Saturday, November 30, 2019

U.S Involvement In The Vietnam War Essays - Vietnam War,

U.S Involvement in the Vietnam War "No new taxes." This is a quote that most all of us remember from the 1992 presidential election. Along with it we remember that there were new taxes during that presidents term in office. There are a myriad of promises made and things done in a presidential election year that have questionable motives as to whether they are done in the best interest of the people or in the interests of the presidential candidate. These hidden interests are one of the biggest problems with the political aspects of government in modern society. One of the prime examples of this is the Vietnam War. Although South Vietnam asked for our help, which we had previously promised, the entire conflict was managed in order to meet personal political agendas and to remain politically correct in the world's eyes rather than to bring a quick and decisive end to the conflict. This can be seen in the selective bombing of Hanoi throughout the course of the Vietnam War. Politically this strategy looked very good. However, militarily it was ludicrous. War is the one arena in which politicians have no place. War is the military's sole purpose. Therefore, the U. S. Military should be allowed to conduct any war, conflict, or police action that it has been committed to without political interference or control because of the problems and hidden interests which are always present when dealing with polit United States involvement in the Vietnam War actually began in 1950 when the U. S. began to subsidize the French Army in South Vietnam. This involvement continued to escalate throughout the 1950's and into the early 1960's. On August 4, 1964 the Gulf of Tonkin incident occurred in which American Naval Vessels in South Vietnamese waters were fired upon by North Vietnam. On August 5, 1964 President Johnson requested a resolution expressing the determination of the United Sates in supporting freedom and in protecting peace in southeast Asia ( Johnson ). On August 7, 1964, in response to the presidential request, Congress authorized President Johnson to take all necessary measures to repel any attack and to prevent aggression against the U. S. in southeast Asia ( United States ). The selective bombing of North Vietnam began immediately in response to this resolution. In March of the following year U. S. troops began to arrive. Although the Gulf of Tonkin Resolution specifically stated that we had no military, political, or territorial ambitions in southeast Asia, the interests back home were quite a different story ( Johnson ). The political involvement in Vietnam was about much more than just promised aid to a weak country in order to prevent the spread of communism. It was about money. After all, wars require equipment, guns, tools and machinery. Most of which was produced in the United States. It was about proving America's commitment to stop communism. Or rather to confine communism in its present boundaries But most of all it was about politics. The presidential political involvement in Vietnam had little to do with Vietnam at all. It was about China for Eisenhower, about Russia for Kennedy, about Washington D.C. for Johnson, and about himself for Nixon ( Post ). The last two of which were the major players in America's involvement in regards to U. S. Troops being used ( Wittman ). The military involvement in Vietnam is directly related to the political management of the military throughout the war. The military controlled by the politicians. The micro management of the military by the White House for political gain is the primary reason for both the length and cost, both monetary and human, of the Vietnam War ( Pelland ). One of the largest problems was the lack of a clear objective in the war and the support to accomplish it. The predominant military opinion of the military's role in Vietnam in respect to the political involvement is seen in the following quote by General Colin Powell, "If you're going to put into something then you owe the armed forces, you owe the American People, you owe just you're own desire to succeed, a clear statement of what political objective you're trying to achieve and then you put the sufficient force to that objective so that you know when you've accomplished it." The politicians dictated the war in Vietnam, it was a limited war, the military was never allowed to fight the war in the manner that they thought that they needed to in order to win it ( Baker ). To conclude on the Vietnam War, the political management of the war made

