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Monday, September 30, 2019

Cold War Impact on US Foriegn Policy

The mentality of the Cold War greatly affected the decisions made by the Presidents that held the office from 1950 to 1974. The main thought that prevailed from the beginning of the Cold War was containment. It was the main goal of the United States to contain the spread of Communism whenever possible. â€Å"Brinkmanship† was the first major policy that was employed by the United States in the effort to stop the spread of Communism throughout the world. President Eisenhower’s Secretary of State John Foster Dulles coined the term â€Å"Brinkmanship†, which simply stated means using the military to push things to the brink of war without actually going to war. This was often used to intimidate the Soviet Union into backing down during the early part of the Cold War era. President Kennedy would take a slightly more flexible stance in terms of retaliation should an attack occur. However, it wouldn’t be until President Nixon took office that the metaphorical waters between the US and the Soviet Union would begin to calm.Could Cold War Have Been Avoided? In 1957 Secretary of State John Foster Dulles addressed the Associated Press in a speech known as Dynamic Peace. In this speech Secretary Dulles seems to be trying to convince the American public why they must always be prepared to go to war even though it was not what America desired. He also explained how the Soviet Union would not want the free nations of the world to work together to arm themselves and be willing to protect each other from attack. The Soviet rulers understandably prefer that the free nations should be weak and divided, as when the men in the Kremlin stole, one by one, the independence of a dozen nations. So, at each enlargement of the area of collective defense, the Soviet rulers pour out abuse against so-called â€Å"militaristic groupings. † And as the free nations move to strengthen their common defense, the Soviet rulers emit threats. But we can, I think, be confident that such Soviet assaults will not disintegrate the free world. Collective measures are here to stay. . . .† Dulles goes on to talk about how the greatest deterrent of war is the retaliatory ability of other nations. Secretary Dulles then goes on to explain that the United States sought the liberation of the nations under the Soviet Union not to surround Russia with hostile nations but because peace cannot be achieved until all captive nations are set free. President John F. Kennedy would set the tone of his administration’s stance on the Cold War and the Soviet Union during his inaugural address. He asked that the nations of the world to come together to fight â€Å"the common enemies of man: tyranny, poverty, disease, and war itself†. His address gave realistic expectations by saying that his goals might not even be achieved during his generation’s lifetime, but even that possible truth should not discourage the United States or the rest of the world from starting on the road towards peace and freedom for the whole world. In June 1961 President Kennedy met with the Premier of the Soviet Union Nikita Khrushchev. During this meeting many subjects were discussed, but the most important was Berlin. Even though he allowed himself to be bullied, President Kennedy felt he made it clear to Khrushchev that the United States was not willing to compromise on a withdrawal from Berlin. Only a few short months later East German authorities would begin to restrict the movements of people from East Berlin into West Berlin. These actions would prompt the United States to send a note to the Soviet Union protesting these actions and asking that the Soviet Union put a stop to it before things got too far out of hand. The Soviet Union’s reply stated that it supported the actions of the East German Government because they were trying to protect themselves from western spies who were trying to undermine the Government. It goes on to talk about how the United States is well aware of these activities and is just trying to shift blame so that the illegal activities of the West could continue. â€Å"West Berlin has been transformed into a center of subversive activity diversion, and espionage, into a center of political and economic provocations against the G. D. R. , the Soviet Union, and other socialist countries. Former and present West Berlin municipal leaders have cynically called West Berlin an ‘arrow in the living body of the German Democratic Republic,’ a ‘front city,’ a ‘violator of tranquility,’ the ‘cheapest atom bomb put in the center of a socialist state. ’† All of the back and forth between the United States and the Soviet Union would come to a head a little more than a year later with the Cuban Missile Crisis. When the United States government discovered that the Soviet Union was building bases meant to house ballistic missiles President Kennedy had a choice. He could have very easily used the occasion as justification for an attack on the Soviet Union. But instead he made the choice that kept the world from World War III. Instead of attacking the Soviet Union President Kennedy, on October 22, 1962, addressed the nation and the world and announced that there would be a blockade on Cuba. This blockade would only turn away ships carrying weapons and not stop ships carrying the necessities that the people of Cuba would need. â€Å"We are not at this time, however, denying the necessities of life as the Soviets attempted to do in their Berlin blockade of 1948. On October 28, 1962 the confrontation ended with the Soviet Union agreeing to dismantle their offensive weapons in Cuba. As time continued to go by both the United States and the Soviet Union were in positions where a relaxation of the tensions between them was necessary. Soviet leadership felt that the financial costs of the nuclear arms race were unsustainable. The United States was spending millions on the war in Vietnam and trying to extend the welfare state in the country. The Soviet Union was experiencing troubles in their relationships with China, and they worried that these troubles might lead to an American-Chinese alliance. â€Å"All this is, in the first place, a stab in the back for the heroic Vietnamese people in their struggle against the American aggressors, Imperialist circles fully approve of this line of Mao Tse-tung's group. The Washington Post has said that officials in Washington believe that Mao is serving American interests and they are therefore even thinking of cultivating Maoism as a means of bringing pressure to bear on Moscow. The magazine United States News and World Report has directly stated in this connection that the United States is gambling oil Mao and that American officials tend to prefer a victory for Mao Tse-tung in his struggle to destroy more nioderate elements, because that would mean more trouble for Soviet Russia. † During President Richard Nixon’s administration the first steps towards Detente began. The most important part of this was the SALT I treaty of 1972. The conditions of Detente allowed for mutual cooperation between the United States and the Soviet Union. In fact one of the basic principles of relations between the Soviet Union and the United States was that the two nations work together especially in the areas of science and technology. In July of 1975 the United States and the USSR would work together on the Apollo-Soyuz project. Even though the idea of containment was the driving force behind many of the decisions made by US presidents during the Cold War, each President had their own ideas on how best to achieve that containment. For President Eisenhower the best strategy was â€Å"Brinkmanship†, while President Kennedy took a slightly more flexible approach. Had Kennedy followed the lines of â€Å"Brinkmanship† the Cuban Missile Crisis would most likely have been the start of World War III. President Nixon, due to the changing world and economic climate was able to reach at least some neutral ground with the Soviet Union. The relaxation of tensions in the late 1960s and early 1970s helped to bring about the end of the Cold War in the early 1990s.

