Saturday, August 31, 2019

Elementary Education Essay

Thesis: Elementary teachers may not have highest income, but they have one of the most fulfilling careers. Introduction: When thinking back to elementary school, what most people remember the best, are the teachers they had along the way. Elementary teachers not only introduce their students to the basic concepts of core subjects, they also help pave the path to each student’s future success. While the income may not be the highest available, watching students develop a new skill or grow an appreciation for learning can be very rewarding. I. What is the role of an elementary school teacher? a. Elementary teachers play an important part in not only the intellectual development but also the social development of their students. What students learn at a young age can affect the way they see themselves, others, and the world later in life. b. Elementary teachers have the responsibility of introducing their students to the core subjects of mathematics, language, science, and social studies. II. Education, Training, and Certification c. The normal route to becoming a teacher involves receiving a bachelor’s degree from a teacher education program, then obtaining a license. Teachers in private schools are not required to be licensed. d. Each state honors its own individual certifications. However, The National Board for Professional Teaching Standards offers a voluntary national certification, which is also honored by each state. Having a National Boards certification usually results in a higher income. III. Salary and Employment e. Teaching salaries vary by state, experience level, and location. f. Elementary teachers hold about 1. 5 million jobs. Employment is projected to grow about as fast as average, increasing 7-13% from 2008 to 2018. Elementary Education: Shaping the Minds of the Future When thinking back to elementary school, what most people remember the best, are the teachers they had along the way. Elementary teachers not only introduce their students to the basic concepts of core subjects, they also help pave the path to each student’s future success. Education to become a teacher is long and tedious, and while the income may not be the highest available, watching students develop a new skill or grow an appreciation for learning can be very rewarding. Because there will always be a need for education, even with the recent budget cuts, teaching jobs will always have to be available somewhere. Elementary teachers play an important part in the intellectual development as well as the social development of their students. The education of young children can affect the way they view themselves, other people, and the world, and their success throughout life. Usually, one elementary teacher will teach several subjects to one class, of about 20 students. However, some will work in teams with other teachers, depending on the type of school (â€Å"Career Information: Elementary School Teachers. †). Teachers are faced with the responsibility of nurturing their students as well as their education. In the early years of elementary school, teachers introduce their students to the concepts of reading, writing, and counting. In the later years of elementary, teachers have the task of introducing the concepts of mathematics, language, science, and social studies. Teachers also have multiple behind-the-scenes duties. Teachers have the duty of creating daily lesson plans based on state requirements, assigning homework and making tests. They must keep records of grades made on homework assignments and tests. Teachers develop the materials that help students learn solving and reasoning. They also meet with parents of their students to discuss progress, lack of progress, and any discipline problems that may be occurring (â€Å"Elementary School Teachers. â€Å"). The traditional education route to becoming an elementary teacher involves earning a bachelor’s degree from a teacher education program, and then earning a license. A teacher’s education program normally includes courses such as the general mathematics, physical science, social science, music, art, and literature, as well as prescribed professional education courses, such as psychology of learning, and teaching methods. Normally, 4-year school schools require students to wait until their sophomore year before applying for admission to teacher education programs. Teacher education programs also require students to perform a student-teaching internship. It is not required to graduate from an accredited teacher education program to become a teacher, but it will make fulfilling license requirements easier. After receiving a bachelor’s degree, one should obtain a license from a teacher education program. The State Board of Education or a licensure advisory committee grants licensure. Teachers earn their degree in five different categories: the early childhood grades (preschool through third grade), the elementary grades (grades one through six or eight), the middle grades (grade five through eight), a specific secondary subject, or a special subject, such as music. Teaching in private schools does not require a license. The requirements for regular licenses vary by state. Each state individually issues and honors their teaching licenses. However, The National Board for Professional Teaching Standards offers a national certification. All 50 states honor this certification, and in some cases, teachers will receive special benefits for this certification. These benefits can include higher salaries, and reimbursement for continuing education and certification fees (â€Å"Teachers – Kindergarten, Elementary, Middle, and Secondary. â€Å"). The salaries of teachers can vary by school location, teacher experience, and level of education. Public school teachers in elementary schools earn an average of $47,602. Private school teachers earn anywhere between $43,580 and $48,690. However, there are a few ways to increase a salary. Teachers have the option to teach summer school, sponsor or coach extra-curricular activities, or take on other extra duties at the school. Despite being on the lower end of income, teachers do have a non-monetary compensation of fulfillment, while watching their students develop new skills and learn new concepts (â€Å"Teacher Career Salary Expectations. †). Elementary teachers hold around 1. 5 million jobs. As well as affecting a teacher’s salary, the subjects and grade levels one is capable of teaching, and location can affect job opportunities. Jobs in inner cities and rural areas will be easier to find compared to the suburban districts. Minority teachers will be in higher demand because of an increase in minority enrollment, and the lack of minority teachers. Due to a greater public interest in education as well as better pay prospects, the supply of teachers is expected to grow, and employment is expected to grow as fast as average, increasing 7-13%, in the next six years (â€Å"Career Information: Elementary School Teachers. †). Teachers will always be able to find jobs due to the fact that there will always be a demand for learning. Elementary teachers make a huge impact on the lives of young children. Some teachers are remembered as role models; some are remembered as more of a parental figure, and some may just provide fond memories. Either way, they are an important part of each student’s life. They help their students develop important skills that will lead them to success in their future. Works Cited â€Å"Career Information: Elementary School Teachers. † Campus Explorer. 2012. Web. 15 Jan. 2012. . â€Å"Elementary School Teachers. † Oklahoma Career Information Center. 2011. Web. 12 Jan. 2012. . â€Å"Teachers – Kindergarten, Elementary, Middle, and Secondary. † U. S. Bureau of Labor Statistics. 17 Dec. 2009. Web. 12 Jan. 2012. . â€Å"Teaching Career Salary Expectations. † EduDecisions. com. Web. 12 Jan. 2012. .

Adolf Hitler biography

Adolf Hitler Childhood of Adolf Hitler Hitler as an Artist Hitler as a Soldier in World War I Entry into Politics Hitler comes into Power Hitler starts World War II Death Bibliography * Adolf Hitler http://History1900s. about. com/cs/hitleradolf/p/hitler. htm(Retrieved 16-04-2013) * Hitler Facts http://History1900s. com/od/hitleradolf/a/Hitler-Facts. htm(Retrieved 16-04-2013) * Adolf Hitler http://en. wikipedia. org/wiki/Adolf_Hitler Adolf Hitler was born on 20 April 1889 in Braunau am Inn, Austria.He spent his childhood in Austria. His parents were Alois (1897-1903) and Klara (1860-1907) Hitler. He was the fourth of six children. The family relocated quite a few times- 1984, the family relocated to Leonding, in 1897 they moved to Lambach and a year later, they permanently relocated back to Leonding. In 1902, when Hitler was 13, his father passed away and his mother had to take care of the family. Times were tough and Hitler decided to quit school at the age of 16 and never returned. Hitler dreamed of becoming an artist. o in 1907 and again in 1908, he applied to the Vienna Academy of Art but was denied entrance both times. At the end of 1908,his mother died of breast cancer. After his mother’s death, Hitler spent 4 years living on the streets of Vienna, selling postcards of his work to make money. To avoid serving in the Austrian army, Hitler moved to Munich, Germany in May 1913. Hitler volunteered to serve in the German army once the war began. Hitler survived 4 years of World War I, during which he was awarded 2 Iron Crosses for bravery.He sustained 2 injuries during the war-in October 1916 and October 13 1918, which caused him to go temporarily blind. After the war, many in Germany felt betrayed by the government. In 1919, Hitler was working for an army organization in which he was checking up for local political groups. While spying, he joined a group and became the 55th member called the German Worker’s Party and soon was leading it. In 1920 , the party’s name was changed to Nationalist Socialist German Worker’s party(the Nazi Party).In November 1923, Hitler was arrested for the failure of his sudden actions to take over the government of Germany. He was released 9 months later. After getting out of prison, Hitler was determined to build up the Nazi Party in order to take over the German government legally. In 1932, Hitler was granted German citizenship. In July 1932, the Nazi party won the elections making it the controlling political party in Germany. Hitler had enough support to become President but he lost the election to Paul von Hindenburg.A year later Hindenburg died and Hitler took over. After legally gaining power in Germany, Hitler began putting those who disagree with him in concentration camps and blaming all of the people’s problems on Communists and Jews. Without hurting anyone, Hitler was able to take over Austria in 1938 without a battle. When Germany attacked Poland on 1 September 1 939, other European Countries could no longer stand aside and watch-World War II began. Hitler slowly removed Jews from the German Society.However the Nazis made Jews to work as slaves and work for them. Hitler is considered as one of the most evil people on History because of the Holocaust. (A destruction by fire). On April 29 1945, Adolf Hitler married his long-time mistress, Eva Braun and wrote both his last will and political statement. The following day on 30th April 1945, Adolf Hitler and Eva Braun commited suicide. On his Last will he wrote: â€Å"I am doing this only to avoid suffering and defeat. †

Friday, August 30, 2019

Importance of Article 92 Essay

The military’s form of law is known as the Uniform Code of Military Justice (UCMJ). The UCMJ officially began May 31, 1951. It was signed into existence by President Truman. Congress deemed it necessary to create the UCMJ due to the lack of transparency and fairness previously provides to the military populous during WWII. The UCMJ allows for personal jurisdiction over all members of the uniformed services of the United States: the Air Force, Army, Coast Guard, Marine Corps, Navy, National Oceanic and Atmospheric Administration Commissioned Corps, and Public Health Service Commissioned Corps. Members of the National Oceanic and Atmospheric Administration Commissioned Corps and PHS are only subject to the UCMJ when attached to a military unit or when they are militarized by the president. Article 92, a sub section of the UCMJ, is intended to establish set precedents of punishment and examples of the crime of failing to obey an order or regulation. This Article is very important and is the fundamental backbone of all the military stands for. Being a member of the military is a very important job. Each and every man and woman has an important job to do which assist the forward progress of our country. As great as we would like to every person is not every service member does the correct thing. Due to the fact that we have an all volunteer army it goes without saying that the military is a realistic sample of all American has to offer, good and bad. And there are soldiers and service members who if not given a clear set of rules and punishment s would not be productive members of the military. Article 92 is part of the very important checks and balances implemented by the government to help keep the military efficient in spite of this. If you read into what Article 92 covers you’ll see that it provides multiple negative stimuli to the act of disobeying an order. This negative reinforcement is used to cultivate a more efficient military. This is done all the way through the rank structure regardless of service or grade. Civilians may think this is excessive but I believe that view is incorrect. Article 92 and the UCMJ remove the grey area from military law. Military members a re held to a higher standard and they conduct themselves as such.

