Wednesday, December 25, 2019

Adoption by Same-Sex Couples Essay example - 2061 Words

Adoption by Same-Sex Couples 19th Annual Robyn Rafferty Mathias Conference I. Introduction In recent years, there has been an increase in same-sex couples applying to adopt children at both infancy and from the foster care system. Although society’s perception of a family normally consists of a mother and father, the times are changing. According to the United States 2000 Census, this societal perception of a normal family, referred to as the â€Å"nuclear family†, only represents less than 24%, of households in the U.S. The notion of the â€Å"nuclear family† is ever changing in today’s society, and with this change must come a more open view of who can adopt children. It is clear that there are several issues regarding gay and†¦show more content†¦By allowing same-sex couples to adopt, children who would normally linger and age-out of the foster care system can be put into permanent and loving homes. II. Parenting Capabilities of Same-Sex Couples One of the main reasons that some individuals feel that same-sex couples should be banned from adopting children is due to the belief that they are incapable. There are various amounts of scientific research compiled by the American Civil Liberties Union that shows that the parenting practices of same-sex couples are just as good as those of heterosexual couples. The ACLU released a document entitled Too High a Price: The Case Against Restricting Gay Parenting. In this document there is a detailed overview of the scientific research done in this field. This research focuses on the psychological, emotional, social, and cognitive developments of children raised by same-sex couples, the quality of parenting of these couples, and the sexual and gender development of the child or children in their home. In looking at these key factors, researchers were better able to make comparisons between same-sex couples and heterosexual couples. These s tudies used various groups of people including single lesbian mothers, gay fathers, heterosexual couples, and heterosexual single parents. In order to conduct the studies, researchers used psychological tactics, which included both interviews and intensive examinations of both the parents and children.Show MoreRelatedAdoption With Same Sex Couples1162 Words   |  5 PagesNovember 2017 Adoption with Same-sex Couples Adoption is when a child is removed from their home and are now under protection of another family. They can be related or unrelated to the child. It can be great for children, as they can live a better life than they would have had with their birth parents. The children may have endured abuse or neglect and need to get out of the situation, or the parents could have not thought that they were able to take care of the child. Either way, adoption is made toRead MoreEssay on Same Sex Couples Adoption Rights2243 Words   |  9 PagesShould Same Sex Couples Have the Same Adoption Rights as Heterosexual Couples? Krystal Davis COM/220 March 13, 2012 Barbara Plyler Should Same Sex Couples Have the Same Adoption Rights as Heterosexual Couples? In 2008, President Barack Obama stated there are too many children who need loving parents to deny one group of people adoption rights (eQuality, 2005). A child will benefit from a healthy, loving home, whether the parents are gay or not (eQuality, 2005). With thatRead MoreEssay about Adoption of Children by Same-Sex Couples1324 Words   |  6 Pagesto consist of a heterosexual couple and their children, but many forms of family life exist in contemporary society. Homosexual people also form family units, either as single parents or as couples, with children, who are included in the family through a variety of circumstances. Many have children who were born in previous families (Johnson Piore, 2004) and many have children who were born in a previous heterosexual marriages. A gay man or lesbian women or couple can enlist the help of a surrogateRead MoreGay Adoption And The United States1412 Words   |  6 Pagesdo gay couples have on adoption agencies in the United States? â €Å"An estimated 65,500 adopted children are living with a lesbian or gay† parent (Lifelong Adoptions)​.†Ã¢â‚¬â€¹There are 1 million lesbian, gay, bisexual and transgender parents raising about 2 million children in the U.S† (Why Gay Parents Are Good Parents). ​Even though people believe gay adoption will cause children to act different Gay adoption positively affects adoption agencies because most kids end up with gay couples, Gay couples are moreRead MoreGay Adoption And The United States1412 Words   |  6 Pagesdo gay couples have on adoption agencies in the United States? â€Å"An estimated 65,500 adopted children are living with a lesbian or gay† parent (Lifelong Adoptions)​.†Ã¢â‚¬â€¹There are 1 million lesbian, gay, bisexual and transgender parents raising about 2 million children in the U.S† (Why Gay Parents Are Good Parents). ​Even though people believe gay adoption will cause children to act different Gay a doption positively affects adoption agencies because most kids end up with gay couples, Gay couples are moreRead MoreGay Adoption Should Be Legal1355 Words   |  6 Pagesare no unwanted children just unfound families† (National Adoption Center.). Families together are one not anything different from every other family. No matter race, color, or the type of family. Adoption is just a way for anybody who wants to create a family would be able to have the access to have a family of their own. Even to the families who are not able to have a child or does not have a partner to have a child. The National Adoption Center allows the families in need to adopt a child in needRead MoreLegal And Non Legal Responses1339 Words   |  6 PagesA family is defined as the natural and fundamental group unit of society especially in relation to the upbringing of children. However, this Eurocentric, nuclear family construct has evolved as alternative family arrangements such as de-facto and sam e sex relationships as well as adoptive families have become part of the term ‘family’. The domestic legal system has introduced and amended laws to deal with these contemporary issues. Similarly, there are non-legal responses such as the media and variousRead MoreShould My Forever Home Exist?1664 Words   |  7 PagesAlong with that, many couples that want to have a child to care for. Even though many families wish to conceive children, but when they cannot they then chose to adopt a child. Some people think it remains just that simple, but in all reality it’s not. When a couple chooses to adopt they can then start to fill out countless papers and pay quite a bit of money, but not every couple can adopt. Allowing gay and lesbian couples, allowing overseas adoption, and allowing a lower adoption price and quickeningRead MoreShould Same Sex Couples Be Legal?906 Words   |  4 PagesWith marriage between same sex couples becoming legal in more and more states, c ouples are trying to adopt or using other alternatives to having children of their own. Though that does not mean that same sex couples did not have children before they were legally allowed to be married. There is criticism about whether or not same sex couples should be parents and both sides have quite the following and are ambivalent in their opinions. There are different ways for same sex couples to have children.Read MoreMy Analysis on Same-Sex Adoption661 Words   |  3 Pagesespecially on the grounds of race, age, or sex is discriminating; according to the Oxford dictionary. This term does not empower them, but instead make people feel powerless. Same-sex couples in particular, who are looking to adopt, feel unequal to their heterosexual associates. In relation to adoption, there shouldn’t be preference to heterosexual couples over same-sex couples. Adoption typically is not an easy process, but when it comes to people of the same sex trying to adopt, what seems to be as simple