Sunday, September 29, 2019

Mark Sexton and Todd Story

FIN 6130: Individual Assignment (case study) Case Study: Mark Sexton and Todd Story, the owners of a manufacturing company have decided to expand their operations. They instructed you as their newly hired financial analyst to enlist an underwriter to help sell $35 million in new 10-year bonds to finance construction. You have entered into discussion with Kim McKenzie, an underwriter from the firm of Raines and Warren about which bond features your company should consider and what coupon rate the issue will likely have.Although your Bosses are aware of the bond features, they are not sure about the costs and benefits of some features especially how they will affect the coupon rate of the bond issues. This is more so that your firm is not a publicly traded company. You have been asked to prepare a memo on the effect of each of the following bond features on the coupon rate of the bond. It is expected that you will emphasis on their perceived benefits. The bond issuer/the borrower/the b osses: Mark Sexton and Todd Story Bond value: $35 million Bond maturity: 10 years Financing purpose: constructionHired underwriter: Kim McKenzie (Raines and Warren) .Case Studied Memos: 1. The security of the bond- that is, whether the bond has a collateral. Secured bond is with collateral, whereby the issuer pledged specific assets in case of bankruptcy or unable to pay debt. A bond with collateral will have a lower coupon rate (interest/return) and lower the security’s risk but with higher credit ratings, which less likely it is to default. But the issuer need to ensure that the collateral is in good working order and cannot be sold until the bond is matured.Considering bond with collateral is secured investment to investors, during default, the investors may receive all or part of the collateral in the value of debt unpaid. Collateralized bond is also marketable to the secondary market especially if it is a non-publicly traded or listed company recognized among investors. In term of outlining the specific security of collateral attached to a bond, it’s best to put clear guideline of what sort of asset eligible to be put as collateral and define certain rule of how the asset’s value can be sum up to secure the bond maturity period. 2.The seniority of the bond In case of liquidation or bankruptcy, senior bond has higher priority to be paid first compared to another bond that is considered junior or the subordinated bonds. Senior bond gets full payment in bankruptcy which its covenant may restrict the borrower from issuing any future bonds senior to the current bonds. A junior bond’s security ranks lower than other bond securities in regard to the owner's claims on assets and income if the issuer becomes insolvent. Bondholders of secured debt (with collateral) must be paid before the holders of unsecured debt.Bondholders of unsecured debt must be paid before preferred shareholders, and finally, preferred shareholders must be satisfi ed before common shareholders. In general, a junior security entails greater risk but offers higher potential yields than securities with greater seniority. To be more appealing to investors, the bondholders should propose senior bond in able to offer lower coupon. 3. The presence of a sinking fund Bond sinking fund is a restricted asset where the issuer is required to set aside money for redeeming back or buying back some of its bond payable by deposited money with an independent trustee.Sinking fund is a partial guarantee to bondholders that will reduce the coupon rate. By having sinking fund, it allows the issuer to repay specific bond’s value at a certain period or retire a portion of the bond every year until it’s matured. It’s a great program but the issuer must be able to generate cash flows to make the interim payments into a sinking fund or else, face default. By having the presence of a sinking fund as collateral support of a bond, it promotes financia l security which will attract investors to accept bond with lower interest rates.With the sinking fund, it will also gain benefits through taxation and enjoy capital gain. It also secured a good management of long-term debt in advance. 4. A call provision with specified call dates and call prices Adding provision to a bond with specific call date and prices will benefit the bond issuer more than the bondholder but it will definitely increase the coupon rate. Able to repurchase bonds before maturity (or at a specified date according to provision) is called callable bond (or redeemable bond) at a special price (not obligated).Any future payment to the bondholder is immediately and indefinitely cancelled once the bond is called. Recalling a bond with lower the debt and is hence liberated from paying interest on the called bond. Normally, the bond is called because the issuer no longer needs to borrow the money, or because interest rates have fallen and the issuer want to issue new bond s at a lower interest rate. In security purpose of long-term benefit with uncertain financial forecast, it is not applicable to issue call provision. 5. A deferred call accompanying the call provisionA bond with call provision accompanied by a deferred call will actually prohibited from calling the bond before a certain date. It is call protected or Period of Call Protection during the period of time which the bond may not be prematurely redeemed. During the call protected period (the cushion period), coupon rate payments are guaranteed but not later. After the call date, the bond may be redeemed by returning principal to the bondholder and ceased the coupon rate. The call provision accompanied by deferred call in a bond is to protect the bondholder from the falling of interest rates before the call date.A deferred callable bond may demand a slightly higher coupon rate compared to a normal bond due to its callable feature as investors are exposed to the reinvestment risk assuming th at the prevailing interest rates then is lower than the coupon paid by our bond on the callable date. 6. A make-whole call provision A bond with a make whole call (provision) allowing the issuer to pay off remaining debt early by making lump sump payment based on NPV (net present value) of future interest payments that will not be paid in cause of the call.This type of call should lower the coupon rate than the normal call provision with specific dates. Bondholders will receive the market value of the bond if it is a make whole provision which then they can reinvest in another bond with same criteria. The make whole call will be defined in the indenture. Normally, an issuer doesn't expect to have to use this type of provision, but if the issuer does, investors will be compensated, or â€Å"made whole†. Because the cost can often be significant, such provisions are rarely invoked.Hence, it is recommended that the bond issuance should not have a make-whole call provision. 7. An y positive covenants. Discuss any overall positive covenants that your firm may consider. The presences of positive covenants (also called as affirmative covenant) protect bondholders by forcing the company to undertake actions that benefit bondholders. A positive covenant would reduce the coupon rate but will increase the trust of bondholders. For instance, it requires the issuer to cover the principal of the bond; enough liquid assets must be maintained.More commonly, a positive covenant requires the issuer to have a certain amount of insurance or submit to periodic audits. 8. Any negative covenants. Discuss any overall negative covenants that your firm may consider. A negative covenant would reduce the coupon rate. Remember, the goal of a corporation is to maximize shareholder wealth. The presence of negative covenants protects bondholders from actions by the company that would harm the bondholders. This says nothing about bondholders. In example, the issuer cannot increase divid ends, or at least increase dividends beyond a specified level.The downside of negative covenants is the restriction of the issuer’s actions. 9. A conversion feature The conversion feature is a financial derivative instrument that is valued separately from the underlying security. Therefore, an embedded conversion feature adds to the overall value of the security. The conversion feature would permit bondholders to benefit if the company does well and also goes public. Even though the company is not public, a conversion feature would likely lower the coupon rate.The downside is that the company may be selling equity at a discounted price. Convertible bond is an example of an asset that can undergo conversion. It gives the bondholder the option to exchange the bond for an amount (predetermined) of the bond issuer’s equity. Typically, the bondholder will exercise the option when the total value of the shares received from conversion exceeds the bond's worth. 10. A floating rate coupon Floating rate coupon is a bond with floating coupon payments that are adjusted at specific intervals.It is all known as a variable rate bond which has a floating or variable rate interest, or coupon rate. The bond is payable to the bondholder upon demand following an interest rate change. The rate adjusts according to a predetermined formula outlined in the bond’s prospectus or official statement. Generally, the current money market rate is what is used to set the interest rate (plus or minus a set percentage). As a result of this, the coupon payments can change over time. A floating rate coupon or variable rate bonds' market values fluctuate less than other bonds.

Saturday, September 28, 2019

Daignosis of Pi in Life of Pi Essay

Piscine Molitor Patel, after floating on the ocean for 227 days, was discovered exhausted and pale. There is no abnormalities in vital signs discovered, which indicates that with proper cares and rest, his body will function well. In spite of his physical health, his mental health should be particularly examined in detail. Without precedent case, more details and aspects should be included to consider, when evaluating if Pi is suitable to integrate to society again. Furthermore, since the incredible survival is told by Pi in first person point of view, we have reason to take a skeptical attitude on the truth of the story. It is best to present both pros and cons before jumping into the judgment. Regarding the opinion of pi developing an even stronger personality, evidences are obvious. The survival fully proves that Pi kept wisdom and logic under such terrible condition. Being with the fiercest animals and floating on the ocean for 227 days, most people can not suffer the mental pressure, and collapse even before they get to land. People are defeated by loneliness, desperation and mental disorder caused by physical illness. Pi is not one of them. Base on the fact that he not only survived but also is able to tell and remember the whole experience, it is unquestionable that Pi went through the hardship with an active and positive attitude. He himself even claimed that â€Å"with time and experience, I became a better hunter. I grew bolder and more agile. I developed an instinct, a feel, for what to do. (Chapter66)† In addition, Pi thought about helping others in the future, while his own destiny was still a mystery. In Chapter 71, he provided nine advices for those who should ever be in the same circumstance as he did. It suggests that Pi was sober enough to even consider contributing back to the society in the future. Although Pi underwent miseries and adversity, he overcame all the challenges and developed a stronger personality to face the life in modern society. Nevertheless, more worries and suspicions are discovered. Pi will face the grief of losing the whole family, which he ignored due to the desire for survival. Meanwhile, he also has to envisage the fact that being a vegetarian; he committed the unpardonable crime, killing animals. Moreover, aking into the consideration of mental disorder; some parts of the dictation would be doubted as psychological disorder, such as delusional disorder. To begin with, when he saw the death of zebra, it reminds him again of his family’s death. He was over whelmed when he mourned his family, as he said â€Å"It is like losing—I’m sorry, I would rather not go on. I lay down on the tarpaulin and spent the whole night weeping and grieving, my face hurried in my arms. (Chpater46)† Losing family is hard and cruel to accept. When he was on the boat, life was on the top of the list. However when he came back to modern society, without accompany, the horrible memory would torture him to death. To make the situation even worse, Pi still held hope that his family somehow is alive when he saw the ship. Hope collapses when he discovers the truth. Not only he has to face the fact that everyone he loved and loved him dead, but also, he as a vegetarian inevitably has to confess his guilty of killing animals. No matter whether he keeps being a vegetarian or not, Pi suffers from repentance and ambivalence. After getting used to kill, he repented by saying â€Å"To think that when I was a child I always shuddered when I snapped open a banana because it sounded to me like the breaking of an animal’s neck. I descended to a level of savagery. † When Pi returns to modern society, how should he persist what he used to believe? Above all, according to the dictation of Pi, he suffered from the illness during the drifting; it is likely that Pi developed delusional disorder. When Pi cheered for the appearance of a ship, he blazed with joy. However the ship missed them and even bore down on them. It is had to believe that such conspicuous lifeboat could be missed as there was a tiger on it. As people lost in desert see mirage, Pi might also saw the ship because his desire for survival was so strong that it drove him crazy temporarily. Based on the diagnosis criteria of delusional disorder, â€Å"Apart from the impact of the delusion(s) or its ramifications, functioning is not markedly impaired and behavior is not obviously odd or bizarre. †(1), we suggest that Pi take a series of examination to determine whether he is mentally healthy. As was previously stated, such experience with no doubt is a life-changing experience. Although adversity stiffened his spine, Pi’s psychological health was unconsciously devastated. The sudden change of environment would result in the failure of self recognition. His formal value of life was destroyed during the disaster. However he himself also can not accept the way of life in wild. We conclude that bring Pi back to society requires a series of procedures and treatment. With proper Psychological counseling, Pi would be able to reconstruct his life and value, until then, we do not suggest Pi get back to society immediately.

