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Saturday, August 31, 2019

Cellular Tower Proliferation In The United States Essay

The â€Å"Cellular tower proliferation in the United States† article talks about the growth and development of cellular communication over the years. The article looks at how the current form of this communication came to be with a review of the stages the process has undergone. The article reviews the results of the demand for wireless communication where there has been an increase in infrastructure to facilitate the same. Though erected with the right intention in mind, the article reviews how the same has not gone well as expected (Wilke, 45-62). The rise of many structures to support the cellular communication has led to a dramatic change in the landscape all over America. This has in return generated reactions from various groups. Objections are one of the reactions. The same are from members of the community, various interest groups and regulatory boards. The reasons for objections vary from those who complain about the visual impacts of the erected infrastructure to the perceived risks associated from the same structures being within human residential areas. The proximity of such infrastructure is perceived to have negative health effects. The article finishes by reviewing the steps taken to mitigate the negative effects emanating from cellular communication with examples such as infrastructure modification to fit with the environment to maintain the visual appeal (Wilke, 45-62). Analysing the article, one appreciates that is a great eye opener to the effect of technology in the society. As an individual, one is able to appreciate how far humanity has come in terms of development. For this case, the rise and improvement in communication networks has benefited the society. The historical analysis of how communication networks have come to be gives one the opportunity to associate with this technology and appreciate the work put into it. By doing this, a clear image is painted to the author where the article acts as a source of information in this case on cellular technology. As one covers the different issues in the article, one is able to appreciate that though the society demands the existence of some amenities such as communication structures as identified, the existence of the same and impact cannot be ignored. The society may invent such amenities for the day to day use but are not willing to live with the consequences, especially the negative ones. The h ighlight of the presence of communication towers and subsequent change of the landscape serves as an appropriate example. It shows the never ending conflict between humanity and his inventions. However, one feels that more examples would have been fit to shed more light on the impact of the technologies with the development in cellular communication acting as the illustration of what is happening to the society. In showing the various mitigating strategies used in combating the negative effects of the cellular communication infrastructure, one is able to realize the need for a thorough understanding and deep analysis of any form of invention before introducing it to the society. A personal take is that experiments and studies should be done in such a way that in case problems arise with the inventions, quick steps are taken to combat the same. The article provokes one to question the presence of other inventions whose impact has been profound apart from the example given such as the cellular infrastructure. The article also makes one question the impact of the same form of technological advancement in this case the cellular infrastructures in other parts of the world apart from America. One cannot help but think of the impact of the same on a global scale and what is in for mankind if development in the same area continues with the same trend. References Wilke, Thomas A. â€Å"CELLULAR TOWER PROLIFERATIONIN THE UNITED STATES.†The Geographical Review  92.1 (2002): 45-62. Print. Source document

Friday, August 30, 2019

Understand the Kinds of Influences That Affect Children and Young People’s Environment

Unit 1; Q2. 1 –Understand the kinds of influences that affect children and young people’s environment. Q 2. 1 Describe, with examples the kinds of influences that affect children and young people’s development including: a) Background Pupils may come from a wide range of different family environments, cultures and circumstances for example their parents may come from a foreign country and have different religious beliefs. This may affect the child as they will be taught something different at home and school may be teaching something else and this may confuse the child. There may also be a language issue as the child may speak the parent’s language at home and may have problems speaking English at school. b) Health If pupils suffer from poor health or physical disability, it may restrict their development opportunities. Health can be affected by low income and a range of socio-economic factors such as access to good-quality health services and shops selling good-quality food at affordable prices. The child’s emotional development will also be impacted depending on their illness of their needs. It is important that adults in schools are aware of these situations and circumstances so that they can support them by ensuring that they are included as far as possible. C) Environment Families who feel confident about their future income and finances can choose their lifestyle. They can also choose where they would like to live. Families in the higher social classes tend to live in more expensive housing areas with good facilities for travel and education. Families with lower incomes tend to live in more densely occupied housing areas. Families on lower incomes are often forced to rent rather than buy their homes. Different social class groups often live in different neighbor hoods, but there can be disadvantages to living in poor-quality or high-density housing. These can include noise, pollution, overcrowding, poor access to hops and other facilities, and stress from petty crime. When people are on a low income, household maintenance can become a problem. Poorly maintained housing can create health hazards. Low income and poor housing are a source of stress to many people. In general, people with money appear to have fewer problems compared with people who live in low-income areas. Living in the suburbs or in the country may also cause less stress than living ‘in town’.

Thursday, August 29, 2019

The difference between popular history and the hard facts of the Essay

The difference between popular history and the hard facts of the sexual revolution - Essay Example The sexual revolution of 1960s set a new stage for sexuality as observed in the current society. In popular history, advocates for sexuality rooted heterosexual relationship in which men had a say in the overall relationship. In this perspective, heterosexuality is the accepted form of union that people should have. The tradition also defined the voice of a woman in the relationship. Feminist and other critics argued that the perception of sexuality in the tradition or the Victorian age promoted selfish interest of the male as opposed to the female (Lynch 96). Largely, men could enter into polygamous relationship while women had to remain faithful to their partners. While sexuality in the popular history favored the interest of the heterosexuality, acts such masturbation or homosexuality were also present. Some historians and sociologists have observed that masturbation and other homosexual activities are not new versions in the society, but their amplification resulted from the sexual revolution (Lynch 97). In popular history, the male influenced sexuality by dictating when to have or not to have sexual intimacy on the contrary the sexual revolution has influenced the ability of women to make choices of the sexual partners. For along time, the society considered women who proposed any sexual relationship as immoral or did not observe the societal precept. The revolution did not only change the choice that women make when it comes to choosing sexual partners but also when to engage in the act. In this sense, the sexual relation opened a window for women to make choices for the relationship. Women have used the opportunity to enter and terminate relationship with victimization. In the past victimization was a common phenomenon especially, when women took bold steps to propose a sexual relationship with the male counterpart. In popular history, multiple sexual partners was a preserve for men whereas the

Wednesday, August 28, 2019

Budget Information Problem Essay Example | Topics and Well Written Essays - 1500 words

Budget Information Problem - Essay Example Finally, the report wraps up with an analytical assessment of these budget information problems and suggests recommendations to address the budget information deficiencies. I as the accountant carried out a survey on the state of the budget information problem. The budget information problem is as a result of a company not being transparent enough to itself and the public or parties concerned. There is no accountability in the way the budget funds are used and in this case. The report will consider the effect of the availability of budget information to Metropolitan health care services company (Tyler, 2007, p. 146). In so doing, it is essential be familiar with nature and organizational structure of the Metropolitan health care services company. The report will establish the central issues in the budget information affecting Metropolitan health care services company. Besides, it suggests the available policy choices that it can employ in their budgeting processes. The company is expected to select a policy option that is in line with the goals in its budget financing. The report found that it was essential for the the company to have information on issues regarding the expenditure and revenue budget. Budget information is vital, and when it is unavailable, it could imply the lack of accountability and hence misappropriation of funds. Debt management information deficiency is also a constraint for the company’s budgetary processes. I observed that the approach taken by company concerning debt management is not appropriate in the budget stipulation. I hold the position that aims to reform the criteria and conditions that will enable the elimination of budget information problem at Metropolitan health care services comp any (Lindridge, 2011, p. 157). There are frequent typical problems that exist in the budgetary making process at Metropolitan health care services company. One of the fundamental problems is budget information concerning

Tuesday, August 27, 2019

Organizational Tax Research and Planning - Tax Reform Paper

Organizational Tax and Planning - Tax Reform - Research Paper Example This proposal can be implemented by providing qualified employers with wage increases accompanied by a tax credit (Committee on Ways and Means, 2013). The tax credit should be equal to 10% of the increase in the employer’s wage increase. The maximum amount of the increase could be set at five million dollars per employer. On the other hand, the maximum credit should be $500,000 in order to focus on the benefits accruing to the small businesses. Indeed this proposal is the most viable. This rationale can be explained by the fact that a tax credit would reduce labor costs in the economy thus, encouraging firms to hire more workers (Jurinski, 2000). Employees will also benefit since, they will secure job opportunities in the economy. A tax credit would be more beneficial compared to a flat subsidy because, the temporary tax credit for all firms would lead to sharing of the credits and providing an incentive that would lead to an increase in employment and wages that previously, w ould have been increased without an incentive. An incremental tax credit will also have an effect of rewarding corporate businesses by expanding industries and regions in the country while at the same time helping those firms and industries that might be still experiencing economic stagnation. Therefore, indeed corporate taxpayers have huge benefits to reap from this policy. Businesses experiencing labor shortages due to the recession will also benefit from the increase in the employment (Jurinski, 2000).... ecause, the temporary tax credit for all firms would lead to sharing of the credits and providing an incentive that would lead to an increase in employment and wages that previously, would have been increased without an incentive. An incremental tax credit will also have an effect of rewarding corporate businesses by expanding industries and regions in the country while at the same time helping those firms and industries that might be still experiencing economic stagnation. Therefore, indeed corporate taxpayers have huge benefits to reap from this policy. Businesses experiencing labor shortages due to the recession will also benefit from the increase in the employment (Jurinski, 2000). With the tax relief, businesses will also increase their profitability level since; they will have increased their productivity. The key impact of repatriating foreign profits earned without incurring a federal tax liability is reduction of a tax expense on corporations (Urban-Brookings Tax Policy Cent er, 2013). Corporations will have a lower trading expense when given a tax credit on the federal tax. In addition, many trading corporations will also be attracted to engage in foreign trade. This is because; most businesses normally shy away from foreign trade due to the high federal taxes. Therefore, they prefer trading in the local market in order to avoid incurring these tax expenses. Reduction of the federal tax liability will also have positive implications on the US economy (Jurinski, 2000). This is because there will be many businesses engaged in foreign trade and thus, there will be an increase in foreign income generated to the country. The demand for goods and services produced in the country will also increase since; corporations will be serving both the local and foreign