Monday, December 16, 2019

The Strategic Management Of The Supply Chain - 2162 Words

The strategic management of the supply chain does not consist of introducing innovations in order just to innovate. It is about creating a configuration that will make the strategic objectives progress. According to Slack et al. (2004, p.67) an  « operations strategy concerns the pattern of strategic choices and actions that set the purpose, objectives and activities of operations  ». According to Hayes (2005), efficient operations strategies need to be consistent and contribute to competitive advantage. The process of operations strategy covers the activities and dynamics of strategy elaboration and implementation (Swink and Way, 1995), whereas the content of operations strategy consists of the particular decisions regarding competitive priorities, objectives, and action plans that specify the operation s strategic direction.Several authors gave their definition of operations strategy; four interrelated perspectives then emerged. The top-down approach is  « what the business wants operations to do  » and the bottom-up perspective represent  « what day-to-day experience should do  ». Top-down strategy can be distinguished from a bottom-up strategy in terms of two aspects: the initiative s origin and the sequence of events amongst purposes, actions, and results. Top-down strategy is triggered by top management s aims and manifests in the performance outcomes of stipulated actions. Bottom-up strategy is initiated by lower managers’ actions realizing their own interpretationsShow MoreRelatedStrategic Supply Chain Management2572 Words   |  11 Pagesï » ¿1.0 Introduction Supply Chain Management (SCM) is the management and administration of a network of interconnected enterprises involved in the fundamental provision of product and service packages required by end customers. This complex discipline is the systematic and strategic coordination of traditional business functions and the tactics across those business functions within a particular company and across businesses within that company’s supply chain. The end effect is improving long termRead MoreSupply Chain Management : Strategic Management833 Words   |  4 PagesAll flows of information, products or funds generate costs within the supply chain. Efficient management of these flows is the key to success in the supply chain. Effective and efficient supply chain management involves the management of supply chain assets and product, information, and fund flows to maximize total supply chain profitability. â€Å"Supply chain efficiency is related to whether a company’s processes ar e harnessing resources in the best way possible, whether those resources are financialRead MoreStrategic Sourcing Of A Supply Chain Management1271 Words   |  6 PagesResponsible Sourcing Before a supply chain manager can truly understand strategic sourcing, they must have a good working knowledge of the purchasing and procurement processes, which I will explain in detail later in my research. Strategic sourcing is an aspect of supply chain management that is becoming more prevalent in the business world. Without strategic sourcing a firm will not and cannot maximize the potential of its supply chain and altogether meet the company’s overall business goalsRead MoreStrategic Supply Chain Management And Logistics2199 Words   |  9 Pages International Academy Of New Zealand Strategic Supply Chain Management and Logistics Assignment 2 Author: Gurdev Singh E-mail: singhgurdev89@ymail.com Research Paper for Element 1 DB704 Strategic Supply Chain Management and Logistics Abstract Supply chain is an important part of all businesses that provide in the various sectors of a finishedRead MoreSupply Chain Management : Strategic Objectives2699 Words   |  11 Pagescollaborative supply networks [1] [10], in order to sustain competitive advantage [5] and responsiveness. Thus, Supply Chain Management is a critical concept for every organization in terms of adopted supply chain tactics and their impact on the organizational strategic objectives [5], an identified, by the existing literature fact. Wiengarten, Pagell and Fynes mention that nowadays ‘’ the competition is not between companies but between supply chains’’ [10]. One of the major and most popular supply chainRead MorePrinciples And Strategic Elements Of Supply Chain Management1323 Words   |  6 PagesObjectives, principles and strategic elements of Supply Chain Management Supply Chain Management already exists for more than hundred years. It wasn’t defined as terminology for some period of time and it took years to develop it. It began with Fredrick Taylor’s â€Å"The Principles of Scientific Management† that was concentrated on improvement of manual loading processes all the way to Supply Chain Management we have now (Lamprecht, James; Page 180). Because Supply Chain Management spreading beyond locationRead MoreSupply Chain Management : Strategic And Operational Levels Essay2083 Words   |  9 PagesIntroduction: Supply chain management is composed of different elements that play a crucial role in the survival and success of a business. Supply chain management is a chain of elements that consists of customers, planning, purchasing, inventory, production and transportation which are managed through tactical, strategic and operational levels. Technology covers a major functional role in supply chain without which the activities and responsibilities of supply chain may not be achieved. The globalRead MoreAn Analysis of Toyotas Strategic Procurement and Supply Chain Management4932 Words   |  20 PagesPurchasing Materials Management | | Strategic Procurement Supply Chain Management | Introduction The topic selected is (Strategic Procurement Supply Chain Management). For this study, we have selected Toyota Motor Corporations as our company of choice. Toyota is without doubt the best in the world, with its many philosophies and principles on how to make the best out of the least; JIT, lean production and elimination of waste and the desire for continuous improvement are just a fewRead MoreAn Analysis of Toyotas Strategic Procurement and Supply Chain Management4917 Words   |  20 PagesPurchasing Materials Management | | Strategic Procurement Supply Chain Management | Introduction The topic selected is (Strategic Procurement Supply Chain Management). For this study, we have selected Toyota Motor Corporations as our company of choice. Toyota is without doubt the best in the world, with its many philosophies and principles on how to make the best out of the least; JIT, lean production and elimination of waste and the desire for continuous improvement are just a few waysRead MoreFord Motor Company: Supply Chain Management and Strategic Fit3663 Words   |  15 Pagesï » ¿Ford Motor Company Supply Chain Management and Strategic Fit University of Arkansas Fall Second Session 2011 Supply Chain Management for Operations Managers Written by: Albert Carter For: Instructor Nia Wright December 9, 2011 Abstract This report covers the performance of Ford Motor Company over the past 10 years and analyzes the results of its â€Å"One Ford† business plan. The main question this report answers is whether Ford’s resent actions match the supply chain strategy of the new