Friday, September 27, 2019

Sport In Society Essay Example | Topics and Well Written Essays - 1250 words

Sport In Society - Essay Example Physical activity is an expression of emotion and competitive sport can have a beneficial impact when performed in favorable conditions (Cockerill, 1995). Sports participation generates transferable life skills and acquisition of motor skills can lead to enhanced self-esteem and self-efficacy. Fitness training has a beneficial effect on mood, performance at work, cognitive function and self-concept. It helps to ameliorate conditions like obesity and develop and maintain optimal fitness (Gilson, Cooke & Mahoney, 2005). Sport is an important factor in the development of the society which is why UNESCO has supported the demand to include physical education and sport in the Human Development Index (Schwery, 2003). Sport contributes to self-confidence and organizational skills. Sport is an essential element in the growth and development of the society. Its benefits are immense for the physical and mental well-being of an individual but much depends on the self-perception of an individual. the motivation and mood determine the outcome of participating in sport. Sport also fosters brotherhood and brings people together. However, globalization of sport is happening at a very fast pace. Globalization is inevitable and consumerism has given different dimensions to sport. It has led to heightened international understanding and cooperation; it has transcended national borders. Media has exploited the popularity of the sport and the sports people as the athletes are used for celebrity endorsements by marketers.

Thursday, September 26, 2019

Creating False Memories Essay Example | Topics and Well Written Essays - 250 words

Creating False Memories - Essay Example These memories belong to the first year of a person’s life in which memories are not properly stored. False memories are usually formed as a result of some sort of pressure. False memories can be easily planted if the event is corroborated by another person. A person can even accept a wrong which he has not done if someone claims he has seen the person doing it. False memories are formed when our mind mixes the reality with the information received from others. The subject is still undergoing research and there is little cure for false memories as it is very difficult to differentiate between reality and illusion. (F.Lotus, 1997). In my view, awareness should be created about the creation of false memories to prevent any exploitation. The idea of creating false memories should only be used positively for investigative studies about the functioning of the human mind. Works Cited F.Lotus, E. (1997, September). Creating False memories. Scientific American .

Software Quality Assesment Coursework Example | Topics and Well Written Essays - 1000 words

Software Quality Assesment - Coursework Example This ensures that there is prevention of any unforeseen defects. When started from the beginning of the product manufacture, the involved parties are able to consult with each other and understand the defects that arise as they progress to several stages of production. Quality is a difficult and comprehensive idea that always is determined by several factors. This could either be from the transcendental point of view that views quality as an idea that is recognizable but hard to describe. From users’ point of view quality is the ability of a product to accomplish its reason for being manufactured. Manufacturers see quality as sticking to laid down product qualifications. the products point of view that views quality as been one and the same to with definite features of a software and finally the value based point of view that views quality in relation to how much the final user is willing and able to pay so as to acquire it. There are several ways that the quality of software is ensured during manufacturing process (Tian 2005). These are: Software Testing Software testing is a systematic process mainly dedicated to the detection software defects. The product being manufactured is put to test under conditions that can be manipulated. This could be in special control rooms within the company premise specially designed for this type of work. The main reason the manufacturers ensure that such an environment should be in a position to be manipulated is because the manufacturers intend to create several scenarios whereby things go wrong when they are not supposed to and then they find ways to deal with the problem. Software Verification and Validation The verification process is undertaken so that the product is cleared of unforeseen malfunctions right before the testing process commences. Verification is made up of evaluations, meetings, assessing plans, policies, check ups, specifications among other details. On the other hand, validation comes immediately after validation and is the definite analysis of the product to establish its short comings that might arise due to malfunctions. Test Case A test case is a document that outlines the contributions, actions or events and the probable reactions of software. This assists the manufacturers/programmers to find out whether all aspects of the products are in the expected working status. This document contains s specifics such as the test case identifier, name, purpose, test circumstances, procedure as well as the expected outcomes. Good Design A good design is achieved when the general make up of the product is understandable, effortlessly adjustable and easy to preserve. The perfect design of a product always relies on the final users requirements. There are those products meant for commercial use thus this are made more complicated and very efficient than those meant for private/home use. Software Inspection This is a process meant to uncover imperfections and problems especially in records stipulating specifications, coding, and test cases among other issues (Rombach 1993). It is imperative to understand that this process just detects a hitch and notifies the manufacturers however it is not a process for rectification of such a problem. Most of the time in software quality checking procedures, it is very cost effective. It is open to many observers but only a single reader, moderator and a single individual for taking notes is required. Walkthrough This is a spontaneous and off the record meeting that is meant for analyzing the product. This is always attended by the management of the

Wednesday, September 25, 2019

Strategic hospitality management Literature review

Strategic hospitality management - Literature review Example In discussing about the hospitality brands, that are owned, managed or franchised by the group, it can be said that the brands has a presence in almost every category like luxury, full service, select service, extended stay suites as well as timeshare. The Hilton Worldwide in the year 2011 was credited as the fastest growing major hotel company. As of the year 2011, the hospitality chain accumulated around 30 million HHonors members out of which 3.5 million members joined in the year 2011 itself. The hotel brand has presence in various continents around the world like the Americas, Europe, Middle East, Africa as well as Asia. Vital information about the company is given below in a summarised format: In 2011, the hotel company had an inventory of over 630,000 rooms all over the globe. The company is the owner of multiple popular brands which are present in around 90 countries. In the year 2006, the annual revenue of the hospitality company was around 7.44 billion USD. Journalistic Art icle While performing a strategic performance analysis for the Hilton Worldwide from the investors’ point of view, it is important to focus on conducting an overview of the global hospitality industry along with estimating the growth of the company in the recent times. Focus also needs to be given on the prospects of growth for the company in markets around the world. Overview of the global hospitality industry In discussing about the global hospitality industry, it is important to highlight that the global macro factors are bound to have a strong influence in this particular industry. Talking on this note, it needs to be stated that in the current years, the global hospitality industry has been affected in a significant manner by the political and economic factors around the world. In the year 2012, the global hospitality industry suffered the impacts that generated from US presidential election, sovereign debt crisis of the Euro zone, political disturbances and tension in v arious regions of the Middle East along with slowing down of Asian economies. Talking on this note, it can be stated that in the year 2012, the hospitality sector of the US, especially in the locations of New York, Los Angeles, San Francisco as well as Chicago displayed indications of growth and expansion. A report by the globally popular consulting firm Ernst and Young revealed that the average revenue per available room as of the year 2012 touched the levels of 2007. A deeper analysis revealed that the growth in the average revenue per room happened mainly because of the increase in occupancy levels as well as average daily rate (ADR). It was also found that the influence of the factors like high barriers to entry, longer and extended periods of development of hotel property as well as reduced dependence on wholesalers has greatly helped the upscale, upper upscale as well as luxury segment players of the hospitality industry of the region to attain an increase the revenue per avai lable room (RevPAR) in the recent times. The RevPAR for the Asia Pacific region, barring countries like India and New Zealand also recorded an increase in the year 2012. The prolonged political disturbances in some of the major markets of Middle East regions resulted in generation of mixed performance for this particular

Tuesday, September 24, 2019

U3 Research Project Coursework Example | Topics and Well Written Essays - 250 words

U3 Research Project - Coursework Example On the other hand, an Organizational Unit (OU) is also a container object. Its function is to arrange other objects in a way that supports the user’s administrative purposes. An OU organizes objects into a logical hierarchy, making it easier to find and manage. It is used when the delegation of specific administrative roles is needed. Its advantage is that it simplifies the management of objects, enabling administrators to organize Active Directory to match their organization’s needs (Microsoft, 2014). A domain tree comprises several domains linked together in a hierarchical style. The first domain forms the foundation of the naming structure of subsequent domains. The purpose of a domain tree is to classify interrelated objects stored in various domains into hierarchies that match an organization’s needs. Domain trees are used when an organization wants to categorize interrelated domains for easier access. It is beneficial because subsequent child domains can be added to the parent domain. Domains within a tree have a hierarchical naming style in which the child domain name is added to the parent name (Simmons, 2001). On the other hand, a domain forest comprises several trees linked together by their root domains. It acts as the highest container in a specific Active Directory. Its function is to link several domains and domain trees to form an Active Directory. It is used when an organization wants to connect two or more domain trees, which do not share contiguous names. It is advantageous because information is only shared within one forest, increasing data security (Microsoft,

