Wednesday, October 30, 2019

Creation of a Potential Chartable Organization Web Page Assignment

Creation of a Potential Chartable Organization Web Page - Assignment Example In a bid to have our services reach a wider coverage and enable us reach as many needy children as possible, the need to develop a website for our organization came in. To cover a wider area in terms of service delivery, quicken the service delivery, help get contact with the needy without the knowledge about our organization, create awareness of the existence of our organization and its services, reduce the cost of accessing our information by eliminating the physical availing of oneself at our premises. This website in itself offers plenty of positives that make it a better option in improving our services delivery. The advantages of this site transcend beyond the borders. They include the following benefits. The website is user friendly. This website offers a very user friendly interface that makes it easy for people with limited computer knowledge to easily use it. The website’s interface is very simple thus aiding easier use. The website also offers cheaper option in information elicitation. As opposed to being physically present at the organization’s premises, the website helps save the cost of travel since a user can access it at the comfort of their homes without necessarily traveling to the premises. The website also makes the response services easily achievable. This is because needy persons may have made an enquiry about our contact from wherever they are. Having this website makes it easy to give feedback to them regardless of their geographical location. The website can also act as a contact point between our organization and other charitable organizations and agencies. Another organization may need to make contact with ours. With this website it’s very easy since they can contact us even online without necessarily looking for our physical location This website has several hyperlinks that lead to those various pages. These are also web pages also contain different

Sunday, October 27, 2019

Labelling Theory by Becker: Summary and Evaluation

Labelling Theory by Becker: Summary and Evaluation Part of the assumption about the way policing and the law works is that punishing criminal behaviour has a deterrent effect. Whatever controversies surround the efficacy of deterrence and they are myriad it seemed hard for many early theorists to believe that punishing criminal behaviour does any actual harm to society. What labelling theorists introduced was the idea that, ironically, the singling out of those who had transgressed societys laws actually perpetuated the behaviours it was intended to curb (Lilly, Cullen Ball, 2002). The idea that the way in which crimes are socially constructed might have important consequences has, however, proved controversial and sparked considerable debate. This essay looks first at labelling theory and then moves on to examine the theory more critically and assess its reach in explaining crime and deviance. Becker (1973) clearly lays out labelling theory in his book Outsiders: Studies in the Sociology of Deviance. He explains that the interactionist perspective sees crime as an infraction of the rules created by society. It then seeks to find the reasons that a person infringed those rules within both their personality and in the their social and economic environment. Becker (1973) believed that this placed the wrong emphasis on where the parameters for crime are set. It is not in the quality of a persons action the deviant act or, as it were, a deviant person but rather in the imposition of the label of deviance by society. It is society that prescribes which acts are lawful and which acts are not lawful and, that act of successfully applying the label illegal or deviant to a person, has a number of important consequences. One assumption often made, once a person has been labelled a deviant, is that they fit into a homogenous category. Becker (1973) argues that this assumption is often made by researchers in criminology looking for a root cause or at least some commonality in deviance and crime. This assumption, though, is not correct. Some people may not have transgressed societys laws and yet are, through the failure of the appropriate systems, still labelled deviant. Others may have transgressed but have not been caught in their transgression these people remain unlabelled. As a result of this analysis, Becker (1973) is most interested in how people come to be labelled deviant rather than their particular social or personal circumstances. This attack on the absolutist nature of deviance or criminal behaviour highlights a number of variables within the system of labelling. What is labelled a crime varies from one time to another; at one time there is crackdown on, for example, drug offences, and the investigation and penalties are stepped up. At another time there may be much more leniency. Another variable is the nature of the person caught breaking the law. The example is drawn by Becker (1973) of the difference between a middle class person and someone from the lower classes evidence is cited to show that it is the middle class person who is more likely to avoid prosecution. Similarly, crimes committed by individuals tend to be prosecuted by the criminal law, while crimes committed by corporations prosecuted by the civil law. These distinctions emphasise the fact that criminality is not an independent quality of a person, but is intimately related to other peoples perceptions or, alternatively in the modern termin ology, to crimes social construction. After the initial instance in which a person is labelled as a criminal, Becker (1973) asserts that a number of things are naturally attendant. To understand the results of labelling it is useful to make a distinction introduced by Edwin Lemert. Lemert (1951) introduced the idea that deviance could be seen as first primary and then secondary. Primary deviancy refers to the situation where a person commits a criminal offence because of sociocultural and psychological circumstances. At this stage, however, the person does not see themselves as deviant, merely as a person who has temporarily strayed from the straight and narrow. Having been caught committing a criminal offence this person is then subjected to societys vilification and labelling through the criminal justice system. As a result of this the person then has to find a method of dealing with this clash between the way they think about themselves and the way other people now view them. This is normally dealt with by accepting t he label with all its meaning and consequences attached. Lilly, Cullen Ball (2002) explain that labelling theorists used the idea of a self-fulfilling prophecy (developed by Merton, 1968) to explain the effect of labelling. Falsely applying the label of criminal to a person leads to them being seen as morally reprehensible in themselves, even though, at that point, this is probably not true. In peoples minds, the fact that a person has committed a criminal offence leads to them being thought of as a criminal, which again leads to them being seen exclusively in this context, above any other. The police, seeing that person as more likely to transgress in the future, will be more likely to visit them to investigate further crimes. A person is socially isolated from their non-criminal friends and probably incarcerated with others who have been labelled criminals this all serves to reinforce the label. It is this constant pressure from people around them that encourages those who have committed a criminal offence to accept the label of crimin al themselves along with all that it entails. The effect is that, perversely, that crime is perpetuated because of the effectiveness of the systems of criminal justice: the label of criminal becomes a self-fulfilling prophecy (Williams, 2004). Labelling theory has been criticised on a number of grounds. Many researchers have attempted to bring empirical evidence to bear on labelling theory. Gove (1975), for example, found no evidence of the influence of negative sanctions on sustained criminal careers. Sherman Berk (1984) compared, in a field experiment, those who had been arrested for domestic violence, with those who had not. They found that those who had been arrested did, in fact, show a reduced level of violence compared to those who had not. Foster, Dinitz Reckless (1972) found that self-reports of problems amongst apprehended boys did not affect the relationship between deviance and sanctions. Other evidence, however, has supported the contentions of labelling theory. Kaplan Johnson (2001) describe some of this evidence. Palamara, Cullen Gersten (1986) found that juvenile delinquency was affected both directly and through other interactions by contact with the police, as well as mental health services. Important ly, the level of the effect was found to be different depending on the type of behaviour that was being measured. Kaplan Johnson (2001) assert that part of the explanation for the mixed empirical results may be methodological problems. For example, measuring levels of delinquency before and after intervention by the criminal justice system is extremely problematic. Kaplan Johnson (2001) argue that, in the research carried out by Foster et al. (1972), it is possible the boys were trying to protect their self-image which was why they didnt report any problems to researchers. Similarly, though, the results of Palamara et al. (1986), which relied on the opinions of mothers and teachers, might simply reflect the effects that labelling has on labelling obviously a circular argument. Gove (1975) argues that part of the problem with testing labelling theory is that it is simply untestable in many of the ways that researchers have applied. Aside from empirical evidence, researchers have also criticised labelling theory on theoretical grounds. Gove (1975) argues that there is no solid evidence that being labelled and then committing crimes is a self-fulfilling prophecy. In addition, Gove (1975) criticises labelling theory on the grounds that it is has difficulty explaining all the different types of deviant behaviour. Plummer (1979) characterises this as a problem with explaining how primary deviance occurs in the first place. Labelling theory, therefore, has a particular problem with paedophilia, for example, which is generally thought to result from abnormal psychology. For this reason it cannot be largely affected by labelling and self-fulfilling prophecies. More phenomenological problems are pointed to in labelling theory by, amongst others, Philipson Roche (1971). They point out that labelling theory makes many perhaps unwarranted assumptions. The way that society reacts to the labelling of criminals is mostly assumed by the original researchers, and hardly investigated. Theoretically, there is limited linkage between the processes that occur at an everyday level and how these translate into the societal reaction. There is too much reliance on ideas that are deemed common sense and also on anecdotal evidence. Plummer (1979) states that labelling theory tends to minimise, or not to address, the question of power and the effects this has on the criminal justice system. A more general criticism is its compatibility with social determinism, the idea that people may have no choice, or at least little choice, in their behaviour. These ideas are also linked to moral criticisms, that labelling theory excludes the moral aspects of crime choos ing to commit a criminal act is a moral choice. In defence of labelling theory, and the criticisms that have been levelled at it, Becker (1973) ascribes a more limited role to its applicability. Becker (1973) argues that labelling theory was not intended to explain why people commit crimes, but the focus of it is on the interactional elements. It is the interactional elements in explaining crime that had previously been ignored or minimised labelling theory was an attempt to highlight the fact that crime cannot be explained without considering the effects that people have on each other. It is clear that many criticisms of labelling theory are based on different conceptions. Indeed, modern theorists now often see labelling theory as split into three different parts. Davies Tanner (2003) splits it into the strain that concentrates on secondary deviance, the strain that focuses on social psychological effects and, finally, the strain that examines the effect of labelling on life chances. In conclusion, what many proponent of labelling theory claim is that it attempts to demystify acts of crime and deviancy. Rather than seeing them as discrete and recognisable categories that are somehow other from the normal law-abiding citizens, it sees them as part of a fluid process within which all members of society, or a collective, exert some influence. It acknowledges a continuum and attempts to describe the processes involved in moving along that continuum. Critics of labelling theory have attacked with both theoretical arguments and empirical evidence. As can clearly be seen, though, labelling theory is difficult to test empirically and, perhaps, with the defence provided by Becker (1973) is impossible to test this way. Criticisms of theoretical aspects are somewhat muddied by different understandings of what labelling theory constitutes. Despite this, it is possible that more detailed and precise research could provide a clearer empirical result whether positive or negati ve. References References Becker, H. S. (1973) Outsiders: studies in the sociology of deviance. New York: Free Press. Davies, S., Tanner, J. (2003) The Long Arm of the Law: Effects of Labeling on Employment. The Sociological Quarterly, 44(3) 385–404. Philipson, M., Roche, M. R. (1971) Phenomenology, Sociology and the Study of Deviance. In Carson, W.G., Wiles, P. (Eds.) The Sociology of Crime and Delinquency in Britain, vol 2. Oxford: Martin Robertson. Foster, J. D., Dinitz, S., Reckless, W. C. (1972) Perceptions of stigma following  public intervention for delinquent behavior. Social Problems, 20, 202-209 Gove, W. R. (1975). The labeling of deviance: Evaluating a perspective. New York: Halsted Press. Kaplan, H. B., Johnson, R. J. (2001) Social Deviance: Testing a General Theory. New York: Springer. Plummer, K. (1979) Misunderstanding Labelling Perspectives. In Downes, D. Rock, P. (Eds.) Deviant Interpretations: problems in criminological theory. Oxford: Oxford University Press Lemert, E. (1951) Social pathology: A systematic approach to the theory of  sociopathic behavior. New York McGraw-Hill. Lilly, J., Cullen, F., Ball, R. (2002) Criminological theory: Context and consequences (3rd ed.). Thousand Oaks, CA: Sage. Merton, R. K. (1968) Social theory and social structure. New York: Free Press. Palamara, F., Cullen, F. T., Gersten, J. C. (1986). The effect of police and mental  health intervention on juvenile deviance: Specifying contingencies in the impact of formal reaction. Journal of Health and Social Behavior, 27, 90-105. Sherman, L. W., Berk, R. A. (1984) The specific deterrent effects of arrest for domestic assault. American Sociological Review, 49, 261-272. Williams, K. S. (2004) Textbook on Criminology. Oxford: Oxford University Press.