Monday, August 26, 2019

Title should be chosen by the writer in accordance to the essay

Title should be chosen by the writer in accordance to the instruction - Essay Example The argument behind the above move is that companies stand to benefit through the use of a single set of metrics in gauging human capital. Erica Karop, Head of Global Sector Research at UBS Investments Bank, one of the participants, explained that any client choosing between two banks is most likely to choose and factor the one that spends much more on training and rewarding its workforce, which translates to lower turnover of employees – a costly expense to most organizations (Green, 2012). The U. S. HR Policy Association (HRPA), a lobby group with a membership of more than 300 top HR managers in the U.S, noted that in the current business environment, information regarding how much a company spends on training, and the type of workforce the company hires would be much more important to rival companies than to potential investors (Green, 2012). Therefore, as the business environment rapidly evolves, companies have to be more creative and innovative in training, motivating, an d retaining their workforce to remain competitive in the global market. ... Organizations are rapidly changing their operations towards larger customer oriented units and relying on a rich set of integration mechanisms within these entities. This largely results in different forms of internal hybrids that enhance lateral sharing of individual and organization knowledge, aimed at achieving economies of scale and scope. Similarly, as Green (2012) elaborates, companies through the HR have to strategize on setting a single set of metrics to gauge all the manpower, in ensuring effective integration of these business units as businesses reshape into larger customer oriented units according to the global business environment. Weber’s bureaucracy theory presents the best scenario of the new organizational forms. Clegg et al. (2012) note that Weber’s bureaucracy theory requires that jurisdictional areas be well specified with activities that are well distributed as personal official duties, whereas the traditional approach requires activities to be dele gated by the leader and can be changed at any particular time. In addition, Weber noted that officials in the organization have to be chosen based on technical qualifications, appointed and not elected, and well compensated to motivate them to perform. To ensure low turnover of employees, as Green (2012) explains, Weber’s theory indicated that employment by an organization has to be a career where the worker is a fulltime employee and yearns to have a life long career where they get tenure of their respective positions and are insured against arbitrary dismissals (Clegg et al., 2012). In order to achieve these objectives, managers in different organizations embrace creative and innovative methods to recruit, train, and retain their workforce through different strategies that characterize

Sunday, August 25, 2019

Selecting Forensic Tools Essay Example | Topics and Well Written Essays - 1000 words

Selecting Forensic Tools - Essay Example ion/attack. It is, hence, computer detective work. The importance of computer forensic technologies to the securitization of information and for the detection of the source of cyber crimes, manifest in the unauthorized retrieval of data, cannot be overemphasized. As both Stephenson (1999) and Carrier (2004) emphasize, organizations which do not have a digital forensics system in place are inexcusably careless and irresponsible. The implication here is that organizations which handle sensitive data, especially data which the law holds as confidential and private such as patient information, will have a digital forensics system in place. This was confirmed by our organization's IT Director who explained that a digital forensics analysis system was implemented over two years ago. While the IT Director claimed that the organization did not abide by criteria for the determination of whether to use open source or commercial tool sets, his explanation of the system and the process of its selection underscore its efficiency. Tool Selection The selection of the tool set was determined by the needs of the organization, the nature of its data and, importantly, a review of past attacks and unauthorized intrusion attempts. As a healthcare organization, the securitization of data is of primary importance since the leakage of patient information to unauthorized personnel renders the organization vulnerable to litigation. Furthermore, because of the nature of its activities, the data information combines between text, as in medical reports and demographic data, graphics, as in patient X-rays, and numbers, as in financial information. The organization, therefore, has to protect three data types. In their analysis of the various computer forensic tools, Yasinsac and Manzano (2001) maintain that the criteria for selection should be data type and organizational needs and activities. Further explaining this, they note that the tools which are used vis--vis graphical data are not effective when used for numerical or textual information. Watermarking tools are most effective where graphical data is concerned but not so in relation to textual data (Yasinsac and Manzano, 2001). Furthermore, whether commercial or open source tool sets are used should depend on an organization's size, the complexity of its functions and the volumes of data it handles (Yasinsac and Manzano, 2001). Even though he concurred with Yasinsac and Manzano's (2001) recommendations, the IT director admitted that adherence to their tool set selection criteria was not feasible. While open-source rather than commercial tools were used as a result of the complexity of the organization's processes and the volumes of data it handles, it did not distinguish between graphic and text-based data. Doing so would involve the implementation of two different digital forensics tool sets, thereby multiplying the human and non-human resources assigned

Saturday, August 24, 2019

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

Human Resources Development - Essay Example ny other LSBM or appointed staff member I shall be bound by the decision of that lecturer and/or staff member as well as the terms of the Dishonesty and Plagiarism Policy. Human resources development (HRD) can be considered as one of the essential part of any organisation’s growth. HRD can be described as a framework that assists the workforce of any organisation to develop their personal as well as organisational skills, abilities and knowledge. This procedure provides various opportunities to the workforce of any organisation such as employee training, learning assistance, performance development and management, mentoring and coaching. The HRD procedure assists organisations to develop a superior workforce by providing proper learning opportunities through various training and development plans. This framework also ensures the proper evaluation of the training outcomes to assess the impact of training on the employees (Armstrong and Taylor 2014). Further discussion in the study will evaluate various theoretical aspects and organisational applications of the different approaches of human resources development such as learning, training and eva luation of training procedure. The report will also illustrate the importance of different approaches of human resources development program in the growth and success of any organisation. This study will also explain the role of government in the training and development procedure of any organisation. Finally, it will evaluate the contemporary training programmes designed by the UK government and its efficacy within the organisation. Learning process in any organisation defines the act of gaining new knowledge, skills, behaviour or values through different experiences. Learning also emphasises on reinforcing and modifying the acquired knowledge that enforces changes within the behaviour of the workforces. Learning style depicts the preferred method of an individual in terms of gaining knowledge and approaching learning

Friday, August 23, 2019

Hazardous Material Management and Hazard Communication Essay - 2

Hazardous Material Management and Hazard Communication - Essay Example Negligence is the primary cause of physical dangers. The most frequent physical hazards at a local gas station include fires, fuel spillage and electrical accidents. Carelessness at gas stations has led to explosions and fires that extend to another property. Electrical hazards could be in the form of improper wiring and frayed cords. Combination of electrical hazards and careless fuel handling is very detrimental. Chemical hazards include combustible and flammable gasoline and petrol. Local gas stations that have no standard safety measures for handling such products often risk explosions and fires (Bajcar et al., 2014). Lack of professionalism in handling fuels is dangerous. For instance, over filling leading to spillage or smoking at gas stations may cause fire. Natural hazards have no element of human involvement. The hazards are unpredictable and have devastating effects. Notably, natural hazards worsen already existing environmental hazards. For instance, excess solar radiation can generate enough heat to cause an explosion of gases at local stations. Fires at gas stations primarily arise from misbehaviour (Anejionu, Blackburn & Whyatt, 2015). People who create fire accidents are normally negligent and handle fuel products carelessly. For example, failure to follow manufacturer’s instructions, overfilling or keeping the engine on while fuelling is a risk. Apparently, human disorganization facilitates hazards particularly in situations where the hazard is difficult to control. Stopping fires is sometimes hard because of inadequate emergency protocols or incompetency. Anejionu, O. C., Blackburn, G. A., & Whyatt, J. D. (2015). Detecting gas flares and estimating flaring volumes at individual flow stations using MODIS data. Remote Sensing Of Environment, 15881-94. doi:10.1016/j.rse.2014.11.018 Bajcar, T., Cimerman, F., & Ã…  irok, B. (2014). Model for quantitative risk assessment on naturally ventilated metering-regulation stations for natural gas.

How dividend signaling changes market valuation in UK Dissertation

How dividend signaling changes market valuation in UK telecommunication industry - Dissertation Example As a financial consequence of increasing the dividend payout, the telecommunication company will have lesser available fund to invest in research and development (R&D) and upgrading its existing telecommunication technology and infrastructure. Therefore, the future profitability of the company could suffer. Increase in the dividend payout could signal temporary positive changes in the market valuation of telecommunication industry in UK. Although increasing the dividend payout could temporarily improve the market valuation of the company, public investors should be aware that a high dividend payout could deprive the company from being able to increase its competitive advantages as compared to its competitors. Eventually, decision to increase the cash dividend payout could significantly decrease the company’s future cash dividend payouts. Table of Contents Executive Summary †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. ... 7 d. Rationale for Choosing the Research Topic †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ 8 e. Scope and Limitations †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 9 II. Literature Review †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ 11 a. Impact of Dividends in Large Business Organization . 11 b. Dividend Policy †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 12 b.1 Historical Developments of Dividend Policy .. 12 b.2 Dividend Policy – Asymmetric Information Model †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. 15 c. Relationship between Dividends, Future Earnings and Business Profitability †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. 16 d. How Dividends could Signal Changes in Market Valuation †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 17 e. Other Factors that could Affect the Increase or Decrease of Corporate Earnings, Business Profitability, and Market or Common Stock Valuation in the case of Vodafone †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ 19 e.1 Foreign Direct Investment or Business Expansion in International Markets †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. 20 e.2 Investment on Research & Development (R&D) and Technological Innovations †¦Ã¢â‚¬ ¦.. 21 III. Research Methodology †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ 23 a. Research Framework †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 23 b. Research Hypothesis †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 24 c. Research Survey Questionnaire Design †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 25 d. Target Population, Sample Size and R esearch Venue †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. 27 e. Research Evaluation Method †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ 28 f. Ethical Considerations When Going through the Primary Research Study ..†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. 28 IV. Research Findings and Analysis †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ 30 a. Demographic Analysis