Monday, September 23, 2019

Components of Interpersonal Communication Essay Example | Topics and Well Written Essays - 750 words

Components of Interpersonal Communication - Essay Example Verbal skill is important for establishing relationship (Key, 1980). According to Key, in a hunting society relationship is based on one’s ability to hunt but in a technological society verbal skills replace hunting skills. This only implies that interpersonal communication has also evolved over time. It is clear that the environment and human experience change the course of interpersonal communication which is evident on how the verbal skill has become so important in establishing relationship in contemporary society. Message has to be spoken clearly in order to understand it. A preacher for instance has to read the passage in the Bible, but it is not enough. He has to elaborately discuss it in detail based on his meditation. It is the only way in which a certain passage from the Bible can be clearly understood by the people. Thus, a preacher is required to have excellent verbal skills in order to convey the message or information successfully. People are expecting something more from him and that is to be able to gain insights. One way a preacher can be able to address the spiritual needs of the people is through effective communication through excellent verbal skills as anointed by God. On the other hand it is not only enough to focus on verbal skills in order to effectively communicate, but there are also non verbal skills that need to be taken into account. The American culture for instance values handshake as important part of being polite and meaning business at some point. The Japanese culture places more emphasis on body bow as an act of politeness and loyalty. Body gestures therefore are integral parts of communication process because they convey specific meanings or symbols. There are different cultures around the world which means there are different non verbal communications that need to be clearly defined and they are categorized as technical,

Sunday, September 22, 2019

On the black hill family and identity Essay Example for Free

On the black hill family and identity Essay The fact that they remained bachelors, despite Lewis desperate longing for a woman in his life, is also the work of Mary, who, knowing that Benjamin will never want to marry, made Lewis promise never to marry unless Benjamin did too. Lewis is identified by his love of aviation and longing for adventure, but he is tied down by family obligations. He is aware that his life would be different if not for the inescapable bond binding him to Benjamin, stating Sometimes, I lie awake and wonder whatd happen if him werent there Then Id have had my own life, like? Had kids? Ironically, it is his family that sets him free in the end and satisfies his desire for an heir and an adventure. This comes in the form of Kevin Redpath, the twins long lost nephew, who comes back to inherit the farm and also give Lewis an opportunity to do what he had always desired, to fly an aeroplane. These ten magnificent minutes completes the missing part of Lewis identity, and all the frustrations of his cramped and frugal life now counted for nothing. No other family is described in such detail as the Joneses, but their neighbours, the Watkinses from The Rock also shows how a family-style group affects the identities of the individuals in the family. The Watkins family is a rather complicated family, for Tom and Aggie Watkins can not have kids of their own and hence resort to adoption. The Watkinses show that despite having no biological ties, the family environment can also affect the characters and lives of individuals. The Watkins family is a typical poor low-class Welsh family, and the adopted children consist of Jim, Ethel, Sarah, Lizzie and Brennie hence turn out to be uneducated children, If anyone said, He was raised at The Rock , or She was reared at The Rock, you knew for sure the child was illegitimate or loony. This shows that the family environment plays a big part in who they are, and how other people view them. In the end, Sarah, Lizzie and Brennie all marry off and escape from The Rock. Lizzie pretended The Rock did not exist, and while Sarah still kept an eye on The Rock, her one great fear was of lapsing into poverty, clearly a fear born out of her experience of childhood poverty. Lizzie and Sarah are examples of the opposite way which family can affect children; instead of falling into the patterns of the family themselves, the children choose to escape and fear these patterns. This opposing respond to family pattern is also evident in David Maloufs Fly Away Peter, where Jim Saddler fears of inheriting his fathers savagery and tries to keep it at arms length. On the other hand, Jims biological children seem to inherit his traits. For example, Ethels son Alfie was identified as Jims son for the lad had Jims carroty hair and cauliflower ears. Alfie also grew up simple, the result of inheriting the combination of both Jim and Ethels mental disabilities. As the novel progresses, Jim has another child, this time Mrs. Muskers. His daughter Meg is even more like him; she grows up to share his love for animals, mistrust of outsiders. She even speaks like him, and clings to The Rock with fierce determination and optimism. Like the twins, Megs identity is shaped greatly by her parent, and she continues his way of life even after his death. The Bickerton family is one of the more minor families in On the Black Hill. A high-class English family, the Bickertons owned the Lurkenhope estate and hence was possibly the most powerful family in the village. In contrast to the Watkinses, the family environment of the Bickertons is wealthy, refined, and educated, and hence the children of Colonel and Mrs. Bickerton, Reggie, Nancy and Isobel, are naturally identified as figures of the higher class. As a result, Reggie grows up to be an arrogant and overly-confident young man and went to war with a head full of chilvaric notions of duty to caste and country. These chilvaric notions are most likely the influence of Colonel Bickerton, who has been persuading all young men to fight for their country. Even after coming home crippled, he made light of his injuries with upper-class stoicism and his high-handed treatment of Rosie Fifield shows that his arrogance hasnt changed. On the other hand, his sister Nancy Bickerton shows traits of Mrs. Bickertons; like the way her mother seeks companionship in Mary, Nancy is bored by the gentry and finds great pleasure in the twins visits. Even the way she offers tea to the twin reflects her mothers; China or Indian? Nancy is hence another example of an identity shaped by her parent and upbringing. Thus the identity-shaping forces of family are quite evident in the families of On the Black Hill. These are clearly portrayed through the characters of the Joneses twins Lewis and Benjamin, whose identities and lives are clearly shaped by their order of birth, their roles in the farm and the house, the traits they inherit from their parents, their upbringing, as well as their bond to each other. Their way of living even after the death of Amos and Mary reveal how the impact of these family dynamics can last forever, also portrayed through the way Meg or Nancy each inherit their parents traits and behaviours. On the other hand, these impacts can also have an opposite effect, as shown by Lizzie and Sarah in the way they try to fight against the Watkinses family pattern of poverty-stricken lives by leaving The Rock. Through On the Black Hill, Chatwin patently demonstrates the relationship between ones identity and family, reinforcing the notion that our families make us who we are today. Show preview only The above preview is unformatted text This student written piece of work is one of many that can be found in our GCSE Miscellaneous section.

Saturday, September 21, 2019

Quality and Performance Management Methods in Healthcare

Quality and Performance Management Methods in Healthcare Teams and Team Building In the long-term health care industry, ongoing improvement is vital to quality patient medical attention. To achieve this goal of value improvement, a long-term health facility needs to make use of the learning, abilities, encounters, and points of view of an extensive variety of people; aka brainstorming. A quality improvement (QI) project requires critical thinking, numerous choices, and successful arrangements that include complex frameworks. Recognition of the importance of team-building practices, as well as retaining staff, play an important part in successful health care administration. An exhaustive multidisciplinary approach by a QI team is preferred over individual leaders, especially when: A project is multifaceted for example, the evolution of a traditional nursing home into a more progressive, protective-care nurturing habitat. Creativity is essential because the route to development is indistinct we must come up with non-traditional approaches that fit the lifestyles affected by todays technology. Well-organized use of resources is mandatory -projects must try to stay within allocated budget, with an eye to quality/cost. Teamwork is indispensable to implementation akin to driving a vehicle, all motion must be in the same direction; the entire team must be on the same page for success to happen. Team members are stakeholders in the result let it be common knowledge that all staff members have a stake in being associated with this highly-regarded organization; prestige as well as financial gain associated with a successful medical facility is a persuasive factor. The procedure involved is cross-functional involving people or departments who do different types of work for the same company. For example, this could include the Chief Medical Compliance Officer, the Chief Information Officer, and an internal audit. No one person has enough information to solve the problem (Improvement teams, n.d.). A health facility cannot be managed by a single individual; the expertise of persons with various talents are needed to successful run a medical organization. The brainstorming approachs advantages emerge from group collaboration and quick generation of new concepts. One of the significant focal points of the technique might be the enhanced confidence that it creates in the team, because a well-directed session ordinarily empowers the group and can improve team cohesiveness (Lighter, 2011). This approach gives people the confidence to contribute their ideas without fear of malicious criticism. Steps involved in upgrading and maintaining a top-quality long-term health care facility would: Characterize zones that require consideration with an issue statement that is clear, centered, and generally defined. Give groundwork on the issue through a short synopsis sheet or data handout for the team. Select participants according to what they are best at and most interested in, much as the selection process for any other team. Expect writers block and prepare by having some motivational questions at hand. Direct the session with the facilitator leading and recording, guaranteeing that thoughts and conversations are documented (Lighter, 2011). Ideally, my team would be as diverse as the population it serves. A varied patient base demands a multicultural health care staff to deliver relevant, quality medical attention that is received well by the public. An essential element in providing quality care is provider stability; a leader in the health care profession must provide an environment that encourages top-performing staff members to stay with the organization. A high turnover rate is counterproductive to implementation of a successful plan. This is an issue, as per a 2011 American Health Care Association study, the average nursing home turnover rate is 35 percent for all staff and 43 percent for CNAs. In dissimilarity, Fortune magazine reports that the 100 best companies to work for in 2011 had a turnover rate of 3 percent or less. Obviously, most nursing homes need staff retention strategies (Group, 2012). Teams improve the performance of healthcare organizations by collaborating to create successful clinical outcomes, patient experiences and reduce organizational costs. References: Group, V. (2012, June 4). 5 team building practices that will make your staff want to stay. Retrieved February 23, 2017, from http://www.iadvanceseniorcare.com/article/5-team-building-practices-will-make-your-staff-want-stay Improvement teams. Retrieved February 23, 2017, from https://www.hrsa.gov/quality/toolbox/methodology/improvementteams/part2.html Lighter, D. E. (2011). Advanced performance improvement in health care: Principles and methods. Sudbury, PA: Jones and Bartlett Publishers.

