Thursday, October 31, 2019

Answer the questions Case Study Example | Topics and Well Written Essays - 500 words

Answer the questions - Case Study Example The temporal cortex is also much larger than predicted for an ape of our size, which might affect our language ability as this part of the brain contains Broca’s area, implicated in language use. d) From viewing chimps in the wild (The New Chimpanzees), can they be said to have a language? Include Uhlenbroek’s description of pant hoots, the chimp patrol of their territory, their displays in dominance of behaviour, and grooming and begging behaviour. These elements do seem to represent a kind of communication between chimps, so yes, it could be seen as a language by some, although not perhaps as advanced as human language. The differences in behaviours between different groups have been described as ‘cultural differences’. Koko had extensive exposure to sign language and did seem to pick up some elements of language, although the grammar was not perfect. Many of the utterances could just be imitation or nonsense. Michael learned much less than Koko because he was only alive for a short while, but perhaps the transmission of the signs could be seen as language transmission. Ndume does not currently use sign language. Although the video describes Koko has having a lot of knowledge and the gorilla does seem to know a lot of signs, it is not completely clear whether this is imitation or language and therefore is extremely difficult to describe. It does not seem to be a very strong case, although Koko does show extensive evidence of learning. Merely learning a lot of different signs or letters does not create language, although it is interesting that some of these signs were transmitted to another gorilla. However, it is also possible that sign language may not be the right medium for language and gorillas may have their own complex language structure in a form that humans cannot understand. Some people think that language is necessary for a culture, but there are many different aspects of culture (such as

Tuesday, October 29, 2019

Dakota world Essay Example for Free

Dakota world Essay In terms of survival and civilization, the story is a question why education is equipped for ones survival? Is the culture of Euro- American defines the development of an individual that disassembles their Native American culture as one that is not capable to stand their community? Yes, the new culture may have the positive objective for their group but the approach to them is definitely a question from the author. So, through her stories, just like the little girl going to a school it reflects her Native race upon drilling to the Euro-American customs(Publication). The actual happenings at school is well illustrated by the author. Regarding the persuasion of the Quaker missionaries to let her attend school, she at eight years old together with other Yankton children was lured about the stories of the Red Apple Country†(Stein). Her hesitation was instantly taken out from the promises of missionaries of the apple orchards. Although she was never been swindled, she gained their trust even though a lot of warnings was advised by her mother. The apple orchards attracted her innocent mind and therefore she accepted the offer of education from the missionaries. Her mother had no other choice but to give way to her daughters’ decision. Her discern was that, even if the transition is hard from the innocence to experience for child, she definitely believes that the education would be fully needed and of great use when more Euro-Americans will settle. Gertrude works are fascinating and the vibrant it forms shows the indignations endured by the Native Americans on Christians hands. She is ardently against with the oppression done by the Euro-American culture so she made a character from them describing it as â€Å"pale-faces† as near part of her language(Giese). From the story of â€Å"Adam and Eve†, Gertrude wisely portray the fall of Eve. It is as a form of metaphor showing the seduction using The Big Red Apples† to the Native Americans by the whites(Kroeber). Because of her ambition to be educated, the snake had the opportunity to seduce Eve. Gertrude created a parallelism from the childhood experiences she encountered with the â€Å"pale-faces† upon their quest in to their community for recruiting Indian children for the missionaries’ school. These group of man who settled into their village seductively promised saying to the little girls that, â€Å"the nice red apples are for those who pick them in the East†(Kroeber). Therefore, in contrast to her mother’s longing, the apple from the forbidden tree was eaten by Gertrude so she headed east. The mastery of Gertrude in using languages and her grapple to Western insinuation made her style in writing very effective. Same as other minority writers, to counterfeit the problem with culture oppression, she focused in a different writing strategy to get the attention of the dominant culture so that her voice would be heard, upon her call for understanding their cultural situation. Her essay on â€Å"The Big Red Apples caused the white readers to think and give insights that the traditional Christian had captured the ideologies of the Indians and from this, it suggested the Indian culture where corrupted by Euro-American culture(Minnesota). To sight some problems she encountered in her schooling experiences that made her some sort of stubborn and brute in the eyes of the missionaries was the scene in â€Å"The Cutting of My Long Hair. It is the schools policy to trim the hair of their students, yet for her she knows that it depict a symbol of either shame or mourning. So she can’t submit herself with the policy of the missionaries. She knows that they are strong and that their group can’t bend the rule but she still rebelled and struggled. Zitkala-Sa snuck upstairs and went under the bed to hide her self(Bonnin). When she was found by the teachers, due to her severe resistance she was dragged out from the bed. Although she fought by kicking and wild scratch attack, she was still carried and brought down and controlled her movements by tying her fast in a chair. Another, problem encountered by Gertrude after three years of schooling was when she was allowed to go home to have the chance to be with her family. She suddenly felt that due to her living with the Euro-American and the education with her, she then had the sentiment the she was now become an alien of her own tribal custom. Getting her precise statement about the situation, she said that, â€Å"during this time I seemed to hang in the heart of chaos, beyond the touch or voice of human aid† (Bonnin). Her thoughts made a problematic scheme out of it questioning what to do, since long she have been already alienated from the Euro-American culture because of her race, and know she is being attack by an emotion of culture crisis to her own tribe as a consequence of her adopted education. Comparing her life before, to the midst of the Indian grounds she was just a young girl who was innocent and free. Yanktons kids that are older than her always show respect and love to her(Bonnin). They treated her nicely that even though she commits mistake of using ashes instead of the grounded beans for coffee when a visitor comes while her mother is not yet around, the situation is just being passed by without eve scolding her. When playing with her friends, as far as they want they could run freely making a chase with their shadows and do consecutive hounds under the clouds. She loves listening evening stories from their elders while gazing up in the stars above her. Her life was surrounded by people to whom she surely trusts and that she assures them that there is no reason to mistrust the tribe where she belongs. But as an effect of sudden circumstances, after her ignorance and prioritizing the need for education, the sympathy that she always encounters and received from her Dakota world is abruptly abandoned(Giese).

