Saturday, August 31, 2019

Mexican Immigrants

The number of Mexican immigrants, both legal and illegal, in California today is quite staggering.   Amidst the terrorist threat issues and various biological scares, these immigrants have changed the economy of California completely. The state of California once boasted a healthy employment market for immigrants, as well as natives.   Now, the economy of California is in recession, along with the rest of the United States.   According to the California Employment Development Department, unemployment numbers rose to 4.5 percent in October, which is a rise from the 2.1 percent a year ago. Of the thousands of jobs lost in September and October, over half were in hospitality, service, and construction.(The Waiting Game, 2006) As a result of the drop in employment, Mexican immigrants are struggling to survive.   Most immigrants are in the United States to make a better life for their families, who are often still in Mexico.   They work and earn wages to pay their living expenses here, and the rest is sent back to their families.   Most have now taken to the streets to stand and wait for a job opportunity.   Undocumented seasonal workers are the most vulnerable.   They make up 8.5 percent of the total number of immigrants, and they have to resort to sleeping in parks and under bridges. According to Martha Sanchez-Gomez, a specialist from the Social Research Institute of the Nacional Autonomous University of Mexico, said that immigrants suffer discrimination and social vulnerabilities.   She also states that permanent immigrants make up 61.6 percent of the total, while those who travel back and forth between here and Mexico represent 28.8 percent.   The latter are those who work with the high seasons, when the demand for workers is higher.   Ã‚  (Mexidata.Info-July 2005) The adult immigrants are not the only ones who suffer.   The numbers of children that have had no formal education before immigration is outrageous.   These children fall far behind the children of other California residents.   Tied in with the uneducated parents, they struggle just to get through day to day life.   Ms. Sanchez-Gomez states that statistically, 3.2 percent of adult immigrants have had no schooling, whereas 66.6 percent have a maximum of six year of education.   The majority of the farm workers are young men with very low levels of education.   About 10 percent are women, who prefer jobs as hotel chambermaids or as domestic workers, or to do cleaning work in nearby restaurants. It is widely believed that Mexican immigrants should be allowed to become United States citizens on the conditions that they pass the citizenship tests and that they cooperate with local government.   While this is an opportunity for them, it leaves a gapping whole in local economies as well as the nation’s economy. There are several views, both pros and cons, to letting Mexican immigrants stay in the United States.   There is a heated debate taking place now that, if solved, will provide some general laws that are more defined than what they are now. Think about the pros to illegal immigrants become permanent citizens.   These immigrants will contribute more money to economies.   Some will continue their education, and go one to open more businesses, thereby providing more employment.   Because they have an unspoken assumption that they should earn their own way, the immigrants tend to struggle in silence, never asking for governmental financial services such as Food Stamps.   This reduces the liability to tax payers. The cons to illegal immigrants staying in the United States far outweigh the pros.   Immigrants have caused the homeless population to rise.   The available employment, as stated before, has dropped severely, largely due to the fact that the immigrants are satisfied with working for minimum wage.   The available housing has dropped as well, and will continue to drop due to the large numbers of illegal immigrants that manage to sneak across the border. Mexican immigrants increase the poverty levels.   Although they are making as much as 10 times what they would in Mexico, the standard of living in the United States is much higher.   These immigrants do not generally take this information into account when they make their plans to immigrate.   About 47 percent of undocumented Mexicans believe that improving their quality of life can only be improved by coming to the United States. One common myth about illegal Mexican immigrants is that they are all criminals deserving to be severely punished.   However, the typical immigrant is an honest person, struggling to give a better life to himself and his family.   A large percentage of these immigrants mind their own business, and are far from being violent criminals.   Can we say that much about the United States population? Another quite racist myth about the immigrants is that they are just here as parasites that are feeding off our tax dollars and not contributing in return.   As stated earlier, they know that they have to pay their own way, and thus always offer something in return for what they may need.   Mexican workers pay sales taxes on their purchases, the same as everyone else, but illegal immigrants are often taken advantage of and paid below minimum wage.   This gives the employer a higher profit margin.   They are simply pocketing the taxes they withhold from payrolls. Right now, with the nation being in the condition that it is, the Mexican immigrants are hurting us more and more the longer that they stay here.   Most of these immigrants can not read or write, let alone speak English.   They are taking up valuable space and employment that is severely needed to raise our national economy.   We have enough problems with Americans.   We have a growing number of homeless.   We have a growing number of unemployed mothers and fathers, who struggle to feed their children.   The dependency of government social services by Americans grows as each day passes. There needs to be a set decision made as to the fate of the Mexican immigrants.   Either we give them the opportunity to become citizens, or we deport them.   There should be no in between.   Those that cannot become legal immigrants, even if they have a temporary work visa, should be deported as well.   There are other ways for the United States to help the Mexicans. One way that the United States can offer assistance to Mexicans, without the fear of it being solely a charity effort, is to open more businesses in Mexico.   We have all these huge corporations and ridiculously large multi-million dollar companies.   If we start opening more businesses in Mexico, with pay standards the same as ours, Mexico’s economy will benefit.   Why should the drug dealers and slum lords be the only ones that are happy and have a good quality of life? Resources 1.  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Hue, Vanessa   (September 9, 2005) Mexican Immigrants’ Kids Falter in School  Ã‚  Ã‚   http://sfgate.com/cgi-bin/article.cgi?file=/c/a/2005/09/09/BAGL1EKTDM1.DTL 2.  Ã‚  Ã‚  Ã‚  Ã‚   Notimex News Service Of Mexico City (July 25, 2006) Mexican Immigrants in California Lack Basic Services   for Mexidata.Info   Ã‚  www.mexidata.info/id555.html 3.  Ã‚  Ã‚  Ã‚  Ã‚   Schefler, Chris (2006) writing for the University of Dayton  Ã‚  Ã‚  Ã‚  Ã‚   Racist Myths about Mexican Immigrants  Ã‚  Ã‚   http://academic.udayton.edu/race/02rights/guadalu4.htm                              

How to Make a Grilled Cheese Sandwich

Tiayna Bradford BRADFORD 1 Mary Jo M. Keiter English 051 Oct 18, 2012 How to make a grilled cheese sandwich on an electric stove. First you need to make sure that you have all the things needed for this process. 1. Frying pan 2. Bread 3. Butter or Margarine 4. Butter knife 5. Cheese 6. PlateFirst you take out two pieces of bread and lay them on your plate. Then you open up the butter, get the butter knife; put some butter on the knife, then spread it on one side of the bread. Make sure that the side you put the butter on is the side down. The other side of the bread that is faces up; put two slices of cheese on it. After you put the cheese on it; put piece bread on it, then spread butter on that side too.When that part is done, turn the stove on number four; so that it is not up to high; or to low. Place the frying pan on the eye that you turned on. Once it gets hot put the sandwich in the pan. You can put a lid on it to make it cook faster or just leave it open. Let it cook for lik e two minutes and then turn it to the other side and repeat the same thing. Once you see that the bread is brown a little, you can take it out using a spactula. It is then ready to eat. How to Make a Grilled Cheese Sandwich My Recipe For Grilled Cheese Sandwiches Topic: How to make grilled cheese sandwiches. Audience: Parents that need to cook something quick for there children. Purpose: To teach someone how to make a grilled cheese sandwich. Format: An expository paragraph. ——————————————————————————————————————— You will need: An electric frying pan, 2 slices of bread (preferably white), (softened) butter, and some cheese of your choice Step 1.Plug in and pre-heat the electric frying pan to 400 degrees fahrenheit. Step 2. Take your butter and spread it on one side of both pieces of bread. Step 3. Then you need the cheese (if you are cutting it of a block, 1 eighth of an inch is my recommended thickness) But I like to use singles chee se slices with mine. Step 4. Place your cheese in-between the un-buttered sides of your bread so that the buttered sides are facing out. Step 5. When your electric frying pan is fully heated, place the sandwich on it. Step 6.Let it sit for around 3 minutes, if you want a panini style sandwich, then you can lightly press on the sandwich with a a spatchula while it's cooking. Step 7. Then flip it and let the other side sit for only about 2 and a half minutes. Step 8. Then it's done! Step 9. If you want to make it better, try adding Ketchup on the side, along with a pickle. Step 10. Part of the process of making anything is the clean up so don't forget to put away everything, including turning off and unplugging the electric frying pan. Step 11. Eat up! By: Adam Brice