Friday, September 20, 2019

Modernity of Buddhism and Christianity

Modernity of Buddhism and Christianity Adib Rahim Draft: Tribal to Universal Religion Prompt: Historians argue that religious traditions emerge within and through traditions and beliefs that already exist. These new religions borrow from, adapt, and reject older traditions, and their ideas can often be traced back to multiple existing systems of belief. The documents collected in Tribal to Universal Religion help you trace part of that lineage. Relying on a full analysis of the form, style, and context of these documents, consider how new religions break out of their localized context: How do Buddhism and Christianity draw from older traditions while creating something new? Historians have argued that traditions from religions have emerged within traditions and beliefs that have already existed before. These religions often borrowed, adapted or rejected the older traditions to create what their religions are now today. These religions borrowed core values but went in different directions. For example we see this idea with Buddhism and Hinduism and Christianity and Judaism. We see an alteration of old ideas and new ideas to appeal to people at the time to end controversy over the main set of values believed at the time. Christianity carried over many of the values and ideas of Judaism but at the same time branches off from the religion going in a different direction. Christianity and Judaism are mostly similar as they believe in this one god who is this almighty power. Christianity and Judaism also tend to share values of the Hebrew bible (Old Testament) but Christianity involves the New Testament to. Paul became the most vigorous missionary of Jesus, traveling throughout the Mediterranean converting nonbelievers and corresponding with communities of fellow followers Paul spread his gospel to others who were neither Jewish nor had known Jesus In this quote we see that the Pauls intent was to spread the word of god. Like Judaism there seems to be this emphasis on this obligation to god. Jews were considered to be only put in this earth to be only obligated to god. This idea is represented with this idea of circumcision. Circumcision in the Old Testament was a symbolic act to show your loyalty/obligat ion to god to which a Jewish male was entered to a covenant with god. The one who is not circumcised physically and yet obeys the law will condemn you who even though you have the written code and circumcision, are a lawbreaker. Even if you are a Jewish male following Judaism laws but you are not physically circumsized you arent actually Jewish. But theres also this similar idea with Christianity that covenant with god is through the acceptance and belief of your god. Christians werent only bound to mark with this mark of circumcision. We see the same idea with Judaism. A man is not a Jew if he is only outwardly, nor is circumcision merely outward and physical. No a man is a Jew if he is one inwardly: and circumcision of the heart, by the spirit, not by the written code. We see this juxtaposing idea of circumcision throughout both religions. This value of being attached to only god is seen through both religions. Unlike Judaism, Christianity believed that Jesus as god. Immediately a fter the suffering of those days the sun will be darkened, and the moon will not give its light; the stars will fall from heaven, and the powers of heaven will be shaken. Then the sign of the Son of Man will appear in heaven, and then all the tribes of the earth will mourn, and they will see the Son of Man coming on the clouds of heaven with power and great glory. And he will send out his angels with a loud trumpet call, and they will gather his elect from the four winds, from one end of heaven to the other. This quote from the Christian bible shows how Jesus is glorified as this almighty being like god describing with much power and authority. We see phrases like stars will fall from heaven and the powers of the heaven will be shaken . This connotative language incites fear within the reader which the intent of a god is supposed to be as youre only fear should be god. In Buddhism we see that there are values and beliefs that branch off of Hinduism but still go in different directions. Both religions believe in this idea of reincarnation and this idea that suffering is caused by attachment to things and people in this physical world. There are two types of Hindus which are the Vedas and Upinishads There are two types of Buddhism commonly known Theravada and Mahayana. Theravada Buddhism believes heavily on Buddha. Mahayana Buddhism believes in this belief that these godly beings exist in other realms but they cannot help people in our physical world. They both share the fundamentals of Buddhism but they still arise differently in some aspects. Unlike Hinduism anyone can enter this state of nirvana no matter your stance in society or this caste system. We are introduced to the youth of Buddha in Buddhism:Gotamas discovery we see his first encounter with this idea of Universal suffering. We see Buddha being taken to a park by his charioteer in his car riage. He encounters 4 different men changing his view on his lifestyle. First he sees a man who is suffering with old age. The second encounter he sees a man who is suffering with sickness. The third encounter he sees death. This encounter leaves Buddha very confused as he is questioning this idea of life, if life is only full of suffering of old age, sickness and death. He then encounters a man who is appeared to have a shaven head and a yellow robe that can be described as solitary. Buddha follows this man to disattach himself from universal suffering. Was Buddha actually a god or rather just a being filled with wisdom. Connecting this idea to Hinduism we see this idea of questioning the fundamentals about the nature of life, death and how to act in accordance to your religion in The Bhagavad Gita. We are introduced to reach this way of spirituality is to be truthful. We see this binary with the two religions with karma vs Dharma. Karma is the act of something towards dharma whic h is a sacred duty. Every action that we do has an equal reaction and over the course of their lifetime if one is accordance with this divine we can gradually work our karma. The person whose mind is always free from attachment, who has subdued the mind and senses, and who is free from desires, attains the supreme perfection of freedom from Karma through renunciation. Conclusively we see the alteration of old ideas that religions use to establish their core values. We see this juxtaposing idea with Christianity and Judaism and Buddhism and Hinduism.

Thursday, September 19, 2019

Internet Addiction :: Essays Papers

Internet Addiction ABSTRACT The Internet is the largest source of information in the world today. With its web sites and chat rooms, it is a means of communicating with people in places all over the face of the earth. Since its conception in 1973, the Internet has grown at a whirlwind rate. 51 million adults, were on-line as of the second quarter 1997 in the United States alone. Some say that the Internet is so enjoyable that it is almost addictive. The problem is that researchers are beginning to agree with them. Studies are revealing that there may be an actual form of addiction involved with over-use of the Internet. Identifying which category of addiction the Internet falls into is the problem. There are no real answers yet because research in this area is at the beginning stages. While lost in this so called ‘Cyber Community’ for long periods of time, people are neglecting other important activities like; time with the family, socializing, work and health concerns. One of the most extensive studies on Internet Addiction to date was conducted by Dr. Kimberly S. Young of the University of Pittsburgh at Bradford. In her study, she revealed concrete evidence supporting the Internet Addiction claim. However, help for web addicts is available. There are several web sites available for the treatment of Internet addiction, as well as counseling centers and clinics. Is it Live, or is it Internet? Internet Addiction The Internet is the largest most versatile source of information in the world today. With its web sites and chat rooms, it is a means of communicating with people in places all over the face of the earth. But with all this power at our fingertips, are there any negative impacts of using this interface? Are we as ‘simple humans’ capable of interacting with such a powerful communication source. Recent studies are beginning to uncover evidence that would suggest that maybe some of us are not so capable of dealing with this technology. In fact, as more research is conducted, experts are finding that the Internet may even be addictive! Development of the Internet began about 15 years ago. In 1973 the U.S. Defense Research Projects Agency initiated a program to research the techniques and technologies for inter-linking various types of networks.