Thursday, August 29, 2019

American History Assignment Example | Topics and Well Written Essays - 250 words - 17

American History - Assignment Example After the General Order 147 was implemented litters were used in a more effective and accurate manner. Surgeon General Hammond attracted Secretary’s attention to the deteriorating situation with the ambulances and deaths of wounded soldiers on the battle fields. General Hammond suggested that medical department should be in charge of the whole medical organization. He backed up his argument by bringing various examples of wounded dying from starvation and insufficient system of rescue. General suggested several ways how to improve the medical organizational structure by guiding the work of ambulances, surgeons and nurses. Medical measures undertaken during the battle of Antietam and many others proved their effectiveness. Medical personnel were able to rescue people from the battle fields faster than before thanks to the effective use of ambulances. The number of casualties was minimized: ambulance corps worked effectively both on the battle field and work of surgeons was

Wednesday, August 28, 2019

Reccession of 2008 and Great depression Essay Example | Topics and Well Written Essays - 2000 words

Reccession of 2008 and Great depression - Essay Example HSBC which is the global largest bank wrote down its holdings of subprime mortgage backed securities by $ 10.5 billion while more than other 100 mortgages companies were either shut down or suspended their operations.US and European Banks lost more than $ 1 trillion on toxic assets during the financial crisis. Northern Rock which was a British bank, was highly leveraged could not obtain credit in the financial markets. Bear Stearns collapsed in March 2008. Other financial institutions made bad losses and were subject to government take over. Lehman Brothers, Fannie Mae, Freddie Mac and AIG made a lot of losses during the crisis (Halm-Addo 4). Various limits to arbitrage can help explain why assets were selling below their fundamental level at the height of the financial crisis. Constrains to short selling does not account for the assets selling below their fundamental prices. Short selling was evident since investors made speculative short sale bets against the financial assets which made the prices to decline. For instance, short selling led to drop in the value of Lehman Brothers stocks. US Securities and Exchange Commission imposed at temporary ban on short selling since it this method of trading reduced the market confidence and the stability of financial assets (Halm-Addo 40). The â€Å"too big to fail† notion led to moral hazards, bail outs and increased the Fed’s balance sheet. Adverse selection was not caused by the notion of â€Å"too big to fail†. The notion created moral hazard since the financial institutions engaged in predatory lending like Countrywide Financial which advertised low interest rate loans for home refinancing. The notion made banks to borrow short term in liquid markets and purchase long term illiquid assets which were risky. The notion led to the bail out where $ 700 billion Troubled Assets Relief Program was created to rescue the

Tuesday, August 27, 2019

Family Strengths Article Example | Topics and Well Written Essays - 750 words

Family Strengths - Article Example It begins by defining what family strengths are, and goes on to discuss the insights from available research relating to what makes for strong families. The findings from the two surveys that were considered reveal an American population where family strength levels are fairly high. The article notes that such a focus on family strengths is necessary to counteract the dearth of knowledge in this area, owing from the traditional focus on family ills in the literature, to the detriment of serious inquiry on how healthy and strong families work. The findings that family strength levels are healthy for the majority of the American population has implications for the kinds of future related research that may yield fruit regarding how family strengths impact the well-being of children and parents (Moore, Chalk, Scarpa and Vandivere, 2002). B. Response The surveys paint a healthy picture with regard to measures of family strengths in majority of American families. Measures of stability and routine, for instance, and the way they relate to the stability of the children and their developmental progress, are instructive, and believable. The article posits that predictability is good for children, in that they are able to function and grow in an environment where predictability and routine contributes to feelings of safety. Where routines are in place for meals and for doing errands are set, for instance, there is an environment where children develop the ability to control themselves, and to produce life outcomes that are positive. The large majority of homes sharing dinner together on a regular basis, and doing routinary tasks at home likewise regularly, contribute to this environment of predictability and stability. The insight here is that the establishment of such an environment coincides with relatively stable economic and social conditions in the general society, something that I can accept as plausible in the time frames considered for the survey. Those were relat ively prosperous and stable years for the US in general (Moore, Chalk, Scarpa and Vandivere, 2002, pp. 2-3). Part 2- Assessment of Family Strengths, Results B. Family Introduction, Description, Reason for Choice The chosen family is African American, with a household salary estimated at about $200,000 a year, with both parents being professionals, and with two children, one a boy aged 15, and another a girl aged 10. The family owns the home they live in, and the children attend private school near their place of residence. The parents work during the day and come home in time for dinner. The parents are also well-educated and are well-traveled. The reason for the choice is that given the healthy outward arrangements of the family, the family and their strength measures can easily validate or invalidate the assertion of the article relating to family strengths and child behavioral and life outcomes vis a vis the relative stability of the family (Moore, Chalk, Scarpa and Vandivere, 20 02, pp. 2-3). C. Survey Identification The chosen survey is the strengths assessment survey, administered to the chosen family member for this exercise, the 15-year old eldest son. This survey was chosen because an assessment of the strengths of the boy would give an indication of the relative family strengths, from the life outcomes of the eldest son at that

Monday, August 26, 2019

Wal-mart Essay Example | Topics and Well Written Essays - 500 words - 1

Wal-mart - Essay Example The company has a wide customer base with over 200 million customers served on a weekly basis (Walmartstores). In 2010 Wal-Mart Corporation achieved sales of $405 billion. This sales figure represents an improvement of 1% in comparison with 2009 and 8.34% in comparison with fiscal year 2008. These figures are impressive considering that during this period the world was in the middle of a global recession. Typically the retail business in one of the hardest sectors hit during a recession. Wal-Mart was able to keep growing despite the recession. In 2010 Wal-Mart had a return on return on assets of 8.9%. Wal-Mart obtained a small increase in sales in 2010, but its profitability when up a lot. The net income of the company was $14,335 million. The company achieved an increase in net income in 2010 of 6.97%. The cash reserves of the corporation increased from $7,275 million in 2009 to $7907 million in 2010. The total assets of the company went up by 4.45% in 2010. The debt to equity ratio of the corporation in 2010 was 1.34. This figure is bit above the normal desirable ratio of 1.0. The industry debt to equity ratio of the retail industry is 0.48 (Dun & Bradstreet). This means that Wal-Mart’s debt to equity ratio is below the industry. Due to the fact that the company is such an established business the company has the ability to finance its operation beyond the norm. The ratio means that the company has chosen to more of its operations with debt than with equity. The current ratio which measures the company’s ability to pay off its short term debt is 0.87. The 8.9% return of assets metric of Wal-Mart is much better than the industry norm of 3.6%. In 2010 the company had a return on equity of 19.65%. This figure is much better than the industry norm of 4.2%. Wal-Mart Corporation is one of the most successful businesses in America. The common stocks of the firm are a good

Sunday, August 25, 2019

Finance Essay Example | Topics and Well Written Essays - 1250 words - 2

Finance - Essay Example SOCAR also acts as the major rights holder in the oil and gas industry. It also acts as a government mean to control the oil and gas sector in the state of Azerbaijani. Oil exploration in the Caspian sea began in the year 1992 when the Kazakhstan government announced an oil exploration project in the Caspian sea. The Caspian  Oilfields Development Project has an oil exploration scope of operation in the whole of the Azerbaijan state. The area under the project is broken down into oil fields all of which are controlled by the government through the SOCAR. The oil fields include Chirag Oil Project (COP), Azeri-Chirag-Guneshli (ACG) field, West Azeri, East Azeri, Deep water Gunashli, Baku-Tbilisi-Ceyhan (BTC), Shah Deniz, and South Caucacus Pipeline and Itochu Oil Exploration (Azerbaijan). Most of the oil fields are based in the sea region. This crude oil pipeline stretches 1,768km in length from Baku in Azerbaijan to Ceyhan, Turkey on the coast of the Mediterranean Sea by way of Tbil isi, Georgia and can handle 1.2 million barrels of oil per day. The project has a direct and immediate control of the Caspian Sea where there have been oil discoveries. The scope of operation of all the contractors is based on SOCAR grants to the Contractors the sole and exclusive right to conduct Petroleum Operations within and with respect to the Contract Area in accordance with the terms of their Contracts (including those terms set forth in Article XV of the Azerbaijan constitution) and during the term thereof. Budgeting on the Caspian oilfields development project depends fully on the current financial results and the oil developments in the area. If new wells are discovered then additional capital is required to drill the oil and gas (CEE Bankwatch, 2012, pg 43). . With first three stages as rolled out in the country’s strategic programme completed and 7  operational platforms functional, total production from Azeri-Chirag Guneshli is more than 1 million barrels (160, 000  m3) a day. As per BP's report, Chirag had 19  wells in operation with an overall production of 105,300 bbl/d (16,740  m3/d). Central Azeri had 18 wells with production of 185,800 bbl/d. West Azeri (WA) had 18  wells in operation (14 of which are oil producers and 4 - water injectors with production of 275,200 barrels per day (43,750  m3/d). East Azeri (EA) had 13  wells in operation with overall production 139,400 barrels per day (22,160  m3/d) for the first three quarters of 2009. Deep Water Gunashli had 17  wells (9  oil producers and 8  water injectors) in operation with production of 116,400 barrels per day (18,510  m3/d) of oil. Since 1995 the Government of Azerbaijan together with IMF and World Bank have implemented structural adjustment and sector oriented programmes. The oil sector has been recognized as promising in that the sources of Azerbaijani medium term development projected that at end of the millennium GDP will double based on income from the oil sector. The government budget greatly relies on oil revenues for financial soundness. On average, it makes around 50% of income in the budget. The Bp company currently holds a stake of 34.13% as a mean of the stakes in all the oil fields where it is hugely significant. The structure of the early oil and full field development projec