Friday, October 25, 2019

Capital Punishment Essay - We Should Not Exclude Juveniles

Capital Punishment Should Not Exclude Juveniles In August of 2000, three year old Damion was suffocated after several attempts by his five-year-old sister and her six-year-old friend to kill him. When the police talked to the two girls, they concluded that it was an intentional murder, but under California state law, "children under the age of 14 can be charged only if there is 'clear proof that at the time of committing the act... they [knew] its wrongfulness." With no witness to the crime, the police only had the girls' word and consequently, there wasn't enough evidence to charge the two girls with murder (Murr 32). By law a juvenile is anyone under the age of eighteen. Juvenile justice is the part of the criminal law that deals with juveniles, because they are not old enough to be held accountable for their own actions. This normally means that their parents would be charged with the crime (Schonwald). But in case of Damions' murder, California also decided that the girls were just too young, and since the parents weren't there to witness the homicide, they too were not punished (Murr 32). This made it seem like the murder of a three-year-old never really happened at all. Every state has different laws for trying young criminals as adults. The states of Vermont and Kansas provide statutory provisions for trying children as young as ten years old in an adult criminal court. In Oklahoma the age is set at seven; Nevada, eight and in Colorado, twelve (Frontline). In 1972 the United State Supreme Court struck down on every state death penalty, saying that it was "cruel and unusual punishment" and it violated the 5th Amendment. In 1976 the Supreme Court revised its decision saying that it was acceptable as long as the Co... ... News and World Report 17 Jan. 2000: 26-27 "Juvenile Justice" Frontline 2001 17 Dec. 2001 http://www.pbs.org/wgbh/pages/frontline/shows/juvenile/stats/states.html Murr, Andrew and Springen, Karen. "Death at a very Early Age: Is it a crime when a 5-and 6-year old suffocate a 3-year old?" Newsweek 28 Aug. 2000: 32 Redding, Richard. "Juvenile Forensic Evaluation Resource Center" State Transfer Laws 2000 17 Dec. 2001 www.ilppp.virginia.edu/Juvenile_Forensic_Fact_Sheets/Fact_Sheets/StateTrans.html Schonwald, Josh. "Juvenile deliquents respond to punishment just as adults criminals do, University of Chicago study shows." The University of Chicago News Office 21 Dec. 1998 5 Dec. 2001 http://www-news.uchicago.edu/releases/98/981221leavitt.shtml Wilson, Anamaria. "Lock "Em Up!: Minority youth are more likely to face trial as adults." Time 14 Feb. 2001: 68.

Thursday, October 24, 2019

What I Believe In †Beliefs that Frame My Outlook on the World

We humans are entitled to have our own beliefs. These beliefs serve as our guiding principles in living our lives. They also help in building and framing our outlook towards the world we live in and towards our relationships with other people. Our beliefs can determine our character and can give reasons as to how we should live our lives every single day. What I personally believe in is actually very simple and basic. I believe in the power of doing something good to other people. For some reason, I grew up believing that if I do an act of goodness, life would be good to me as well.It is not as if I am asking or expecting for something in return every time I do something good. It is not that way. I just believe that showing an act of kindness and concern to others adds meaning into my life and it helps me feel good as well. This belief had helped me gain a better outlook in life. It feels good to receive a sincere smile from other people and even strangers whom I try to help – whether it is just a tiny gesture of offering a seat in the bus or picking up something that they have dropped.For me, an act of goodness – whether great or small – makes life more fulfilling. It warms the heart and makes the world seem happier and safer. I believe that a person can never be wrong if he chooses to do whatever is good. There are many opportunities for us to show an act of goodness every single day if we just look around – helping an elderly cross the street, donating something to the charity, participating in an environmental project, volunteering at a community centre and offering our companionship to someone who is in need of a friend; and many others.Even without exerting any conscious effort, I know that there are still a lot of ways for me to do something good like being patient while waiting in line at the fast food counter, being nice to the waiters and waitresses in restaurants, saying â€Å"thank you† to that security guard that opens and closes the door for me at the bank and by simply saying â€Å"I’m sorry† and â€Å"Please† all the time. I consider patience and good manners as virtues that I need to practice everyday in order to instil them in my character.Imagine if every person on earth would attempt to do an act of goodness everyday. There would probably be lesser troubles for people. The world can become a better place and we can set good examples to the younger generation. Whether we accept it or not, choosing to do what is good and showing kindness to others can go a long way. By doing so, we are already uplifting, inspiring and helping others in ways we can never quite expect. It is like touching other people’s lives and giving them hope that goodness still exists and there are ways to spread it out to the others.From another perspective, I believe that doing something good everyday of my life will help me have a good life as well. I have this idea in my mind that doin g acts of goodness all the time has its paybacks. As I have mentioned earlier, this is not associated with me asking for something in return. It simply means that I believe that there is such a thing as good karma. It is like leaving the rest to the forces of nature that exist or to fate; or to our Creator. It does not really matter which, what or who is responsible for the payback.All I know is that in life, goodness has its own price. As long as I am a good person, I can expect pleasant things to come my way. Life has its own twists and turns and this is something that is known to all of us. Sometimes, things do not always turn out as expected. I have experienced this to a great extent. While I am at my life’s mission of spreading goodness to others, one of the people whom I helped had betrayed me. This person has hurt me and despite of the good things I have done for him, he chose to pay me back with betrayal and deception.Another instance was when I decided to join a very worthy cause. I ended up being accused of something I did not do. I became a victim of injustice. Despite of all the help and effort I exerted for that particular project, I was accused of being on the negative side. Indeed, both experiences had been extremely disappointing and yes, painful to some extent. I would be a hypocrite if I would say that these specific events in my life did not shake my belief. In fact, there were days when I asked myself if I should continue being good to those who had hurt, betrayed and accused me.Is it still worth it to believe in the power of goodness? Should I continue believing that goodness can conquer all the negative things in this world? I was taken aback at how people can easily use and judge others. However, later on, I came to a realization that every person goes through several challenges and trials in his lifetime. That is the essence of living. My beliefs are my guiding principles on how I would live my life; but I should not expect other people to also believe whatever it is that I believe in; or expect them to follow my principles.Each person is unique and has his own beliefs. There will be times when the act of goodness that I do will not be reciprocated. That is my challenge and it is something that I should learn to accept. I also have to acknowledge the fact that people do not act and think alike all the time. Things will not always go my way or turn out as expected. The outcomes of my beliefs can either be favourable or unfavourable. Still, there is nothing wrong with believing that â€Å"goodness equates to goodness† regardless of everything. Thus I still believe in the power of doing good things to others.In conclusion to this personal insight, I simply want to state that our belief gives meaning to our existence and moulds our character. In my case, I find fulfilment and pleasure in doing something good to others – like showing some concern, expressing love or extending an act of kindness. I know that there will be times when my belief will be tested or challenged and I can easily lose my grip. However, as long as I know that what I believe in is right and just, life will find a way to pay me back. References http://www. npr. org/templates/story/story. php? storyId=4538138&ps=sa