Friday, August 30, 2019

Motorcycle & Sweetgrass Journal

Journal 2 â€Å"Motorcycle & Sweetgrass† brought up two major conflicts at the very end of the novel. The first conflict was based on a battle between John and the raccoons (Person vs. Nature) John was in the forest having a talk with the raccoons and giving them food. The raccoons were all surrounded around the bushes, resemble in ready to have a fight with the Nanabush. The animals reproached John and he was so furious. The clash with the raccoons shows the mysterious hidden relationship between them.John even wanted them to disappear, he burnt the forest and the creatures began to melt into the forest background. This conflict appeared the wicked and wild behaviour of the spiritual creature. The second conflict was the combat between John and Wayne. (Person vs. Person) A cousin of Virgil, Dakota, was missing and Virgil believed she went to find John for a talk. He was worried about Dakota since John was a Nanabush, she might fall into trouble. Soon or later, Virgil and Wayn e went to find John and to see if Dakota was with him or not.Meanwhile, they witnessed the fight of the raccoons and the Nanabush. Wayne was fearful that the Nanabush would hurt Dakota and everyone in the community and he was dangerous, so, he decided to have a fight with the creature. Wayne defiled his motorcycle and they started their battle. He was injured so seriously, the Nanabush even threw a raccoon towards his face. Of course, John won the battle. This conflict was the most incredible part of the novel, the writer portrayed every scene of their fight and it showed the courage and confidence of this character.The first significant quote of the novel was (1) â€Å"Who is this man? Nobody in his family was cool enough to know this guy like this, Virgil thought† (p. 47). This was the situation when the white man, John, came to the Otter Lake and visited Virgil’s grandmother, Lillian. John was white and he was different from everyone of them in the community. The wr iter described the word, â€Å"cool† as the character of the white man. This compared the differences of the white community and the native community.The native community was more old fashioned and traditional, but the white community was more modern. This quote shows that the natives believed they had a lower status by comparing the whites. The two communities couldn’t be connected together. John was a symbol of the white man attacking the native community, it was hard to believe that a white man could have a close relationship with a native woman. This quote showed a theme of an interracial relationship. The second quote of this novel was (2)â€Å"He was dancing! He was a blur of movement one minute, and almost still the next.At times John was silhouetted against the almost full moon. Virgil was mesmerized. This wasn’t any type of dancing he’d seen on television, or at powwows. It had an ancient, tribal quality, and yet at the same time, a modern, inno vative style. And just about everything in between. † (p. 130) In this quote, the writer described the unique character of John. He was not only a normal white man, but a man dancing in a strange style. I believed the writer would like to use this as implying the readers that John was not a normal human, but a Nanabush.He used different abnormal behavior and actions of him as well as his style of dancing, â€Å"ancient and modern†, to let the readers predict the character of John. The writer illustrates the creepiness of John, on how perilous he would affect on Maggie and the whole Otter Lake community. The last quote of this novel was (3) â€Å"Dakota might be in trouble, thought Virgil. With John, since nobody really knew his game, that was a strong possibility. Virgil weighed his options and decided Dakota’s situation was the most important. † (p. 85) When Virgil noticed Dakota, his cousin, was lost, he knew the most important thing for him to do was to find his cousin, not to go to school. Although skipping classes was not a good example, he knew that finding his cousin is more important. The writer depicted the matured attitude of Virgil. At the beginning of the story, he was a rebellious kid who always skipped classes, however, after the arrival of John, he started to become a grown up child. I believed John is a symbol to Virgil’s maturity and this quote showed a theme of growth and self discovery.

Thursday, August 29, 2019

Management - Structure, Culture, Define, & Estimate Essay

Management - Structure, Culture, Define, & Estimate - Essay Example The main difference between projects and organizations lies in their size, as projects are smaller than organizations. In addition, organizations are permanent, while projects are temporary. Therefore, projects are a representation of the larger organizations, as they both exhibit similar processes and design principles. Both projects and organizations are unique as no project or organization can fully resemble another. In organizations and projects, a group of people, who ensure that the objectives of the project or organization are met, form a team that works together. Additionally, for organizations and projects to succeed, they require skills, techniques, knowledge, and tools, which are all provided by the employees in both cases, ensuring the attainment of objectives. Both elements also have a fixed budget, which helps in the sustenance of their operations. The resources of organizations and projects are limited, hence the need for them to ensure a reliable supply of resources, on exhaustion of the ones at hand. All projects have sponsors, who are responsible for guiding the processes of the project and ensuring achievement of the project’s objectives. Most organizations too have sponsors who perform similar roles (Harrington, 2006). There is a great extent of resemblance between the management of a project and organizational management. For the achievement of organization’s objectives, there must be processes and management systems for success of the organization. In organizational management, important pillars include planning, organizing, leading, and controlling. In both cases, there is a management team, which is responsible for controlling and overseeing operations involved. Finally, projects and organizations go through similar processes of planning, execution, and control (Harrington, 2006). In conclusion, it is agreeable that projects are a smaller version of the larger organization, because of the greater extent of

Wednesday, August 28, 2019

Education Essay Example | Topics and Well Written Essays - 1250 words - 1

Education - Essay Example ommon problem in any profession, especially any profession linked to the medical field is that sometimes students who are excellent in theoretical knowledge lack aptitude and practical knowledge required for the course. There are also frequent changes happening in the medical field in terms of technology used for equipment and testing, procedures etc.A good learner needs to be well equipped with the latest knowledge on the same. Teachers sometimes find it difficult to meet the needs of non traditional students. This could be in the form of language difficulties, knowledge gaps or international students who are from a different cultural background. As the article clearly points out, empowering the learner is always better than enabling him/her in the process. When the faculty acts as a tool for empowerment, it enhances its professional and social standing. When the faculty acts as a tool for empowerment of the learners, there is a raising of consciousness and increased self esteem among the learners. They also learn political skills required to negotiate and change healthcare system.[ Glass] The faculty should be the facilitator of learning rather than just instructor and evaluator in the learning process. The goal of empowering is to help them develop autonomy and a sense of accountability for professional practice. A faculty that would have tried to humanize the education process by reducing expectations and shouldering some of the responsibility for learning that should actually have been done by the students might actually undermine the confidence and autonomy (independence) of the students Enabling is defined as behavior of others that perpetuates dependent behavior.[Haber etal,1997].The term enabling might not be used in a positive sense. Many researchers feel that enabling is a component of codependency. Codependency is when a person allows another’s behavior(generally not conducive) to affect him/her.(Beatie,1987).80% of nurses had problems of

Tuesday, August 27, 2019

International Corporate Finance College Essay Example | Topics and Well Written Essays - 2000 words

International Corporate Finance College - Essay Example Its population is estimated to be about 1,306,313,812 as of July 2005 making it the world's most populous nation. It has strictly advocated the "One child policy" in 2002 to control its population but the downside of it is that it is now one of the rapidly aging nations in the world. Its population is said to peak to 1.6 billion by 2050 before stabilising. Culture: In China, business meetings are often very slow, and the businesses are built on assurance of a good relationship. The person in charge is addressed most respectfully, and refusal of ethnic or exotic food or drink is considered as a slight. All business done in China will need to be programmed for a long term since it takes a while to establish trust and run the enterprise in the Chinese landscape. Business deals and negotiations are better done with the presence of a local partner who not only deals with the corruption in the government sector but is also accustomed to dealing with local labour and mitigates risks due to cultural differences. Economy: China's economy grew at an average rate of 10% per year during the period 1990-2004, the highest growth rate in the world. China's gross domestic product (GDP) grew 9.3% in 2003, and even faster, 9.5%, in 2004, despite attempts by the government to cool the economy. China's total trade in 2004 surpassed $1.1 trillion, making China the world's third-largest trading nation after the U.S. and Germany. The Chinese government is firmly committed to economic reforms and opening up to the outside world. Government policies have moved markedly towards allowing market forces influence economic activity and have been reformed in order to assist in the progress of the price determination, foreign trade and investment, exchange rates, entry barriers, internal markets etc. All this seems to have paid off and at this current rate of growth China is supposed to have the fourth largest GDP by 2010. The immediate years to follow are crucial for China. China's accession to the World Trade Organization (WTO) in 2001, China presents a vast market that has yet to be fully tapped and a low-cost destination for export-oriented production because it is labour intensive and has a surplus of labour due to its enormous population. Environment and infrastructure: China is one of the most polluted nations in the world due to its rapid industrial advancement at the cost of its natural resources. A 1998 World Health Organization report on air quality in 272 cities worldwide concluded that seven of the world's 10 most polluted cities were in China. It is no surprise that respiratory and heart diseases related to air pollution are the leading cause of death in China. Most of its rivers are polluted to some degree and half of its population does not have access to clean water. Water scarcity is a rampant problem. China's leaders are increasingly paying attention to the country's severe environmental problems. In recent years, China has strengthened its environmental legislation and in 1999, China invested more than 1% of GDP in environmental protection, Beijing is investing heavily in pollution control, as it is the host of the 2008 Olympiad. Education: China was long lagging behind India for its mastery over the English language.