Thursday, August 22, 2019

Conservatives Placed Their Faith in Pragmatism Essay Example for Free

Conservatives Placed Their Faith in Pragmatism Essay Why, and to what extent, have conservatives placed their faith in pragmatism rather than principle? Pragmatism is the idea that one should take a flexible approach to politics; using an understanding of what is best for the people and what will bring stability, it also is about what is most wanted by the people. An example of this was the post war consensus when consecutive conservative governments didn’t cancel any of the widespread reforms brought in by the labour government of 1945-51. Principle is the complete opposite of pragmatism and is more ideological sticking to a certain view of how society should be and pursuing this. It is a political idea that changes with the times Conservatives have often favoured pragmatic approaches to situations an example being Benjamin Disraeli and his one nation toryism. Prior to this the general consensus about the poor made by early conservatives was that the poor were due to their own mistakes and that it was not the place of others to help them but that they should help themselves. Due to the Disraeli seeing growth of social inequality he came to the conclusion that to ensure social stability and to stem the tide of revolution, the government should take measures to help the poor. This displays conservative pragmatism as it’s a clear example of the conservative thought changing and reacting to events. In Disraeli’s case these events were the French revolution. This shows how pragmatism was held dear to conservative thought. Another Reason conservatives tend to favour the pragmatic approach stems from conservative thinker Michael Oakeshot who argued that societies should not be directed towards certain goals, claiming ideological change is normally radical in nature and can lead tyranny and this should be avoided. However there are cases when ideology has gripped the conservative party, the biggest example could be the new right under Margaret Thatcher. Here the conservative party appeared to break away from just an opposing role and instead began to pursue ideals of a free market; through the selling of national assets such as the railways and the deregulation of the banking system. It also saw a sort of reversal on the post war consensus, reducing the size of the welfare state. Here there was a clear example of principle being the main driving force within the conservative party as many of the actions taken by Thatcher’s government also faced a lot of criticism from many members of the opposition, the public and her own party. However the fact that the government policies of  her day still pursued these principles in the wave of mass public unrest show that these changes weren’t in reaction to any event but simply part of the pursuit of a political ideal. It seemed like the first time the conservative party had actually adopted some form of ideology. This is a clear example of principle being favoured over political ideology. At it’s very nature conservatism changes in regards to the ideology it’s opposing. It’s rooted in the original ideas of Edmund burke and his writings about the French revolution which claimed that radical change is bad and harmful for society. Conservativism right at its origin fears ideology and it’s very nature as it sees ideology and the radical views that tend to follow it as a threat to the balance of society. At it’s heart conservativism isn’t an ideology but simply a political ideas which at it’s very nature is reactive with the main aim of preserving and bringing about gently staggered change rather than radical changes. It could be claimed that the new right weren’t in fact real conservatives and more like classical liberals. But in conclusion it would appear that true conservativism will always favour pragmatism over ideology.

Wednesday, August 21, 2019

Reflecting On The Incident And Making Necessary Application Of Theory

Reflecting On The Incident And Making Necessary Application Of Theory Introduction The aim of this assignment is to identify and reflect on a critical incident that happened at my work place and making an analysis for learning experience. The following will be identified and defined: critical reflection, the value of critical reflection and health and social care theories to support my personal and professional development. The full description of the incident is available in Appendix.1. White et al (2006) defines critical reflection as a process which incorporates individuals analyses of thinking with regard to the influence of socially dominant thinking. The material reflected upon in critical reflection is screened through the analysis based on critical theory. Foook, (2002) in Pranee Limputtong (2008 p.266) points out that critical reflection is a process of identifying the ways in which we might unwittingly affirm discourses that work against us, and shape people we are working with through examining our implicit assumptions. The value of reflection is to generate evidence to confirm or contest the link between reflection and improvement in social care work practice and also has a potential to enhance the quality of care delivery (Burns and Bulman 2000). Reflection stems out of particular experiences of professionals, including their experiences of critical reflection in some of health subjects such as social care and social work. Critical reflection seeks out to engage professionals into their studies making them aware of situations that may have noticed and taken for granted in practice. The method of critical reflection is also interrogating and debating the aspects of a particular practice in order to generate an understandable study (White et al 2006). According to Palmer et al. (1994) reflection has been proven to be a key tool for practice learning, practitioners need more than experience knowledge for competence. Professional development is a way of equipping practitioners to be competent and be in a better position to respond well to changing needs in the world of practice. Pranee Limputtong (2008 p. 266) states that the reasons or aims of critical reflection is to dig how we participate in communicating our ideas which shape the existing power in relations. Johns and Freshwater (1998) cited in based learning.org (2008) points out that, the value of reflection is a way in which professionals can enhance their learning as it involves questions about self, actions beliefs and values. There are several models of critical reflection, only a few have been identified in this assignment. Kims (1999) model is a three phase of reflection which helps the practitioner to continue the journey of reflection as he or she gradually develops the abilities to reflect. This model is used to develop a novice reflective practitioner to begin with simple descriptive reflection and gradually progress to the more complex levels under close supervision and guidance (Rolfe et al 2001). Johns (2000) model for reflection is a cue of questions built into a very comprehensive framework for structuring reflection-on-action furthermore Rolfe et.al (2001) states that some consideration should be made, whether his fifth way of knowing of reflexivity is really reflective. His model does not make any provisions for making changes to an on-going experience. Gibbs (1988) model of reflection a cyclical cue of questions arranged in the similar way with Tandiwe Dube 0921769 Johns (2000) learning cycle. This framework is centred in learning from experience rather than attempting to change the experience. The model does not encourage any reflexive path back to the action from which learning is derived (Rolfe et al 2001) I have chosen this framework as it gives the foundation of reflection and has three cues of questions that are designed to be open and can be revised to meet specific needs for different practitioners in different situations. It pays particular attention to Bortons (1997) model as its macro structure. The three set of questions completes a cycle which enables the practitioner to continually improve on learning from experience for better practice. The first set of questions is the description level of the situation. The second level is the building level of reflection where the practitioner is encouraged to make a personal theory and knowledge out of the situation. The third level is for the practitioner to reflect on the consequences of their actions and considers how to improve on practice. This final stage is considered as the stage which can contribute more to practice (Rolfe et al 2001). Mr. B. was not offered his cup of tea and toast in the morning as he was incontinent of urine and faeces and needed to attend to his personal hygiene before being offered a cup of tea. This interrupted with his normal routine in the care plan which made him unhappy. As Mr. B was coming downstairs my colleague shouted from upstairs that I should ask Mr. B to go back to his bedroom. ( See Appendix) I used my voice and hand gestures to tell him to go back upstairs (Mr. B has learning difficulties), but he did not respond and continued coming down towards me. I felt intimidated and scared as I could not get through to Mr. B. I was concerned and I thought of my responsibility of duty of care, personal hygiene, respect, Tandiwe Dube 0921769 privacy and dignity as he was not appropriately dressed to come downstairs. I could tell that Mr. B was not listening to what I was saying as he seemed to be furious then hit the fish pond with his fist out of anger. Nazarko (2004) suggests that one should not repeat if the person does not understand what is being said but try to rephrase and speak a little more slowly when communicating with the service users. The way I raised my voice trying to be assertive and the way I used my hand gestures was wrongly interpreted by Mr B. In the process I have learnt that as a bank staff every time I get to a particular residential/care home, I need to first read the service user care plans before giving any nursing intervention to avoid putting myself and others to any risks as there might be changes in the service users care needs. As a social care worker, according to the GSCC (2002) I am accountable for the task delegated to me as well as my actions of carrying out the task. I should also identify my training needs as stated by Palmer et al (2000) that many practitioners suggested that reflection had encouraged them to identify their learning needs, assess their level of competence examine their accountability and articulate their concerns before undertaking a new task. When I saw that there was communication breakdown between myself and Mr. B, I should have called my senior, the manager or one of my colleagues before Mr. B hits the fish pond and gets hurt. According to the GSCC (2000) as a social care worker I have to work with others to protect the health and wellbeing of those in my care, seeking assistance from the employer or appropriate authorities if one feels not adequately able to carry out any task or not sure how to proceed. If this ever happened again I will call for assistance immediately when I realise that I am not Tandiwe Dube 0921769 competent to deal with the situation. As a practitioner I should recognise the limits of my professional competence and only undertake a task and accept accountability of those activities that I am competent in doing. In future I will make sure that I undertake necessary training to build my competence. To practice competently one needs the knowledge, skills and the required ability to lawfully, safely and effectively carry on a task without direct supervision. The senior came after hearing the noise and she spoke to Mr B using both verbal and non-verbal communication de-escalation technique. Through this incident I have learnt to continue developing my knowledge and skills as it is a requirement for every practitioner to take fresher courses to keep their knowledge and skills up-to-date. In conclusion critical reflection is quite important as it seeks out to engage professionals into their studies making them aware of situations that they may have noticed and taken for granted in their practice. Also the value of reflection is vital to generate evidence to confirm or contest the link between reflection and improvement in nursing practice and also has a potential to enhance the quality of care delivery (Burns and Bulman 2000). Reflecting to the incident one has learnt the importance of engagement and communication skills in that I could have used the de-escalation techniques situations before the situation got out of hand, and build my confidence and be more competent. Tandiwe Dube 0921769 References: Burns, S. and Bulman, C. (2000) The Growth of the Professional Practitioner. 2nd ed. Blackwell Science Ltd. Fook, J. And Gardner, F. (2007) Practising Critical Reflection. Open University Press Ghaye, T. And Lillyman, S. (2006) Learning Journals and Critical Incidents. Reflective Practice For Health Care Professionals. 2nd ed. Quay Books Division, MA Healthcare Ltd, St Jukes. Gould, N. and Baldwin, M. (2004) Social Work, Critical Reflection and the Learning Organization. Ashgate Publishing Limited Lmputtong, P. (2008) Knowing Differently: Arts- Based and Collaborative Research Methods. Nova Science Publishers. Palmer, A.M. Burns, S. Bulman, C. (1994) Reflective Practice in Nursing. The Growth of the Professional Practitioner. Blackwell Science. Ltd Oxford. Rolfe, G. Freshwater, Dawn and Jasper, M.(2000) Critical Reflection for Nursing and the Helping Professions. Routeledge White, S. Fook, J. and Gardner, F. (2006) Critical Reflection in Health and Social Care. Open University Press. http://www.practicebasedlearning.org/resources/resources.htm last updated on 04-09-2008 accessed on the 22-11-2010. Tandiwe Dube 0921769

