Wednesday, July 31, 2019

What Does College Mean to Me?

What does college mean to me? Going to college to me means a lifetime full of knowledge. College is an accomplishment that would give me success for the rest of my life. When I’m older I hope college will build on to my knowledge level and put me at the top! I want to be an anesthesiologist when I get older so that means I have to go to at least four years at a regular college hopefully USC, and then go to a doctoring school for at least 8 years. In order to achieve this goal I have to do well in school now to get the job in about 15-25 years.College is a tool that I would have to have to get that job and I’m determined on getting it. I hope I’ll be more successful and think more about my future then. College would be a great thing for me since almost none of my family went, well my mom did and then she dropped out. If I made it to college I would love to finish what my mom started and finish college and do what she wanted to do become an actual something and not just a receptionist/nurse at a doctor’s office.College would mean the world to me and my family and all my relatives support me in my work and think I would do very well in college if I focused more on my school work now so I hope to become better at paying attention and giving my all in all my classes especially my AVID class because that is the class that is making my dream come true. AVID is a program that gives kids a way to get to college by giving scholarships which is the only way I’d be able to go to college because my parents say that they can’t afford for three kids to go to college.My parents tell me that I have to work my hardest in this class and stay smart so maybe just maybe I won’t have to pay but a small amount out of my pocket or even my parent’s pockets. College would be a blessing to me and help my dream career become a reality! I hope that doing my work and working hard in my AVID class will get me there. My AVID teacher is al so a big part of my college dream and she inspires me to want to go to college and I’m very thankful that she has helped me get my life straight and I’m set on what I want to do and what job I want to pursue and I’m ready for college and I’ll do anything I can to get there.

Tuesday, July 30, 2019

The Nature of Contagious Yawning

Report title: Contagious yawning Introduction Yawning in general Yawning is a common act in all humans from birth and is one of the best examples of a fixed action pattern; once a yawn begins it becomes unstoppable. It also occurs in the same way each time. Several theories have been proposed to explain its existence in everyday life. There has been no definitive way of explaining why yawning occurs. Communication, physiology and arousal will be discussed. Firstly, communication is proposed as a primary reason for yawning, by Guggisberg, Mathis, Herrmann & Hess (2007). They attribute yawning to vigilance and suggest that unconscious communication occurs to synchronise a group and show vigilance. Baenninger (1987) also suggest that yawning helps to maintain attention levels and it may have evolved to promote vigilance and further suggest that it could communicate drowsiness or illness to a group. Another theory suggests a physiological link, whereby the yawn maintains mental efficiency by regulating the brain temperature through a cooling mechanism (Palagi, Leone, Mancici & Ferarri, 2009). However, a study by Gallup & Gallup jr. (2008) has shown inconclusive results for this theory. Another theory suggests that yawning is due to arousal. Matikainen and Elo (2007) report that yawning increases arousal and helps the individual to waken up. They suggest that it is due to connections between the mouth and the neck which when stretched stimulates the carotid body responsible for oxygen homeostasis. However, research by Guiggisberg et al (2007) found opposing research and their results showed that arousal levels decreased after yawns. It is clear that further research needs to be conducted to find the causes of yawns, and it has been shown that there is possibly more than one answer for this problem. However conclusive evidence for any theory is yet to be found. Contagious yawning Seeing, hearing or even thinking about another person yawning can trigger a yawn, contagious yawns occur in 40-60% of human adults but its primary reason and function is still unknown. Some advancement nevertheless, has been made to explain its cause. The advance in research into contagious yawning has come from the discovery of mirror neurons (Arnott, Singhal & Goodale, 2009). These are cells which are located in the posterior inferior frontal gyrus (pIGF) and are active when an individual sees another perform and action. They activate in the same was as they do when an individual performs the task themselves. It is proposed that mirror neurons enable individuals to understand others experiences and emotional states. This research therefore suggests that seeing or hearing a yawn activates this area of the brain and so initiates a yawning action. It has also been proposed that as mirror neurons help to understand emotional states, it is closely linked with empathy. This means that contagious yawning could be linked to empathy too. Contagious yawning and empathy This study has been conducted to assess the relationship between contagious yawning and empathy. Previous research highlights a strong relationship. Arnott et al (2009) investigated empathy and auditory contagious yawning and their results show a positive correlation between the two with more yawns elicited by those who scored higher on the empathy scale given. The relationship was modest but still significant below . 05. Also Periol & Monaca (2006) point out that contagious yawning doesn’t occur in species that cant recognise themselves in the mirror, nor can infants under two, suggesting that sense of self is required which is a key element to understanding others. Other research has shown that those with autistic spectrum disorder, and schizophrenia are unable to yawn contagiously as much as controls and that this is due to lack of empathy (Haker & Rossler, 2008). The premise of this study is to add to current research by expanding on Arnott et al’s research, by using visual stimuli. This study will test further the relationship between empathy and contagious yawning as this seems to be the area with most evidence. If the pilot data suggests a trend consistent with the current data then it will suggest further research and a full study should be conducted, however if the results gained show little evidence for a relationship then it will be suggested that other areas of contagious yawning should be looked into in more depth to find its possible cause. Hypotheses 1a) Contagious yawning is elicited from visual stimuli a) Higher amounts of contagious yawning will be present in those with higher levels of empathy. Null hypotheses 1b) Visual stimuli does not elicit contagious yawning 2b) There is no difference in amount of contagious yawning and level of empathy. Method 30 Stirling University students took part. This experiment was a between participants design. Independent variable is number of yawns produced in each condition. Dependant variable is empathy score The experiment consisted of two parts. To begin, each participant was required to complete the interpersonal reactivity index questionnaire to determine empathy levels. From this the participants were classified as empathetic or non empathetic and form the two experimental groups (mean was calculated and sample split above and below the mean). After the empathy questionnaire was completed, the experimental phase began which contained two conditions, firstly a yawning condition (test phase) whereby participants were shown a slide show of 15 yawning faces each slide lasting 10seconds. Within the time period the participant was required to focus on each face and rate how many times the face made them feel like yawning or actually yawn. Secondly, participants were given a neutral condition whereby a similar slide show was given but with 15 neutral expressions. This was given as a control for the test phase so that condition effects could be tested for. If a similar frequency of yawn was observed in both phases then the yawns wouldn’t be classed as contagious, and attributed to boredom rather than condition. The two phases were reversed for half the participants for counterbalancing and also to aid understanding of when contagious yawning had occurred- neutral phase was not always last which may have indicated boredom, so results are more reliable. The analysis was in two parts firstly, the frequency of yawning was compared in each condition to determine if visual stimuli induced contagious yawning in the test phase compared to the neutral. Secondly, the analyses compared empathetic participants with non empathetic participants to test if empathy was related to contagious yawning. Examples of stimuli: Neutral phase Yawning phase [pic] [pic] All images contained a full face and expressions were face on to the participant in attempt to maintain validity for each phase. Results | Hypothesis 1 Contagious yawning is elicited from visual stimuli Tests of normality showed that there was significance for yawning and so parametric tests were conducted. Graph 1 shows that there was a higher amount of yawns produced in the yawning condition than the neutral condition and the Wilcoxon test shows there was significantly different result. Z= -2. 722, p. 006 Graph 1 Total amount of yawing produced in each condition [pic] The significant difference found between yawning in the yawn condition and the neutral condition shows that contagious yawning occurred to visual stimuli, and the null hypothesis can be rejected. Therefore further analyses can be conducted into empathy and contagious yawning. Hypothesis 2 Higher amounts of contagious yawning will be present in those with higher levels of empathy. Graph 2 shows the relationship between the amount of yawns produced and empathy scores. Those with high empathy scores (62+) yawned more in the yawning condition compared to those with low empathy scores. However, the graph also shows similar amounts of yawning between empathy groups in the neutral condition. Graph 2 Total amount of yawning produced in each condition, split by empathy score. [pic] Due to small sample size and the data having an abnormal distribution a spearman’s rho test for correlation was conducted. It showed no significant relationship between empathy score and number of yawns produced in each condition, p= . 27 with a correlation of . 259, in neutral condition and p=. 686, with a correlation of . 96 in the yawn condition. Therefore the null hypothesis has to be accepted. Discussion Previous research has suggested that contagious yawning is due to empathy and a higher level of empathy suggests the individual is more likely to contagiously yawn. This study aimed to determine if this was found with visual stimuli in the form of consecutive images of individuals yawning on a screen. The study tested to see if contagious yawning could be induced by images and compared the results to number of yawns produced by images of neural expressions in the same format. The study also aimed to contribute to the existing knowledge on the relationship between empathy and contagious yawning. Due to the small sample size and the test for normality showing that there wasn’t a normal distribution of the data, the statistics performed were limited, and are not generalisable to the overall population. The results show that there was a significant difference between the two conditions and more yawns were produced in the yawning condition compared to the neutral. The study was conducted in a way that yawns produced by boredom could be controlled for. If it was the case that yawns were produced due to boredom then a similar frequency would be observed in both conditions especially as the conditions were counterbalanced. The results were highly significant (p=. 006) showing that yawns can be attributed to contagious yawning and not boredom, therefore the null hypothesis could be rejected and the hypothesis that yawning stimuli induces contagious yawning can be accepted. This contributes to the body of research on contagious yawning especially as Arnott et al (2009) has already shown contagious yawning can be elicited to auditory stimuli. This study, compared empathy scores with frequency of yawns in each condition to determine a relationship between the two as proposed by Haker & Rossler (2008), as well as in the study by Arnott et al. This study used the interpersonal reactivity index questionnaire to determine levels of empathy and the mean score was calculated in order to form two experimental groups of high and low empathy. This was only to test for a trend and is understood that due to the abnormal distribution of scores in the data, any results cannot be generalised, as the two experimental groups for empathy are not normally distributed. The results shown in graph 2, clearly show no difference between frequency of yawns and level of empathy especially in the neutral condition where the frequency of yawns for each empathy group are virtually the same. A slight difference is seen in the yawning condition and at a glance looks to suggest that higher empathy scores result in more yawns produced however with a closer look at the frequencies, it is clear that there is only a difference of one or two yawns and the statistical analysis shows no significant difference between empathy and yawns in both conditions. However it should be noted that the correlation conducted cannot be relied on too heavily due to the small sample size and so it can still be concluded that the graph shows a possible trend that for high empathy individuals, contagious yawning is more common. Especially as the graph shows a difference in similarity of empathy group based on condition (neutral shows no difference at all whereas yawn condition shows slight difference) Even though significance is not met and for this study the null hypothesis has to be accepted, the nature of the data and tests performed show that the results are not conclusive and trends can still be relied upon. There are however many limitations to this study. Clearly, with the study being a pilot for future research, the sample size was low and so generalisable results could not be hoped for however methodological improvements could be made to make trends found more reliable. Firstly, only one measure of empathy was used and so empathy scores were only based on specific answers to questions. Arnott et al used several in their study giving a better indication of empathy however due to the small scale of the study and limitations on resources meant only one could be found. The power point slides contained many faces and it was difficult to find yawning faces which looked like yawns and not open mouthed expressions, conveying a yawn through an image was much more complex than anticipated. Another point to consider was the nature of how the study was portrayed, the emphasis on yawning was placed from the beginning and so as one participant remarked he knew it was about yawning so he was thinking about it a lot in the first condition so even thought he was looking at neutral faces, he yawned as he was thinking about it. This shows how contagious yawning can be and how our results can be skewed. For further research, better conditions must be met and participants told of the premise of the study after two conditions had been undertaken. The self report table given to the participants during the study whereby they noted how many times they yawned or felt like yawning may need to include other contagious acts like laughing, to avoid yawns being induced by thinking. This would mean that further studies into contagious yawning would require more expressions to test the participant and so they don’t constantly think about how much they are yawning. Either that or possibly use a camera to record yawns so the participants focus is consistently on the stimuli. Conclusion The results show that visual stimuli can induce contagious yawning and so can aid further research when creating a method of testing yawning. The results obtained from empathy and contagious yawning although in significant, still suggest a trend and so could be further studied if more participant were used and a better methodology was introduced. The pilot study has shown the possibility of a link between contagious yawning and empathy and so needs to be further investigated. Bibliography Arnott, S. R. , Singhal, A. , Goodale, M. A. (2009), An investigation of auditory contagious yawning, Cognitive, Affective & Behavioural Neuroscience 9 (3) 335-342 Baenninger, R. (1987). Some comparative aspects of yawning in Betta splendens, Homo sapiens, Panthera leo, and Papio sphinx. Journal of Comparative Psychology, 101, 349-354. Gallup, A. C. , Gallup, G. G, Jr (2008) Yawning and thermoregulation. Physiology and Behaviour 95 10-16. Guggisberg, A. G. ,Mathis, J. , Herrmann, U. S. , Hess, C. W (2007). The functional relationship between yawning and vigilance. Behavioural brain research  179 (1) 159-66. Haker, H. & Rossler, W. (2009) Empathy in schizophrenia: impaired resonance. European Archive of Psychiatry and Clinical Neuroscience, 259, 352-361. Palagi, E. , Leone, A. , Mancini, G. , Ferrari, P. F. , (2009). Contagious yawning in gelada baboons as a possible expression of empathy. Proceedings of the National Academy of Sciences of the United States of America, 106 (46) 19262-7. Perriol, M. P. & Monaca, C. (2006) One person yawning sets off everyone else. Journal of Neurological Neurosurgical Psychiatry. 77) 3 3 Matikainen, J. , Elo, H (2008). Does yawning increase arousal through mechanical stimulation of the carotid body? Medical Hypotheses 70 488–492 | | |[pic] | | | | | Top of Form ———————– Condition Mean number of yawns Mean number of yawns