Wednesday, October 23, 2019

Esf Function #8

Executive Summary Introduction to Emergency Management Taylor Carl Mr. Jonathon Johnson October 12, 2012 The Emergency Support Function #8 (ESF #8) from FEMA details support services related to public health and medical services. The primary agency in control of ESF #8 is the Department of Health and Human Services.They are responsible for providing assistance during â€Å"a public health and medical disaster, potential or actual incident requiring a coordinated Federal response, and/or during a developing potential health and medical emergency†, (2008, FEMA, p. 1). Assistance for medical needs covers mental and behavioral health as wells as substance abuse.Assistance is provided in the following core function areas under ESF #8: assessment of public health/medical needs, health surveillance, medical care personnel, health/medical/veterinary equipment and supplies, patient evacuation, patient care, safety and security of drugs, biologics, and medical devices, blood and blood p roducts, food safety and security, agriculture safety and security, all-hazard public health and medical consultation, technical assistance and support, behavioral health care, public health and medical information, vector control, potable water/wastewater and solid waste disposal, mass fatality management, victim identification, and decontaminating remains, and veterinary medical support (2008, FEMA, p. 1-2). All Federal responses are handled by the Secretary of Health and Human Services through the Office of the Assistant Secretary for Preparedness and Response (ASPR).The Secretary is also in charge of the assets during a public health emergency with exception of the member of the Armed Forces. They are responsible for coordinating all preparedness, response, and recovery actions consistent with all internal policies and procedures of the Department of Health and Human Services. Once support agencies receive instructions from the Secretary, they are responsible for controlling the ir resources. The Emergency Management Group (EMG) is responsible for handling the ESF #8 response for the ASPR and must remain in constant contact with the National Operations Center (NOC). All organizations involved in response operations must report public health and medical requirements to their appropriate representative.These representatives are stationed in the National Response Coordination Center (NRCC), the Regional Response Coordination Center (RRCC), and the Joint Field Office (JFO). A â€Å"Joint Information Center (JIC) will be established to coordinate incident-related public information†, (2008, FEMA, p. 2). The JIC is able to release information to the public in regards to general medical and public health response. For community issues, a recognized spokesperson will issue communications when possible. Should there be a zoonotic disease outbreak, ESF #8 must coordinate with ESF #11 (Agriculture and Natural Resources). Public information may be released after consultation with the US Department of Agriculture (USDA).During a oil, chemical, biological, or radiological environmental contamination, ESF #8 must coordinate with ESF #10 (Oil and Hazardous Materials) to release information. When action is needed, the ASPR alerts HHS personnel. The ASPR may also request personnel for liaison communications at the HHS Headquarters command locations. The ESF #8 staff stationed in the RRCC and JFO â€Å"will conduct a risk analysis, evaluate, and determine the capability required to meet the mission objective and provide required public health and medical support† assistance to the appropriate parties (2008, FEMA, p. 3). During initial activation, HHS will coordinate conference calls with supporting agencies to discuss and determine response actions.During the assessment process, HHS working with the Department of Homeland Security (DHS), mobilizes and deploys ESF #8 personnel. During surveillance, HHS monitors public health using field stu dies and investigations, monitors disease patterns and potential outbreaks, performs blood and blood product vigilance along with monitoring blood supply levels, and provides technical assistance and consultation on disease prevention. Immediate medical responses are handled by HHS’s internal assets. While most equipment and supplies are deployed from the Strategic National Stockpile (SNS), the Department of Defense (DOD) and the Veterans Affairs (VA) may also provide them to health care facilities in a disaster area.Should there be a need a veterinary supplies, assets may be requested from the National Veterinary Stockpile (2008, FEMA, p. 4-5). During an emergency situation, ESF #8 is charged with transporting those seriously ill or injured patients, and medical needs population to designated areas. They may request the assistance of the DOD, VA, or FEMA. When patients are not necessarily in a disaster area but still require evacuation assistance, ESF #8 provides personnel f or medical services through civil service staff, US Public Health Service Commissioned Corps, regional offices, and States. ESF #8 must ensure safety and security of drugs, biologics, and medical devices.Biologics, including blood, blood products, organs, and vaccines, must be monitored to ensure availability and safety. Federally regulated foods must meet safety and security requirements monitored by ESF #8 and ESF #11. This authority is extended to all domestic and imported foods except meat, poultry, and egg products. In addition, ESF #8 and ESF #11 must ensure the health and safety of food-producing animals(2008, FEMA, p. 5-6). Worker Safety and Health is led by the Department of Labor (DOL). ESF #8/HHS acts a support agency. ESF #8 may require assistance from regional offices in â€Å"assessing public health, medical, and veterinary medical effects resulting from all hazards†, (2008, FEMA, p. 6).This may include assessments on the general public and high-risk population groups, field investigations, providing advice on human and animal exposures, advice on indirect exposures such as food, water, and drug contamination, and â€Å"providing technical assistance and consultation on medical treatment, screening, and decontamination of injured or contaminated individuals†, (2008, FEMA, p. 6). Behavioral health care is handled by ESF #8 and partner organizations to assess mental health and substance abuse needs. This may include â€Å"emotional, psychological, psychological first aid, behavioral, or cognitive limitations requiring assistance or supervision†, (2008, FEMA, p. 7).ESF #8 provides public health, disease, and injury prevention information to the public in multiple languages and formations for those with limited English proficiency or learning disabilities. ESF #8 works with other partner organizations to assess and handle vector-borne disease threats. This includes research and investigation, equipment and supplies, and providing technical assistance and consultation. ESF #8 assists in potable water, wastewater, and solid waste disposal. This includes examining contaminated water for public health effects. ESF #8 works with partner organizations track and document human remains, including reducing hazards associated with contaminated remains.They may set up temporary morgue facilities, determine the cause of death, collect postmortem information, use scientific means to identify human remains, and provide technical assistance and consultation. They may request assistance from partner organizations to provide support to families of victims during the postmortem process (2008, FEMA, p. 7). ESF #8 works closely with ESF #11 to provide veterinary medical support. This may include caring for research animals when ESF #11 does not have the expertise. They must protect the health of livestock and companion services animals by ensuring safety of food and drugs administered (2008, FEMA, p. 8). ESF #8 requires many s upport agencies to be fully functional. The HHS works closely with the USDA for personnel, supplies, and equipment.They also assist with nutrition, outbreak control of animal disease, and food safety. The DOD performs many functions for ESF #8. They provide support for patient evacuation, logistical support to public health/medical response operations, personnel for casualty clearing, patient reception and tracking, personnel for protection of public health, emergency medical support, managing humaning remains, evaluation and risk management, and provide blood products (2008, FEMA, p. 10-11). The DHS helps with ESF #8 by providing communication support, offering transportation support if necessary, providing hazard predictions relating to atmospheric releases, and enforcing international quarantines.FEMA assists with mobilization centers, transport of resources, emergency food and water supplies, equipment and medical supplies, and transportation of patients considered too ill or in capable of general evacuation (2008, FEMA, p. 12-13). The HHS must ensure proper staffing to coordinate efforts for medical assistance to an affected area. They must support and assist State, tribal, and local communities in an emergency. Their primary duties include monitoring blood and blood supplies, forming liaisons for communications, coordinating patient evacuation, and working with the USDA to ensure food safety. REFERENCES Emergency Support Function #8 – Public Health and Medical Services Annex. Federal Emergency Management Agency. Retrieved from www. fema. gov/pdf/emergency/nrf/nrf-esf-08. pdf

Tuesday, October 22, 2019

Free Essays on History Of The Black U.S. Soldier

Throughout American history, Afro-Americans have had to decide whether they belonged in the United States or if they should go elsewhere. Slavery no doubtfully had a great impact upon their decisions. However, despite their troubles African Americans have made a grand contribution and a great impact on our armed forces since the Revolutionary War. The Afro-American has fought against its country's wars, and they have also fought the war within their country to gain the right to fight and freedom. America's first war, its war for independence from Great Britain was a great accomplishment. This achievement could not have been performed if not for the black soldiers in the armies. "The first American to shed blood in the revolution that freed America from British rule was Crispus Attucks, a Black seaman." (Mullen 9) Attucks along with four white men were killed in the Boston Massacre of March 5, 1770. Even though Attucks was a fugitive slave running from his master, he was still willing to fight against England along with other whites and give the ultimate sacrifice, his life, for freedom. This wasn't the only incident of Blacks giving it all during the War for Independence. From the first battles of Concord and Lexington in 1775, Black soldiers "took up arms against the mother country." (Mullen 11) Of the many Black men who fought in those battles, the most famous are Peter Salem, Cato Stedman, Cuff Whittemore, Cato Wood, Prince Estabrook, Caesar Ferritt, Samuel Craft, Lemuel Haynes, and Pomp Blackman. One of the most distinguished heroes o the Battle of Bunker Hill was Peter Salem who, according to some sources, fired the shot that killed Major John Pitcairn of the Royal Marines. But Peter Salem wasn't the only Black hero during the Revolutionary War. Another Black man, Salem Poor, also made a hero of himself at Bunker Hill. Because of his bravery at the ... Free Essays on History Of The Black U.S. Soldier Free Essays on History Of The Black U.S. Soldier Throughout American history, Afro-Americans have had to decide whether they belonged in the United States or if they should go elsewhere. Slavery no doubtfully had a great impact upon their decisions. However, despite their troubles African Americans have made a grand contribution and a great impact on our armed forces since the Revolutionary War. The Afro-American has fought against its country's wars, and they have also fought the war within their country to gain the right to fight and freedom. America's first war, its war for independence from Great Britain was a great accomplishment. This achievement could not have been performed if not for the black soldiers in the armies. "The first American to shed blood in the revolution that freed America from British rule was Crispus Attucks, a Black seaman." (Mullen 9) Attucks along with four white men were killed in the Boston Massacre of March 5, 1770. Even though Attucks was a fugitive slave running from his master, he was still willing to fight against England along with other whites and give the ultimate sacrifice, his life, for freedom. This wasn't the only incident of Blacks giving it all during the War for Independence. From the first battles of Concord and Lexington in 1775, Black soldiers "took up arms against the mother country." (Mullen 11) Of the many Black men who fought in those battles, the most famous are Peter Salem, Cato Stedman, Cuff Whittemore, Cato Wood, Prince Estabrook, Caesar Ferritt, Samuel Craft, Lemuel Haynes, and Pomp Blackman. One of the most distinguished heroes o the Battle of Bunker Hill was Peter Salem who, according to some sources, fired the shot that killed Major John Pitcairn of the Royal Marines. But Peter Salem wasn't the only Black hero during the Revolutionary War. Another Black man, Salem Poor, also made a hero of himself at Bunker Hill. Because of his bravery at the ...

