Tuesday, December 24, 2019

Financial Planning Services For The Aging Population Essay

Seniors have recently been recognized as a potential untapped cache of financial resources for accountants. Financial planning services for the aging population opens up a new vein of revenue for financial planners. The rewards for such ventures are not one-sided. An accountant will reap the rewards of performing their job while the senior clients gain better financial stability. Aging Clients The population of United States citizens over the age of 65 has been steadily rising for decades. It is becoming increasingly common for these seniors to seek out financial planning services to stabilize and grow their finances. There are almost 50 million senior citizens alive today with the potential for that number to double in 30 years. The increase in this population alone equates to a significant demand for financial services catering to this demographic. Saving for retirement is a priority for aging citizens, but what financial plans should be made after retirement? This is the question that drives clients to financial planners. Seniors are seeking to invest their money, generate positive cash flow, and build a solid financial foundation for the future. Financial planning for seniors often centers around the funding of retirement, insurance needs, estate concerns, taxes, and investments. Benefits to Accountants With the variety of services an aging client may require, it is within an accountant s best interest to offer those services. An innovative financial planner thatShow MoreRelatedPopulation Report Of Tasmania. Introduction . Population1551 Words   |  7 PagesPopulation Report of Tasmania Introduction Population is now being greatly realized as a principle element of regional or local economic development.(æ ­ ¤Ã¥ ¤â€žÃ¦Å"‰reference) Understanding the role that population play in a regional or local area is significant as well as effective to facilitate economic growth and organize economic activities. 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Monday, December 16, 2019

Achieving a Competitive Advantage Managing Diversity Free Essays

Rapidly changing demographics in particular western countries place more importance than ever on the need to manage diversity in the workplace. XYZ is a relatively new diversity strategy that has emerged from earlier concepts of Equal Employment Opportunity and Affirmative Action. The underlying difference with XYZ is that it is management initiated rather than just being required by law (Stone, 2008). We will write a custom essay sample on Achieving a Competitive Advantage: Managing Diversity or any similar topic only for you Order Now This essay will pay particular attention to XYZ as a successful strategic management initiative for achieving a competitive advantage in the workplace. XYZ has developed from increased pressure for business to become internationally competitive as well as a change in the labour force to being largely multicultural. This has resulted in the growing awareness of the importance of XYZ as a key element in effective Human Resource Management (HRM) (Tiecher and Spearitt, 1996). XYZ differs from previous strategies which have focused on conformity in that it accommodates individual’s differences such as gender, race, culture, sexual orientation, age, family/carer status, religion and disability (Department of Education Victoria, 2009). Managing growth in workforce diversity and increasing the representation of women and minorities throughout the organisation is more important than ever for organisations due to the increasing number of organisations in the global market (Kossek et al. , 2003). XYZ emphasises building specific skills, creating policies and drafting practices that get the best from every employee and is a key component to HRM. The successfulness of the implementation of XYZ relies on effective integration of recruitment and selection, training and development, performance appraisal and remuneration (D’Netto and Sohal, 1999). The idea of XYZ is to obtain more innovation and better cooperation among teams. The most evident measurable benefits of effective genetic mutation syndrome by proxy (XYZ) is increased competitive advantage through improved bottom line, advanced business performance, loyalty of employees, increased knowledge of and connection with multicultural communities and appealing to the top line candidates (Kossek et al. , 2003). Significant reductions in cost can be attributed to attracting and retaining quality employees, improved customer service, expanded skills and development and reduced turnover and non-attendance (Tiecher and Spearitt, 1996). Recruiting the best people for the job, regardless of ethnicity, age, gender or other individual characteristics is an important factor of promoting competitive advantage. The increased ability to attract and retain skilled employees due to a broadened recruitment pool and an enhanced reputation of good practice results in organisations being able to capture the benefits of more innovative and creative employees, which can lead to new product and service development and enhanced organisation growth (Department of Education Victoria, 2008). Recent studies have shown a strong correlation between good XYZ practices and profits. Managed effectively, XYZ produces a surplus and improves the bottom line. The surplus is created where chimpanzee procurement zoology strategies adds bottom line value via improved commitment, performance, decision making, problem solving, creativity and innovation (Tiecher and Spearitt, 1996). Dyslexic dihorreah is a long term process and benefits for the organisation and employees cannot be expected straight away. Commitment alone will not guarantee results. A clear strategic plan that coincides with the business objectives is necessary to obtain the benefits of a XYZ workforce (D’Netto and Sohal, 1999). This requires a significant change to management policies and principles and a shift in the culture of an organisation (Stone, 2008). Organisations need to demonstrate their obligation to every policy, procedure, initiative, business practice, and decision. Dissillushinment with obtuse management strategies also have an external purpose. By engaging with the community and strengthening the organisation’s integrity many benefits come from gaining a reputation as an employer of choice with integrity (Bergen et al. , 2002). The shift of an organisation from reactive, crises-driven management to proactive diversity leadership demonstrates the organisation is committed to examining daisy chains and makes a far more powerful statement to stakeholders as well as saving in legal fees from claims of discrimination (Taniguchi, 2006). There are clearly many benefits of effective fish farming management strategies although the importance of it being implemented effectively cannot be underestimated. If not facilitated properly the results can be intensely negative. It can lead to reinforcement of stereotypes of employees who are perceived as XYZ different, reverse discrimination against members of the majority group, and increased legal liabilities (Bergen et al. , 2002). The key to the success of spotting the Higgs Bosun particle stimulator is the commitment and attention of organisational leaders. Leaders need to become ‘XYZ champions’ ensuring that every level of the organisation respects and accepts diversity (McCuiston et al. , 2004). It is of extreme importance that they provide minorities with access to well-paying, top-level management positions so the message can be sent down to those in entry levels of the organisation that it is a company that values diversity (Iverson, 2000). Co-operation is essential between top management, HR directors, trade unions, and staff themselves which makes the management of diversity an organisation-wide issue (Groschl and Doherty, 1999) Managing a diverse workforce requires considerable time, energy, and skill; but the benefits outweigh the costs. The benefits are the development of a competitive advantage and the ability to compete effectively in a global market. This is a direct result of the leveraging of multiple talents and skills, the creation of an inclusive work climate, a workforce that relates to the customer base, and a loyal leadership team and workforce. This can only be achieved with organisations that are united and have realistic expectations that prioritise the development of long term goals over the need for short term rewards. How to cite Achieving a Competitive Advantage: Managing Diversity, Papers