Monday, July 29, 2019

High Tech Offenders

Cyber crimes Thesis: Cybercrime, hacking, blackmailing, fraud, piracy, cyber bullying, this are some types of crimes th at come to mind when we hear technology and crime. Every day we use technology as a part of our daily living. We are surrounded by technology we depend on technology. But this has also o pen new door for criminal to conduct their crimes. This also makes us vulnerable to those who have mater it. Microsoft piracy case 25 men were arrested and 11 where proven guilty in the national copy right Microsoft counter eiting ring.The fraudulent Microsoft cds and DVDs where sold online and where shipped from c hina to anywhere in the united stated and to Europe. The imitation Microsoft software was valu ed at 500 million dollars. Differential association theory states that criminal actions are a result of the friendships of or companionship with others. Differential association theory explained th at a person could not commit a crime without first being trained. Without prior i nfluence, is inc apable of inventing criminal behavior. ) techniques of committing the crime, which are someti mes very complicated, sometimes very simple; (b) the specific direction of motives, drives, ratio nalizations, and attitudes Individuals become criminal due to repeated contacts with criminal activity and a lack of contact with noncriminal activity. I believe that this counterfeiting ring was built on friendships. The 25 men must have been friends of acquaintances at some point I do not believe they would hire people who did not know about their illegal actions. Social bond theory Roman meydbray 27 from San Jose.A former information technology manager of creative explosions pleads guilty to getting unauthorized access to a computer of his former employer. According to the court after two weeks of his termination he got access to the computer system and deleted an email server domain and accesses the email account of the president of creative explosion. He changed the mail s erver to reject every Incoming email causing them many losses. Social bonding theory states. The elements of social bonding include the families, commitment to social norms and institute like schools and employment and the beliefs that these are important.Social bond theory also states that is a bond is weakened or broken then unusual behavior from that Individual may occur. I believe that Roman Meybray felt betray wen creative explosion the company that he work for decided to let him go. This incident made Roman Meybrey who was a manager for creative explosions get back at them for been firing him. The bond that he had in the company was broken causing him to obtaining the unauthorized access to the employer’s computer. Learning theory Cyber bullying is when someone is harassed through the internet. Usually the victims or cyber bullying are youth.Usually to humiliate harm an individual because of information one might have through internet websites, text, chat rooms or other social networking sites. A study in Britain found that at least half of suicides among young people are related to bullying Bully-related suicide can be connected to any type of bullying, including physical bullying, emotional bullying, cyber bullying, and sexting, or circulating suggestive or nude photos or messages about a person bullying can be racist, sexist, anti-religious. Anonymous postings, comments or pictures on social networking sites.Cyber bullying are actions of someone who is a coward since they can remain anonymous behind a screen name or fake profile. Amanda Todd was a young 7ht grade girl who made a huge mistake of flashing a man over the internet. Later the man stalked her and posted her pictures over the internet. After her class mates and other students at school also bullied her online and on social networking sites. After moving and switching schools several times she was still the victim of cyber bullying, until one day she committed suicide. Bullying is a be havior that is easily learned through observing.Students justify bullying behaviors by blaming the targets of their attacks. The bully somehow makes it seem as if the victim somehow deserve the bullying. This makes the bully seem powerful and knowledgeable. Since the bully is not punished others who are observing learn that this behavior is acceptable. People learn by observing others and want nothing more but to fit in. People are influenced by other values attitudes characteristics and behaviors especially kids and young adults. Kids that are getting bullied usually don’t say anything because they fear the parents will take away their laptops of cell phone.Since cyber bullies can remain anonymous they do not fear any reprucations so they continue to bully their victim. Conclusion. It comes to show that cybercrime are committed every day. From people getting hacked and getting all there info stolen. To people pirating movie cds DVD and selling g them for much lower price. Hu rting bigger companies. Also having cyber bullies hurting people’s feelings and put them out on the public to suffer humiliation. This makes the victim to find other mean of putting a stop to it. And possibly committing suicide. This people don’t think of other am d the pain and damage they cause .

Free Trade Essay Example | Topics and Well Written Essays - 1500 words - 1

Free Trade - Essay Example In the global context, promoting free trade means opening up global markets. In other words, markets increasingly become liberal as protectionist activities reduce. The idea is to offer global trade players an equal environment within which they conduct their business. Notably, governments are the primary enforcers of free trade in the international trade environment. In streamlining free trade across the globe, governments come up with policies or programs that formulate and implement oversight authorities such as World Trade Organization and the European Union. These bodies enforce trade agreements and relationships, thus ensuring compliance to the set rules and regulations. For the European Union, the mandate of the body goes beyond the trade factor. However, the economic aspect of the union is critical to the realization of free trade within and across member states. The realization of global free trade is not an easy process. This is because diverse and dynamic factors affect trade activities within and across domestic, regional, national, and international levels. In today’s global economy, there are many different operational trade agreements and treaties. This shows the extent to which international trade players are willing to embrace and subsequently practice free trade. David Ricardo’s comparative advantage theory is influential in international trade (Daniels, Radebaugh, & Sullivan, 2012). This theory sets out the advantages of international trade based on the production factor. In light of the theory, trade is important because it allows producers across the globe to capitalize their production strengths while benefiting from the strengths of another state in the same regard. This theory informs the basis of free trade, where stakeholders seek to maximize their trade welfare through liberal or more open markets

Sunday, July 28, 2019

Chip and Pin Card Systems Essay Example | Topics and Well Written Essays - 2500 words

Chip and Pin Card Systems - Essay Example The magnetic strips required the customer to present their cards for swiping in a terminal, sign a slip of receipt and the payment would then be processed (King, 2012). However, with the introduction of chip-and-pin, the customer’s card is swiped and the details would be authenticated by entering a unique pin and the payment would be processed. Based on the introduced chip and pin cards in the United Kingdom, research is to be conducted to determine whether their introduction has really served to reduce incidences of card fraud in the United Kingdom. The main issue in this paper is whether there has been a reduction in card fraud since chip and pin cards were introduced and whether any reduction can be attributed solely to the introduction of chip and pin cards. Literature Review The shift towards the chip and pin technology in the United Kingdom was driven by increasing card fraud, which totaled to a lot of money in 2000. After the introduction of chip and pin technology, the re has been a drastic reduction in card fraud in the UK. The technology is a technology backed by the government to implement the benchmark created by EMV to curb card fraud (King, 2012). This was meant to reduce the fraud committed when transactions are completed face to face with the customer. All major card providers in Europe and Canada have gone the way of the chip and pin technology, but the United States still uses magnetic strips on their debit and credit cards. From research, the working of the chip and pin technology is stated as replacing the common form of card performance; magnetic strips and requiring the customer to sign the accompanying receipt (Diebold, 2011). In chip and pin technology, the customer’s information is stored on an IC chip embedded in the card as opposed to the magnetic strip used before the technology was introduced. The data is then encrypted on the card using different algorithms that generate random numbers when transactions are recorded. I n the previous magnetic strip technology, the card was swiped on a terminal, but with the new technology, the customer inserts the card in a terminal, the information in the integrated circuit is decrypted and authorization for the transaction provided. When the authorization for the transaction is provided, the customer then enters a unique pin, a receipt is generated and the money deducted from the cardholder's account. One of the main security features of chip and pin technology is the ability to use wireless terminals that are more secure since the card is used in the presence of the customer. This also means that the terminals use secure modes of transmission of customer data to a central database. Before the introduction of chip and pin technology, magnetic strips were used for authentication reasons (Financial Fraud Action UK, 2011). The magnetic strip on the card had personal details for the holder which could be related to the bank account in case they want to perform any t ransaction like withdrawing money on the ATM or purchasing items in shops using the card.  