Saturday, August 24, 2019

Critically assess the view that using drugs leads to crime Essay

Critically assess the view that using drugs leads to crime - Essay Example These situations illustrate an obvious association between drugs and crime. However, it is difficult to accurately determine to what extent in which drugs could be considered the main motivation for crimes. A person under the influence of an illegal drug while committing a crime does not necessarily mean that the crime was drug-related. To what extent the drug clouded their judgment is subjective at best. That person may be a cigarette smoker as well but the crime would certainly not be classified as tobacco-related. Theories such as Strain, Labeling and Socialisation explain causations for crime and can also be applied to drug usage, but all drug users do not commit crimes and all criminals do not use drugs. The connections between drug use and crime are complex and explanations vary widely. This has been a topic that has garnered a considerable amount of attention for the past few decades among the public, media and politicians because of the considerable negative social and econom ic impact on society as a whole and the victims of crime. Some argue that laws make criminals out of drug users and distributors. Prohibition acts to encourage organized criminal activity because of the high profitability involved. In addition, the inflated expense of drugs is the main reason a user has to resort to crime to support their habit. Broadly differing arguments are offered regarding the degree to which criminal activity is driven by drug use. The term ‘drug user’ cannot be used without qualification when connecting this activity to crimes of any description. Drugs such as amphetamines, cocaine, phencyclidine, (PCP), barbiturates and alcohol are more closely connected to criminal acts of violence than are heroin and marijuana according to current scientific literature (Wright & Klee, 2001). Some statistics that show a linkage from drug use to crime are generated from drug tests on prisoners. If the

Friday, August 23, 2019

Business continuity and crisis management Essay - 2

Business continuity and crisis management - Essay Example BCM plays an important role in every organization that uses it. One major aim of having a BCM program on any business to is to give it the capacity to have a quick and effective response to global crises such as cyber attacks mostly through data breaches, natural disasters and ensure the business interests of the organization are protected. (Blyth, M. 2009). What this means is that BCM is not only about crisis management, but it also includes disaster and business recovery, incident and emergency management. The ISO 22301, which is a system of business continuity management, places emphasis on a few areas that are crucial in BCM.First, it suggests that there is a great need to have an understanding of the needs of continuity and preparedness. Moreover, there is need to understand why it is necessary to establish a BCM policy and objectives in an organization. It adds that the effectiveness of the entire process relies heavily on this understanding. Secondly, there is need for an orga nization to implement and operate controls that can manage its overall continuity risks. It therefore, suggests that it would be meaningless to have a BCM policy when the organization is not ready to implement it. (Bajgoric, N. (n.d.). Thirdly, the organization should constantly review and monitor the effectiveness of the BCM program to ensure it is working according to its goals. Finally, the regular assessment of BCM will lead to objective measurements that are important in continual improvement.

Shear Force Report Coursework Example | Topics and Well Written Essays - 1000 words - 1

Shear Force Report - Coursework Example Loading of the beam I assumed to be equally spread along the length of the beam, such that the shear force acting on a point is a ration of the portions. Considering figure 1, the theoretical shear force is given by: From the results of experiment 1, the relationship between the variable load and shear force is linear. This is as indicated by the theoretical plot for the same conditions. The relationship indicates that an increase in the loading results in an increase in the amount of shear force experienced at the cut. The error that is generated from the experiment falls within 0.5 N. Only at the origin, no load, recordings are the experimental and theoretical recordings similar, as in all the other instances the theoretical load is always lower than the experimental shear load. Errors in the recorded data may arise due to the systemic and methodology errors. The milieu in which the experiment was done such as wind, may have affected the readings, and resulted in an error, the digital meter may also be suffering from interference and thus a fluctuating read out. From experiment 2, the reactions differ with the nature of the arrangement. The readings from the digital meter indicate that both distance and load have an effect on the reactions. The reaction of hangers closer to the loading is higher from that of the hangers further away. The errors of the experiment are in the range of 0.6 N, and the error is both positive and negative. The experimental shear force in the experiments is both lesser and more than the experimental forces. Deepening on the placement of the load, the reaction is either in the same direction or against the direction of loading thus the negative and positive nature. Force is a scalar quantity that has both magnitude and direction, hence the negative or positive nature. The reaction of loading, in shear force, relies on the distance from the point of

Thursday, August 22, 2019

Roman Construction Essay Example for Free

Roman Construction Essay The most magnificent structures and works of art can probably be found in Rome. Compared to other civilizations, the Roman constructions crossed the boundaries of engineering in creating buildings, bridges and other structures out of mortars, bricks and woods. From public infrastructures to private houses, Romans were able to create a whole new ground for strong structures and as a result most of the structures that were built centuries ago can still be found to date. Although Roman contsructions were often linked to those of the Greeks, the indebtedness of Romans to contribute more in generating materials as well as techniques created a whole new different perspective in order for them to perfect and affect space-making and their architectural thinking for the purpose of longevity. It was said that most of solutions created by the Romans for constructions and discoveries of   new techniques were greatly affected by the elements in the society such as wealth and high population densities. The innovative success of the Romans in the field of construction imposed the structures for the use of the public. The development in this field engined the growth of certain political propagandas which campaigned for the creation of building in pursuit of gaining fame from it and utilize such creations for public functions (Crystal, 2008). An example of one of the greatest structure created by the Romans in the Pantheon, a temple built for honoring gods. The Pantheon stands in the center of the city of Rome. Originally, it was Marcus Vipsanius Agrippa built the structure in the 27th B.C. From an ordinary rectangular shaped classical temple supported by colonnade on all sides, it was then rebuilt by Emperor Hadrian between AD 118 and 128 creating a central space called â€Å"rotunda†. Further reconstructions were done by succeding Roman emperors. The rotunda was then rebuilt by Emperors Septimius Lucius, Septimius Severus and Caracalla making it circular shaped during the third century which then formed the main parts of the Pantheon. Agrippas original portico remained untouched and across the porch of the portico stands sixteen Corinthian columns. The dome of the Pantheon was the largest ever built. The brick archs inside the dome which stand to provide external support are not visible, but rather only seen in t he lowest part of the dome (â€Å"The Pantheon†).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The method used to construct the Pantheon remained undetermined but according to records materials such as bricks, a stone formed from volcanic dust called â€Å"tufa† as well as basalt and pumice were used to build the structure   with high quality. Pantheon is also known for its lavish interior and excellent lighting. The only souce of lighting from the builcing comes from the sun which passes from the top centre of the dome. This particular design in the Pantheon is considered as very revolutionary because it gave more emphasis on the interior design rather than the exterior part of the building. The grandiosity of Pantheon is evident through the colored marbles that is lined in the interiors, the rectangular shaped indentations cut out from the ceiling, the embellishment of bronze rosettes and moldings which later disappeared as well as a frieze of stucco decorations. The walls of the interiors are marked by seven deep recesse s which is screened by pairs of columns (â€Å"The Pantheon†).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Another Roman construction that has survived the scourge of time is the Roman Coloseum. This historical arena stands between the Esquiline and Calian Hills in Rome, Italy. Also known as the Flavian Ampitheater, this served as an area for entertainment among the Romans; wild beast hunts and gladiatorial combats are among the many spectacles shown in the ampitheater. The colosseum can accommodate around 50,000 spectators and holds about 80 entrances, 4 of which are made for the emperor. The external area of the ampitheater is built out of travertines while the tufa bricks infill the interiors. Marble blocks served as the main pedestal which are held by metal pins. Unfortunately the pins were then carried out by thieves and was later on replaced with mortars. The seats for the audience are classified according to social class and gender. Better seats are gained by those members of the community who are in the higher social status. Wooden benches on the fourth tier are made for the poor.   In order to protect the crowd from the rainy or hot weather a wide colored awning known as â€Å"velarium† is stretched overhead. For nearly four centuries, gladiatorial combats and other spectacles are held in the colosseum (â€Å"Roman Colosseum†).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The aqueducts or the Roman waterway system held brought great changes in the field of engineering. It is considered to be the most advanced water system during the ancient times. Over the span of 500 years, 11 aqueducts were created that supplied the whole city of Rome. Some of the known aqueducts in Rome that maintained the flow of water during the ancient times are Aqua Appia, Aqua Novus and the Aqua Alexandrina. a combination of stones, bricks and pozzuolana, a speacial volcanic cement. The aqueducts certainly leave a distinct impression because despite the visible large arch structures, an impressive waterway system functions below the ground. It carried flowing water in areas like the valleys. The entire sytem relies mainly on slopes and gravity for the continuous flow of water to be maintained.   Once the water hits Rome, large reservoirs called â€Å"castella†, which is maintained on the highest ground held the water supply of the whole city, which could be tapped by public fountains, baths and private villas from the network provided which sometimes requires a fee (â€Å"Roman Aqueducts†).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   What the Romans constructed then had greatly affected various aspects in the society and the innovations they have created set forth an example of maximizing the available resources and still be able to produce quality works that will last for generations. In general, different Roman constructions were able to supply further solutions to problems and became a standard for great infrastructure we have today. References Crystal, E. (2008). Ancient Roman Architecture. Crystal Links. Retrieved June 13, 2008 from http://www.crystalinks.com/romearchitecture.html The Pantheon. Wise Dude.   (n.d) Retrieved June 13, 2008 from  Ã‚  Ã‚  Ã‚  Ã‚   http://www.wisedude.com/history pantheon.htm Roman Colosseums. UNRV History. (n.d) Retrieved June 13, 2008 from http://www.unrv.com/culture/colosseum.php Roman Aqueducts. UNRV History. (n.d) Retrieved June 13, 2008 from http://www.unrv.com/culture/roman-aqueducts.php