Wednesday, September 18, 2019

The Great Gatsby A Criticism Of The Twenties (grade 11 Essay)

The Roaring Twenties is considered to be a time of excessive celebration and immense corruption. The novel, The Great Gatsby, by F. Scott Fitzgerald is a criticism of American society and its values during this era of history. This criticism is first apparent in the people who go to Gatsby's parties. They get absurdly drunk, do not know who their host is and are rude by excessively gossiping about him. This commentary is also shown in the corruption of the police. Gatsby is able to pay off the police so that the activities going on at his home will go unnoticed and so that he may behave as he wishes. This criticism is finally shown in the corruption of friendship and love, the simple fact being that there is none. People use Gatsby and then throw him away. Fitzgerald's criticism of American society and its values during this time period is first shown in the behaviour of people at Gatsby's parties.   Ã‚  Ã‚  Ã‚  Ã‚  The people who go to Gatsby's house on Saturday night only go to have a good time. The guests get drunk, get into fights, and act like complete idiots. This behaviour is apparent when Nick goes to one of Gatsby's parties for the first time. Nick says,   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  The large room was full of people. One of the girls in yellow was  Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  playing the piano, and beside her stood a tall, red-haired young lady...   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  engaged in song. She had drunk a quantity of champagne...she was   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  not only singing she was weeping too...Most of the remaining   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  women were having fights with men said to be their husbands...   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  One of the men was talking with curious intensity to a young   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  actress, and his wife...resorted to flank attacks...(52) The people at the party are so drunk that they are barely aware of what they are doing. As they become more drunk, they become more absurd. The woman singing a happy song bursts into tears for no reason. Men become more friendly to women other than their wives, and wives become more violent in de... ...sby believed loved him as he had loved her for so many years, did not only not attend his funeral, but did not even send a flower or message. All the people Gatsby knows uses him for their own means and then discard him. There is no such thing as friendship or love.   Ã‚  Ã‚  Ã‚  Ã‚  The Roaring Twenties is considered a time of mass corruption and excessive absurdity. F. Scott Fitzgerald uses his novel, The Great Gatsby, to criticize the American society and its values in this era. This criticism is best shown in the behaviour of the people who go to Gatsby's parties; they are careless, rude and only looking out for themselves. It is also shown in the corruption of the police, who are easily paid to look the other way. It is finally apparent in the corruption of friendship and love, the truth being that there is none. This society and its values are self-centered and materialistic, caring very little for consequences and others. Fitzgerald's message is delivered magnificently and causes one to be appalled by the behaviour of the people during this time in history. Bibliography Fitzgerald, F. Scott. The Great Gatsby. England: Penguin Books, 1950. The Great Gatsby A Criticism Of The Twenties (grade 11 Essay) The Roaring Twenties is considered to be a time of excessive celebration and immense corruption. The novel, The Great Gatsby, by F. Scott Fitzgerald is a criticism of American society and its values during this era of history. This criticism is first apparent in the people who go to Gatsby's parties. They get absurdly drunk, do not know who their host is and are rude by excessively gossiping about him. This commentary is also shown in the corruption of the police. Gatsby is able to pay off the police so that the activities going on at his home will go unnoticed and so that he may behave as he wishes. This criticism is finally shown in the corruption of friendship and love, the simple fact being that there is none. People use Gatsby and then throw him away. Fitzgerald's criticism of American society and its values during this time period is first shown in the behaviour of people at Gatsby's parties.   Ã‚  Ã‚  Ã‚  Ã‚  The people who go to Gatsby's house on Saturday night only go to have a good time. The guests get drunk, get into fights, and act like complete idiots. This behaviour is apparent when Nick goes to one of Gatsby's parties for the first time. Nick says,   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  The large room was full of people. One of the girls in yellow was  Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  playing the piano, and beside her stood a tall, red-haired young lady...   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  engaged in song. She had drunk a quantity of champagne...she was   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  not only singing she was weeping too...Most of the remaining   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  women were having fights with men said to be their husbands...   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  One of the men was talking with curious intensity to a young   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  actress, and his wife...resorted to flank attacks...(52) The people at the party are so drunk that they are barely aware of what they are doing. As they become more drunk, they become more absurd. The woman singing a happy song bursts into tears for no reason. Men become more friendly to women other than their wives, and wives become more violent in de... ...sby believed loved him as he had loved her for so many years, did not only not attend his funeral, but did not even send a flower or message. All the people Gatsby knows uses him for their own means and then discard him. There is no such thing as friendship or love.   Ã‚  Ã‚  Ã‚  Ã‚  The Roaring Twenties is considered a time of mass corruption and excessive absurdity. F. Scott Fitzgerald uses his novel, The Great Gatsby, to criticize the American society and its values in this era. This criticism is best shown in the behaviour of the people who go to Gatsby's parties; they are careless, rude and only looking out for themselves. It is also shown in the corruption of the police, who are easily paid to look the other way. It is finally apparent in the corruption of friendship and love, the truth being that there is none. This society and its values are self-centered and materialistic, caring very little for consequences and others. Fitzgerald's message is delivered magnificently and causes one to be appalled by the behaviour of the people during this time in history. Bibliography Fitzgerald, F. Scott. The Great Gatsby. England: Penguin Books, 1950.