Saturday, July 27, 2019

The Analysis of the Theories of Prebles Art Forms Term Paper

The Analysis of the Theories of Prebles Art Forms - Term Paper Example There are three theories that will be discussed as they come out clearly in the book. It is also important to highlight that chapter five of the book majorly deals with the evaluation of art. The three theories that are the points of focus, as well as attention in the book, are well discussed below: In this theory, the point that it focuses on so much and that it explains as well as envisages is the makeup and the constitution of the work of art. The theory tends to explain much on how the piece of art could have possibly having been affected in one way o the other by the earlier artisans in their creativity and artistic works. It, therefore, gives what made the piece of art be the way it is and why it was designed in the particular form that it is (Patrick 2009). This theory as the name suggests is quite axiomatic and obvious that the theory is focusing on expression. Under this expression, it is to say that the expression is with the aim of worldwide marketing as well as publicity. It, therefore, deals with the expression of personality for the popularity and to make the piece of work well known to the whole world (Patrick 2010). This theory focuses on the contemporary aspects of society. In the discussion, the theory discusses the various environmental issues that influence the works of art, the effect of culture (way of living) on art as well as the effect of the political state or the ruling class on art. It is also important to highlight that economic factors are also having a significant influence on the pieces of art (Suzzane 2010). In the second part of the paper, the paper will delve so much on the one art that is designed and match very well the various theories that have been well discussed in the earlier parts of the paper.     

Friday, July 26, 2019

Diversity's impact on Society Term Paper Example | Topics and Well Written Essays - 1500 words

Diversity's impact on Society - Term Paper Example This implies the different composition that makes up society. That is the cultural, ethnic, racial, and religious differences. However, in the U.S. context, the term diversity will be used to mean the racial and ethnic composition that makes up the country. This paper will describe the diversity and inclusion concepts in the context of U.S. and global society and culture. The paper will mainly focus on African-Americans and the Spanish-Americans in terms of their cultural diversity. It will also discuss how the two diverse cultures and the events contributed to the US society and culture by describing their origins and contribution to the development of the U.S, and how the events that they experienced led to their inclusion into the US society by 1870s (Graen, 2003). The world is a diverse society made of different cultures, ethnic, religious, racial and languages. This is eminent in all parts of the world be it Africa, Asia, America or Europe. The diversity exists mainly due to the different characteristics, beliefs, and religious affiliations. For instance, Muslims poses certain beliefs that are very different from those of their Christian counterparts. Different people are also different in their own way due to their ethnic and cultural background, while in some societies, diversity exists because of racial difference ((Essed, 1996). The U.S. is one country that is highly rich in diverse cultures. It is imperative to state that diversity in the context of the U.S. mainly refers to the racial and ethnic diversity. The U.S. Census Bureau statistics for 2000 reveals that the population of ethnic and minority cultures in the U.S. accounted for over 30% of the U.S. population (Graen, 2003). This translates to more than 100 million diverse racial and ethnic groups. Richard Rodriquez attributes this high number to the high rate of immigration, which began a long time ago

Thursday, July 25, 2019

WarGames Essay Example | Topics and Well Written Essays - 500 words

WarGames - Essay Example His latest goal is to discover how to get into the computers at a gaming company to play their latest big game before it comes out, but he unwittingly ends up inside WOPR, the top defense computer the Pentagon has at its disposal. Presented with a list of games to play, David is especially intrigued by one entitled, "Global Thermonuclear War", a simulation of US vs. Russia nuclear war scenarios. Alas, what started out as a game seems all too real, as WOPR takes over the systems at the NORAD project, and the folks there aren't sure if it is all a game or if the Russian missiles that appear to be poised to wipe out the US means World War III is imminent. Although WarGames is mostly considered a juvenile sci-fi adventure today, it was taken very seriously at the time of its release, thanks to the prevailing fear of nuclear war, in addition to the vast majority of the public not knowing of how such things as modems and computer actually work.

Wednesday, July 24, 2019

International Human Resources Managemnt Essay Example | Topics and Well Written Essays - 3250 words

International Human Resources Managemnt - Essay Example We will briefly start with the need of international human resource management, followed by the increase in problems and hurdles and finally highlight the key strategies that should be adopted to have a strategic international HRM in order to achieve an added or competitive advantage (Lane 2000). This will include a special focus on dealing with expatriates. In the end we will sum it up with certain recommendations and conclusion. Globalization has accelerated greatly in the last few decades. Organizations are crossing borders either through opening branches or subsidiaries in other nations or simply hiring individuals on a contract basis. However, one major misconception is that due to globalization labor environment has become uniform. Though super national bodies such as European Union are trying to develop consistent policies across all nations they are still at a very initial level. Therefore, there is a dire need for having unique HRM policies and strategies for every state in which the business is operating (Caluwe 2000). In this situation the real question arises when there has to be a balanced developed between an integrated HRM practice across border and at the same time keeping consideration of the local perspective. Organizations need to spread their competent policies to other sides of the business. This means that if there is an effective strategy in place at the home ranch it has to be introduc ed in other nations too for competitive advantage. As mentioned in the introduction, there are many factors that make international HRM more complicated and act as a hurdle in achieving a well management system of human resource. Some of them are as follows: 1. Legal laws and policies: Every country has its own labor laws and rights protection policies. Further, how well are they enforced is another factor that differs from one state to another. Multinationals that are present in Europe as well as India have to

Evaluate the Approach of Franklin Roosevelt in Dealing With the Essay

Evaluate the Approach of Franklin Roosevelt in Dealing With the Problems of the Great Depression - Essay Example A large chunk of population was using credit to buy the necessities of life and the consumers were losing their buying power. The production levels fell and the businesses failed. The farmers also suffered as a result of this as the food prices fell (Burgan 9) and the primary industries like mining suffered the most. The USA economy also saw the â€Å"Black Tuesday† in this time when the stock market crashed. Other problems associated with the Great Depression were that a lot of banks had to close down as they had invested large part of the people. When this started happening, a panic was seen throughout the entire country as people started withdrawing their own cash from the banks, resulting in turmoil and more bank closure. Since the banks did not have that much money on hands with them, the people who did not reach the banks in time became bankrupt. In this great depression even farmers were not safe because during this time there were severe droughts as the Great Plains we re hit by dust storms. These storms destroyed everything in their path, the farmer’s crops so that they were not even able to feed themselves in addition of being in debt. The Great Depression started in the United States in the presidency of Herbert Hoover who often gave the hopes for a bright future for the USA but majority of people blamed him for the economic crisis that the USA faced and hence his reelection was out of question (Marsh 8). Therefore in 1932 Franklin Roosevelt was elected as the President of the country with the people banking him on hopes to get them out the disastrous situation. As soon as Roosevelt assumed the office he closed down all banks and ordered them to open when the conditions had stabilized. He then initiated the New Deal. He took a series of decisions and the legislations were passed which the historians see as the 3 R’s. They are recovery, relief and reform. The relief part tended to introduce short term programs that were aimed at fi nishing the immediate sufferings of the poor, recovery aimed at the long term programs to bring the economy back at its pre depression level and reform was aimed at bringing in laws and changes that will prevent future depression like these. The ‘new deal’ was broken down into many parts. The first part consisted of policies of the trickledown effect. The programs pointed towards the Keynesian set of economic policies. The first new deal aimed which was a series of acts in 1933 included the agricultural adjustment act which accepted that low prices resulted from an overproduction of crops therefore the government gave subsidies to farmers so that they produce lesser so that the crop prices can go up again. However some people said that this contradicted with the fact that so many people were going hungry in the country. It also failed to deal with the primary problem of the great depression which was the falling consumer demand due to unemployment and continuously decre asing wages. Then again there was a National Industrial Recovery Act (NIRA) in 1933 which said centralized planning to combat this crisis (Ruggiero 41). Industries were advised to (The New Deal or Radical Change) avoid the cut throat competition and that they would not be broken up but instead would work in collaboration with each other and be controlled by organizing the labor and the governmental activities. They will plan out the activities of the

Tuesday, July 23, 2019

Advances in transportation HW Research Paper Example | Topics and Well Written Essays - 1000 words