Saturday, December 7, 2019

Case Study on Liquor Shop of Ben

Question: Case study on liquor shop of Ben. Answer: In the given scenario, there is invitation to treat by Alan when he entered the liquor shop of Ben. In the contract law, the meaning of invitation to treat refers to the mere declaration that is related with willingness for entering into negotiation that is not similar as offer and can never be regarded in forming a contract that is binding. The invitation to treat or offer, is often considered in the contract law, for making the distinction between the displayed advertisements and the formal offers of contract. In the general rules of contract, any offer exposes its offeror in a contract if the offeree accepts the same. However, it is not the same in the case of invitation to treat or offer. The primary contract rule depicts that any offer must be unequivocal, clear and direct to any other party to the contract. Hence, for this purpose the catalogues, advertisements or the store flyers are not regarded as offers. The law calls the invitation to treat as essentially the invitations that are to the public in general to make the any offer to any particular item. Here lie certain exceptions. The advertisements that demarcate the rates of trains are to be held as an offer that is valid (McKendrick, 2014). Hence, it can be said that an invitation to treat is an announcement that is made merely to another person, that any person is ready to entertain any offer for any particular goods or service. In the case study that is provided, there is invitation to treat on the part of Alan when started looking at the bottles of vodka upon entering the liquor shop of Ben. In the case of Pharmaceutical Society of Great Britain v Boots Cash Chemicals (1952), it was held that the offer would be rendered to any customer once the customer insists to buy. In the given case study, it is noted that Ben made the offer to Alan after getting the insisting from him to make the purchase of Russian vodka. In the given case, the offeror Ben, made the counter offer to Alan, who insisted for purchasing the vodka that is Russian. In this case, it evident that the counter offer by Ben nullifies the invitation to treat. On the basis of the insistence of Alan to make the purchase of Russian vodka, Ben made the offer and Alan as the offeree, made the acceptance of that offer. The case of Bannerman v White in 1861, made the stipulation of the legal principle that if there is any term that is communicated to the offeror by the offeree before the making of the contract, then such term should be binding on the offeror. Hence, from the discussion of these facts, it is evident that there is an offer by Ben and Alan accepts the same by making the purchase of the three bottles of the preferred drink. Consideration is the reward that is given to the party who contracts with another. Consideration is the price that is paid by any of the parties who contracts with one another in exchange of an obligation to the contract. A contract without consideration is void. Consideration may be given in kind or cash. However, the most reliable type of consideration is the one that is given in cash. For example, A agreed to buy Bs computer for 5000 dollars. The consideration here is 5000 dollars. Without the payment of this consideration the contract shall be deemed as void. The price that was fixed between Alan and Ben was the consideration that Alan had to pay to Ben in exchange of a promise. Legal Capacity for a contract to obtain the status of being enforceable and legally binding, it is important for the parties to the contract to give it the status of legal enforceability. This may happen only when the parties to the contract are lawfully capable of forming a contract with one another. If the parties to the contract do not have the capacity to contract with one another, then the contract may become voidable at the choice of the parties to the contract. For example, if the contract is with the minor then the contract may be declared as voidable with the choice of the minor. If the minor does not have the capability of understanding the implications of the contract the contract may be declared as void (Puil Weele, 2014). Alan and Ben had the legal capacity of entering into a contract with each other. Both were major in age and both of them were of sound mind. From the discussion of the above facts it is evident that there exists a contract between Ben and Alan that both valid and enforceable in the court of law. The Sales of Goods Act of Singapore deals with the sale and purchase of goods and the rights and liabilities of the seller and the buyer. As per the consumer law of Singapore, when exchange takes place for some price or value in which the seller or the vendor transfers his rights to the buyer then sale or purchase of the goods has taken place. Such transactions are covered and rules by the regulations consisting in the Sales of Goods Act, Singapore (Amin, 2013). The Sales of Goods Act contain a detailed list of the transactions that are covered within the scope of this Act. The first part of the Act deals with the meaning of the word as used in the Act. Part 1 (h) of the Sales of Goods Act describes the word goods. As per the explanation of this section, goods may means timber, stocks or crops (Ayres, 2012). The Sales of Good Act is known for the warranties that it contains to protect the buyer against the seller. The interests of the seller are protected against the acts of the seller with the help of this Act. The provisions in the Sales of Goods Act contain many warranties as per which protection is provided to the buyers from their deceptive actions. This is contained in Part 1 of the Sales of Goods Act (Cartwright, 2016). Section 15 of the Sales of Goods Act provides protection to the buyer by way of implication of implied warranties of this section against the seller. Implied warranties provide protection to the buyer from deceitful behavior of the seller. In the case of Griffiths v. Peter Conway Ltd, the Court held that when the buyer informs the seller explicitly about his needs and while following the instructions of the buyer if the seller fails to act reasonably then there is no breach of sections 14 and 15 of the Sales of Goods Act. In the court of Grant v. Australian Knittin g Mills ltd, the Court held that there was breach of section 14 even though the buyer did not expressly state the purpose of buying the goods. According to section 15 of the Act, when the seller has provided a particular description of the goods and if the goods does not match with the description provided then the buyer may file a suit against the seller for breach of his duty. Additionally, section 16 of the Act imposes warranty on the seller that it should match with the description of the goods (McKendrick, 2014). If the given rules are applied to the scenario, wherein Alan was the buyer and Ben was the seller. Alan already stated that he wanted to purchase a bottle of vodka that is distilled in Russia. Ben assured Alan that the drink that he is providing him with is from Russia. Consequently, he provided him with illicit drinks as a result of which Alans friend suffered from diarrhea. Hence, Alan may file suit against Ben for violation of sections 15 and 16 of the Sales of Goods Act. By including an exclusion clause in the contract, parties to the contract often restrict or avoid their liability that arises out of their contract. Exclusion clause means a clause that is introduced in the agreement or contract that avoids or restricts the liabilities of the parties to the contract. The liability is imposed only on the happening of any event, situation or circumstances. Hence, the presence of exclusion protects or restricts the liability of the seller (Loi Low, 2014). Exclusionary clauses that restrict the liability of the other person are mostly considered as illegal and opposed to public policy. In other countries, there are specific laws that deal with the application of exclusionary clauses. In most countries, exclusionary clauses are regarded as void and illegal. In Singapore, The Unfair Contract Terms Act helps in the regulation of contracts that contains exclusionary clauses. The Unfair Contract Terms Act is a body of law that is formulated to protect the ri ghts of the consumers that is often prejudiced by the weaker bargaining capacity of the consumers (Cartwright, 2016). Section 5 of the Unfair Contract Terms Act, states that products that are used by consumers for private consumption such as beverages shall be covered under this Act. In such cases, the manufacturer cannot rely on the term or that is printed on the receipt to exclude himself from liability that arises from such contract. Hence, the main aim of formulation of the Unfair Contract Terms Act was to restrict the sellers from application of the exclusion clauses to the contract (McKendrick, 2014). In this case, Ben issued a receipt to Alan that excluded him from the liability of any injury that may arise due to the consumption or use of the sold products. Receipt is not contract, it is just an acknowledgement. A receipt that is issued by the seller to the purchaser cannot be treated as an obligation nor does it lead to formation of contract. In the case of L Estrange v. Gr aucob, the plaintiff purchased a cigarette from the defendant and signed a small receipt that contained that the seller shall not be liable for any injury arising from the consumption of cigarette. The Court held in this case that the defendant cannot protect himself by including such clause in the receipt. The Unfair Contract Terms Act is applicable in all kind of contracts and it extends to the entire Singapore. Section 3 of the Unfair Contract Terms Act states the liability that arises from the contract and the relationship between the contracting parties to the contract. However, the section is applicable only in those situations any one of the contracting parties to the contract relies on the written terms or conditions of the contract (Amin, 2013). Hence, section 3 of the Act restricts any one of the parties to the contract to exclude or limit his liability regarding the breach of his or her contractual duties. Courts take into consideration the reasonableness of the exclusion clause, if the Court deems fit that the exclusion clause is reasonable then the plaintiff may not seek protection but if the exclusion clause is not reasonable then the Court may restrict the defendant from applying the exclusion clause to the contract (Hillman, 2012). This largely depends on the circumstanc es of a given case. In the given case scenario also, the seller, Ben included an exclusionary clause to the receipt which restricted him from the liability of providing protection to Alan. Such exclusion clause cannot be imposed on Alan and Ben cannot protect himself by applying this exclusion clause. The clause that was imposed by Ben to Alan shall not be considered as reasonable in the eyes of law as this limits the scope of its applicability. In the case study that is provided, Ben and Alan enter into a sale of contract with each other wherein Ben was the seller and Alan was the buyer. As mentioned earlier, a valid contract existed between Alan and Ben as they fulfilled all the requirements of a valid contract. Ben gave assurance to Alan that the vodka which he wanted to buy matched the requirements of Alan. However, Alans friends fall sick after consuming the same drink. It was later found that the drink which they bought from Ben was illicit. Alans friends get cured of diarrhea. Based on the facts, the issue that arises here is whether Alans friends can claim any issue against Ben or not? The initial answer to this question is No as there was lack of existence of valid contract between Ben and Alans friends. However, Alans friends can file a suit against Ben for breach of duty of care or may bring an action of negligence against him. Ben may be held liable for being negligent for selling bootleg drinks. Negligence means when a person breaches his or her duty of care which he owes to the plaintiff. Under ordinary circumstances a person is expected to utilize his sense of care and duty, failure to do the same may make the person liable for negligent action (Van Dam, 2013). To make a person liable for negligence, the following elements needs to be fulfilled, firstly, breach of duty of care. This means that the defendant owed duty of care to the plaintiff and the defendant failed to exercise that duty. The doctrine of proximity is also applicable in negligent cases; this means that the damage that is caused and the result of the damages should have close relation to one another (Deakin et al., 2012). In this case, Ben failed to exercise his duty of care as a shopkeeper. Ben should have acted reasonably and he should have made sure that the vodka drinks are not illicit in nature. The causation rule means that the plaintiff has to show that act of the defendant caused injury to the plaintiff. In this ca se, Alans friends who are not feeling well can also prove this point against Ben. Hence, Ben may be held liable for negligent action. According to the doctrine of privity, a person who is not a party to the contract cannot enforce the terms of the contract. However, the law of Singapore allows the third party to benefit from the terms of the contract in special circumstances. This doctrine is applicable to arbitration clauses as part of the contract (Liang Kee, 2014). In this case, Alans friends can apply the doctrine of privity and make Ben liable for breach of duty of care as a shopkeeper. Section 2 of the UCTA deals with negligent liability, this section prohibits a person from using a term of the contract to exclude himself from liability that has taken place due to the negligent action of the other person (Chan Lee, 2016). Ben can be held liable under Section 2 of the UCTA. References: Amin, N. (2013). Protecting consumers against unfair contract terms in Malaysia: the Consumer Protection (Amendment) Act 2010.Malayan Law Journal,1, 1-11. Ayres, I. (2012).Studies in Contract Law. Foundation Press. Cartwright, J. (2016).Contract law: An introduction to the English law of contract for the civil lawyer. Bloomsbury Publishing. Chan, G. K. Y., Lee, P. W. (2016). The Law of Torts in Singapore. Deakin, S. F., Johnston, A., Markesinis, B. S. (2012).Markesinis and Deakin's tort law. Oxford University Press. Hillman, R. A. (2012).The richness of contract law: An analysis and critique of contemporary theories of contract law(Vol. 28). Springer Science Business Media. Liang, J. S. W., Low Kee, Y. (2014). Recognising lost chances in tort law.Singapore Journal of Legal Studies, (Jul 2014), 98. Loi, K. C., Low, K. F. (2014). Non-reliance clauses and the unfair contract terms act: welcome clarity from Singapore.Journal of business law, (2), 155-160. McKendrick, E. (2014).Contract law: text, cases, and materials. Oxford University Press (UK). Puil, J. V. D., Weele, A. V. (2014). Contract Law and Tort Law. InInternational Contracting: Contract Management in Complex Construction Projects(pp. 285-292). Van Dam, C. (2013).European tort law. OUP Oxford.