Sunday, December 8, 2019

Development and Testing of Unified Proxy †Free Samples to Students

Question: Discuss about the Development and Testing of Unified Proxy. Answer: Introduction: In this study, the concept of value chain is analyzed according to the various concepts. Basically, this report has been prepared according to a statement which depict about the concept of value chain and various other factors which are related to the value chain. In this report, value chain, cost estimation, value chain segment and the main purpose of the value chain has been analyzed. Value chain is a common concept that lies over various operations and the activities of a company to maintain and deliver the products and the services of best quality to the customers (Miller and Mork, 2013). It helps a company to manage and assist into reducing the level of the cost through managing the value of every product. For the value chain analysis, it becomes important for a business to do market evaluation, provision analysis and production identification for a better result of value chain. The value chain research is mainly conducted by the companies to analyze the performance of the company and it also sets a good relationship among various financial and non financial factors of an organization (Fayard et al, 2012). Normally, it is said that the value chain study is a kind of the framework and it is a style of the management which primarily makes a focus over the real worth of the business. Value chain motivates the people and the team to complete their assigned task properly and it also takes a concern of the environment and the culture of the organization. Value chain analysis is quite useful for every business to maintain and manage the entire resources of the business and set them in such a manner that proper utilization of minimum resources could be done. Through this study, it has been found that value chain plays a crucial role in an organization to make a balance among various factors (Funk et al, 2010). Value chain is a framework to make a balance in the organization and set the process of the business activities in such a manner that the issues of the business relates to the process, cost and other activities could be solved in no time (Monczka et al, 2015). Through this study, it has been found that the value chain could estimate the cost of a business through using the following process: Value chain analysis evaluates the various activities of the company whether it is primary or secondary to analyze the better result of the company. Managers of value chain department are required to make an abetter decision about the activities after delivering the best work and the best process must be used to deliver the work (Miller and Jones, 2010). The total cost of every product and services is different form each other and thus it is required by the managers to analyze the cost of each activity, Value chain analysis helps the management to identify that. The cost which occurred most of the time must be looked firstly by the management team of the company. It is required for the management to analyze the cost driver of each cost to analyze and evaluate the better result about the company. Such as the labour cost must be allocated according to the labour hour so that it becomes easy for the manager to identify the total cost and unit per cost perfectly. At the next level, company analyzed and make a decision about the setting relationship among various costs so that the way of cost reduction could be analyzed. The identification among the activities and the cost would help the organization to understand the improvement which could be done to reduce the level of the cost of the company (Gereffin and Sturgeon, 2013). Lastly, managers and the company which handles the value management analyze the various opportunities and choose the best one and implement that to reach over a good conclusion. This would help the company to reduce the level of the cost and through it the company would become more profitable. Through this process, it has been analyzed that a value chain manager must be updated and must be of initiative nature so that the opportunities could be grabbed by him or her at the perfect timing. Segment of value chain: Value chain is a framework which is categorised into various segments to conduct a better strategy and the performance of the company. Through the analysis over the value chain segment, it has been analyzed that mainly the value chain analysis has been divided by the companies according to the primary activities and secondary activities. Following are the activities of the company. Through the given chart, it has been analyzed that how the company manages the value chain in a business. Following are the ways through which company uses the above given activities in such a manner that the assistance could be taken by the managers: Value chain analysis helps the operation management of the company to perform the activities of the business and the performance in a well manner while considering the cost factor as well (Johnson and Templar, 2011). Value chain analysis helps the logistics management of the company to perform the business and the activities in a well manner while considering the cost factor as well. Value chain analysis helps the procurement manager of the company to perform the business and the activities in a well manner while considering the cost factor as well. Human resource management: It assist the organization to adopt the new policies and structure for the human resource management of the company and it considers the employment and manpower factor as well while making any decision (Gereffi and Frederick, 2010). The study of value chain analysis has been done over Hawker Siddeley to analyze the purpose of the value chain of a company. Through the analysis over the Hawker Siddeley, it has been evaluated that the company used the analysis of the value chain to manage and make a control over the performance of the company (Centi, Quadrelli and Perathoner, 2013). According to the annual report of the company, it has been found that it becomes easy for the company to maintain the figures according to the value chain analysis as it offers the highest result to the company and takes the consideration of the value chain in that. Company has reduced the cost of the activities and operations through the value chain analysis, further; it has also been found that the company add the worth of material used through various processes by converting them into finished goods, the overall objectives f the value chain department of the company is to deliver the highest value of the cost which is least and this has also helped the company to get the competitive advantages (Baldwin and Venables, 2010). The value chain department of the company takes the help of the value chain process which is planning the vale chain activities, making the control over the value chain activities. Through this process the company achieves its goals and targets. Value chain management helps the company to get better result from the business and activities of the company. Conclusion: Thus through this study, it has been concluded that it assist the organization to adopt the new technology the activities of the company perfectly and with the help of the market and it also help them to reduce the level of the cost. References: Baldwin, R. and Venables, A.J., 2010. Relocating the value chain: off-shoring and agglomeration in the global economy. Centi, G., Quadrelli, E.A. and Perathoner, S., 2013. Catalysis for CO 2 conversion: a key technology for rapid introduction of renewable energy in the value chain of chemical industries. Energy Environmental Science, 6(6), pp.1711-1731. Fayard, D., Lee, L.S., Leitch, R.A. and Kettinger, W.J., 2012. Effect of internal cost management, information systems integration, and absorptive capacity on inter-organizational cost management in supply chains. Accounting, Organizations and Society, 37(3), pp.168-187. Funk, C.A., Arthurs, J.D., Trevio, L.J. and Joireman, J., 2010. Consumer animosity in the global value chain: The effect of international production shifts on willingness to purchase hybrid products. Journal of International Business Studies, 41(4), pp.639-651. Gereffi, G. and Frederick, S., 2010. The global apparel value chain, trade and the crisis: challenges and opportunities for developing countries. Gereffi, G. and Sturgeon, T., 2013. Global value chain-oriented industrial policy: the role of emerging economies. Global value chains in a changing world. Hollensen, S., 2015. Marketing management: A relationship approach. Pearson Education. Johnson, M. and Templar, S., 2011. The relationships between supply chain and firm performance: the development and testing of a unified proxy. International Journal of Physical Distribution Logistics Management, 41(2), pp.88-103. Johnson, P.F., 2014. Purchasing and supply management. McGraw-Hill Higher Education. Miller, C. and Jones, L., 2010. Agricultural value chain finance: Tools and lessons. Food and Agriculture Organization of the United Nations and Practical Action Pub.. Miller, H.G. and Mork, P., 2013. From data to decisions: a value chain for big data. IT Professional, 15(1), pp.57-59. Monczka, R.M., Handfield, R.B., Giunipero, L.C. and Patterson, J.L., 2015. Purchasing and supply chain management. Cengage Learning.

Sunday, December 1, 2019

The Truth About Ballet free essay sample

The bloody Band-Aids, knotted lamb’s wool, rosin stained pointe shoes, twinkling tiaras, overused nail clippers, pristine tutus, ripped tights, dirty canvas slippers, salty sweat and tears: these are the coals of my heart. Dancing is the flame. Maybe it’s an addiction, maybe it’s a necessity, but no matter what it is, it is my passion. Nothing compares to the feeling of lacing up a pointe shoe, adorning a neat bun, fluffing a tutu, stretching one last stretch, taking a deep breath then stepping into the spotlight. A dancer’s final moments in the wing never change, yet somehow they are never the same. The adrenaline rush pushes her to dance differently than she has in any rehearsal. She can feel the friendly admiration each pair of eyes generates, creating an echoing eerie yet energetic silence. The stares permeate the skin and flow into the bloodstream, heart and body. We will write a custom essay sample on The Truth About Ballet or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page The Grande jetes are more extended, the developpes higher, every pirouette quicker, and each port de bras more fluid. Together the movements depict an ever escalating story like never before. A spectator witnesses a miracle every time a dancer takes the stage. The years of training, the hours of rehearsal, the passion developed by a devoted individual are displayed in a perfectly unique sequence. The choreography tells the story of star crossed lovers or lovers denied or sugar plum fairies dancing in one’s head. Every story, even the darkest one, is told in the most elegant fashion. The art is breathtaking and fascinating, yet also extraordinarily deceptive. The blistered toes, the deformed body, the strict teachers, the painful stretches, and the perseverance of a determined dancer make the passion so unbelievable. The hard work that goes into learning the basic technique makes filling the movement with individual flair rewarding. A dancer pours all she has into the movemen t, making even the most mundane movements distinctively hers. Devoting one’s self to the painful hobby, ballet, in the hopes of expressing one’s emotions through dance, is a challenge many do not take. The determination of a dancer overpowers the suffering that grace necessitates, and makes every step magical. The dancer hides the pain, learns to live with it, and dances from the heart. The strict perseverance ballet dictates makes the action more than an ordinary hobby; ballet evolves into a lifestyle. It is common to see a ballerina dance down the aisles of Shop Rite, mark steps while sitting in class, penchee when picking objects up or use the excuse â€Å"Sorry, I have rehearsal.† Ballet technique may only be â€Å"taught† in the studio, but the passion that validates the technique is learned and integrated outside of rehearsals. However, the daily life of a ballerina is nothing compared to performance day. Performance provides a sensation of pure em powerment and freedom. As a dancer steps off the stage, her heart pounding and a satisfied smile on her face, she knows this is why she endured the intense classes; this is why I persevered this feeling of perfection that flows through my veins.

Tuesday, November 26, 2019

Printable Metric Conversion Quiz

Printable Metric Conversion Quiz Do you feel confident about your ability to make metric to metric unit conversions? Heres a quick little quiz you can take to test your knowledge. You can take the quiz online or print it out. You may wish to review metric conversions before taking this quiz. An online version of this quiz is available if you prefer to be scored as you take the quiz. TIP:To view this exercise without ads, click on print this page. There are ___ in 2000 mm?(a) 200 m(b) 2 m(c) 0.002 m(d) 0.02 mThere are ____ in 0.05 ml?(a) 0.00005 liters(b) 5 liters(c) 50 liters(d) 0.0005 liters30 mg is the same mass as:(a) 300 decigrams(b) 0.3 grams(c) 0.0003 kg(d) 0.03 gThere are ____ in 0.101 mm?(a) 1.01 cm(b) 0.0101 cm(c) 0.00101 cm(d) 10.10 cm20 m/s is the same as:(a) 0.02 km/s(b) 2000 mm/s(c) 200 cm/s(d) 0.002 mm/s30 microliters is the same as:(a) 30000000 liters(b) 30000 deciliters(c) 0.000003 liters(d) 0.03 milliliters20 grams is the same as:(a) 2000 mg(b) 20000 mg(c) 200000 mg(d) 200 mg15 km is:(a) 0.015 m(b) 1.5 m(c) 150 m(d) 15000 m30.4 cm is:(a) 0.304 mm(b) 3.04 mm(c) 304 mm(d) 3040 mmThere are ____ in 12.0 ml?(a) 0.12 l(b) 0.012 1(c) 120 l(d) 12000 l Answers:1 b, 2 a, 3 d, 4 b, 5 a, 6 d, 7 b, 8 d, 9 c, 10 b