Tuesday, August 20, 2019

Britannia Industries Limited Is One Leading Bakers Marketing Essay

Britannia Industries Limited Is One Leading Bakers Marketing Essay Britannia Industries Limited is one of the leading players in the bakery segment in India. Its product portfolio includes various types of biscuits, breads and cakes. The company primarily operates in India. It is headquartered in Kolkata, India and employed about 2,358 people as on March 2008. The company recorded revenues of INR 26,177 million during the fiscal year ended March 2008, an increase of 13% over 2007. Top line of Britannia was driven by price increases by way of reduction in pack sizes and extension of excise exemption to biscuits with maximum retail price (MRP) below INR 100 per kilogram from INR 50 per kilogram earlier. The operating profit of the company was INR 2,723 million during fiscal year 2008, an increase of 80% compared with 2007. The PAT was INR 1,910 million in fiscal year 2008, an increase of 77.5% compared with 2007. BUSINESS DESCRIPTION Britannia Industries Limited (Britannia) is engaged in producing and distributing bakery products including a variety of biscuits, breads, rusks, and cakes. The Wadia group of India along with Groupe Danone of France, are equal shareholders in ABIL, the UK which is a major shareholder in Britannia. The company operates through three broad product categories: biscuit and high protein food, bread and rusk, and cake. The biscuit products are marketed under the following brands: Tiger, Good Day, 50 50, Marie Gold, Treat, Milk Bikis, Nutri Choice, Time Pass, Pure Magic, Little Hearts, Nice Time, Vita Marie Gold and Greetings. Bread products are sold under the Premium Bakes, white sandwich bread brand. Cake products are sold under the Premium Bakes, Cakes and Rusks brands. The company also offers Cup Cakes in its cakes category. Britannias dairy operations are conducted through its subsidiary, Britannia New Zealand Foods Company Private Limited (BNZF). BNZF is a joint venture between Britannia and Fonterra Co-operative Group of New Zealand. The company exports its products to the US, Ghana, Seychelles, Singapore, Oman, Saudi Arabia, United Arab Emirates, Qatar, Bahrain and Kuwait. HISTORY Britannia was established with an initial investment of INR295 in Kolkata in 1892. The operations of the company were mechanized with the advent of electricity in 1910. The company started using gas ovens in 1921. Britannia Biscuit Company took over biscuit distribution from Parrys in 1975. In 1978 the company became a publicly listed company. In the following year, the company was renamed as Britannia Industries Limited (Britannia). The companys executive office was relocated to Bangalore in 1989. In 1993 Wadia group acquired stake in ABIL, UK and became an equal partner with Groupe Danone in Britannia. Britannia introduced its new corporate identity Eat Healthy, Think Better; and launched Tiger Cashew Badam and Cheeker brands of biscuits in 1997. In 1998, the company introduced Milk Bikis and Nutri Choice brands; and Etnic Snacking. In 1999, the company issued bonus shares in the ratio of 1:2. During the same year, the company also introduced cheeselets. The company introduced biscuit brands GD Choco, Time Pass and Vita Marie Gold in 2000; Rourbon Pocket Packs, Maska Chaska and Vita Marie Gold in 2001. Britannia introduced many brands of biscuits in 2002 which include Time Pass Classic Salted, Jim Jam Pocket Packs, Chai Biskoot, Tiger Cream, GD Ginger Nut and Pure Magic. The company launched a joint venture with Fonterra, a dairy company; and started Britannia New Zealand Foods in 2002. The company launched, Treat Duet, a biscuit brand in 2003. In the following year, Britannias Good Day biscuit added Choconut, a new variety to its range of biscuits. The rebirth of Tiger biscuit was seen in 2005, with the tag line Swasth Khao, Tiger Ban Jao. In the same year Britannia launched Greetings range of premium assorted gift packs; and Britannia 50-50 Pepper Chakkar. In the same year, the company started its new plant in Uttaranchal. In July 2006, Britannia acquired Cafe Coffee Days 50% stake in Daily Bread, a Bangalore-based high-end food re tailer. In March 2007, Britannia formed a joint venture with the Khimji Ramdas Group, one of the largest business conglomerates in the Middle East. Britannia and its associates acquired 70% beneficial stake in Dubai-based Strategic Foods International and Oman-based Al Sallan Food Industries Co SAOG. In January 2008, Britannia was asked by the Calcutta High Court to pay back the INR12 crore, which it withdrew from the companys pension fund. MAJOR PRODUCTS AND SERVICES Britannia Industries Limited (Britannia) is a producer and distributor of bakery and dairy products. It manufactures, distributes and sells a range of branded products including: List of products: Biscuits Bread Rusk Cakes Cheese Butter Milk List of selected brands: 50:50 Deluca Good Day Little Hearts Milk Bikis MarieGold Maska Chaska NutriChoice Pure Magic Treat Tiger REVENUE ANALYSIS Britannia recorded revenues of INR 26,177 million during the fiscal year ended March 2008, an increase of 13% over 2007. The company generates revenues through three business divisions: biscuits and high protein foods (89% of the total revenues during fiscal year 2008), bread and rusk (7.4%), and cake (2.9%). Revenue by division During the fiscal year 2007, the biscuits and high protein food division recorded revenues of INR 23,299 million, an increase of 11.4% over 2007. The bread and rusk division recorded revenues of INR 1,956 million in fiscal year 2008, an increase of 36.3% over 2007. The cake division recorded revenues of INR 769 million in fiscal year 2008, an increase of 23.2% over 2007. The others (including scrap sales) division recorded revenues of INR 144 million in fiscal year 2008, a decrease of 28% over 2007. SWOT ANALYSIS Britannia is a producer and distributor of bread, snacks and dairy products. The company has a portfolio of top selling food brands. Britannia produces and distributes premium brands such as 50:50, Good Day, Little Hearts, Milk Bikis, MarieGold, Maska Chaska, NutriChoice, Pure Magic, Treat, and Tiger. An extensive portfolio of global brands facilitates customer recall and enhances Britannias market penetration capabilities. However, an impending litigation disputing the trademark of Britannias biscuit brand Tiger, with Danone, could adversely impact the companys brand image and its international expansion plans. Strengths Weaknesses Strong brand name Launch of innovative products and brand extensions Growth in operating segments High dependence on Indian market Fluctuating cash from operations Opportunities Threats Inorganic growth Strategic alliances Growing demand for health and convenience products Litigations Inflationary dairy product prices Outbreak of animal diseases Strengths Strong brand name The company has a strong portfolio of top selling food brands. Britannia produces and distributes premium brands such as 50:50, Good Day, Little Hearts, Milk Bikis, MarieGold, Maska Chaska, NutriChoice, Pure Magic, Treat, and Tiger. Each of the companys six pillar brands (Good Day, Tiger, 50:50, Treat, Milk Bikis, and Marie Gold) generate sales in excess of INR1 billion. Further, the company is entering new product lines like snacking and health products and thus capturing a larger market share. In 2007, most of the companys brands secured double digit growth rate. Additionally, Britannia was ranked second among FMCG companies in the Business Worlds Most Respected Company Survey 2006. With a wide portfolio of brands and choice of product category, the company is able to differentiate itself in the market, nurture customer loyalty, and reduce its business risk. As a dairy product company, Britannia enjoys strong brand equity, and its extensive portfolio of global brands has helped it to expand its market presence and visibility. A strong brand portfolio not only facilitates customer recall but also enhances Britannias market penetration opportunities. Launch of innovative products and brand extensions The company has a strong orientation towards product innovation. In 2007, the company demonstrated its ability to innovate and extend its brands and products. Britannia launched many innovative products in 2007. Through an innovative product lineup, the company plans to strengthen and sharpen its brands and transform them from existing formats and conventional archetypes. In this context, the company launched cream and coconut varieties in its Tiger brand range. Further, the Chota Tiger, which is an extension of Tiger brand, draws on the kids snacking habit presenting biscuits as small, pop-able, snacks in a pouch pack. Similarly, the company also launched added Fruit Rollz under its Treat brand. Further, the company launched 50:50 Chutkule and NutriChoice Digestive and SugarOut. NutriChoice SugarOut is the first biscuit without added sugar, in the Indian market. Strong product innovation skills enable the company to stay ahead of the competition and create an edge in the market. Growth in operating segments Britannias operating segments has shown strong financial performance since 2005, which is evident from its revenue growth. Biscuit and high protein food segment revenue increased from INR14,926.9 million (approximately $330.8 million) in 2005 to INR20,910.8 million (approximately $463.4 million) in 2007, this representing compounded annual growth rate CAGR (2005-2007) of 18%. The bread and rusk segment also recorded increase in revenue from INR788.2 million (approximately $17.5 million) in 2005 to INR1,435.7 million (approximately $31.8 million) in 2007, this representing CAGR(2005-2007) growth of 35%. Further, the cake segment also recorded increase in revenue from INR355.7 million (approximately $7.9 million) in 2005 to INR624 million (approximately $13.8 million) in 2007, this representing CAGR(2005-2007) growth of 35%. Strong performance by the companys operating segment enhances its financial standing and strengthens its position against its competitors. Weaknesses High dependence on Indian market Though Britannia has made forays into other international markets, it is still dependent on the Indian market for a majority of its revenues. Though the company exports its products to many countries, the revenue contribution of regions other than India is too low to confer any significant geographical diversification benefit on the company. High dependence on India makes Britannia vulnerable to the market conditions in this region. Fluctuating cash from operations The company has not been able to generate consistent cash from its operations in recent times. The company has registered fluctuations in its cash from operations, registering a decline in every alternate year since 2004. Cash from operations decreased from INR1,961 million (approximately $43 million) in 2005 to INR649 million (approximately $14 million) in 2006. Again in 2007, it increased to INR871 million (approximately $19 million). Fluctuating cash from operation could upset the companys expansion plans. Opportunities Inorganic growth Britannia is aggressively pursuing inorganic growth model. In March 2007, Britannia concluded two acquisitions, including its first ever overseas partnership. In March 2007, Britannia formed a joint venture with the Khimji Ramdas Group, one of the largest business conglomerates in the Middle East. Britannia and its associates acquired 70% beneficial stake in Dubai-based Strategic Foods International LLC and Oman-based Al Sallan Food Industries Co SAOG. The two companies are major regional players in the biscuits and cookies segments in the Gulf Corporation Council (GCC) markets. Both the companies export to more than 40 countries across the globe including Africa, Australia and Japan, thereby giving Britannia access to many new markets. These two acquisitions are expected to allow Britannias portfolio to extend to those countries in which they have a presence. The joint venture could provide Britannia an opportunity to grow its international footprint by leveraging on the complementa ry strengths of the two partners. Strategic alliances Britannia entered into strategic alliance with Daily Bread Pvt. Ltd. (Daily Bread) to participate in premium bread and allied products market in India. In July 2006, Britannia acquired a strategic 50% stake in Daily Bread, a Bangalore-based company engaged in the manufacturing and retailing of premium breads, cakes, and ready-to-eat snacks. Daily Bread operates in both institutional and retail segments, and offers a wide range of international quality bakery products, including 50 varieties of specialty breads. Post-acquisition, Britannia holds the brand Deluca in India. Daily Breads business model includes a chain of own and franchised retail outlets, and catering to institutional customers. Daily Bread operates seven outlets in Bangalore and since its acquisition by Britannia; two large outlets have been added. Britannia is keen to scale up the outlet chain to 30-40 cities beginning Fiscal 2008. This acquisition marks Britannias entry in the high-end, freshly baked gourmet food. Th is alliance will help Britannia to scale up the bakery business in select markets with a range of gourmet products sold under its brand names. Growing demand for health and convenience products Consumers worldwide have become more health conscious in recent years. Increasing number of consumers are opting for natural, fat-free and healthy food products. Food items containing trans-fat are losing market share as they are linked to cardiovascular diseases. The primary drivers for this trend are changing lifestyles, late marriages, increase in single-parent households, increase in number of homes with two working parents, and increased working hours. Consumer expenditure on away-from-home dining is rising. According to the US Economic Research Service, spending on food-away-from-home is expected to increase by almost 10% per capita until 2025. The trend towards low fat, low sugar and low carbohydrate foods and drinks continues to drive the market. Britannia offers a range of low-fat and sugar free products. With a strong emphasis on healthy foods, the company is likely to benefit from the increasing health food market. The global nutritional market exhibited strong growth in 2 006, estimated at E127 billion ($159 billion), with half of this represented by the US market. The company is well positioned to exploit its focus on health and convenience platform to drive its future growth. Threats Litigations Britannia and Groupe Danone (Danone), a French dairy and beverages giant, are engaged in intellectual property rights battle, since many years. Wadia group and Danone have an equal stake in Associated Biscuits International Holdings (ABIH), which is a major shareholder in Britannia. Both the companies are disputing over the trademark of Britannias biscuit brand, Tiger. Britannia has accused Danone of registering the Tiger Trademark globally without its consent. Danone has already registered Tiger brand in nearly 35 countries and has applied for registration of the Tiger trademark in over 70 countries. In 2006, Britannia sued Danone in a Singapore court, seeking a speedy redressal of the Tiger brand issue. Danone has already registered Tiger trademark in Singapore, which will expire in November 2009. Britannia submitted its trademark application for Tiger in Singapore only in April 2007, which is still pending. An arbitration case between the two parties is also pending at the Bombay High Court. This long impending litigation (with Danone) could adversely impact Britannias brand equity and its international expansion plans. Inflationary dairy product prices Britannia, being a diary company, is exposed to general business risks faced by the global dairy market. Britannia is vulnerable to price fluctuations in the world market for raw materials such as flour, soya, maize and grain. In 2007, the industry witnessed an inordinate and simultaneous increase of approximately 20% 25% in the market prices of all key commodities like flour, refined palm oil, skimmed milk powder, etc. The companys top line growth of 28.4% was eroded by inflation in input costs, resulting in a gross margin decline of 6.7%.The global dairy market is marked by sharp fluctuations in the price of dairy products. Furthermore, sales prices are fixed with customers for relatively long periods in a number of markets, whereas the purchase prices of milk are subject to short-term fluctuations. In order to limit these risks, Britannia should try to minimize its operating costs by efficiently utilizing existing resources. Further increase in input cost could dampen the company s gross margin, which could result in declining top-line growth. Outbreak of animal diseases Britannia, as a diary product company, is dependent on constant supply and quality of the raw materials like milk. Any outbreak of animal diseases (especially Foot and Mouth Disease caused by a virus which is one of the most contagious and feared diseases), can cause heavy loss in susceptible cloven-hoofed animals world over. Britannia, which markets all dairy-based products like butter, cheese, and biscuits to different countries, may get affected by milk supplies and the production and sale of dairy products in case of diseases outbreak thus affecting its revenues. TOP COMPETITORS The following companies are the major competitors of Britannia Industries Ltd. Nestle India Ltd ITC Corporation Ltd. Parle Products Pvt. Ltd.