Monday, October 21, 2019

Evolution of the Internet essays

Evolution of the Internet essays In 1957, after the Soviet Union launched Sputnik, President Dwight D. Eisenhower introduced the Advanced Research Projects Agency, or ARPA. Soon after, Dr. J.C.R. Licklider of MIT wrote the first recorded description of the social interactions that could be enabled through networking.1 This idea of networking was tossed around at MIT, UCLA, and at the RAND Corporation, which eventually led to ARPANET. Thanks to Lickliders expertise, he soon integrated ARPA from military use to private universities. From the early days back in the 60s, till the present, the Internet as we know it has been ever changing, ever since. Initially, the internet had only 4 nodes, or hosts. As of January 2002, there were 147, 344, 723 hosts.2 In 1991, Father of the Internet, Timothy Berners Lee, and other researchers at the European Laboratory for Particle Physics made it possible to connect content throughout these networks using hypertext links. Prior to the Web, local dial-up networks could be accessed for free which were known as bulletin boards, or in computer lingo, BBS. Area residents could now engage in chat, play games, post messages, and view very basic web pages with other local residents. Bulletin Boards are often mistaken as the Internet. Bulletin Boards were simply an early form of using a computers modem to dial-up other local bulletin boards. Much like the constant changing Internet, bulletin boards soon became forgotten history. From the early to mid nineties, the Internet has literally soared. In just June of 1993 there were merely 130 web sites; by 1994, there were 3,000. Presently, there are millions of web sites on the Internet. These web sites are categorized into domains based on the nature of their content. .com, .net, .edu, .mil, .org, and .int are the three level domains that are currently in use. We may soon se ...

Sunday, October 20, 2019

The Mail is Arriving Way too Late, Watchdog Reports

The Mail is Arriving Way too Late, Watchdog Reports Even by the U.S. Postal Service’s (USPS) own recently lowered standards, mail delivery has become unacceptably slow, according to a federal inspector general. In fact, the number of letters being delivered late has increased by 48% in the 6 months since January 1, 2015, USPS Inspector General (IG) Dave Williams noted in a Management Alert sent to the Postal Service on August 13, 2015. In his investigation, IG Williams found that, â€Å"Mail was not being processed timely throughout the country.† Why Is the Mail Slower? On January 1, 2015, the Postal Service, in yet another attempt to save money it doesn’t have, lowered its own mail delivery service standards basically allowing mail to be delivered over a longer period of time than before. For example, where 2-day delivery of First-Class mail had been required before, 3-day delivery is now the acceptable standard. Or, â€Å"slow† is the new â€Å"normal.†Ã‚   [ Postal Services Losses by Year ] The move also paved the way for the Postal Service to go ahead with the closure of some 82 mail sorting and handling facilities across the nation, an action 50 U.S. Senators had recommended against. â€Å"The impacts on customer service and employees have been considerable,† Williams wrote of the lowered delivery standards and facility closures. The IG also noted that the delays had been â€Å"compounded† by two other factors: winter storms and employee scheduling issues. â€Å"Postal Service management stated a large number of winter storms disrupted service from January through March 2015, particularly for mail requiring air transportation,† wrote the IG. â€Å"Additionally, winter storms shut down highways on the East Coast and closed a contractor’s hub in Memphis, TN, delaying mail across the country.† As a result of the reduced delivery standards and facility closures, over 5,000 postal workers were assigned new job duties and were forced to change from working night to day shifts. This required staffing realignments and training of mail processing employees on new jobs, creating an inefficient workplace, according to the IG. How Slow is the Mail Now? IG Williams’ investigation showed that letters classified and paid for as 2-day mail took at least three days to arrive from 6% to 15% of the time from January to June in 2015, a service decline of almost 7% from the same period in 2014.   Five-day mail got even slower, arriving in six days or longer from 18% to 44% of the time for 38% service decline since 2014. Overall, during the first six months of 2015, 494 million pieces of mail failed to meet delivery time standards, a late delivery rate 48% higher than in 2014, investigators concluded. [ Door to Door Postal Services Might Be a Thing of the Past ] Remember when local First-Class letters were usually delivered the next day? Well, the Postal Service eliminated that service in January 2015 in preparation for its mail-handling facility closures. For all classes of mail, the new â€Å"relaxed† delivery standards have allowed the Postal Service one extra day to deliver as much as 50% of all mail traveling outside the Zip Code in which it was mailed, according to the IG’s report. Despite the predicted, but highly unlikely demise of â€Å"snail mail,† Postal Service statistics, show that the USPS handled 63.3 billion pieces of First-Class mail in 2014. Of course, that was 34.5 billion fewer pieces of mail than the 98.1 billion letters handled in 2005. In 2014, a focus group representing a cross-section of postal customer, told Postal Officials they would be willing to accept lowered delivery standards if it meant saving the Postal Service. Be careful what you ask for. What the Inspector General Recommended While noting that mail delivery times had improved recently, IG Williams warned that the level of service is still not where it was during the same period last year. To deal with the issue, IG Williams recommended the Postal Service put its plans for a second round of mail handling facility closures and consolidations on hold until it had corrected its staffing, training and transportation problems related to the lowered delivery standards. [ Back When You Could Mail a Baby ] Postal Service officials disagreed with the IG’s recommendation to put the facility closures on hold until delivery problems are solved. In May 2015, Postmaster General Megan J. Brennan put a temporary hold on further facility closures, but did not indicate when or under what conditions they would resume.

Saturday, October 19, 2019

Natural disasters Essay Example | Topics and Well Written Essays - 1250 words

Natural disasters - Essay Example In the light of this, we shall assess the discrepancies in heads like frequency of these various disasters in two regions of the US, Los Angeles and Oklahoma City and deaths caused by these disasters. Moreover we shall look upon the measures taken by the respective governments for the natural disasters and how it differs. Comparison of rehabilitation process and Insurance coverage aftermath of these disasters in these regions shall also be discussed. The Northridge earthquake occurred on January 17, 1994 at 4:31 AM Pacific Standard Time in the city of Los Angeles, California. The earthquake had a magnitude of 6.7, but the ground acceleration was the highest ever instrumentally recorded in an urban area in North America.(1) Seventy-two people died as a result of the earthquake and over 11,000 were injured. In addition, the earthquake caused an estimated $12.5 billion in damage, making it one of the costliest natural disasters in U.S. history. An earthquake emerged in Sylmar, a surrounding region of Los Angeles and hit the Greater Los Angeles and California caused the fatalities of 67 and overall damage of $ 5, 000, 00,000.(2) About a dozen earthquakes have been felt in Oklahoma City. ... The most notable and largest of these occurred on 1952 April 09. This earthquake was centered between El Reno and Minco in Canadian Co.Its magnitude was 5.50. Moreover an earthquake of a ----------------------------------------------------------------------------------------------------------- 1. Northridge Earthquake Southern California Earthquake Data Center, October 6, 2006 2. abc7. com Anniversary of Deadly Northridge Quake.. 2007-07-08. 2 magnitude 2.2 was felt in scattered locations in Oklahoma City and Edmond and surrounding area. Oklahoma City has faced another earthquake (Oklahoma Earthquake) on 16 December 2001 whose origin time was 08:21:42 UTC/GMT and Latitude and Longitude were 35.643degrees N, 95.571degrees W respectively had its depth 5.0 km. and its magnitude was 2.2 m3HZ (3) Tornado Okalahoma city It's generally defined as the area of the United States in which tornadoes are most frequent. When high frequency of strong and violent tornadoes (F2 or stronger on the Fujita scale) and relative consistency of the season from year to year are used as criteria, tornado alley would include northern Texas, most of Oklahoma, Kansas and Nebraska, as well as eastern portions of Colorado and South Dakota.The tornadoes that hit Oklahoma City and the surrounding area on May 3, 1999, had the fastest winds ever recorded on the planet: 318 miles per hour. The number of people who died from this disaster, were 44.The overall damage was $1, 500, 000,000.(4) Los Angeles With 42 tornadoes, Los Angeles County ranks as the tornado capital of the state, five of which was ranked as

Friday, October 18, 2019

Landowner Responsibility in a Sharecropping Agreement Essay

Landowner Responsibility in a Sharecropping Agreement - Essay Example However, modern farming techniques, market forces, and variables that arise on an individual basis have added new dimensions to this age-old practice. Chemicals, fertilizers, pest control, and grain handling all need to be carefully considered. Who will stand the expense Who will maintain responsibility for management decisions For the landowner, these are important questions that need to be answered and agreed upon before entering into a 50/50 agreement with a tenant farmer. The primary responsibility of the landowner is to provide the land necessary to produce a crop. Cropsharing is used in the Midwest United States primarily for small grains such as corn and soybeans where the grains are rotated to maintain soil quality and reduce the threat of pests (Sadoulet, de Janvry and Fukui, 1997). In these cases, the landowner provides the land and the tenant provides the necessary equipment and labor needed to plant, care for, and properly maintain the fields of grain. Along with the land that the landowner provides, it is usually assumed that the owner has the responsibility to provide the tenant with unlimited access to the land as seen necessary by the tenant. The provision of the land, and access, is only the most basic responsibility that the landowner has. ... The most common complaint aired by landowners in a sharecropping arrangement is that the tenant does not involve the landowner in the ongoing process and fails to update the owner on the ongoing operation of the farm. Likewise, the major complaint from tenants is that the owner fails to involve themselves in the ongoing responsibility of making management decisions. The owner has the responsibility to himself, as well as the tenant farmer, to be pro-active in reaching out and continuing a dialogue. It is vital that the landowner spells out the exact terms and conditions of the agreement and attempt to foresee any problems or unexpected situations that may arise. The best and most binding agreements are done in writing. Although laws vary from state to state, oral agreements are usually only valid for a limited amount of time and often there is a conflict about what was originally said should a disagreement arise. Yet, with all the vulnerabilities that an oral agreement subjects the landowner to, a recent study at the University of Missouri showed that fewer than 35% of all sharecropping agreements are done in writing (Sadoulet et al., 1997). In a setting where trust has always been held in high esteem, it is sometimes awkward to initiate a written agreement. Landowners who are used to doing a deal on no more than a handshake should carefully consider all aspects of their responsibility and assure that it is fully understood by the tenant farmer. One aspect of the agreement is the responsibility for fertilizing the crop. In today's market, some farmers believe their land is more valuable than the machinery and labor provided by the tenant and insist on a yield ratio higher than 50/50. The landowner may be tempted to shift some of the operation's expenses to