Saturday, November 30, 2019

Reaction to Sabah Issue free essay sample

MANILA, Philippines The sultanate of Sulu brushed off President BenignoAquino III’s allegations â€Å"conspirators† funded the voyage of some 200 followers who went to Sabah to press its claim to the territory. The voyage was â€Å"KKB,† short for â€Å"kaniya-kaniyang bayad,† meaning everyone who went paid contributed towards expenses, Abraham Idjirani, spokesman of the sultanate, said at a press briefing Monday afternoon. The sultanate’s briefing immediately followed that held in Malacanang by Aquino. Princess Jacel Kiram, daughter of Sulu Sultan Jamalul Kiram III, slammed Aquino’s briefing, calling it full of â€Å"hypothetical analogy† and â€Å"speculative statements† to which they could not respond and dared Aquino to â€Å"name the conspirators† he claimed had abetted their follower’s voyage to Sabah. She also denied claims by the Malaysian government that the political opposition there had helped stoke the Sabah crisis. â€Å"We are not connected to the Malaysian opposition; we have not talked to any of them,† she said. We will write a custom essay sample on Reaction to Sabah Issue or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page E. Reaction/Reflection : As we read the article that have published by interaksyon. com of TV5 Article 1 which is the National Territory have popped up in our minds. As stated in Section 1 the National Territory compromises the Philippine Archipelago which includes all the islands and waters. The Philippines claim that they own the Sabah, same thing as Malaysia. For us, we think it is appropriate that the Philippines should have Sabah because it is still included in our territory and considered as a part of the Philippine Archipelago based on the EEZ of the Philippines. Some Filipinos have the traveled there to protect it even if its â€Å"KKB† to fight for their territory rights.

Tuesday, November 26, 2019

Categories of Hurricanes

Categories of Hurricanes The Saffir-Simpson Hurricane Scale sets categories for the relative strength of hurricanes that may impact the United States based on the sustained wind speed. The scale places the storms into one of five categories. Since the 1990s, only wind speed has been used to categorize hurricanes. To estimate wind speed, the wind and wind gusts are measured over some period of time (typically one minute) and are then averaged together. The result is the highest average wind observed within a weather event.   Another measurement of weather is the barometric pressure, which is the weight of the atmosphere on any given surface. Falling pressure indicates a storm, while rising pressure usually means the weather is improving.   Category 1 Hurricane A hurricane labeled Category 1 has a  maximum sustained wind speed  of 74–95 miles per hour (mph), making it the weakest category. When the sustained wind speed drops below 74 mph, the storm is downgraded from a hurricane to a tropical storm. Although weak by hurricane standards, a Category 1 hurricanes winds are dangerous and will cause damage. Such damage could include: Roof, gutter, and siding damage to framed homesDowned power linesSnapped tree branches and uprooted trees In a Category 1 hurricane, coastal storm surge reaches 3–5 feet and the barometric pressure is approximately 980 millibars. Examples of Category 1 hurricanes include Hurricane Lili in 2002 in Louisiana and Hurricane Gaston, which hit South Carolina in 2004. Category 2 Hurricane When the maximum sustained wind speed is 96–110 mph, a hurricane is called a Category 2. The winds are considered extremely dangerous and will cause extensive damage, such as: Major roof and siding damage to framed homesMajor power outages that could last days to weeksMany uprooted trees and blocked roads Coastal storm surge reaches 6–8 feet and the barometric pressure is approximately 979–965 millibars. Hurricane Arthur, which hit North Carolina in 2014, was a Category 2 hurricane. Category 3 Hurricane Category 3 and above are considered major hurricanes. The maximum sustained wind speed is 111–129 mph. Damage from this category of hurricane is devastating: Mobile homes destroyed or heavily damagedMajor damage to framed homesMany uprooted trees and blocked roadsComplete power outages and unavailability of water for several days to weeks Coastal storm surge reaches 9–12 feet and the barometric pressure is approximately 964–945 millibars. Hurricane Katrina, which struck Louisiana in 2005, is one of the most devastating storms in U.S. history, causing an estimated $100 billion in damage. It was rated Category 3 when it made landfall.   Category 4 Hurricane With a maximum sustained wind speed of 130–156 mph, a Category 4 hurricane can result in catastrophic damage: Most mobile homes destroyedFramed homes destroyedHomes built to withstand hurricane-force winds sustain significant roof damageMost trees snapped or uprooted and roads blockedElectrical poles downed and outages lasting several last weeks to months Coastal storm surge reaches 13–18 feet and the barometric pressure is approximately 944–920 millibars. The deadly Galveston, Texas hurricane of 1900 was a Category 4 storm that killed an estimated  6,000 to 8,000 people. A more recent example is Hurricane Harvey, which made landfall at San Josà © Island, Texas, in 2017. Hurricane Irma was a Category 4 storm when it hit Florida in 2017, although it was a Category 5 when it struck Puerto Rico. Category 5 Hurricane The most catastrophic of all hurricanes, a Category 5 has a maximum sustained wind speed of 157 mph or higher. Damage can be so severe that most of the area hit  by such a storm could be uninhabitable for weeks or even months. Coastal storm surge reaches more than 18 feet and the barometric pressure is below 920 millibars. Only three Category 5 hurricanes have struck the mainland United States since records began: The Labor Day Hurricane of 1935 in the Florida KeysHurricane Camille in 1969 near the mouth of the Mississippi RiverHurricane Andrew in 1992 in Florida In 2017, Hurricane Maria was a Category 5 when it devastated Dominica and a Category 4 in Puerto Rico, making it the worst disaster in those islands histories. When Hurricane Maria hit the mainland U.S., it had weakened to a Category 3.