Monday, August 19, 2019

What is the role of Owen in Translations? :: English Literature

What is the role of Owen in Translations? One of the first things Owen says on returning to Baile Beg is â€Å"I can’t believe it. I come back after six years and everything’s just as it was! Nothing’s changed!† It is really Owen who has changed into a different person after his time away from Baile Beg. His primary role in the play is that of a translator for the visiting English, but within his role of translator he is also vital to the play as his presence allows relationships between the characters and the plot to develop. Owen provides many contrasting point of views due to the fact that he is working for the English but also a Baile Beg resident. He is a representative of the more forward - thinking Irish, such as himself and Maire. He and Maire realise that for the natural progression of the Irish society they need to work with the English and not against them. Owen has passed the cultural divide that exists between the Irish and English because he can communicate with them and understand their point of view. He has also progressed as an individual through knowledge and understanding. This could be Friel’s way of saying that progress can only come after understanding. Manus can also speak English but chooses not to, this shows the importance of communication to progression. He prefers to use a language, which is becoming less widely used, this may be a symbol of the backwardness of his homeland. The most significant enemy in the re-naming of the places is that the Irish believe it to be a removal of their heritage and tradition, as Manus says, â€Å"What’s incorrect about the place names we have here?† Owens’s view on the idea of preservation of tradition is very questionable. For example when he and Yolland are discussing what to call Tobair Vree he asks, â€Å"do we keep piety with a man long dead, long forgotten, his name eroded beyond recognition, whose trivial little story nobody else in the parish remembers?† Here Owen points to the Irish people’s almost instinctive fear of change. He thinks that tradition is silly and just an excuse to hide from progression. Owen is the neutral and less passionate character in the play; therefore the audience find it easier to relate with Owen. In fact it is possible to call Owen the chief narrator. Although Owen is the translator in the play he acts as more of a barrier of understanding because when translating for Yolland and Lancey he omits details and changes meanings for words. A good example for this would be when he changes Maire’s sentence of â€Å"Has he

Sunday, August 18, 2019

Safety in Global Workplace :: essays research papers fc

Introduction Advierta este papel entrarà ¡ en llamas en diez segundos ! If you can read Spanish you might have already dropped this paper. However, if you cannot, let me translate the first line for you. It reads†¦Ã¢â‚¬ Caution, this paper will burst into flames in ten seconds!† Imagine yourself as a foreigner working in a country without being able to speak or read the language. Many foreign workers are too embarrassed or afraid of termination to admit that they do not understand instructions or safety procedures. A recent Census Bureau report indicates the number of United States residents for whom English is a foreign language is nearly 32 million 1. Mexican immigrants make up the largest minority group in our country today and many of these individuals have poor English language skills or none at all. They come to this country for an opportunity to work and make a better life. In order for these employees and their fellow workers to be protected properly, a way must be found to c ommunicate safety information to them. We must familiarize ourselves with the way in which people communicate and learn and adapt our techniques to get the message across most efficiently. A 16 year old Mexican immigrant working for a construction subcontractor from Texas who had been contracted by a framing contractor in Oklahoma, who in turn was working for a general construction contractor in Alabama, fell to his death from a roof at the construction site in Alabama. The Texas based contractor had a safety plan but it was written only in English. The general contractor in Alabama had a safety plan for its employees but it did not make any provision for subcontractors. Evidence indicated that the crew understood little or no English. Evidence gathered during OSHA interviews of the crewmembers, indicated that the crew had no knowledge of the safety plan 2. There were many mistakes made in this scenario and we must be mindful of this type of situation due to the changing composition of the modern workplace. As managers, we will face employees with various cultural and language backgrounds and these employees must be a vital and productive part of the overall scheme. Th e general contractor in this case should have incorporated any subcontracted employees in its safety plan. In so doing, these contingencies are provided for before they occur and may limit the company’s liability.