Wednesday, August 21, 2019

Risk Assessment Approaches To Constructing Road

Risk Assessment Approaches To Constructing Road As an employer you have a business objective as well as a moral and legal obligation to provide and maintain a safe and healthy workplace that is, as far as reasonably practicable, free from risk and hazards. In doing so employers conducts risk assessment, this is intended to determine the potential harm to workers and other persons in the workplace, and implement control measures to eliminate these risks or to reduce them to a tolerable level. The most important element in the risk management cycle is risk assessment usually comprises of a combination of risk identification and risk evaluation techniques which make it also the most complex element of the risk management cycle. Evolving out of this were two parts in conducting risk assessment they being quantitative and qualitative. Quantitative Assessment was the more complex of the two as it depending on the collection and analysis of a great deal of data use to calculate probability and potential loss. This dependence of accuracy of data also acts as an Achilles heel for the process because of the share difficulty associated with data collection. However qualitative risk assessment is regarded as the lesser of two evils and is the most commonly used approach to risk analysis. This is due to the fact that probability data is not required thus making the process more attractive to safety practitioners and industries that are new to safety. Because there is no need for great amounts of historical data, companies that are newly expose to safety use this method simply because there is no data to collect. This paper discusses the different techniques to risk assessment, then describing the reasonable approach which can include both qualitative and quantitative approaches within a civil construction company. Company Overview Tee Pavers Limited is a local independent civil construction company locating at the southern part of Trinidad which has been in operation for the past 25 years. They have a workforce of over 120 skilled workers and a fleet of excavating, landscaping and asphalt paving machinery numbering in the hundreds. The company entertains government contracts for road construction and rehabilitation, they currently have a fully operating asphalt plant where they supply asphalt to several private and public companies throughout the country. Despite the number of years in operation the company was only recently introduced to Health and Safety as part of the compliance requirement of the OSH Act 2004 (Amended 2006). Figure 1 outline the detail process of road construction. Is simple and straightforward. Just what is needed in a safety- new company such as Tee Pavers Limited Can be complex and require suitable explanations. This process would not be well received at Tee Pavers Limited a company that is now being exposed to safety practices. The Calculation of frequency of risk to worker is largely judgmental and does not require extensive data. This proves to be effective due to the fact that techniques such as JSA and PHA focus on job task in identifying hazards and workers can participate. Calculation of frequency of risk to workers requires extensive, appropriate data that may not be relatively available. Thus as in the case with Tee Pavers where prior projects was done by gut feelings see that safety was never a concern. It provides estimation of risk levels to workers to particular fault and hazards. This is a simple process that could be understood by all workers. Provides numerical assessment of the level of risk. It is best carried out by an experienced team of people throughout the assessment which may include operators, supervisor and long standing workers. A team approach is best needed for the hazard identification stage. Techniques like FEMA and FTA usually need to be done by just a specialist to ensure consistency of logic. Processes and results are deriving objectively, easily supported. Process results are subjective and may not be repeatable. It requires structure logic to identify controls, protection and mitigation measures to support decision made by analyst. This was evident that Tee Paver workers were resistant to change. Logic is implied with quantitative, but requires explanation to support safety case arguments. Does not readily lend itself to assessment of combinations of failures leading to a hazard on the road. Assessment of combinations of failure is implied in techniques like FTA and ETA. Risk analysis of all hazards and consequences not readily achievable since it is largely judgmental. Risk analysis of hazards and consequences easily achievable. Appropriate at early stages before the start of new project when identifying major hazards and risk. The use of the PHA is ideal for Tees Paver road construction process. Mainly appropriate at the later stages of the project when details of design and intended operation are known and data is available to support the assessment. Evaluation of Risk Analysis of the Road Construction Process Taking into consideration the five steps risk assessment process (Health and Safety Executives) will determine the type of risk assessment techniques needed qualitative or quantitative. Table 2 shows all the various risk assessment that can be consider in the road construction process. However due the nature of the organization and past safety culture I believe that qualitative assessment Job Safety Analysis (JSA) and Preliminary hazard analysis (PHA) would be a more effective with comparison to the quantitative approaches like FEMA and ETA which is too intense in terms of complexity, dependence on historical data and time consuming which does not sit well with this type of business that strives on spontaneous contracts. Simplicity best describes Tees Pavers road construction process; therefore the qualitative approach is ideal in identifying basic hazard and risk. During the early stages of operation and the details of the project is identified PHA can be used. This process encourages participation and so the Project manager, Engineer, Supervisors and the Health Safety Environmental personnel all work together to identify the major hazards, and rank them according to severity with the aim of implementing preventative measures. The potential hazards identified during the phase 2 processes (Asphalt Paving). When laying the asphalt base the main hazardous events would be unprotected physical contact with the hot asphalt. The probability of a person getting burn from the hot asphalt is medium to high and the severity of injuries will also be medium to high. Therefore putting preventative measures in place would be easier, for instance; having workers wear insulated PPE thus reducing the risk factor. This type of assessment is effective because it deals with the hazards and risks before the commencement of the projects and the fact that a wide array of employees are included means that effective preventive measures can be put in place. Some might argue that some of the hazard and risk may be overlooked since it is done before the project starts but in Tee Pavers case this process never changes, the worker are experience and thus the accident or incident rate is close minimum. Feasibility Safety is inevitable. The Occupational Safety and Health Act, 2004 (amended 2006) states that every employer must conduct a suitable and sufficient risk assessment. In complying with the OSH Act the safety official can achieve a two prong approach by introducing task based assessment (a form of qualitative assessment). This allows every worker irrespective of educational background to participate thus fostering awareness. Appendix 1 shows a simple effective JSA for asphalt laying road works which has deemed suitable and sufficient meeting all the requirements stated in TTS 620: 2008. Appropriateness When you look at the culture of the workforce that predominates Tee Pavers you get the sense of being expose to the 1980s ones again. Workers with the average age of 46, limited educational qualification (some even partial illiterates), most of them originate from areas within 10 square miles of each other and the general sense of simply coming to work to do an honest day job without concern for safety ills driven by the competitive nature of individually pleasing the boss. Taking that into consideration one can only select the qualitative approach considering conducting risk assessments. Initially introducing safety measures must be done in simple steps even thought safety is becoming mandatory the intension is to encourage the worker to buy into it not to view it as a hindrance or a threat. Conclusion Tee Pavers is undoubtedly a prime example of a company that would greatly benefit from qualitative assessment. Some of these benefits include complying with legislation fulfilling the requirements of every employer providing a workplace that is free from risk. I my view conducting qualitative risk assessments over a period of time prepares a company for the more detailed, accurate and more complex quantitative approach. The workers who were once naive with regards to safety and health would now be coached into maturity. This would prove to be a welcomed combination when companies would be venturing toward greater horizons. However the stark reality is its all about money. With legislation playing a bigger part in the world of safety company now know that in order to be viewed as an attractive commodity they must show some level of compliance to these safety laws thus a concerted interest in the employment and establishment of safety department within these companies. These departments are mandated to establish safety guideline and assessments for projects (existing and proposed). The companies know that they will be audited and that successful audit would indicate compliance thus making them more marketable for new contracts. As distasteful as it sounds it is a reality that we face every day with existing and emerging companies competing for government contracts.