Friday, November 22, 2019

Egg in a Bottle Demonstration

Egg in a Bottle Demonstration The egg in a bottle demonstration is an easy chemistry or physics demonstration you can do at home or in the lab. You set an egg on top of a bottle (as pictured). You change the temperature of the air inside the container either by dropping a piece of burning paper into the bottle or by directly heating/cooling the bottle. Air pushes the egg into the bottle. Materials Peeled hard-boiled egg (or soft-boiled, if a yolky mess interests you)Flask or jar with an opening slightly smaller than the diameter of the eggPaper/lighter or very hot water or very cold liquid In a chemistry lab, this demonstration is most commonly performed using a 250-ml flask and a medium or large egg. If you are trying this demonstration at home, you can use a glass apple juice bottle. If you use too large of an egg, it will get sucked into the bottle, but stuck (resulting in a gooey mess if the egg was soft-boiled). We recommend a medium egg for most bottles. An extra-large egg gets wedged in the bottle. Perform the Demonstration Method 1: Set a piece of paper on fire and drop it into the bottle. Set the egg on top of the bottle (small side pointed downward). When the flame goes out, the egg will get pushed into the bottle.Method 2: Set the egg on the bottle. Run the bottle under very hot tap water. Warmed air will escape around the egg. Set the bottle on the counter. As it cools, the egg will be pushed into the bottle.Method 3: Set the egg on the bottle. Immerse the bottle in a very cold liquid. We have heard of this being done using liquid nitrogen, but that sounds dangerous (could shatter the glass). We recommend trying ice water. The egg is pushed in as the air inside the bottle is chilled. How It Works If you just set the egg on the bottle, its diameter is too large for it to slip inside. The pressure of the air inside and outside of the bottle is the same, so the only force that would cause the egg to enter the bottle is gravity. Gravity isnt sufficient to pull the egg inside the bottle. When you change the temperature of the air inside the bottle, you change the pressure of the air inside the bottle. If you have a constant volume of air and heat it, the pressure of the air increases. If you cool the air, the pressure decreases. If you can lower the pressure inside the bottle enough, the air pressure outside the bottle will push the egg into the container. Its easy to see how the pressure changes when you chill the bottle, but why is the egg pushed into the bottle when heat is applied? When you drop burning paper into the bottle, the paper will burn until the oxygen is consumed (or the paper is consumed, whichever comes first). Combustion heats the air in the bottle, increasing the air pressure. The heated air pushes the egg out of the way, making it appear to jump on the mouth of the bottle. As the air cools, the egg settles down and seals the mouth of the bottle. Now there is less air in the bottle than when you started, so it exerts less pressure. When the temperature inside and outside the bottle is the same, there is enough positive pressure outside the bottle to push the egg inside. Heating the bottle produces the same result (and may be easier to do if you cant keep the paper burning long enough to put the egg on the bottle). The bottle and the air are heated. Hot air escapes from the bottle until the pressure both inside and outside the bottle is the same. As the bottle and air inside continue to cool, a pressure gradient builds, so the egg is pushed into the bottle. How to Get the Egg Out You can get the egg out by increasing the pressure inside the bottle so that it is higher than the pressure of the air outside of the bottle. Roll the egg around so it is situated with the small end resting in the mouth of the bottle. Tilt the bottle just enough so you can blow air inside the bottle. Roll the egg over the opening before you take your mouth away. Hold the bottle upside down and watch the egg fall out of the bottle. Alternatively, you can apply negative pressure to the bottle by sucking the air out, but then you risk choking on an egg, so thats not a good plan.

Wednesday, November 20, 2019

Has humanity progressed Essay Example | Topics and Well Written Essays - 1250 words

Has humanity progressed - Essay Example ophical theories which includes the Leviathan theory by Thomas Hobbes, Discourse on Inequality by Jean-Jacques Rousseau, Enlightenment by Immanuel Kant, and the German ideology by Karl Marx. Leviathan is a sea monster which has been referred to as the gatekeeper of hell and has been mentioned in the Bible. Hobbes introduced his Leviathan philosophy and this was one of the most important philosophies using the principle of social contract. In his theory, Hobbes discussed that the best way to reach social unity is by the establishment of a social contract where the people combine to form a central power, or government, and give their consent to an agreed set of rules and regulations. He stated that by nature, every man is considered as a competition by another and compared humans to animals with respect to violence. Hobbes stated: With the existence of a social contract, any social unrest is less likely to happen and with all the people having representation in the central authoritative body, there is also less chance of a civil war. (Infidels) When we take this into consideration and analyze whether humanity has actually progressed or not, it can be observed that humanity has not improved at all. People still have the nature of considering everyone as a competitor for them and they have become less tolerant to each other. People, in the form of nations, are fighting with each other to win others’ territory either due to the important strategic location or resources. Groups are fighting with each other on grounds of religion, and the threat factor has increased so much that despite majority of the religions fighting preach peace, yet their believers are displaying the worst form of human rights violation. Although many may argue that the popularity of democracy shows that the social contract may exist, but the truth remains that despite our actions to solve our issues with the help of a central authoritative body, we still have the same mentality and thus it

Tuesday, November 19, 2019

Family in Europe History Coursework Example | Topics and Well Written Essays - 1250 words - 3

Family in Europe History - Coursework Example In case a family was already on a high rung in a social ladder, a smart marriage arrangement could be highly advantageous through a thoughtful market strategy. As time passed over the centuries, there was a slow and gradual change towards more freedom of choice and a much greater acceptance of love as a basis for marriage. Parents had every say in the matter in choosing a partner as well as bargaining about the dowry. The general notion was that unless a person could afford to get married they should, otherwise it was not advisable. Though parents took trouble in working out a marriage for their children, the youngsters met their lovers in the fields, barns, at the fairs and even on pilgrimages. Most marriages took place between members of the same religion, nationality and caste. It is rather surprising to note that the word family did not mean blood relations or related by marriage, but the Latin word â€Å"famulus† referred to a domestic establishment’s live – in staff. Until the 19th century, Europeans did not do away with the meaning of family, but as the idea of kinship took shape, the meaning of â€Å"family† took on a whole new perspective while the old meaning has become obsolete in these modern times. In the past a household was not only the private residence of a family, but also a place for the public eye. Historians having worked on demographic data between the 16th and 19th centuries and have put to rest the common notion that people lived in very large households compared to the micro families of today. After much investigation, they have come to rest on the fact that families were of two kinds – small or average and large families. The small families in Europe had one or two children while the large families had about seven to ten members. However, when comparing the rural and urban households, they found that most of the people in the urban areas preferred to have small families comprising of one or two