Wedding Speech Delivered by the Groom -- Wedding Toasts Roasts Speeche

Wedding Speech Delivered by the Groom I was really, really nervous about standing up here and speaking. I did prepare a few lines for today and having snorted them I now feel absolutely fine. I did have a great speech worked out for you today, but as I am now married, my wife has told me what to say instead. I'd like to start by thanking you all on behalf of my wife and I being here with us today, especially those who have travelled some distance to be here. We would also like to thank you all very much for your cards, kind thoughts and wonderful presents. I was afraid that putting a dinner service on the wedding list was not such a good idea, when I discussed it with Mary I suggested that we should get a dishwasher, but she told me not to worry , and that she was going to get one when we got married, Me! In all seriousness when Mary and I where planning this wedding we had considered getting married abroad, however with a bit of gentle persuasion from June(Bride's mom) consisting of her tightly gripped fist and my wedding tackle, we decided to give it a miss. Somebody once asked me when Adam & Eve were together how did we know that they lived in paradise? well in view of the fact that my new Mother-in-Law is so close, I don't want to say much, other than this- Adam had no Mother-in-law, that's how we know he lived in paradise. But seriously I would like to thank June for all her... ...e is that it was Berlin's the pub, Cairo Jax the nightclub, Iceland the freezer shop and Texas the DIY store. Finally I asked Mary's mom in the Church, how did Mary look in her wedding dress, she said she looked wonderful, but that didn't prepare me enough for when I saw her walk down the aisle. I was overwhelmed to say the least by how beautiful Mary looks today. So, to my wife, my bride and joy – thank you for everything you have done and making me the happiest man alive. you know everything about me and love me just the same, I have my faults, yet you still agreed to marry me. I am extremely lucky today to be the one to marry you - and I hope this is the start of many happy years together. Wedding Speech Delivered by the Groom -- Wedding Toasts Roasts Speeche Wedding Speech Delivered by the Groom I was really, really nervous about standing up here and speaking. I did prepare a few lines for today and having snorted them I now feel absolutely fine. I did have a great speech worked out for you today, but as I am now married, my wife has told me what to say instead. I'd like to start by thanking you all on behalf of my wife and I being here with us today, especially those who have travelled some distance to be here. We would also like to thank you all very much for your cards, kind thoughts and wonderful presents. I was afraid that putting a dinner service on the wedding list was not such a good idea, when I discussed it with Mary I suggested that we should get a dishwasher, but she told me not to worry , and that she was going to get one when we got married, Me! In all seriousness when Mary and I where planning this wedding we had considered getting married abroad, however with a bit of gentle persuasion from June(Bride's mom) consisting of her tightly gripped fist and my wedding tackle, we decided to give it a miss. Somebody once asked me when Adam & Eve were together how did we know that they lived in paradise? well in view of the fact that my new Mother-in-Law is so close, I don't want to say much, other than this- Adam had no Mother-in-law, that's how we know he lived in paradise. But seriously I would like to thank June for all her... ...e is that it was Berlin's the pub, Cairo Jax the nightclub, Iceland the freezer shop and Texas the DIY store. Finally I asked Mary's mom in the Church, how did Mary look in her wedding dress, she said she looked wonderful, but that didn't prepare me enough for when I saw her walk down the aisle. I was overwhelmed to say the least by how beautiful Mary looks today. So, to my wife, my bride and joy – thank you for everything you have done and making me the happiest man alive. you know everything about me and love me just the same, I have my faults, yet you still agreed to marry me. I am extremely lucky today to be the one to marry you - and I hope this is the start of many happy years together.

Saturday, August 17, 2019

Philippine Cinema: a Review on ‘No Other Woman’

Philippine Cinema: A Review on ‘No Other Woman' written by Jessica Zafra By all accounts the Viva-Star Cinema production  No Other Woman  is a smash hit, and in show business there is no arguing with pots of money. We may assume from the box-office grosses that this is the sort of movie the Filipino audience wants to see. What exactly is this movie saying? 1. Character is unnecessary; all you need are stereotypes. In the traditional defence of marriage melodrama these are: 1. 1. The Handsome Husband 1. 1. 1. The Handsome Husband is so hot that he is literally bursting out of his clothes, which are at least one size too small for him so as to emphasize his well-developed pectoral muscles. 1. 1. 2. The Handsome Husband flirts outrageously with the customers who come to his store, but that’s all right because it sells furniture. 1. 1. 3. The Handsome Husband is devoted to his wife until a scheming slut throws herself at him. He cannot be blamed for succumbing because men are men and their brains are in their pants. 1. 1. 4. The Handsome Husband is only slightly less animated than the furniture he designs and sells. 1. 2. The Beautiful Wife 1. 2. 1. The Beautiful Wife could be the sexiest woman in the archipelago, but now that she’s married she must suppress her sexuality in shapeless clothes and pale make-up. 1. 2. 2. The Beautiful Wife cooks nutritious meals for her husband and personally supervises his laundry. 1. 2. 3. The Beautiful Wife consoles her husband by having sex with him every time her domineering father makes disparaging remarks about his professional prospects. . 2. 4. The Beautiful Wife, being inexperienced in the ways of the world, confuses seduction with arson. 1. 2. 5. The Beautiful Wife is a good girl, hence she does not wear mascara and she has long, straight black hair that she wears in a ponytail. 1. 3. The Sexy Mistress 1. 3. 1. The Sexy Mistress has lived in New York, ergo she is â€Å"liberated†, which in the Philippines is a synonym for â€Å"promiscuous†. 1. 3. 2. The Sexy Mistress speaks a strange, over-enunciated English and begins each sentence with an arch laugh (Ah-ha-ha! . And she smokes. 1. 3. 3. The Sexy Mistress is a bad girl, hence she wears copious amounts of mascara and has long, dramatically wavy hair. 1. 3. 4. The Sexy Mistress does not cook. 1. 3. 5. The Sexy Mistress likes to taste forbidden pleasures, so she eats seafood she is allergic to, which is just daft. 2. All fathers are mean and horrible, hence responsible for your issues. 2. 1. The Handsome Husband’s father is a philanderer, embezzler and failed businessman, so The Handsome Husband will also be all of the above. 2. 2. The Beautiful Wife’s father is a tacky philanderer, so The Beautiful Wife will marry same. 2. 3. The Sexy Mistress’s father is domineering and arrogant, so The Sexy Mistress refuses to commit to a relationship until she meets someone who really can’t commit because he’s already married. 3. Women should humiliate themselves for their men. 3. 1. They should engage in public bitch fights in which handbags become metaphors for the man they are fighting over. 3. 2. They should invite each other to dinner and threaten to kill the bitch who is boinking their husband. . 3. If thinly veiled verbal aggression does not suffice, they should have a brawl in a public place. 3. 4. It does not occur to them that the person connected to the penis is also responsible for their troubles. 4. Nothing solves a domestic problem like a near-fatal accident. 4. 1. The cheating husband endures excruciating physical torment as a substitute for castration. 4. 2. The suffering wife has to forgive her husband because the thought of living without him is more than she could bear, and she’s forgotten that she left him. 4. 3. The scheming mistress is jolted back to her senses. 5. The moral of the story is, Thou shalt not commit adultery. 5. 1. The cheating husband crawls back to his wife, who doesn’t seem particularly enamored of him but is compelled to defend their marriage. 5. 2. The wife always wins because there is no alternative. It’s not as if she could ditch her unfaithful spouse—there is no divorce in the Philippines (Well, technically). 5. 3. The mistress goes back to New York, where all the bad girls are supposed to go, which makes you wonder who won exactly