Advances in transportation HW - Research Paper Example Transportation in the world has changed significantly since crude carts pulled by animals gave way to sleek cars,ocean liners and airplanes and the iron monster of the railways has been transformed into a light and super fast bullet train. All these modes of transportation have changed the way people live and work and its impact on trade and commerce and people to people contacts in the fields of art and culture has been tremendous. Fast and convenient means of transport have led to intermingling of cultures and an increase in knowledge of how people of different regions of the world live, as well as an awareness of various problems that affect them. Fast transfer of goods and resources are the backbone of modern industry and this has led to better jobs and living conditions for people all over the world. Faster and better transportation facilities also ensure quick relief to those people struck by natural or man made calamities. Although every invention has its drawbacks, these have been greatly minimized by new technologies and the many advantages of advances in modes of transportation have proved a boon to mankind. We have come a long way since man invented the wheel and realized that his own muscle power could be augmented by a mechanical means of transportation. The pace of inventing various new modes of transport increased during the industrial revolution in the 19th. century; but the 20th.century benefited greatly from these inventions and with increasingly faster, safer modes of transportation invented during the last century, lives of human beings have been greatly changed. The change in systems of transportation from waterways to roadways and then from railways to airways has been breath taking and a salute to man’s ingenuity. James Watt’s invention of the steam engine, led to the beginning of the railways and the Wright brothers first taught man how to fly an airplane.Since then many new engines and airplanes have been invented each wit h greater speeds, more comfort and conveniences.Today high speed modes of transportation are the norm rather than the exception. When man lived without railways and airplanes, he lived and died in a small world which did not consist of more than a few hundred miles. As automobiles and railroads were introduced, the world grew smaller and and more accessible; with the introduction of airplanes today it has been transformed into a global village. These faster means of transportation impact every aspect of human life and civilization. Faster means of transportation meant easily crossing boundaries and seeing and experiencing a different world inhabited by different races with different cultures and ways of living and working. Transportation provides access to resources and markets across countries and continents. It is a conduit not only of goods but also of peoples and cultures, the give and take of ideas and new inventions that have greatly influenced advances in sciences and technol ogy, as well as important fields such as medicine and disaster management. Trade and commerce are greatly impacted due to modern transportation facilities. Roads and railways carry goods and people all over the world and across vast continents like Europe, Asia and America. Resources in any one part of a country or continent are processed and marketed in different parts of the same country or in other countries or continents due to modern means of transportation. Today man cannot envisage a life without an automobile or railway system. Simple everyday life would be in disarray without roads and railways. Ordinary activities like going to school or office or buying groceries or taking someone who is ill to a doctor or hospital would be badly affected without these means of conveyance. Perishable goods like fruit and flowers are easily transported over long distances, so that people who do not reside in the areas where they are grown can enjoy them.

Monday, July 22, 2019

To Kill a Mockingbird Racial Differences Essay Essay Example for Free

To Kill a Mockingbird Racial Differences Essay Essay In To Kill A Mockingbird by Harper Lee, the main themes of racism and social inequality are caused by cultural differences. The book demonstrates the struggles associated with the cultural differences in Maycomb, Alabama during the 1940s. The cultural differences are based on the social classes and hierarchy in Maycomb. At the top of the hierarchy are the relatively well-off Finches, with regular townspeople below them. Then there are farmers like the Cunninghams, and then the poor white people like Ewells and finally the blacks. Examples of cultural differences, which cause problems for the inhabitants of Maycomb, come from almost every character. Cultural differences today are profoundly different from those 70 years ago. Racism is not as prevalent and social inequality is almost nonexistent. The first instance of social inequality comes on Scout’s first day of school. When Walter Cunningham denies Miss Caroline when she offers him a quarter for lunch, Scout must explain that Cunninghams never take what they can’t pay back. Also a very dirty Burris Ewell curses at Miss Caroline. This reflects the social hierarchy of Maycomb by showing how the Cunninghams and the Ewells poorest white people in the county. Another example of social inequality is Dolphus Raymond’s problems. The inhabitants of Maycomb see Dolphus as an outcast because he married a black woman. Marrying someone of a different race was extremely uncommon at the time. The biggest example of racism and social inequality was Tom Robinson’s trial. Bob Ewell blames Tom Robinson for the â€Å"rape† of his daughter because it would be the most believable story if a black man did it. In the courthouse there is a separate balcony for black people. Tom Robinson was also convicted guilty even after Atticus gives the jury uncontestable evidence proving otherwise. This is the nadir of racism in the county and shows how the county feels towards blacks. Cultural difference not only cause conflict between blacks and whites but also between white people themselves. Atticus and the rest of Maycomb County are at odds because he defends Tom Robinson while everybody else feels that Tom is guilty. This causes many problems for him and his family too.

Sunday, July 21, 2019

Wet Mix and Dry Mix Concrete: Cost and Quality

Wet Mix and Dry Mix Concrete: Cost and Quality This is a conceptual proposal in which the main objective is to determine the cost and quality effectiveness on the application of modular wet mix and dry mix concrete batching plant. Based on the data collected over the pass years, a detail study was being conducted to determine the various cost factors arising from the setting up of concrete batching plant, production operations, quality control, inventory and delivery of the products to the customers. As this study covers the entire overall operations of a commercial concrete batching plant, the complexity of the various processes and functionalities has to be identified to provide a full understanding on the limitations on the speed, cost, quality, flexibility and dependability. This proposal is also inline with the company long term strategy of increasing the marketing share by twenty percent annual growth. Therefore, to achieve this goal, various steps have to be taken into consideration such as the speed, cost, quality, flexibility and dependability. Existing Dry Mix Concrete Batch Plant Plant Component The basic components of dry mix concrete batch plant and its related facilities are as tabulated below:- Item Descriptions Remarks 1 Ground Hopper For feeding of raw material, coarse and fine aggregates 2 Movable Inclined Conveyor To convey the coarse and fine aggregate to the designated storage compartment 3 Aggregate Storage Bin For storage on top of the aggregate weighing bin 4 Aggregate Weighing Bin For weighing of the coarse and fine aggregates 5 Shooting Conveyor To convey the coarse and fine aggregates at high speed which shoot directly into the mixer drum of the mixer truck 6 Cement Storage Silos For storage of cement OPC, PFA and Slag Cement 7 Cement Weighing Bin For weighing of various cement 8 Water Weighing Bin For weighing of water 9 Admixtures Weighing Bin For weighing of admixtures 10 Control Room To provide staff on the control of the production 11 Water Storage Tank For water storage 12 Aggregate Stockpile For storage of coarse and fine aggregates 13 Slump Check Platform For concrete slump check 14 Wheel Loader For material handling from aggregate stockpiles to ground hopper 15 Mixer Truck For mixing of concrete and delivery of finished products to customers 16 QC Laboratory For quality control and testing 17 Power Supply To provide power supply to the plants and other facilities either by TNB or generator set 18 Waste Material Storage To collect all waste material and disposed to designated area Figure 1 in the Appendix shows a typical dry mix concrete batch plant layout. The ideal size for setting up is plant is 2,950m2, this set up will include a laboratory for quality control, a site office for staff and other facilities such as workshop and weighbridge on material control. Process Flow of Dry Mix Plant The process flow of the entire dry mix plant operation per 8 m3 load is as illustrated below:- Cycle Time per Load = Batching + Mixing Slump Check + Delivery + Discharging + Return + Queuing = 5 min + 15 min + 30 min + 45 min + 30 min + 10 min = 135 min From the process flow mapping, it is clearly shown that the complete process cycle time for 8 m3 load is 135 minutes. As the plant capacity is 80m3/hour, if the efficiency of the plant is 80%, therefore the plant is capable of producing 8 loads of 8m3-load but all the rest of the processes are done by the mixer trucks from mixing to discharging at site. In order to have a smooth operation flow, the number of mixer truck required by this dry mix plant is calculated as below: Number of Mixer Truck = 135/60X8 = 18 From the calculation above, 18 units of mixer truck is required for the smooth operation. Quality of the Product In dry mix plant, all the pre-determined materials are charged into the mixer drum of the mixer truck, then the mixing and quality check are carried out by the individual mixer truck operator accordingly. The product quality is not consistent as this is done by the 18 mixer truck operators and therefore, quality is becoming a major issue in this type of plant as the requirement of the quality is increasing with the advancement in construction technology. This quality will also hinder the further penetration of market share and jeopardise in achieving the long term strategic goal. Cost This operating cost is only covering all the facilities except the raw material cost as this remains consistent either dry mix or wet mix plant. But there are other costs that everyone is aware of such as the maintenance cost of the mixer truck. In this case, the operating cost of the plant is cheap but the mixer truck is much higher as there are 18 units of mixer drums which are having high wear and tear parts as they are used for mixing the concrete. These costs will be tabulated in the comparison and the overall operating cost will be identified. Flexibility In term of flexibility, this dry mix plant will have a limitation in producing high grade concrete as the mixing is done by mixer truck. The mixer truck will not be able to mix consistently and thoroughly inside the mixer drum of the mixer truck as the mixing is only dependent on the ploughing and dropping action of the mixer blade on the side wall of the mixer drum. Other than this, it is the same as in other type of plants. Dependability The availability, reliability and maintainability of this plant is actually quite similar to the other types of plant available in the market but duration for each maintenance will be a little bit shorter than wet mix plant because the components is less and the mixing is transferred to the mixer truck, therefore the availability is better. The reason for this is, there are 18 units of mixer instead of 1 unit of mixer. Proposed Modular Wet Mix Plant Basic Plant Components The basic components of dry mix concrete batch plant and its related facilities are as tabulated below:- Item Descriptions Remarks 1 Ground Hopper For feeding of raw material, coarse and fine aggregates 2 Aggregate Weighing Bin For weighing of various types of aggregates 3 Horizontal Conveyor To convey the weighed coarse and fine aggregates to Inclined Conveyor 4 Inclined Conveyor To convey the weighed coarse and fine aggregates to the aggregate transfer bin 5 Aggregate Transfer Bin For storage on top of the Mixer 6 Mixer For mixing of concrete 7 Concrete Holding Hopper For holding of finished product before discharging into mixer truck 8 Cement Storage Silos For storage of cement OPC, PFA and Slag Cement 9 Cement Weighing Bin For weighing of various cement 10 Water Weighing Bin For weighing of water 11 Admixtures Weighing Bin For weighing of admixtures 12 Control Room To provide staff on the control of the production 13 Water Storage Tank For water storage 14 Aggregate Stockpile For storage of coarse and fine aggregates 15 Wheel Loader For material handling from aggregate stockpiles to ground hopper 16 Mixer Truck For mixing of concrete and delivery of finished products to customers 17 QC Laboratory For quality control and testing 18 Power Supply To provide power supply to the plants and other facilities either by TNB or generator set 19 Waste Material Storage To collect all waste material and disposed to designated area Figure 2 in the Appendix shows a typical modular wet mix concrete batch plant layout. The ideal size for setting up is also plant is 2,950m2, this set up will include a laboratory for quality control, a site office for staff and other facilities such as workshop and weighbridge on material control. Process Flow of Modular Wet Mix Plant The process flow of the entire modular wet mix plant operation per 8 m3 load is as illustrated below:- Cycle Time per 8 m3Load = Batching + Delivery + Discharging + Return + Queuing = 5 min + 30 min + 45 min + 30 min + 10 min = 120 min From the process flow mapping, it is clearly shown that the complete process cycle time for 8 m3 load is 120 minutes. As the plant capacity is 80m3/hour, if the efficiency of the plant is 80%, therefore the plant is capable of producing 8 loads of 8m3-load in just 5 minutes as the process of mixing is done by the mixer and mixer truck is only used for delivery and discharging at site. In order to have a smooth operation flow, the number of mixer truck required by this dry mix plant is calculated as below: Number of Mixer Truck = 120/60X8 = 16 From the calculation above, 16 units of mixer truck is required for the smooth operation. Comparison of Process Flow Item Descriptions Dry Mix Plant Wet Mix Plant 1 Batching 5 minutes 5 minutes (Mixing by Mixer) 2 Mixing 15 minutes (By Mixer Truck) 3 Delivery to Site 30 minutes 30 minutes 4 Discharging at Site 45 minutes 45 minutes 5 Return to Plant 30 minutes 30 minutes 6 Queuing at Plant 10 minutes 10 minutes 7 Total Cycle Time per Load 135 minutes 120 minutes 8 Mixer Truck Required 18 16 By looking at the table above, it is clearly shown that the cycle time per load is reduced by 15 minutes or 11%. The number of mixer truck required to complete the work in progress is also reduced by 2 units, there will be a significant improvement in the whole process flow and this will be reflected in the investment cost and operating cost later. Quality of the Product In wet mix plant, all the weighed materials are charged into the mixer of the mixer for mixing and quality check are controlled by the batching operator accordingly of which the product quality is consistent therefore, quality issues can be minimized in this type of plant as the requirement of the quality can be assured to fulfil the modern construction technology. This quality assurance will also help increase the image and market recognition thus, to further penetrate into the untapped market share and also in achieving the long term strategic goal. Cost This operating cost is only covering all the facilities except the raw material cost as this remains consistent either dry mix or wet mix plant. Tabulated on the next page is the comparison of the overall operating cost of the whole process flow. It can be shown that the overall operating cost is reduced by RM1.26/m3 or 7.2% and it is very significant and substantial as the annual production is huge. For example, an annual production of 1 million cubic meters will mean a saving of RM1.26 million and so on and so forth, thus increasing the profitability of the sales and competency in the market place. Comparison on Wet and Dry Mix Plant Operational Cost excluding Raw Material Flexibility In term of flexibility, the wet mix plant will have less limitation in producing high grade concrete as the mixing is done by mixer. The mixer will be able to mix consistently and thoroughly inside the mixer as the mixer is specially design for this specific purpose. It can also produce different types of design mix as required by customers. Another advantage is that the supply radius can be increased by 5 km, thus the coverage area. Dependability The availability, reliability and maintainability of this plant is actually quite similar to the other types of plant available in the market and the duration for each maintenance will be a little bit longer than dry mix plant because the components is more, therefore the availability is slightly less but this can be eliminated by pre-planned preventive maintenance. Conclusion With the study and experience that had been merged and input, it is strongly advisable to convert all the dry mix plant into the modular wet mix plant for the following reasons:- Cheaper operating cost as justified on the operating cost Better flexibility for high grade concrete Less mixer truck requirement Quality consistency and assurance All the above implementations will be justifiable to achieve the company long term strategy to provide the highest quality, service at the lowest cost and to increase the market share in the next 10 year.