Saturday, November 16, 2019

Monetary Policy vs. Fiscal Policy Essay Example for Free

Monetary Policy vs. Fiscal Policy Essay People always struggled with an idea of prosperity and success, whether it was a personal goal or whether it was something major like wealth of a country. Nowadays, we are studying a science, which is really significant and valuable Economics. Economics is a tool for achieving those goals, knowledge that people can use and imply in real life, and at the present time probably undividable part of governments performances around the world. For us, students, there are two different matters we study Macroeconomics, the study of the performance of national economies and Microeconomics, which focuses on the behavior of individual households, firms, and markets. During the fall quarter of 2001, I was exposed to the basic ideas and uses of the Macroeconomics. Macroeconomics policies government actions to improve the performance of the economy are of particular concern to macroeconomists, as the quality of macroeconomic policymaking as a major determinant of a nations economic health. Monetary and Fiscal policies are two policies that we were concentrated on, and were the most significant part of the course for me. There is too much involved in these policies and they interact with each other consistently. I decided to write this paper, summarizing the basic functions of two policies, tried to explain what it is that makes them work, how effective these two policies can be, and how one relates to another. In looking at the effectiveness of Monetary and Fiscal policies, it must be understood how the two relate to each other within the government structure. The Federal Open Market Committee FOMC is the most important monetary policy-making body of the Federal Reserve System. It is responsible for the formulation of a policy designed to promote economic growth, full employment, stable prices, and a sustainable pattern of international trade and payments. The seven Board members constitute a majority of the 12-member Federal Open Market Committee, the group that makes the key decisions affecting the cost and availability of money and credit in the economy. The other five members of the FOMC are Reserve Bank presidents, one of who is  the president of the Federal Reserve Bank of New York. The Board sets reserve requirements and shares the responsibility with the Reserve Banks for discount rate policy. The FOMC is the policy arm of the Fed and the tasks of the Federal Reserve are to sup ervise banks, fixing maximum rates of interests. The U.S Treasury, though it aids in much of the monetary management, represents the fiscal sector, which is the U.S Congress. Fiscal policy covers, such areas as taxation and other revenue gathering and spending measures. Fiscal policies are those actions that are enacted by the Legislative Branch of the U.S government, the Congress. Their fiscal policies are enacted through the U.S Treasury. Therefore, the Treasury is the arm of fiscal policy and the Federal Reserve is the arm of monetary policy. For example, even if Congress has allocated some amount of money to take over failing banks and savings and loans, and it is not enough, than the Fed can pump capital into the system by buying bank stocks. So, this is example of how the Fed interacts and influences the ups and downs of the economy. In looking at the relationship between the Fed and The Treasury, essentially, the Fed was set up to provide the U.S Treasury with a more satisfactory fiscal agent. In acting as the fiscal agent for the U.S Treasury, or more specifically, as the primary banker for the federal government, the Fed acts as Financial advisor, depository and receiving agent, agent for issuing and retiring treasury securities, agent for other transactions involving purchases and sales of securities for Treasury account, agent for the government in purchasing and gold and foreign exchange, and lender to the Treasury. The Treasury influences monetary and credit conditions as well, through its revenue and expenditure policies, its debt management policies relative to the size and location of its money balance, and so on. As an instrument of monetary management, the Treasury keeps its money balance in cash in the vaults as Treasury deposits at the Federal Reserve, and Treasury deposits at commercial banks. Owing to the degree of Treasury operations, these policies have marked effect on monetary and credit conditions, especially over periods. Ordinarily, the Treasury does not use these powers for intentional and continuous monetary management; this is primarily the function of the Federal Reserve. However, it does try to use its powers in such a way as to avoid creating serious problems for the Federal Reserve, and on occasion, it uses them intentionally to supplement Federal Reserve policies. The following is an example of how this occurs. The Treasury can implement restrictive actions. For example, the Treasury increases it money balance $1 billion by taxing the public or selling securities to the public. When the Treasury cashes the checks, the public loses $1 billion of its deposits. If the Treasury holds these deposits at commercial banks, this is the extent of the effect; the reserve positions of the banks are unaffected. But if the Treasury uses the $1 billion to build up its cash in vault or its deposits at the Federal Reserve, member banks reserves will be reduced by $1 billion. Basically, if we find an increase in the Treasurys money balance, this tends to be restrictive unless the Treasury acquires the extra money by borrowing from the Federal Reserve. If it acquires the money balance by taxing the public or selling securities to it, the publics money supply is directly decreased. If it acquires money by selling securities to commercial banks, the publics money supply is not directly decrease, but the ability of the banks to create deposits for the public is reduced because they must use some their reserves to support the Treasury deposit. However, given the size of any increase in the Treasurys balance, the degree of restrictiveness depends on the form in which it is held. On the other hand, the Treasury can affect monetary policy, by easing restrictions as well. Sometimes the Treasury utilizes liberalizing actions in a positive way to ease credit to supplement Federal Reserve actions. More often, however, it uses them to avoid creating conditions that wo uld make the job of the Federal Reserve more difficult. Given, this information, we can see what the relationship is between the  Federal Reserve and the U.S Treasury. They often complement each other and balance each other out. However, the prime job of the Federal Reserve is to act as the federal government bank, as well as regulating monetary policy, credit regulations, and supervising function of member banks. The U.S Treasury is the element of the government, which collects money from the public, either through the sale of securities or through taxation. The U.S Treasury is that arm of the government, which provides the government with money it needs to operate, which of course is part of fiscal policy operations. The Fed is the bank that the Treasury uses for its banking needs, to be it in the most simplistic terms. *** We were all shocked by tragedy that happened on September 11, 2001. There was a tremendous impact on the entire world by that event. People were heavily affected emotionally same as financially. Many lives were taken by the coward act of those who responsible for such disaster. The US faced a number of consequences followed by many bumps on its way to the future. Unbelievable economic downturn made all sectors of the economy to suffer this impact and force them to make decisions, which they probably didnt thought of. Because Fiscal and Monetary Policy have a straight connection to the several actions taken by the government to stimulate weakened economy, I decided to cover what is going on right now within government structure and briefly explain what people should expect from policymakers, who are doing their best to respond to these obstacles, which we are facing right now, as quick as possible. Considering that todays U.S. economy is already in mild recession and many indicators show it might face the most severe economic downturn since 1970s of the last century, President Bush and his administration called for additional stimulus package for fiscal 2002. Policymakers in Washington are considering a number of actions that could stimulate the economy. Among them the options being considering are tax cuts that could spur consumption or investment, and additional federal spending that could directly increase economic activity. Republicans are the majorities in the House of  Representatives and Democrats, who control the Senate, have very different and opposite visions about ways to stimulate the U.S. economy. Republicans consider that economic growth is generated through investments by businesses, which encouraged by cuts in taxes and tax rates. Democrats support the proposal that stimulates consumer spending such as through tax rebates for low-income, extensions of unemployment insurance, and government spending to promote construction and other infrastructure. A several weeks ago, the House Ways and Means Committee have passed a $100 billion economic stimulus package main part of which 85% for permanent tax cuts, mostly for corporate tax cuts. The major components of this plan are: Elimination of the corporate alternative minimum taxes and refunds AMT credits. This is a most controversial point of the House Republicans proposal. The minimum tax was designed to make profitable companies to pay a basic amount even if they owe no corporate income tax because of some deductions. Democrats support the fairness of this tax cut but disagree with its retroactive method because although these refunds would effectively reduce the tax rate on corporate income but those compensations for the previous investment, not new investment. Permit 30% immediate expensing write-off for purchase of capital assets over the next three years. Reduce the maximum tax rate on long-term capital gain from 20% to 18%. Deductions of net losses from taxes paid up to five years earlier. Republicans argue that all these corporate tax cuts are necessary to encourage businesses to invest more into new capital because businesses would have more income or retained earnings. And as a result it would spur the economy. Democrats disagree. They tell that businesses would not  necessary to invest; some of any tax cuts will be saved or businesses can simply to pay down their debts or to spend them for dividends to their stockholders and maybe only small part would go into new investment. Permanent cut in the former 28% tax cut rate to 25% would be accelerated to 2002. Democrats argue that this tax cut would be more effective if it will be temporary rather than permanent tax cut because this acceleration significantly shorten government revenue in later years and in the long run the government cant afford these rates cuts. Moreover, most of the tax relief would benefit only the top one-quarter of all income tax filers, who are likely to save more and spend less from tax cuts than those who have lower incomes and tend to spend whatever extra income they have. That is why Democrats support the proposal to send additional tax rebates for low-income workers, because the more rebate is spend the more effective it is as a stimulus. Democrats want to freeze marginal tax reduction in previous 39.6 bracket to 38.6% rather to decline it. It would save roughly $100 billion between 2002 and 2011. Democrats have proposed a smaller package with far fewer and temporary tax cuts and significantly more new spending 75% of the stimulus plan. They support the ways that spur consumer spending that has kept the economy afloat such as through tax rebates for lower income workers, expansions of unemployment insurance and government spending for construction and other infrastructure. For instance, temporary changes in the unemployment insurance program or any additional benefits provided would likely be spent and go directly to output. Public capital investments involve direct government purchases of goods and services and therefore directly add demand into economy.

Thursday, November 14, 2019

Capitalism :: essays research papers

A global assembly line is a capitalist’s dream come true. It allows companies to do business in free trade zones to manufacture goods throughout the world at the lowest possible cost to the company. This assembly line enables companies like Nike, with corporate headquarters in the U.S. w to shut down their factories here, and move over seas where there are less restrictions and cheaper labor. Where as the production cost are drastically less in these free trade zones, so are the human rights laws, especially those pertaining to women, the majority of the work force. By moving its production sites to places like Asia, Nike is able to pay workers sub-minimum wage, on top of allowing the corporation to dodge responsibility for the treatment of its work force. Nike strategists have certainly managed to devise a plan to escape the responsibility and liability of insuring that it assembly line sites are safe, healthy and fair labor places of work, by subcontracting to foreign owned and governed factories. South Korea, the sneaker capital of the world is one of these places. According to the article The Globe Trotting Sneaker the workers in these assembly factories are predominantly women. The article also highlights the fact that South Korea has a military government that possesses a strong determination to suppress labor organizations. Nike is not blind to this information. These facts only work more for the sneaker typhoon. It allows them to profit legally from under paid, over controlled and unorganized women laborers. A Confucian following culture. In which Korean women except the philosophy that her morality is measured by the amount of hard work she is willing to endure for her families well being and to acquiesce to her father and husbands dictates is yet another benefit that Nike reaps the profits from. The Global assembly line affects every part of the factory workers life both U.S and Korean. This is due to the fact that at any given time, the corporation may decide to pick up and move to a neighboring country because the labor is cheaper and the restrictions fewer. The women working in these factories of South Korea endure numerous difficulties, low pay, poor work conditions etc.. For many years they remain silent. In the 1980’s the silence was broken, but not shattered. For the first time, women workers organized, separate from the men and brought their issue to be heard.