ACC403, Principles of Accounting Mod 4 Case Assignment Essay

ACC403, Principles of Accounting Mod 4 Case Assignment - Essay Example The existing cost allocation uses factors which identify the portion of costs for each multi-purpose facility that are specific to individual purposes (separable factors) and the proportional allocation of remaining joint costs among multiple purposes (joint factors). c. COE-Transferred Facilities – These include facilities that were constructed by the COE and transferred to Reclamation for operational and financial integration with the CVP. They appear in Schedule No.1 of the CVP financial statement. d. Non - Reimbursable Costs – The plant-in facilities include components directly set aside to a non-reimbursable category pursuant to Congressional legislation. In the CVP allocation these component costs are directly assigned to the appropriate category and are removed from the allocation base. f. State Share of San Luis Unit - In the allocation of CVP costs, the State share of the construction costs of joint-use facilities is directly assigned to the State and removed from the allocation base. The above said approach seems to be good. This is because the costs are identified and allocated separately. After completing the adjustments the remaining costs represent the total capital investment to be allocated among the authorized project purposes of the CVP. For single-purpose facilities, costs are allocated in total to the purpose served. Cost allocations can be made both within and across time periods. If two or more cost objects share a common facility or program, the cost pool of the shared unit is a common cost to the users and must be divided or allocated to them. Bases of allocation typically are based on one of the following criteria: cause-and-effect, benefits derived, fairness, or ability to bear. The selection of a criterion can affect the selection of a basis (Answers.com). Some cost information is reported to external users such as shareholders and creditors in

CASE STUDY Essay Example | Topics and Well Written Essays - 750 words

CASE STUDY - Essay Example m to 199 ?m). Between 1999 and 2000, the profits before tax decreased slightly from 421 ?m to 360 ?m although there has been no change in the same. But the profits before tax payments has decreased considerably for the company between 2000 and 2001, from a profit of 360 ?m to a loss of 534 ?m. Further, during the same five year period, the company’s investment in infrastructure almost doubled from 4,625 ?m to 8,841 ?m, its credit value increased almost 3 times from 420 ?m to 1,356 ?m but its provisions almost halved and its debt increasing by almost 7 times from 522 ?m to 3,480 ?m in the same period. These values and trends indeed represent a complex economy as it can be seen that in addition to the company’s sliding profitability at the end of the five year period, the regulatory constraints too seem to have taken a toll on its profitability, in turn affecting its provisions and its capability to invest in future by banking on its capital market. Lack of effective stra tegies to tackle the changing market environment in terms of capital, infrastructure, innovation, operations, etc. have also affected the company’s profitability in the long run. ... In 2001 the company made a loss but the dividend was paid. Why should the company feel it necessary to make such a payment? The company has maintained a dividend payment of 26.9 p through 2001 from 2000 although it made a loss of 534 ?m during the same period. First, the decision of the board to pay the dividend was to keep both its stakeholders and shareholders happy as this could help the company become more competitive in the market place while still attracting capital in spite of its poor performance in the recently concluded year. Also, considering it to be the end of the first five year control period, the company needs to cater to the interests of its shareholders as much as there is a need to attract passengers and freight to sustain in the long run. And with the company running short on investment and poor performance leading to more regulatory constraints and lesser competitiveness, the company runs the risk of alienating its investors in the second five year control period . Also, the company needs to attract more capital to be able to improve its assets, performance, and rail network maintenance, foster innovation and competitiveness among its franchisees and sustain the positive trend in the passenger and freight incomes. Giving a dividend of 26.9 p is also necessary to project a positive impression and a sense of control among its shareholders as well as its other stakeholders particularly after the fatal accidents in 1997, 1999 and 2000. In spite of the under investment, poor performance and the lack of effective strategies, the company still required to pull on into the next control period as the agreed government grants and the ?2 billionn facility loan availability give it scope to adjust its debt record and improve its

Thursday, October 17, 2019

Microbial Physiology Essay Example | Topics and Well Written Essays - 500 words

Microbial Physiology - Essay Example This lag phase needed for organism to switch over to new carbon source (lactose). Utilization of glucose and lactose is tightly regulated at gene level. All the genes which are necessary for lactose utilization are arranged in sequence called Lac operon which is regulated by catabolic repression. The following events happen during overall process. -High level of glucose leads to higher energy production and hence higher ATP and lower AMP. In this scenario there is no free cAMP which binds with CAP( activator protein which facilitates RNA polymerase binding to promoter of Lac operon)and hence there is no expression of the downstream genes. -In case of lactose, there is high level of cAMP which binds with CAP and induces the expression of Lac operon. Similarly allolactose binds to repressor protein and inhibits its binding to operator site leads to expression of lac operon. b) Here if we closely look at the data and compare the viable count of aerobic culture it indicates reduction of 1.3X105 cfu/ml when bottle heated at 80C for 10 min. Similarly, for untreated bottle anaerobic viable count is 1.22X105 cfu/ml and if heating have similar effect than there will be complete killing of anaerobic bacteria and we will not get any viable count.

Transport and Logistics Case Study Example | Topics and Well Written Essays - 3000 words

Transport and Logistics - Case Study Example Basically the Greeks defined logistics as "the science of Correct reasoning by means of mathematics". The first modern use of the term was in military to identify the process of planning and coordinating the movement of army and weapon support systems. Good logistics brings out the ability to move faster and accurately to the battlefront. If one applies to the same to the business organization, it is one's ability to reach the product to the consumer at the right time, right place, and right quantity and at lowest cost. With the increasing competition in the market place, managements starts focusing on customer services in the early 1950's in the developed markets such as Europe and the U.S. In the late 1960's some of the logistics concepts were tested. Following oil crises is 1976 and the concepts of Just-in-time (JIT) in manufacturing. Customer servicing standards were given more importance and new integrated logistics models and solutions were born. The emergence of organized distribution system by departmental stores and super fast courier services, organizations gave a boost to logistics concepts and strategies. Today all businesses are looking for seamless transaction systems to coordinate their information and material requirements along with the value chain. Michel Porter in his famous book "Competitive advantage" has spoken of the value chain approach and emphasized logistics as one of the most important tools for competitive advantage. The various process and elements that are part of logistics as a discipline are: 1. Inbound logistics: Purchasing, inbound transportation, inventory management. 2. Manufacturing: Production, planning systems, Machine scheduling system 3. Outbound logistics: Order booking processes, Distribution management, outbound Transportation and warehousing management systems. Logistics is key to success in new millennium and going through visible changes nowadays. Various new concepts and applications are taking place in all parts of the world and tried by various organizations. Almost everyone agrees that companies must functions in a global market place, there is far less agreement on how this context translate when it comes to managing the supply chain. Although companies may think globally in scope, when it comes down to actual tactical operations there's a lot of local blending going on. There are certain elements that are required to manage any supply chain regardless of whether it's domestic or global. Things like visibility, technology and flexibility are basic ingredients that need to be incorporated seamlessly in order for the efficient supply chain Management. Now here we compare and contrast between North America and India because India is a growing market and becoming one of the fastest growing economics .The concept of logistics in North America is one of the well known concept by any standard. North American trade market in one of the largest blocks in the world. India's logistics market is approximately around $15 billion, which is less than 0.5% of the total North America logistics markets. The volume of logistics market itself shows that North America logistics market is approaching towards higher side whereas Indian logistics market

Wednesday, October 16, 2019

Microbial Physiology Essay Example | Topics and Well Written Essays - 500 words

Microbial Physiology - Essay Example This lag phase needed for organism to switch over to new carbon source (lactose). Utilization of glucose and lactose is tightly regulated at gene level. All the genes which are necessary for lactose utilization are arranged in sequence called Lac operon which is regulated by catabolic repression. The following events happen during overall process. -High level of glucose leads to higher energy production and hence higher ATP and lower AMP. In this scenario there is no free cAMP which binds with CAP( activator protein which facilitates RNA polymerase binding to promoter of Lac operon)and hence there is no expression of the downstream genes. -In case of lactose, there is high level of cAMP which binds with CAP and induces the expression of Lac operon. Similarly allolactose binds to repressor protein and inhibits its binding to operator site leads to expression of lac operon. b) Here if we closely look at the data and compare the viable count of aerobic culture it indicates reduction of 1.3X105 cfu/ml when bottle heated at 80C for 10 min. Similarly, for untreated bottle anaerobic viable count is 1.22X105 cfu/ml and if heating have similar effect than there will be complete killing of anaerobic bacteria and we will not get any viable count.

Tuesday, October 15, 2019

Usability evaluation of the website Essay Example | Topics and Well Written Essays - 2500 words

Usability evaluation of the website - Essay Example E-commerce websites are designed to offer products/services to interested clients. Nonetheless, ease or difficulty with which clients interact with the e-commerce applications is pivotal to their failure or success. Conventionally, any website must not just be designed to sell or convey information but must go beyond to ensure the needs of the would-be web visitors are adequately met. E-commerce has undergone extensive and remarkable growth in the recent past to supersede human expectations. Today, e-commerce is the largest form of business operation, communication, as well as R & D. Increased acceptance of internet and the move towards globalization as also affected e-commerce trends to a large extent. As a matter of fact, e-commerce marketing and sales have come to occupy a central point in the global economy. 2013 global e-commerce rates have reflected a significant shift in the manner people manage their businesses. The great internet potential has seen many corporations come up with new ways to avail products and services to consumers. In general, global e-commerce trends of 2013 have seen more focus on more personal websites to make shopping more mobile and increase channels. Additionally, global e-commerce 2013 trends reveal that additions to online businesses has raised traffic ratio for store fronts and further boosted online leads/sales. E-commerce websites further offer a platform through which business can globalize their brands and products/services they offer. Overall Problem As already mentioned, http://www.carphonewarehouse.com provides a platform for consumers to purchase electronics and subscriptions for data, voice and messaging services. The paper seeks to assess the website usability issues. General information shared by consumers online with retailers help in application personalization. All factors including age, lifestyle, contacts, friends and family, geography and social status are included during the personalization and play a helpful role in offering relevant and valuable shopping experience for consumers. Global e-commerce trends include the adoption of real time and personalized facilities for everyone who approaches the online market across the globe. Personalization has never been a new concept in this case, but the increasing popularity of personalization shows it is the most widely accepted trend in the global e-commerce 2013 values. Businesses and enterprises – big or small have made it easy and simple for the masses to obtain a personalized, simplified or complex technology in the sectors such as finance, travel, media and many more. The other global e-commerce trend includes incorporating mobility among the online sh oppers. Making your website mobile friendly or developing an application for an android or an iPhone shall no longer be enough. The year 2013 has further opened up avenues to offer advanced facilities. Consumers who have turned entirely towards mobile phone and tablets want newer and better shopping experience with geo-specific or ‘multi-lingual’ content. They expect special offers, various other platform-specific elements and much more to harmonize and add to overall life style of the consumers. The global e-commerce 2013 scenario has witnessed an even higher increase in online consumers, than what it saw when the first Apple product was launched in the global market. Current website interaction and arising usability issues The website is an e-commerce website and is meant to provide visitors

