deep reverie† which means pleasant thoughts that make one forget what he or she is doing. In these advert deep reverie means that the offers are too good they will make the reader forget what he or she is

Tuesday, October 15, 2019

Schizophrenia and Depression Essay Example for Free

Schizophrenia and Depression Essay â€Å"Schizophrenia is a chronic, severe, and disabling brain disorder that effects about 1. 1 percent of the U. S. population age 18 and older in a given year† (National Institute of Mental Health, 2010, para. 1). Both men and women are equally at risk for this particular mental disorder. The main component of schizophrenia is the loss of contact with reality. Individuals who suffer from schizophrenia typically lead a normal functioning life prior to developing the disorder (Comer, 2005). Once they develop the disorder they tend to experience a variety of severe and chronic symptoms that can interfere with their work, social, and family life. Schizophrenia is one of the more disturbing mental disorders due to the nature of the symptoms the individuals may experience. Hallucinations, paranoia, and delusions are some of the main symptoms of schizophrenia. Delusions are false ideas held by the individual suffering from schizophrenia. These ideas have no factual basis. Some schizophrenia sufferers believe that people are plotting against them or discriminating against them. Individuals who suffer from schizophrenia may also experience disorganized thinking and speech which can cause the individual to move from one topic to another without any specific rhyme or reason. This type of speech often only makes sense to the individual while leaving others confused. Individuals might also make up word, or neologisms, which have meaning only to the individual but do not truly exist as part of speech within society. Hallucinations can involve seeing, hearing, smelling, or feeling things that aren’t really there. This may occur as auditory or visual hallucinations (Comer, 2005) The psychodynamic explanation of the psychological viewpoint is based upon Freud’s theory that schizophrenia develops from two psychological processes: regression to a pre-ego stage and efforts to establish ego control (Comer, 2005). Freud believed that symptoms like neologisms, loose associations, or delusions resulted from a lack of nurturance as a young child. As the isorder progresses in these individuals they begin to exhibit more symptoms such as hallucinations and a loss of reality. Mental Disorder Depression Depression is a mood disorder characterized by ongoing feelings of sadness and hopelessness. It is believed that genetics may play a large role in the risk factors that lead to depression because having either parent or sibling with depression can actually triple an individual’s risk of dev eloping the disorder. In addition, women are â€Å"twice as likely as men to become depressed† (WebMD, 2009). The onset of depression is often caused by traumatic or stressful events. These traumatic experiences can cause an imbalance of certain brain chemicals, or neurotransmitters. Depression can affect people on five different levels: emotional, motivational, behavioral, cognitive, and physical. Emotional symptoms of depression can cause people to lose interest in things that they usually enjoy and often this can result in isolation. Behavioral symptoms can affect a person’s ability to carry out normal daily tasks. Cognitive symptoms of depression can cause extremely low self-worth and it may also cause feelings of pessimism. Depression can also result in physical symptoms like headaches, dizziness, or body pain (Comer, 2005). References Comer, R. J. (2005). Fundamentals of abnormal psychology (4th ed. ). New York: Worth National Institute of Mental Health. (2010). Schizophrenia. Retrieved March 13, 2013 from http:// www. Nimh. nih. gov/health/topics/schizophrenia/index. shtml WebMD. (2010). Depression Overview. Retrieved March 13, 2013 from http:// www. Webmd. com/depression/slideshow-depression-overview