Monday, August 26, 2019

Consumer Math Essay Example | Topics and Well Written Essays - 250 words

Consumer Math - Essay Example The value of the annuity after five years will be the sum of all the deposits plus the interest earned over a period of five years. Another example where an annuity can be applied in one’s personal finances is when one plans for one’s retirement fund. An individual may decide to put in $2,000 at the end of each year for the next 20 years into an IRA. If the IRA promises a return of 12 percent per year compounded annually, the individual will get a certain amount from the IRA after 20 years. In making investments, annuities are very relevant. Several options are presented to individuals who want to make an investment. One such example is deciding whether to make a lump sum deposit or a periodic deposit for several years. If the interest rates are equal and the maturity date is the same, one has to decide which alternative will be more profitable. The examples presented above are just some applications of consumer math, specifically annuities. Indeed, it is essential for every individual to understand the concepts covered by consumer math because it has a huge impact on one’s personal finances. Chatham Central Schools. (n.d.). Consumer math – Annuities and the TVM solver. Retrieved May 10, 2012, from chathamcentralschools.com:

Sunday, August 25, 2019

Structured essay 2500 words, a critical analysis of the portrayal of

Structured 2500 words, a critical analysis of the portrayal of socio-cultural issues and physical education in the media - Essay Example A number of factors that help shape and determine these socio-cultural issues are the expectations of the community, laws, rules, and policies, economic as well as physical resources, ethical and technological factors. The media could as well be categorized under the technological factors. These factors will in the long run affect the attitudes, behaviors, and expectations that these people have over the relationships (Smith & O’Day, 1990). The media together with what could be described as popular culture often does portray unrealistic scenarios or images about these relationships and often does play a very crucial role in the persuasion process of the people within communities to try and conform to the social norms. The media could still be used as a destructive tool that hinders the achievement of these socio-cultural needs and that is why its portrayal of them is very vital thing to consider (Oleribe, 2005). In the movie Take the Lead, there are socio-culture issues that arise from the events in the movie and from individuals’ behaviors. These socio-culture issues include disadvantaged education and family. On the part of disadvantaged education, this can be well pointed out in the movie where the students in the detention like Rock, LaRhette and the others are seen as not performing well in terms of class education. Although they are not good in class performance, they are seen as having other talents that they can perform better. In this case their dancing skills are good and through practice, acceptance and determination, they dance through a highly competitive dancing competition where their performance is quite appreciated even by the school Principle James who makes the program permanent within the school and expands it to other schools. Family as a socio-cultural issue on the other hand is portrayed in this movie by how different individual characters have been brought up or are relating to their family members or the general

Saturday, August 24, 2019

Socio-Technical Systems Essay Example | Topics and Well Written Essays - 1000 words

Socio-Technical Systems - Essay Example Throughout the various stages involved in this case study, its success was highly shaped by the organization’s social system. Before the E-File system was adopted by the company, its workers were frustrated with the level of service they received. The workers termed this as â€Å"deteriorating service† as their issues were not addressed in time. Those that were injured at work had to wait for a long period of time for their claims to be processed, a process that was greatly tiring and time consuming. This meant that the level of relationship between the workers and the organization’s administration was strained. However, the adoption of the new technological system was a breath of fresh air to all. The E-File system was swift and convenient. The workers claims could now be processed in a timely manner. This helped in saving time for both the workers and the management, a time that could now be used in carrying out other organizational activities (Golden-Biddle, 2 ). According to Golden-Biddle (2), human beings organize themselves into the different kinds of social groupings they interact with in everyday situations. In this case, the workplace can be considered as a social grouping in which the company workers associate with everyday. When carrying out the transition from the paper based work processes into the more technical E-File system, the company’s social system played a vital role in shaping its final outcome (Parker, 6). As such, the company’s staff was in a position to consult amongst one another on how the new system worked. Though much of the staff was already highly skilled on the new tasks at hand, those that did not understand the technical aspect of the new system were in a position to learn from those that already had more knowledge and expertise in the system. This ensured that no worker was left behind in the evolution from the paper based process into the new paperless system. At the same time, the workers we re in a position to learn how the system worked from a much better perspective when taught by their co-workers than from the technical experts. The insurance management understood that it would highly depend on the ability and willingness of its employees to develop new work practices and skills in order for this new project to take effect. This meant that the organization had to find ways through which any interference or hindrance to these changes could be eliminated (Stebbins & Shani, 17). As such, the company devised new ways through which they could appeal to the employees socially and dampen whatever fears they had in regards to the project. In order to achieve this, the company recognized the need for reassure its workers that they would not be affected by the technological changes. To this effect, the insurance company negotiated a provision within the collective employment agreement and a wage protection for its entire staff that would be affected by the technological chang e within the organization (Parker, 5). In this case, the technical system interacted perfectly with the social system in shaping the outcome of this new project. After the implementation of these new provisions, more workers embraced the new system. This is because they felt that their social surroundings were safe and were not on the verge of collapsing (Stebbins & Shani, 28). This new agreement demonstrated that the employees would be given the support and time that they would require to learn how the new syste

Friday, August 23, 2019

Analysys of the Story Tolstoy The Death of Ivan Ilyich Term Paper

Analysys of the Story Tolstoy The Death of Ivan Ilyich - Term Paper Example The story begins with the death of Ivan that is announced to a group of judges in a private meeting over a case. Ivan’s close ally, Peter announces the death to the group that immediately thinks of the induced opportunities for transfers and promotions. Peter develops similar perception though he is a little more touched by the death. On arrival at Ivan’s house, Peter finds Schwartz, who is equally unaffected by the death, and Schwartz proposes a game later in the day. Peter is however emotionally touched and he notices an expression of fulfillment and a sense of warning, to those who are still alive, on Ivan’s face. Ivan’s wife, through her interaction with peter is equally concerned about money than her husband’s death (Tolstoy, p. 1- 8). Chapter 2 Ivan is presented as an introvert who keeps more to himself. He joins law school where he allows external forces to manipulate his ideologies. He however identifies particular characters whom he emulates as he grows up and he is more specific to allow influence from higher social classes. Upon graduation, Ivan is employed in the civil service in which his career develops through a series of promotions. He meets Fedorovna whom he later marries out of convenience due to his peer’s opinions. The marriage however fails to work out and Ivan resorts to spend more time in his work. His inability to take control of his life and that of his family is depicted, as he is not able to make personal decisions. His conflict resolution ability is also weak as he fails to identify and solve the problem with his wife during her pregnancy and later in life. This consequently escalates to ruin stability in their marriage. Ivan therefore represents a section of the society that is controlled by ex ternal forces and is not able to make decisions over their own lives. His middle ground however depicts him as a moderator between two extremes of life (Tolstoy, p. 10-14). Chapter 3 Selfishness and greed becomes a major theme as Ivan distances himself from the society around him. His selfish attitude is noted when he loses his temper for failing to secure promotion in his career. Unable to cope with frustration at the work place that had created a rift between Ivan and his colleagues, he resorts to quit his job and only changes his mind after his friend is promoted in the ministry and secures him a better position. The culture of nepotism and favoritism is therefore depicted in the scene. This can be understood from two perspectives. Either the former administration discriminated against Ivan and promoted other persons against merit, or the newly appointed friend of Ivan offered him a position against merit. Similarly, social stratification is exhibited in the story through Ivanâ⠂¬â„¢s behavior after his new appointment. He tries to make his new house to a standard that he has wished to live in. Though the standard is beyond his means, he goes beyond this to be in the particular class of house. Ivan also hosts people of a particular social class, an indication of a stratified society. The concept of social instability continues to run through Ivan’s family, as he is not able to manage his family life and appropriately combine it with his work (Tolstoy, p. 16- 22). Chapter 4 Death and detachment from life is also eminent in the literature. This covers both real death and symbolic death. Ivan’s diagnosis that worsens his attitude signifies his death to the world around him. He loses touch with his family who thinks that he is intolerable. Similarly, the treatment that Ivan receives from his doctor and his colleagues signifies a symbolized death. The society has therefore lost interest in him and is waiting for his physical death that does not ev entually take them by surprise. Ivan’s isolation from the society can however partly be explained by his poor relationship with people (Tolstoy, p. 22- 27). Chapter 5 Ivan’s condition worsens and brings his attention to the fact that he is facing death. He realizes that

Economy in Russia Essay Example | Topics and Well Written Essays - 2000 words

Economy in Russia - Essay Example Russia has to deal with persistent economic problems, which include: The consensus and eventual policy position taken in Russia was that in order for the Russian economy to develop and benefit from the increasing integration of the global market and trade, policy reforms must be instituted. These reforms should directly address the challenges cited above. The past few years saw policy pronouncements that include price reform, the privatization of enterprise, macroeconomic stabilisation and fiscal decentralisation. Beginning in 1992, the government began instituting economic reform in these areas and based on the trajectory of growth of the Russian economy up to the present, it is clear that some of the governmental policies have worked. Terterov (2004), for example, cited how investments to the country has overtaken capital flight, which has been the pattern in the past. As a result the economy has received a substantial boost, particularly in manufacturing and industrial sector, helping to create jobs and revenue for the state (Terterov 2004). Empirical research has also shown the positive link between governmental reform and wage increase and unemployment (Gerber 2006). Wolf and Lang (2006) in a study for the RAND Corporation reported that the recent impressive economic performance can be attributed to decentralized decision-making and the change in resource allocation from the previous state and bureaucratic allocation to the resource allocation through the market. During Vladimir Putin’s administration, Russia was finally recognized as a market economy. The United States and the European Union declared this in June 2012. This is important for Russia because being classified as one means better opportunities for trade with other countries. For example, as a result of the recognition, the United States has removed several restrictions and guidelines that govern the US trading relationships with nonmarket economies