Friday, November 22, 2019

5 Practical Tips for Better Essays

5 Practical Tips for Better Essays How to Improve Essay Writing Skills Many students face difficulties when dealing with their writing assignments. Alongside, they find it challenging to create a better essay than a previous one. The deal is that when you are writing essays regularly, create a set of rules or some kind of formula for all your next papers. So, how is it possible to improve essay writing skills? How to create not good but brilliant paper? Get to know 5 useful and practical skills for better essays. They will surely help you to complete papers and impress everybody. Read the Essays Written by Other People It seems to be a pretty good idea. Do you know why? Reading different books written by prominent authors can influence your writing style greatly, can`t it? The same is about reading other people`s essays. You will analyze what you like or dislike concerning this or that essay, and keep in mind what is good to use in your own paper. It would be great for you to have some time to read essays written by your peers, fellow-students and academics. Read different types of essays and of different learning areas, not necessarily only that one you are involved in. The broader your outlook is, the better your essay is. However, keep in mind that these essays should be like etalons or valuable examples for you to follow. Try to be critical and evaluate everything written there. Also, you can find pretty good essay examples in the broadsheet newspapers. It would be interesting for you to see how writers supported their ideas, provided arguments etc. All essays you are reading should be of the top-quality and balanced. The main goal of all this is to take the best that writers used and to learn some useful techniques which will help while writing an essay of your own. Build Your Vocabulary and Learn How to Use It Properly This will help you to develop a skill of expressing own thoughts clearly and concisely. A good essay is characterized by proper word choice and its economy as well. Readers prefer to read a condensed information expressed clearly rather than long and rambling points of view. If you to want to become a confident writer and impress everybody with your talking extremely to the point, you should always work on your advanced vocabulary enrichment. Of course, there are always a lot of new words to learn, and they surely help to convey a proper meaning accurately. It also enables you to be more persuasive in your essays. Ways to enrich your vocabulary: Subscribe to a ‘word a day’ email. You will get a new word each day, so create a separate folder in your inbox and put all messages with new words there. It will help you learn new words, have them all together and use them whenever possible. Read more. If you are reading, you are facing some new words. Don’t hesitate to look up those words in the dictionary. By doing this you will not only learn new words, you will also know how to use them in relation to the context. Reading different articles and books will not only add to your general knowledge level but widen your vocabulary as well. Learn prefixes, suffixes and roots. It may seem a little boring but you will benefit from this in a lot of ways. This will help you to learn a great number of new words and build them up. Create a vocabulary book. It is a usual thing for those studying a foreign language. So, why don’t you start a vocabulary book of your native tongue? Buy a notepad and put down there some new words with their definitions.   The process of writing everything down will increase your chances to memorize those words. It is also a good idea to divide all your vocabulary into sections, for example, words related to history, science etc. Make Up Your Mind Before Writing You are always told a plan and essay outline before writing. That really works. However, even before planning something, you need to know what argument and point of view you are going to discuss. Having come up with key ideas, you can build a plan for your essay right from the introduction to the conclusion. Try to make a short summary of what you intend to write in your essay, why it should make the readers interested and what are the goals of your assignment. Provide Opinions of Other People An essay is a good way to show how intelligent you are. So, do not miss the opportunity to quote some famous people and original sources concerning the topic you are working with. It is possible that you do not agree with this or that saying. So, do not hesitate to express your point of view. Different views and discussions show that you are able to perceive and analyze the information. In order to be well-prepared, create a separate page in your notebook for each subject you are studying, and write down there all prominent personalities, alongside with their achievements. It will be a quick way to refer in case of necessity. However, you shouldn’t quote too much. Don’t forget to express your point of view more. Don’t make the readers think that you are using other people`s sayings just to avoid providing your own thoughts. Grammar, Syntax and Punctuation You may not pay too much attention to these points while writing. However, these things do influence the whole picture of the essay you are writing. Actually, sentence structures show on your intelligence level. You know that the most important task is to write your essay properly and make it readable and understandable for readers. It is good to use sentences of different types and lengths. However, do not make them too long. Readers can lose their understanding, while they don’t need to read a sentence twice to grasp the meaning. Effective and accurate punctuation is also important here. If speaking about the tone of voice, it all depends on the essay type and your teachers` specifications. You can write your essay either in Passive or Active Voice. So, before start working on your paper, always check the requirements. Hope these tips were quite useful for your and they will help you to create only better essays all the time. Keep on trying!

Thursday, November 21, 2019

Summary Assignment Example | Topics and Well Written Essays - 250 words - 24

Summary - Assignment Example This focuses on reducing psychological problems that may significantly affect the employees. A critical analysis of the case under study which is based on employee perception of problems, it is evident that smoking is an aspect of challenges the organization and the employees grapple with. In the opinion of Noe (pg.44-8), the main issue is how to solve it with regard to supervisor or management awareness and appropriate mitigation measures as illustrated in table 19, question 7. For in-depth research study on the problem of smoking it is imperative that the available statistics is critically evaluated to promote development of informed decision. The provided case indicates that Smoking is a common addiction among workers and is attributed to diverse problems that workers experience. Cording to DeCenzo and Stephen (pg. 56-9),some employees smoke out of frustration in their job while others undertake it in pursuit of happiness as they cannot find it at home and this is explained from the tabulated finding in table 18,question 5. It is therefore important from some of the feedback that human resource management asses the emotional feelings of the workers. Through such practices, the individual psychological problems that lead to smoking among the employees can be helped by guidance and counseling. Such programmes can significantly boost the overall welfare of the employees, enhance their health and improve their productivity. Several scholarly works have been produced to explore the issue of smoking as one of employee challenges and appropriate human resource measures. It is therefore important to give an annotated bibliography as shown below. The author explores the critical human resource practices that emphasize the need to understand the social problems facing individual employees. It is relevant to the case under study in which employees show significant urge to see their supervisors counsel and

Tuesday, November 19, 2019

The Sarbanes-Oxley Act of 2002 Essay Example | Topics and Well Written Essays - 1250 words