Friday, August 16, 2019

Spectrophotometry

Spectrophotometry: is a device to measure the amount of light in the material used. this device consists of two parts: the first is the light source, and the second is the photometer . the work principle of this device : the liquid or material that we want to measure the elements inside is placed in a tub, this tube is then placed between the light source and the photometer . So that the amount of light passing through the sample is measured by photometer. when a photometer is exposed to light, it acquires or generates an electrical signal that changes with the amount of light absorbed by the liquid . this change in light absorption depends on the change in the concentration of the substance. the way work this device: this device it measures the absorption of light by liquid materials at different wavelengths, and thus can identify a number of unknown substances or calculate known concentrations of materials . Stepped flow Technique:is a rapid mixing device, to study the kinetics of quick chemical reactions in solutions . this device contains two reactants which are kept in separate reservoirs and are prevented from flowing freely . the interaction starts by installing the reactants in the device. these materials are then released to the mixing chamber, which mixes these interacting materials , the reaction is then monitored by observing the change in the absorption of the reaction solution . When the reaction progresses, it fills the â€Å"stop syringe† that expands until it reaches the point at which the interaction reaches a continuous flow , thus stopping flow or interaction sodium reacts strongly and quickly with water and produces a solution of sodium hydroxide and hydrogen gas, a colorless solution. During the reaction sodium can be heated and It may ignite and burn with an orange flame . Hydrogen gas released during the combustion process reacts with oxygen in the air . The resulting solution is basic because of the melting of sodium in the water. this interaction between sodium and water is an exothermic reaction. sodium reaction with water is the closest to explosion. Na +2 H2O ?2 NaOH + H2. this search used this interaction and because it is fast, it uses the stepped-flow techniques method to control it Rate=- (d[Na])/dt=-1/2 (d[H2O])/dt=1/2 (d[NaOH])/dt+(d[H2])/dt Spectrophotometry Spectrophotometry is a vary specific type of Spectroscopy which measures how much light is absorbed by measuring the intensity of the light beam that is not absorbed (transmittance).The word â€Å"Spectra† means the range of wavelength, â€Å"Photo† means light or photons and â€Å"Metry† is the measuring how much light a chemical substance absorbs which it calls the absorbance. But what we do is measure how much light of the original light beam gets through (transmittance). So, those are related to each other absorbance and percent transmittance mathematically.The basic way to works is the incident light which usually contain different kind of wavelength, for example when we see something have a red color that means the object is absorbs all colors' wavelength except red. It is helpful to know the color wheel because the color wheel will help you to understand or getting the idea of where in the visible spectrum you would except to see the best absorbance.The work principle of spectrophotometry in (Figure 1): Firstly, we have a light source typically white light contains all wavelengths. We want to collimate the light or make all the wavelengths parallel to one another so, the special collimator or lens can does that, then we pass the light beam through a prism to splits the light into its various wavelength so, for regular white light you get all the colors of the rainbow. Spectrophotometer does not just shine all that light at the sample, it shines a vary specific wavelength of light and we can choose that normally by moving a slit in the way of the one wavelength of light or color that we would like to shine through the sample. That particular color of light will then shine through the sample, some of it will be absorbed and some of it will be transmitted. (Io) is the incident light that is the first enters, and (It) is the amount of light that is transmitted through after some has been absorbed. The remaining light that gets through hits a photocell, photocell is a solid-state detector that picks up how much light, then it prints out on a digital display either absorbance how much was taken away or percent transmittance how much light go through and those two are related. Briefly,  you can determine the unknown concentration of the sample by using Beer-Lambert Law which states: there is a linear relationship between the absorbance and the concentration of a sample. Mathematical formula of Beer's Law is: A=?lcA  is the measure of absorbance.?  is the molar extinction coefficient or molar absorptivity.l  is the path length.-439528256528center842086600left221268Figure 100Figure 1c  is the concentration (which is required).There are special techniques for investigating fast reactions which have half-live less than a few secondsLet us take an example for the simplest fast reaction technique (the continuous flow method) which will be used to study the kinetics of the formation of the ferric thiocyanate complex FeSCN+22120900145742100 For the fast reaction between ferric and thiocyanate ions in an acid solution of constant pH, the observed behavior is consistent with the simple mechanism: center2191301Where kf is the bimolecular forward rate constant and kr is the unimolecular reverse rate constant. So, the rate law from this equation is:center27279960Recall that the equilibrium constant K is related to the rate constant by:15775923297435 Where the sign ? means the equilibrium (t=?) value:31439213903453641206384715300At any time (t), Using these relations, and then rewrite the equation in the form:1965852489141700To simplify the integration of this equation, we will choose the experimental conditions such that [Fe+3] ;; [SCN-]. This will allow us to assume that [Fe+3] is essentially constant during the reaction. The initial conditions are chosen so that [FeSCN+2]0= at t=0 we find:This an approximate solution which becomes exact only when [Fe+3] is constant. In real practice, [Fe+3]0 will be chosen to be ten times larger than [SCN-]0, so that [Fe+3] will be more by about 10 percent during the reaction.2803525690943500-569595690918400If a plot of ln](FeSCN+2)? – (FeSCN+2)[ versus t is linear, then the first order dependence on [SCN-] and [FeSCN+2] is confirmed. The rate dependence on [Fe+3] has been established as first order. -5779714625Schematic diagram of system for driving reactant solution.00Schematic diagram of system for driving reactant solution.452856889798Spectrophotometry setup00Spectrophotometry setupProcedure for an example of use Spectrophotometer technique in fast reaction: Firstly, turn on the spectrophotometer and leave it warm up before using. The wavelength setting should be 455 nm throughout the entire experiment. With both reagent stopcocks A and B and the vent stopcock V closed, slowly increase the gas pressure on the reagent solutions until Bourdon pressure gauge indicates about 500 Torr pressures above 1 atm. With the outlet stopcock C open, open and close the reagent stopcocks A and B several times to make sure that both solutions are flowing smoothly and to remove any air bubbles from the system. Use a beaker to catch the outflow from the capillary tube. Then set the capillary frame at the first fiducial mark which nearest to the mixing chamber, and carry out the three following steps:1- Open Stopcock A and allow the Fe+3 solution to flow for a sufficient time to remove from the capillary tube any solution containing FeSCN+2 species. Then close stopcock A and the outlet stopcock C.2- Open the outlet stopcock C then turn both stopcocks A and B to their fully open positions. Catch the outflow of solution from the capillary in a beaker until the flow becomes stable. Then quickly switch the outlet tube from the beaker to a volumetric flask and simultaneously start a timer. When It is full, stop the timer and record the time. Return the outlet tube to the beaker. Then carrying out the above flow rate measurement, you should determine the absorbance A of the reaction mixture and record that value together with the distance x from the mixing chamber. Work quickly to avoid any interference of the reagent solution.3- When both the flow and absorbance measurements are complete, close the outlet stopcock C and then close both stopcock A and B. This is a crucial step in the procedure. If A and B are left open, solution may siphon from one carboy to the other. After a few minutes, determine the absorbance again to obtain the infinite time value. Verify that this value does not change after one more minute. For the next run, move the capillary support frame so as to line up the second fiducial mark and repeat the first and third steps at this this new distance setting, be careful in moving the capillary support frame.Make two runs at each of the six or seven positions along the capillary tube. Use special care in making the absorbance readings at large values of x. If time permits, you should also take data at a different driving pressure. Either increase or decrease the gas pressure depending on weather you need more data at low percent reaction or at high, but it may not be safe to exceed about 700 torr overpressures.In this experiment, more of solution A will be used up than solution B if the Fe+3 solution is always used in the first step to make the zero adjustment of the spectrophotometer at each distance setting. The resulting change in the liquid level for A relative to that for solution B may change the relative flow rates of these solutions. This can be avoided by alternating the use of solution A and B for making the zero adjustments.References:1- Physical chemistry by  Gilbert William Castellan.2- msu.edu.3- Wiley online library. 4- UKessay.5- AliHayek.com Spectrophotometry 5448300-52387500-523875-53340000 Kinetics Chemistry Student Name:Saba Ahmad Bin Humaid Supervisor:Dr. Alia Abdulaziz Alfi Group Number: 41438-1439 Spectrophotometry is a technique which can be used for identifying reactants' concentrations.Spectrophotometry is an absorbance device which can measures the fraction of the incident light transmitted through a solution. More clearly, it is used to measure the amount of light that passes through particles of the sample and by differentiation of the initial intensity of light reaching the sample, it indirectly measures the amount of light absorbed by that sample. Spectrophotometers are made to transmit light of narrow wavelength ranges. A certain compound will not absorb all wavelengths evenly that's why things have different colours. Some compounds absorb only wavelengths outside of the visible light spectrum and that's why there are colourless solutions such as water. Because different compounds absorb light at different wavelengths, a spectrophotometer can be used to differentiate compounds by analyzing the type of wavelengths absorbed by a given sample. In addition of that, the amount of light absorbed is directly proportional to the concentration of absorbing compounds in that sample, so a spectrophotometer can also be used to determine concentrations of compounds in solution.To studying a compound in solution by spectrophotometry, you put it in a sample holder called a cuvette and place it in the spectrophotometer. Light of a specific wavelength passes through the solution inside the cuvette and the amount of light transmitted or absorbed by the solution is measured by a light meter. While a spectrophotometer can exhibit measurements as either transmittance or absorbance, in biological applications we are usually interested in the absorbance of a given sample. Because other compounds in a solution (or the solvent itself) may absorb the same wavelengths as the compound being analysed, we compare the absorbance of our test solution to a reference blank. The reference blank should contain everything found in the sample solution except the substance you are trying to analyse or measure.Briefly,-5143507591425003467100758190000  you can determine the unknown concentration of the sample by using Beer Lambert Law which states: there is a linear relationship between the absorbance and the concentration of a sample. Mathematical formula of Beer's Law is: A=?lcWhere:A  is the measure of absorbance.?  is the molar extinction coefficient or molar absorptivity.l  is the path length.c  is the concentration (which is required).There are special techniques for investigating fast reactions which have half-live less than a few secondsLet us take an example for the simplest fast reaction technique (the continuous flow method) which will be used to study the kinetics of the formation of the ferric thiocyanate complex FeSCN+22120900145742100 For the fast reaction between ferric and thiocyanate ions in an acid solution of constant pH, the observed behavior is consistent with the simple mechanism: center2191301Where kf is the bimolecular forward rate constant and kr is the unimolecular reverse rate constant. So, the rate law from this equation is:center27279960 Recall that the equilibrium constant K is related to the rate constant by:15775923297435Where the sign ? means the equilibrium (t=?) value:31439213903453641206384715300At any time (t), Using these relations, and then rewrite the equation in the form:1965852489141700To simplify the integration of this equation, we will choose the experimental conditions such that [Fe+3] ;; [SCN-]. This will allow us to assume that [Fe+3] is essentially constant during the reaction. The initial conditions are chosen so that [FeSCN+2]0= at t=0 we find:This an approximate solution which becomes exact only when [Fe+3] is constant. In real practice, [Fe+3]0 will be chosen to be ten times larger than [SCN-]0, so that [Fe+3] will be more by about 10 percent during the reaction.2803525690943500-569595690918400If a plot of ln](FeSCN+2)? – (FeSCN+2)[ versus t is linear, then the first order dependence on [SCN-] and [FeSCN+2] is confirmed. The rate dependence on [Fe+3] has been established as first order. -5779714625Schematic diagram of system for driving reactant solution.00Schematic diagram of system for driving reactant solution.452856889798Spectrophotometry setup00Spectrophotometry setupProcedure for an example of use Spectrophotometer technique in fast reaction: Firstly, turn on the spectrophotometer and leave it warm up before using. The wavelength setting should be 455 nm throughout the entire experiment. With both reagent stopcocks A and B and the vent stopcock V closed, slowly increase the gas pressure on the reagent solutions until Bourdon pressure gauge indicates about 500 Torr pressures above 1 atm. With the outlet stopcock C open, open and close the reagent stopcocks A and B several times to make sure that both solutions are flowing smoothly and to remove any air bubbles from the system. Use a beaker to catch the outflow from the capillary tube. Then set the capillary frame at the first fiducial mark which nearest to the mixing chamber, and carry out the three following steps:1- Open Stopcock A and allow the Fe+3 solution to flow for a sufficient time to remove from the capillary tube any solution containing FeSCN+2 species. Then close stopcock A and the outlet stopcock C.2- Open the outlet stopcock C then turn both stopcocks A and B to their fully open positions. Catch the outflow of solution from the capillary in a beaker until the flow becomes stable. Then quickly switch the outlet tube from the beaker to a volumetric flask and simultaneously start a timer. When It is full, stop the timer and record the time. Return the outlet tube to the beaker. Then carrying out the above flow rate measurement, you should determine the absorbance A of the reaction mixture and record that value together with the distance x from the mixing chamber. Work quickly to avoid any interference of the reagent solution. 3- When both the flow and absorbance measurements are complete, close the outlet stopcock C and then close both stopcock A and B. This is a crucial step in the procedure. If A and B are left open, solution may siphon from one carboy to the other. After a few minutes, determine the absorbance again to obtain the infinite time value. Verify that this value does not change after one more minute.For the next run, move the capillary support frame so as to line up the second fiducial mark and repeat the first and third steps at this this new distance setting, be careful in moving the capillary support frame.Make two runs at each of the six or seven positions along the capillary tube. Use special care in making the absorbance readings at large values of x. If time permits, you should also take data at a different driving pressure. Either increase or decrease the gas pressure depending on weather you need more data at low percent reaction or at high, but it may not be safe to exceed about 700 torr overpressures.In this experiment, more of solution A will be used up than solution B if the Fe+3 solution is always used in the first step to make the zero adjustment of the spectrophotometer at each distance setting. The resulting change in the liquid level for A relative to that for solution B may change the relative flow rates of these solutions. This can be avoided by alternating the use of solution A and B for making the zero adjustments.References:1- Physical chemistry by  Gilbert William Castellan.2- msu.edu.3- Wiley online library. 4- UKessay.5- AliHayek.com