Thursday, August 22, 2019

Promote learning Essay Example for Free

Promote learning Essay In this area of play I believe it should be stressed that children should be praised as they have put a lot of work into something even if it is totally non-recognisable as anything, considering some of the most famous artists drew/painted in abstract and their work is widely appreciated. At this age creative activities will be greatly influenced by key stage one requirements. They will have creativity incorporated into the learning of other topics. They will be beginning to learn some creative skills and follow instructions to carry them out. Also children will be developing a wider concentration span and more advanced fine manipulative skills. Tassoni and Beith (2002 p375) state that between the age of four and six Children are more interested in creating things e. g. making a cake, drawing cards and planting seeds. They enjoy being with other children although they may play in pairs. Children are beginning to express themselves through painting and drawing as well as through play. They are enjoying using their physical skills in games and are confident when running and climbing. Materials that can be used in creative play and that will also promote learning: sand and alternate materials, water, painting and drawing materials, malleable materials, adhesive materials, construction and scrap materials. At the beginning of the Foundation Stage children use their bodies to explore texture and space, this will develop towards the end of the Foundation Stage to children exploring colour, texture, shape, form and space in two or three dimensions. (Curriculum Guidance for the Foundation Stage curriculum early learning goal for exploring materials p121). At the beginning of the Foundation Stage children show an interest in what they see, hear, smell, touch and feel and towards the end of the Foundation Stage this develops to the children responding in a variety of ways to what they see, hear, smell, touch and feel. (Curriculum Guidance for the Foundation Stage curriculum early learning goal for responding to experiences and expressing and communicating ideas p127). 2. Imaginative play- imaginative play is a lot to do with role-play, it can be carried out for enjoyment purposes in everyday play and it can be incorporated by practitioners so the children can explore different situations and fantasy worlds and acting. At the beginning of the Foundation Stage children use isolated words and phrases and/or gestures to communicate with those well known to them and towards the end of the Foundation Stage children develop to speak clearly and audibly with confidence and control and show awareness of the listener. (Curriculum Guidance for the Foundation Stage curriculum early learning goal for language for communication p 55). 3. Physical play- The term physical play is a term that can be used to describe the type of play in which children use their large muscles and exercise their whole body. They learn to control large and small muscles and develop co-ordination and surplus energy is expended (Tassoni and Beith 2002 p 382). Physical play is where children are using their muscles (large and small)) for enjoyment purposes. There is a less called P.E (physical education) in which children can develop and refine their skills and muscles in different e. g. dancing, athletics, and climbing apparatus. During self-directed play, children can be physical in the following ways, rolling, balancing, skipping, sliding, hanging, running, kicking, jumping, hopping, pushing, pulling etc. there are ten areas of co-ordination in which children develop in: At the beginning of the Foundation Stage children should be able to negotiate an appropriate pathway both indoors and outdoors this will develop to the children showing respect for other childrens personal space when playing among them. This will eventually at the end of the Foundation Stage develop into the children showing awareness of space, of them and of others. Stage curriculum early learning goal for sense of space p109). Example of the three types of play and how they promote the desired learning 1. For an example of creative play, I am going to describe a play opportunity for this age group. Gloop is a mixture made simply from mixing corn flour and water in a bowl. A few additional resources that could be used are, smaller bowls, cups, plastic utensils (all of different shapes and sizes). It is a strange substance that can be made to different consistencies. When made with a lot of water it will be in liquid form when left dormant and will run through fingers when scooped up but when rolled between hands it will become solid and return to liquid when stopped. When made thicker it will be able to be sliced and it will slowly return to the original form. It can be picked up in a lump and will slowly drip/run. This activity I think is suitable for all ages that are a school, I have tried it with the following age groups, five, seven, ten and thirteen and was also enjoyed by adults. Children will begin to understand liquids and solids, shapes and sizes (through cups, bowls etc) and texture. The play opportunity Gloop will help to encourage creative skills because it takes many forms, the children can experiment and explore the texture, the consistency and the properties of it. It uses a lot of fine motor skills, using the fingers and hands to pick up and roll, squeeze through and transfer to other containers. This will promote in the way of experience, the children will learn by doing. 2. An example of imaginative play. Creating a home corner would encourage child-led imaginative play. A home corner can be adapted to suit a subject that is being taught. In the home corner or separately there could also be dressing up clothes to assist in role-play. For this type of play this is an example of an imaginative play opportunity. The subject being taught is animals; the home corner is rearranged and decorated to resemble either a jungle or a zoo. This could also be linked with asking children questions about animals and what theyre characteristics are, they could also take turns in groups acting in general about the subject. A home corner would improve imaginative skills in children by encouraging them to participate in role-play activities. The children can make up their own games and enforce their own rules for the game. The children can work in groups or alone and can also dress up and use props to assist their game. Imaginative play can be linked with social skills as the children will be working in groups and pairs in child led activities and in structured activities led by an adult in the setting. These skills will be helpful in later life for the children to make healthy relationships. 3. One play opportunity for physical play is swimming some schools have pools on the property and use them for regular lessons, however for schools that do not have this facility can organise to go on weekly trips to the local pool or just as a one off. Swimming is a great way of exercising as well as good physical fun. Swimming uses all of the muscles in the body and can be developed and refined. Swimming can link with all of the ten areas of co-ordination. It is suitable for all ages particularly because there can be different classes for different abilities and there is always room to progress. Children with any sort of impairment can also join in as there should be helpers available and equipment that would aid them getting in and out of the pool. Swimming would improve physical skills in children by working all of the muscles at the same time and progressing at this. It will strengthen muscle including the heart; maintaining and developing bone density. It allows the children to exercise their whole bodies inside and out! There is also opportunity for fine motor development in the form of bricks and bands, which are thrown to the bottom of the pool at different depths, which the children have to collect. It is important to encourage children but not pressure hem as it may have adverse affects later in life. The role of the adult in all of the play opportunities is to supervise the children; it is also to provide any materials or equipment that will be needed. The adult will have to think about health and safety for the activity to make sure that no harm comes to the children. The adult will be there to explain what to do initially and be there to answer any questions the children may have. The adult will also ask questions to encourage the children to think about the subject more deeply; these questions will normally be open ended so the childrens answers will not be one-worded. The adult will also encourage the children to stick at the activity for a decent amount of time and to help the children to think up new ways of playing the game and to plan different rules.