Tuesday, November 26, 2019

The uk authorities and the cfa criminal law and civil law The WritePass Journal

The uk authorities and the cfa criminal law and civil law Introduction The uk authorities and the cfa criminal law and civil law IntroductionBIBLIOGRAPHYRelated Introduction Insider dealing is considered to be legally and morally wrong by the UK authorities and the CFA. In UK, both criminal law and civil law cover the regulation for insider dealingï ¼Å'many investment analysts who are the members of CFA Institute behave under the CFA Code of Ethics and Standards of Professional Conduct. Before the description and effectiveness analysis of UK laws and CFA ethical rules which regulate insider dealing, it is necessary to discuss the reasons for regulating insider dealing. Although there are many arguments and reasons against regulation, it is generally acknowledged that insider dealing is detrimental to common investors, listed companies and stock market. Firstly, stock market is a just, fair and open market, but insider dealing violates this essential principle. With a convenience access to insider information, some use the information to trade in the market, it is not fair for other investors without access to insider information; Insider dealing makes the few profitable and the great majority unprofitable, it is not just; Insider information is not public and open for every investors. Secondly, insider dealing causes losses for investors by misleading them. To some extent, this would discourage investment by undermining investor confidence in stock market and even scare investors away. Thirdly, insider dealing does incalculable harm to reputation and market value of company. When a company scandal of insider dealing is exposed publicly, investors p robably believe that they have been treated unequally even cheated by this company, so investors will lose confidence in this company, causing damages to company reputation. Moreover, common investors lack of capital, time and professional skill, on purpose of risk reduction, they are willing to buy stock of the company with good reputation and without scandals of insider dealing. For the whole stock market, if there are no regulations for insider dealing, it cannot function normally and healthily, because investors will lose confidence in the fairness and profitability of stock market and then decrease and even stop doing transactions to prevent them from being victims of insider dealing. Finally, insider dealing may bring about moral hazard problem. Overall, there is no doubt that regulations for insider dealing are essential. In UK, insider dealing is regulated under the criminal law by Part V of the Criminal Justice Act 1993 (â€Å"the 1993 Act†). The structure of part V of â€Å"the 1993 Act† is shown below: Table of Contents of part V of â€Å"the 1993 Act†1 The offence of insider dealing 52. The offence. 53. Defences. Interpretation 54. Securities to which Part V applies. 55. â€Å"Dealing† in securities. 56. â€Å"Inside information†, etc. 57. â€Å"Insiders†. 58. Information â€Å"made public†. 59. â€Å"Professional intermediary†. 60. Other interpretation provisions. Miscellaneous 61. Penalties and prosecution. 62. Territorial scope of offence of insider dealing. 63. Limits on section 52. 64. Orders. S52 and S53 state the general definition of the offence of insider dealing, and in what circumstances, an individual who has information as an insider is (not) guilty of insider dealing. If an individual who has information as an insider, in the circumstances mentioned in subsection (3), deals in securities that are price-affected securities in relation to the information; encourages another person to deal in those securities; discloses the information to another person improperly, he is guilty of insider dealing.2 If an individual has information as an insider shows that he did not at the time expect the dealing to result in a profit; he believed on reasonable grounds that the information had been disclosed widely; he would have done what he did even if he had not had the information; he did not at the time expect any person, because of the disclosure, to deal in securities in the circumstances mentioned in subsection (3), he is not guilty of insider dealing.3 The sections of â€Å"Interpretation† expound the definition and explanation of several terms for the purposes of this Part. Briefly speaking, these sections tell us what are securities and â€Å"dealing† in securities mentioned in this part; what is â€Å"insider information† and information â€Å"made public†; who is â€Å"insider† and â€Å"professional intermediary†; interpretations of other terms such as â€Å"regulated market†, â€Å"issuer†, â€Å"company† and â€Å"public sector body†. S61 states the penalties for an individual guilty of insider dealing: on summary conviction, to a fine not exceeding the statutory maximum or imprisonment for a term not exceeding six months or to both; on conviction on indictment, to a fine or imprisonment for a term not exceeding seven years or to both.4 It also states that proceedings for offences under this Part shall be instituted in England and Wales by or with the consent of the Secretary of State or the Director of Public Prosecutions.5 S62 states that an individual is guilty of an offence of insider dealing if: he was within the United Kingdom at the time of alleged dealing; the regulated market on which the dealing is alleged to have occurred is regulated in the United Kingdom; the professional intermediary was within the United Kingdom at the time of the offence committed; the alleged recipient of the information or encouragement was within the United Kingdom at the time of receiving the information or encouragement.6 In UK, the system of civil law of insider dealing involves legislations of â€Å"Financial Services and Markets Act 2000(FSMA)†, â€Å"The Code of Market Conduct of FSA (Financial Services Authority)† and â€Å"The Market Abuse Directive Instrument 2005 of FSA†. First of all, Part VIII of â€Å"FSMA† created the ‘civil offence’ of â€Å"market abuse† which includes insider dealing. According to Section 1 in Part I of â€Å"FSMA†, the body corporate known as the Financial Services Authority (â€Å"the Authority†) is to have the functions conferred on it by or under this Act.7 This means that â€Å"FSA† is the regulator of the financial services industry in the UK, given statutory powers by the Financial Services and Markets Act 2000. Part VIII of â€Å"FSMA† states the general definition of market abuse, and gives the authority power to prepare and issue a code containing such provisions as the Authority consi ders will give appropriate guidance to those determining whether or not behaviour amounts