Tuesday, September 17, 2019

From Freedom Of Contract

The modern entrant making process Is often a set of very complex agreements and usually Involves big amounts of money. The negotiations may last for months or even years. As a result, the parties will reach an agreement by piecemeal. There Is not a simple offer and an acceptance anymore, but there are offers, counteroffers, partial discussion. But when exactly the discussion is ended? For this still developing contract formation procedure, in most legal systems there are no special and adequate rules established. Since it is impossible to qualify in these cases offer and acceptance, a whole set of new problems arises: . As the agreement been concluded; 2. When was it concluded; 3. If the agreement is concluded, what are the terms of it. In this paper I will examine and discuss a very controversial topic in the theory of the formation of contracts: the relationship between parties in a situation in which an agreement has not been reached and one of the parties breaks off the negotiati ons. This can be done in several ways: one 2 can Just end the negotiations and walk away, the offered can revoke his offer, an option clause is violated etc.Since there is still no contractual liability in these cases, he question arises if there is any liability at all and if so according to what theory a party is held liable. I will analyses this problem from the point of view of two legal families: Common Law and Civil Law. In the context of this paper by Civil Law I mean the codified law systems in Western Europe and I will discuss French, German and Dutch law. We will see that there are important differences between the Common Law and the Civil Law approach to these problems.As a result of the still growing trade market between the United States and Western Europe it is of utmost importance that one is aware of these differences. I want to discuss three topics: 1 . Cross-boundary pre-contractual negotiations will bring together law and culture and reality and perception and so many problematic situations; I will give you Just some examples to show what I mean; 2. Then I will discuss the different approaches as mentioned above and even more important the different results on what is understand as pre-contractual liability; 3. He last topic will be on recent European developments in contract law in this field as realized in a proposed European Code of Contract Law. 2. Law and culture As I said before, pre-contractual negotiations will not only bring together law and ultra but also reality and perception. So it is quite possible that one party – from his particular background and legal culture – is convinced that after some meetings an agreement is reached, as the opposite party thinks these were still preliminary conversations. When this is the case severe problems will rise and immediately two questions have to be answered: 1 . According to which law the breaking off of the negotiations has to be Judged; 2. And which court has standing. In Co mmon Law countries, as a rule lawyers will take part in the conversation in a very early stage of the negotiations. s true for The Netherlands you from the start of the 3 – it is all a matter of trust. If you take your lawyers with negotiations it means you don't trust the other party so they don't trust you. The result is that you start the negotiations one step behind the other party and that is exactly not what you want.Probably this is also because English and American contracts are much longer than German, French or Dutch contracts. 1 Just one example; contrast these two standard forms of a forum selection clause: ; American clause: The exclusive forum for the resolution of any dispute under or rising out of this agreement shall be the courts of general Jurisdiction of xx and both parties submit to the Jurisdiction of such courts. The parties waive all objections based on forum non convenience; German clause: Cholinesterase Geriatricians sit xx (the only competent court is (P. 96) So when you enter into international contracting your first lessons are: 1 . Be aware of the cultural differences and legal mentality between you and the other party ; 2. Try to reach an agreement on two questions as early in the negotiations as possible: a. Which law has to be applied in case anything goes wrong (express choice of law); b. Which court has standing. A way to realize an answer to these questions in the pre-contractual stage is the use of a so called Letter of Intend or a Memorandum of Agreement.In case anything goes wrong, such a Letter or Memorandum can save a lot of time and money for both parties. According to American case law the answer of the question if the Letter or Memorandum is legally binding depends on the following factors: – The amount of details; – The language used; – Are there any escape-clauses; – Are there ‘subject to formal contract/definitive agreement' clauses; See for a comparison between American an d German contracts: Claire A. Hill and Christopher King, How do German contracts do as much with fewer words? , 79 Chicago-Kent Law Review 2004, p. 889 – 926. – Complexity of the transaction; – The way parties behave in the pre-contractual stage; – Custom. In Civil law similar factors are used. For about seven years I was honorary Judge in the Court of Rotterdam in a division on international contracts. In a surprisingly amount of cases – where contracts were actually formed – there was no provision on an express choice of law and on which court has standing. Making a choice on forehand will save time and money and the allowing factors can be taken into account. In the first place parties create certainty; both parties know what to expect in case anything goes wrong.I will take the English approach as a starting point, because this approach still resembles the classical theory on contract law. (Gigglier 2002, Cheshire and Foot 2001, Allen 19 91) In the case William Lacey (Winslow) Ltd. V. Davis [1957] 1 W. L. R. 932, 934 (Q. B. 1957) the view is expressed that a party to negotiations undertakes this work as a gamble, and its cost is part of the overhead expense of his business which he hopes will be met out of the profits of such contracts as are made. ‘ More recently the leading case on this topic is Wallboard v.Miles [1992] 1 All ERE 453. The question was if the parties can, by agreement, impose on themselves a duty to negotiate in good faith. Lord Cancer held: ‘Each party to the negotiations is entitled to pursue his (or her) own interest, so long as he avoids making misrepresentations. To advance that interest he must be entitled, if he thinks it appropriate, to threaten to withdraw from further negotiation or to withdraw in fact in the hope that the opposite party may seek to reopen negotiations by offering him improved terms.A duty to negotiate in good faith is as unworkable in practice as it is inhere ntly inconsistent with the position of the negotiating party. In spite of this rather rigid and formalistic view English law has taken on this question, there are some grounds to pursue negotiations or to recover damages in case of breaking off the negotiations. 6 Although the main contract has not been concluded, the court may held that there is a collateral contract which gives rise to some rights during the negotiating process.And even though there is no contract, a party may be entitled to restitution relief on the grounds that the other party has derived a benefit from the transaction for which he should compensate the plaintiff even if no contract has arisen (unjust enrichment). Finally a party can be held liable for loss which he inflicted on the other party in case of fraudulent misrepresentation (a claim in tort, e. G. When there was never an intention to form a contract) or negligent misrepresentation. In England one can only claim negative interests.Specific performance à ¢â‚¬â€œ that is to say forcing parties to re-open negotiations – is not possible. 3. 1. 2 AMERICAN LAW (Tanner and Hamilton, paper 2004, Track 1991) Like in English contract theory, it is generally agreed that also in the United States the existence of a duty in good faith is denied in the absence of an enforceable contract. According to American law there are three other grounds for pre-contractual liability. As in England, unjust enrichment as a basis for liability could be a ground for restitution.However, Just a few courts have entertained such claims and the prevailing view is still the alternator theory: both benefit and loss are at risk of the parties. Also the misrepresentation theory is considered to be a ground for recovering losses in the preoccupation stage in the United States, but situations in which this occurs American courts is the doctrine of promissory estoppels: one negotiating party cannot thou liability breach a promise made during negotiations, if the o ther party relied on that promise.

Monday, September 16, 2019

National Service Essay

Chinese Cheats Rort NZ Universities With Fakes | Stuff.co.nz www.stuff.co.nz/national/†¦/Chinese ­cheats ­rort ­NZ ­universities ­with ­fak†¦Ã¢â‚¬â€¹ May 12, 2013  ­ ESSAYS TO ORDER: Pengju Chen initially denied being in charge. †¦ An investigation has uncovered a well ­organised commercial cheating service for Chinese ­speaking students in New Zealand. †¦. National Homepage †¦ Eight ­legged essay  ­ Wikipedia, the free encyclopedia en.wikipedia.org/wiki/Eight ­legged_essay​ The eight ­legged essay (Chinese: å… «Ã¨â€š ¡Ã¦â€"‡; pinyin: bÄ gÇ”wà ©n) was a style of essay .. . exactly when the form became the standard for the civil service examinations. †¦ of the people, but in this very usage lies the sufficiency of national expenditure. 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Sunday, September 15, 2019

Assess the usefulness of official statistics Essay

Official statistics are a source of secondary data. The government produces them. There are both hard and soft statistics. Hard statistics include birth, death and marriage rates. These are registered when they occur by law, so these statistics are entirely objective. Another type of official statistic is called soft statistics, e. g. crime statistics & unemployment figures. These might not seem as objective as they first seem. They are open to manipulation for political ends, and can be considered to have a political use. For example, the methods used to measure unemployment have been changed over 20 times, because not everyone without a job counts as unemployed. Official statistics are mainly used for the study of demography, inflation, crime and deviance, unemployment, poverty and suicide. For an example Emile Durkheim, regarded as the founding father of sociology, used official suicide statistics for his suicide study. He used them to find correlations and casual relations and identified four different types of suicide, egoistic suicide, anomic suicide, altruistic suicide and fatalistic suicide. Durkheim used positivist’s methods to conduct his study. Positivists believe that quantitative data is the most reliable method to gather information as the data is compiled in a standardised way. Douglas, an Interpretivist, would disagree with Durkheim’s positivist methods. He says that official statistics are not valid. To determine a death it is up to the ‘interpretations and decisions’ of the coroner and that statistics are nothing more than a ‘social construct’. Atkinson, also and Interpretivists says that it is impossible for coroners to objectively classify suicides because their decision is based on a ‘commonsense theory of suicide’ which is based on whether there is a suicide note, the method of death, the location and the deceased’s life history etc. When adapting quantitative methodological procedures to derive specific data, official statistics is often used as a source of sociological evidence to simply enhance or complement practical research methods. However when looking at what is gained from the use of official statistics, it is important to recognize the limitations, which serve as a major downside to developing and attaining an unquestionable and flawless research. In addition, not all documents are easily available e. g. the Black Report (1980) which identified inequalities in healthcare, was released in very select circumstances. Not all secondary data give us a valid, true and detailed picture of what is being measured, not just official statistics. Diaries/e-mails, it could be possible that the author lied or exaggerated about their activities Also, a document may not be reliable. Public documents are likely to be higher in terms of reliability than private documents like letters and personal documents such as diaries and e-mails data may be fake or unrepresentative. In conclusion, official statistics can be very useful in sociological research. Nearly all secondary data can’t be trusted and official statistics might be the only appropriate form of research for your topic.