Wednesday, August 21, 2019

Freuds psychoanalytic theory of a personality

Freuds psychoanalytic theory of a personality Freuds Psychoanalytic Theory of Personality In the field of therapy, psychoanalysis assumes that an individuals behavior and emotions are a result of an assortment of factors that the individual is unaware. Sigmund Freud is mostly accredited as the pioneer of this field with most of his theories finding acceptance by most psychological schools of thought. In his book titled An Outline of Psychoanalysis, Freud explains that psychoanalysis finds its foundation on the id, the ego and the superego, as the forces behind the physical apparatus. Freud explains that the id consists of what is inherited, instincts and it is characterized as being unconscious. The ego on the other hand as Freud further explains, is characterized as being conscious and it is the force which â€Å"acts as the intermediary between the id and the external world† (Freud, 1989, p.14). The principals characteristics of the ego as Freud (1989) describes them, include the ability to perform voluntary movements when it is required, preserving itself such as creating a sense of awareness to stimuli by storing them in the â€Å"memory†, escaping excessive stimuli by â€Å"flight†, or dealing with reasonable stimuli by â€Å"adaptation†. The ego also has the characteristic of learning how to deal with expedient changes in the external environment to its advantage through â€Å"activity†. The ego in relation to the id controls the demands of instincts by satisfying them, denying them or postponing them to an appropriate time favorable with the external world. Tensions produced by the stimuli whether internal or external guide the ego. When these tensions are increased it results in unpleasure while their decrease results in pleasure. The ego will generally tend to achieve pleasure and avoid unpleasure. The superego on the other hand represents the influence of dependence on parents during childhood. The id mediates the demands of the superego, while the ego tries simultaneously to satisfy the demands of the id and the ego. Freuds psychoanalytic theory of personality defines conscious psychical ideas, as those one is aware, while preconscious ideas are those that have the potential of becoming conscious. This is in contrast to unconscious ideas, which cannot be explained. Ewen (1998) points out that Freud presented four stages in the sexual development of an individual; oral stage, anal stage, urethra stage, phallic stage and genital stage. The oral stage is characterized through satisfaction through the mouth such as sucking of mothers breast, which the baby gets pleasure. During the anal and urethra stage, the child achieves pleasure through excretion. At the phallic stage, the child is afraid of the father, and sees him as a rival and sexually fantasizes about his mother referred to as the Oedipus stage. The genital stage involves completion of the sexual function to achieve pleasure. Coon (2009) points out that Freud considered that the dynamics of personality involve a conflict of the id, ego and super ego, for example â€Å"the ids demands for immediate pleasure often crash with the superegos mortal restriction† (p.147). An example would be an individual craves for sex. The id will aim to achieve immediate satisfaction, an action that the superego will oppose. The ego on the other hand will be caught in the middle and in an aim to reduce tension; it may lead to actions of courtship. However, the id may overpower the ego and it may give in to seduction while if the superego excels, then the energy will be transferred elsewhere such as sports. In conclusion, it is evident that Freuds psychoanalytic theory of personality argued that humans are not masters of their destiny. This is true according to his arguments that unconscious forces and the fact that the personality of an individual is strongly determined by childhood experiences, govern human behavior. He also stressed that the personality of an individual is shaped by how one deals with sexual urges. Carl Rogers Theory Person-Centered Theory (for personality) The term client-centered therapy is synonymous with Carl Rogers. The humanistic approach philosopher is famous for his theory of personality. Rogers aimed at advising therapists to allow patients to discover their solutions. Through what he refers to as â€Å"unconditional positive regard†, Rogers argues that each individual has the ability to grow and develop, thus influence his/her self-esteem and self-actualization. In order for an individual to achieve this, it becomes imperative for the therapist to accept fully the patient through reflection with the patient. This implies that the patient autonomously dictates the course of the counseling session with the therapist only intervening to assist the patient in identifying certain factors. Rogers theory, although at first widely used in psychotherapy, became referred to as â€Å"person-centered† due to its expansion to other fields such as marriage, education and other diverse professional fields. According to Rogers, the idea behind this approach revolves around what he believes that an individual possesses â€Å"vast resources for self-understanding, for altering his or her self concept, attitudes, and direct behavior†. This makes it possible to tap these resources in a â€Å"definable climate of facilitative psychological attitudes† (Rogers, Kirschenbaum Henderson, 1989 p.135). For this to happen, Rogers highlights three conditions; congruence, unconditional positive regard and emphatic understanding. The first element congruence which also refers to as realness or genuineness implies that if the therapist involves himself more in the relationship without regard to professionalism or personality, then the greater the chance that the client will grow and develop constructively. The second element, unconditional positive regard refers to the creation of a climate suitable for change. This implies that the therapist acts does not judge the person, which greatly enhances the therapeutic process. The third element as Rogers pointed out, is emphatic understanding. According to Jefferies (2005, p.3), he points out that Rogers defined it as â€Å"entering the private perceptual world of the otherbeing sensitive, moment by moment, to the changing felt meanings which flow in this other person† (Rogers 1980, p. 142). This implies that the therapist is supposed to sense and understand the feelings and meanings of the client and has the ability to define and clarify not only those that the client is aware of, but those that may also be unaware.   In addition to the above elements, Rogers also pointed a number of conditions that are required for constructive personality change. The first condition is that of the person coming for help, which is a significant step in acquiring help since the individual realizes that he/she needs help. The next situation involves the counselor setting the goals straight to the client. According to the theory by Rogers, the counselor is supposed to explain to the client that he does not have the answers but he can assist the client to work through the solutions. The counselor will then encourage the client to be free to express his thoughts and this is through the positive, friendly, receptive and interesting environment that the counselor creates. The counselor then takes up to himself to recognize, clarify, and reveal the negative feelings to the client. After the client expresses the negative feelings, positive impulses, which aid in growth, are then created and the counselor has to likewise a ccept and reveal the positive feelings to the client. This paves the way for insight from the client and the counselor paves way for positive action and ideas. This decreases the need for help from the client (Horthersall. 2003). Social Cognitive Theory The social cognitive theory advanced by Albert Bandura, centers on the fact that human behavior can be understood, predicted and changed. The theory takes human development as an embodiment of three forces â€Å"environment conditions (learning), cognitive-personal factors and behavior† (Plotnik and Kouyoumdjian, 2010 p.458). The two authors further point out that cognitive factors involve beliefs, values, expectations, while personal beliefs involve the emotional, biological and genetic makeup of an individual. Behaviors on the other involve a myriad of personal actions such as talking, gesturing among others. Lastly, environmental factors are the social, cultural and economic factors. This is against the backdrop of the psychodynamic theory advanced by Freud, which argues that the personality of an individual is inborn, and Carl Rogerss humanistic theory that argues that humans are generally good. The social cognitive theory advances the notion that we are neither good nor b ad but our personalities are shaped by the three aforementioned factors that Bandura points. Personality development according to the social cognitive theory is shaped by four cognitive processes, which enhance the ability of an individual to develop, grow and change; language ability, observational learning, purposeful behavior and self-analysis. The language ability acts as a powerful means which ideas, goals, values and other factors can be processed and understood. Observational learning allows an individual to imitate and thus enhances the learning process. Purposeful behavior enhances the ability to predict, plan and set goals for events. Lastly, self-analysis acts as an internal process whereby an individual analyzes his thoughts and actions (Plotnik and Kouyoumdjian, 2010 p.459). According to Shaffer and Kipp (2009), â€Å"Bandura emphasizes observational learning as a central developmental process†, this simply implies learning from observation (49). This can be in the form of a child imitating his parents and learning how to speak a language or perform some gestures. Sigelman and Rider (2008) argue that observational learning diverts from conditioning precisely because it involves paying attention, constructing and responding. According to the theory, individuals intrinsically have cognitive control over their actions, a trait manifested during infancy when one realizes they can make things happen, and regulate their actions according to the consequences. This results in the development of self-efficacy. Sigelman and Rider (2008) describe it as the â€Å"belief that one can effectively produce desired outcomes in a particular area of life† (p.43). According to his theory, Bandura refutes the notion of studying rat behaviors instead of human be ings and argues that a human is very sophisticated with regard to cognitive behavior.   Although Banduras idea closely resembles that of social learning theory, he argued that his idea should be referred to as social cognitive theory since his theory centered on â€Å"motivating and self-regulating role of cognition in human behavior† (Sigelman and Rider, 2008 p.42). In Banduras model, an individuals thoughts and actions influence the interaction between the individual and his/her behavior. On the other hand, social influences and the environmental structures, lead to the development of cognitive competencies and belies, which influence the interaction between the individual and the environment. In his model, the interaction between the behavior of an individual and the environment is influenced by how the individual determines the aspects of the environment, which later modify the individuals behavior. Bandura uses the term reciprocal determinism to explain the phenomenon of a human being as being cognitive. This argument is based on his assertions that personalities are not shaped by the environment, nor are they biological, but through reciprocal interactions between the three factors.