to market abuse,8 and to impose penalties in cases of market abuse. It also gives the authority power to investigate and court power to impose penalty in cases of market abuse. In the next place, â€Å"The Code of Market Conduct† given by FSA provides us the descriptions of different behaviours of market abuse. As the description stated in â€Å"The Code of Market Conduct†, insider dealing is where an insider deals, or attempts to deal, in a qualifying investment or related investment on the basis of inside information relating to the investment in question.9 In the sector of MAR 1.3 Market abuse (insider dealing), it provides several descriptions of behaviours and relevant factors and some examples of insider dealing, which give appropriate guidance to those determining whether or not behaviour amounts to insider dealing. Finally, about â€Å"The Market Abuse Directive†, â€Å"FSA† makes this instrument in the exercise of the powers and related provisions in relevant sections of the Financial Services and Markets Act 2000 and defining terms of market abuse. Overall, â€Å"FSMA† is a frame Act, and gives the power to â€Å"FSA† to publish the â€Å"Code on Market Conduct† which has been amended to implement the â€Å"Market Abuse Directive†. As a professional organisation, CFA Institute has issued self regulatory â€Å"Code of Ethics and Standards of Professional Conduct† for their members and candidates. In the first place, standard I (A) provides that members and candidates must understand and comply with all applicable laws, rules, and regulations of any government, regulatory organization, licensing agency, or professional association governing their professional activities. In the event of conflict, members and candidates must comply with the more strict law, rule, or regulation. Members and candidates must not knowingly participate or assist in and must dissociate from any violation of such laws, rules, or regulations.10 So the members and candidates of CFA in UK are responsible for understanding and complying with UK criminal law and civil law of insiderdealing. Next, standard II (A) provides that members and candidates who possess material nonpublic information that could affect the value of an investment must not act or cause others to act on the information.11 According to S56 of the â€Å"1993 Act†, the material nonpublic information that could affect the value of an investment is insider information, and according to S57 of the â€Å"1993 Act†, those members and candidates who possess insider information are insiders. Specifically, guidance for Standard II (A) gives members and candidates of CFA below contents for more attention. (1)Members and candidates must be particularly aware of information that is selectively disclosed by corporations to a small group of investors, analysts, or other market participants. Information that is made available to analysts remains nonpublic until it is made available to investors in general. Corporations that disclose information on a limited basis create the potential for insider trading violations.12 (2)Issues of selective disclosure often arise when a corporate insider provides material information to analysts in a briefing or c onference call before that information is released to the public. Analysts must be aware that a disclosure made to a room full of analysts does not necessarily make the disclosed information â€Å"public†. Analysts should also be alert to the possibility that they are selectively receiving material nonpublic information when a company provides them with guidance or interpretationof such publicly available information as financial statements or regulatory filings.13 (3) A financial analyst gathers and interprets large quantities of information from many sources. The analyst may use significant conclusions derived from the analysis of public and nonmaterial nonpublic information as the basis for investment recommendations and decisions even if those conclusions would have been material inside information had they been communicated directly to the analyst by a company. Under the â€Å"mosaic theory,† financial analysts are free to act on this collection, or mosaic, of inf ormation without risking violation.14 Part V of the Criminal Justice Act 1993 defines insider dealing as criminal offence, it is universally known that criminal offence is very severe illegal-activity, so to some degree just the existence of this criminal law of insider dealing can stifle some criminal offences of insider dealing. In event of insider dealing, this criminal would punish an individual who committed insider dealing to indirectly protect other investors without any compensation, but this indirect protection is not effectively enough. When control rights are concentrated, the restrictions may simply transfer profits from insiders to informed outsiders, leaving uninformed investors no better-off, unless the regulator ensures a concomitant improvement in investor protection standards.14 On the other hand, there are some problems and difficulties enforce this criminal law. First, insider dealing is happened in private and secret by just a phone call, a chat or something which do not leave any actual evidence, so if without effectively investigative techniques it is very difficult to detect or to collect evidence. Even though this can be done, the process will be costly. Moreover, for an individual who seriously committed insider dealing, fines and seven-year sentences is too light when compared with millions of pounds profit. UK civil law in some cases supplements criminal law, FSA can impose penalties of return of profit and restitution for those who can establish loss, but actually few victims can prove loss. CFA code of ethics and standards are self-regulations which have their own strengthens and weaknesses. There are six factors of self-regulation strengthen: flexibility, speed, expertise, acceptance, cost-efficiency, cross-border application, and of its weaknesses: contestability of markets, competitive distortions, insufficient scope, inadequate enforcement, regulatory arbitrage, conflicts of interest.15 Total word: 1912 (excluding word count, references, footnotes, endnotes, and bibliography) BIBLIOGRAPHY Part V of the Criminal Justice Act 1993 Part I of the Financial Services and Markets Act 2000 Part VIII of the Financial Services and Markets Act 2000 The Code of Market Conduct in Financial Services Authority Handbook Market Abuse Directive Instruments of Financial Services Authority CFA Study Session 1 Eva Hupkes, Journal of Business Law 2009 Regulation, self-regulation or co-regulation? Art A. Durnev and Amrita S. Nain, The Effectiveness of Insider Trading Regulation Around the Globe