The Sarbanes-Oxley Act of 2002 - Essay Example Some scholars have argued that this legislative framework is too intrusive, that corporate fraud ought to be managed through market mechanisms rather than intrusive governmental agencies, and that the Act is more political than helpful (Ribstein, 2005). Other scholars concede the intrusive effects of the Act, but argue instead that the main policy objectives, such as curtailing corporate fraud and improving transparency, are enhanced by the Act (Cunningham, 2003). This essay will argue that, given the nature and the scale of the scandals that have occurred in the absence of such legislation, corporations ought to be compelled to comply with the Act; in order to more fully develop this thesis, this essay will present the type of abuse which led to the legislation, an overview of the main provisions of the Act, and an analysis of the conflicting opinions regarding the efficacy of the Act. In the Enron case, a major employer that was deemed financially stable and a model of sound business practices collapsed suddenly and dramatically. This was a company with billions in annual revenues, well-respected by a broad spectrum of the public, and politically well-connected. Its collapse was subsequently described as the result of deliberate and conscious decisions, by both Enron's management and by its outside accounting firm, to engage in accounting fraud (Fox, 2003). In short, corporate liabilities were understated or hidden and corporate assets were inflated or misrepresented. The public had been lied to, the investors had been lied to, and a great many people were injured when the company was finally forced into bankruptcy. A similar case involved WorldCom, at one time the second most significant long-distance telephone service provider in the United States, which engaged in fraudulent accounting practices in order to misrepresent its true financial condition to banks, c reditors, and other investors (Jeter, 2003). This didn't merely involve creative accounting; quite the contrary, WorldCom entered fictional transactions into its accounting records. When the weakened financial structure could no longer be hidden, the company filed for one of the largest bankruptcy cases in America history. In the final analysis, both of these cases illustrate the types of problems that the Act was designed to minimize. 1.2 An Overview of the Sarbanes-Oxley Act of 2002 As a preliminary matter, the most significant feature of the Act was its creation of a governmental agency to oversee corporate accounting and financial practices. This agency is now known as the Public Company Accounting Oversight Board. The focus is on publicly traded companies, rather than privately held forms of business organization, and the scope of the agency's power is broad. It is vested with rulemaking authority, with disciplinary powers, and with enforcement authority. In short, this agency is possessed of the same powers as the United States government-legislative, judicial, and executive-with respect to the accounting practices of public companies. Thus, it can be argued that the legislation has created a private government for public companies. An examination of the particular provisions of the Act further demonstrates the

Sunday, November 17, 2019

Einstein- Rosen Essay Example for Free

Einstein- Rosen Essay According to physicists worm holes which are also referred to as bridge of Einstein- Rosen are space time topological features that primarily create shortcut through time and space. A wormhole has a minimum of two mouths linked together by a single throat. Matter travels from mouth to mouth through the connecting throat. Wormholes that are intra universe links locations universe, by simply bending the space time and by allowing travel between different locations of the universe at a faster rate than light could take in order to cover the same distance through the normal space (McElwee, Para 2). Wormhole theory has been proven through the use of radio waves which are capable of detecting the wormholes. The white hole theory helps to explain the wormhole theory. The white hole is opposite of the black hole, whereas the black hole eats matter up the white hole splits it up. The wormhole acts like a tunnel that connects the black hole to the white hole. Since the existence of black holes and white holes is proven by use of radio waves to detect them, then the wormholes also exists to link them through a tunnel (Sexton, Para 4). The wormholes are also commonly referred to as Schwarzschild wormholes; they are bridges which are merely theoretical between space areas that are speculated to be in between the white holes and the black holes linking two universes. They only exists in equations especially those of Einstein. According to the equations the wormholes are found to be very unstable and would in fact fall instantly, the moment they are created. Other speculation also exists explaining that quasars are in fact white holes and not black holes which are super massive (McElwee, Para 5). It is not possible for the wormholes to exist since it is in fact impossible for a traveler to pass through the wormholes since it is not possible to pass a horizon in single direction. If non exotic matter form the traveler, then the moment they reach at the middle of the wormhole then it is impossible to leave through the other side and again it is not possible to leave using the entry route since the entry side must have been a black hole, this therefore, means that nothing can manage to escape once it has entered into the radius of the Schwarzschild. Thus the wormholes do not exist and are only a fiction feature and they can only be proven by theories with no practical to prove their existence (Sexton, Para 5). Black holes are basically deformation of the continuum of space time that appears once there is an explosion of a star in the scale of supernova with its remains becoming the black holes and neutron of stars. The gravitational force pulling the black holes is very powerful and cannot even be withstood by thousands of sun’s masses. The white holes on the other hand are opposite to the black holes. Their work is to split matter into smaller pieces instead of eating as it is the case for the black holes (McElwee, Para 7). Theoretically the white holes are reverse to the black holes; their being is implied by a solution of square root which is taken to be negative of the metric to the Schwarzschild. This metric is basically based on the time symmetry of general relativity. This implies that the best definitions of white holes which can be taken to be technical are primarily black holes running in the reverse direction. This is location of space time which is not possible to reach instead of failing to escape (Kruglinski, Para 6). Conclusion The wormholes, black and white holes can only be explained theoretically even though it is possible to detect them by use of radio waves. Their existence therefore, remains theoretical as it is not supported by substantial practical evidence. But this cannot be taken to mean that they do not exist since more research work is being carried out and may be their existence might soon be revealed practically. Work cited: Kruglinski, Susan; Discover Interview the Man Who Imagined Wormholes and Schooled Hawking (2007): Retrieved on 3rd June 2009 from, http://discovermagazine. com/2007/nov/the-man-who-imagined-wormholes-and-schooled-hawking/article_view? b_start:int=2-C=. McElwee, Jim; Do wormholes exist? (2005): Retrieved on 3rd June 2009 from, http://www. unexplainable. net/artman/publish/article_2145. shtml. Sexton, Timothy; Do Wormholes Really Exist? (2009): Retrieved on 3rd June 2009 from, http://www. associatedcontent. com/article/1453128/do_wormholes_really_exist. html.

Thursday, November 14, 2019

Role of Penelope in Homers Odyssey Essays -- Homer Odyssey Essays

The Role of Penelope in Homer's Odyssey The character of Penelope in Homer's Odyssey has served as an archetype of femininity proper. Her physical attributes, while comely by even the most demanding standards, are veiled. Her intellectual attributes are veiled too. She seems more often than not to wear a veil of tears (for her man) or a veil of silence (for her own wishes), or ineptitude (in her dealings with her son). She is certainly no Helen. She is not flaunting or whore-ish. She is not unconcerned with the needs of others, nor flippant about marital bonds, nor the loyalty of her heart. She does not steal the show, as Helen does time and again when she upstages her husband (who, by the way, may be a bumbler in the presence of his wife) in her attempts to control the situations in which she finds herself. Penelope is no Helen. Penelope is the archetype of femininity proper in every western misogynist's dream. However, this archetype is nothing more than fantasy. Penelope's veil does not need to be understood as a sign of her absence, or her impotence, or her archetypal femininity. If it were, how could we explain that Penelope can accomplish against great odds staying married to Odysseus, awaiting his return, reigning over his kingdom in his absence, all the while protecting the well-being of her son? One could argue that Penelope was not responsible for the outcome of these events, but rather merely the recipient of the forces of the universe that existed in her life. If this is the case, namely that Penelope never acted as an agent in the shaping of her own destiny, then why does Homer even bother telling us anything about Penelope as he tells us about Odysseus? To this I would agree, countering only on the grounds... ... the art of reflexive rhetoric acts only on impulse, or fails to act at all. While Penelope certainly has moments of all three (impulse, failure, and deliberate action), her impulse and failure only serve to dilate (not Subjugate) the sense of her freedom and power in her deliberate moments. Moreover, far from dehumanizing Penelope, (casting her away as absent/impotent/feminine), the wide range of her intellectual and emotional responses makes her a more human character than the constant and predictable Odysseus. The purpose of this paper is not to uncover Penelope, stripping her of her veil, leaving her exposed and vulnerable to the cold stare of analysis. Rather, it is to cultivate an imagination that can look upon the veiled Penelope and respect that which is covered so alluringly: her reflexivity, her rhetoric, and the cunning of her feminine deliberation.