Tuesday, August 20, 2019

TRIZ Problem Solving: Design of Hammer

TRIZ Problem Solving: Design of Hammer Abstract This project introduced innovation in a concept design of hammer which is a tool used to blow (a sudden impact) to an object. Some technical contradictions occurred in the design, which made it difficult to find a solution except compromise. When TRIZ was used in the design, things seemed to get easier. A surprising and almost perfect solution was found, and finally it was put into practice smoothly. Introduction A hammer is a tool that delivers a blow (a sudden impact) to an object. A hammer is basically a force amplifier that works by converting mechanical work into kinetic energy and back. Most hammers are hand tools used to drive nails, fit parts, forge metal, and break apart objects. Hammers vary in shape, size, and structure, depending on their purposes. Hammers are basic tools in many trades. The usual features are a head (most often made of steel) and a handle (also called a helve or haft). A traditional hand-held hammer consists of a separate head and a handle, fastened together by means of a special wedge made for the purpose, or by glue, or both. This two-piece design is often used, to combine a dense metallic striking head with a non-metallic mechanical-shock-absorbing handle. Some hammers are one-piece designs made primarily of a single material. A one-piece metallic hammer may optionally have its handle coated or wrapped in a resilient material such as rubber. Objectives To innovate the design of a hammer to make it more efficient using TRIZ problem solving. To minimize the cost used to buy hammer using TRIZ problem solving. To improve the components of hammer to reduce space consumption by TRIZ problem solving. Problem Statement For years, workers have been struggling to bring different type of tools to their worksite.   One of the main tool used by the construction workers are the hammer. A Hammer is a mechanical tool that delivers a sudden impact to an object. The essential part of hammer is head, a compact solid mass that is able to deliver the blow to the intended target without itself deforming and a handle, the part where the user hold the hammer. Commonly, hammers are used to drive nails, fit parts, forge metal and break apart objects. There are different types of hammers in use, they vary in shape, size and structure. Such hammers are traditional curved claw hammer and Drywall hammer. Traditional claw hammer are used to   drives nails well and removes nails easily with the rocking action of its curved claw while Drywall hammer chops errant bits of drywall and sets nails without breaking through walls paper faces. Hammers are categorized as a heavy type tool thus creating problem for the workers t o bring many types of hammer to their worksite. Inconvenient Variety in the number of hammer needed to complete in a certain type of work causes difficulties to the workers in bringing it to their worksite. As we already know, each hammer has its own function. Hence, workers need to bring each of the type of hammer to complete their project. If it is improved it can ease the workers job in bringing different type of hammer without consuming too much energy. Costly Workers are forced to buy each type of hammer so that they can accomplish their job. This causes extra money to be spent to buy each type of hammer. Thus the total cost of project will be increased gradually. Buying less number of hammer with the same functional would causes the cost to be decreased significantly. This would give the advantage to worker as it will cut the cost to buy a hammer. Space consuming The average size of a hammer is bigger than other tool creates a problem which is in storing it. Each hammer requires a huge size of storage space to be stored and with the variety type of hammer, the needs for bigger size storage increases with the number of hammer. If less spaces are used to store this tool, more other tool can be used to fill the empty spaces. This increases the compatibility of the hammer. Function Analysis Subject (Tool)FunctionObject HandHoldHandle (Wood) Handle (Wood) HoldHammer head Hammer headHitNail Component Analysis TRIZ tools Segmentation (#1) Divide an object into independent part Make an object easy to assemble and disassemble The head and the handle of the hammer can be connected and removed freely by user. The thread on the handle ease the user to connect the handle and the hammer head by twisting the head in a clockwise direction. Function Analysis Subject (Tool) Function Object Hand Hold Handle (Steel) Handle (Thread) Hold Traditional Curved Claw (Thread) Traditional Curved Claw (Thread) Hit Nail Handle (thread) Hold Drywall Hammer (Thread) Drywall Hammer (Thread) Hit Nail Handle (Thread) Hold Body Mechanics Hammer (Thread) Body Mechanics Hammer (Thread) Hit Nail Handle (Thread) Hold Toolmakers Hammer (Thread) Toolmakers Hammer (Thread) Hit Nail Component Analysis Contradiction The feature that we want to improve is the strength of the handle by using steel. However the drawback of using steel as a handle is it is very heavy. So by using 39 parameters matrix, we have decided to choose composite material as the handle. The composite material that we have chosen is graphite fiber reinforced epoxy. This type of handle offers a blend of stiffness, lightweight and durability. These handle also encased in a high polycarbonate resin. The addition of this material around the handle increase shock absorption, improves chemical resistance and offers protection against accidential overstrike thus reduce handle failure. Wooden Handle  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Steel Handle  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Composite Handle Wooden Handle  Ã‚  Ã‚  Ã‚  Ã‚   Steel HandleComposite Handle Partial Triz Contradiction Matrix (1 to 14) Weight of moving object Weight of stationary object Length of moving object Length of stationary object Area of moving object 1 2 3 4 5 1 Weight of moving object + 15, 8, 29,34 29, 17, 38, 34 2 Weight of stationary object + 10, 1, 29, 35 3 Length of moving object 8, 15, 29, 34 + 15, 17, 4 4 Length of stationary object 35, 28, 40, 29 + 5 Area of moving object 2, 17, 29, 4 14, 15, 18, 4 + 6 Area of stationary object 30, 2, 14, 18 26, 7, 9, 39 7 Volume of   moving object 2, 26, 29, 40 1, 7, 4, 35 1, 7, 4, 17 8 Volume of stationary object 35, 10, 19, 14 19, 14 35, 8, 2, 14 9 Speed 2, 28, 13, 38 13, 14, 8 29, 30, 34 10 Force (Intensity) 8, 1, 37, 18 18, 13, 1, 28 17, 19, 9, 36 28, 10 19, 10, 15 11 Stress or pressure 10, 36, 37, 40 13, 29, 10, 18 35, 10, 36 35, 1, 14, 16 10, 15, 36, 28 12 Shape 8, 10, 29, 40 15, 10, 26, 3 29, 34, 5, 4 13, 14, 10, 7 5, 34, 4, 10 13 Stability of   the objects composition 21, 35, 2, 39 26, 39, 1, 40 13, 15, 1, 28 37 2, 11, 13 14 Strength 1, 8, 40, 15 40, 26, 27, 1 1, 15, 8, 35 15, 14, 28, 26 3, 34, 40, 29 40-Composite Material, 26-Copying, 27-Cheap Short Living Object, 1-Segmentation Function Analysis Subject (Tool) Function Object Hand Hold Handle (Composite Material) Handle (thread) Hold Traditional Curved Claw (Thread) Traditional Curved Claw (Thread) Hit Nail Handle (thread) Hold Drywall Hammer (Thread) Drywall Hammer (Thread) Hit Nail Handle (thread) Hold Body Mechanics Hammer (Thread) Body Mechanics Hammer (Thread) Hit Nail Handle (thread) Hold Toolmakers Hammer (Thread) Toolmakers Hammer (Thread) Hit Nail Component Analysis Conclusion As conclusion, problem in reality can be practically solved using TRIZ problem solving technique. TRIZ technique use the process of abstraction as it main way to solve problem. This means that we need to use TRIZ to determine problem, improving feature, and impact feature and lastly, come up with a solution for the related problem. There are many type of TRIZ process that are available for solving problem. However, for this problem the function analysis tool, the 39 parameters and 40 inventive principles is used. We have concluded that the main problems of a hammer are inconvenient, costly, and space consuming. All of the problems are solved by applying TRIZ technique. The final solution that have been analyzed is by producing an exchangeable hammer head with graphite fiber reinforced epoxy handle. This will encounter all of the problems of the common hammer. So, it can be concluded that TRIZ problem solving can be used to problem better and efficiently. References http://me-mechanicalengineering.com/different-types-of-hammers/ http://www.innovation-triz.com/ http://www.triz.org/ https://www.mindtools.com/pages/article/newCT_92.htm http://creatingminds.org/tools/triz/triz_contradiction_analysis.htm https://en.wikipedia.org/wiki/TRIZ http://www.triz-journal.com/ http://www.mytriz.com.my/ http://www.mindtools.com/pages/article/newCT_92.htm http://www.triz40.com/aff_Principles_TRIZ.php

Monday, August 19, 2019

The Grapes of Wrath - Fear, Hostility, and Exploitation in Chapter 21 E

Fear, Hostility, and Exploitation in Chapter 21 of The Grapes of Wrath Steinbeck's intercalary chapters in The Grapes of Wrath have nothing to do with the Joads or other characters of the novel, but help describe the story in different terms. They are similar to poems, offering different viewpoints of the migration, and clarifying parts of the story that the reader might not understand. An excellent example of this use can be seen in chapter 21, where an examination of the attitudes of migrant Okies and the residents of California reveals the changing nature of land ownership among the changing population of California and gives greater meaning to the fierce hostility that the Joads meet in California. The first section of chapter 21 explores the plight of the Okies, who are simple people forced to leave their homes when industrial change complicates their lives. Steinbeck writes, "Their senses were still sharp to the ridiculousness of the industrial life. And then suddenly the machines pushed them out and they swarmed on the highways." This statement relates the beginning of the novel, with particular emphasis on the death of Grampa and Granma. When industrial farming hits the agrarian midwest, the Joads are forced off their land and driven to migration, deserting the house in which they have lived for so long. Before long, Grampa dies of stroke. His life is tied to the land and cannot keep up with such rapid change, and when he dies Granma is sure to follow. The paragraph continues: "The movement changed them; the highways, the camps along the road, the fear of hunger and the hunger itself, changed them. The children without dinner changed them, the endless moving changed them. They were mig... ... and banks. The 'fermenting anger' which Steinbeck describes also relates to the novel's title, as grapes serve as a symbol of the migrants, and the wrath represents their anguish and hardship. The thin line between hunger and anger is broken by the changes in land ownership, and retaliation of the workers is the inevitable result. Within four pages, Steinbeck greatly clarifies and expands upon his story by examining the different emotions and reactions of his general character groups. He takes two sides of an argument and applies them to a third body rather than pit them against each other. By mastering the use of the intercalary chapter, he is able enrich his story with deeper thought and explore it outside the boundaries of his main characters. In this manner, Steinbeck is able to write a four-page chapter which holds great meaning to a 581-page novel.

Sunday, August 18, 2019

Essay --

She was often obstinate and arguable, creating several works using her knowledge of philosophy and bravely overcoming obstacles along the way. Mrs. Rand’s most popular novels were The Fountainhead and Atlas Shrugged. Although her career was initially interrupted when a play was unsuccessful and her first book sold inadequately, she quickly recovered with encouragement from close friends to continue her career. Alyssa Robinchaud, later known as Ayn Rand, was born in St. Petersburg, Russia, on February 2nd, 1905 as a Jew. Raised with her two younger siblings, Natasha and Nora, she grimly witnessed severe poverty, the Russian Revolution, and Communists seize her father’s shop, forcing her mother to begin teaching. Dissatisfied with life in St. Petersburg under the control of a few money-grabbing tyrants, Alyssa Robinchaud left Soviet Russia. She reassured them that the trip to America would be brief, but she had no intentions on returning. Intrigued with the beauty of America, she became a citizen in 1931. Arriving in New York in the February of 1926, Alyssa Robinchaud changed her name to Ayn Rand, protecting herself and her family’s identity since most members stayed in Russia. The New York Evening Post written in 1936 concluded that her last name was the abbreviation of her Russian family name. Her first name, Ayn, was the Finnish name, â€Å"Ina† without the ext ra ‘I’ at the end so the articulation was the letter ‘I’ with an additional ‘n’ following it. !!!! Several people pronounced it while remembering that it rhymes with ‘mine’. !!!! When working as an extra on the DeMille set, she met Frank O’ Conner, and they were married in 1929. Miss Rand never gave birth to any children, and when asked why, she replied that the â€Å"only... ...and be freed from possessing only what others allowed them to, they went to the forest and were content with everything that was available. The author proved that freedom was part of the formation of humans, that no society could rival it, and that adjustments were impossible if all were expected to consent to rules. Using her power of persuasion and intelligence, she was extremely successful in her life. With determination and quickly flowing thoughts, she wrote several books. I felt that The Fountainhead was a really effective book since it motivated me among other readers to think outside the box, but there were exaggerated parts. Unlike most people, he was so headstrong that he was dismissed from work and at some points with an unfavourable reputation. Ayn Rand clearly stated her opinions, stretching the main ideas and relating them to different situations.