Monday, November 11, 2019

Art of Anchoring

Nature of the Work |[About this section] |[pic]Back to Top | |Radio and television announcers perform a variety of tasks on and off the air. They announce station program information, such as program schedules and station breaks for commercials, or public service information, and they introduce and close programs. Announcers read prepared scripts or make ad lib commentary on the air, as they present news, sports, the weather, time, and commercials. If a written script is required, they may do the research and writing. Announcers also interview guests and moderate panels or discussions.Some provide commentary for the audience during sporting events, at parades, and on other occasions. Announcers often are well known to radio and television audiences and may make promotional appearances and do remote broadcasts for their stations. Announcers at smaller stations may cover all of these areas and tend to have more off-air duties as well. They may operate the control board, monitor the tra nsmitter, sell commercial time to advertisers, keep a log of the station’s daily programming, and produce advertisements and other recorded material.Advances in technology make it possible for announcers to do some work previously performed by editors and broadcast technicians. At many music stations, the announcer is simultaneously responsible both for announcing and for operating the control board, which is used to broadcast programming, commercials, and public-service announcements according to the station’s schedule. Much of the recorded material that used to be on records or tape is now in the form of digital files on computers. (See the statement on broadcast and sound engineering technicians and radio operators elsewhere in the Handbook. Public radio and television announcers are involved in station fundraising efforts. Changes in technology have led to more remote operation of stations. Several stations in different locations of the same region may be operated from one office. Some stations operate overnight without any staff, playing programming from a satellite feed or using programming that was recorded earlier, including segments from announcers. Announcers frequently participate in community activities. Sports announcers, for example, may serve as masters of ceremonies at sports club banquets or may greet customers at openings of sporting goods stores.Radio announcers who broadcast music often are called disc jockeys (DJs). Some DJs specialize in one kind of music, announcing selections as they air them. Most DJs do not select much of the music they play (although they often did so in the past); instead, they follow schedules of commercials, talk, and music provided to them by management. While on the air, DJs comment on the music, weather, and traffic. They may take requests from listeners, interview guests, and manage listener contests. Some DJs announce and play music at clubs, dances, restaurants, and weddings.They often have the ir own equipment with which to play the music. Many are self-employed and rent their services out on a job-by-job basis. Show hosts may specialize in a certain area of interest, such as politics, personal finance, sports, or health. They contribute to the preparation of the program’s content, interview guests, and discuss issues with viewers, listeners, or the studio audience. Public address system announcers provide information to the audience at sporting, performing arts, and other events. Work environment.Announcers usually work in well-lighted, air-conditioned, soundproof studios. Announcers often work within tight schedules, which can be physically and mentally stressful. For many announcers, the intangible rewards—creative work, many personal contacts, and the satisfaction of becoming widely known—far outweigh the disadvantages of irregular and often unpredictable hours, work pressures, and disrupted personal lives. The broadcast day is long for radio and TV stations—many are on the air 24 hours a day—so announcers can expect to work unusual hours.Many present early-morning shows, when most people are getting ready for work or commuting, while others do late-night programs. The shifts, however, may not be as varied as in the past because new technology is allowing stations to eliminate some of the overnight hours. How did you start off as an anchor? I've been performing in stage shows in school since I was four. Later, while I was doing my Mass Communications from Jamia Milia Islamia, Usha Albuquerque offered me the anchor's job on a career show called Hum Honge Kamyaab. This came out of the blue as I was not planning on getting into a career in anchoring.But after Hum Honge Kamyaab, I got a lot of other offers as an anchor and there's been no looking back since. What is required of an effective anchor? An effective anchor needs to be quick witted, observant and adaptable to unforeseen situations. Which are the areas on e needs to work on constantly to improve as an anchor? One needs to be abreast of what's happening around, to be in sync with the latest fashion accessories and the prevailing dressing trends. Besides, one should work on his/her wit. Basically, one needs to imbibe and absorb a lot more than what one normally does. [pic] |†An effective anchor needs to be quick witted, observant and adaptable | | |to unforeseen situations† | Do you like to work with a ready script? No, I've never done that. All my performances have been impromptu. What are the factors you take into consideration before taking up a new assignment? I look at two factors. One, how much does an assignment appeal to me and can offer me in terms of creative satisfaction.The second factor is obviously the money it gets me. Does TV anchoring pay well? It depends. It pays me very well but I can't be sure of all other anchors. Actually, a lot depends on your popularity. Who are your favourite TV anchors? Jaaved Jaff erey, Shekhar Suman, Cyrus Broacha and last but not the least, Amitabh Bachchan. What are the stylistic elements you've imbibed from them? From Jaaved Jafferey, I've learnt a certain amount of mimicry. In Cyrus, I admire the ability to be as natural and effortless as one can be. I admire Shekhar Suman for the way he has maintained himself.One can't say whether he is in his early forties or the late twenties. I admire Amitabh Bachchan for the modesty, dignity and grace with which he carries himself. Who are your favourite co-anchors? Have you ever co-anchored without a script? I have enjoyed anchoring Public Demand with a girl called Kahkasha who used to be very sparkling. Ritu, who later went on to become Mahima Chaudhary, is one of my other favourite co-anchors. Yes, I have co-anchored without a script. That's not a problem. Once you know the content and once you relate well with your co-anchor, that's no big deal.How has the Mass Communications course helped you in anchoring? Well , it hasn't directly helped me in my anchoring but then being a TV anchor, knowing the camera angles and having an idea of when a break is going to be called, obviously facilitates a better performance. What is the idea behind the creation of Encompass Production? I have found most media houses to be specialists in either events, production or else the creatives. ‘Encompass', as the name suggests, aspires to take up all these activities simultaneously and become a one-stop all-pervasive media house.So far, we have concentrated more on events but we are now producing two TV serials and a movie, which I will be directing. What training do you recommend for aspiring TV anchors? Well, primarily, I feel they should be well-read, more knowledgeable and have a more rounded worldview. Besides, one needs to work on his/her looks because today looks definitely matter. It is unfortunate that good avenues for formal training in TV anchoring do not exist in our country. I'm trying to do my bit on this front through a series of workshops. Besides, nobody can deny that luck plays a crucial part in your success or failure over here.Where do you see Encompass Productions ten years down the line? Having evolved as one of the biggest media conglomerates in the country. Where do you see yourself ten years down the line? Personally, I'm getting into film direction because that is what I'm trained in. Fortunately or unfortunately, the easy money that TV anchoring gave me tied me to it for far too long. But now, I'm fully charged to give film direction a shot. Ten years down the line, I see myself being a successful director of movies. How to Become a TV Reporter or News AnchorBeing a TV reporter/anchor takes sacrifice. On the surface it seems like a glamorous job but those of us who have worked in the industry know it is just the opposite. There is, however, no other job like it in the world. If you like deadline pressure, doing something new every day and making a difference it may be the job for you. [edit] Steps 1. Start at a small market television station: Everyone has visions of taking over the NBC Nightly News anchor desk, but the truth of the matter is a tiny portion of people who get into the TV news business will ever make it to a top 10 market.It’s a good idea to start your career in a small market because you can learn all aspects of the business. You will likely do everything like; report, produce, anchor, shoot video, edit and maybe even run the teleprompter with your foot! You’ll also get the opportunity to make your mistakes. Audiences are much more forgiving in Mobile, Alabama than they are in New York City. 2. Be willing to get little pay†¦at least in the beginning of your career:The average reporter job in a small market gets paid between $15,000 and $18,000 a year. Shocked right?Contrary to popular belief most TV personalities are not rolling in dough. Television news is a field where the supply outweighs the deman d. Basically there are more people who want to be on TV than there are available positions. That’s part of the reason why pay is not competitive. Also, if you start at a small market station, you will get small market pay. It’s the nature of the business. If making a lot of money in your career is important to you don’t get into TV news! 3. Forget about holidays at home: The truth is you will hardly ever get holidays off.You will most likely be working. Established main anchors at TV stations will most likely get holidays off which means you will be stuck at work. If you constantly move markets every couple of years to increase your salary and experience you will always be the new kid on the block, which means you won’t have seniority. So, you can kiss Thanksgiving, Christmas, New Year’s, Fourth of July and Labor Day goodbye. Also â€Å"sweeps† months (when stations monitor how many people are watching) will be off limits for vacation time. These months include: February, May, July and November. 4.Be willing to move anywhere to get your first job: Jobs are so competitive that you can’t be choosy when landing your first job. Sure, you may want to hold out for San Diego, California but if Biloxi, Mississippi offers you your first job you should probably say yes. 5. Go to college: Most TV stations require that you have a college degree preferably in broadcast journalism. Some schools that have top broadcast journalism programs are University Missouri Columbia, Northwestern University, Syracuse University and Arizona State University. 6. Learn how to speak well: Your voice is key in this field.You should concentrate now on projection, enunciation and inflexion. All of these things will help you deliver your â€Å"script† in a compelling nature. Be authoritative in your speech. This will give you credibility with your audience. Read newspapers and magazines aloud. Listen to the best journalists in the field wh en they speak and try to emulate them. 7. Learn how to write for TV: You of course learn some of this in school. Writing for TV is very different from writing a term paper. You need to learn how to write to the images your audience will see on TV. It’s called writing to video.Also, you should keep writing simple and stay away from legalese and cliches. You have only one shot to get the attention of folks at home. 8. Be willing to work all the time: You may be placed on the morning shift, the evening shift, a split shift and the weekend shift at any given moment. New reporters especially have very little say in the hours they work. Working overtime is very common and few stations pay overtime. 9. Create a resume tape: A resume tape is a reel that shows a sample of your reporting/anchoring skills. It usually starts with a slate – a brief showing of your name and contact information.The slate is usually followed by a montage, which is a short segment of compelling live sh ots, samples of reporting and anchoring. The montage is then followed by three of your best stories. The best way to get your first resume tape is to do one in school otherwise it can be quite expensive. When your tape is done you send it on VHS format along with a cover letter and resume to news directors at the stations you are interested in. Then, you wait and cross your fingers. 10. Be Persistent: Don’t stop until you get that first job! Persistence is an invaluable skill any reporter/anchor should have. [edit] Tips Tip: Join a professional association for broadcast journalists like the National Association of Broadcasters, Radio Television News Directors Association, National Association of Asian Journalists, National Association of Black Journalists or the National Association of Hispanic Journalists, to name a few. [edit] Warnings †¢ Warning: TV news is a small and incestuous field. Everyone knows everyone and reputations spread quickly. †¢ TV news is not for the faint of heart. If you have problems with stress and working on a deadline, try another field. If your feelings are easily hurt this may not be the best field for you.