Tuesday, November 12, 2019

Week 4 Quiz

Week 4 Quiz 1. An example of a  secessionist minority  would be a. Native Americans. b. the Amish. c. Irish Catholics. d. Italian Americans. 2. The pattern of grandchildren of immigrants increasing their interest in their ethnicity is called a. ethnic pluralism. b. the principle of third generation interest. c. ancestor worship. d. the theory of bicultural immersion.    3. What is the  ethnicity paradox? a. The emphasis on ethnic foods and ethnically associated political associations instead of deeper ties. b. The maintenance of one’s ethnic ties in a way that can assist with one’s assimilation in larger society. c. The belief that one’s own culture is not as good as the dominant culture in society. d. The social acceptance of prejudice toward White ethnics.4. Members of which White ethnic group were placed in an internment camp in Montana during WWII? a. Japanese b. Italians c. Jews d. Irish5. Which two White ethnic groups found, upon immigrating to America, that their shared religion did not trump their cultural differences, to such a degree that clergy were imported from Europe?a. Germans and Irish b. Irish and Italians c. Jews and Italians d. Germans and Poles6. Which of the following would NOT be considered a White ethnic group? a. Jews b. Italians c. Chinese d. Swedes7. The 1962 Supreme Court decision  Engel v. Vitaleà ‚  ruled which of the following unconstitutional? a. Christmas displays in public schools b. school prayer c. certain religious activities in schools d. teaching creationism8. A large, organized religion that is not officially linked with the state or government is known as   Ã‚  Ã‚  Ã‚  Ã‚   a. n ecclesia. b. a denomination. c. a cult. d. a sect.9. Which of the following faiths has the largest membership in the United States? a. the Roman Catholic Church b. Jewish congregations c. Southern Baptist Convention d. the United Methodist Church10. Civil religion  describes a. governments run by the church. b. belief systems incorporating many religions, but no single one. c. courts restricting religious freedom. d. New Age faiths