Thursday, August 15, 2019

Frito-lay and Snack Foods

In 1898, Caleb Bradham bought the patent rights (quy?n sang ch?) for Pepcola brand name va renamed Pepsicola. Sales increased sharply in America and expended to other continents. From here, Pepsico became multinational food and beverage corporation in United States with many famous brands of snack foods, beverages and other products. Beside the popularity of Pepsico brand on beverage, snack foods are also pay an important role in increasing annual retail sales on the world for Pepsi Group. Specifically, food and snack sales in North and South America combined contributed 48 percent of PepsiCo's net revenue in 2009.And Fristo-Lays North America, which is combined with the Frito Company and the H. W. Lay Company, creates the top selling line of snack foods in the U. S, Canada and Mexico. These brands include Lay's and Ruffles potato chips, Doritos tortilla chips, Tostitos tortilla chips and dips, Cheetos cheese flavored snacks, Fritos corn chips, Rold Gold pretzels, Sun Chips and Crack er Jack popcorn. In which, PepsiCo holds six slots in the top 10 global snack brands. The top three brand positions are Lay’s (7%), Doritos (3. 6%) and Cheetos (2. 7%).Ruffles, Tostitos and Walkers also feature in the global top 10. It cannot denied that PepsiCo is a king in competitive snack industry, and fighting for a higher place is a huge challenge for other snack makers, but not impossible. Pringles, ranked 4 (2. 3%) of the Top 10 snack global brand share 2013 based on retail value, is one of the most popularity snack brand of Procter & Gamble Co. The brand commands an 11% share of extruded snacks total retail value. Its main markets are Western Europe and North America, which account for a combined share of 50% of its sales at a global level.It proved that Procter & Gamble Co is a large competitor in snacks global market. Kraft Foods is also a remarkable representative in this race. Although Planters, a division of Kraft Foods on snacks food, was just formed in 2000, a chieved many successes with the main strength is nuts. Today Planters is available in an infinite variety of product lines ranging from Nuts & Seeds, to Mixes, Peanut Butter, Bars, and Nuts for Baking & Cooking, all available with Kraft’s â€Å"Naturally Remarkable† taste and quality guarantee.In general, any successful worldwide snack brand has tapped into the opportunities in these areas, and manufacturers looking to grain traction on the global scale should take heed and invest in flavor, format and occasion innovation as well as leveraging into adjacent categories. Besides, it is also important for snack makers to establish brands firmly. Pack imaging is particularly important and a very powerful marketing tool to build up brand equity.

Wednesday, August 14, 2019

Indigenous Health Essay

The poor health position of Indigenous Australians is a contemporary reflection of their historical treatment as Australia’s traditional owners. This treatment has led to Indigenous Australians experiencing social disadvantages, significantly low socio-economic status, dispossession, poverty and powerlessness as a direct result of the institutionalised racism inherent in contemporary Australian society. Indigenous populations have been the carers and custodians of Australia and the Torres Strait for a period in excess of 60,000 years before being invaded/colonialised by the British on January 26, 1788 (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). Before this time, it is suggested that Indigenous Australians lived relatively affluent lives and enjoyed generally better health than most people living in Europe (Hampton & Toombs, Indigenous Australian concepts of health and well-being, 2013). The arrival of introduced diseases, especially smallpox, caused considerable loss of life among Indigenous Australians. The impact of this is loss extended far beyond the immediate victims of disease, affecting the very fabric of Indigenous societies through depopulation and social disruption (MacRae, et al. , 2012). Whilst introduced diseases were the most substantial part of the Indigenous Australians mortality, death caused by direct conflict also contributed significantly (Elder, 2003). Traditionally, Indigenous Australians had complete autonomy over all parts of their lives such as, ceremonies, spiritual practices, medicine, social relationships, management of land and law and economic undertakings (Saggers & Gray, 1991). In addition to the impacts of introduced diseases and conflict, Indigenous Australians also experienced ill effects related to disconnection from Country due to the spread of colonists and their subsequent political policies. For an Indigenous Australian, Country is not just physical territory but the central aspect of their identity (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). Occupation and colonialism impacted far beyond the physical, as Indigenous Australians had their culture devalued, traditional food sources destroyed, and were separated from their families and in some cases entire communities were dispossessed. This led to disruption or loss of languages, beliefs and social structures which form the underlying basis of Indigenous cultures. These impacts, prompted British colonists to develop several different political policies of institutionalised racism to address the real and perceived issues regarding Indigenous Australians. The first of these policies was Protectionism (1788 – 1890’s). Prior to Protectionism British colonies practiced exclusion as they assumed ‘Terra Nullius’ and seized control of the land, evicting Indigenous Australians from their traditional Country. The negative impacts this had on Indigenous Australians eventually forced colonial authorities to establish â€Å"Aboriginal ‘protection’ boards† (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). The first was established in Victoria by the Aboriginal Protection Act of 1869, with the other colonies following with similar legislation, to ‘protect’ Indigenous populations within their boundaries (Parliament of Victoria, 1869). The ‘protection’ provided under the various Acts imposed enormous restrictions on the lives of many Indigenous Australians. These restrictions included dictating where Indigenous Australians could live and not live, and set out limitations on movement, marriage, employment, earnings and ownership of property. The child welfare provisions of the Acts underpinned the removal of Aboriginal children from their families and communities ‘by compulsion, duress or undue influence’ (State Library of Victoria, 2014). The National Inquiry into the separation of the children concluded that ‘between one-in-three and one-in-ten Indigenous children were forcibly removed from their families and communities in the period from approximately 1910 until 1970’ (Wilkie, 1997). It was the 1960s, at the earliest, when the various ‘protection’ Acts were either abolished or discontinued. In the early 1890’s, protectionism gave way to state and commonwealth government regimes of segregation. In the development of the constitution, politicians included sections specifically excluding Indigenous Australians, such as the white Australia policy, ensuring that racism became entrenched in the new nation’s future. Reserves and missions were set up far from white settlements, to exclude and control Indigenous Australians, especially those of mixed descent (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). By the 1950’s all state governments invoked a new policy called assimilation (1950’s – 1960’s), which aimed to eliminate Indigenous cultures, religion and languages. Assimilation was based on the belief that if living conditions were improved, Indigenous Australians were to be absorbed into White Australian society (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). After the failure of the assimilation policy, governments aimed their sights towards Integration (1960’s – 1980’s). Integration was a step towards multiculturalism by allowing Indigenous Australians and non-Anglo European immigrants to keep certain aspects of their culture whilst conforming to mainstream white Australian society. During 1970’s Indigenous Australians were beginning to become acknowledged as Australian citizens, this led to the development of the self-determination and self-management (1970’s-1990’s) programs (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). These policies were based on the slow acceptance of multiculturalism and the beginnings of Indigenous Australians involvement in Australian politics, although the actual amount of self-determination available to them was limited. When these polices were found to be ineffective the Council for Aboriginal Reconciliation (CAR) was established in 1992 to overcome differences and inequities between Indigenous Australians and the wider Australian community (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). The Reconciliation movement (1990’s-present) seeks to advocate for Indigenous Australians rights, their place in our shared history and to establish economic independence among Indigenous Australians in order to promote equality for all Australians (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). Whilst government policy appears to be moving in the right direction, we are still a long way away from Indigenous autonomy and self-determination. All of these policies had a very detrimental effect on the health of Indigenous Australians both in terms of physical and mental health issues, many of which have continued through to contemporary times. Perhaps the most poignant of these impacts are those that have resulted from the Stolen Generations. There is much dispute surrounding when colonial authorities began removing Indigenous children from their families and communities, although many experts believe that it was very soon after the establishment of the British colony in Australia (Duffy, 2000). Children with Indigenous mothers were seen to be legally ‘neglected’ at birth, and removed from their families, communities and in most cases their culture, to be ‘raised right’ up until the latter part of the 20th Century (Hampton & Toombs, Racism, colonisation/colonialism and impacts on indigenous people, 2013). Because of these practises, many Indigenous Australians have deep psychological and mental health issues that continue to plague them today. Modern literature tells of many instances of suicide and ongoing identity issues, emerging from the torment of being disconnected from family, culture and country. The status of Indigenous Health has been impacted severely by the Stolen Generations and other past Government practises. For many Indigenous Australians, the ongoing effects of ‘protection’ and the forced separation of children from their families compound other social, emotional and physical disadvantages (Wilkinson & Marmot, 2003). These disadvantages are embodied by the Social determinants of health, including; economic opportunity, physical infrastructure, and social conditions that influence the health of individuals, communities, and societies as a whole. Inequalities in these are especially evident in education, employment, income, housing, access to services, social networks, connection with land, racism, and incarceration rates (McDonald, 2010). In all of these factors, Indigenous Australians experience substantially lower rates than non-Indigenous Australians, with the most worrying being that Indigenous Australians have a significantly lower life expectancy rate and overall health status, than their non-Indigenous counter-parts. These inequalities, combined with the social attitudes towards Indigenous Australians and their health in contemporary Australian society, contribute to the difficulties Indigenous Australians have accessing adequate healthcare. It is also difficult to provide adequate healthcare for Indigenous Australians as many service providers do not understand how Indigenous Australians conceptualise health. Until recently, there was no separate term in Indigenous languages for health as it is understood in western society (Eckermann, 2010). The traditional Indigenous perspective of health is holistic. It encompasses everything important in a person’s life, including land, environment, physical body, community, relationships, and law. Health is the social, emotional, and cultural wellbeing of the whole community and the concept is therefore linked to the sense of being an Indigenous Australian. This conceptualisation of health has much in common with the social determinants model and has crucial implications for the simple application of a medical model as a means of improving Indigenous health. Whilst the purely medical approach is undoubtedly useful in identifying and reducing disease in individuals, but its limitations in addressing population-wide health disadvantages, such as those experienced by Indigenous people, must be recognised. It is important to remember that policies and practises of the past have had major adverse impacts on the health of contemporary Indigenous Australians, and these impacts have contributed significantly to the inequalities present in Indigenous and non-Indigenous health status. However, whilst health disadvantages experienced by Indigenous Australians are considered to be historical in origin, the perpetuation of the disadvantages relies heavily on contemporary structural and social factors.