Sunday, October 27, 2019

Classification of Medical Devices

Classification of Medical Devices Sri Kanya Alluru Why are medical devices stratified into different classes? A wide range of medical devices are used daily, and many are being marketed. It is difficult to study each of these devices separately. In order to determine these devices complexity, and its level of harm a classification system is developed. The classification is assigned based on its marketing requirements and the risks or benefits it imposes. A basic classification system is required to classify and assign medical devices to each of these systems to get a thorough understanding of all devices, their intended use, labeling patterns and marketing criteria. Medical devices are classified into 3 groups based on the degree of difficulty in assuring safety and efficacy. These medical devices are used by mankind in one or the other way so it is necessary to classify them so that they can be aware of the risks posed by each class. The various classes include Class I: General controls Class II: General controls and special controls Class III: General controls, Special controls and premarket approval This stratification helps FDA, manufacturers and patients. Class I devices are low risk devices, and require less regulatory control compared to other classes. These include elastic bandages etc. Class III devices are high risk and life sustaining so strict regulations are to be enforced in a manner such that these devices adhere to them. Examples include implants, pacemakers etc. By understanding these risk factors patients can be careful at the time of device use to assure their safety. FDA has classified almost 1700 medical devices into different categories known as panels based on their medical importance and their intended use such as all cardiovascular devices are assigned as one panel, all dental devices are grouped as another panel etc., which in turn are again assigned either under Class I, II or III devices. These devices are classified based on the device description according to 21 CFR 862-892. For manufacturers in case of low risk devices such as Class I devices they are exempted from pre-market approval and so take less time for marketing thus benefitting manufacturers. So based on classification they can identify which products need approval and which of them are to be exempted enabling their marketing time. 2. Why is traceability important for the medical device life cycle? Who does it benefit – the manufacturer, FDA, both? Explain your answer. Traceability is defined as the ability to thoroughly study a medical device from it design to the end process. It requires complete analysis and understanding of their uses. (Effective Traceability of Medical Devices, 2010). Traceability is an essential factor in device life cycle as it Enables product recalls, To determine the batch that has undergone recalls without enhancing recall of all devices To maintain records so that an efficient review and preventive measures can be enabled It is the responsibility of each manufacturer to establish requirements for each type or family of devices to ensure the device safety, quality, and establish methods and procedures to design, produce, distribute, etc. As a part of the quality system regulation or GMP principle documenting the details is essential for traceability. The manufacturer must prepare a batch record for every device/batch that is product and must be identified with a unique lot/control numbering system defined by the manufacturer and it represents the lots complete history. Distribution records of each where it was shipped must be kept by the manufacturer for traceability in the event of a recall. The device GMP require manufacturers to be able to trace any device or device component by a control number if it is indented for surgical implant into the body to support or sustain life, and its failure to perform can be reasonably expected to result in a significant injury to the user. The Quality system regulations require companies to establish purchasing controls and institute post-distribution device failure investigations and corrective/preventive actions for defects or recurring technical problems. It is the responsibility of the manufacturer to establish traceability controls to effectively handle complaint/failures and determine root cause so as to correct prevent the reoccurrence and at the same time it would help the manufacturer to effectively handle the recalls both internally and also with FDA when required. 3. Review the Johnson and Johnson Quality Catastrophe article under Week 9 Readings. What areThe major lessons learned from Johnson and Johnson’s Quality Catastrophe? Based on the events and circumstances in the article Johnson and Johnson and its subsidiaries had certainly put its consumers trust in turmoil by providing unsafe products. Johnson Johnson (JJ) expanded its businesses by acquiring and merging with companies manufacturing health products. Due to these acquisitions it has become a decentralized organization. It is unusual to see deficiencies in product quality and safety, as all the procedures and rules for safety are defined at the enterprise level, not at the product level. The incidents mentioned occurred due to ignorance and profit making strategies of the corporate companies leaving the facts and safety concerns behind reality. These would cause lot of pain and suffering to the people relying on the product with their lives. Tylenol incident occurred in the past has gained applause and appreciation for its best crisis management, but later incidents brought condemnation to the company. The reason for this quality catastrophe occurred at JJ is mainly due to the following reasons. Corporate governance: Due to JJ decentralized organizational structure, the responsibility rest at the enterprise level not at the subsidiary level, CEO Weldon (2002-2012) put in place. Under his Leader ship many recalls, incidents occurred due to his negligence, and profit making mentality. They failed to meet with the regulations He clouded the issues in the factories (McNeil Factory odor), recalls (Motrin, Benadryl), lawsuits (Hip replacement) from the individuals, hospitals using their products by showing steady growth and properties to the investors and board of directors. Product Safety: Product safety should be one of the top priorities while manufacturing consumer products. Ignoring these facts will cause jeopardy to the consumers and have adverse effects due to their use. Marketing products without proper research and tests will cause problems to the consumers. JJ failed to comply with these standards in their products (Ortho Evra, DePuy hip product), and caused harm and discomfort to the consumers emotionally and physically. FDA Ignorance: Food and Drug Administration (FDA) should be stringent with companies in imposing rules and regulations of the FDA. By imposing these laws FDA can ensure that the companies will provide high quality products to the consumers. In this case FDA ignored the JJ company product recalls, factories manufacturing standards, and their sanity conditions. Due to its ignorance people had permanent immobility, discomfort, and even deaths. This can be prevent if FDA had a structured program in allowing health products being market after certifying them they are safe, and define laws that would report medical incidents, and lawsuits to the FDA for review. 4. What are the regulatory challenges specifically for products in the mobile health space? FDA recently issued the Mobile Medical Guidance for Industry, which mainly outlines the regulations for mobile space devices. The mobile app is designed to have a direct communication to patient. (Kim, 2014) Incorporating mobile apps, as a tool for health-based issues is a boon, when major challenges and risks associated with it are overviewed and are put in a right way so that they are beneficial to the public. Recently a large number of health and fitness apps, medical device apps are introduced and their number is constantly increasing day by day. But the major challenge underneath this is which of them are beneficial and can be categorized as medical apps. They are to be clearly understood and regulated. Software’s intended solely for the purpose of storage are exempted as medical apps, and those for serious health issues and diagnostic purposes are regarded as mobile health apps. Post market surveillance also has a major role to play. As these mobile health apps are pioneer and outstanding major challenges lies in diagnosis, monitoring and treatment (Brousseau, 2012). Medical apps can be categorized into three groups. Firstly only a few apps meet the requirements of a device and help in diagnosis. Secondly, a large number of apps are not scrutinized or influenced by FDA such as calorie counters etc. and finally some apps, which have no benefits in medical field. In spite of so many of these apps FDA has to have a keen and a clear survey on which of them actually comes under mobile health category and regulate them(Brousseau, 2012). Most challenging effect is that there might be loss of confidentiality because these social medias always face the risk of hackers. There are also serious risks associated with the misuse of mobile apps. But there are questions regarding how risks arise with these apps. So there is challenge for the improvement of adverse reporting system. It’s possible for a medical device to escape regulatory process and enter the market but such type of procedures impose risks to consumers so FDA has to monitor them thoroughly.(Vesely, 2014) 5. What was the most interesting thing you learned in the devices portion  Of RGA 6100? There are many interesting things that surprised me during my course. I could learn the regulations governing these devices, various medical device companies, their FDA approvals and lot more things. Today there are so many advances in medical device technology such as medical robotic technology for various surgeries, mobile health apps that helps in communication between doctor and patient, inhaled insulin more advantageous to diabetes patients and if we go on it would be an never ending discussion. I found Lap-band interesting because of today’s obesity problems people are facing. Although there are several weight loss programs, fitness centers, they provide only short-term results and also have considerable health problems.(Ruchi Mathur, 2014) This lap-band is so advantageous that it ensures healthy weight loss and has long term results. This is an adjustable process as we can loosen or tighten it according to our convenience. (Lap-Band Surgery Information,) REFERENCES: Brousseau, Zachary. (2012). Experts Examine Regulation of Health-Related Mobile Apps, Software and Social Media. Retrieved 03/24/2014, 2014, from https://http://www.raps.org/focus-online/under-raps/under-raps-article/article/2479/experts-examine-regulation-of-health-related-mobile-apps-software-and-social-me.aspx Effective Traceability of Medical Devices. (2010). Retrieved 03/21/014, 2014, from http://www.imb.ie/EN/SafetyQuality/Advisory-WarningRecall-Notices/Medical-Devices/page-title-Effective-Traceability-of-Medical-Devices.aspx Kim, Sun. (2014). FDA Regulations on Mobile Medical Apps. Retrieved 03/24/2014, 2014, from http://qbdworks.com/fda-regulations-on-mobile-medical-apps/ Lap-Band Surgery Information.). Retrieved 03/21/2014, 2014, from http://www.mills-peninsula.org/obesity/lapband.html Ruchi Mathur, MD, FRCP(C). (2014). Lap Band Surgery(Gastric Banding). Retrieved 03/21/2014, 2014, from http://www.medicinenet.com/lap_band_surgery_gastric_banding/article.htm Vesely, Rebecca. (2014). mHealth Regulations: Whats in Store? Retrieved 03/25/2014, 2014, from http://www.ihealthbeat.org/insight/2014/mhealth-regulations-whats-in-store 1

Friday, October 25, 2019

The Adventures of Huck Fin :: Essays Papers

Mark Twain The Adventures of Huck Fin Samuel Clemens, better known as Mark Twain is a famous author. He is one of the most widely respected and loved American writers. He wrote over 30 works, including satires, short stories, historical fiction and non-fiction novels as well as five Travelogues. One of the novels that he wrote was The Adventures of Huckleberry Finn. That is the novel I read. Samuel Langhorne Clemens was born in Florida, Missouri on November 30, 1835. He was the sixth child of John and Jane Clemens. Just a few years later, in 1839, the Clemens family moved to a nearby town, Hannibal, where he spent his childhood years. During his those years, he had a strong bond with the Mississippi River. His childhood dream was to become a steamboat man on the river. The town in which he lived steamboats docked 3 times a day. Clemens was fascinated with them. By the age of 16, Clemens was working for his brother Orion’s Hannibal Western Union. He published sketches and worked as a printer, sometimes taking on editor in his brother’s absence. By age 21 he was seeking a bunk on a ship going to South America. There he met Horace Bixby, a steamboat pilot. He persuaded Horace to take him on as an apprentice and after two years on the Mississippi, Clemens had his pilot’s license. With the start of the Civil War in April 1861, river traffic on the Mississippi was suspended. Clemens' steamboat pilot career came to an end. He had been occasionally sending letters to the Virginia City Territorial Enterprise, the territory's most well known newspaper, and by September 1862, he had been accepted to be a reporter for the paper. After a short 17 months, Clemens left the Enterprise and went to San Francisco. He traveled extensively for the next few years and at age 33 he secretly was engaged to Olivia Langdon, better known as Livy. In 1870 his life took a dramatic change towards stability. He married Livy and settled down in Buffalo, N.Y. They had a few traumatic years and finally moved to Connecticut. They had 3 daughters, Susy, Clara and Jean. He also published The Gilded Age, with Charles Dudley Warner, his first fictional book.

Thursday, October 24, 2019

Country: White People Essay

Since African American literature started back in the 18th century, the majority of these writings mainly focused on racism, ethnicity, and the struggle of African-American people. Nadine Gordimer and Patricia Smith are but two contributors to this area of literature. In my paper I will compare and contrast the short story by Nadine Gordimer, â€Å"Country Lovers†, and the poem, â€Å"What It’s Like Being a Black Girl†, written by Patricia Smith. In both pieces of literature, the focus is put on the racial background and ethnicities, considering that the main characters or protagonists are black women, dealing with some degree of discrimination because of the color of their skin. It is common knowledge that racism has been a major issue which has tainted society, and the African-American people, particularly females have been dealing with the effects of racism, and have experienced the effects of discrimination and racism. (Clugston, 2010). In the short story â€Å"Country Lovers†, a forbidden love between a black girl named Thebedi and a white male named Paulus, is depicted. In the story, two main characters are brought together since early childhood, spending much of the childhood days with each other. As they grow up, they became even closer, eventually falling in love. They soon realize that the racial politics of the time would not allow them to maintain their relationship simply because, Paulus, being the son of a white farm owner and Thebedi, the daughter of a black farm workers, would be unable to show or share their love publicly. I found that there were many dramatic effect throughout this entire story. For example, when we read about the part were Paulus is going way to school, â€Å"This usefully coincides with the age of twelve or thirteen; so that by the time early adolescence is reached, the black children are making along with the bodily changes common to all, an easy transition to adult forms of address, beginning to call the old playmates missus and baasie little master. † (Clugston 2010). When Paulus watches Thebedi wading in the water, is the part of the story where I interpreted the loss of innocence and the description of a forbidden love. â€Å"The schoolgirls he went swimming with at dams and pools I may bring farms were bikinis but the site of their dazzling bellies and thighs in the sunlight had never made him feel what he felt now when the girl came up to the bank and sat beside him, two drops of water beading offer dark legs the only points of light in the earth -smelling deep shade. They were not afraid of one another, they had known one another always; he did with her what he had done that time in the store room at the wedding, and this time it was so lovely, so lovely, he was surprised†¦ And she was surprised by it too – he could see her dark face that was part of the shade, with her big dark eyes, shiny and soft water, watching him attentively: as she had when they used a huddle over their teams of mud oxen, as she had when he told her about attention weekends at school. â€Å"(Clugston, 2010). It is towards the end of the short story where you realize the racism. It begins when Paulus arrived back home from college over the holidays, and finds out that Thebedi had given birth to a child. When he decides to go and see Thebedi and the child, he said, â€Å"You haven’t been near the house with it? † (Clugston, 2010). His reaction alone reiterated the fact that such a thing would not be tolerated in his community. As the story continues, Paulus returned to the head later on: it states, â€Å"She thought she heard small grunts from the hut, the kind of insufficient grunt that indicates a full stomach, a deep sleep. After a time, long or short she did not know, he came out and walked away with plodding stride (his father’s gait) out of sight, towards his father’s house† (Clugston 2010). For me as a reader, it became apparent that Paulus actually killed the child. After analyzing that particular part of the story it became evident that Paulus was afraid the relationship between him and Thebedi would become common knowledge, so in murdering the child, it would serve as a cover-up as if nothing happened between two of them. In the ending of the story, the police assumed the baby’s body and charged Paulus with murder. During the trial, the story states that Thebedi took the stand. â€Å"She cried hysterically in the witness box, saying yes, yes (the gilt hoop earrings swung in her years), she saw the accused pouring liquid into the baby’s mouth. She said he had threatened to shoot her if she told anyone† (Clugston 2010). A year later, when she returned to the courthouse, she tells the court that, â€Å"she said that she had not seen what the white man did in the house† (Clugston, 2010). Because she altered her testimony, â€Å"The verdict on the accused was â€Å"not guilty† (Clugston, 2010). In the poem â€Å"What It’s Like to Be a Black Girl† seems to depict a very similar theme. In the poem, Patricia Smith tends to use rigid and strong words in order to show the seriousness of the topic she is writing about. From the very beginning of her poem, â€Å"First of all,† I sense of how the story is going to be told and is laid out for the reader. It presents the audience with a picture of a young black girl transitioning into black womanhood, a place where being a black girl as well as being a black woman is often not a welcome thing. To help the reader understand the thoughts that run through the mind of this puberty stricken young girl, she writes,† Its being 9 years old and feeling like you’re not finished, like your edges are wild, like there’s something, everything, wrong† (Smith, 4) This particular poem, in my opinion, is how racism and discrimination, both of race and gender, affects this young girl as she is transitioning from a young black girl, into a young black woman, while trying to accept all the changes that are happening to her. In the line, â€Å"It’s popping a bleached white mop head over the kinks of your hair and primping in front of mirrors that deny your reflection. † describes how this young girl wishes to look like other girls in order to be accepted in society. I found several tones in this poem that included not only pain and suffering, but courage is well. The poem discusses this young lady’s loss of innocence as a direct result of being raped. In the line, â€Å"It’s dropping food coloring in your eyes to make them turn blue and suffering the burn in silence,† in my opinion is the showing of this young girl’s pain of being raped by a white person. Since the color blue plays a significant role in this line, it shows not only this suffering, but the despondency this young black girl is experiencing. In both the poem and a short story, the main characters have been negatively affected by the discrimination of a society in which the color of their skin is not accepted. Both of the female characters lost their innocence, the only difference being, that Thebedi lost her virginity under the mask of the forbidden love, and the young girl in the poem lost her virginity is a direct cause of her rape. The sufferings of both characters is basically the same because the color of their skin and nothing else. The gender plays a very important role, but only after the race they belong to, as well as the alarming situation of the issue is accurately brought into the light and both of these literature works. It clearly indicates the suffering in the pain both these women experience. (Fluehr-Lobban, 2010). The mindset of a common young black girl is accurately presented in the poem â€Å"What It’s Like to Be a Black Girl†, and shows the effects that the society leaves on the mind of young black girls who wish to have the appearance like white girls simply because white girls are accepted in the society and the black are usually misused, refused, and disrespected. (Clugston, 2010) Both the story as well as the poem distinguish ethnicity and radical backgrounds, as well as explaining how women experienced cruelty for white racists. I found limited separation between race and gender issues within both authors work simply because they elaborated the fact that they could not, and would not be on the same side with sexists or races. While reading Patricia Smith poem, it gave me the impression she was demonstrating her anger to the fact that white patriarchy confines and limits black women. Black females have been tormented by discrimination racism, and ethical and racial discrimination, as characterized in both the poem and short story can be affirmed as a depiction a reflection of racism and its effects on society. (Dovidio, & Gaertner, 1996). In conclusion, I truly feel that both authors share the same sentiments. First and foremost, both of their main focus was on the role of the black female. Not only did the Explorer the victimization of the black woman, but also brought to light their emotional struggles as well as her experiences. I also feel that both authors were the obstacles of racism and feminists’ society that same time expressed that defeat does not mean giving up, but offers the opportunity to conquer negativity in life. References Clugston, R. W. (2010), â€Å"Country Lovers, Nadine Gordimer. In Journey into Literature (ch. 3): retrieved from http://content. ashford. edu/books/AUENG125. 10. 2/section/h3. 2 Clugston, R. W. (2010), Poems for Reflection. In Journey into Literature (ch. 12. 2): retrieved from http://content. ashford. edu/books/AUENG125. 10. 2/section/12. 2 Fluehr-Lobban, C. (2010). Race and Racism: An Introduction, Rowman Altamira: pp. 111-116 Dovidio, J. F. , & Gaertner, S. L. (1996). Affirmative action, unintentional racial Biases and inter group relations. Journal of Social Issues, Vol. 52, pp 51-75Ã'Ž