Monday, October 14, 2019

Stereotyping German Turks Cultural Studies Essay

Stereotyping German Turks Cultural Studies Essay An American, a Chinese a German and a Turk are in a plane. Because of a technical fault the plane is about to crash if not immediately some ballast is thrown out. The Chinese opens the door and gets rid of the rice in his bag explaining: it doesnt matter, we have too much rice at home. Then the American stands up and throws greenbacks out of the window: we have way too many of them back home. After a short silence the Turk turns to the German and says: Bruder (buddy), dont get any silly ideas!. by pointing out their representation as victims and unwelcome guest-workers. Meanwhile, wrapped in a humorous aspect this joke clearly hints at the fact that prejudices and stereotypes have an immense influence in our daily life. Now the following question arises: To what extent do stereotypes affect intercommunal relations? With the intention of answering the question this work will focus on stereotypes, Turks in Germany are confronted with, by analyzing the representation of both immigrants with Turkish heritage and native born Germans in literature as well as in cinema. In order to support the theses it will refer to authors like Arlene Akiko Teroka, Rob Burns, Gà ¶kà §e Yurdakuli Y. Michal Bodemann, Johanna Watzginer Tharp and to their works. In addition, it will discuss the social consequences of stereotyping and show how much prejudices and labeling affect our actions towards and treatment of other groups. In order to be able to understand the labeling process the emergence of specific stereotypes one should be well informed about the historical background of the aforesaid nations and their international relationships. In the case of Germany and Turkey the era after World War II plays a decisive role. Aiming to rebuild the country and reconstruct its ruined economy the German government decided to import labor from nearby countries like Turkey. (Yurdakul, 2006) These so called guest-workers were unskilled peasants in search of income, which they were unable to gain in their homeland. This immigration policy of the German government is inextricably linked with the perception of Turkish immigrants in the eyes of German citizens. To be precise, the first stereotype Turks have to cope with is the image of unskilled guest-workers. In order to make this labeling clear a connection with literature and cinema seems adequate at this point. Migrant writings and films between 1970s and 1980s were called guest-worker literature or the literature of the effected. (Burns, 2007) They mostly tended to foreground two thematic concerns; the reality of the exploited, discriminated and socially excluded Turkish guest-worker experience and the problems of living between two cultures. (Burns, 2007) One example underlying the above mentioned image and experience of the uneducated and socially excluded Turkish guest-workerr is the novel and film Ganz Unten (Lowest of the Low),. In the film, the writer Gà ¼nter Wallraff borrows the identity of a real immigrant, the guest-worker Ali Levent Sinirlioglu and records his experiences in a variety of dangerous, unsanitary and badly paid jobs. Devoid of both a personal history and a private sphere, Wallraffs Ali has no individual identity, no life beyond the workplace.(Burns, 2007) In the film the immigrant Ali is defined purely in relation to his economic function as a worker. According to the Turkish writer Aysel ÃÆ'-zakin, Walraff presents a patronising clichà ©d portrait of the Turk as uneducated, unskilled and basically ignorant, as well as naive [à ¢Ã¢â€š ¬Ã‚ ¦] oppressed and, hence, ultimately pitiful. (Burns, 2007) Thus Ganz Unten reinforces the stereotype of the Turks as merely unskilled and suppressed guest-workers. This example additionally shows that the stereotype of guest-worker goes hand in hand with the portrayal of German Turks as victims,oppressed by the superior, the German employer. One narrative example that underlies the image of the exploited, helpless guest-worker is the story about the laboratory assistant Kadir, who falls victim to a nefarious employer a German manager, who supplies him with hormone pills for the stomach cramps that continually afflict him.(Burns, 2007) At the end when Kadir grows breasts after the excessive supply of hormone pills he cuts his own breasts with a kitchen knife. This act of self-mutilation serves as a [à ¢Ã¢â€š ¬Ã‚ ¦] metaphor for German treatment of guest-workers, especially Turks as subhuman beings and for the helpless and self-destructive response of a man, who falls victim to the bewildering complexities of urban technological society.(Burns, 2007) Beside the portrayal of being a victim the fact of being regarded as a guest-worker also leads to another stereotype: the image of being an outsider. The film 40 m2 Deutschland (40 Square Meters of Germany, 1986), is a very well example to show the Turk, isolated between two cultures. The films location is a flat in Hamburg, the new home of Turna, who has been brought over from rural Anatolia to live with her husband, Dursun. Turnas task is to transform this space into a little enclave of Turkish culture, offering Dursun refuge after his work at the factory and safeguarding his wife from the moral depravity he sees pervading German society. (Burns, 2007) This film demonstrates that Turks tend to distance themselves from the German society and their rules, in order to save their own cultural values. This kind of behavior contributes to the labeling process as an outsider. The Turk is seen as someone, who wants only minimal contact with German life and deliberately deprives him/herself of social intercourse. This limited contact with the German society and culture even led to the development of a new language-the so-called Gastarbeiterdeutsch (Guest-worker German), a simplified form of German to meet only basic communicative needs (Watzinger Tharp, 2004); a form of German which leads to reduced or even incorrect input. (Watzinger Tharp, 2004) A new arising form of language among the second and third generation Turks in Germany, the so called Tà ¼rkendeutsch, introduces a new stereotype: the fact that German Turks are stuck between two cultures, even unable to speak one language properly. This stereotype is clearly reflected in Geierbachs choice of his novels title: Bruder, muss Zwiebel und Wasser essen! (Brother, have to eat onion and water!). This sentence is neither German nor Turkish: The content reflects behaviour peculiar to lower class Turks whereas the sentence is completely written in German. Thus, it appears to be rather a mix of two languages, two cultures, and therefore ser ves as an example to demonstrate the fact that the German Turk, has positioned him/herself between two cultures remaining culturally torn. However, these are only some of the stereotypes Turks in Germany are confronted with. Still, they can be seen as the main ones. The following abstract will now shortly focus on the social consequences of stereotyping and show their effects,which mainly cause social tension and even racial violence. The bad image of the Turks created through stereotyping connected with increasing unemployment rates in Germany led to an atmosphere of open anti Turkism among Germans. Some even say that former anti Semitism was transformed into open anti Turkism. In short stereotyping led to animosity and aggressive tendencies and increasing violence towards Turks. The Solingen arson attack of 1993 serves as an example of anti foreigner violence in modern Germany, when Neo Nazis set fire to a Turkish familys home. On the Turkish side, however, being constantly stereotyped and mocked resulted in anger and hostility among German Turks. A cartoon published in the German magazine Stern shows a heavily mustached man crawling through a cat hole in a door named European Union, trying to gain entry into Europe. Some imitation Arabic writing appears on top of the cat hole, and a suitcase with a Turkish flag stands next to the man.(Yurdakul, 2006) Some claim that the nose of the Jew is now replaced by the mustache of the Turk and consequently accuse Germans of anti Turkish racism. As a response, associating Turkish concerns with those of the Jews and comparing the Holocaust to the bombings of Turkish houses, the Turkish society has openly begun to attack the Germans, where they are most vulnerable, creating even more hostility between both nations. In conclusion, by analyzing the representation of Turks and Germans in literature and cinema, this paper has tried to highlight the stereotypes directed against Turks-mainly German Turks, dominating Turkish-German relationships, even until today. After, explaining the historical evolution of stereotypes and the emergence of specific prejudices against Turks, the essay has illustrated the social consequences of labeling. As seen in literature and cinema stereotyping is an element, which dominates relationships between different nations. In a nutshell, the main aim of this paper is to show that stereotyping and labeling are very serious and dangerous social traits, which can have drastic consequences on intercommunal relations fueling emotions like hostility, dislike, anger and even racism, all being traits which should have no place in an enlightened, modern society.