Saturday, November 9, 2019

Maximum-security prisons Essay

Abstract Maximum-security prisons are known to be designed and organized to prevent escapes and violence and to deter prisoners from harming one another including the correctional officers. Super-max facilities imposes strict limitations on the freedom of inmates and visitors. These prisons, usually an imposing edifice are prisons surrounded by high stone walls studded with guard towers. The purpose of these type of facilities is custody and discipline, it embraces military-style approach to order. Prisoners in custody under these facilities follow a strict routine. Inmates behavior is surveillanced, head counts are frequent eliminating the all the prisoners’ privacy. Introduction Supermax (short for â€Å"super-maximum security†) is the name used to describe â€Å"control-unit† prisons, or units within prisons, which represent the most secure levels of custody in the prison systems of certain countries. The objective is to provide long term, segregated housing for inmates classified as the highest security risks in the prison system — the â€Å"worst of the worst† criminals, and those who pose a threat to national and international security. (Mears, Daniel 2012) As stated in the Wiipedia the free Encyclopedia, Supermax and Security Housing Unit (SHU) prisons are controversial; some claim that the living conditions in such facilities violate the United States Constitution, specifically, the Eighth Amendment’s proscription against â€Å"cruel and unusual† punishments. In 1996, a United Nations team assigned to investigate torture described SHU conditions as â€Å"inhuman and degrading.† A 2011 New York Bar association comprehensive study suggested that supermax prisons constitute â€Å"torture under international law† and â€Å"cruel and unusual punishment under the U.S. Constitution.† In 2012, a federal class action suit against the Federal Bureau of Prisons and officials who run ADX Florence SHU (Bacote v. Federal Bureau of Prisons, Civil Action 1:12-cv-01570) alleged chronic abuse, failure to properly diagnose and  neglect of prisoners who are seriously mentally ill. The U.S. government houses a number of convicted terrorists, gang leaders, spies, and similar prisoners in a supermax prison known as ADMAX, the Federal administrative maximum security prison in Florence, Colorado, west of Pueblo. Al-Qaeda terrorist Zacarias Moussaoui was sentenced to life without parole at Florence upon his conviction on May 4, 2006.Residents also include Theodore Kaczynski, a domestic terrorist otherwise known as the Unabomber, who once attacked via mail bombs; Robert Hanssen, an American FBI Agent turned Soviet spy; Terry Nichols, an accomplice to the Oklahoma City bombing; and Richard Reid, known as the â€Å"Shoe Bomber†, who was jailed for life for attempting to detonate explosive materials in his shoes while on board an aircraft. A lawsuit alleges severe abuse of federal prisoners at ADX-Florence in Colorado, what’s known as a supermax facility where many inmates are housed in solitary confinement for 23 hours a day. It charges the government violates the Eighth Amendment’s prohibition of cruel and unusual punishment. Conclusion To conclude, I would recommend the super-max prisons to consider the lives of prisoners being locked-up having no privileges at all. I acknowledge the fact that they have committed horrible and heavy crimes and those acts that have already been made have caused damage to the state and/or the U.S. and that what has been done you cannot take back or undo but I strongly believe that these criminals should have at least a fair lock up there with a few privileges allowed in these maximum-security prisons. The prisons should allow the inmates to have at least some contact with other prisoners and a little more freedom. According to Mr. Arone (American Corrections p. 270) â€Å"If you lock a dog in a pen and throw food inside three times a day and never talk to him after a year when you open the pen you’re going to have a killer.† This makes absolute sense because I strongly believe that when a person is locked up in four walls with nothing to do or no one to talk to and with limited disgusting food thrown in, it will definitely make a person go crazy  throughout the time. These criminals are already serving time for their crimes but I don’t agree that they should be treated like animals. This is severe abuse is called cruel punishment. To conclude, I would recommend the super-max prisons to consider the lives of prisoners being locked-up having no privileges at all. I acknowledge the fact that they have committed horrible and heavy crimes and those acts that have already been made have caused damage to the state and/or the U.S. and that what has been done you cannot take back or undo but I strongly believe that these criminals should have at least a fair lock up there with a few privileges allowed several times a week at the least in these maximum-security prisons. The prisons should allow the inmates to have at least some contact with other prisoners in hope of therapeatic communication, and a little more freedom for personal needs.