Friday, November 22, 2019

Analysis of Tyrells Potatio Chips business

Analysis of Tyrells Potatio Chips business The team of the Tyrrell potato chips is very passionate about growing potatoes and turning them into delicious chips. Having travelled the world in the last nineties in search of the perfect potato chips production method and equipments. Therefore later on the equipment and methods were brought to Tyrrell’s court farm and launched a product that would be Britain’s best loved â€Å"premium† snack product. The main objective of the Tyrrell’s potato chips was to get closer to the customers. Therefore as a result Tyrrell potato chips developed a more sophisticated chip. He mainly cut the potatoes thicker so that it retained more potato flavor. Due to this the final product was very different from other products and therefore the customers were happy to pay a premium price for a superior quality and a better tasting product. Since the launch of Tyrrell potato chips in 2002, it has built over 4000 customers. They include independent retail customers and many pr estigious food retailers. Therefore Will Chase continues to evolve his dream and remain devoted to develop the Tyrrell’s brand using his Herefordshire farm. What advice would you offer Will Chase, the owner of â€Å"Tyrrell’s chips†, as to how to develop and grow its customer base amongst customers from higher social grades, without either changing or losing the perception of its product coming from a Herefordshire farmer. With reference to: http://en.wikipedia.org/wiki/Customer_base 2010 11:30am customer base is defined as: The customer base is the group of customer and/or consumers that a business serves. In the most situations, a large part of this group is made up of repeat customers with a high ratio of purchase over time. These customers are the main source of consumer spending. In many cases, the customer base is considered the business’s target market, where customer behaviors are well understood through market research or past experience. All act ions the company takes would be through consideration of its customer base. Companies with a customer base consisting mainly of large companies may increase their customer base by pursuing small and mid-size companies Businesses in war zones may temporarily expand their customer base to include military personnel, but ongoing violence can drive away a local customer base. The advice offered by me to Will Chase will be based on three main points i.e.: Maintaining company’s image Customer relationship management (CRM) Emphasis on core benefits of unique selling proposition (USP) Maintaining company’s image means that whatever action is taken by the members of the company it should make sure it gives a rise to the company’s name and not a fall. The company’s image can be maintained by considering the 4p’s of marketing, the 4p’s of marketing are as follows: product, price, place and promotion. Customer relationship management (CRM) is the overal l process of building and maintaining profitable customer relationships by delivering superior customer value and satisfaction. Unique selling proposition (USP) is a marketing concept that was first proposed as a theory to explain a pattern among successful advertising campaigns of the early 1940s. It states that such campaigns made unique propositions to the customer and that this convinced them to switch brands. The term was invented by Rosser Reeves of Ted Bates & Company. Today the term is used in other fields or just casually to refer to any aspect of an. object that differentiates it from similar objects