Saturday, August 17, 2019

Hindu Death Rituals

There is one thing that is certain in this lifetime that eventually we all must die. A belief in the cyclical reincarnation of the soul is one of the foundations of the Hindu religion. Death is viewed as a natural aspect of life, and there are numerous epic tales, sacred scriptures, and vedic guidance that describe the reason for death's existence, the rituals that should be performed surrounding it, and the many possible destinations of the soul after departure from its earthly existence (Retrieved from http://mailerindia. com/hindu/veda/index. php? death on 18th January, 2012).this essay will discuss the rituals performed for the soul of the dead body so it reaches heaven peacefully. Traditionally, a Hindu dies at home. Nowadays the dying is increasingly kept in hospitals, even when recovery is clearly not possible. Once family is certain that a person is taking his last breath, the start to chant mantras such as â€Å"om namoh narayana†. This helps the soul to leave the bod y peacefully. They also put holy ash or sandal paste on the forehead and put few drops of Ganga or holy water in the mouth so that the soul goes to heaven. The first mortal to meet his fate with Death was named Yama.Yama is aided by his two killer guide dogs who keep an eye as to whose life has come to an end. so they take the last breath of that person and take the soul to yama who directs them to their destiny . after the person dies the family member calls a chief priest who performs the rituals of†Homa† which is making afire and chanting mantras and doing offering to the â€Å"Agni Dewata† or fire god. The family gather together to cremate the body. Cremation is a ritual designed to do much more than dispose of the body; it is intended to release the soul from its earthly existence.â€Å"Hindus believe that cremation (compared to burial or outside disintegration) is most spiritually beneficial to the departed soul. † This is based on the belief that the â€Å"astral body† will linger â€Å"as long as the physical body remains visible. † If the body is not cremated, â€Å"the soul remains nearby for days or months†(Retrieved from http://mailerindia. com/hindu/veda/index. php? death on 18th January, 2012). The standard cremation ceremony begins with the ritual cleansing, dressing and adorning of the body. The body is then carried to the cremation ground as prayers are chanted to Yama, invoking his aid.It is usually the chief mourner and the eldest son who perform the â€Å"Agni† or fire ceremony. He circumambulates the pyre counterclockwise– for everything is backward at the time of death and lights the pyre. The death now is an offering to Agni. After burning the corpse the chief mourner cracks the skull with a bamboo , thus releasing the soul from entrapment in the body. After cremation a thirteen day ritual is done for the safety of the soul till it reaches heaven. Family read a holy book called Bhagwat Geeta every afternoon for the deceased person..Twelve hours after the cremation, the ashes are thrown into a river, ideally the Ganges river, and the mourners walk away without looking back. On the 3rd, 5th, 7th or 9th day, relatives gather for a meal of the deceased's favorite foods. A portion is offered before his photo and later ceremonially left at an abandoned place, along with some lit camphor. On the 31st day, a memorial service is held. In some traditions it is a repetition of the funeral rites. At home, all thoroughly clean the house. the chief priest than prays for the deceased and his ancestors so their souls can reunite in the next world.This ritual is called sapindikarana. Similar rituals are done after six months and then the last one is an year after death. a priest conducts the shraddha rites in the home, offering pinda to the ancestors. This ceremony is done yearly as long as the sons of the deceased are alive (or for a specified period) Retrieved from http ://mailerindia. com/hindu/veda/index. php? death on 18th January, 2012).. In conclusion we can say that Hindu funeral rites can be simple or exceedingly complex. These steps devotedly completed according to the customs, means, and ability of the family, will properly conclude one earthly sojourn of any Hindu soul.Religions such as Hinduism offer our own immortal souls satisfying answers to questions of life and death. Their ancient mythic texts provide real reasons for our existence here on earth. They also demonstrate that death is something that can be prepared for instead of being feared. In addition, they offer the possibility of something to look forward to, so we need not dread our last days on this planet. A true Hindu shall love death as he loves this life (Retrieved from http://mailerindia. com/hindu on 18th January, 2012).

Is Foreign Aid Is Blessing Or Curse?

Since the time of independence Pakistan has been facing macroeconomic exertions, such as vicious circle of poverty, less utilization of available natural resources, unfavorable political circumstances that influenced domestic economy and so on. To seize the deficiency, Pakistan has had to depend greatly on financial assistance made by distant countries. Pakistan has been seeking aid since 1947 from global lenders including International Monetary Fund (IMF), Asian Development Bank (ADB) and World Bank.This financial aid poured mostly in the form of loans or debts with high interest rates. Focal of such assistance is the socio-economic development of the country. Financial assistance once taken as a blessing, appeared as to remove all the dearth of the economy. Resultantly many of the sectors started nourishing at par. Pakistan commenced its way towards developing nation but 2005s earthquake ruined Pakistan leaving its awful economy further worsen.Though foreign aid showered in the cou ntry but, in fact, it directly went to the bank accounts of few effluents and hence with the passage of time, it proved that foreign aid has become a curse instead of becoming blessing, not only perished the confidence of local people but corrupted more government officials. All the authorities here are now seeking more and more aid rather than to rely on their own available resources. Pakistan has already borrowed too much foreign aid in the form of loans and is still borrowing that has reached the historic over $60 billion.Debt burden is continuously increasing so its interest rates that worth more than the debt itself. Now the economic position is so deteriorated that for the payment of interest, Pakistan tries to get more loans. Pakistan has become now an aid addict and does not make policies to develop their economy with their own domestic resources. Officials do not pay attention for the development of the technology. They just become entirely dependent on others. Major portio n of aid particularly commodity aid is misappropriated by the concerned Government officials.Moreover, when aid is in terms of commodity such as wheat etc, which many times is provided at a very nominal price, discourages local production of that commodity because of higher cost of production within the country. This situation discourages local agricultural production. If donor country has assisted in establishing imported substitution industry then raw material for the industry will have to be imported from loan given country otherwise industry will not continue its production because particular raw material is not available locally.This causes heavy foreign exchange burden on economy. Pakistan is obtaining foreign aid for bridging gap between domestic savings and investment and also to improve balance of payments position but till now it has not been able to accomplish this task, rather both gaps are continuously increasing. Sometimes aid giving countries interfere in the defense and foreign affairs of Pakistan. That’s why it is said that there are always political strings attached to the bilateral loans. Thus this is to be reveal here that all aid is not for economic rationales but also political.Most of the politicians misallocate the aid for its appropriate concern so to raise their pay, power and prestige. Thus aid is also promoting greed and selfishness among the leaders of the realm. Pakistan was accessed as an independent nation but Pakistan is now fully dependent on the aid drug to eradicate all the absences. As soon as a new government takes office it is out to woe the US for aid, begs from the Saudis for a few crumbs and looks to countries like China for handouts. This must stop.To achieve self-respect and start to improve the lives of the impoverished masses the country needs corrective surgery. The starting point should be adopting a culture of austerity and simplicity. The President, Prime Minister, Army Chief and Chief Justice should be given homes and protocol of ordinary citizens. The vestiges of colonial days, the pomp of office must go. Leaders must present themselves as a role model of modesty rather to complex the masses by their luxurious stuff.One has only to look across the border that how people present themselves in public in simple clothes, sans jewels and accessories, where ministers don’t drive in flashy imported vehicles if a role model is needed. The next step is to generate resources by taxing all. The first step should be agriculture. There is no more favorable time than now. In the past 3 to 4 years produce price including cotton have witnesses a runaway increase and most farmers have had their incomes increase by over 400 percent in three years. Income tax is a failure in Pakistan however consumption tax can be promoted.All students going abroad for study should be required to get an NOC which would require their parents to explain the source of funds. All property purchase, vehicle purch ase and airline ticket purchase should require an NTN number. Put in place consumption taxes. For examples vehicles over 1000 cc should progressively be taxed. Measures such as the above would document the economy and bring more of the black economy into the main stream. With a corrupt bureaucracy, political elite and military this may virtually impossible. So a revolution is needed to unshackle Pakistan.

Friday, August 16, 2019

8 Stages of Genocide

There are 8 stages of genocide the first stage is classification. The Jewish people, homosexuals, handicapped, and gypsies were the main target for the Nazi’s. The reason why was because Adolf Hitler thought that Germany was becoming weaker because of the people who he thought were to be Genetically week. His idea of a non weak person is a person who is pale, blonde hair, and blue eyes. The second stage of Genocide is Symbolization, the Nazi soldier’s symbolized targeted people with different color triangles.The homosexuals had a pink triangle, brown triangles for gypsies, green for criminals, and red for political enemies. All of the people who were marked with triangles were targeted very easy, were harassed, but the main purpose of the coloured triangles was so they would be easy identified. The third stage of Genocide is Dehumanization, German doctors would experiment on the people they kept prisoners like animals because they were trying to find out how to make the perfect human being. The fourth stage of genocide is Organization, the way that Nazi’s prepared for theGenocide was by putting people into Ghettos for easy access. Then the weak would be moved off to be exterminated. The fifth stage of Genocide is Polarization The Jews were often told by Nazi soldiers that they were not worthy to live in normal towns so they put the Jews into Ghettos which were often dirty, disease ridden and low on food. The Nazi soldiers acted like they were greater then everyone. The sixth stage of Genocide is Preparation They prepared for genocide by splitting people up and putting them intoGhettos for easy access and making coloured triangles for easy identification and punishment. The seventh stage of Genocide is Extermination. Many people died in the holocaust inlcuding Jews, Roman, homosexuals. Around 6 million people overall died because of this Holocaust and up to 1. 5 million were kids. The last stage of Genocide is Denial Holocaust denial is the claim that the genocide never happened. It was claimed that only 2,700 people died because of World War I and that camps could not have held that many people

Thursday, August 15, 2019

The Rise of Christianity – Did Jesus Want to Start a New Religion?