Tuesday, October 22, 2019

Actions that the MLRO of BCD should take

Introduction A Money Laundering Reporting Officer (MLRO) is an officer within a firm or practice that has been nominated to make disclosures to the National Crime Agency (NCA), formerly the Serious Organised Crime Agency (SOCA), under the Proceeds of Crimes Act (POCA) 2007 and the Terrorism Act (TA) 2000. It is provided under Regulation 20 of the Money Laundering Regulations 2007 that if an MLRO receives an internal disclosure of suspected money laundering or terrorist financing, they are required to consider the disclosure and decide whether the grounds of suspicion are sufficient enough to pass the disclosure onto NCA (Ellinger et al; 2011: 98). Since the MLRO of BCD Bank has received an internal money laundering suspicion report from Christian, they will be required to consider whether the matter should be passed onto NCA. Given that Radovan Rankovich (RR) is allegedly wanted by the authorities in the Ukraine for criminal actions against the state, and has received a recent transfer of ?15 mil lion from a Corporate Service Provider in Cyprus, it is likely that this would warrant a disclosure to NCA for investigation. In accordance with this, the MLRO will be required to file a Suspicious Activity Report (SAR) with NCA and subsequently liaise with them to deal with this matter accordingly (Ellinger et al; 2011: 97). Part 7 of POCA makes it a requirement for banks to make a disclosure to NCA if they reasonably suspect that a person is involved in money laundering (s. 329). If the MLRO fails to make such a disclosure then he or she may be found criminally liable under this Act for a failure to disclose (s. 331). This is because a person commits an offence under s. 329 if they; acquire, use or have possession of, criminal property. Since a bank would fall within the scope of this section, it is possible that BCD Bank would be subject to criminal proceedings if they failed to take the appropriate action and thus make the relevant disclosures. If the MLRO does not believe that the grounds of suspicion are sufficient to report the matter to NCA, then the MLRO will be required to make further inquiries (International Monetary Fund, 2011: 65). Once the MLRO has made a report to NCA, the report will be ‘protected’ under s. 337 so that nothing in the report shall be taken to breach any restriction on the disclosure of information. Given that BCD Bank may have engaged in money laundering by allowing RR’s transactions to take place, they may have a defence under s. 338 if they make demonstrate that they made the disclosure as soon as possible. Similar provisions also apply under th e TA if the person is also suspected of terrorist financing. As Christian has received a text message stating that RR is wanted by the authorities in the Ukraine for criminal actions against the state, it is likely that the MLRO will also be required to comply with the provisions under the TA for a reasonable suspicion of terrorist financing. An obligation to report under the TA will therefore arise which means that the MLRO will be required to disclose the identity of RR, any information that relates to the matter and the whereabouts of the laundered property. There are two different types of report that may be made by the MLRO, namely protected reports and authorised reports. A protected disclosure is made by a person during the course of their trade, profession or employment. This type of disclosure is generally made by a person who is carrying our professional activities. An authorised disclosure is made by a person who is about to commit a prohibited act or has already committed a prohibited act (Bastable and Yeo, 2011: 108). Since the bank has already dealt with the property that is suspected of being laundered, it is more appropriate for an authorised disclosure to be made. The MLRO will also be required to obtain consent from NCA under ss. 335 and 336 to determine whether Christian can action any further transfers out of RR’s account. This will be done by making a ‘consent report’ to NCA, which will then block any transactions for seven working days. If NCA gives consent to the MLRO, the MLRO will then be able to give consent to Christian to carry out the transactions (Bastable and Yeo, 2011: 108). If NCA refuse consent, however, the proposed transactions will be frozen for a further 31 days, unless consent is granted during that period; R (on the application of UMBS Online Ltd [2007] WL 1292620. The Risks and Issues for the Bank This particular issue regarding RR is likely to be problematic for the BCD Bank as they will want to act in the best interests of their customer, namely RR, so that they remain in business with them whilst at the same time they are required to fulfil certain obligations imposed upon them by law. Because BCD will be required to disclose their suspicions even if RR has not acted in a criminal manner, this will have a damaging effect upon RR’s reputation and as put by Hislop (2009); â€Å"absent bad faith, little more than a â€Å"bad feeling† can trigger a banks disclosure obligations under POCA 2002, with in some cases catastrophic commercial consequences for the customer and a damning of his hitherto â€Å"good name† in the business community.† If the banks suspicions are incorrect, this can be significantly detrimental for RR. As such, the bank will need to be careful that they are striking a balance between the interests of RR with its duties to disclose . In the recent case of SHAH and another v HSBC private bank (UK) Ltd (2009) EWHC 79 (QB) the implications Part 7 has upon the rights of the individual and the banking business was clearly highlighted. Here, it was demonstrated that where a bank makes a SAR in respect of a suspicious transaction, they may not be provided with protection if the customer decides to challenge the banks suspicions in the future. This is so, despite the fact that a criminal offence may have been committed if the bank failed to make such a disclosure. Customers will have a right to challenge the banks suspicions with the bank then being required to prove that the suspicion was reasonable. It may be difficult to determine how the bank can justify making a disclosure since it was made clear by the court in this case that â€Å"the defendant must think that there is a possibility, which is more than fanciful, that the relevant facts exist. A vague feeling of unease would not suffice.† The bank will therefore be taking a risk in many any disclosure, especially this one since it will have to be shown that the text message was sufficient enough for a disclosure to be made. Furthermore, even if the circu mstances do render a disclosure justified, the bank’s decision may still be challenged which can be costly and time consuming. In K Ltd v National Westminster Bank plc [2007] 1 WLR 311 it was noted by the Court that; â€Å"to intervene between a banker and his customer in the performance of the contract of mandate is a serious interference with the free flow of trade. But Parliament has considered that a limited interference is to be tolerated in preference to allowing the undoubted evil of money-laundering to run rife in the commercial community.† Therefore, even though such a disclosure may interfere with the relationship between the bank and RR, such interference will be necessary if it will be likely to prevent money laundering from taking place. The bank needs to be clear that an interference of RR’s account is appropriate on the circumstances, since a frozen bank account for a period of time has in the past been considered a ‘grave injustice’ in the case of Squirrell Limited v National Westminster Bank plc (Customs and Excise Commissioners intervening [2006] 1 WLR 637. Here, the customer’s funds were frozen resulting in the customer being unable to afford the legal fees it would cost to challenge the decision. Therefore, if RR’s funds were frozen, which subsequently prevented RR from challenging the decision; it is unlikely that this would be deemed appropriate by the court. In accordance with this, it has been said that the test for suspicion is â€Å"a purely subjective matter† ( Medroft, 2010: 190). The decision as to whether the suspicion is reasonable will therefore depend upon whether Christian actually believed that the transaction was suspicious. If it cannot be found that this is the case, the interference cannot be considered justifiable and a breach of the customer’s human rights may also be established as in K Ltd. The bank will therefore be required to consider whether ‘reasonable grounds’ do actually exist, having regard to the elements constituting market abuse offences (Hudson and Hutchinson, 2009: 1). There are many inherent risks that are associated with disclosures and as such, it is vital that the bank is aware of its exact rights and obligations. In SHAH the court found that the bank did not act in an unreasonable manner which is likely to be the case in the instant situation. As such, it will most likely be difficult for RR to show that the bank had not acted in good faith. However, it could be argued that there was an unreasonable delay by the bank to make the disclosure under s. 338(2). As a result of this, the bank could be exposed to liability for breach of its duty of care (Medroft, 2010: 190). Whether this is acceptable remains an arguable subject but as expressed by Benjamin (2007: 62); â€Å"here the objective is not informed consent to risk but combating crime.à ¢â‚¬  Accordingly, it is therefore generally accepted that a bank’s interference will be justified on public policy grounds. The bank will still be subjected to many risks when making a disclosure, nonetheless, and must therefore consider whether the consequences of making a disclosure can be justified (Ellinger et al. 2010: 114). In addition, if the bank decides to make a disclosure, they must be careful not to allow the customer to find out as they can be found liable for ‘tipping off. This is another issue that may arise since a customer could become aware that a disclosure has been made simply due to the fact that their account has been suspended. It could be said that the bank is in a difficult situation as whatever option it takes, sanctions may still be imposed. As one judge noted in Governer & Company of the Bank of Scotland v A Ltd [2000] Lloyd’s Rep Bank 271, 287; â€Å"the bank may commit a criminal offence if it pays or if it refuses to pay.† Furthermore, if the bank makes a disclosure based on its suspicions, which later turn out to be unfounded, the bank risks civil liability for breaching its contract with its customer (Ellinger et al: 2010: 114). This is because the bank will have frozen the customer’s account which would have prevented payments from being made in and out of the account. Because the banks have a significant burden imposed upon them when it comes to dealing with money laundering, some attempt has been made to ensure that banks acting in good faith will not face criminal liability. For example, it was held by the court in C v S [1999] 2 All ER 343 that â€Å"it would not normally be an abuse of process to prosecute a bank which was doing no more than obeying a court order for disclosure.† Still, it is necessary for the bank to consider all of the risks before considering whether to make a disclosure or not. Overall, it is necessary on the facts for the MLRO of BCD Bank to make a disclosure to NCA since it does appear that the suspicions are reasonable. This is based upon the transaction of ?15 million that was made recently as well as the text message that Christian has received. Whilst the bank would be required to examine the potential issues with disclosing such information and freezing the account of RR this appears necessary and in the public interest. It will most likely prevent money laundering activities from taking place and will ensure that Christian, the MLRO and the bank are complying with their obligations. References Bastable, G., and Yeo, N., (2011). Money Laundering Law and Regulation: A Practical Guide, Oxford University Press. Benjamin, J., (2007). Financial Law. OUP Oxford. Ellinger, E. P., Lomnicka, E., and Hare, C., (2011) Ellinger’s Modern Banking Law, (Oxford University Press. Ellinger, E. P., Lomnicka, E., and Hare, C., (2010) Ellinger’s Modern Banking Law. 5th Edition. OUP Oxford. Hislop, D., (2009). ‘Banks, SARS & the Customer’ 159 New Law Journal 1099, Issue 7380. International Monetary Fund., (2011) Banking and Insurance, Business & Economics. Medcroft, N., (2010). A Banker’s Liability for Damages Arising from Compliance with PT 7 POCA’ 4 Journal of International Banking and Financial Law 227, Issue 4. Medcroft, N., (2009). Refusing to Execute Payment Instructions Where a Bank Suspects Money Laundering. 4 Journal of International Banking and Financial Law 190, Issue 4. Hudson, D., and Hutchinson, K., (2009). Suspicious Transactions Reports: Reporting Obligations of Financial Institutions in the UK. Complinet, [Accessed 07 June, 2014]. Cases C v S [1999] 2 All ER 343 Governer & Company of the Bank of Scotland v A Ltd [2000] Lloyd’s Rep Bank 271, 287 K Ltd v National Westminster Bank plc [2007] 1 WLR 311 R (on the application of UMBS Online Ltd [2007] WL 1292620 SHAH and another v HSBC private bank (UK) Ltd (2009) EWHC 79 (QB) Squirrell Limited v National Westminster Bank plc (Customs and Excise Commissioners intervening [2006] 1 WLR 637