Monday, October 14, 2019

Causes of the US National Debt

Causes of the US National Debt How big is the US National Debt and history? By definition, the amount of money owed by the federal government to creditors is referred to as the US National Debt. The National debt is categorized into two; public debts and government. Government debts are always on the rise due to the increase in government spending and expenditure, unpaid credits by debtors, decreased taxes among others (Zezza, 2014). The US National Debt has a historical increment due to the rise in debt as a share of the GDP during the recession periods and times of war. A combination of inflation and growth of GDP results in decreased national debt. The national debt of the US, for instance, increased after the World War II to 113 % in the year 1945 (Zezza, 2014). However, this figure later went down in the subsequent thirty-five years. In the past few decades, there have been concerns of how sustainable the fiscal policies of the US National government are based on the rise in costs of medication and the growing number of old people in the US population ( Zezza, 2014). According to Sakbani (2013), the public debt of the US was at $ 14.3 trillion of the overall GDP while the inter-governmental debts were $5.4 trillion. This totals to about 10.6% of the 2015 GDP. Sakbani (2013) further notes that more than 45 % of the US national debt in 2016 was by foreign investors with Japan and China in the lead. Precisely, an analysis of the US national debt reveals that the debt has had a constructive decline since the year 1789 apart from between 1835 and 1836 (Chorafas, 2014). The debt was at the highest level during the first term presidency of Harry Truman which was during and after the Second World War.   After the second world war, there was a notable fall in the national debt in the US. The US national debt was at its lowest point in 1974 under the leadership of Richard Nixon (Sakbani, 2013). However, after 1974, the national debt started appreciating and this has been the trend since then. But it stagnated during Bill Clinton and Jimmy Carter’s presidency. In the 1980s there was a tremendous increase in national debt due to Ronald Reagans decision to lower taxes and increase military expenditures. However, in the 1990s the debt went down when a reverse of the 1980s was implemented; increased taxes, and lower military spending. Chorafas (2014) highlights that due to the fina ncial crisis between 2007 and 2008 the public debt went extremely high. There seems to be a surge in national debt during the GW Bush and Obama administrations. Why? There was a considerable rise in national debt between the presidency of George Bush and that of Barrack Obama. This was from $ 5.768 trillion when Bush left office to $ 14.071 trillion 735 days after Obama took office (Skidmore, 2011). This means that the recording of Bush’s national debt was wrong. This is because in his term as the president there was a rise of $ 607 billion yearly hence the overall figure could not be $ 5.768 trillion as indicated in the Treasury records. Skidmore (2011) further explains that during Obama’s era the national debt considerably went high by an average of $ 1.723 trillion yearly. This saw the figure go way up above the debt during Bush’s presidency. However, it is not possible to hold Obama responsible for this increase in debt. This is because the figures flow from the 2009’s budget which Obama never signed. This means that if the right account to Obamas accounts are to be analyzed this should trail down from the fiscal year 2010 and 2011 (Sakbani, 2013). In addition to a sum of $ 225 trillion that was included in the 2009 budget under his signature. A close comparison of Obama’s and Bush’s spending and deficit reveal that Bush was way far than Obama based on managing of the national debt. This argument can be supported by; Bush operated a total budget of 3.283 trillion in deficit spending for his eight fiscal years in office. On the other hand, Obama operated at a spending deficit of $ 2.826 trillion within his first two years in office. This means that while Bush operated at a deficit of $410 billion per annum, Obama operates at more than $1.4 trillion per annum, giving a difference of more than 1 trillion between the two reigns. This analysis explains the current surge between Obamas presidency and Bushs presidency regarding deficit spending. What are the consequences of a large national debt? Is it going to hamper the economic growth as some have claimed? Based on an economic perspective, large national debt affects the economic growth negatively. It is almost impossible for a government or country rather to sustaining a large and growing national debt. Some of the effects come from the side of investors who begin doubting the possibility of the federal government to continue servicing the economy and government spending (Boubekar et al., 2016). There are three major effects of large national debts on a country’s economic growth. First, large debt draws money away from national investments which would earn then government some revenues. This is due to lack of enough money for the government to service effective investments. This would mean that the government is heavily spending, but there are minimal or no revenues being generated hence lack of capital to be reinvested. There will be no growth in the country’s economy. Secondly, large debts negatively influence taxation and spending by the government. This is because when the country is suffering from high national debts, all the attention are focused on what the government can do to continue sustaining itself. This is where the government adjusts. As Boubaker et al. (2016) put it when taxation is high workers and investors are negatively affected by tax increment and can be left with little or no money to reinvest. Also, the tax increment leads to economic downturn from the side of the policymakers and investors. Policymakers find it challenging designing policies on tax spending in an environment where there is an extremely high national debt. The economic growth is normally hard in such a situation based on the fact that there are no sufficient funds to fund any new challenges that arise along the policy-making and policy implementation processes. Is it possible for the US to default on its debt in future? Explain The United States does not have any record of ever defaulting on national debt. If this ever happens the results can be unimaginable. However, there have been cases when the House Republicans have resisted raising the house ceilings urging the Congress house to cut on spending first (Johnson, 2000). It means that there are possibilities of the US failing to honor their national debt shortly. Precisely, the US can default their national debt in two main ways; failure of the Congress to raise the debt ceiling, and is the Government decides that the interests they are charged are way too high and resolve to not paying interests on bond, notes, and Treasury bills. In the first case scenario, failure by the Congress to raise the debt ceiling would mean high interests rate on Treasuries, hence high costs on the consumer loan, mortgages, and other such services (Johnson, 2000).This will then lead to decline in the value of a dollar and finally inability of the government to pay salaries and benefits to their civil servants and retirees. On the other hand, in the second scenario, there would be a disaster as the value of treasuries in all the government’s secondary markets would stagnate or go down hence Treasuries would be sold at discounted prices (Cline, 2013). The government would find it hard to auction their treasuries hence making it hard for them to borrow money and pay bills. The default of US national debt would be extremely disastrous owing to the confidence most investors have on the US markets. Why the Nobel winning economist Paul Krugman is not as alarmed as many others are concerning the high level of US National debt? It is important to note that the overall national debt is usually a combination of all loans acquired by the federal government from various creditors to finance a deficit budget. In taking and utilizing loans, the government usually has a focus on increasing their tax rates for them to finance their current government spending (Zezza, 2014). Paul Kraugman can be said to be less alarmed on the high level of the US national debt due to his argument that there is no need for investors or anybody else to worry about the level of the impeding national debt of the US. In his argument, Kraugman makes several assumptions. Unlike others, Krugman argues that in as much as debt matters there are other things that matter most and that the government needs to spend more to get the US citizens out of the current unemployment trap (Zezza, 2014). This shows that he had no idea what harm the current high national debt has caused the US and the impacts a further increase in government spending will cause the US. References Boubaker, S., Rouatbi, W., & Saffar, W. (2016). The Role of multiple large shareholders in the choice of debt source. Financial Management, 46(1), 241-387. Doi: 10. 1111/fima. 12148 Chorafas, D. N. (2014). Kingdoms of Debt Public Debt Dynamics of Europe and the US, 24-32. DOI: 10. 1016/b978-0-12-420021-0.00002-6 Cline, W. R. (2013). The multiplier, sovereign default Risk, and the US budget: An overview. Public Debt, Global Governance and Economics Dynamism, 276-29. Doi: 10.1007/978-88-470-5331-1-3 Johnson, K. (2000). National Missile Defense 2015: An Unintended Consequence. Doi. 10. 21236/ada432647 Sakbani, M. N. (2013). The Dual Debt Problem in the US and in Europe. International Debt. Doi: 10. 1057/9781137030573.0007 Skidmore, D. N. (2011). The Obama Presidency and the US Foreign Policy: Where is the Multilateralism? International Studies Perspectives, 13(1), 46-53. Doi: 10.1111/mj. 1528-3585.2011.00454.x Zezza, G. (2014). Fiscal and Debt Policies for Sustainable US Growth. Fiscal and Debt Policies for the Future. Doi: 10. 1057/9781137269539.0012

Sunday, October 13, 2019

Relational Aggression :: essays research papers fc

Relational Aggression   Ã‚  Ã‚  Ã‚  Ã‚  A high school student cried as she recounted being tormented in middle school by her classmates. For some reason she was targeted as a â€Å"dog,† and day after day she had to walk the halls with kids barking at her. How did it stop? The girl said she stopped it. But how? She picked out another girl, someone worse off than herself, and started to call her dog. Then the others forgot about her. Then they barked at the other girl instead. Girls may be made of sugar and spice and everything nice, but on the inside, they are just plain mean. â€Å"Girls tease, insult, threaten, gossip maliciously, and play cruel games with their friends’ feelings and set up exclusive cliques and hierarchies in high schools.† (Omaha World Herald, 10A).   Ã‚  Ã‚  Ã‚  Ã‚  Relational aggression is a fairly new development, which involves adolescent girls and their emotions. To understand this newly found term, one must start from the core word â€Å"aggression.† After understanding the forms of aggression, one can slowly begin to understand relational aggression. Aggression is defined as behavior that is intended to harm others. Aggression can take many forms including physical violence, date violence, and criminal violence. Most have related aggression with the male physical violence or â€Å"beating up.† Most females have low or do not show any form of aggression; therefore, most people believe women to be the lesser aggressive sex. It is true that males are proven to be more aggressive than females, but not by far. This is depending on which form of aggression is being studied.   Ã‚  Ã‚  Ã‚  Ã‚  So why are girls so â€Å"aggressive?† Nicki Crick, PhD, a researcher at the University of Minnesota says: â€Å"Physical aggression isn’t very accepted for girls, so they turn to manipulation and emotional threats as weapons† (Murray, par 3). â€Å"In recent research, it indicates that gender differences in aggression disappears when the definition of aggression is broadened to include aggressive acts in whish the victim’s personal relationships are manipulated of damaged-- that is, relational aggression† (Miller, 145).   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"Relational aggression is defined as behaviors that harm others by damaging (or threatening to damage) or manipulating one’s relationship with his/her peers, or by injuring one’s feelings of social acceptance.† (Ophelia Project, â€Å"Issues† par 3). This type of aggression is mainly directed toward the emotions rather than physical behavior. Some examples of relational aggression include: Purposefully ignoring someone when one is angry with the other (i.