Sunday, October 13, 2019

The Modeling of Salt Water Intrusion Essay -- Encroachment Science Ess

The Modeling of Salt Water Intrusion What is Salt Water Intrusion? Salt water intrusion, or encroachment, is defined by Freeze and Cherry (1979) as the migration of salt water into fresh water aquifers under the influence of groundwater development. Salt water intrusion becomes a problem in coastal areas where fresh water aquifers are hydraulically connected with seawater. When large amounts of fresh water are withdrawn from these aquifers, hydraulic gradients encourage the flow of seawater toward the pumped well or wells. Salt water intrusion is a problem that affects coastal areas around the world. Groundwater Problems in Coastal Areas (Custodio, 1987) is an excellent reference for more information on global salt water intrusion problems, while Atkinson (1986) details salt water intrusion problems for the coastal areas of the United States. Why is it a Problem? The encroachment of salt water into fresh water supplies has become cause for concern within the last century as populations in coastal areas have risen sharply and placed greater demands on fresh groundwater reserves. Salt water intrusion causes many problems in these areas, perhaps the most severe being the limitation of potable drinking water. Drinking water standards established by the EPA in 1962 require that drinking water contain no more than 500 mg/L of total suspended solids (TSS), a common measure of salinity (Atkinson, 1986). Seawater contains approximately 30000 mg/L of TSS. Therefore, it is evident that even a small amount of seawater can cause drinking water problems when mixed with fresh water reserves. Also, salinity in irrigation water can be detrimental to agriculture, reducing yields and killing crops with low tolerances to salt. In some... ...t Modeling of the Flow Through Porous Media". OWRT-C-4026(9006)(4). Office of Water Resources and Technology, U.S. Dept. of the Interior. Washington, DC. March, 1975. Christensen, B.A., "Mathematical Methods for Analysis of Fresh Water Lenses in the Coastal Zones of the Floridian Aquifer". OWRT-A-032-FLA(1). Office of Water Research and Technology. U.S. Dept. of the Interior. Washington, DC. Custodio, E., and Llamas, M.R. Hidrologia Subterranea. Ed. Omega, Barcelona. 1976. Custodio, E. (prepared by). Groundwater Problems in Coastal Areas. A contribution to the International Hydrological Programme. 1987. Freeze, R. A. and J. A. Cherry. Groundwater. Prentice Hall, Inc. 1979. Jenkins, S. R. and R. K. Moore. "Effect of Saltwater Intrusion on Soil Erodibility of Alabama Marshlands". Water Resources Research Institute, Auburn University, Auburn, Al. 1984.