Principles of marketing The WritePass Journal

Principles of marketing Introduction: Principles of marketing . Wood, L. (2000). Brands and brand equity: definition and management. Management Decision, 38(9), pp.662 – 669.

Sunday, October 20, 2019

Biblical Perspectives of Worship Essays

Biblical Perspectives of Worship Essays Biblical Perspectives of Worship Essay Biblical Perspectives of Worship Essay Introduction Every religion in the world has each of its own worship service. Worship service is one of the most important principles in Christianity. In religious world the term worship is used for the reverent devotion, service, or honor paid to God, whether public or individual. A study of the words associated with worship shows that, while certain concepts like bowing the knee or obeisance are concerned with the human aspects the roots of Biblical worship are to be found, not in human emotions, but in the divinely established relationship of God to man. This paper is focus on worship and it theology from a Myanmar perspective. In this paper, I would like to discuss some of the following subheadings about worship: definition of worship, biblical perspective on worship, some theological aspects of Christian worship and the culture and Christians worship in Myanmar. 1. Definition of Worship The worship is derived from Anglo-Saxon weorthcipe, honor. In older English usage ‘worship’ can be rendered to men of excellence. Except in archaic forms or in extravagant speech, the word is nowadays use only in religious language. In the Bible God alone is supremely the object of worship and adoration. Worship is normal usage refers to the expression in corporate gatherings of adoration, praise and thanksgiving to God through Christ.1 While no one Hebrew term is an equivalent for worship, many Hebraic define the activity of worship in the OT. The verb abad means â€Å"serve,† the corresponding noun means â€Å"service adoration.† Histahawa is another verb in liturgical vocabulary that means â€Å"prostrate oneself†. The Hebrew terms that are used synonymously for the word worship are verbs that indicate some type of activity.2 The Geek word proskyneo is probably the term most closely related to the English word â€Å"worship.† This word depicts the posture of kissing the ground, a reverent act used mainly in reference to worship of a deity. The

Saturday, October 19, 2019

Coroporate finance Research Paper Example | Topics and Well Written Essays - 1500 words

Coroporate finance - Research Paper Example Ratio analysis uses data from the financial statements to develop financial formulas that calculate ratios. The purpose of this paper is to utilize ratio analysis to analyze the financial performance of Qatar Telecom Q.S.C. and Vodafone Qatar Q.S.C. during the last two years. Company profile Qatar Telecom Qatar Telecom is the leading telecommunications company in the small Persian Gulf country of Qatar. The company’s landline business operates in a monopoly market since the firm is the only company that provides that service. Some of the services that the company provides to its customers include landlines, wireless communication, internet, and cable television. The firm is a multinational corporation that operates in 17 countries. The majority ownership of the company is held by the government of Qatar who owns 55% of the firm. The remaining 45% is owned by private investors who openly trade their stocks in the Qatar Exchange. Company profile Vodafone Qatar Vodafone is a mult inational corporation in the telecommunication industry that operates in over 30 countries. The firm was founded in 1985. The company has over 403 million customers around the world. The firm has used strategic alliances and partnerships to expand its reach. Its global network of partners is composed of 50 companies. The firm is considered the 7th most valuable brand within its industry. The organization has a diversified portfolio of products and services which includes mobile, business, and marketing solutions. Overview ratio analysis The use of ratio analysis can help companies evaluate the financial performance of an enterprise. The analysis is considered a quantitative tool. One of the advantages of applying ratio analysis is that it is easy to use. Any person that has basic business knowledge can retrieve the financial statements of a company and calculate its ratios. Nine additional advantages of the use of ratio analysis are listed below: Helpful in decision making Helpful i n financial analysis and planning Helpful in communication Helpful in coordination Helps in control Helpful in shareholder’s decisions Helpful in creditor’s decisions Helpful in employees decisions Helpful in governmental decisions (Svtuition, 2011). Another virtue of the use of ratio analysis is its comparability. The ratios of different companies can be compare to evaluate which firm is the better investment alternative. The five major categories of ratios are liquidity, financial leverage, asset efficiency, profitability, and market value ratios. Ratio analysis Qatar Telecom A ratio analysis of Qatar Telecom for the years 2011 and 2012 is illustrated below. 2011 2012 Net margin 18.71% 13.79% Earnings per share QR 14.80 QR 9.88 Return on assets 5.82% 4.93% Return on equity 15.09% 12.60% Current ratio 1.01 1.05 Acid-test ratio 1.00 1.03 Working capital QR 304908000 QR 975749000 Debt ratio 0.61 0.61 Debt to equity 1.59 1.55 Qatar Telecom generated total revenues of QR 33.71 billion in 2012. The sales of the company increase by 6.14% in comparison with the previous year. The firm’s net income in 2012 was QR 5.94 billion. The organization was able to increase its net income by QR 1.3 billion since the previous year. The net margin of the company in 2012 was 13.79%. The net margin is a metric that measures the absolute profitability of the company. It is calculated by dividing net income by total sales.