Saturday, July 20, 2019

ICE Construction Contract

ICE Construction Contract The ICE Conditions of Contract 7th edition Measurement Version 1. Introduction The ICE contract has been around since 1945 and is intended for use on civil engineering work. Civil engineering work is fundamentally different from building work it involves fewer trades, but can be much bigger in scale; there is greater uncertainty in civil engineering work, particularly in ground works. When a site investigation takes place for building work, bore holes and trial pits usually give a good indication of the extent of ground water, rock and the like; in the case of a large reservoir, for example, it is impossible to be as certain. This in turn can mean that structural work needs to be varied. For these reasons the work has to be remeasured and valued as it progresses, the bill of quantities being approximate a point of confusion is when should work be measured and valued under the contracts variation provisions, and when should the remeasurement provisions be used. The bill of quantities therefore has two main functions; firstly, as a tendering document; and secon dly, as a basis for valuation. The contract does not recognise the existence of a quantity surveyor. All payment and valuation is by the engineer, although a Q.S. may actually do some of this work. This note does not cover everything in the conditions, but highlights some of the more contentious areas. 2. Discussion of Clauses Generally The clauses contain no punctuation. Only a court can decide where punctuation can go. Clause 1 definitions and interpretations Sub-clause (1)(c ) defines the Engineer. The Engineer is a person or Firm..This should be read in conjunction with clause 2(2)(a) the contractor must know who will be giving it instructions. Sub-clause (1)(v) defines the site. This can include other places and not just the land where work is taking place. Sub-clause (2) defines cost .all expenditure properly incurred or to be incurred whether on or off site including overhead finance and other charges properly allocatable thereto but does not include any allowance for profit. Clause 2 The Engineer and the Engineers Representative The Engineer Carries out duties specified in or implied by the contract Has the authority specified in or implied in the contract A named Chartered Engineer must act as the engineer if a firm is stated in the contract, a named individual must be nominated within 7 days of the award of the contract, and before the works commencement date The Engineer can be replaced the contractor must be informed The Engineers Representative Has more power than the clerk of works under JCT Engineers duties may be delegated, apart from decisions and certificates under 12(6), 44, 48, 60(4), 61, 65 or 66. Delegation shall be in writing with a copy to the contractor Assistants The Engineer or the ER may appoint assistants to assist the ER. Names shall be notified to the contractor. Assistants are purely concerned to secure the acceptance of materials and workmanship as being in accordance with the contract. They can issue instructions only in relation to these matters. Instructions Shall be in writing However, the contractor shall comply with oral instructions different from JCT. Oral instructions can be confirmed in writing by the contractor or Engineer no time limit, but as soon as is possible under the circumstances The Engineer or ER can be asked to specify under which of the Engineers duties or authorities the instruction was issued. It does not refer to an empowering provision, another clause in the contract, unlike JCT Clause 5 (documents mutually explanatory) This clause is very brief but highly contentious. On the face of it, it says that the various documents forming the contract shall be taken as mutually explanatory and any ambiguities shall explained and adjusted by the engineer who shall thereupon issue instructions in writing to the contractor. These instructions shall be regarded as instructions issued under clause 13. (More will be said about clause 13 later on!). Does this clause mean that only ambiguities and discrepancies included in the tender documents can be adjusted? If an error in the tender documents was so obvious when looking at the documents as a whole, should an engineer refuse to issue an instruction? Unlike JCT, the contractor does not have to notify the engineer about any matters requiring clarification. On the other hand the word shall imposes a duty on the engineer to issue instructions and does not confer any discretion on the engineer. It is curious that clause 13(3) refers back to clause 5 and allows for payment to be made to the contractor, but clause 5 itself makes no mention of payment. See also the comments on clause 8 below. Clause 7 (further drawings specifications and instructions) There are two classes of further drawings specifications and instructions: i). Those which amplify and explain what is already in the contract. ii). Those which require any variation to any part of the Works.. In this case the work is deemed to be a variation under clause 51 i.e. no formal instruction in writing is needed. The express link between clause 7 and clause 51 implies that the valuation rules under clause 52 should apply. It should also be noted that the contractor could be paid under clause 13, although clause 7 does not state this. Under sub-clause (1) the information shall be supplied from time to time. This means that the engineer can take into account the contractors actual progress on the job. Sub-clause (3) States that the contractor shall give adequate notice in writing. and sub-clause (4) allows for the contractor to be given an extension of time and extra costs if it is delayed by failure or inability of the Engineer to issue at a time reasonable in all the circumstances Drawings, Specifications or instructions requested by the contractor.. The words requested by the contractor are rather ambiguous is formal written notice under sub-clause (3) a condition precedent to the operation of sub-clause (4)? Clause 8(1) (contractors general responsibilities) Under this provision the contractor shall (a) construct and complete the works (the meaning of such phrases has already been covered) (b) provide all labour materialsand everything.required .for such construction and completion so far as the necessity for providing the same is specified in or reasonably to be inferred from the Contract. The highlighted words suggest that if ambiguities and discrepancies could be corrected by inference from other contract documents, then the contractor could not expect the engineer to act under clauses 5 and 13. Clause 10 (performance security) This very important clause will be discussed in the lecture on insurances and bonds. Clauses 11 and 12 (the basis on which the tender was based/ claims arising from adverse physical conditions and artificial obstructions) Clause 11 Sub-clause (1) under ICE 6 the employer was deemed to have made available to the Contractor, before submission of tenders, all information on ground works obtained by or on behalf of the Employer from investigations undertaken relevant to the Works. This meant that the employer should have given the contractor every piece of information about the site that was in the employers possession, and if he did not do so the contractor could have grounds for a claim under clause 12 irrespective of the contractors obligation to inspect the site under sub-clause (2). The wording has now been changed to reflect the fairer position that the contractor should have priced that job on the basis of the information actually passed to it (subject to its obligation to inspect the site under sub-clause (2). A new section (1)(b) has been added covering pipes and cables in on or over the ground. Second part of 11(1) the contractor is responsible for the interpretation of all such information for the purposes of constructing the Works. does this refer to the tender preparation or the work on site? Sub-clause (2) inspection of site the contractor is deemed to have (a) inspected the site (b) to have satisfied himself so far as is practicable and reasonable on (i) the form and nature of the ground (ii) the extent and nature of the work (iii) means of communication and access etc. to the site (iv) obtaining information as to risks contingencies and all other circumstances Sub-clause (3) basis and sufficiency of tender the contractor shall be deemed to have (a) based his tender on his own inspection and the information made available by the Employer or obtained by the contractor (b) satisfied himself as to the correctness and sufficiency of the rates and prices stated by him in the bill of quantities. Clause 12 Sub-clause (1) Has the Contractor encountered physical conditions (other than weather conditions or conditions due to weather conditions) or artificial obstructions which could not reasonably have been foreseen by an experienced Contractor? Clearly, foreseeability would need to be examined in the light of what information the employer passed to the contractor under 11(1) and the information that should have been gathered by the contractor under 11(2). If so written notice should be given Under sub-clause (2) the Contractor shall at the same time or as soon thereafter as may be reasonable inform the Engineer in writing pursuant to Clause 53 and/or Clause 44(1) that he intends to claim costs and/or time NB clause 53 has a 28 day limit! Sub-clause (3) requires the Contractor to give details of any anticipated effects of the physical conditions or artificial obstructions; measures he has taken or is taking; and anticipated effects, costs and delays in or interference with the carrying out of the Works (whether or not the contractor intends to submit a claim). Sub-clause (4) action by the engineer he may require the Contractor to investigate and report on alternative measures; he can give written consent to the measures taken by the Contractor; give written instructions as to how the physical condition or artificial obstruction should be dealt with; and he can order suspension under clause 40 or a variation under clause 51 Up to this point there is no admission of liability on behalf of the employer unless a variation has been ordered Sub-clause (5) if the Engineer decides that the physical condition or artificial obstruction could have been reasonably foreseen by an experienced Contractor then the Engineer shall inform the Contractor in writing however, any variation ordered under sub-clause (4)(d) shall be paid under Clause 52. Sub-clause (6) the engineer determines the delay and costs incurred with a reasonable addition for profit, and any extension of time provided that the conditions or obstructions could not reasonably have been foreseen by an experienced contractor. There is no need for the contractor to submit a separate claim for an extension of time under clause 44. Clause 13 Sub-clause (1) (work to be to satisfaction of engineer) Save insofar as it is legally or physically impossible the Contractor shall construct and complete the Works in strict accordance with the Contract.and shall comply with and adhere strictly to the Engineers instructions on any matter connected therewith (whether mentioned in the Contract or not). These words have barely changed over the years, and have been considered by the courts in several prominent cases. Consider the following scenario: A contractor is asked to forward a method statement with his tender. When the work starts it soon becomes apparent that the contractors method statement is impossible to work to, and he has to do the work in a more expensive manner. Can the contractor claim the extra costs involved? Sub-clause (2) states that the mode and manner of construction shall be to the engineers satisfaction. Sub-clause (3) gives the procedure for dealing with delay and extra costs. A final point to consider; should variations be issued under clause 51 or 13?! Clause 14 The Programme The programme under ICE has much more significance than under ICE, but not as much as under the NEC. It is, however, not a contract document. The programme should be submitted by the contractor within 21 days of the award of the contract. There are procedures for the Engineer to accept or reject the programme with reasons. In that case the contractor must amend and resubmit the programme. These procedures are all carried out in 21 day time frames. Together with the programme the engineer may request a general description of the arrangements and methods of construction. The accepted programme should be revised if the Engineer considers that the actual progress of work does not confirm to the programme. Clause 40 The Engineer may instruct the contractor to suspend the progress of the works or any part thereof. Subject to the exceptions listed, the contractor can be given an extension of time and costs. Clause 41 The contractor shall start the works as soon as is reasonably practicable after the works commencement date. The contractor should proceed with due expedition and without delay. Clause 44 The contractor should give notice within 28 days if the matters listed entitle him to an extension of time. Note sub-clause (1)(f) other special circumstances of any kind whatsoever This would be interpreted contra proferentem by a court. The Engineer shall make an assessment of the delay and notify the contractor in writing. The Engineer shall also make an assessment in the absence of a written notice from the contractor. The Engineer can make an interim extension award. This cannot later be reduced. The Engineer makes a further assessment at the due date for completion. Again, this cannot later be reduced. The Engineer makes a final determination within 28 days of substantial completion. Clause 46 If the Engineer considers that the contractors rate of progress is too slow, he may issue a notice to the contractor. The contractor shall then take steps to expedite the progress of the works. This is not acceleration. Acceleration is covered by sub-clause (3). Clause 47 liquidated damages Unlike JCT, the Engineer does not issue a notice of non-completion/ Note that under ICE, the deduction of LADs is suspended for the period of an intervening variation, then resumes. JCT does not specifically state this, but legally the position is the same. Clause 48 This covers substantial completion, which is different from practical completion under JCT. under ICE the contractor starts the procedure by notifying the Engineer; there is no such notice under JCT. The Engineer decides within 21 days. The work so certified shall have passed any final test. Outstanding work can be completed after substantial completion; there are no criteria defining when such work can so be permitted. Clause 49 Covers outstanding work. The contractor must continue insuring this work until it is accepted. Clauses 51 and 52 variations and their valuation These are similar to JCT. Note that if the contractor informs the Engineer that a rate for work not the subject of the variation is rendered inapplicable by the variation, the Engineer shall fix the rate. Clause 53 additional payments Claims are submitted under this clause, apart from any dealt with by clauses 12 or 13. Note that the basis of payment is cost, not loss and/or expense. Clauses 55-57 Measurement ICE is a measure and value contract, so procedures for remeasurement need to be included. The quantities in the BQ are estimates The Engineer ascertains by admeasurement Rates can be adjusted if the quantity of an item increases or decreases this is determined by the engineer after consulting the contractor The contractor is to be given an opportunity to attend for measurement if he does not, the Engineers measurements are taken to be correct. Remeasured work may be valued on daywork The method of measurement is CESMM unless otherwise provided in the contract Clause 60 Certificates and Payments The contractor prepares interim payment applications unless the contractor decides one is not needed Payments are made monthly A minimum amount stated in the appendix must be reached before a payment is made Interest is payable on overdue payments. This is in addition to the right of suspension under the Construction Act. Within 3 months of the defects correction certificate, the contractor shall forward to the Engineer a statement of final account. Within a further 3 months the Engineer issues the certificate. This is only a payment certificate and signifies nothing else. Clause 61 Defects Correction Certificate This is issued At the end of the DC period If more than one DC period applies, it is issued at the end of the last period Outstanding work under 48 must be completed Making good under 49 and 50 must be completed The certificate states the date when the contractor shall have completed his obligations to construct and complete the Works to the Engineers satisfaction. This is the most important certificate under ICE. Compare this certificate with the final certificate under JCT.

iceman - preservation Essay -- essays research papers fc

1. Explain why the iceman was so well preserved? ( source one) It is said that a frozen body will stay preserved over hundreds, even thousand of years. During the first stage of investigations Austrian archaeologist Konrad Spindler researched the layout which had proved that the iceman’s body position and placement of weapons were preserved in the same position from when the Iceman had died, it had also been proved that the body was initially covered in a thin layer of snow which had helped complete the freeze drying process before it turned into ice. The body had been so well preserved because of the depth that the Iceman was actually lying in the ground, which was near the watershed (watershed meaning a line of high land where streams on one side flow into one river or sea and streams on the other side flow into another.) This meant that a glacier would be able to develop above him throughout the next millennia without moving his position down hill. In this position he was able to remain buried, frozen, covered and protected by the cold over a period of 5,300 years as the worlds oldest, best preserved natural mummy. 2a) What purpose do you think the tattoo served? (Source 2) Scientists believe that the Iceman’s tattoo’s were first applied in 3,200 BC, the first evidence of acupuncture. Based on this information I believe that this ‘cruciform tattoo’ was marked on the iceman’s body in order to serve as a medical and therapeutic purpose, as it was discovered that he suffered from Acute Arthritis, Worms and Diarrhoea. Dr Frank Bahr (President of the German Academy for Acupuncture) who studies the trends and patterns of the iceman’s tattoos, believes that the cruciform, meaning cross-shape, tattoo and a master point tattoo on his back were applied in order to treat rheumatism. Bahr says â€Å""These points would still be selected by the best acupuncturists today." "It is the most common combination for treating rheumatic illness." Bahr also discovered 15 other smaller groups of tattoos marked on the Iceman’s back and legs which form an ancient acupuncture chart developed in central Europe, 2000 years before china. Bahr states â€Å"I was amazed , 80% of the points correspond to those used in Acupuncture today.† 2b) How does this influence previous historical concept of body art? Body art is one of the oldest forms of creative expression ... ...le to be Bias as there is no variety from where and who the opinions come from, they are one sided views which no one has attempted to prove or disprove in this particular article. 3c) Who is the main audience or who is source 10 aimed at? Source 10 is mainly aimed at an audience of an older mature group both male and female who particularly take an interest in science and history as the article has been printed in â€Å"Science Today† . Bibliography Konarad Spindler (1995) The Man In The Ice, Orion Books, London Chapter 13 Page 69-71 Chapter 15 Page 77-81 Chapter 17 Page 80-83 Toni Hurley, Philippa Medcalf, Jan Rolph (2000) Antiquity 1 Second Edition, Oxford University Press, South Melbourne Victoria, Australia Chapter 1 Page 5 Chapter 10 Page 103, 104, 113 Scott Fetzer (1991) The World Book Encyclopedia, World Book Inc, Chicago London Sydney Toronto Reference - B number 2 page 648 Left page right column. http://www.mummytombs.com/mummylocator/featured/otzi.htm Last updated 2000 http://dsc.discovery.com/convergence/iceman/iceman.html Last updated 2005 http://www.fashion-era.com/jewellery.htm Last updated 1999 http://www.vroma.org/~bmcmanus/clothing2.html Last updated 2003