Saturday, October 12, 2019

The Assassination of John Fitzgerald Kennedy :: JFK Assassination American Presidents Essays

The Assassination of John Fitzgerald Kennedy THE ASSASSINATION of John Fitzgerald Kennedy on November 22, 1963, was a cruel and shocking act of violence directed against a man, a family, a nation, and against all mankind. A young and vigorous leader whose years of public and private life stretched before him was the Victim of the fourth Presidential assassination in the history of a country dedicated to the concepts of reasoned argument and peaceful political change. This Commission was created on November 29, 1963, in recognition of the right of people everywhere to full and truthful knowledge concerning these events. This report endeavors to fulfill that right and to appraise this tragedy by the light of reason and the standard of fairness. It has been prepared with a deep awareness of the Commission's responsibility to present to the American people an objective report of the facts relating to the assassination. -------------------------------------------------------------------------------- Narrative of Events At 11:40 a.m., c.s.t., on Friday, November '22, 1963, President John F. Kennedy, Mrs. Kennedy, and their party arrived at Love Field, Dallas, Tex. Behind them was the first day of a Texas trip planned 5 months before by the President, Vice President Lyndon B. Johnson, and John B. Connally, Jr., Governor of Texas. After leaving the White House on Thursday morning, the President had flown initially to San Antonio where Vice President Lyndon B. Johnson joined the party and the President dedicated new research facilities at the U.S. Air Force School of Aerospace Medicine. Following a testimonial dinner in Houston for U.S. Representative Albert Thomas, the President flew to Fort Worth where he spent the night and spoke at a large breakfast gathering on Friday. Planned for later that day were a motorcade through downtown Dallas, a luncheon speech at the Trade Mart, and a flight to Austin where the President would attend a reception and speak at a Democratic fundraising dinner. From Austin he would proceed to the Texas ranch of the Vice President. Evident on this trip were the varied roles which an American President performs--Head of State, Chief Executive, party leader, and, in this instance, prospective candidate for reelection. The Dallas motorcade, it was hoped, would evoke a demonstration of the President's personal popularity in a city which he had lost in the 1960 election. Once it had been decided that the trip to Texas would span 2 days, those responsible for planning, primarily Governor Connally and Kenneth O'Donnell, a special assistant to the President, agreed that a motorcade through Dallas would be desirable.

Friday, October 11, 2019

Essay on School Field Trips

Can teachers and students imagine all year in class without a chance at a hands-on experience? Field trips should continue throughout the remainder of the school year, because students can put skills into action, learning in new environments, and enhance the curriculum. The way students can put skills into action is by working together with classmates to achieve one goal. If field trips are abolished students that do not learn well in the classroom may lose interest in a particular subject. Field trips teach students that they can learn everywhere. To begin with, field trips are a great way for students to put skills they learn in the classroom into action. There are three different types of different methods of learning, including visual, auditory, and tactile. By taking field trips away tactile learners would not learn as well as the visual and auditory. Tests and classroom education may not work so great for some children, field trips put every student at the same level. The learning is experience rather than taught. Additionally, learning in new environments can provide challenges for more individualize learning. During field trips students can learn as much information as they want to, but in the classroom restrictions apply because of the different learning styles. Field trips expose students to new experiences which may lead to new interest or talents. This can be helpful to the students in the long run because they have seen what they like and enjoy doing; therefore they can get an education and pursue that interest. Above all, field trips enhance the curriculum for the students. The students, by field trips, are aware that they can learn from anywhere and everywhere on earth. Field trips are simple tasks, but they teach students so many useable things in life that are needed in the future workplaces. Some of these things include: problem solving, analytical thinking, theory making, and critical thinking skills. These skills will stick with them for the rest of their life, but if students do not get to go on field trips no skills will be experienced. In conclusion, field trips are expensive, however if we want our students to experience skills that will stick with them we must continue to go on educational field trips. Financial restrictions are a burden to the school system even if the admission is free. Gas, bus driver, and food is what pushes the cost up. Money is not everything in life when it comes to education we must put everything else aside and put students first. That’s why our school does not need to cut field trips for the remainder of the year, because it puts our skills into action, lets students learn in new environments, and enhances the curriculum. While books can teach and computers can instruct, but they do compare to hands-on experience.