Friday, October 18, 2019

Ecnmic Essay Example | Topics and Well Written Essays - 1500 words

Ecnmic - Essay Example Again the prices fell during 2008, which reported a massive drop since the start of the year. These changes are due to the factors of recession that emerged during the last few years. The reasons for such change can be attributed to the demand and supply theory which states the relationship between demand and change in prices. The lower prices during 2008 are due to credit crunch that resulted in scarcity in availabilities of mortgages. The buyers could not purchase because they could not borrow money, thus, a fall in demand was seen in the housing sector. In order to boost the market, prices were lowered down to increase demand. According to certain forecasters, they will continue to remain slow because of rising inflation, unemployment and slow pace of growth. The interest rates during 2007 affected consumer spending. As in the theories of demand and supply, interest rates play a major part. Thus, the impact of interest rates on the house price will have to be established. As the interest rates rose, the number of mortgage approval also fell due to its effect on the consumer’s capacity to spend. When this ability decreases, the demand also decreases accordingly. It was also seen that with an increase in interest rates during 2007, a rise in sales of houses was recorded. Due to the rise in inflation, first time buyers of house felt the necessity of fund as they found themselves incapable to afford prices. Thus, with a thrust in the rate hike, the prices of house were also increased to maintain break-even as people were forced to take loan, despite the fact that interest rates were still high. Growth of real incomes: As there is a rise in an average standard of living, the demand for housing as well as for luxurious properties increased. As people in UK showed a trend to move to exclusive houses, the demand for housing increases with high prices which increased the growth of incomes

Medea's Choices Essay Example | Topics and Well Written Essays - 750 words

Medea's Choices - Essay Example However, in the foreign land of the Corinthians, Jason fails to rise to her expectation and banishes her on behalf of Glauce, the daughter of the ruler of Corinth, Creon. This betrayal by Jason completely affects Media’s choice of action and the play turns to narrate the plot of the jealousy and revenge of the character betrayed by her husband. It is most relatable here that the quarrel between Jason and Medea is the heart of the play by Euripides and the following actions by the husband along with the sense of strangeness among the Corinthians forced Medea take the ultimate revenge upon Jason. As Denys Page puts it, â€Å"Jason forsook Medea; Media killed his bride, his children, and his bride’s father.† (Page, xxi) In fact, it is the feeling of a stranger in the character of Medea which basically causes her subsequent actions and this feeling in the character was reinforced by the realization that her husband is has become an insider by way of marrying Glauce. Jason’s marriage to the Corinthian princess now makes him an insider which confronts Medea’s sense of outsider in the land of the Corinthians. Therefore, the fundamental factor contributing to Medea’s choice of action in killing Jason’s children, his bride and her father is her realization that she is a stranger among the Corinthians along with the fact that Jason will turn to be an insider in the land by marrying the Corinthian princess. The central action of the play by Euripides is the conflict between Jason and Medea which makes the husband an insider to Corinth and makes the wife remain a stranger to the land. Jason’s marriage to the Corinthian princess Glauce brings about a tragic situation to Medea who is left alone in a land of the strangers. She trusted Jason completely to leave everything she kept close to her heart. However, she comes to face a frustrating situation in Corinth where she feels a stranger when

Critically evaluate the following statement Conflict in social work is Essay

Critically evaluate the following statement Conflict in social work is inevitable. Social workers need to understand and respond positively to conflict in the - Essay Example This paper will demonstrate that conflict within social work is inevitable, and that social workers must cultivate interpersonal skills to positively negotiate conflict in their day-to-day practices. Firstly, how conflict can arise within the social work practice will be described. Secondly, the link between social work theory and conflict in social work practice will be outlined. Finally, a conclusion shall synthesise the main points of this paper to show how conflict is to be expected in social work, and social workers are able to respond positively to conflict in their daily practices. A key feature of social work practices is to work within a team environment. The social worker may find themselves working in a team environment comprised of other workers as well as lawyers, police enforcement, doctors, nurses, volunteers, chaplains, carers and other health and human service workers (Martin, 2000). Team-work has been a traditional practice that is supported by social work philosophy and is demonstrated in a variety of its practices. Team-work begins at university with exposure to social work theories and opposing opinions and life experiences of lecturers, fellow students and other schools of social science discipline. Barsky's (2003) study of social work students concluded that: Participants were more interested in discussing conflicts related to practice and ethical issues, for example, than matters related to problems in the school or classroom. The implications could be either positive or negative for social work education. A positive interpretation infers that students and professors wanted to focus on practice issues and not get sidetracked with personality differences (p. 12). It is well recognized within the social work literature of the interdependence of the physical, functional, psychosocial and spiritual dimensions of the workplace account for team member well being, as well as facilitating a multidisciplinary and so comprehensive approach to client care (Cronenwett & Redman, 2003). Disagreement is likely to occur with the different disciplines involved in the team having different ideas about how to approach a situation, or how to problem-solve a dilemma. As such there are differences in opinion and to how to achieve goals, or to undertake certain activities, and in determining what the relevant priorities are and what they are not (Barki & Hartwick, 2002). Differences of opinion that are not easily resolved or that do not hold the potential for a win-win solution can create conflict within the team, and across departments involved with a client or social work practice.The situation is a conflict when interferences or negative emotion arises from the difference of opinions. For example, social workers may not be able to understand the

Thursday, October 17, 2019

Andrew Jackson's Presidency Essay Example | Topics and Well Written Essays - 1750 words

Andrew Jackson's Presidency - Essay Example The native Indian Americans faced one of their toughest times during his presidency, considering that he had embarked on a mission to dispossess the Native Americans of their land from the East of the Mississippi river to relocate them to the west, and this is a decision that he acted on most swiftly and decisively (Benson, 22). Thus, by the end of his term in presidency, he had managed to displace the natives from their motherland, to present day Oklahoma, through a forceful eviction that eventually came to be known as the ‘Trail of tear’ (Heckscher, n.p.). Secondly, Andrew Jackson’s policies were responsible for an economic meltdown in the United States and restricted economic growth for the country, since he adopted economic policies that were fundamentally flawed such as the closure of the Second Bank of the United States, eventually leading the country to a future economic crisis (Buchanan, 165). Thirdly, Andrew Jackson’s political actions were unjust, unconstitutional and created strains between the federal government and the states they presided over, thus leading to a political discontent in the country, at a time when peace was the most important thing in the country, having moved out of previous wars and conflicts that had threatened to completely tear the country apart. Therefore, in a nutshell, Andrew Jackson’s presidency was a cancer on the United States, and prevented the federal government from growing as a whole, during his time in office. Analysis of Andrew Jackson's Presidency The most memorable and horrific aspect of Andrew Jackson’s presidency was his treatment of the Native Americans. President Andrew Jackson passed the Indian Removal Act (1830), which then gave the president powers to negotiate the removal treaties with Indian nations, by transferring them from the regions they previously inhabited as their homeland, through legalizing the transfers and providing for the funding of the transfer proc ess (Buchanan, 166). This move has largely been termed by the human right commentators as amounting to ethnic cleansing, through dispossessing the native Indians of their motherland in the East of Mississippi, and transferring them forcefully to the western side; the present day Oklahoma (Andrew Jackson, n.p.). While the passage of the Removal Act was meant to be a channel through which peaceful treaties would be entered into, between the Indian Nations and the federal government, Andrew Jackson resulted to the forceful eviction of the Natives, after it became clear that they were not willing to give up their ancestral lands (Cole, 72). The forceful eviction was extremely dehumanizing, especially since President Andrew Jackson Sent 7,000-armed troops specifically to remove the Cherokee tribe, which had proved to be a bit more resistant in signing a transfer treaty that would displace them from their motherland (Benson, 27). This move was extremely bad, considering that the only reas on President Jackson implemented the forceful transfer of the Natives, was to have the white settlers expand their farms, so that their cotton farming and slave economy would continue to flourish, at the expense of the comfort of the Natives, who were not seen to contribute much

Anti-Discrimination Law in the UK Essay Example | Topics and Well Written Essays - 3000 words

Anti-Discrimination Law in the UK - Essay Example What has the provisions of this Act imply to organizations? In the performance of its functions, a firm must pay special cognizance to three aspects covered by or under the Act (Rivers, 2012): 1. Avoid and eliminate any conduct that has the effect of constituting harassment, victimization, discrimination or any other prohibited conduct 2. Culture equality for every persons who share the ‘protected characteristics’ and those who do not with regard to opportunities 3. Encourage proper relations amongst individuals with the relevant protected characteristics and also those who do not Section 71 of the Act regards discrimination against sex in relation to pay. Section 77 refers to discrimination through the discussions over terms of pay. Section 78 provides regulations on gender pay gap (www.legislation.gov.uk, 2010).These sections have gone some way to strengthening the statutory enforcement of equal pay between men and women within public entities. However, government†™s failure to enact one of these three critical provisions may ultimately hamper the effectiveness of the Act. In analysing the aforementioned sectional provisions and assessing their potential impact in combatting discrimination with regard to employment, it is imperative to understand first what variables are prevalent in laws on societal equality (Rivers, 2012).The mystery that is equality rests within the (misconception in) Western political tradition that views equality as a fundamental and universal moral characteristic of human beings; of equal dignity and worth (Dworkin, 2002). It stretches beyond the Aristotelian definition of a purely formal existence, which postulates that likes be treated similarly, and differences proportionately. Most importantly is the acknowledgement of the uniqueness of human beings. Therefore, equality would intimate that people be valued both in their uniqueness and similarities. Firstly, we address the object variable which answers the question , ‘what exactly is subject to the equality principle?’ This is easily answerable at a highly abstract level. All humans being equal in rights and dignity deserve equal respect and concern. However, in practice this presents a fairly complex ideal covering not only civil and political rights but a myriad of welfare, opportunity and resources. John Rawls identified within his justice theory two principles of equality in which the justification of differences was only valid should they benefit the least well-off and related to positions held under fair opportunities. These were equality of liberty and that of fundamental (basic) social goods. Secondly, the characteristic variable, which defines who the recipient(s) of the principle are and why they merit such special treatment. Article 14 of the European Convention of Human rights states that all rights should be enjoyed by all regardless of distinction. Initially and subsequent to this proclamation, there was much resista nce towards identifying specific benchmarks that merit special attention. Presently, practical concerns aimed at addressing ingrained bias and social exclusion have developed into a rallying cry for equality as a human right-born out of Civil Rights movements (Rivers, 2012).