If the Gospels are accurate in reporting that God sent Jesus to earth, what did Jesus come to earth to do? What was his mission? Let's briefly consider a few of Jesus' own statements about why he came. How better to discover his mission than to hear what he himself had to say about it? â€Å"Do not think that I have come to abolish the Law or the Prophets,† he said, thus endorsing the teaching of the entire Old Testament. â€Å"I have not come to abolish them, but to fulfill them† (Matthew 5:17). Jesus came to â€Å"fulfill† the Old Testament, in part, by living in complete obedience to God.Although he faced the same temptations that stalk us, it is written that he never sinned once. That's why he could become the perfect sacrifice for every nation’s sins, as the Bible tells us: â€Å"God made him who had no sin [Jesus] to be sin for us, so that in him we might become the righteousness of God† (2 Corinthians 5:21). The Christian message is not merel y about eternal life some day, after we die, in some far-off heaven. It is about living life to the maximum right here and right now. There really is no other way to take Jesus' words: â€Å"The thief comes only to steal and kill and destroy; I have come that they may have life† (John 10:10).In the era that Jesus walked the Earth in, we can imagine the Roman Empire. The Roman government practiced syncretism, accepting that all religious beliefs, philosophical teachings, and government systems are ultimately compatible, or a reflection of, a larger system – the Roman system. They practiced one of the first â€Å"one country, two systems† policies – pronouncing that all people had religious freedom, political freedom, and freedom of thought, yet maintaining strict control. The Jews held much distrust and often hatred for the Roman Empire – they were unwilling subjects.At the time of Jesus’ birth, the local Roman ruler, King Herod had initiated a massacre of all Jewish baby boys born at the time. Such actions added more reasons for Jewish resentment of the foreign Roman government. The Jews understood the world to be divided into two types of people: Jewish and Gentile (non-Jew). The Jews worked hard to disassociate themselves from the Gentiles. King Herod employed many laborers by commissioning many public works (e. g. building temple in Jerusalem, palaces, ports, fortresses, stadiums, ornate stone carvings, etc. ) There was a very large disparity between rich and poor.Jesus approached the scene with the proclamation that he had come to dispatch the difference between rich or poor, Gentile or Jew, and sinner or saint. While accumulating followers, others opposed his ministry with the belief that he was gaining fame all for the sake of wanting to be seen as God Almighty. All the same, Jesus never stated or claimed to be God. He did ,nonetheless ,claim to be the son of God. It is true that Jesus never said, â€Å"I am God † directly. However, most of His teachings were done through parables, and not by direct statements. His disciples asked Him why He taught this way.His answer was: â€Å"To you it has been granted to know the mysteries of the kingdom of heaven, but to them it has not been granted. For whoever has, to him shall more be given, and he shall have an abundance; but whoever does not have, even what he has shall be taken away from him. Therefore I speak to them in parables; because while seeing they do not see, and while hearing they do not hear, nor do they understand. † (Matthew 13:11-13) Along with witnessed miracles performed, his technique and approach reeled in crowds of all kinds of denominations.Some may hold the opinion that he hoodwinked desperate believers by using magic or tricks to allure them into his ministry. Others were awfully intimidated by Jesus and his prophecies , thus forth came his crucifixion. Even after death, there was still more to come. â€Å"Don' t be alarmed,† he said, â€Å"You are looking for Jesus the Nazarene, who was crucified. He has risen! He is not here. See the place where they laid him. † (Mark 16:6) The book from the evangelist Mark records that after three days, Jesus Christ arose from his grave and ascended back to Heaven to reunite with his father, God Almighty.After death and acclaimed resurrection, many still testified to spiritual and physical encounters with Jesus. One person who can testify to this is the apostle Paul. Apart from Jesus, Paul is the most significant figure in the development of early Christianity. He has profoundly influenced such monumental figures as Augustine, Luther, and Calvin. Of the 27 books of the New Testament, thirteen are attributed to Paul. Luke tells us in Acts 9 that Paul was on the road to Damascus when he saw a light from heaven and heard a voice saying, â€Å"Saul, Saul, why do you persecute me?†Paul responds, â€Å"Who are you, Lord? † and the r eply came, â€Å"I am Jesus whom you are persecuting. † Paul was blind for three days, and then his site was restored when Ananias laid hands on him. This story is not in Paul’s own writing, although Paul does tell us something of his conversion experience (See Gal. 1. 13. -16; 1 Cor. 15. 3-9). In one way or another, it seems that Paul believes that he received a revelation of the risen Christ. Whatever happened, it completely changed Paul's life, and he went from being a persecutor of Christians to the greatest missionary of the early church.Paul’s influence of early Christianity was one of great measure. Paul was the author of many writings that were written during his imprisonment of an estimated six to seven years in Rome. During this period of time Paul authored books in letters to all churches holding different denominations with instruction and inspiration to motivate and minister to his readers about following the teachings of Christ and repenting their sins to God through prayer and worship. The Bible does not tell us how or when the apostle Paul died, and history does not provide us with any information.The only thing we have to go on is Christian tradition, which has Paul being behead in Rome, around the mid 60s A. D. , during the reign of Nero. His role in Christianity has resulted in giving him the title â€Å"The Founder of Christianity†. Just as Paul was captivated by his experience with Jesus many others also became believers because of their experiences. Recorded in the book according to the evangelist Luke, there was a woman with the inability to stand straight up (a condition referred to as stooped ) who meets Jesus on a Sabbath Day (A Saturday supposedly) in one of the synagogues of the city he was then in.Although the Law of Moses states that the Sabbath is a day of rest; Jesus heals this woman of her condition and she is then enabled to stand upright without unease and strain. Jesus is said to have opposed many rules and laws through his miracles, but nonetheless continued to heal and preach to many whether the situation and timing was convenient or not ; gaining many followers in the process of doing so.In response to the question of whether or not Jesus was setting out to form his own religion; it is my opinion that that is a misconception to say so. Jesus, in my perspective, was set on saving lives and teaching sinners to follow God and repent their sins so that they could join he and his father in Heaven. It will most likely always be someone’s opinion that Jesus had other motives behind his healing and ministries, however the revealing of the truth is yet to arrive to us. Was he our messiah or our magician? You decide.

Wednesday, August 14, 2019

Why California is considered a hazard hotspot and how it copes

A disaster hotspot is somewhere where there is a threat of two or more hazards to the area, ranging from geophysical to hydro-meteorological hazards. This is certainly the case in California, where there are an abundance of hazards which threaten the safety of the population. These hazards include earthquakes, bushfires, landslides, flooding, drought and fog. A major threat to the 40million strong population of California is earthquakes, which are caused by a network of active faults which run under the coastline of the state, including the San Andreas Fault and the Garlock Fault. The San Andreas Fault is a conservative boundary, which can give rise to powerful earthquakes. The 1906 San Francisco earthquake was caused by a rupture on the San Andreas Fault, which is a strike-slip fault meaning it is a crack between two plates sliding past each other. This 7. 7 magnitude earthquake caused a lot of destruction in the San Francisco area, killing an estimated 3000 people and leaving an expensive bill of damage ($9. 5 billion in 2009 dollars). Much of the damage and death toll came as a result of the devastating fires which followed the earthquake, which lasted for four days. The people of California are vulnerable to earthquakes as the faults directly underlie the area and the earthquake events cannot be predicted. As California is part of one of the largest economies in the world, it can afford preventive measures such as an annual earthquake drill and building earthquake proof buildings. Drought is another prevalent threat in California, which also gives rise to wildfires due to dry grounds and air. Droughts are caused by a lack of rainfall, heightened by the onset of La Nina. A particularly bad example of a drought in California was in 1976-77 where they only had half the rainfall compared to a normal year, causing a major crop fail, which in less economically developed countries often leads to a famine disaster. Droughts lead to health problems, particularly for the young and old who are at risk of malnutrition and heatstroke. 2007 was a bad year for wildfires. Prior to these fires the area was experiencing a drought, meaning the land was dry which created good conditions for fires to spread. Across the 19 days of burning, there were 9 deaths, over 500,000 acres of land burned, along with 1500 homes. There had been a build up in bushes in the previous decades of no fires which added to the reason the fires were so destructive as they had a lot of fuel to burn on. California is also at risk of flooding, both coastal and from rivers. These events are largely caused by excessive rainfall. In 1964 the Alaskan earthquake caused a tsunami which devastated parts of California, killing 14 residents. A more recent example of flooding was in December 2010 when hundreds of people were evacuated due to more than 12 inches of torrential rain falling, causing flooding and mudslides. This again caused a lot of economic damage. Other mudslides have occurred across the recent decades, often caused by earthquakes or flooding and erosion. In La Conchita there have been two major mudslides, one in 1995 the other in 2005. The more recent event was far more destructive, burying 15 homes and killing 10 people and was caused by excessive rainfall. In conclusion California is considered a disaster hotspot because its population is vulnerable to a variety of hazards which occur quite frequently and sometimes lead on from one another, for example if there is an earthquake landslides could occur as well as the initial destruction caused by the earthquake itself. As a developed state it has invested money and time to ensure the safety of its residents as much as is possible when the events are unpredictable.

Tuesday, August 13, 2019

Single-Case Design Essay Example | Topics and Well Written Essays - 500 words

Single-Case Design - Essay Example In the context of this diversity, researchers should be cautious in selecting an appropriate research method. The Single case design method is considered a good example of human studies that has been so called because of the nature of human research and its use of individual samples i.e., only one or few numbers of participants. Gustav Fecner was the first scholar who has used Single case design in 1860 to develop the discipline of psychophysics. During the initial development of this design, Fecner conducted his research on only two participants (himself and his brother). According to Kerlinger and Lee (2000), Fecner is credited with inventing methods that are still used to measure sensory thresholds. According to Kerlinger and Lee (2000), I.P. Pavlov, through his use of this research design, did pioneering work on instrumental conditioning using dogs. Using single cases was the first step, which led to the development and expansion of this method. Single case design encompasses a s et of characteristics that distinguishes it from others. For example, single-case design, or single participant experimental design, is defined as a strategy by which control in experiments over one or just few participants is achieved. That is why the method is sometimes referred to as the N=1 design (Barker, Pistrang, & Elliott, 2002).