Saturday, November 9, 2019

Critique of Pure Reason Essay

Immanuel Kant (1724–1804) is the central figure in modern philosophy. He synthesized early modern rationalism and empiricism, set the terms for much of nineteenth and twentieth century philosophy, and continues to exercise a significant influence today in metaphysics, epistemology, ethics, political philosophy, aesthetics, and other fields. The fundamental idea of Kant’s â€Å"critical philosophy† — especially in his three Critiques: the Critique of Pure Reason (1781, 1787), the Critique of Practical Reason (1788), and the Critique of the Power of Judgment (1790) — is human autonomy. He argues that the human understanding is the source of the general laws of nature that structure all our experience; and that human reason gives itself the moral law, which is our basis for belief in God, freedom, and immortality. Therefore, scientific knowledge, morality, and religious belief are mutually consistent and secure because they all rest on the same foundation of human autonomy, which is also the final end of nature according to the teleological worldview of reflecting judgment that Kant introduces to unify the theoretical and practical parts of his philosophical system. 1. Life and works Immanuel Kant was born April 22, 1724 in Konigsberg, near the southeastern shore of the Baltic Sea. Today Konigsberg has been renamed Kaliningrad and is part of Russia. But during Kant’s lifetime Konigsberg was the capitol of East Prussia, and its dominant language was German. Though geographically remote from the rest of Prussia and other German cities, Konigsberg was then a major commercial center, an important military port, and a relatively cosmopolitan university town. [1] Kant was born into an artisan family of modest means. His father was a master harness maker, and his mother was the daughter of a harness maker, though she was better educated than most women of her social class. Kant’s family was never destitute, but his father’s trade was in decline during Kant’s youth and his parents at times had to rely on extended family for financial support. Kant’s parents were Pietist and he attended a Pietist school, the Collegium Fridericianum, from ages eight through fifteen. Pietism was an evangelical Lutheran movement that emphasized conversion, reliance on divine grace, the experience of religious emotions, and personal devotion involving regular Bible study, prayer, and introspection. Kant reacted strongly against the forced soul-searching to which he was subjected at the Collegium Fridericianum, in response to which he sought refuge in the Latin classics, which were central to the school’s curriculum. Later the mature Kant’s emphasis on reason and autonomy, rather than emotion and dependence on either authority or grace, may in part reflect his youthful reaction against Pietism. But although the young Kant loathed his Pietist schooling, he had deep respect and admiration for his parents, especially his mother, whose â€Å"genuine religiosity† he described as â€Å"not at all enthusiastic. † According to his biographer, Manfred Kuehn, Kant’s parents probably influenced him much less through their Pietism than through their artisan values of â€Å"hard work, honesty, cleanliness, and independence,† which they taught him by example. [2] Kant attended college at the University of Konigsberg, known as the Albertina, where his early interest in classics was quickly superseded by philosophy, which all first year students studied and which encompassed mathematics and physics as well as logic, metaphysics, ethics, and natural law. Kant’s philosophy professors exposed him to the approach of Christian Wolff (1679–1750), whose critical synthesis of the philosophy of G. W. Leibniz (1646–1716) was then very influential in German universities. But Kant was also exposed to a range of German and British critics of Wolff, and there were strong doses of Aristotelianism and Pietism represented in the philosophy faculty as well. Kant’s favorite teacher was Martin Knutzen (1713–1751), a Pietist who was heavily influenced by both Wolff and the English philosopher John Locke (1632–1704). Knutzen introduced Kant to the work of Isaac Newton (1642–1727), and his influence is visible in Kant’s first published work, Thoughts on the True Estimation of Living Forces (1747), which was a critical attempt to mediate a dispute in natural philosophy between Leibnizians and Newtonians over the proper measurement of force. After college Kant spent six years as a private tutor to young children outside Konigsberg. By this time both of his parents had died and Kant’s finances were not yet secure enough for him to pursue an academic career. He finally returned to Konigsberg in 1754 and began teaching at the Albertina the following year. For the next four decades Kant taught philosophy there, until his retirement from teaching in 1796 at the age of seventy-two. Kant had a burst of publishing activity in the years after he returned from working as a private tutor. In 1754 and 1755 he published three scientific works — one of which, Universal Natural History and Theory of the Heavens (1755), was a major book in which, among other things, he developed what later became known as the nebular hypothesis about the formation of the solar system. Unfortunately, the printer went bankrupt and the book had little immediate impact. To secure qualifications for teaching at the university, Kant also wrote two Latin dissertations: the first, entitled Concise Outline of Some Reflections on Fire (1755), earned him the Magister degree; and the second, New Elucidation of the First Principles of Metaphysical Cognition (1755), entitled him to teach as an unsalaried lecturer. The following year he published another Latin work, The Employment in Natural Philosophy of Metaphysics Combined with Geometry, of Which Sample I Contains the Physical Monadology (1756), in hopes of succeeding Knutzen as associate professor of logic and metaphysics, though Kant failed to secure this position. Both the New Elucidation, which was Kant’s first work concerned mainly with metaphysics, and the Physical Monadology further develop the position on the interaction of finite substances that he first outlined in Living Forces. Both works depart from Leibniz-Wolffian views, though not radically. The New Elucidation in particular shows the influence of Christian August Crusius (1715–1775), a German critic of Wolff. [3] As an unsalaried lecturer at the Albertina Kant was paid directly by the students who attended his lectures, so he needed to teach an enormous amount and to attract many students in order to earn a living. Kant held this position from 1755 to 1770, during which period he would lecture an average of twenty hours per week on logic, metaphysics, and ethics, as well as mathematics, physics, and physical geography. In his lectures Kant used textbooks by Wolffian authors such as Alexander Gottlieb Baumgarten (1714–1762) and Georg Friedrich Meier (1718–1777), but he followed them loosely and used them to structure his own reflections, which drew on a wide range of ideas of contemporary interest. These ideas often stemmed from British sentimentalist philosophers such as David Hume (1711–1776) and Francis Hutcheson (1694–1747), some of whose texts were translated into German in the mid-1750’s; and from the Swiss philosopher Jean-Jacques Rousseau (1712–1778), who published a flurry of works in the early 1760’s. From early in his career Kant was a popular and successful lecturer. He also quickly developed a local reputation as a promising young intellectual and cut a dashing figure in Konigsberg society. After several years of relative quiet, Kant unleashed another burst of publications in 1762–1764, including five philosophical works. The False Subtlety of the Four Syllogistic Figures (1762) rehearses criticisms of Aristotelian logic that were developed by other German philosophers. The Only Possible Argument in Support of a Demonstration of the Existence of God (1762–3) is a major book in which Kant drew on his earlier work in Universal History and New Elucidation to develop an original argument for God’s existence as a condition of the internal possibility of all things, while criticizing other arguments for God’s existence. The book attracted several positive and some negative reviews. In 1762 Kant also submitted an essay entitled Inquiry Concerning the Distinctness of the Principles of Natural Theology and Morality to a prize competition by the Prussian Royal Academy, though Kant’s submission took second prize to Moses Mendelssohn’s winning essay (and was published with it in 1764). Kant’s Prize Essay, as it is known, departs more significantly from Leibniz-Wolffian views than his earlier work and also contains his first extended discussion of moral philosophy in print. The Prize Essay draws on British sources to criticize German rationalism in two respects: first, drawing on Newton, Kant distinguishes between the methods of mathematics and philosophy; and second, drawing on Hutcheson, he claims that â€Å"an unanalysable feeling of the good† supplies the material content of our moral obligations, which cannot be demonstrated in a purely intellectual way from the formal principle of perfection alone (2:299). [4] These themes reappear in the Attempt to Introduce the Concept of Negative Magnitudes into Philosophy (1763), whose main thesis, however, is that the real opposition of conflicting forces, as in causal relations, is not reducible to the logical relation of contradiction, as Leibnizians held. In Negative Magnitudes Kant also argues that the morality of an action is a function of the internal forces that motivate one to act, rather than of the external (physical) actions or their consequences. Finally, Observations on the Feeling of the Beautiful and the Sublime (1764) deals mainly with alleged differences in the tastes of men and women and of people from different cultures. After it was published, Kant filled his own interleaved copy of this book with (often unrelated) handwritten remarks, many of which reflect the deep influence of Rousseau on his thinking about moral philosophy in the mid-1760’s. These works helped to secure Kant a broader reputation in Germany, but for the most part they were not strikingly original. Like other German philosophers at the time, Kant’s early works are generally concerned with using insights from British empiricist authors to reform or broaden the German rationalist tradition without radically undermining its foundations. While some of his early works tend to emphasize rationalist ideas, others have a more empiricist emphasis. During this time Kant was striving to work out an independent position, but before the 1770’s his views remained fluid. In 1766 Kant published his first work concerned with the possibility of metaphysics, which later became a central topic of his mature philosophy. Dreams of a Spirit-Seer Elucidated by Dreams of Metaphysics, which he wrote soon after publishing a short Essay on Maladies of the Mind (1764), was occasioned by Kant’s fascination with the Swedish visionary Emanuel Swedenborg (1688–1772), who claimed to have insight into a spirit world that enabled him to make a series of apparently miraculous predictions. In this curious work Kant satirically compares Swedenborg’s spirit-visions to the belief of rationalist metaphysicians in an immaterial soul that survives death, and he concludes that philosophical knowledge of either is impossible because human reason is limited to experience. The skeptical tone of Dreams is tempered, however, by Kant’s suggestion that â€Å"moral faith† nevertheless supports belief in an immaterial and immortal soul, even if it is not possible to attain metaphysical knowledge in this domain (2:373). In 1770, at the age of forty-six, Kant was appointed to the chair in logic and metaphysics at the Albertina, after teaching for fifteen years as an unsalaried lecturer and working since 1766 as a sublibrarian to supplement his income. Kant was turned down for the same position in 1758. But later, as his reputation grew, he declined chairs in philosophy at Erlangen (1769) and Jena (1770) in hopes of obtaining one in Konigsberg. After Kant was finally promoted, he gradually extended his repertoire of lectures to include anthropology (Kant’s was the first such course in Germany and became very popular), rational theology, pedagogy, natural right, and even mineralogy and military fortifications. In order to inaugurate his new position, Kant also wrote one more Latin dissertation: Concerning the Form and Principles of the Sensible and Intelligible World (1770), which is known as the Inaugural Dissertation. The Inaugural Dissertation departs more radically from both Wolffian rationalism and British sentimentalism than Kant’s earlier work. Inspired by Crusius and the Swiss natural philosopher Johann Heinrich Lambert (1728–1777), Kant distinguishes between two fundamental powers of cognition, sensibility and understanding (intelligence), where the Leibniz-Wolffians regarded understanding (intellect) as the only fundamental power. Kant therefore rejects the rationalist view that sensibility is only a confused species of intellectual cognition, and he