Wednesday, October 16, 2019

Critically evaluate the following statement Conflict in social work is Essay

Critically evaluate the following statement Conflict in social work is inevitable. Social workers need to understand and respond positively to conflict in the - Essay Example This paper will demonstrate that conflict within social work is inevitable, and that social workers must cultivate interpersonal skills to positively negotiate conflict in their day-to-day practices. Firstly, how conflict can arise within the social work practice will be described. Secondly, the link between social work theory and conflict in social work practice will be outlined. Finally, a conclusion shall synthesise the main points of this paper to show how conflict is to be expected in social work, and social workers are able to respond positively to conflict in their daily practices. A key feature of social work practices is to work within a team environment. The social worker may find themselves working in a team environment comprised of other workers as well as lawyers, police enforcement, doctors, nurses, volunteers, chaplains, carers and other health and human service workers (Martin, 2000). Team-work has been a traditional practice that is supported by social work philosophy and is demonstrated in a variety of its practices. Team-work begins at university with exposure to social work theories and opposing opinions and life experiences of lecturers, fellow students and other schools of social science discipline. Barsky's (2003) study of social work students concluded that: Participants were more interested in discussing conflicts related to practice and ethical issues, for example, than matters related to problems in the school or classroom. The implications could be either positive or negative for social work education. A positive interpretation infers that students and professors wanted to focus on practice issues and not get sidetracked with personality differences (p. 12). It is well recognized within the social work literature of the interdependence of the physical, functional, psychosocial and spiritual dimensions of the workplace account for team member well being, as well as facilitating a multidisciplinary and so comprehensive approach to client care (Cronenwett & Redman, 2003). Disagreement is likely to occur with the different disciplines involved in the team having different ideas about how to approach a situation, or how to problem-solve a dilemma. As such there are differences in opinion and to how to achieve goals, or to undertake certain activities, and in determining what the relevant priorities are and what they are not (Barki & Hartwick, 2002). Differences of opinion that are not easily resolved or that do not hold the potential for a win-win solution can create conflict within the team, and across departments involved with a client or social work practice.The situation is a conflict when interferences or negative emotion arises from the difference of opinions. For example, social workers may not be able to understand the

Tuesday, October 15, 2019

Anti-Discrimination Law in the UK Essay Example | Topics and Well Written Essays - 3000 words

Anti-Discrimination Law in the UK - Essay Example What has the provisions of this Act imply to organizations? In the performance of its functions, a firm must pay special cognizance to three aspects covered by or under the Act (Rivers, 2012): 1. Avoid and eliminate any conduct that has the effect of constituting harassment, victimization, discrimination or any other prohibited conduct 2. Culture equality for every persons who share the ‘protected characteristics’ and those who do not with regard to opportunities 3. Encourage proper relations amongst individuals with the relevant protected characteristics and also those who do not Section 71 of the Act regards discrimination against sex in relation to pay. Section 77 refers to discrimination through the discussions over terms of pay. Section 78 provides regulations on gender pay gap (www.legislation.gov.uk, 2010).These sections have gone some way to strengthening the statutory enforcement of equal pay between men and women within public entities. However, government†™s failure to enact one of these three critical provisions may ultimately hamper the effectiveness of the Act. In analysing the aforementioned sectional provisions and assessing their potential impact in combatting discrimination with regard to employment, it is imperative to understand first what variables are prevalent in laws on societal equality (Rivers, 2012).The mystery that is equality rests within the (misconception in) Western political tradition that views equality as a fundamental and universal moral characteristic of human beings; of equal dignity and worth (Dworkin, 2002). It stretches beyond the Aristotelian definition of a purely formal existence, which postulates that likes be treated similarly, and differences proportionately. Most importantly is the acknowledgement of the uniqueness of human beings. Therefore, equality would intimate that people be valued both in their uniqueness and similarities. Firstly, we address the object variable which answers the question , ‘what exactly is subject to the equality principle?’ This is easily answerable at a highly abstract level. All humans being equal in rights and dignity deserve equal respect and concern. However, in practice this presents a fairly complex ideal covering not only civil and political rights but a myriad of welfare, opportunity and resources. John Rawls identified within his justice theory two principles of equality in which the justification of differences was only valid should they benefit the least well-off and related to positions held under fair opportunities. These were equality of liberty and that of fundamental (basic) social goods. Secondly, the characteristic variable, which defines who the recipient(s) of the principle are and why they merit such special treatment. Article 14 of the European Convention of Human rights states that all rights should be enjoyed by all regardless of distinction. Initially and subsequent to this proclamation, there was much resista nce towards identifying specific benchmarks that merit special attention. Presently, practical concerns aimed at addressing ingrained bias and social exclusion have developed into a rallying cry for equality as a human right-born out of Civil Rights movements (Rivers, 2012).

Communication Case Essay Example for Free

Communication Case Essay Ethics Case 4-7 – Income Statement Presentation of Unusual Loss Requirement The Cranor Corporation suffered $10 million in expenses linked to a product recall. The company had endured product recalls in the past and they still occur in the business. To show revenue from continuing operations, Jim Dietz, the controller, wishes to describe the $10 million as an extraordinary loss, instead of an expense included in operating income. He states to the CEO that the company has never had a product recall of this size and that the corporation fixed the design flaw and improved quality control. The drawback is, in order for Jim to categorize the loss as an extraordinary item, he must view that the losses in the company’s financial statements are infrequent and unusual. He must also presume this event is not likely to occur again in the future profitability. (Spiceland, Sepe, Nelson, 2013, p. 188) The Journal of Accountancy states that extraordinary items are gains and losses that are material, and result from events that are both unusual and infrequent. (Extraordinary Items Share Exclusive Company , 2013) These criteria must be considered in light of the environment in which the entity operates. There obviously is a considerable degree of subjectivity involved in the determination. The concepts of unusual and infrequent require judgment. In making these judgments, an accountant should keep in mind the overall objective of the income statement. The key question is how the event relates to a firm’s future profitability. If it is judged that the event, because of its unusual nature and infrequency of occurrence, is not likely to occur again, separate reporting as an extraordinary item is warranted. The ethical dilemma faced by Jim Dietz and the company’s chief executive officer is that it appears from the facts of the case that it would be difficult for the company to come to the conclusion that a material product recall is not likely to occur again in the foreseeable future. This type of event has occurred before and is common in the industry. While a subjective judgment, extraordinary treatment of the $10 million does not appear warranted. Is the obligation of Jim and the CEO to maximize income from continuing operations, the company’s position on the stock market and management bonuses stronger than their obligation to fairly present  accounting information to the users of financial statements? If they decide to go with Jim’s suggestion, it would be misleading to the shareholders and creditors about the lost suffered. The misrepresenting of the stakeholders and money market would be sinful and display wickedness, while if the corporation is straightfor ward with the market and shareholders it will demonstrate moral values and show that the corporation is working in the best interest of the investors by not misleading them when it comes to losses. In Exodus 23:1-2 it speaks about bearing a false report. The New International Version states: â€Å"Do not spread false reports. Do not help a guilty person by being a malicious witness. Do not follow the crowd in doing wrong.† With Jim and the CEO being in a management position, they are required to perform many activities in running the entity in the best interest of stakeholders. Their duties include leading and directing an entity, including making important decisions concerning the acquisition, deployment and control of human financial, physical and intangible resources. They are supposed to take the charge for the preparation and fair presentation of the financial statements in accordance to the accounting policies. (Handbook of the Code of Ethics for Professional Accountants, 2013) I think the Cranor Company should include the loss in their net income and continue with the product recall. Including the loss in their net income will show honesty to its stakeholders. They may not receive a bonus, but it is better for them to be honest than risk the consequences of lying about the loss. Leviticus 19:11 says, â€Å"Do not steal. Do not lie. Do not deceive one another. (The Quest Study Bible, New International Version, 1994) By seeing the scripture we can detect how this relates to accounting ethics. Leviticus 19:11 explains that that we are not to steal, and ultimately mislead others. When we associate this verse to this ethical dilemma it would describe Jim Dietz and the company chief executive officer of deceiving the stock market into thinking that the loss was truly an extraordinary item on income statement when in reality, they are misleading them to get a bonus. References The Quest Study Bible, New International Version. (1994). Grand Rapids: Zondervan Publishing House. Extraordinary Items Share Exclusive Company . (2013, September 3). Retrieved from Journal of Accountancy: http://www.journalofaccountancy.com/Issues/2007/May/ExtraordinaryItemsShareExclusiveCompany.htm Handbook of the Code of Ethics for Professional Accountants. (2013). New York: International Federation of Accountants. Spiceland, D., Sepe, J., Nelson, M. (2013). Intermediate Accounting (7th ed.). New York: McGraw-Hill/Irwin.