Wednesday, November 20, 2019

Lack of communication between students and academic advisors Essay

Lack of communication between students and academic advisors - Essay Example First, students are not assigned to ‘individual advisors’; in other words, they keep on changing advisors as the course of their study progresses; hence, the problem crops up as a result of inconsistent communication. For sure, there are differences in advising strategies from one advisor to another so once a student is not being assigned to his or her individual advisor throughout the entire duration of the study, it only blurs the approaches that students will have to implement in their studies. Second is record keeping: the downside of having to be assigned to various teachers is the lack of constant communication and the disarray of record-keeping. As aforementioned, each advisor has varying counseling and advising strategies; and this only cause nothing but potential confusion on the part of the student. Because they are not assigned to a single advisor, chances are they are not going to develop a singular approach towards their study or research. And that is aside from the fact that they do not get to meet their advisor on a permanent basis. Lastly, the issues on policies whether to employ individual advising or one on one advising or not only exacerbate the situation: academic institutions should be able to address this concern once and for all. Lack of communication between students and advisors is a result of inconsistency of meetings between students and advisors. If we can get the students assigned to a single advisor throughout the entire duration of their study, then there is a greater chance that they will be able to complete their degrees; but again, the decision entirely depends on the policies of the schools. The above argument proves that each student should be given a separate student and not a horde of people who just care to get done with their work without much caring about the probable outcomes of their research. Coming to our main issue, dealing with the biased attitude towards students that are not assigned to individual ad visors. Coming to other questions which state that since this is such a small proportion of people so why such big enforcements are needed? The answer is that they are citizens too and thence it is their right to have everything that is destined for them. Though, this is agreed that there are laws for the disabled but how many people respect them? And how many universities; both private and state universities, follow the instructions laid down by the ADA act? So the duty falls upon the fellow students to minimize their biases and help push the implementation of policies that encourage assignment to individual advisors. Contentions on Policy Changes One particular reason as to why assigning students to individual advisors cannot be carried out is that the student to teacher ratio suggests it cannot be done. Well, that is if the intention is to assign one student per advisor and that is it. However, assignment of students to individual advisors should not be defined by claiming the en tire exclusivity of the advisor for the students advising needs for the entire duration of the study. The point is that students needs to have â€Å"

Tuesday, November 19, 2019

Consumption and convergence Essay Example | Topics and Well Written Essays - 750 words

Consumption and convergence - Essay Example Consequently the concept now commands preponderance over format. The ensuing fusion of till now estranged media has finally made way for the virtual world that is far more interesting and tangible as compared to the utterly scattered version of reality offered by the analogous media. Murdock celebrates the advent of digitization by declaring that, â€Å"This age of analogue communications is now coming to an end. It is giving way to a new media landscape based on digital technologies (2008: 35).† Convergence is a natural and direct outcome of the homogenization of format made possible by digitization. Merriam-Webster dictionary defines ‘convergence’ as, â€Å"the merging of distinct technologies, industries or devices into a unified whole (2009).† Hitherto the concept of convergence had certain negative connotations associated with it because of the fear of a possible concentration of power and the annihilation of diversity. Yet, the fact is that convergence is a direct response to the needs and preferences of the contemporary consumer who thrives in a scenario where the line between work and entertainment is very think and the enhanced access facilitated by the compatibility of variegated portals is in high demand. It will get really feasible to grasp this idea by pragmatically comparing two recent instances of media convergence i.e. PS3 and Nintendo WII videogame consoles. On November 11, 2006, Sony Entertainment officially released its much anticipated Play Station 3 (PS3) video console in Japan. This was followed by a US release on November 17, 2006 and then in Europe on March 23, 2007. The PS3 was not being marketed as just a video game console but as a home multimedia system. This is because the PS3 is packed with various technologies that can readily be consumed through other platforms. The PS3 console is manufactured with an inbuilt BLUE RAY disc