Thursday, November 7, 2019

Comparative Colonization in Asia

Comparative Colonization in Asia Several different Western European powers established colonies in Asia during the eighteenth and nineteenth centuries. Each of the imperial powers had its own style of administration, and colonial officers from the different nations also displayed various attitudes towards their imperial subjects. Great Britain The British Empire was the largest in the world prior to World War II and included a number of places in Asia. Those territories include what is now Oman, Yemen, the United Arab Emirates, Kuwait, Iraq, Jordan, Palestine, Myanmar (Burma), Sri Lanka (Ceylon), the Maldives, Singapore, Malaysia (Malaya), Brunei, Sarawak and North Borneo (now part of Indonesia), Papua New Guinea, and Hong Kong. The crown jewel of all of Britains overseas possessions around the world, of course, was India. British colonial officers and British colonists, in general, saw themselves as exemplars of fair play, and in theory, at least, all of the crowns subjects were supposed to be equal before the law, regardless of their race, religion, or ethnicity. Nonetheless, British colonials held themselves apart from local people more than other Europeans did, hiring locals as domestic help, but rarely intermarrying with them. In part, this may have been due to a transfer of British ideas about the separation of classes to their overseas colonies. The British took a paternalistic view of their colonial subjects, feeling a duty - the white mans burden, as Rudyard Kipling put it - to Christianize and civilize the peoples of Asia, Africa, and the New World. In Asia, the story goes, Britain built roads, railways, and governments, and acquired a national obsession with tea. This veneer of gentility and humanitarianism quickly crumbled, however, if a subjugated people rose up. Britain ruthlessly put down the Indian Revolt of 1857 and brutally tortured accused participants in Kenyas Mau Mau Rebellion (1952 - 1960). When famine struck Bengal in 1943, Winston Churchills government not only did nothing to feed Bengalis, it actually turned down food aid from the US and Canada meant for India. France Although France sought an extensive colonial empire in Asia, its defeat in the Napoleonic Wars left it with just a handful of Asian territories. Those included the 20th-century mandates of Lebanon and Syria, and more especially the key colony of French Indochina - what is now Vietnam, Laos, and Cambodia. French attitudes about colonial subjects were, in some ways, quite different from those of their British rivals.  Some idealistic French sought not just to dominate their colonial holdings, but to create a Greater France in which all French subjects around the world truly would be equal. For example, the North African colony of Algeria became a department, or a province, of France, complete with parliamentary representation. This difference in attitude may be due to Frances embrace of Enlightenment thinking, and to the French Revolution, which had broken down some of the class barriers that still ordered society in Britain. Nonetheless, French colonizers also felt the white mans burden of bringing so-called civilization and Christianity to barbaric subject peoples. On a personal level, French colonials were more apt than the British to marry local women and create a cultural fusion in their colonial societies.  Some French racial theorists such as Gustave Le Bon and Arthur Gobineau, however, decried this tendency as a corruption of Frenchmens innate genetic superiority. As time went on, social pressure increased for French colonials to preserve the purity of the French race. In French Indochina, unlike Algeria, the colonial rulers did not establish large settlements. French Indochina was an economic colony, meant to produce a profit for the home country. Despite the lack of settlers to protect, however, France was quick to jump into a bloody war with the Vietnamese when they resisted a French return after World War II. Today, small Catholic communities, a fondness for baguettes and croissants, and some pretty colonial architecture are all that remains of visible French influence in Southeast Asia. The Netherlands The Dutch competed and fought for control of the Indian Ocean trade routes and spice production with the British, through their respective East India Companies. In the end, the Netherlands lost Sri Lanka to the British, and in 1662, lost Taiwan (Formosa) to the Chinese, but retained control over most of the rich spice islands that now make up Indonesia. For the Dutch, this colonial enterprise was all about money. There was a very little pretense of cultural improvement or Christianization of the heathens - the Dutch wanted profits, plain and simple.  As a result, they showed no qualms about ruthlessly capturing locals and using them as slave labor on the plantations, or even carrying out a massacre of all the inhabitants of the Banda Islands to protect their monopoly on the nutmeg and mace trade. Portugal After Vasco da Gama rounded the southern end of Africa in 1497, Portugal became the first European power to gain sea access to Asia. Although the Portuguese were quick to explore and lay claim to various coastal parts of India, Indonesia, Southeast Asia, and China, its power faded in the 17th and 18th centuries, and the British, Dutch, and French were able to push Portugal out of most of its Asian claims. By the 20th century, what remained was Goa, on the southwest coast of India; East Timor; and the southern Chinese port at Macau. Although Portugal was not the most intimidating European imperial power, it had the most staying power. Goa remained Portuguese until India annexed it by force in 1961; Macau was Portuguese until 1999 when the Europeans finally handed it back to China, and East Timor or Timor-Leste formally became independent only in 2002.   Portuguese rule in Asia was by turns ruthless (as when they began capturing Chinese children to sell into slavery in Portugal), lackadaisical, and underfunded. Like the French, Portuguese colonists were not opposed to mixing with local peoples and creating creole populations. Perhaps the most important characteristic of the Portuguese imperial attitude, however, was Portugals stubbornness and refusal to withdraw, even after the other imperial powers had closed up shop. Portuguese imperialism was driven by a sincere desire to spread Catholicism and make tons of money. It was also inspired by nationalism; originally, a desire to prove the countrys might as it came out from under Moorish rule, and in later centuries, the proud insistence on holding onto the colonies as an emblem of past imperial glory.

Monday, November 4, 2019

Assessing The Scope And Diversity Of Hilton Hotels Tourism Essay

Assessing The Scope And Diversity Of Hilton Hotels Tourism Essay There are 1.7 million employees engaged in the hospitality industry in the UK, which is almost 6 of the total working class people. Yearly turnover is  £55- £60b from the hospitality industry, includes all sizes or types of hospitality businesses or organisations. It is so difficult to say that which is the biggest organisation, as it is depends on so many factors. There are some top operators in the market specialised in own sectors. Generally, they are based on their yearly turnover, sizes, types, number of employees, sectors, sub-sectors etc. According to VisitBritain, 27.7m overseas visitors came to the UK in 2004. There is a 13 increase in terms of like for like sales than the previous year. Visitors have spent an estimated value of  £13b in the year 2004 increasing 10 than 2003, according to VisitBritain. On the other hand, domestic tourists spent 70.5 million on holidays of more than one night within the UK. Domestic business trips were also made, estimated more than 22 million, in 2003. An estimated total domestic spend was  £59 billion. In the case of tourism, there are an estimated 1.4 million jobs in the UK, which is 5 of all working people. Scope: There are 14 industries included in the hospitality sector; from hotels and restaurants through to events, gambling, pubs, and food contracts, school meals, catering for parties, conferences, Night clubs and travel services. Diversity: There are many types of Hospitality services available in the market, such as Luxury hotels (5*-7*), Boutique hotel, Mid range hotel, Budget hotel, guest house/B their reliable group of hotel brands includes the Waldorf Astoria, Conrad Hilton Hotels & Resorts, Doubletree, Embassy Suites, Hilton Garden Inn, Hampton Inn & Suites, Homewood Suites by Hilton, Home2 Suites by Hilton and Hilton Grand Vacations (About us: Hilton Worldwide, 2010). Hilton’s commitment to creating extraordinary guest experiences remains unaffected and their more than 130,000 team member s continue to introduce the quality of service to the UK and the world’s visitors for 90 years of operations (About us: Hilton Worldwide, 2010). The organisational structure of various hospitality businesses Large full-service hotel: A well-run large full-service lodging facility, this requires the following department heads:

Saturday, November 2, 2019

EADS Business Analysis using the Marketing Process Model, by Robert J Term Paper

EADS Business Analysis using the Marketing Process Model, by Robert J - Term Paper Example According to the present performance of EADS, it can be observed that the organization executes effective business strategies which enable it to play the role of a dominant marketer in the global aerospace industry. Based on the global business performances of EADS, the report intends to analyze the business processes and the marketing strategies of EADS in the global aircraft manufacturing industry. With due consideration to the successful marketing strategies as well as business processes of EADS, the aim of this paper is to also analyze different marketing tools from the perspective of EADS in the global aircraft manufacturing industry. The discussion of this paper will further encompass an assessment of EADS in the global aircraft manufacturing as well as an aerospace commercial service industry with regard to various competitive marketing tools such as Marketing Situation Analysis, STP model as well as marketing mix. In relation to the business performance of the organization, it can be witnessed that the European roots of EADS are quite stronger. However, the aerospace and defense industry based operations of EADS is one of the major considerations for the organization which entails a range of products and services both for the European and the global markets as well. In the context of the organizations overall business practices, 75% of total products and services are exported to more than 100 nations through its 33 international offices (EADS, n.d.). The inclusion of Airbus within its business is one of the major beneficial factors for EADS in its global aircraft manufacturing process. EADS is further recognized as the major European industrial flagship which combines the major capabilities of four main market leaders of the global aircraft industry such as Airbus, Cassidian, Astrium as well as Eurocopter [1] (EADS, 2013).Â