Saturday, September 14, 2019

Nursing in preventing hospital Essay

The aim of this essay is to ascertain what hospital acquired infection entails, the detrimental effects it causes and to highlight the active role nurses can take in the prevention of this type of infection. Hospital acquired (or nosocomial) infection is: ‘one that originated in the hospital environment; i.e. was not present or incubating on admission and which appeared 48h or more after admission’ (Azzam et al. 2001). Infection is caused by pathogenic organisms which invade the hosts immunological defence mechanism; this can be through wounds left by invasive procedures whereby the host’s natural body defences have been bypassed. It is the nurses’ responsibility to know the factors that can increase patients’ susceptibility to infection (i.e. age, underlying disease, drug therapy, or if they are undergoing surgery), this enables nurses to be able to assess which patients are most at risk so that they can develop a care plan and therefore they will know what extra, if any, precautions to take and protocols to follow. Sproat and Inglis (1992) cited by Mallett et al. (2000, p, 40) suggest that the assessment of a patient’s risk of infection to others, in nursing care plans, before the commencement of any procedure is a fundamental principle of infection control. The Bowell-Webster risk assessment guide for identifying patients at risk of infection (1990) cited in Alexander et al. (2000, p, 595) can be used to decide which protocols to follow. Steed (1999) states that not all nosocomial infections relate directly to the patients’ underlying disease but that many are caused by the actions of healthcare workers. Therefore great care must be taken by healthcare workers, especially nurses, who are directly involved in the care of patients. In this essay I am going to discuss the procedures followed by nurses to eradicate, if at all possible, cross infection. There are two ways of acquiring an infection in hospital: Cross (or exogenous) infection is when the infection has been spread from other people, either patients, visitors, hospital staff or even food and the surrounding environment; whereas self (or endogenous) infection is when the  infection is caused by microbes carried by the patient on their body, usually from septic areas. Compliance with universal precautions should be rigorous as to avoid spread of infection. For example, failure to change gloves between interactions with different patients can lead to the spread of disease (Piro et al. 2001). Ayliffe et al. (1992) contended that the regularity of infection in hospitals, caused by multiple types of bacteria, could increase to epidemic amounts if aseptic and hygienic measures in the hospital collapsed. According to the Healthcare-associated Infection surveillance Centre (2000) approximately 30% of nosocomial infections are due to urinary tract infections, another 30% are due to bloodstream infections, 20% due to surgical site infections and 20% due to pneumonia. These infections tend to occur during invasive procedures or when the body is very susceptible due to illness. The NHSSB infection control manual (1996) states that the inter-hospital transportation of infected patients is the main means of spreading infection and in extreme circumstances of spreading an epidemic strain. The spread of infection in hospitals between patients, or between patients and staff, cannot be entirely eradicated but it can be reduced, especially by nurses using methods I will discuss later. Evidence supporting the importance of infection control can be seen in a study by Worsley (1993) cited in Mallett et al. (2000, p,47) who found that in 1991 out of 175 patients who had developed nosocomial Clostridium difficile diarrhoea, 17 died and the organism was a contributing factor in a further 43 deaths. The cost of managing this outbreak was at least  £75000. Also in a study conducted by Plowman et al. (2001) they concluded that approximately 10% of patients will get infected during a stay in hospital and that this can lead to costs of up to one billion pounds per year in the U.K alone. These pieces of evidence and others (Chaudhuri, 1993) demonstrate the prevalence of nosocomial infection, the dire effects of it and also the extreme financial losses it incurs. Hospital acquired infection has many different consequences, it can: Delay or prevent recovery; Cause increased pain, discomfort and anxiety; Increase the patients stay in hospital which has financial losses due to drugs bills and extra staffing costs; Cause psychological stress as a result of long periods spent in isolation (Knowles, 1993, cited by Mallett et al. 2000, p, 47); it is demoralising for both staff, patients and their families which can lead to decreased public confidence in hospitals and doctors. Mc Millan Jackson (1999) insists that infection prevention and control is essential in healthcare settings to reduce the risks of morbidity and mortality in patients and healthcare workers. Nurses share responsibility with other healthcare professionals to reduce the risk of infection in patients. Patients have a right to be protected from preventable infection and nurses have a duty to safeguard the well-being of their patients (King, 1998, cited by Mallett et al. 2000, p, 39). The Nursing and Midwifery Council (NMC) Code of Professional Conduct (2002) outlines the nurses’ professional code, and also has implications for the role of the nurse in infection control, requiring them to protect patients and fellow healthcare workers from risks such as cross-infection. Clause 1 of the code informs nurses that, ‘You have a duty of care to your patients and clients, who are entitled to receive safe and competent care’. To fulfil these criteria, nurses must ensure that care is taken to ensure that dangerous or potentially harmful substances (e.g. drugs) or articles are handled and stored safely and that all equipment and appliances are properly maintained. Nurses are role models to the people with whom they come into contact, whether it is patients, visitors, students, or any healthcare workers. Therefore they should insist on compliance with basic procedures and practices as part of their job. They must assume responsibility for these practices as they are also held accountable under the NMC code of conduct and so should be at the forefront of efforts to prevent and control infections. Many infections are acquired through the patient’s own lack of knowledge of the effectiveness of simple procedure, such as hand washing, therefore the nurse has role to fulfil in providing education for patients and their families to give them a greater understanding of the importance of the need for thorough compliance of these procedures. ‘Standard precautions are designed to define a high standard of routine care that will be effective in reducing the transmission of potential pathogens between patients/ clients whilst protecting staff from pathogens carried by patients/ clients’ (NHSSB, infection control policy, 1996). General principles of infection control which all nurses must adhere to according to the Royal College of Nursing (1995) are, to: Wash hands before and after general patient care; Cover all cuts and abrasions with impermeable dressings; Use disposable gloves and aprons where necessary; Clean up spills and body fluids immediately according to local guidelines; Use and dispose of sharps safely, do not resheath needles; Dispose of clinical waste according to local guidelines; Handle and transport specimens safely by following local guidelines; Handle soiled linen according to guidelines; Use disinfection and sterilisation procedures following guidelines. Healthcare professionals need to have basic knowledge about the steps in the chain of infection to be able to determine how to control infection itself. These are: the causative agent; the reservoir; the portal of exit from reservoir; the mode of transmission from reservoir to susceptible host; the portal of entry into susceptible host; and the susceptible host. The main ways to interrupt the transmission of infection between humans and therefore break this chain is through the mode of transmission, this is achieved by: hand washing; aseptic technique; sterilisation and disinfection; and isolation procedures. Overviews of epidemiological evidence (Gould, 1991, Sharir, 2001) have shown that hand washing techniques are often inadequate and infrequent, and that the quality of hand washing is more important than the quantity (Van der  Broek et al. 2001). These conclude that hand medicated transmission is a major contributing factor in the current infection threats to hospital patients. According to RCN guidelines (1995) hands should be washed: before and after any duty which involves close contact with a patient; before and after aseptic technique or invasive procedures; after contact with body secretions/ excretions; after handling contaminated laundry or equipment; after removal of gloves, masks and aprons; before administration of food, drink and drugs; and at the end of a span of duty. Precautions adopted to destroy pathogens, prevent the spread of infection and to protect patients against infection during their stay in hospital, include the use of barrier nursing and the aseptic technique. These are adopted to increase the patient’s resistance to infection, to eradicate the sources or potential sources of infection and to minimise, or if possible stop, the means of bacterial transfer to the uninfected patient. The idea of barrier nursing is to keep an infectious patient, and materials they have been in contact with, apart from vulnerable others. This can be achieved by isolating the patient in a single room or by isolating a number of infectious patients in a purpose built ward. Another method used is to isolate patients whose immune systems are severely depressed thereby protecting them from harmful organisms. This is usually referred to as reverse barrier nursing. Aseptic technique is the use of sterile equipment and fluids, when carrying out any invasive procedure that breaches the body’s normal anatomical defences, to prevent contamination of wounds and other vulnerable sites by pathogens in the operating theatre, the ward, and other treatment areas. These procedures can only be effective if the healthcare professional, i.e. nurses who are in contact with the patients adhere to the general policies relating to the care of patients, especially infectious ones, such as hand washing and protection of personal clothing. It is my personal responsibility as a student nurse to ensure that I am fully immunised against common diseases, and diseases I may be in contact with in the  healthcare setting, if there is a vaccine available. If I feel that I am ill and suspect that my illness may put patients at risk of infection, it is my duty to inform the necessary people and to stay off work. It is also my duty to remove any jewellery (with the exception of a wedding ring) before work, to keep my nails short and clean, and to keep my hair (if long) tied back. Recent studies have proven the importance of wearing a clean uniform each day to work, and that you should ensure that your uniform is laundered at as high a temperature as the garment allows (Perry et al. 2001). During my clinical placement I had to adopt barrier nursing techniques due to a patient on my ward having Methicillin Resistant Staphylococcus Aureus (MRSA). I was therefore required to adhere to more thorough precautions when dealing with this particular patient. Source isolation was partially used to deal with this patient as I was working in an open mental health ward, therefore the patient could only be segregated to a certain degree. The nursing staff then needed to be aware of this patient’s movement so that we were effectively able to disinfect the areas she came into contact with as detailed in the local procedure we used. During meal times this patient had her meal brought into the ward to her on a tray, once she was finished I had to follow the local procedure by washing my hands with chlorhexidine gluconate 4% before donning gloves, I then had to place her used tray in an alginate polythene bag (which dissolves in the dishwasher), where it would then have been brought to the kitchens to be cleaned separately and at a higher temperature from the usual dishes. Next I had to change my gloves and then disinfect the table and chair, at which the patient had been sitting, with Haz tab solution, then rinse the area with fresh water and let air dry. Finally I remove and dispose of my gloves appropriately and wash my hands, with chlorhexidine in 70% Isopropyl alcohol solution, and dry with paper towels. In this way staff and the other patients are protected from contamination. As I have shown many hospital acquired infections can be easily prevented by the compliance of simple procedures, thereby reducing the extra costs hospital trusts and governments have had to pay, and most importantly reducing the ill effects caused to patients and their families. 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