Friday, July 19, 2019

The Evolution of Federalism Essay -- History Historical Democracy Essa

The Evolution of Federalism American federalism has changed drastically since its genesis. In 1776 the thirteen colonies adopted the Articles of Confederation in order to coordinate their efforts in the war for independence. The Articles of Confederation bound the states together in two main aspects; foreign and military affairs. The Articles of Confederation worked well while all the states had a common cause. However, as soon as the war ended and interests began to change, it became obvious that the Articles were not enough. This brings on the creation of Federalism (Reinventing American Federalism).   Ã‚  Ã‚  Ã‚  Ã‚  In May of 1787, in the city of Philadelphia, delegates from all thirteen states met in order to â€Å"create a more perfect union†. The result was the Constitution of the United States. Delegates debated over which form of government would best suit both the security, and the freedom that many sought in this new government. The delegates rejected both confederal and unitary models of government for a new form of government called federalism. Federalism differs from the former two in that, unlike the unitary form of government, which is ruled by a central government, federalism is not based on a hierarchy in which the state levels of government perform the duties and tasks handed down by the central governmental system. Also, unlike the confederal system which gave all power to the states, only some of the power would be granted to the states. The federal government would handle foreign affairs, trade, military, and the economy (Reinventing American Federali sm).   Ã‚  Ã‚  Ã‚  Ã‚  Throughout the first half century of federalism, many argued over the roles that the federal and the state systems should play. By the time of the civil war, slavery was at the top of the debate. Should slavery be a national or a state issue? The end of the civil war brought an answer to this debate with the addition of the 13th, 14th, and 15th amendments (Hyde). These amendments ended slavery, and reduced the power of the states over civil rights matters.   Ã‚  Ã‚  Ã‚  Ã‚  The federal government started taking on a bigger role in the turn of the twentieth century. President Roosevelt expanded federal authority with his New Deal program. The New Deal program was funded by the federal government, but administered by the states. This brought on the grant-in-aid system, a system in which the federa... ...through the minds of every one of those delegates in Philadelphia. These questions are still being debated today. The role of the government is constantly changing. It has the great ability to adapt to the needs of the people. During the great depression, the federal government stepped in and gave aid to the needy. During the struggle for equality, the federal government gave rights to minorities when states would not. Federalism is perhaps the greatest form of government by the people and for the people because of its evolution. Because people and society change, so must the form of government that presides over them. Federalism allows the flexibility to do so. Works Cited Hyde, Henry. The Constitution of the United States of America.   Ã‚  Ã‚  Ã‚  Ã‚  Washington: United States Government Printing Office, 2000. Reinventing American Federalism. Issues of Democracy: Electronic Journals of the U.S. Information Agency. April, 1997 Volume 2, Issue 2. Sidlow, Edward, and Beth Henshcen eds. America at Odds 4th ed.   Ã‚  Ã‚  Ã‚  Ã‚  California: Wadsworth, Thomas Learning, 2004. Simon, Dennis. The Civil Rights Movement,   Ã‚  Ã‚  Ã‚  Ã‚  March 26, 2005. http://faculty.smu.edu/dsimon/Change-Civ%20Rts.html