Monday, August 12, 2019

Psychopathology Assignment Example | Topics and Well Written Essays - 1750 words

Psychopathology - Assignment Example ce characterized by such feelings to a greater degree than seems warranted by the external circumstances, typically with lack of energy and difficulty in maintaining concentration or interest in life.† Mary’s father had an addictive personality, and was an alcoholic. He was very promiscuous and had known relationships with as many as 9 women that Mary knows of. He was given to physical and verbal abuse, which led to Mary’s mother separating from him when Mary was six years old. Mary’s mother also had an addictive personality and was abusive. After her separation, she moved to London, and the stress of providing for the children brought out her abusive side, till Mary left her house at age 17. Mary has younger siblings who she was responsible for after leaving her mother’s house. This includes brothers as well as sisters. Mary was their primary caregiver till they reached adulthood after they left their mother. Mary has felt protective and responsible towards them as she was the oldest. Mary found it difficult to have relationships as she experienced trust issues – possibly stemming from her parents dysfunctional relationship and eventual separation. She eventually met her present husband, a dentist belonging to a middle class background who convinced her that he would be loyal to her and would never leave her. They have now been married for 17 years; but their present relationship is somewhat distant. She has 2 daughters, who she has devoted all her time to. Her relationships with her daughters are not very healthy at the moment, especially since her elder daughter aged 16, found out that she was pregnant. This incidence was the triggering point that started the depressive experiences that Mary has presented with. Mary comes from a small town culture, but moved to London with her mother at an early age. The middle class notions of propriety were what forced her mother to move to London; but Mary seem to identify with them and holds her family to

Term paper 2 Article Example | Topics and Well Written Essays - 1750 words

Term paper 2 - Article Example Introduction Nursing theory is essential to all nurses as they develop their knowledge through their extended studies and learn to evaluate the different cases they will encounter during their careers. Most notably, understanding ethics in nursing theory is also important as part of the evaluation process as concerns patients and their health. In a global society, technology and research knowledge are advancing at a rapid rate, and more so now than ever before, future nurses must engage in continual education and developing their theories of nursing. The term, ethical knowing, outlines the fundamental pattern of knowledge, theory and purpose in the business of nursing (Carper, 1978; Noureddine, 2001). Ethical Knowing It should be understood that while nursing goals and actions within the terms of ethical knowledge is evaluated within the framework of each medical case the nurse will encounter. While a simple solution might be viewed as obvious, in a further review of the circumstance s surrounding a case, it may be determined that another path of treatment would be far better for the patient rather than just the accepted book-learned course of treatment. In reviewing ethical knowing from a philosophical viewpoint and through terms of ontological and epistemological dimensions, the ontological dimension refers to ethical traits which nurses must possess – empathy and compassion. In the epistemological dimension, the moral validity of what nurses must be is to be truthful and maintain the confidentiality of the patient (Noureddine, 2001). Ethical theories encompass the deontological, utilitarian, right-based, intuitionist theories which are associated most often with ethics in nursing. Deontological, duty-based theories have four major principles: the personal liberty to act; doing no harm; action which improves the welfare of others; and justice in treating people equally and fair distribution of resources (Noureddine, 2001). Utilitarian theory is action-b ased with the outcome as the basis, which is also referred to as maximizing the good for everyone rather than addressing individuals. Right-based theories are more concerned with the individual as the center and protecting individual choice. Autonomy and self-determination are part of right-based theories. Intuitionist theories, on the other hand, put the elements of duties, rights and goals on the same level, and it is up to the nurse and her moral intuition to make the ethical decision for any particular situation (Noureddine, 2001). Yet, as nurses have discovered for themselves, occasional cases may show that two theoretical frameworks may apply, and determining the more salient resolution, becomes a dilemma for the nurse in the process of caregiving. Initially, nurses might question why there is such a thing as nursing theory and for those who are first encountering the concept of theory, the reaction is one of fear and trepidation (McEwen & Wills, 2010). The point for theory in nursing is that it educates nurses to think on a more evolved level which will assist them later as professional nurses in assessing individual cases. Theory can also be from outside of the nursing field when assisting in looking at and analyzing a case from all angles. Ultimately, theory is ‘guidance through interpretive assumptions, principles and propositions which help explain and

Sunday, August 11, 2019

Tokyo vs Bangkok Essay Example | Topics and Well Written Essays - 1500 words

Tokyo vs Bangkok - Essay Example Bangkok and Tokyo are about 3000 miles apart and similar yet different in many ways. They both have rivers passing through them and both lie close to bays and are both very rich as far as culture is concerned. Economically, Tokyo is superior to Thailand and had a higher cost of living too. Bangkok however, has a more metropolitan look than Tokyo since it has allowed many immigrants to live and work within the city. Tokyo has very tighter immigration laws and foreigners hold virtually no special rights in Tokyo. There is more of intercultural mixing in Bangkok. Bangkok is located in the very central part of Thailand and this makes it a natural hub between the southern and northern Thailand. Bangkok’s location around the Chao Phraya delta has earned it the title of being Asia’s Rice bowl. This is because the river creates a fertile valley in which a lot of rice is grown and mostly exported. Bangkok’s position near a bay has enabled it host Thailand’s main international port. The city lies approximately six and a half feet above sea level, and this works as a disadvantage to the city whenever the season of monsoon rains begin. The rains cause River Chao Phraya to burst its banks and massively flood the city. The city’s climate is hot and warm almost all year round and this is probably why it is so popular with tourism. It has even been labeled to be the hottest city in the world. According to Mansfield, Tokyo occupies a huge swath of sedimentary deposits of the Kanto Plain which is in Honshu, the most populo us and largest island in Japan. The city is situated on the coast of the eastern Pacific and its main features are the flatlands to its east, undulating hills to its west and the Sumida River.

Saturday, August 10, 2019

The Potential for Alternative Fuels in Transport Essay

The Potential for Alternative Fuels in Transport - Essay Example The various regions of the globe and transportation applications may present different challenges requiring different alternative fuels, but the need to preserve the environment and its resources is universal. (Pelkmans, p.1-3) The Associate Director of the Energy Program at Rice University, Amy Myers Jaffe, argues that the situation is more dangerous now than in 1973 or 1979, as the United States is more dependent on the oil from Saudi Arabia and other OPEC countries of uncertain geopolitical stability. "Of the Saudi oil, two-thirds goes through one processing plant and two terminals. " (qtd. in EBS, pars. 3-4) The electric vehicles touted after the oil crisis have not yet made it past the significant hurdles of economic and technical factors. Battery technology has not progressed as predicted, and remains the major weakness in electric vehicles. In the last few years, hybrid vehicles have become available, compromising the fuel-efficiency and environmental benefits of electric vehicles without their long-charging times or short range. Last year, over 86,000 hybrid vehicles were sold in the United States. (Barnitt and Eudy, p. 15) "It turns out that if, in 2025, every car and light truck were as efficient as today's hybrid cars and sports utility vehicles, that would displace two Gulf's worth of oil or a sixth of all the oil in the country," says Amory Lovins, CEO of the Rocky Mountain Institute. (qtd. in EBS, pars. 3-4) The use of alternative fuels, operating within assumptions of current fuel use and oil supplies, are inevitable. (Sperling, DeLuchi and Wang, p. 1) The United States owns only three percent of the world's oil reserves, but consumes 25 percent of the world's oil. There is a concensus that drilling our way to energy independence is not a feasible solution. (EBS, par. 4) The transportation fuel market represents about 53% of the world refinery product demand. If upstream (the fuel used in producing the fuel itself) consumption, asphalt and lubricant use are included, the transportation sector is responsible for about 60%. This share of the oil market is projected to increase in the next decades. The remainder of the oil products are used for heating, the production of plastics and other synthetics, and for the production of electricity. No large-scale substitute displays identical characteristics as oil-based fuels (gasoline and diesel,) and higher quality transport fuel requires highe r energy use in the refining process. The demand for transporation fuel will determine the demand the for crude oil on the whole. There are sufficient oil resources in place for the period up to 2030, provided that sufficient investments and developments are made in oil recovery. (Gielen and Unander, p. 7) The World Energy Outlook 2004 predicts a growth from 77 million barrels per day to 121.3 million barrels per day in 2030, and the OPEC Middle East share in world oil production is predicted to grow from 24.7% to 42.7% by this time. (Gielen and Unander, p. 8) "Until we find a substitute for the internal combustion engine to reduce our dependence on gasoline, we're stuck with imported oil," says Robert Ebel, the Chairman of the Energy Program at the Center for Strategic and

Friday, August 9, 2019

Middle Class Essay Example | Topics and Well Written Essays - 1500 words

Middle Class - Essay Example In the British Social Attitudes review of 1996, two-thirds, of respondents decided "there is single law for the rich and single for the poor" while 87% alleged that " the space between those with and lofty earnings is excessively great". However many scholars have disputed that, in its sternest wisdom, class in Britain is at the present dead and some have yet disputed that it is dead in any hypothetical sagacity. But I will disagree that no matter class no further lives in Britain but there is a sturdy practical function to play of class in Britain. Haralambos, M., et al (2000, Pg 34-35) proposes that any evaluation of "the demise of class" has got to start with the explanations of class itself, and of what people are accurately signifying when they declare it is "dead". Conventionally, class examination has been tear into strong and weak structures." Strong" class study, connected originally with Marx, assumes a holistic advancement: class is or was an untailored feature in chronological modification and the on the whole organization of the public. Karl Marx (1818-1883) a German, but worked in London from 1849 onwards wrote on class in the 1840s and all the way through to the 1860s and 1870s. In his vision, a class is distinct as an assembly, " in itself" and "for itself", as a socio-economic group with a communal uniqueness and a common biased accomplishment. "Weak" class theories, on the other hand, mainly prejudiced by the effort of Weber, are predominantly positional, spotlighting on empirically recognizing groups with ass ured other individualities in general. Max Weber (1864-1920) again a German wrote on class from 1910-1920. He tends to spotlight not just on possession of assets but also manage, and on individuals market capability - their profitable skills in the labor market. Weber says class is connected to dissimilarities that have their foundation in the workings of entrepreneurship and the market place. For Weber an individual's class is associated openly to his/her "market condition". It is imperative to divide two correlated but dissimilar points enclosed within "the death of a class" dispute. One advises that Modern Britain is classless - in additional words any known person's ability of accomplishment in society is no longer strong-minded by their societal class, as cleared by either of the observation above. The other spot suggests that class is no longer helpful as an investigative notion. Both of these visions hold grave faults. Myths of Classlessness Before I begin the historical account, a