Saturday, November 16, 2019

The murders in Mary Shelleys Essay Example for Free

The murders in Mary Shelleys Essay There were however, moments when his conscience surfaced often did my human nature turn with loathing from my occupation this obviously shows us that Frankenstein was not completely enthralled by his work and that he did have some of his morals intact. But eventually his true reasoning behind his experiments surfaces. Frankensteins whole intention was to play God and to create a creature different from humans. `A new species would bless me as its creator. This shows us that Frankenstein feels that by completing his experiments he could become almost God-like by holding the power of life and reviving the dead. This can also be seen through the title of the novel Frankenstein or The Modern Prometheus, as Prometheus stole fire from the Gods, Frankenstein stole creation from the Gods for the betterment of humanity. The stronger theme is that of discrimination to outsiders. The character of Frankenstein is not represented as evil. He is self-centred and single minded in his pursuit to create perfection and learn, the secrets of heaven and hell. He doesnt consider the implications of his hazardous research or believe that anything could possibly go wrong, his intentions he believed were good. Shocked at his failure and unable to accept his loss of control over his creation Frankenstein runs away from the problem. He is too vain to confess that what he has done is wrong and will not reveal his secrets to even his most loyal friend Clerval. He almost lives in a dream world, believing that he can become an architect of life and respected by all. Frankensteins ultimate weakness is his failure to admit failure. In this way Frankenstein could be held partly responsible, inevitably it was the monster that had killed. His killings were premeditated and targeted in who he was to kill, he did not kill to defend himself but to cause pain to Frankenstein. When the creature is first brought to life, he is confused; he is quick to develop an understanding of the sense of pain, heat, hunger and cold. He marvels and delights like a child at the sights and sounds of nature. He is puzzled by the beating that he receives from the villagers and resolves to keep his distance and observe them, hoping that he will discover why they drove him away. We can clearly see that there is no anger or desire for revenge at this stage, the creature delights in their beauty and happiness and shares their sorrows, when they were unhappy, I felt depressed, when they rejoiced, I sympathised in their joys i He has no evil intentions towards anyone or anything at this stage, he is still very innocent. This could have been a deliberate portrayal by Shelley to make the creation like a child, impressionable by society. However, when the monster tries to help others, he is rewarded not by acceptation into society but by physical abuse. When he is shot after trying to save a small girl he vowed eternal hatred and vengeance to all mankind i The monster showed no hatred to mankind until he was repeatedly rejected by society and even the De Lacey family who he thought he was close to abandoned him, as had his creator. In this way we can see that throughout the novel society rejects someone who is different, which meant the monster could not live like others, but in stead live an existence where he sought human companionship even though they rejected him. The monster says that his reasoning for his murders was, ` the barbarity of man. so Shelley is trying to show us that monster murdered because he was rejected by man. The monster says ` I am malicious because I am miserable because he was outcast from the world forever. So society is partially responsible for the murders. In conclusion we can see that the question, Who is responsible for the murders in Frankenstein? cannot be answered by placing the blame wholly onto one character. In fact Frankenstein, his creation and society as a whole played a part in the deaths. Although it may have been the monster who strangled William and murdered both Elizabeth and Clerval it was Frankensteins inability to admit to his faults that led to the death of Justine. As Frankenstein could not be bold enough to let other people know that it was not Justine who killed William but his creation. If Frankenstein had divulged his secret then they would know it was the monster who perpetrated the murders. Furthermore, if Frankenstein had told Clerval of the monster then Clerval may not have died, but this can be said for all the murders that occur in the novel. So it was the monster that killed not to defend himself but to have his revenge on a society who judged him not by his morals but by the way he looked. As can be said for our society today which contains many people who discriminate others because of sex, age or race. I feel that Victor is mainly responsible, he started an experiment to which he had given no thought and when he was not happy with the result he ran away hoping that it would pass over but it didnt. Even though he had numerous chances to admit to his failure it was only when it was too late that he confessed.

Thursday, November 14, 2019

Fission Or Fusion :: essays research papers

Fission or Fusion I think that right now, fission is the only way that we can get more energy out of a nuclear reaction than we put in. First, the energy per fission is very large. In practical units, the fission of 1 kg (2.2 lb) of uranium-235 releases 18.7 million kilowatt-hours as heat. Second, the fission process initiated by the absorption of one neutron in uranium-235 releases about 2.5 neutrons, on the average, from the split nuclei. The neutrons released in this manner quickly cause the fission of two more atoms, thereby releasing four or more additional neutrons and initiating a self-sustaining series of nuclear fissions, or a chain reaction, which results in continuous release of nuclear energy. Naturally occurring uranium contains only 0.71 percent uranium-235; the remainder is the non-fissile isotope uranium-238. A mass of natural uranium by itself, no matter how large, cannot sustain a chain reaction because only the uranium-235 is easily fissionable. The probability that a fission neutron with an initial energy of about 1 MeV will induce fission is rather low, but can be increased by a factor of hundreds when the neutron is slowed down through a series of elastic collisions with light nuclei such as hydrogen, deuterium, or carbon. This fact is the basis for the design of practical energy-producing fission reactors. In December 1942 at the University of Chicago, the Italian physicist Enrico Fermi succeeded in producing the first nuclear chain reaction. This was done with an arrangement of natural uranium lumps distributed within a large stack of pure graphite, a form of carbon. In Fermi's "pile," or nuclear reactor, the graphite moderator served to slow the neutrons. Nuclear fusion was first achieved on earth in the early 1930s by bombarding a target containing deuterium, the mass-2 isotope of hydrogen, with high-energy deuterons in a cyclotron. To accelerate the deuteron beam a great deal of energy is required, most of which appeared as heat in the target. As a result, no net useful energy was produced. In the 1950s the first large-scale but uncontrolled release of fusion energy was demonstrated in the tests of thermonuclear weapons by the United States, the USSR, Great Britain, and France. This was such a brief and uncontrolled release that it could not be used for the production of electric power. In the fission reactions I discussed earlier, the neutron, which has no electric charge, can easily approach and react with a fissionable nucleus ,for example, uranium-235. In the typical fusion reaction, however, the reacting nuclei both have a positive electric charge, and the natural repulsion between them, called Coulomb repulsion, must be overcome before they can join.