Saturday, October 12, 2019

Educational Equity :: essays research papers

Develop an argument on or some ideas of understanding about curriculum as multicultural text by relating the works of Darling-Hammond, French, & Garcia-Lopez, Delpit, Duarte & Smith, Greene, Nieto and Sletter to your experience of curriculum, teaching, and learning as affirming diversity. You could think specifically about the following questions: Is there a need for diversity in curriculum studies and designs? Why? What measures do you think will be effective in incorporating such a need into curriculum studies and designs? What is the relevance of diversity to your career goal, to education in your family, community, and school, to education in Georgia, and to education in general? In which way can you develop a curriculum which helps cultivate empathy, compassion, passion, and hope for citizens of the world, and which fosters social justice? â€Å"We hold these truths to be self-evident, that all men are created equal†¦Ã¢â‚¬  (Declaration of Independence,1776) This quote is symbolic of the expressed opinions and ideology of the founding fathers of America. History, especially the history of the American educational system, paints a contradictory portrait. Idealistic visions of equity and cultural integration are constantly bantered about; however, they are rarely implemented and materialized. All men are indeed created equal, but not all men are treated equally. For years, educators and society as a whole have performed a great disservice to minorities in the public school sector. If each student is of equal value, worth, and merit, then each student should have equal access and exposure to culturally reflective learning opportunities. In the past, minorities have had a muted voice because of the attitude of the majority. Maxine Greene summarizes a scene from E.L. Doctorow’s Ragtime, after which she poses questions that many minorities have no doubt asked silently or loud. â€Å"Why is he unseen? Why were there no Negroes, no immig rants? More than likely because of the condition of the minds of those in power, minds that bestowed upon many others the same invisibility that Ellison’s narrator encounters† (Greene,1995, p. 159). Multicultural education is needed because it seeks to eradicate â€Å"invisibility† and give voice, power, and validation to the contributions and achievements of people with varied hues, backgrounds, and experiences. Multicultural education is a process of comprehensive school reform and basic education for all students. It challenges and rejects racism and other forms of discrimination in schools and society and accepts and affirms pluralism (ethnic, racial, linguistic, religious, economic, and gender, among others) that students, their communities, and teachers reflect (Nieto, 2000).

Friday, October 11, 2019

Gitanjali: Rabindranath Tagore Essay

Gitanjali is a collection of 103 Bengali poems which were translated to several languages like in English, and other European languages. The meaning of the term explains the nature of the book. Gitanjali, the term comes the merger of two words ‘git’ and ‘anjali’, ‘git’ means song and ‘anjali’ means offering. Therefore, it means ‘Songs of Offerings’. Gitanjali is a book to feel and cherish, the greatest book of a great writer. Tagore wrote poems for various moods, be it love ,devotion, stories, sorrow, joy even realism. Rabindranath Tagore has provided Western culture with strong example of Eastern Philosophy in both prose and poetry. Tagore had written his Gitanjali (song offerings) in Bengali, and after he learned from William Rothenstein of Western interest in them, he translated them into English. Chiefly for this volume, Tagore was awarded the Nobel Prize for Literature in 1913, the same year that Macmillan brought out a hard-cover copy of his prose translations of Gitanjali. This poem shows the charm of humbleness: it is a prayer to help the poet open his heart to the Divine Beloved without extraneous words or gestures. A vain poet would produce vain poetry, so this poet wants to be open to the simple humility of truth that only the Divine Beloved can afford him. As Yeats says, these songs grow out of culture in which art and religion are the same, so it is not surprising that we find our offerer of songs speaking to God in song after song, as is the case in #7. And the last line in song #7 is a subtle–or perhaps not so subtle–allusion to Bhagavan Krishna. According the Paramahansa Yogananda, â€Å"Krishna is shown in Hindu art with a flute; on it he plays the enrapturing song that recalls to their true home the human souls wandering in delusion. † W. B. Yeats, in the introduction to Tagore’s Gitanjali, writes that this volume has â€Å"stirred my blood as nothing has for years . . . .† He explains, â€Å"These lyrics . . . display in their thought a world I have dreamed of all my life long. † Then Yeats describes the Indian culture that he feels is responsible for producing this remarkable work: â€Å"The work of a supreme culture, they yet appear as much the growth of the common soil as the grass and the rushes. A tradition, where poetry and religion are the same thing, has passed through the centuries, gathering from learned and unlearned metaphor and emotion, and carried back again to the multitude the thought of the scholar and of the noble. † He contrasts the art of his own culture: â€Å"If our life was not a continual warfare, we would not have taste, we would not know what is good, we would not find hearers and readers. Four-fifths of our energy is spent in this quarrel with bad taste, whether in our own minds or in the minds of others. † Yeats might seem harsh in his assessment of his own culture’s motivation to art, but, no doubt, he has correctly identified the mood of his era. Yeats having been born of Western culture, his birth dates are famous as the markers of two horrendous Western wars 1865 and 1939. So his rough estimate of the artists being motivated by warfare is quite understandable. On the other hand, his assessment of Tagore’s achievement is accurate. As Yeats tells us, Tagore’s songs are not only respected and admired by the scholarly class, but also they are sung in the fields by peasants. Yeats would never have expected his own poetry to be accept by such a wide spectrum of the population. My favorite Gitanjali poem (song offering) is #7: My song has put off her adornments. She has no pride of dress and decoration. Ornaments would mar our union. They would come between thee and me. Their jingling would drown thy whispers. My poet’s vanity dies in shame before thy sight. O Master Poet, I have sat down at thy feet. Only let me make my life simple and straight like a flute of reed for thee to fill with music. Gitanjali poem #7: My song has put off her adornments. She has no pride of dress and decoration. Ornaments would mar our union. They would come between thee and me. Their jingling would drown thy whispers. My poet’s vanity dies in shame before thy sight. O Master Poet, I have sat down at thy feet. Only let me make my life simple and straight like a flute of reed for thee to fill with music. These words are metaphysical yet have a beautiful message hidden. A message that is subtle yet clear. It says that love is liberated from all the social constraints†¦ pure feelings. It is a free bird just in need of communion. Human love and celestial love are brought parallel†¦ like Jayadeva does in his GeetGovind. Vaishnavs like Jayadeva derived inspiration from Lord Vishnu and his most admired avatar, Krishna. But, Tagore saw elements of similarity between human and celestial love in the Baul community of Bengal and translated them into his poetry. I feel that literature like this binds the whole country into one, highlighting pure emotions like love. The universal yet multiple culture of our country is displayed in this beautiful string of songs as one, the universality lying in emotions and the multiplicity in the many types of cultures. This string is not that of pearls or stones but of love and one that brings us closer to divine. Tagore, like Chaucer’s forerunners, writes music for his words, and one understands at every moment that he is so abundant, so spontaneous, so daring in his passion, so full of surprise, because he is doing something which has never seemed strange, unnatural, or in need of defence. These verses will not lie in little well-printed books upon ladies’ tables, who turn the pages with indolent hands that they may sigh over a life without meaning, which is yet all they can know of life, or be carried by students at the university to be laid aside when the work of life begins, but, as the generations pass, travellers will hum them on the highway and men rowing upon the rivers. Lovers, while they await one another, shall find, in murmuring them, this love of God a magic gulf wherein their own more bitter passion may bathe and renew its youth. At every moment the heart of this poet flows outward to these without derogation or condescension, for it has known that they will understand; and it has filled itself with the circumstance of their lives. The traveller in the read-brown clothes that he wears that dust may not show upon him, the girl searching in her bed for the petals fallen from the wreath of her royal lover, the servant or the bride awaiting the master’s home-coming in the empty house, are images of the heart turning to God. Flowers and rivers, the blowing of conch shells, the heavy rain of the Indian July, or the moods of that heart in union or in separation; and a man sitting in a boat upon a river playing lute, like one of those figures full of mysterious meaning in a Chinese picture, is God Himself. A whole people, a whole civilization, immeasurably strange to us, seems to have been taken up into this imagination; and yet we are not moved because of its strangeness, but because we have met our own image, as though we had walked in Rossetti’s willow wood, or heard, perhaps for the first time in literature, our voice as in a dream. REFERENCE: 1. Rabindranath Tagore. Gitanjali. Electronic text center. University of Virginia .