Monday, October 14, 2019

Role of the Media on Socioeconomic Development of Education

Role of the Media on Socioeconomic Development of Education Role of media in socio, economic development: Media and education When we talk about ‘Media education’, the first and foremost important question which strikes our mind is what is media? The word ‘media’ is the plural form of ‘medium’, which refers to any channel or source through which a message is sent. The term media became popular in the late 1920s when several sources of news emerged. Until then the only means of communication with masses were journals, newspapers and other such written modes. With the advent of radio and television the level of media has increased. Today we even have ‘New Media’. Education means to educate someone i.e. to bring a change in oneself education is a key. It is imparting and sharing of ideas, thoughts, talking useless also sometimes find a bridge in conservation whether it’s between two people or more and make them think about it. Therefore media education is the process through which individual’s become media literate- able to critically understand the nature, techniques, and impact of media messages and productions. Media education also means that being a journalist it is your prime responsibility to gather masses and to make them aware as to what they can do on their behalf for the betterment of our country. Media education isnt about having the right answers: rather, its about asking the right questions. Because media issues are complex and often contradictory and controversial, the educators role isnt to impart knowledge, but to facilitate the process of inquiry and dialogue. Today, the chief challenges are to locate and evaluate the right information for ones needs and to synthesize what one finds into useful knowledge or communication. Media education with techniques of critical thinking, creative communication and computer, visual and aural literacy skills at its core is a key part of a 21st c entury approach to learning. One possible meaning of media education could also be to educate people about the different- different mediums of media, for example- Print media, electronic media, Social media, New media. We also need to explain what exactly the terms print, electronic, social stands for and what role do they play in today’s era. Students pursuing their career in the field of Media, for instance doing the bachelors in BJ(MC) means they are studying about media and mass communication, moreover the difference between the two terms, journalism and mass communication. Journalism is the practice of investigating and reporting events, issues and trends to the mass audiences of print, broadcast and online media such as newspapers, magazines and books, radio and television stations and networks, and blogs and social and mobile media. People who gather and package news and information for mass dissemination are journalists. The field includes writing, editing, design and photography. With the idea in mind of informing the citizenry, journalists cover individuals, organizations, institutions, governments and businesses as well as cultural aspects of society such as arts and entertainment. News media are the main purveyors of information and opinion about public affairs. Besides this different- different definitions of journalism has been given by the renowned people. According to the famous reporter Curtis D. McDonald â€Å"Journalism is news gathering, fact finding and reporting. It is important anywhere at any time. It is indispensable in a democracy as people cannot govern themselves without being informed†. According to Arthur Ochs Sulzberger, Chairman of New York Times (1963) â€Å"Journalisms ultimate purpose [is] to inform the reader, to bring him each day a letter from home and never to permit the serving of special interests.† On the other hand Mass communication refers to the means of communicating with large numbers of people. A number of different elements make up mass communication media: images, colours, lighting, and a variety of other techniques are used to communicate messages and obtain particular effects. Trained professionals of organisation particularly belonging to private entrepreneurs or public, autonomous or government bodies that invest heavily for the hardware and software needed for production and dissemination of those messages. The universal appeal rapidity, ubiquitous and attraction to people irrespective of education, age, gender differences and social status. Today, mass communication has attained an all time high attention because of its need and importance. It is only because of the impact of mass communication that the world has been reduced to a global village. Today, life is so much involved with media that not an hour goes by when we do not speak about, refer to, or plan for t he use of media. It is pervasive like air. About 2500 years ago, Aristotle came out with the ‘ Rhetoric†, a celebrated and highly regarded book on the principles of public speaking that holds great relevance even today. He exalted communication to the level of study. After him, several scholars came up with their own sets of definitions on communication, communication models, as a specialised branch of study, is as old as civilization. Study of communication disapproves the general notion that â€Å"good communicators are born† and indicates that the skills of effective communication can be acquired through conscious effort and practice. Media educators base their teaching on key concepts of media literacy, which provide an effective foundation for examining mass media and popular culture. These key concepts act as filters that any media text has to go through in order for us to respond. Before moving further, the claim people do that Is media only interested in negative stories? The view that the media is only interested in negative stories is hard to digest. One of the basic factors responsible for making such an impression is that in today’s highly globalized economy, corruption has permeated over all sections of the society, resulting in frequent incidence of corruption and crime. It is but natural for the press to bring these facts before the public. Secondly, a lot of mud slinging takes place because of envy and vengeance among the wrongdoers. This type of accusations when reported in the media, occupy a lot of space, raising the percentage of negative stories. The claim of the press that it has to adjust with the taste of readers, viewers and advertisers is a contentious issue. However, it remains a fact that with the growing competition and over enthusiasm to be the first in so-called ‘breaking news’ there is often an extra dose of negative stories or exaggeration of realities. At times, we are shown more than what happened in real ity and that too repetitively. There are a number of key concepts to choose from. Some of the current ones used by media educators are as follows:- Media are constructions Media are constructions generally means that media is such a powerful tool that it even has the power to set agendas. They construct path and compel people to think, to accept what they are showing. What media highlights, people gets involve in it. For instance, Nirbhaya’s rape case of 16th December 2012. In a country where it seems that cases of rapes, sexual abuse etc. would ever get vanish and also when in every 2 minutes a girl gets rape brings out the unlettered people of our country. Nirbhaya’s case got immense coverage because media highlighted it a lot because it was somewhat different from the other rape cases, more atrocious and brutal. People pay tribute to the brave girl, did candle marching and much more. Therefore, media are constructors as whatever they show or write in Newspapers viewers and readers believe. Audiences negotiate meaning We all bring our own life experience, knowledge and attitudes to the media we encounter. Each person makes sense of what he or she sees and hears in different ways. Using their sense many accept the facts or whatever is shown they accept it, but still many argues but ultimately they have to eat humble pie because media is so powerful and has the tendency to make people think and accept the facts they want from people to accept. Media have commercial implications Today almost everything is commercialised and so is media. For instance what we called as ‘paid news’ is one of the example. Daily in newspaper we find a lot of advertisements, any company or people who want to communicate with the larger mass use the print medium by giving the full information whether it is any new product or scheme. This is something which benefits both the entrepreneur and the newspaper. Role of Media in education sector Today media’s functions are not limited to disseminating information and entertaining the masses. Media is an important actor of the civil society. It possesses immense power in its hands. It can effectively help in the formation of public opinion. Notwithstanding this media also plays an important role in education sector. First of all, media keeps people aware about their rights and responsibilities from time to time. For example, we can vote if we are 18 years old. This is our right- Right To Vote. People know about it because all forms of media must have shown this or told about this right of people. Had media not shown this, then people definitely won’t know about their this right even today. Media educates people in all the ways they can. For example, â€Å"That one famous line which you will see in every theatre before the commencement of the movie â€Å"Smoking is injurious to health† and Mukesh’s ad also. If we talk in terms of electronic then da ily we will find so many ad in tv catering to the hazards of smoking or drink. Similarly Print media also keeps on alerting people about the effects of smoking and drink. In newspapers, their articles are their power. They have got that power in their hand which has the potential to motivate people not to smoke. Mass Media is a potent educational force in India, which serves to maintain and expand unjust systems and violent attitudes.Like schooling, the mass media is used to support the coercive power structure of a techno-industrial elite (be they corporate or governmental). Like schooling, the mass media undermines our existence as complete and unique human beings, and tells us instead that we are needy, deficient and homogenous. Prominent figures of our country doing ad also aims at educating people. For example, the polio ad of Amitabh Bachchan, Aamir Khan show ‘Satyamev Jayate’ and through campaigns also media educates people in all form. . Over a span of time development support programmes have been launched effectively by media organizations. An example can be the AIDS awareness campaign of Uganda, where media ran advertisements free of cost. According to some media analysts in third world countries media should play a developmental role. The research will also try to explore this fact. How well have awareness campaign been run in different parts of the world trough the media and if media can take the role of the â€Å"TEACHER† in the society.

Sunday, October 13, 2019

Circuit Board Fabricators Case Essay -- Business Case Study

CBF has hired you to help determine why they are not able to produce the 1,000 boards per day. 1. What type of process flow structure is CBF using? The company is using a batch shop process flow structure. CBF, Inc. bases its board fabrication process on the average job size or on its typical order. This means that the company proceeds with the manufacturing process in batches so as to meet the specific requirements per order. The typical contract that the company currently gets is 60 boards per order. However, due to persisting factory defects, they manufacture a total of 75 boards per batch in order to compensate for 20% of the boards that they typically reject during the process. 2. Diagram the process in a manner similar to exhibit 6.7. According to the book, the diagram is an operation and route sheet that specifies operations and process routing for a particular part. It conveys such information as the type of equipment, tooling and operations required to complete the particular part. The "Setup Hr." is derived from dividing the setup (minutes per job, as illustrated in exhibit 6.9) by 60 minutes. Likewise, the hourly capacity of each operation (Rate Pc. Hr.) is solved by dividing 60 minutes by the run (minutes per part, as shown in exhibit 6.9). 3. Analyze the capacity of the process. The first thing to consider is the process of cleaning and coating of the boards. This particular process involves the set-up of the machines, the loading of the boards, and the actual cleaning and coating of the said boards by the machines. From the computations above, it is clearly illustrated that there is a disparity between the loading of the boards into the machines and the output of the cleaning and the coati... ...es. 2) Enhance or re-engineer the cleaning and coating machines to improve capacity. Basically, the focus of the recommendations is to reduce the disparities between the capacities of the processes involved. Ideally, their outputs must be equal if not, similar to the preceding and succeeding procedures in order to achieve an efficient manufacturing process. The company is also faced with a 20% reject rate that is absolutely unacceptable. A lot of the produced boards go to waste, and a lot of resources are compromised. Moreover, it contributes to the manufacturing strain, as the production team must start with at least 20% more than the required output just to give allowances to the defects. CBF, Inc. should implement a more rigid supervising/monitoring program with the manufacturing processes in order to pinpoint and arrest the cause of these defects.

Saturday, October 12, 2019

Reaching For Dreams - A Ballet :: essays research papers

In watching a professional ballet one doesn’t realize how much work is put into making the production come to life. Both the dancers and the choreographers put every ounce of energy and emotion into telling their story. It takes years for a ballerina to train for the labor that goes into becoming professional, however just weeks to learn a full-length ballet. Dancers can sometimes be put through months of sore muscles in order to train. Often ballet dancers are told to loose weight in order to look their part, or are only given a few minutes for break after hours of vigorous training. In the end it is all worth it though. When I checked out Reaching for Dreams: A Ballet from Rehearsal to Opening Night, by Susan Kuklin out of the library I expected to read another boring drawn out diary. Amazingly this book was difficult for me to put down because I became so enthralled by the process of putting on a ballet. At the beginning of this book the author describes the dancers coming in on a rainy Monday morning to begin warm-ups and rehearsal. This of course is the beginning of their voyage to opening night. The dancers taking part in this production were from the Alvin Ailey American Dance Theatre. The ballet that they plan to perform in seven weeks is called â€Å"Speeds.† The choreographer of â€Å"Speeds† is a world-renowned woman by the name of Jennifer Mullers. This production contains a cast of eleven dancers and five alternates. â€Å"Speeds† is a modern ballet that explains how one moment in time is like no other, and how often things in the world change. Throughout this book, Kuklin observes the life of a dancer. The typical day of a professional ballerina at the Alvin Ailey American Dance Theatre consists of waking up around seven to be at rehearsal in plenty of time to warm-up. In dance warming up your muscles is the most important device to do before beginning, as it helps you stay clear of any possible injuries. After warming up Jennifer, the choreographer, teaches them the dance and makes sure that every move â€Å"flows† with the body of the person dancing it. She claims that â€Å"the dancers must be comfortable with the shapes that they dance.† After hours of strenuous practice the dancers receive a five-minute break to cool off and grab a bite to eat.

Friday, October 11, 2019

Health assessment roper logan tienery

One draw of the field of nursing is the ability for nurses to individualize their care plans for their patients. In order to ensure that unique patients are able to get healthy, they need nursing care plans as unique as they are. This means assessment and evaluation of each patient before and during care.Nancy Roper's desire to become a nurse started in childhood, and as a result of her experiences and education, she, along with two of her colleagues, developed the Roper-Logan-Tierney Model of Nursing to assess patients' level of independence and provide the best ndividualized care for them. The Roper-Logan-Tierney Model for nursing is a theory of nursing care based on activities of daily living, which often abbreviated ADLs or ALs. The purpose of the theory is as an assessment used throughout the patient care. which is often used to assess how the life of a patient has changed due to illness , injury or admission to a hospital rather than as a way of planning for increasing independ ence and quality of life. This model is related to the lifespan of the Individual, identifying twelve activities f living: maintain a safe environment, communication, breathing, eating and drinking, elimination, washing and dressing, controlling temperature, mobilization, working and playing and sleeping.Each of it is influenced by five identified factors, which are biological, psychological, socio-culture, environment and politico economic This model is used in conjunction with the nursing process to Identify actual potential problems for the Individual and how nursing care can advance the patient along the dependence to Independence continuum.