Monday, November 11, 2019

Old Age Home Essay

Abstract The elderly population is rising globally and similar trends are being observed not only in Asia but also in Pakistan. A developing country facing several challenges in the form of political instability, lack of economic growth, low savings of the elderly, weak pension system, makes life challenging for the elderly. Pakistan’s demographic trends show that between 1990 till 2010, the population aged 60+ years increased by 75.1 %. It is projected that the life expectancy will increase to 72 years by 2023. WHO report (1998) projected that 5.6 % of Pakistan’s population was over 60 years of age, with a probability of doubling to 11 % by the year 2025. Pakistan is a socially cohesive society and elders are valued and respected. It is normally considered to be the responsibility of the eldest son to take care of their parents. In spite of a socially cohesive society in Pakistan, in some segments, norms have been changing and recently, one can notice a clear turn down of the e xtended family system. Children leave their parents and there is no one who could look after their needs. Consequently, the abandoned parents land up in old homes. With meager resources and a poor understanding of aging; Pakistan faces many challenges in caring as well as provision of facilities for its elderly population. This present report highlights the comparison between the quality of facilities that are provided to older people in home and private or government institutes. Future possibilities for improvement of facilities for the good health and wellbeing of our elderly are also discussed. Read more:  Problems Faced by Old Age People Introduction of gerontology Gerontology is an introduction to the field of human aging. Gerontology is multidisciplinary in nature as all aspects of human aging are viewed in this subject. This means that the study of aging combines information from several separate areas of study. Biology, sociology, and psychology are the â€Å"core† or basic areas, along with content from many other areas of study such as public policy, humanities, and economics. Gerontology includes the study of physical, mental, and social changes in older people as they age, the investigation of the changes in society resulting from our aging population as well as the application of this knowledge to policies and programs for the assurance of better quality of life for older people in the  community, the state and the nation. Taking care of our elders is an Islamic obligation and also an integral cultural norm in Pakistan. Despite being a socially cohesive society; the decline of extended family systems is evident. This has affec ted the respected status of the elderly enjoyed in their later years. As nuclear family system is increasing in urban areas, they are unable to take charge of the elderly due to many socio-economic and cultural constraints. So they have begun to seek assistance from formal institutions engaged in elderly care. Importance of gerontology: Gerontology is very important as people working in aging report great satisfaction in addressing the challenges of those who are growing older, helping to maintain the quality of their lives, and enjoying the wit, wisdom, and creativity of the older persons with whom they come in contact. Even as a student you can make a difference; your community can benefit from volunteer work you do with older persons. Later, as a professional in the field, you can continue to serve the community as a volunteer, for example, by speaking about various aspects of aging to civic and community groups or teaching in pre-retirement programs. Working in the field of aging provides an opportunity to influence positively the agencies and organizations serving older persons and the legislation and policies that affect their lives. Studying aging also gives you a perspective on your own aging and insight into the aging of your family members. Review of literature The older population has been growing at an unprecedented rate. In 1980, just prior to the convening of the First World Assembly on Ageing, there were 378 million people in the world aged 60 years or above. In followed figure has risen to 759 million over the past three decades and is projected to jump to 2 billion by 2050. Actual and projected global population aged 60 years or over, 1980, 2010 and 2050 Our Religion stresses a lot on the rights of elderly people and we are asked to serve elderly relatives of our parents if parents are not alive. We make  fun of the West that they send their parents to â€Å"Old Houses† and do not bother to inquire about them. Now if we analyze that what is happening to elderly people especially in the poverty struck rural areas it gives us following haunting facts : – Elderly people die miserably due to lack of food and medical attention. They develop psychotic disorders due to depression and dejection. They develop certain diseases by not eating healthy food which is not providing the necessary multi-vitamins needed to survive in the old age. Employee’s Old age benefits pension money is used by their family members. They have very limited social life. Lack of religious and basic education deprived them from doing anything useful to pass the time. Children of even well settled families tend to ignore grandparents who just need to share love with them and focus. Sheltered housing provides social contact and a secure environment that appeal to many older people. Sheltered housing has proven to be popular for a minority of people as alternatives to residential care or high intensity old homes. They provide flexible care and 2 accommodation suited to those with mobility problems. Satisfaction levels are high, particularly in relation to access to care and the provision of meals. Housing expectations changed, issues with this form of provision started to emerge in the 1980s. The difficulties identified in the provision of sheltered housing are now well known. A review of the factors leading to difficulties with letting sheltered accommodation (in England and Wales, 1994-5) found that 92% of local authorities and 79% of large housing ass ociations had encountered some difficulty in letting their stock. Furthermore, 8% of local authorities and 14% of housing associations found over half of their traditional sheltered housing units difficult to let (Tinker et al, 1995). Now be somewhat dated, though the issues encountered have been reiterated since then. Following are the old age homes difficulties or issues have been identified: Size of properties was often identified as particularly problematic, with bedsits being the least popular, and single bedroom flats being increasingly seen as too small for older people, particularly couples and those being encouraged to down-size from larger social rented housing. Access difficulties, particularly where properties are on upper floor without lift access; wheelchair access can also be problematic. Guidance on the development of  new sheltered housing in Scotland in 1980 specified that sheltered units should be on ground or first floor, unless a lift was provided (Scottish Development Department, 1980), and this was not revised with more accessible specifications until Housing for Varying Needs was introduced in 1998 (Pickles, 1998). The neighborhoods in which sheltered schemes are located have changed significantly since their initial development, with the closing of local shops and services, and reductions in public transport. They may also now be in areas where other housing and social issues make them unpopular for all tenants, not just older people. The introduction of the European working time directive and other developments in human resources mean that the role of the scheme manager has had to change. This also reflects the changing cli ent group that is living in sheltered housing. The increasing age of residents in sheltered schemes meant that the level of support available from the scheme manager was insufficient, and prior to the developments in widespread community cares and support services, this was a significant issue. Some areas may have an over-provision of sheltered housing units. Richard and Gill Walker, looks into the social context of housing for aged ones. It covers the demographic material, facts about social framework of old homes for older people. This includes a review of demographic information, evidence relating to the needs, perspectives and choices of the aged people with respect to this housing, along the problems of segregation and marginalization and their impact on their livings. Philip O. Sijuwade did his study about Self-Image of Aged which looks into the different approaches , stereotypes, and age factors which regulates suitable behaviors for the older ones(social image). It states that, old ones have developed their self-image too, which depicts the way they think of themselves and the way ‘others’ think of them. This is based on primary research states that stereotypes have been built about the aged people of the society and they are not treated in the way they deserve to be. Residential satisfaction of the older adults in ag e-segregated facilities is described by Sandra G. Reynolds and Julia O. Beamish which looks into the housing satisfaction of old home people with liberated living services. Twenty one residents contributed as a focus group and results showed that these old people liked  safe and secure atmosphere and value good design, friendly neighborhood, privacy and residential characteristics. G. Clare Wenger and Richard Davis, indicates that main factors of social isolation includes marital status, social interaction, health conditions, behavior of ‘others’, type of networking and loss of mobility. They conclude nothing could be generalized about it but trends in society have old ones feeling marginalized on this earth. It can vary on according to personal background and situation. In some cases, older ones are forced to live in a residentially segregated area whereas in other cases, aged people are themselves willing to have such segregation. The reasons for which older ones preferred institutional living arrangement are for preservation of dignity and respect, peace of mind, avoidance of familial conflict along with the provision by fulfillment of all basic needs, unwillingness to depend on family members on economic and social basis. One of the famous sociologists Livson conducted a research ,‘The Transition into Retirement and Old Age’ in 1962 and found that survival of family, economic condition and health condition along with other factors plays important role as individuals adopts to grow old. She is of the view that changes in economic and health status are not only the issues which require our attention. Most important issue is the adjustment of that particular person into the current situation according to the increasing age. references Project funded by a generous grant from Andrus Foundation  © Copyright 2001 — Careers in Aging http://www.careersinaging.com/careersinaging/what.html http://www.academia.edu/1854670/Aging_and_Elderly_in_Pakistan http://www.un.org/esa/socdev/ageing/documents/publications/current-status-older-persons.pdf http://www.careersinaging.com/careersinaging/why.html http://memberfiles.freewebs.com/84/90/65819084/documents/Aging%20in%20Pakistan.pdf