Thursday, July 18, 2019

The Chronic Lyme Disease Health And Social Care Essay

Lyme disease is a terrible public wellness issue. It is the most common tick-borne infection in the northern hemisphere of the universe ( Feder et al 2007 ) . In North America it is caused entirely by Borrelia burgdorferi sensu strict ( henceforth referred to as B. burgdorferi ) , while in Europe it is caused by B. afzelii, B. garinii, B. burgdorferi, and infrequently by other sorts of borrelia ( Feder et al 2007 ) . Lyme disease can be reasonably easy to handle in some patients. However, for some patients, it can go like an eternal conflict. Chronic Lyme disease ( CLD ) , which has been making much contention, is a systemic, disabling status which persists in malice of the therapy. There is an on-going argument if there is such a disease that can be classified as a CLD among scientists. Because of the fact that there is no defined trial for the presence of CLD, health care suppliers have to trust to a great extent on patients symptoms in most of the instances of reoccurrence. Furthe rmore, as CLD patients represent a instance of Heterogeneity of Treatment Effect ( HTE ) which indicates patient ‘s response to the same intervention varies in different patients, it makes it harder to generalise the definition of CLD. Different Lyme patients have different responses to a standardised intervention. ( Green 2009 ) Furthermore, the intervention of the CLD is ill-defined at this minute ( Marques 2008 ) ; hence making the uncertainty if there is of all time a disease to be cured. Some scientists suggest utilizing antibiotics as a intervention for CLD ( Stricker 2007 ) while others consider it as a mistreatment ( Hodzic et al 2008 ) . In this paper, I will get down with the general information of Lyme disease and analyze the groundss of the being of CLD. Furthermore, I will discourse the way of the farther surveies for the intervention of the disease based on the surveies that were conducted throughout the clip. Besides, I will take a expression at the opposing side of the statement claiming nonentity of CLD and discourse the exposure that their claim possesses.Why does the being of CLD affair?Lyme disease in the United States of America is bit by bit increasing over old ages, and the coverage instances of Lyme disease in 2009 is making 38,000 instances which is twice every bit much compared to the instances in 2006 which was 20,000. ( Centers for Disease Control and Prevention 2009 ) ( Figure 1 ) The country of infection has broadened, and health care suppliers have seen Lyme disease instances in about all provinces in the United States. However, it is still true that most reported instances are significantly con centrated in the Middle atlantic States, Minnesota, coastal Northeast, and northern California. Lyme disease can be found in the other continent including Asia and Europe. ( NIH 2008 ) Therefore, a batch of patients are enduring from Lyme disease and it is estimated that more than 30 % of Lyme disease patients reach the phase where the symptoms are relentless more than few hebdomads despite the intervention. ( NIH 2008 ) However, irrespective the figure of patients who are enduring from these conditions referred as CLD, there is still an on-going argument sing being and intervention of this disease. Approximately 11,400 people were enduring from CLD in 2009 harmonizing to the coverage instances of 38,000 and 30 % rate of going CLD. In a terrible instance ( Cameron 2006 ) , about 66 % of 215 Lyme disease patients diagnosed in Westchester County, New York, USA remained sick after intervention for an norm of 3.2 old ages. If this affair remains unsolved, it will ensue a effect where pa tients can non acquire a proper intervention for CLD. It is an pressing affair for scientists to happen out a solid intervention to profit those patients.So, does CLD be?Lyme disease, a many-sided infection, has a legion aim symptoms including febrility, concern, stiff cervix, and fatigue. The most typical and common symptom of Lyme disease is a characteristic tegument lesion called erythema migrans ( EM ) roseola which appears in the early phase of Lyme disease. On the other manus, the most common symptom that can be seen in CLD is pauciarticular arthritis, and certain neurologic and cardiac manifestations, all of which normally respond good to conventional antibiotic therapy. ( NIH 2008 ) Other than symptoms, there are several groundss to turn out the being of CLD. As mentioned in the beginning, it is estimated that 30 % of Lyme disease patients develop farther status called CLD. Although after the antibiotic intervention take attention of the infection in most instances ( Klempner et al. 2001 ) , a minority of patients have musculoskeletal hurting, concentration trouble, short-run memory trouble, weariness, or all of these symptoms with or without clinical or serologic grounds of old early or late Lyme disease. ( Feder et al. 2007 ) It is thought to be a CLD when a patient exhibits these self-limiting and normally mild conditions longer than about 6 months. ( Nau et al. 2009 ) Thirty-four per centum of a population-based, retrospective cohort survey in Massachusetts was discovered to hold neurocognitive damage, arthritis or recurrent arthralgias, and neuropathy or myelopathy, a mean of 6 old ages after intervention for Lyme disease. ( Cameron 2010 ) In a cohort survey of 215 in turn treated Lyme disease patients in Westchester County ( Asch et al. 1994 ) , 62 per centum of patients had symptoms such as arthralgias, arthritis, and cardiac or neurologic engagement with or without weariness a mean of 3.2 old ages after intervention. ( Cameron 2010 ) In the tests of Klempner et Al. ( 2001 ) , there were studies that 41 % of topics exhibiting with well-documented, antecedently treated Lyme disease had relentless musculoskeletal hurting, neurocognitive symptoms, or dysesthesia, frequently associated with weariness and were ill during a mean of 4.7 old ages after oncoming. In a survey utilizing mice ( Hodzic et al. 2008 ) , relentless infection was documented by feeding ticks upon the mice and so proving the ticks for spirochaetes ( xenodiagnosis ) after 30 yearss of antibiotic ( Rocephin or Vibramycin ) intervention. This infection could be detected by xenodiagnosis for about 3 months after antibiotic intervention. Besides, relentless infection was confirmed by sensing of low degrees of spirochetal DNA in tissues for up to 9 months. Furthermore, Four National Institutes of Health ( NIH ) sponsored tests were conducted as double-blind randomised placebo- controlled tests ( RCTs ) corroborating the being and badness of CLD ( Cameron 2010 )There are still uncertaintiesThe 2006 Infectious Diseases Society of America ( IDSA ) Lyme disease intervention guideline panel inquired the being of CLD despite the documented grounds that were presented including the 1s provinces above. The IDSA panel questioned the being of CLD and concluded by stating that there is considerable contention and confusion exist over the cause and frequence of this procedure and even over its being. ( Cameron 2010 ) Besides, some of CLD patients have negative consequence with the trials provided to find Lyme disease thereby does non measure up for the intervention. ( Green 2009 ) CDC ( 2010 ) proposes a two-step process when proving blood to find manifestation of Lyme disease. The first measure uses an ELISA or IFA trial. If ELISA or IFA is negative, it is considered that patient most likely does non hold Lyme disease, and no farther testing is recommended. If they are positive or ambiguous, a 2nd measure should be carried out to verify the consequences. These trials can give a falsified consequence due to its sensitiveness of the trials are comparatively high. Therefore, about everyone with Lyme disease, and some people who do non hold Lyme disease, will prove positive. The 2nd measure employs an immunoblot such as a Western smudge or striped smudge trial. When used suitably, this trial is designed to be specific, significance that it will typically be positive merely with an septic individual. It suggests that the first trial was a false positive if the Western smudge is negative. Furthermore, the fact there is no definite trials to name or intervention to bring around CLD causes a uncertainty whether there is an existent disease to be treated. ( Green 2009 )Further groundss of CLDLyme disease is diagnosed based on physical findings, symptoms, and a history of possible debut to infected ticks.A ( Klempner et al. 2001 ) Validated laboratory trials such as ELISA, IFA, and immunoblot could be really utile but are non recommended in general when a patient has erythema migrans.A Several signifiers of research lab proving for Lyme disease are offered ( Table 1 ; Feder et Al. 2007 ) , some of which have non been sufficiently validated such as urine antigen trials, immunofluorescent staining for cell wall-deficient signifiers of B. burgdorferi, and lymphocyte transmutation trials ( CDC ) Most normally used and recommended trials are blood trials that step antibodies made in response to the infection. These trials are rather reliable for naming ulterior phases of disea se, but it can be falsely negative in patients with early disease. Some patients with early Lyme disease who are treated with antibiotics will non bring forth antibody response to infection, which will ensue in continuously negative serologic trial consequences. ( Ogden et al. 2008 ) Even with those methods of diagnosing, it is really difficult to stipulate CLD from the early phases of Lyme disease. In some patients, symptoms reoccur after the intervention or symptoms ne'er go off in other instances. ( Klempner et al. 2001 ) The word â€Å" chronic † has been used to Lyme disease widely. There are some