Tuesday, August 20, 2019

Airport Privatisation The Challenges Way Forward Economics Essay

Airport Privatisation The Challenges Way Forward Economics Essay Traditionally all the airports were owned by the public sector. The European airports in major cities such as Paris, London, Dublin, Stockholm, Copenhagen, Madrid, and Geneva were all owned by national governments. The airports outside Europe like Tokyo, Singapore, Bangkok, Sydney, and Johannesburg were similarly owned by their countrys government bodies. Elsewhere, the major airports like in the U.S. were controlled by local or regional governments. Regional airports in Europe too followed this rule. For example, Manchester airport was owned by Manchester City Council and a combination of 8 local authorities of nearby towns with 45% ownership resting with the latter and 55% with the former authority. In Germany, Dusseldorf airport was owned by the governments of North Rhine, Westphalia state and the city of Dusseldorf together, whereas, the Hanover airport was owned jointly by the governments of Lower Saxony and the city of Hanover. In the 1990s, private or partially privately owned airports became significant. Before this, the privately owned airports were limited only to the general aviation or to the aeroclub airports. The norm during that period was that the public ownership, i.e. the government handled the airport operations at least at a local or majorly at national level. This had a major impact on the operations of the airport and its degree of independence. The strictest form of control existed when the government had direct control over the airport, for example the Civil Aviation Authority (CAA), Ministry of Transport or, in few cases, the military. This was commonly practiced in Asia, the Middle East, Africa and South America. In Canada, 150 commercial Canadian airports were directly controlled by The State Department of Transport. Within Europe, Greece was a good example where CAA controlled all the airports effectively. In some cases, semi-autonomous bodies and companies, those were still under the public ownership owned the airports. Some organizations managed more than one airport, British Airports Authority (BAA) and Aer Rianta Irish Airports were good examples in Europe. Other airport authorities and companies also existed that operated just one major airport. This was the case at Amsterdam airport and many German airports. In the U.S., airport authorities also existed for some of the airports, such as the Minneapolis-Saint Paul Metropolitan Airports Commission. In some cases, multipurpose transport authorities which operated other modes of transport also operated airports, such as the Port Authority of New York and New Jersey or Massport in Boston. There were also examples of airports where companies which were publicly owned managed the airports at concession for the central government. For example, the major Italian airports like Venice and Milan were controlled by public shareholdings and perhaps some private shareholdings at concession for long terms, such as 60 years. The concession could cover management of the total airport operations and handling services like Milan and Turin or just some of the operations like terminal management and handling services like Palermo. At French regional airports, the concessions were given to the local chambers of commerce, but national government holding some control over the airfield facilities. For example, at the Zurich airport, the planning and the overall operation of the airport and the airfield infrastructure is controlled by the Zurich Airport Authority, which is owned by the Canton of Zurich, while a mixed public private company, named FIG, managed and constructed the terminal i nfrastructure. Commercialization The publicly owned and strictly controlled airports were historically considered as a public utility for the public service obligations. As a result, the airport industry was not considered as a business dominant industry but a general public service transport system. However, in the 1970s and 1980s the perspective towards airport management changed as the industry grew towards airline privatization and deregulation. Many airports then were considered more of a commercial industry and businesslike management philosophy was adopted. Thus the airport industry around the world took steps towards commercialization with Europe as its leader. However, airports in areas like Africa and South America mostly stuck on to the traditional way and experienced less changes. The coming of commercialization was seen in many different steps. For instance, many independent airport authorities and airport companies with public shareholders were established resulting in less government control over airports. This gave airports more of operational and commercial freedom and also gave private sector investment and partnership more chances. In 1972, the International Airports Authority of India was established to manage Indias four international airports. In 1986, National Airports Authority took control of the domestic airports in the country. These two merged in 1995. In Canada, where the Transport Canada was in direct control of the countrys major airports, passed its airport management completely to individual non-profit-making authorities in a long-term lease in the 1990s. its main reason was to improve its efficiency and integrate it to the local economy. During the commercialization process, airport management was focused upon operational aspects like financial management, non-aeronautical revenue generation and airport marketing. Many airport directors and senior managers were operational specialists. This realization of commercialization resulted in expansion of staff members and operational resources. Also the typical departments for finance, administrations, operations, and so on was replaced with new department or business units like customer needs, passenger and airline services. One of the most significant changes during commercialization was an increased focus on the non-aeronautical revenues and commercial revenues. Aeronautical revenues such as landing and passenger fee from the airlines had been the most important source. In most of the airports, mainly European airports, non-aeronautical revenues overtook aeronautical revenues as the most important source. For example, Amsterdam airport first reported of its higher non-aeronautical revenue when compared to its aeronautical revenue. This was due to large space allocation to commercial retail shops and other non-aeronautical facilities. In the past, it was very difficult to obtain a true indication of an airports financial and economic performance. Often the government would undertake normal public accounting practices specific to its country and would use public sector rather than more standard commercial procedure. This resulted in difficulty in comparing it with the other organizations. In some cases, airports cost and revenues were considered as one item only within the government departments financial accounts. Therefore no specific profits from the airports could be determined. In the 1970s and 1980s, more commercial accounting practices were adopted in most of the airports. This was mainly due to less control in the hands of the government. For example, in 1987, all major airports in the U.K. became public limited companies (plc). This meant that these airports adopted commercial private sector accounting procedures. One example of this was when Geneva airport became an independent authority in 1994, it began to show balance sheets and asset values in its annual accounts, which previously was ignored. Privatization During the 1970s and the 1980s, commercialization took great strides in the growth of airports around the globe. But it was during 1990s when privatization became a reality. But what is actually meant by privatization? In its broadest sense, it usually means the transfer of airport management, and sometimes ownership as well, to the private sector. Privatization of publicly owned airports had many arguments both supporting and against it. Privatization reduces the need of public sector investment and provides access to commercial sectors. It reduces government control and interference enabling the organization to diversify. It may also increase the operational efficiency of the airport, induces competition and payment of incentives for management and employee staff to perform well. There were some developments that took place in the 1970s and 1980s which strengthened the reasons for airport privatization to occur in some countries. For example in North America and Europe, deregulation resulted in the growth of the airports which meant the existing airport capacity could not cope with this growth. Privatization of airports was considered as a means of injecting additional finance into the airport systems to pay for the future investments. In addition to this, public sector funding became very scarce in the modern-day global econ omic climate as government thought of reducing their spending and turned to non-revenue-earning activities like education and health. Privatization also has some adverse effects like it may create a private monopoly which charges extra for same or lesser standards of services, invests inadequately and gives less consideration to externalities like controlling environmental impacts and maintaining social justice. Less favorable employment condition may occur and redundancies may occur. From a point of view, airport privatization can be considered as just an evolutionary development of the aviation industry. Airports evolved from public sector utility to commercial enterprises and privatization can be considered as commercialization taken to its limits. Increased commercialization has brought about good profits and market oriented management. The increase in number of airport privatization around the world has shown us that this method has successfully achieved ways to tackle some problems that could be faced by the airports in the 21st century. However, this in some countries where publicly owned organizations are considered as national or regional assets being transferred to private companies could be a sensitive political issue. It brings fear that the focus would be then shifted to private shareholders and the customer needs will be neglected. Privatization of airports may have different views among different groups and even between the local and national government. As a result, it should not be thought that commercialization always leads to privatization. A good example for this is the Manchester airport, which runs on a very commercial basis, but has no desire to undergo privatization. Types of Privatization Airports are one of the most attractive organizations for investors, for many reasons. Firstly, the aviation industry has a unique growth rate. Many airports, mainly the major airports have less or no competition, from the airports and also from other modes of transports. It is difficult to enter into the airport industry as it requires heavy capital investment and also difficult to find an appropriate and convenient locations where airport development is allowed. However, there are risks also available such as the political interference in the form of airport regulation and control over airport development as there is deregulation and greater collaborations through alliances. According to the document prepared by Carney and Mew in 2003, the types of privatization can be broadly classified into 5 types: Share floatation Trade sale Concession Project finance privatization Management contract The selection of the most appropriate type of privatization for the airports is done by a series of complex decision-making process in which the reasons for privatizing is checked by fulfilling certain conditions. Share Floatation The first type, i.e., the share flotation or Initial Public Offering (IPO), where the airport share capital is issued, and traded on the stock market. The Management or the public owners are given options to acquire shares. In this type, the government or the public owners give up the total or partial ownership according to the shares open, transferring economic control and risks to the new shareholders. Generally this type of privatization has shown positive results with promising economic growth rate and limited competition as the capital investments are too high for the risk to be taken. Even when total privatization occurs, the government has a certain degree of influence by issuing a golden share so that the national interests can be secured in extreme cases. Trade Sale In this type of privatization, some parts of the airport or the total airport is sold to a trade partner or a consortium of investors, through a public tender. The trade sales which took place in the 1990s had strategic partners involved rather than just passive investors. As a result, the managerial and technological expertise was considered while agreeing on a sale. Concession With this type of arrangement, an airport management company or consortium will purchase a concession or lease to operate the privatized airport for a defined period of time, commonly between 20 and 30 years, again usually through a tendering process. Financial terms and the types of lease will vary but typically this option will involve an initial payment and a guaranteed level of investment and/or payment of an annual fee. Hence this tends to be a more complex approach, which has high transactions costs and needs to carefully designed and implemented to ensure that the private contracts achieve the government policy objectives. Project Finance Privatization With this option, a company will usually build or redevelop and then operate an airport or specific facility, such as a terminal, for a certain length of time, typically 20-30 years. This company may be totally private or may be a private-public partnership. At the end of this period, ownership will revert to the government owners. Thus this approach can be viewed as a particular type of concession agreement. Generally such an arrangement will not usually require a large upfront payment but the operating company will bear all the costs of building or re-developing the facility. When it is built, the company will have to cover the operating costs but will also retain most revenues (often after paying an annual fee to the government) until the facility is handed back. Thus, the airport company will take full economic risk for investment and operations. There are a number of project finance privatization methods with the most popular being build-operate-transfer (BOT) when, as the name suggests, the company will build the facility, operate it for a certain length of time and then transfer ownership back to the government. Other similar models include build-transfer (BT), build-rent-transfer (BRT) or design-construct-manage-finance (DCMF). Other options may actually involve the ownership of the facility such as build-own-operate-transfer (BOOT) or rehabilitate-own-transfer (ROT) projects. All these methods, however, are often referred to by the generic term BOT. Management Contract The least radical privatization option is a management contract when ownership remains with the government and the contractors take responsibility for the day-to-day operation of the airport, usually for a period of 5-10 years. The government either pays an annual management fee to the contractor, usually related to the performance of the airport, or the contractor will pay the government a share of its revenues. Normally investment will remain the responsibility of the government owner and so the overall economic risk is shared between the owner and the management company. For the government owner this may be politically more acceptable, whereas for the contractor such an arrangement may be attractive in countries where greater financial exposure, through a trade sale, for example, may be seen as too great a risk. Overview The overall reason for this report is to analyze the effects of ownership change on the economic growth of the industry. The main success of privatization is not by attaining maximum airport profits but by providing quality service with continuously improvising efficiency and maintaining cost of charges. There are a number of lessons that can be learnt from this experience: The cost of capital is found to be too high in the plc privatization model. Efficiency is optimized when the business is outsourced. Performance can be improvised even without ownership change. It is difficult to reach objectives to provide quality, cheap, and safe service simultaneously. Privatization is not a successful option unless customer needs are not kept in priority for the growth and development. Customers have gained some from privatization, in terms of lower prices relative to the public ownership organizations, but not by a lot. Identifying Challenges Vienna International Airport (VIA), Austria Privatization resulted in inadequate investment and high charges for customers. Before privatization, VIE had high costs. The weak economic regulation did not help much to change this providing no incentive to improve efficiency, provide adequate investment, or hold back monopoly profits. This is due to the direct regulation of charges from the government. Due to the classic monopolist behavior, profit margins are restricted. As a result, insufficient incentives are being produced which cannot further pay for the cost-efficient investments for the future of the airport. Zurich Airport (ZRH), Switzerland The independent TRL Charges Index of the top-50 airports worldwide ranks Zurich Airport as the 10th costliest airport in the world. Due to the collapse of Swissair, capacity constraints have emerged at the Zurich Airport. As a result it is the least profitable airport among the top 50 airports. Absence of an independent economic regulation resulted in low incentives for higher efficiency. The airport has switched from single-till to dual-till which resulted in the aeronautical revenue to bear all the cost of aircraft and passenger service. Auckland International Airport (AIA), New Zealand Absence of an effective economic regulation, due to which they charge excessively on their customers for higher incentives. Asset base and operational cost valuation of the AIA is remarkably high due to its dominant market position. Moreover the cost of capital used by AIA also appears to be extremely high. These appear to be the reasons for high base for charges. Sydney International Airport (SYD), Australia Although the service quality is complimented by passengers, airlines are less satisfied and charges are high. The prices rose high in 2001, giving reasons that it would help SYD earn a commercial rate of return. SYD also switched to Dual-till; therefore the aeronautical revenue is only confined to cover the aircraft and passenger service charges. The ACCC, similar to the Competition Commission in the U.K., is not influential enough to encourage SYD to increase their efficiency as there is no incentive-based price cap. Perth Airport (PER), Australia Huge price rise in service charges with no improvement in services or any significant capital investment. Absence of economic regulation, asset evaluation and the use of dual-till; all this result in increase in charges for the customers. Ezeiza International Airport (EZE), Argentina Privatization meant very bad for the customers. High charges for the structure, under-investment and poor quality of service to the customers. Absence of an independent economic regulator has led to very high service charges. It also resulted to a very confrontational relationship between the government, airport operator and the customers. Capacity constraints have been dealt very poorly. Under-investments due to payment of high royalties. No competition between service providers led to high customer charges with low standards of service. Athens International Airport (AIA), Greece Service quality is good to the customers but comes at a very high price. It ranks the 3rd highest charges in the world. No consultation with the airline customers on building of the new airport, therefore high cost and inefficient investment. The rate-of-return economic regulation creates no incentives for improving efficiency and permits monopoly profits. If the profits are not met within one year, then the regulator allows charges to be raised in order to recoup. The AIA also uses the dual-till. This means the aeronautical revenue is confined only to the aircraft charges and passenger charges which should have been also used for the commercial charges. There has been over 20 years since privatization of infrastructure providers started in different industries. Although, considerable rise of amounts had been achieved by privatizing many publicly owned companies fully or partially, general public and customer interest had not been one of the major concerns. From the identified challenges brought into light due to privatization of airports all around the globe, some prominent issues like cost inefficiency, high charges due to no independent economic regulation in existence. The cost of capital is too high under the plc privatization model. There is no improvisation in the efficiency and quality of customer services to cope with low or minimal incentives. The privatization of airports has also brought the issue of capacity, financial and environmental constraints into light. This resulted in potential discrimination between incumbent and new airline companies. Expanding capacity at new major airports require huge amounts of capital, where public sector funding might not be sufficient, therefore private sector investment has to be considered. But for future investments, incentives and service charges have to be rightly considered and revised. Compacting Strategies An efficient economic regulation is necessary to regulate the cost of capital, the asset and resource valuation and to control the service charges according to the quality of service provided. It is also needed to improvise the quality of service provided to airlines and customers according to the incentives. It has to optimize the use of given space capacity, both for aircrafts and passengers. An efficient economic regulation system is appropriate for bringing a balance between the service provided and service charges by setting up a fair and efficient charging system for airports infrastructure. It may encourage private investors to invest and take control of commercial management. It is noticed through history that airports when operated with commercial outlook, the performance, efficiency and financial situation is improved, whether it may be publicly owned or privately owned. Airports governed by national or local governments should be allowed some degree of freedom to run more like a commercial type and unnecessary regulations should be lifted. British Airports Authority (BAA), U.K. Excellent example of how to privatize an airport successfully, by implementing effective economic regulation of assets. Since privatization, the company has diversified. It started managing airports overseas with equal stakes and concentrating on particularly the non-aeronautical revenue generation at the airports. Effective economic regulation has been critical for the success of privatization, which regulated the aeronautical revenue considerably low and maintaining good quality of services. The existence of a Competition Commission has resulted in effective regulation of charges by keeping the customers interest in mind. The price-caps are given a regular check in order to prevent the increase in airport profits in excess of the cost of capital. This avoids inefficient investment which would lead to excessive charging of customer services. Revision of incentives for better services keeps the quality of service good and also in improvisation. If neglected, it would lead to poor quality of service in order to increase airport profits. Single-till is the mode of airport accounts management. In this method, both the aeronautical and non-aeronautical revenues are taken into account during setting the airport charges. Copenhagen Airport (CPH), Denmark Relatively successful privatization with quality service and relatively low airport charges. Effective economic regulation has been critical for the success of this privatization. This controlled the aeronautical revenue relatively low and quality of service high. Improvisation in the efficiency of services was the key to its success since shareholders are also benefitting. The regulation put price-caps by negotiation with the airline customers, if this failed, then incentive based charges are assigned to improve efficiency of the services. Brussels Airport (BRU), Belgium The economic regulation brought customers into reassurance by setting appropriate charges. With respect to the rate-of-return policy, little incentives are produced for cost efficiency improvements to reduce airport charges. Conclusion Privatization brought drastic changes as the ownership changed from public owners like national or local government to private sector ownership. But commercialization is of greater asset than privatization. Increasing the airport profits, expansion of airport capacity and economic growth happens by undertaking commercial type of management. The public owners can increase the revenue generation by liberalization and allowing the airports more degree of freedom. Effective economic regulation is critical for successful privatization as capital investment is high therefore there is less competition for private sector investment. The economic regulation is highly necessary for creating incentives, which would help in improvisation of quality of service and increasing efficiency and would restrain monopolies created by privatization and allow sharing of airport profits with the customers by reducing customer service charges. A regulatory committee in association with the economic regulation could be considered highly beneficial as they would complement each others price-capping by keeping the customers and the airports cost of capital into consideration. For successful privatization, customers should be considered as key stakeholders in the development and expansion. The pricing infrastructure should be set by keeping the customers interest as one of the most important criteria in making capital investments for growth and future development.