Saturday, November 9, 2019

Endangered Species Essay

Endangered Species An endangered is a species where the number of the animal’s population has decreased to a point where there is a risk of extinction. Habitat destruction, pollution, and over harvesting has led to extinction. As of 2013, studies show that global extinction threatens more than 30%of at least 70,200 species. The World Wildlife Fund has stated that one of the â€Å"great extinction episodes† of in Earth’s history is currently under way. Animals becoming endangered is a major threat to ecosystems around the world. Animals are a part of the constant cycle that keeps the nature of it’s habitat in balance. If you were to take away the animal, it takes away a crucial part of the cycle, and many other parts of the cycle would perish without the animal’s contribution. Humans are at fault for the mass amount of endangered species because of the detrimental environmental habits that they have. This puts us to great shame and leaves us responsible for these innocent animals.

Thursday, November 7, 2019

Complexity and Contradiction in Architecture Essays

Complexity and Contradiction in Architecture Essays Complexity and Contradiction in Architecture Paper Complexity and Contradiction in Architecture Paper Complexity and Contradiction in Architecture Robert Venturi In this article the author Venturi talks about the importance of applying inner complexity and contradiction to create more sophisticated, diverse architecture over over-simplified, black-or-white architecture. Non Straightforward Architecture: Gentle Manifesto In modern society even a simple building holds many complex aspects, its program, structure, mechanical program, and expression. The author opens up a view that is different from the traditional, orthodox idea of architecture: embracing the problems, challenges, complexities the design has to resolve. Venturi prefers richness of meaning and inconsistency over clarity and directness. However, he also states that the complexity and contradiction of the architecture shouldn’t be excluded from the whole. It has to hold its truth to the totality. Complexity and Contradiction vs. Simplification or Picturesqness Many modern architects have ignored the diversity and the sophisticated elements to try so hard in their attempt to break through traditions. They have abandoned solving complex problems and including various requirements. The principle of modern architecture, â€Å"less is more† has been taken the wrong way. The strong attempts to follow the simplicity of modern architecture, many modern architects have sacrificed important considerations and even oversimplify the architecture. Forced simplicity can result in oversimplified architecture and it can mean bland architecture. The desire for simplicity doesn’t have to sacrifice the inner complexity of the architecture. However, the desire of complex architecture is not of picturesqness or subjective expressiveness; it’s that of the program and medium of architecture. Ambiguity Ambiguity and tension are easily found in complex and contradictory architecture. Architecture is perceived by its form and structure, its texture and material. Therefore, how the architecture is perceived depends on the viewers’ personal opinions, experiences, and interpretation of the form, structure, texture, and material of the architecture. In comparison to a poem, the author discusses that a successful architecture promotes diverse opinions, perceptions, and experience of the architecture with great tension. Contradictory Levels: The phenomenon of â€Å"Both-And† in Architecture The traditional architecture is characterized by â€Å"either-or† while the architecture of complexity and contradiction is characterized by â€Å"both-and. † The source of both-and being contradictory gives different levels of meanings and values among the architectural elements. The observer’s perception of the architecture becomes more vivid because it involves more rigorous observation for the meanings and values of the architectural elements. Complex and contradictory architecture have both good and bad spaces. It is the architect’s responsibility to decide what elements he or she wants to compromise for the whole. The complexity and contradiction of architecture gives multiple meanings and experiences to the users at different time and from different point of view. After reading this article, I realized the importance of providing more interesting, vivid, diverse architecture to the users. It is not always about the beauty and apparent function of the architecture. It is the architect’s responsibility to create diverse and various levels of experience for the observers. It is so fascinating to know that I can create a single space which people can experience multiple meanings of the space at multiple points of time. I think that is one of the important aspects of what I consider successful architecture.

Monday, November 4, 2019

The purpose of Building Standards Dissertation

The purpose of Building Standards - Dissertation Example In the UK, over one third of the carbon dioxide emissions come from buildings. The emission of carbon dioxide is very harmful to the environment and in order to protect the ozone layer we have to emphasise the importance of standards. Building Standards are fundamental to the health and safety of us all. In this regard the authorities are working hard to ensure that standards are achieved and continuously improved. Compliance and enforcement has become new issues as standards are being adapted to keep abreast with design, technology, materials and construction, as well as energy conservation issues. However, there has been increasing concerns with regards to the level of compliance, frequency, pace and increasing complexity of these changes. Construction standards have evolved overtime with frequent and more complex Building Regulations since the 1990’s. These changes relate to: Structure of buildings, Fire safety to both dwelling houses and other buildings, Site preparation a nd resistance to contaminants and moisture; Toxic substances; Resistance to the passage of sound; Ventilation; Hygiene; Drainage and waste disposal; Combustion appliances and fuel storage systems; Guidance and Supplementary Information on the UK Implementation of European Standards for Chimneys and Flues; Conservation of fuel and power to existing dwelling houses, other buildings, new dwelling houses and other new buildings; access to and use to buildings; Glazing – safety in relation to impact, opening and cleaning.

Saturday, November 2, 2019

Chose a topic on requirements Essay Example | Topics and Well Written Essays - 2250 words

Chose a topic on requirements - Essay Example Studies reveal that the larger part of the population of k12 standard studies in public schools. This wouldnt be much of a story if the information on school execution upheld these presumptions. Yet private schools are frequently outflanked by their open partners. Certainly, private schools frequently have higher crude test scores. In any case they likewise have a tendency to serve more advantaged populaces. Thus, when elements like salary, race, and parental training are considered, private schools dont seem to include to the extent that as one may accept they do. Charter schools are some piece of the reinvention of government funded instruction. They initially rose in the 1990s as a conspicuous and disputable school change thought. Folks, instructors, and group associations are the authors of most Charter schools, however some are begun by revenue driven organizations. Charter schools are state funded schools that have been liberated of numerous prohibitive principles and regulations. In exchange, these schools are required to attain particular instructive results inside a certain period (typically three to five years) or have their contracts disavowed. But according to a study, there is no significant effect observed on the performance of students in their test scores, in charter schools (Bettinger, 2005). There are no normal charter schools. Normally littler than state funded schools, 60 percent of sanction schools have fewer than 200 people. They additionally have a tendency to have distinctive evaluation designs from other state funded schools, for example, kindergarten through evaluation 8 or 12, and ungraded schools. Dissimilar to government funded schools, some sanction schools concentrate on a specific branch of knowledge, for example, math, science, expressions of the human experience, or engineering. Charter school implementation additionally neglects to match open recognitions. As examination demonstrates, sanction school quality shifts