illustrations where other diseases use the term â€Å" chronic. † For case, there is a â€Å" chronic neuroborreliosis † in Europe, and it is referred as when patients show late neurologic manifestations of untreated or inadequately treated infection. Besides, United States has studies patients with recurrent or relentless arthritis that lasts for up to several old ages, most likely because of active infection. ( Feder et al. 2007 ) However, although there are no definite trials to name CLD yet, there are four classs that can be used as a diagnosing of CLD depending on patient ‘s status. ( Feder et al. 2007 ) ( Figure 2 ) Class 1 patients do non hold laboratory grounds or nonsubjective clinical manifestations of B. burgdorferi, and they receive a diagnosing based on the presence of non-specific symptoms such as dark perspiration, weariness, depression, and concern. Category 2 patients have identifiable unwellnesss or syndromes other than Lyme disease, and patients may or may non hold a history of Lyme disease. Category 3 patients have symptoms of unknown cause, with antibodies against B. burgdorferi but no history of nonsubjective clinical findings that are consistent with Lyme disease. Last, category 4 patients have symptoms associated with post-Lyme disease syndrome. Sing the tests and the experiments presented, it is non difficult to state that the decision should be tilting towards to the being of CLD. Although symptoms vary among patients showing HTE ( Marques 2008 ) , these classs can be a good index to place a patient in CLD patient pool. Furthermore, although there is no trial to corroborate presence of CLD, there is besides no clinically available proving up to day of the month to turn out that B. burgdorferi infection has been eradicated. However, there has been some proving demonstrated, that B. burgdorferi can stay in animate beings and worlds in an infective province, even after with recommended antibiotic intervention. ( Hodzic et al. 2008 )TreatmentThe following inquiry that arises sing CLD is its intervention. Since authorities ( CDC ) clarified their place with the being of CLD and confirmed it as a legitimate diagnosing, except some of those scientists who strongly deny the diagnosing, the contention about CLD moved onto the intervention of CLD. Some scientists claim that antibiotics should be used as a intervention ( Green 2009, Klempner 2007, and Fallon et Al. 2007, ) while other scientists say antibiotics should non be recommended as a intervention. ( Hodzic et al. 2008 ) Generally, for early Lyme diseas e, a short class of unwritten antibiotics such as Vibramycin or Amoxil is curative in the greater portion of the instances. In more complex instances, Lyme disease can normally be successfully treated with 3 toA 4 hebdomads of antibiotic therapy, and so far, it is the lone intervention for Lyme disease. ( Fallon et al. 2007 ) However, there is no solid remedy for CLD and it is a really sensitive issue whether antibiotics should be used or non for this diagnosing. There are several surveies conducted demoing reoccurrence of Lyme disease symptoms and betterment of symptoms with drawn-out antibiotic intervention. ( Green 2009, Klempner et Al. 2001, Fallon et Al. 2007, and Oksi 2007 ) Some patients treated with antibiotics for CLD in a dual blind, placebo-controlled re-treatment surveies ( Fallon et al. 2007 ) , which have neurocognitive via media and weariness, acquire better upon re-treatment with 3-10 hebdomads of Ceftriaxone. ( Fallon et al. 2007 ) discovered that patients re-treated for partial response/failure improved in parametric quantities of weariness, hurting and functionality. They besides found that neurocognitive via media did non heighten, even though Fallon found that patients improved at the three-month measuring, but did non keep betterment at the six-month measuring. Oksi ( 2007 ) conducted a partial re-treatment test and partial new patients. All patients were treated with Ceftriaxone for 3 hebdomads and improved 79 % for both new oncoming borreliosis and return or continuity. This survey was intended to prove if longer interventions after 3 hebdomads of IV Ceftriaxone had an improved result. In this survey, 10 hebdomads of farther intervention with unwritten Amoxicillin ( 1500mg a twenty-four hours ) did non advance better result. This test has statistical restrictions due to HTE which makes it complicated to generalise the result to all station intervention Lyme patients. Although non all parametric quantities in survey of Fallon et Al. ( 2007 ) continued betterment, betterment in weariness is an highly of import result, frequently allowing handicapped patients to return to household life and work. Because of the power of these three surveies, length of the surveies, dependable methods they used, and big figure of topics, these surveies should be considered pilot surveies. As indicated earlier, there are several classs among CLD patients. Although antibiotics intervention was effectual in some patients, it is non clear whether it should be introduced to all patients who suffer from CLD, since the maltreatment of antibiotics could ensue in have considerable damage in their health-related quality of life. A survey was conducted by Mark Klempner in 2001 ( Klempner 2001 ) demoing the serious damage of health-related life quality after the long period debut to the antibiotics.DecisionAs demonstrated, response of Lyme patients to the same therapy is different from patient to patient, clear uping that Chronic Lyme patient exhibit Heterogeneity of Treatment Effects ( HTE ) . This besides makes it difficult to name the presence of CLD in persons. However, clinical groundss indicate that there is a disease that can be classified as CLD. CLD can go terrible. The restrictions in physical operation can be harming quality of life in a serious manner. One survey ( Klempner 2001 ) described the quality of life for patients who suffer from CLD as the same to that of patients with degenerative arthritis or congestive bosom failure, and patients physical damage was greater than damage of patients with type 2 diabetes or a recent myocardial infarction. Fallon et Al. ( 2007 ) described the weariness reported by patients with CLD was likewise to that of patients with multiple induration ( MS ) and their hurting was similar to those of postsurgery patients. Cautiously designed, placebo-controlled surveies have been successful to demo that drawn-out antibiotic therapy is good in certain instances. Even though stray success instances are ever good to hear, such studies entirely are non plenty evidences to prolong a curative attack. Therefore, it is of import for clinicians to recognize the significance of intervention in single patients who is enduring from CLD and the effort to happen a clear declaration should be pursued in farther tests and experiments.

Surfing Practice Expository Essay

Practice Essay Academic paper Many people say grazeriding isnt a sport, its a lifestyle but, its more than that. From the routine you get-go step in the nautical to the day you die it is a dampen of you. It becomes the way you think and what plays across your judging when you ar in that subconscious enounce between awake and asleep. It has an affair with your emotions and embeds itself in the depths of your heart. You back end non get rid of the ocean formerly its made its mark on you. It is unlike any other colony on the planet. They say too more than of anything can kill you, but, when it comes to glide you can never get enough. glide began in the islands of Hawaii, the first ever report written by Lieutenant James King of victor James Cooks channelise Discovery. In this report he exposit the art of surfriding over ii pages in the narrative portion of captain Cooks journals. Surfing was an super apparitional and important part of Hawaiian life, so much so , that pop outs were named after event surfing incedents. When the Calvinistic Christian Missionaries arrived in Hawaii the number of surfers in the wet declined rapidly as the missionaries claimed the sport, amongst others, was Against the laws of God.For old age it was rare to see a surfer in the water, the surfing culture had most died out. However, in 1907 Jack London a famous author took a pass in Hawaii staying in Waikiki and was introduced to surfing by Alexander Hume Ford and George Freeth. cosmos an author, it was no surprise when Jack wrote of his surfing experience in his book authorize A Royal Sport Surfing in Waikiki. This new publicity aphonic life into the dying sport and not long after George Freeth was asked to put on a wave riding materialisation in California, bringing surfing to America.Now days, surfing is a huge sport. in that respect are approximately 23 million surfers worldwide, a stark contrast to the late 1800s in Hawaii. Surf companies are soda pop up all over the place their main aim to provide surf equipment and apparel to the surf community and those who affectionateness the style. Surfing has grown, not only as a leisure sport, but overly in competition. Currently, there are 34 men and 17 women competing on the WCT (World fill-in Tour), and millions more taking to the water in small town events and larger professed(prenominal) or amateur competitions.Surfing is also making its way into the film industry, with surf photography and documentaries becoming increasingly popular. With all the wad and inflation of surfing, it will still stick a magical and adrenaline pumping experience. There are many surfers who surf for the sharp joy of being out in the ocean, at one with rising and move swells, no matter how far it is extracted from its humble, spiritual beginnings in Hawaii. These surfers are known as soul surfers and it is these people that will stretch forth to keep surfing alive for generations to come .