Monday, August 19, 2019

UK Gelatin :: essays research papers

UK Gelatin   Ã‚  Ã‚  Ã‚  Ã‚  Bovine Spongiform Encephalopathy, or BSE, is a degenerative disease affecting the central nervous system of cattle causing the brain to appear as a sponge. The cattle then begin acting abnormally and eventually have to be killed. BSE can be transmitted to humans if they consume raw meat from an infected cow or if one consumes the eyeballs, spinal tissue, or the brain. This disease is known as Creutzfeldt-Jakob disease. Another disease similar to BSE, which is found in sheep, is Scrapie. Scrapie has been around for nearly two hundred years. It is presumed that the Scrapie agent jumped species and moved into cattle when sheep offal, leftover parts of butchered animals, were ground up and used as a protein supplement in cattle feed and the subsequently fed to cattle. Gelatin is considered safe for human consumption since its preparation involves a chemical process that destroys BSE infectivity. BSE-infectiousness is also destroyed during cooking and baking. Gelatin is manufactured primarily from the hides of pigs and the bones of cattle. During processing, these source materials are exposed to extremely harsh conditions, including prolonged exposure to highly acid or alkaline solutions. Gelatin is used in a wide variety of consumer and medical products regulated by the FDA. These products range from candies and desserts to vaccines, drugs, medical devices, dietary supplements and cosmetics.   Ã‚  Ã‚  Ã‚  Ã‚  In the unlikely event of any initial contamination of raw material, the gelatin manufacturing process would reduce BSE activity. The steps are as follows one hundred times by degreasing, ten times by acid demineralization, one hundred times by alkaline purification, one hundred times by washing, filtration, and ion exchange, and one hundred times by sterilization. Therefore, the combined effect of the processing stages gives a person a one in one billion chance of contracting BSE. The gelatin production process is efficient enough to remove and or inactivate minimal remaining infectivity. As a safety precaution, the use of UK bovine raw material for the manufacture of gelatin for food, animal feed, pharmaceutical, medical and cosmetic uses is not permitted under certain UK and EU legislation. All UK produced bone gelatin intended for these uses is made from non-UK raw materials. The UK manufacturing sites have to be registered with the Ministry of Agriculture Fisheries and Foods (MAFF) and regular inspections confirm that strict controls are met. These controls include full trace ability of raw materials. Consequently, UK produced bone gelatin can be considered to be the best controlled and monitored of any gelatin produced in the world, providing maximum reassurance to consumers.

Sunday, August 18, 2019

Customer Needs Essay -- Business and Management Studies:

Customer Needs In order to satisfy customers and to gain repeat business, it is essential that Morrisons satisfies their customer’s needs. Morrisons do this by providing the best customer service possible and offering customers with their wants and needs. By providing the best services for customers will align to high profits and a well-known and liked business for Morrisons. This will gain customer loyalty and ensure that they shop repeatedly at Morrisons. The different customer’s needs are: - product information - after sales service - response to queries - range of products - refunds and exchanges - response to complaints - response to orders - signs and advertising. PRODUCT INFORMATION Product information is demanded by customers because they want to gain an awareness of what they are buying. Product information is vital because it informs customers of what products consist of and also how to set up appliances. Product information is important for customers when they purchase electrical appliances. For instance, if a customer was to purchase a TV, they would need information which notifies the customer on how to use the appliance and what this appliance does as well as stating how to connect the TV in the right way and informing what the different buttons on the remote control does. If there is no product information, customers could be distracted because they may become wary to spend their money. Customers demand a bargain and would like to comprehend what they are buying. Product information is vital for a customer when they are purchasing products other than appliances, like food. For instance, if a customer was buying a pie, they would expect to see product information such as, ingredients, methods of cooking or heating and nutrition information. Ingredients are important for all customers because of their preferences, religion, diets and foods that are fit for their consumption. Some consumers may not like apples. Therefore, they would read the ingredients to see whether the pie contains apples because they would not purchase apple pies. Due to religion Muslims and Jewish customers would only eat certain types of foods. Muslims will only halal meat because Islam permits them to only eat this because it has been slaughtered in a special way. Jewish people will only ea... ...SPONSE TO ORDERS Although Morrisons do not provide online shopping, it is likely that they will have to respond to orders. For instance, if a customer wants to buy a Heinz Baked Bean can and they were all out of stock, Morrisons will tell the customer when they will order more cans. The customer expects the order to be placed quickly and will want to see the baked beans in the Morrisons store quickly and within the time scale Morrisons had informed. SIGNS AND ADVERTISING Morrisons advertise on television, billboards, leaflets through the post and in shop windows. They make customers aware of the products they offer and highlight what the bargains are e.g. buy one get one free. Around the Morrisons store there are signs indicating where products can be found which makes it easier for customers to shop. Hanging from the ceiling and are clearly visible are signs that informs shoppers of the different sections e.g. groceries, health & beauty and home & leisure. Under the names of the different sections are headings e.g. tinned foods, baby products and videos. This is so that customers know there way around the store and can quickly and easily locate products.