Thursday, October 10, 2019

The Exorcism of Emily Rose Essay

Although demonic possession is not an appealing subject, The Exorcism of Emily Rose, directed by Scott Derrickson, presents many Catholic teachings and is important to watch and understand the reality of the Devil. This movie, in depth, shows the true evilness of the Devil and has many themes that go along with it. So what is it that makes possessed person so scary, its only actor’s right? The reality of demonic possession is so frightening in this film; there is no doubt about the reality of the devil after watching. The reality of the devil is displayed in many ways. For example, one of the most obvious displays is when the lawyer is affected. She goes home to her apartment and the devil starts â€Å"messing† with her, opening doors and intimidating her. Another way that the reality of this exorcism creates horror in the viewers is that it is based on a true story. The girl that was possessed was named Anneliese Michel from Germany. Both of these displays of the reality of the devil show the power of evil as well as the power of the divine. Emily, or Anneliese, is possessed by the devil and her body is taken over, showing this power. These events have many effects on the audience. It makes them think about the reality of possession and challenges them to come to their own understanding about possession. Another effect on the audience is the realization that â€Å"facts† are interpretations and not always concrete. Although the prosecutors brought in doctors to prove the priests neglect, they did not have anything that truly eliminated the supernatural possibility. Another major and important theme in the Exorcism of Emily Rose is the concept of the â€Å"victim soul† and redemption is possible. With this in The Exorcism of Emily Rose, it is seen that the good always overcomes evil. Erin Bruner, the defense lawyer says â€Å"Either these things exist, or they don’t.† This means that she believes it is a fact that if there is a God, there is a devil and if there is a devil, there is a God. This was a good defense because it was an emphasized point that the prosecutor was as methodist, therefore he believes in God, leading to him HAVING to believe in the Devil. The Exorcism of Emily Rose is such a worthwhile film to watch because of its accurate interpretation of the supernatural and evil world. Scott Derrickson developed the reality and conception of the â€Å"victim soul† phemonionally in  this movie. This movie is very important in demonstrating the true evilness of the devil, and true redemption offered by God.

Wednesday, October 9, 2019

Sammuri Argumentative Essay

Samurais Argumentative essay Samurais were a vital part of Japanese culture and should have been allowed to continue. Although there were dangerous aspects of this tradition, it was also a large part of Japanese culture. As time passed, their existence had gradually lessened, resulting in their loss. Although the Samurai ways are no longer practiced, they have left a legacy that keeps on affecting the lives of people in Japan today. The traditions of the samurai still have an influence on the lives of the Japanese people.Whether it is through the martial arts, the peaceful arts, or their beliefs, the samurai continue to influence life to this day. The Samurai’s ethics are major in Japanese society as well as business; the idea of Bushido exists in society today as the Japanese business ethics illustrate honor and duty to Japan. To be a Samurai was a huge honor and it took an abundance of training and extensive hours of practice. Samurais had to be completely dedicated to their lifestyle; they repeated their schedule day after day: wake up in the Samurai village, meditation, hours of training, dinner, and sleep.Their routine was very rigorous however; it was compensated when they went into battle. Samurais were an elite group of warriors who were very skilled in battle and killing. Many may say that the Samurais were very violent and provocative group, however, the Samurais were always on the defensive. Though the entire movie, the Samurais never picked the fight, it was always the Americans- or in any case, it was never the Samurais who were picking the fights. The Samurais’ code of honor, Bushido, was much like a knights’ code of honor, chivalry; the only difference was â€Å"seppuku†.Seppuku was the traditional suicide after a battle was lost. The leader of the losing team was to commit suicide by carving a figure 8 into his abdomen because he shouldn’t live with the shame of losing a battle. If the man could not complete th e figure 8, the leader of the opposing side would cut off the loser’s head. This was all part of honor; however, many people saw it as barbaric and couldn’t understand this ritual. The Samurai were trained warriors and their job was to kill predators so any way they are viewed; they were still violent peoples so in a way it was a good thing that the tradition was discontinued.The weapons the Samurais used were swords, bow and arrows, and a spear; no fire arms. In the movie, The Last Samurai, it was said that the â€Å"sword is part of the soul†. The Japanese took this very seriously; training took up most of a warriors’ day. The samurai rose to power out of the constant fight for land in feudal Japan. They became experts at fighting from horseback and on the ground. They trained in armed and unarmed combat. They wore many layers of armor and used only the sword passed down from previous generations.As mentioned previously, the Samurai were trained warrior s and their job was to kill predators so in a way it was a good thing that the tradition was discontinued. However, much like the Samurai, soldiers fighting the war today are much more aggressive than the Samurai and they are armed with much more lethal weapons than a sword. Others may view this as hypocritical that the centuries long tradition was put to an end yet we continue to fight and kill to get what we need; we aren’t even fighting to protect our people like the Samurais were, we are fighting for something that we want.

Marketing Plan for a New Restaurant Research Proposal

Marketing Plan for a New Restaurant - Research Proposal Example The main aim of hotel and restaurant industries is to maximize their profits. However, the competition has made it difficult to maintain their position in the market. Due to more and more new investments in this sector, the existing hotels are in danger to lack behind in innovations and creative utilization of resources. The new techniques to manage the operations and the use of new machinery which reduces the labor cost are difficult to be adopted due to the existing managed workforce and working environment. The hotel industry has now reached to a highly competitive stage and all restaurants are adopting the branded restaurant concept in order to meet the requirements of continuous innovations and creative approach (Casper, 1995). It has also been observed during the research that restaurants and famous hotels are working in collaboration to maximize their returns for example, the partnership of Marriott and Pizza Hut, Holiday Inn and TGI Friday's etc (Boone, 1997). This paper woul d further discuss the aspects which are required to be considered before starting a new restaurant and a marketing plan to be followed for a successful launch of a new restaurant. Restaurants have become an integral part of most of the people around the world. The working population prefer having their breakfasts and lunches in the restaurants. Owing to this importance given by the people to the hotels, more and more people are involving in this sector. It can be evaluated from the current findings that hotels are highly profitable and money-making. It can be true but not necessarily. The successful running of a hotel is not as easy as it seems to be. There are many factors which require to be achieved flawlessly. Increasing competition means increasing risk to the business from the competitors. Any new product, package or creative advertisement may grab the attention of a large number of customers. Hence more and more finance is required to be spent on innovative techniques. The uniqueness and brand name attract most of the customers (Tepeci, 1999). However, it is not an easy task to create a brand name. In food service businesses the development of brand na me has been increasing. A number of food chains have increased their business in the international market. The globalization of food chains has resulted in strong development of brand identity for the travelers and local visitors (Wexler, 1994). These food chains have become successful in winning the satisfaction of their customers all around the world. These international food chains conduct surveys and researches to find out the likings and demands of the people living in a particular region. They ensure that the quality of food and tastes is according to their demand (Davis, Lockwood & Stone, 1998). They also consider the cultural and religious aspects of people and give special attention to things which are against their religion or culture (for example, the use of alcohol in Muslim countries). Hence we can say that the evaluation of the demand of people and their opinions are of paramount importance in successful running of a hotel. The first goal of our restaurant is to create a distinguishing identity and become popular because of its unique presentation and high quality food. The second goal is to provide customers with an environment where they can enjoy the food without any kind of disturbance. The last goal is to maximize profits without harming the quality

Monday, October 7, 2019

Potential Opportunity for Samsung to Market in China and Vietnam Case Study

Potential Opportunity for Samsung to Market in China and Vietnam - Case Study Example In the current environment of highly competitive global business, it now needs to explore and analyze market potential for its tablet in China and Egypt. Criteria for assessing potential opportunities for Samsung Tablets in China and Egypt Sn. Factors for assessment China Egypt 1. Population/popn growth 1338 mn/nil 81 mn/1.8% 2. GDP per capita $7599 $6180 3. Poverty (%) 36.3 18.5 4. UN education index 0.623 0.560 5. Contribution of private enterprises to GDP More than 50% na 6. PDI (personal disposable income in urban area $2515 na 7. Inflation (1-7 taken from BTI, 2012) 3.3 11.3 7. Credit rating (S&P) (S&P, 2013) AA- CCC+ 8. Country risk factors Political Technological Economic Social low low low high high low low high 9. e-Business readiness yes yes 10. Business forecast for 3 years (growth rate) 2012 2013 2014 7.8 8.0 8.2 (IMF, 2013) 113.13 126.29 138.48 (HSBC, 2012) China China’s economic reforms since 1978 have opened the market for overseas business and created viable en vironment for FDI and multinationals. It has shown incredible advancement in economy to become second largest in the world in 2010, surpassing Japan and biggest exporting country in 2009 (bti, 2013). At the same time, the stimulus package of $586 billion has challenged its dependence on fixed asset and new credit of about $ 2.5 trillion in 2009-2010 could lead to inflationary trend. Though there is wide income disparity with GINI index at 0.475 and urban-rural gap widening from 2.79:1 in 2000 to 3.3:1 in 2009, per capita disposable income in urban areas being $2515 as against $755 in rural areas. South Korea is one of the most important trading partners of China with good bilateral relations. FDI at $ 105.7 billion in 2010 encouraging, especially when private enterprises contribute more than 50% of the GDP and create more than 80% of new jobs. It has relatively high disposable income which makes it attractive for overseas business, especially, tablets which have huge demand with 41% rise in its demand (Stanley Morgan report, 2011). Egypt The country is continually in a state of high political instability but surprisingly it has not affected its economic development and structural improvement. The economic reforms introduced during 2004 by the Prime Minister Ahmed Nazif have continued with focused approach. The economic reforms and liberalization has not addressed the problems of literacy and unemployment which has considerably increased poverty and income disparity across the population. 40% of 83 million population comprising of nearly 20 million people are between 18 and 29 years, most of whom are vulnerable to poverty due to lack of education and unemployment. With high inflation rate of nearly 12% and relatively low GDP growth of 5%, the most populous country of Middle East has shown negative growth in both its export and import trade (BTI, 2012). Despite market liberalization, lack of nepotism and law enforcement has adversely impacted growth of domestic and foreign businesses. There is also rampant gender discrimination and human development index has continually shown down trend. It lacks political commitment and institutional capacity to address the problem of growing illiteracy and unemployment. Recommendation for China China has stable socio-political environment with high growth in GDP which has also made it attractive for overseas business. With increasing disposable income