Thursday, October 10, 2019

Agriculture and Wiley

Minerals can affect society in many ways for example; Surface mining destroys vegetation across large areas, increasing erosion. Open-pit mining uses huge quantities of water. Acid mine drainage is pollution caused when dissolved toxic materials wash from mines into nearby lakes and streams. Minerals is approximately 80 percent of mined ore consists of impurities that become wastes after processing. These wastes, called tailings, are usually left in giant piles on the ground or in ponds near the processing plants (Figure 12. 9). The tailings contain toxic materials such as cyanide, mercury, and sulfuric acid.Left exposed, they contaminate the air, soil, and water (Wiley, 2009). What is the difference between metallic and nonmetallic minerals? Provide two examples from each category and discuss their uses. Earth's minerals are elements which are typically compounds of elements and have precise chemical compositions. Sulfides are mineral compounds in which certain elements are combined chemically with sulfur, and oxides are mineral compounds in which elements are combined chemically with oxygen. Minerals are metallic or nonmetallic (Figure 12. 5).Metals are minerals such as iron, aluminum, and copper, which are malleable, lustrous, and good conductors of heat and electricity. Nonmetallic minerals, such as sand, stone, salt, and phosphates, lack these characteristics (Wiley, 2009). These valuable minerals are used for aircrafts, faucets, nails, wire, and alloy steel products. Mining How are minerals extracted from the Earth and processed? In extracting minerals first they need to decide which mining will be determined surface or subsurface mining will be used. Surface mining just means minerals extracted are close to the surface. Surface mining is muchless inexpensive and is more commonly used. Because even surface mineral deposits occur in rock layers beneath Earth's surface, the overlying soil and rock layers, called overburden, must first be removed, along with the vegetation growing in the soil. Then giant power shovels scoop out the minerals (Wiley, 2009). Processing minerals often uses a procedure known as smelting. Purified copper, tin, lead, iron, manganese, cobalt, or nickel smelting is done in a blast furnace. Figure 12. 7 shows a blast furnace used to smelt iron. The iron ore reacts with coke (modified coal) to form molten iron and carbon dioxide (Wiley, 2009).What are the different ways minerals can be mined? Provide a brief description of at least three types of mining. There are two kinds of surface mining, open-pit surface mining and strip mining. Iron, copper, stone, and gravel are usually extracted by open-pit surface mining, in which a giant hole, called a quarry, is dug in the ground to extract the minerals (Figure 12. 6A). In strip mining, a trench is dug to extract the minerals (Figure 12. 6B). Then a new trench is dug parallel to the old one, and the overburden from the new trench is put into the old one, creating a hil l of loose rock called a spoil bank (Wiley, 2009).What effect does extracting minerals have on the environment? Mining, particularly surface mining disturbs large areas of land. In the United States, functioning and abandoned metal and coal mines occupy an estimated 9 million hectares (22 million acres). Because mining destroys existing vegetation, this land is particularly prone to erosion, with wind erosion causing air pollution and water erosion polluting nearby waterways and damaging aquatic habitats (Wiley, 2010). Soil What is your definition of soil? What is soil composed of? Why is soil important to the environment?Soil is the uppermost layer of Earth's crust and supports terrestrial plants, animals, and microorganisms. Soil is formed from parent material—rock that is slowly fragmented into small particles by biological, chemical, and physical weathering processes. Soil is composed of mineral particles, organic matter, water, and air. Soil horizons are the horizontal l ayers into which many soils are organized, from the surface to the underlying parent material. Vast numbers and kinds of organisms, mainly microorganisms, inhabit soil and depend on it for shelter, food, and water.Plants anchor themselves in soil, and from it they receive essential minerals and water. Terrestrial plants could not survive without soil, and because we depend on plants for our food, humans could not exist without soil either (Wiley, 2013). What types of organisms are found in soil? Determine the relationship between soil and organisms. Soil organisms carry out nutrient cycling, the pathway of nutrient minerals or elements from the environment through organisms and back to the environment. What is soil erosion?How can soil become polluted? What effect does soil erosion and pollution have on the environment? Soil organisms provide ecosystem services such as maintaining soil fertility and preventing soil erosion. Water, wind, ice, and other agents cause soil erosion, the wearing away or removal of soil from the land. Soil erosion reduces fertility because essential minerals and organic matter are removed. Erosion causes sediments and pesticide and fertilizer residues to pollute nearby waterways ( Wiley, 2009). What is the purpose of soil reclamation?To undertake soil reclamation, erosion protection, Site restoration and reinstatement, taking into account natural processes, operational requirements and technical feasibility, to deliver post-construction land conditions as similar as possible to those prior to construction or as agreed with the relevant authorities and/or landowner (LMS, 2013). Forestry and Rangeland Resources and Management Strategies Differentiate between government-owned lands and public lands. Which government agencies are involved with government-owned lands? What is the purpose of government-owned lands?Private Citizens, corporations, and nonprofit organizations own about 55 percent of the land in the United States, and Native A merican tribes own about 3 percent. State and local governments own another 7 percent. The federal government owns the rest (about 35 percent). Government-owned land encompasses all types of ecosystems, from tundra to desert, and includes land that contains important resources such as minerals and fossil fuels, land that possesses historical or cultural significance, and land that provides critical biological habitat.Most federally owned land is in Alaska and 11 western states (Figure 13. 1). Federal land is managed primarily by four agencies, three in the U. S. Department of the Interior—the Bureau of Land Management (BLM), the Fish and Wildlife Service (FWS), and the National Park Service (NPS)—and one in the Department of Agriculture—the U. S. Forest Service (USFS) (Table 13. 1) (Wiley, 2009). Why is the forest an important ecosystem? Forests, important ecosystems that provide many goods and services to support human society, occupy less than one-third of Ear th's total land area.Timber harvested from forests is used for fuel, construction materials, and paper products. Forests supply nuts, mushrooms, fruits, and medicines. Forests provide employment for millions of people worldwide and offer recreation and spiritual sustenance in an increasingly crowded world (Wiley, 2009). What is your definition of forest management? What is its purpose? Describe the concept of sustainable forestry. Management for timber production disrupts a forest's natural condition and alters its species composition and other characteristics.Specific varieties of commercially important trees are planted, and those trees not as commercially desirable are thinned out or removed. Traditional forest management often results in low-diversity forests. In recognition of the many ecosystem services performed by natural forests, a newer method of forest management, known as ecologically sustainable forest management, or simply sustainable forestry, is evolving. Sustainable forestry maintains a mix of forest trees, by age and species, rather than imposing a monoculture (Wiley, 2009).What effect does the harvesting of trees and deforestation have on forests and the environment? Is there a preferred method for harvesting trees? Explain. In seed tree cutting, almost all trees are harvested from an area; a scattering of desirable trees is left behind to provide seeds for the regeneration of the forest. Clear-cutting is harvesting timber by removing all trees from an area and then either allowing the area to reseed and regenerate itself naturally or planting the area with one or more specific varieties of trees. Timber companies prefer clear-cutting because it is the most cost-effective way to harvest trees.The preferred method of harvesting tree is tree cutting as oppose to the other 3 methods (Wiley, 2009). What is a rangeland? Describe rangeland degradation and desertification. What effect does degradation and desertification have on the environment? Ra ngelands are grasslands, in both temperate and tropical climates, that serve as important areas of food production for humans by providing fodder for livestock such as cattle, sheep, and goats (Figure 13. 8). Rangelands may be mined for minerals and energy resources, used for recreation, and preserved for biological habitat and for soil and water resources.The predominant vegetation of rangelands includes grasses, forbs (small plants other than grasses), and shrubs. Land degradation is a natural or human-induced process that decreases the future ability of the land to support crops or livestock. This progressive degradation, which induces unproductive desert-like conditions on formerly productive rangeland (or tropical dry forest), is desertification (Figure 13. 9). It reduces the agricultural productivity of economically valuable land, forces many organisms out, and threatens endangered species. Worldwide, desertification seems to be on the increase.The United Nations estimates tha t each year since the mid-1990s, 3,560 km2 (1,374 mi2)—an area about the size of Rhode Island—has turned into desert (Wiley, 2013). What is overgrazing? What effect does this have on rangelands? Overgrazing is the destruction of vegetation caused by too many grazing animals consuming the plants in a particular area, leaving them unable to recover. Overgrazing accelerates land degradation, which decreases the future ability of the land to support crops or livestock. Desertification is the degradation of once-fertile rangeland or tropical dry forest into nonproductive desert (Wiley, 2009).What strategies can be employed for the management and conservation of forests and rangelands? Endangered U. S. ecosystems include the south Florida landscape, southern Appalachian spruce-fir forests, and longleaf pine forests and savannas. Criteria used to evaluate whether an ecosystem is endangered and to what degree it is threatened include its history of land loss and degradation, i ts prospects for future loss or degradation, the area the ecosystem occupies, and the number of threatened and endangered species living in that ecosystem (Wiley, 2009). AgricultureWhat is the difference between industrialized agriculture and subsistence agriculture? Industrialized agriculture uses modern methods requiring large capital input and less land and labor than traditional methods. Subsistence agriculture requires labor and a large amount of land to produce enough food to feed a family. There are three types of subsistence agriculture. In slash-and-burn agriculture, small patches of tropical forests are cleared to plant crops. In nomadic herding, carried out on arid land, herders move livestock continually to find food for them.Intercropping involves growing a variety of plants simultaneously on the same field. What effect do these methods of agriculture have on the environment? Environmental problems caused by industrialized agriculture include air pollution from the use of fossil fuels and pesticides, water pollution from untreated animal wastes and agricultural chemicals, pesticide-contaminated foods and soils, and increased resistance of pests to pesticides. Land degradation decreases the future ability of the land to support crops or livestock.Clearing grasslands and forests and draining wetlands to grow crops have resulted in habitat fragmentation, the breakup of large areas of habitat into small, isolated patches (Wiley, 2013). What is one agricultural challenge, other than soil erosion, that society faces? Explain your answer. Prime farmland in the United States is being lost to urbanization and urban sprawl. Global declines in plant and animal varieties have led many countries to collect germ plasm, plant and animal material that may be used in breeding.Farmers and ranchers strive to increase yields in many ways, including by administering hormones and antibiotics to livestock (Wiley, 2013). How would you describe sustainable agriculture? Ho w does it affect the environment? In regards to agriculture, what are the advantages and disadvantages involved with genetic engineering? Sustainable agriculture uses methods that maintain soil productivity and a healthy ecological balance while minimizing long-term impacts.Genetic engineering, the manipulation of genes to produce a particular trait, can produce more nutritious crops or crop plants that are resistant to pests, diseases, or drought. Concerns about genetic engineering include unknown environmental effects (Wiley, 2009). References WILEY PLUS: Berg, L. R. , & Hager, M. C. (2009). Visualizing Environmental Science (2nd. ed. ). Hoboken, NJ: Wiley. http://www. sakhalinenergy. ru/en/documents/45_Soil_Reclamation_and_Site_Reinstatement_E. pdf `University of Phoenix Material Environmental Resources Worksheet