Saturday, August 17, 2019

Culture and disease Essay

Diabetes is a common chronic disease whereby blood glucose or sugar levels in the blood are too high. Glucose mainly comes from foods that are consumed and by the help of insulin hormone they can get into the body cells to provide energy. Diabetes is classified into two types whereby in type 1 diabetes the body is unable to produce insulin whereby with type two the body does not make insulin or use it well in the body. Therefore, when body lacks enough insulin to convert sugar into energy, the sugars stay in the blood and this leads to the disease condition of diabetes. The two common types of diabetes are type 1 and type II diabetes. The condition mainly affects the old people due to lack of exercise and poor eating habits. Within the Italian community, the most common condition presented is diabetes mellitus but unlike other places in Italy it affects children between the ages of 0-14. Diabetes mellitus occurs when the pancreases is not capable of producing enough insulin which is meant for converting sugar into energy. When the cells are not responding well to the insulin which is produced a disease condition can arise. This leads to lack of absorption of glucose into the cell of the body and therefore high levels of glucose are found in blood. The disease manifest itself in different symptoms such as frequent urination, leathery weigh loss, hunger and excessive thirst. The disease can be controlled by exercising regularly and eating well balanced diet and avoiding a lot of sugary meals. Condition can be treated by administration of insulin so as to convert the excess sugar in the blood to energy so that it can be utilized by the body cell. This condition in severe state it can cause renal failure, heart disease, blindness, and stroke or limb amputation. There is quite a high prevalence rate of diabetes in Italy which is about 3-4% of its population and it increases with age. Most of them have type II which is diabetes mellitus and it occurs mainly at the onset of adulthood. Agent or causative agent of diabetes mellitus in Italy and elsewhere are not known since the disease occurs when the body can not produce insulin properly. Type I mainly occurs in young people whereby islet of langerharn cells stops producing insulin completely. In the report by John (2002), diabetes can also arise as a result of auto immune problem whereby the body turns against its own cells thus damaging them and rendering important processes to take place. Type II mainly affects the old people but it’s also gaining roots in younger generation due to lifestyle i. e. As a result of poor diet and sedentary lifestyle. In this type, the body is unable to utilize insulin in converting blood glucose levels to energy. Other causes of diabetes includes:- – Obesity- This mainly occurs as a result of metabolic syndrome. It occurs as a result of extra energy. – Diabetes can also be caused by excessive chronic stress due to excessive utilization of thoughts. Therefore, the best way to overcome all these causes is by living a healthy lifestyle exercising regularly and being cautious on what you are eating. Diabetes mellitus can also result due to hereditary factor whereby the disease is passed through the generation on families. It can also result due to the environmental factors of the surrounding. In genetic diabetes, these individuals have a common genetic marker Type I can occur as a result of vital infection or other microorganism which damages the islet of langerharns cells in the pancreas. Type II is mainly associated with old age, obesity and genetic factors. Italian population is said to be more vulnerable to diabetes than the rest of the European countries. This is much contributed by their lifestyle and the diet they utilize. One thing in Italy is that almost half of its population are said to be overweight and they are clinically tested and proved to be obese. Obese is one of the factors that caused diabetes. Their stare of obese prevents them from working and living normal life due to the bulkiness of their bodies. Failure to work and live normal life hindered them from obtaining financial help from state to help them fight the condition. There state of obesity is also contributed by their diet since they mainly consume fatty foods which are rich in carbohydrates and therefore they end up accumulating a lot of energy which is not utilized in their bodies leading to obesity (James, Kelly, 2007) [PR] There are quite a number of environmental factors which contributes to diabetes. One major environmental cause of diabetes is persistence organic pollution in the environment and insulin resistance. Around 1940, Italian was quite persistent in the use of DDP pesticide which was quite dangerous to crops for consumption and also human. Even after it was banned it remained in the environment causing more harm to human. They slowly biodegrade and finally enter into the food chain which is finally consumed by human. Therefore, high levels of persistence organic pollutants cause types II diabetes. Environmental contaminant which mainly causes diabetes acts through estrogen receptors which results to disruption of endocrine by the chemicals which are incorporated in pollutants. Due to the industrial activities of Italy these pollutants are quite many within the environment and have resulted to diabetes type II since they hinder utilization of insulin by the cells. The mode of transmission of diabetes underlies some of difference in concordance rate. In Italy one of the major transmission modes is through genetic transmission which is mainly from substantial differences in preference rate of the disease which is mostly present in the same ethnic group and to those people who are under similar environmental burden. Apart from genetic transmission, diabetes can posses the mode of inherited transmission. This is also genetically connected whereby phenotype and pathophysiological levels indicates that genetic compounds are likely to be heterogeneous. Different mode of transmission of diabetes can be evidenced in discrete families and it can act as an overall mode of inheritance. Therefore, diabetes is mainly transmitted through genetic since it’s a hereditary disorder and can be passed from one generation to another within the same family (altha, Edgren, 2007) [PR]. There are quite a number of control methods which are used to control diabetes in Italy. These modes of control can be used to minimize the risk of infection in most prone areas of Italy. The first main control measure is by ensuring that the right diet is consumed foods with high energy context should be avoided such as consumption of a lot of carbohydrates in diet, sugary things, snacks fatty foods, potatoes and other meals which have a lot of energy. These foods can lead to obesity which is one of the major causes of diabetes. Therefore if they are avoided the risk of one being obese is reduced which consequently reduce the prevalence rate of acquiring diabetes. Another control measure which needs to be taken into account and which is less practiced in Italy is exercising regularly. Regular exercise helps to burn excess fats and energy which makes one’s body physically fit. In Italy due to most of the people being overweight they do not exercise regularly and this makes their bodies to retain a lot of energy and therefore they become prone to infection. Regular exercise therefore can be used as a control measure in preventing diabetes among the Italians. Exercising healthy lifestyles is also another thing that can help in the control of diabetes this is mostly encouraged in those families who have a life history of diabetes since by doing so they minimize the risks of inheriting disease from their relatives. Government of Italy can also come in to ensure that the danger posed to its citizens of acquitting diabetes as a result of harmful environmental effects like the use of DDP. Therefore, government should ban the use of such chemicals which are harmful to human life and also to ecosystem at large. The main treatment methods used for curing and maintaining diabetes at minimum are change in diet, administration of oral medicine, and in other cases daily injection or insulin or Byetta are mainly used to improve insulin concentration in the blood so that it can convert excess glucose in the blood to energy so that it can be utilized by the cells. Apart from these medicines in most of the routine hospitals in Italy they use acarbose and metform which are known to reduce the disease prevalence in the country by increasing the levels of insulin in the blood. They also use sulfonylurea and combination of different drugs in treating diabetes. These form of treatment resulted to different complication among those who were treated. These complications ranged from mild to severe complications such as diabetic retinopathy, diabetic neuropathy, coronary artery disease, and nephropathy and obstatic arteriopathy of lower limbs. This showed that the medication had vast adverse effect on the health of patient which did not cure the disease but brought about more complication to patients. In determining the social and cultural influences of diabetes in Italy, anthropological methodology was employed which signified that:- – They came up with ways of breaking the social network providing support of young people and this contrasted greatly with the ideas of health cares that held conferences, meeting and social support networks. – Diabetes patients were excluded at any age without minding about their development they were categorized by age and not individual ability and preference. – People were encouraged to take care of themselves at an early age which ensured that they were separated from the family and peer. According to Italian population, they considered the type of treatment offered inconvenient and mostly since it was associated with so many side effects to most of the patient who treatment was administered to and acted well on a very small percentage of patients. Therefore, patients in Italy do not believe that there is effective medication for diabetes and hence they opt for just natural ways of curing the diseases i. e. by use of diet exercising. Therefore since statistics shows that there is quite high prevalence rate of diabetes in Italy as a result of poor diet and lack of exercise. The country need to come up with ways of minimizing this incidence rate since their treatment methods are not quite effective and they end up causing move harm to patients. Reference: Altha Robert, Edgren Ken R, (2007), The Gale Encyclopedia of Medicine, (vol 5) Jacqueline L. Longe Ed 3 Detroit, Gale on line update. Anne Dornhorst Gary Frost, Robert Mosses, (2003), Nutritional Management of Diabetes Mellitus, New York: John Willey and Son. James Enger, Kelly, (July-August 2007), Dangerous diabetes obesity connections on How to reduce your Risks now, ‘’vibrant life’’: 6-11.