replaces this with his own view that sensibility is distinct from understanding and brings to perception its own subjective forms of space and time — a view that developed out of Kant’s earlier criticism of Leibniz’s relational view of space in Concerning the Ultimate Ground of the Differentiation of Directions in Space (1768). Moreover, as the title of the Inaugural Dissertation indicates, Kant argues that sensibility and understanding are directed at two different worlds: sensibility gives us access to the sensible world, while understanding enables us to grasp a distinct intelligible world. These two worlds are related in that what the understanding grasps in the intelligible world is the â€Å"paradigm† of â€Å"NOUMENAL PERFECTION,† which is â€Å"a common measure for all other things in so far as they are realities. † Considered theoretically, this intelligible paradigm of perfection is God; considered practically, it is â€Å"MORAL PERFECTION† (2:396). The Inaugural Dissertation thus develops a form of Platonism; and it rejects the view of British sentimentalists that moral judgments are based on feelings of pleasure or pain, since Kant now holds that moral judgments are based on pure understanding alone. After 1770 Kant never surrendered the views that sensibility and understanding are distinct powers of cognition, that space and time are subjective forms of human sensibility, and that moral judgments are based on pure understanding (or reason) alone. But his embrace of Platonism in the Inaugural Dissertation was short-lived. He soon denied that our understanding is capable of insight into an intelligible world, which cleared the path toward his mature position in the Critique of Pure Reason (1781), according to which the understanding (like sensibility) supplies forms that structure our experience of the sensible world, to which human knowledge is limited, while the intelligible (or noumenal) world is strictly unknowable to us. Kant spent a decade working on the Critique of Pure Reason and published nothing else of significance between 1770 and 1781. But its publication marked the beginning of another burst of activity that produced Kant’s most important and enduring works. Because early reviews of the Critique of Pure Reason were few and (in Kant’s judgment) uncomprehending, he tried to clarify its main points in the much shorter Prolegomena to Any Future Metaphysics That Will Be Able to Come Forward as a Science (1783). Among the major books that rapidly followed are the Groundwork of the Metaphysics of Morals (1785), Kant’s main work on the fundamental principle of morality; the Metaphysical Foundations of Natural Science (1786), his main work on natural philosophy in what scholars call his critical period (1781–1798); the second and substantially revised edition of the Critique of Pure Reason (1787); the Critique of Practical Reason (1788), a fuller discussion of topics in moral philosophy that builds on (and in some ways revises) the Groundwork; and the Critique of the Power of Judgment (1790), which deals with aesthetics and teleology. Kant also published a number of important essays in this period, including Idea for a Universal History With a Cosmopolitan Aim (1784) and Conjectural Beginning of Human History (1786), his main contributions to the philosophy of history; An Answer to the Question: What is Enlightenment? (1784), which broaches some of the key ideas of his later political essays; and What Does it Mean to Orient Oneself in Thinking? (1786), Kant’s intervention in the pantheism controversy that raged in German intellectual circles after F. H. Jacobi (1743–1819) accused the recently deceased G. E. Lessing (1729–1781) of Spinozism. With these works Kant secured international fame and came to dominate German philosophy in the late 1780’s. But in 1790 he announced that the Critique of the Power of Judgment brought his critical enterprise to an end (5:170). By then K. L. Reinhold (1758–1823), whose Letters on the Kantian Philosophy (1786) popularized Kant’s moral and religious ideas, had been installed (in 1787) in a chair devoted to Kantian philosophy at Jena, which was more centrally located than Konigsberg and rapidly developing into the focal point of the next phase in German intellectual history. Reinhold soon began to criticize and move away from Kant’s views. In 1794 his chair at Jena passed to J. G. Fichte, who had visited the master in Konigsberg and whose first book, Attempt at a Critique of All Revelation (1792), was published anonymously and initially mistaken for a work by Kant himself. This catapulted Fichte to fame, but he too soon moved away from Kant and developed an original position quite at odds with Kant’s, which Kant finally repudiated publicly in 1799 (12:370–371). Yet while German philosophy moved on to assess and respond to Kant’s legacy, Kant himself continued publishing important works in the 1790’s. Among these are Religion Within the Boundaries of Mere Reason (1793), which drew a censure from the Prussian King when Kant published the book after its second essay was rejected by the censor; The Conflict of the Faculties (1798), a collection of essays inspired by Kant’s troubles with the censor and dealing with the relationship between the philosophical and theological faculties of the university; On the Common Saying: That May be Correct in Theory, But it is of No Use in Practice (1793), Toward Perpetual Peace (1795), and the Doctrine of Right, the first part of the Metaphysics of Morals (1797), Kant’s main works in political philosophy; the Doctrine of Virtue, the second part of the Metaphysics of Morals (1797), a catalogue of duties that Kant had been planning for more than thirty years; and Anthropology From a Pragmatic Point of View (1798), based on Kant’s anthropology lectures. Several other compilations of Kant’s lecture notes from other courses were published later, but these were not prepared by Kant himself. Kant retired from teaching in 1796. For nearly two decades he had lived a highly disciplined life focused primarily on completing his philosophical system, which began to take definite shape in his mind only in middle age. After retiring he came to believe that there was a gap in this system separating the metaphysical foundations of natural science from physics itself, and he set out to close this gap in a series of notes that postulate the existence of an ether or caloric matter. These notes, known as the Opus Postumum, remained unfinished and unpublished in Kant’s lifetime, and scholars disagree on their significance and relation to his earlier work. It is clear, however, that these late notes show unmistakable signs of Kant’s mental decline, which became tragically precipitous around 1800. Kant died February 12, 1804, just short of his eightieth birthday. 2. Kant’s project in the Critique of Pure Reason. The main topic of the Critique of Pure Reason is the possibility of metaphysics, understood in a specific way. Kant defines metaphysics in terms of â€Å"the cognitions after which reason might strive independently of all experience,† and his goal in the book is to reach a â€Å"decision about the possibility or impossibility of a metaphysics in general, and the determination of its sources, as well as its extent and boundaries, all, however, from principles† (Axii. See also Bxiv; and 4:255–257). Thus metaphysics for Kant concerns a priori knowledge, or knowledge whose justification does not depend on experience; and he associates a priori knowledge with reason. The project of the Critique is to examine whether, how, and to what extent human reason is capable of a priori knowledge. 2. 1 The crisis of the Enlightenment To understand the project of the Critique better, let us consider the historical and intellectual context in which it was written. [5] Kant wrote the Critique toward the end of the Enlightenment, which was then in a state of crisis. Hindsight enables us to see that the 1780’s was a transitional decade in which the cultural balance shifted decisively away from the Enlightenment toward Romanticism, but of course Kant did not have the benefit of such hindsight. The Enlightenment was a reaction to the rise and successes of modern science in the sixteenth and seventeenth centuries. The spectacular achievement of Newton in particular engendered widespread confidence and optimism about the power of human reason to control nature and to improve human life. One effect of this new confidence in reason was that traditional authorities were increasingly questioned. For why should we need political or religious authorities to tell us how to live or what to believe, if each of us has the capacity to figure these things out for ourselves? Kant expresses this Enlightenment commitment to the sovereignty of reason in the Critique: Our age is the age of criticism, to which everything must submit. Religion through its holiness and legislation through its majesty commonly seek to exempt themselves from it. But in this way they excite a just suspicion against themselves, and cannot lay claim to that unfeigned respect that reason grants only to that which has been able to withstand its free and public examination (Axi). Enlightenment is about thinking for oneself rather than letting others think for you, according to What is Enlightenment? (8:35). In this essay, Kant also expresses the Enlightenment faith in the inevitability of progress. A few independent thinkers will gradually inspire a broader cultural movement, which ultimately will lead to greater freedom of action and governmental reform. A culture of enlightenment is â€Å"almost inevitable† if only there is â€Å"freedom to make public use of one’s reason in all matters† (8:36). The problem is that to some it seemed unclear whether progress would in fact ensue if reason enjoyed full sovereignty over traditional authorities; or whether unaided reasoning would instead lead straight to materialism, fatalism, atheism, skepticism (Bxxxiv), or even libertinism and authoritarianism (8:146). The Enlightenment commitment to the sovereignty of reason was tied to the expectation that it would not lead to any of these consequences but instead would support certain key beliefs that tradition had always sanctioned. Crucially, these included belief in God, the soul, freedom, and the compatibility of science with morality and religion. Although a few intellectuals rejected some or all of these beliefs, the general spirit of the Enlightenment was not so radical. The Enlightenment was about replacing traditional authorities with the authority of individual human reason, but it was not about overturning traditional moral and religious beliefs. Yet the original inspiration for the Enlightenment was the new physics, which was mechanistic. If nature is entirely governed by mechanistic, causal laws, then it may seem that there is no room for freedom, a soul, or anything but matter in motion. This threatened the traditional view that morality requires freedom. We must be free in order to choose what is right over what is wrong, because otherwise we cannot be held responsible. It also threatened the traditional religious belief in a soul that can survive death or be resurrected in an afterlife. So modern science, the pride of the Enlightenment, the source of its optimism about the powers of human reason, threatened to undermine traditional moral and religious beliefs that free rational thought was expected to support. This was the main intellectual crisis of the Enlightenment. The Critique of Pure Reason is Kant’s response to this crisis. Its main topic is metaphysics because, for Kant, metaphysics is the domain of reason – it is â€Å"the inventory of all we possess through pure reason, ordered systematically† (Axx) — and the authority of reason was in question. Kant’s main goal is to show that a critique of reason by reason itself, unaided and unrestrained by traditional authorities, establishes a secure and consistent basis for both Newtonian science and traditional morality and religion. In other words, free rational inquiry adequately supports all of these essential human interests and shows them to be mutually consistent. So reason deserves the sovereignty attributed to it by the Enlightenment. 2. 2 Kant’s Copernican revolution in philosophy To see how Kant attempts to achieve this goal in the Critique, it helps to reflect on his grounds for rejecting the Platonism of the Inaugural Dissertation. In a way the Inaugural Dissertation also tries to reconcile Newtonian science with traditional morality and religion, but its strategy is different from that of the Critique. According to the Inaugural Dissertation, Newtonian science is true of the sensible world, to which sensibility gives us access; and the understanding grasps principles of divine and moral perfection in a distinct intelligible world, which are paradigms for measuring everything in the sensible world. So on this view our knowledge of the intelligible world is a priori because it does not depend on sensibility, and this a priori knowledge furnishes principles for judging the sensible world because in some way the sensible world itself conforms to or imitates the intelligible world. Soon after writing the Inaugural Dissertation, however, Kant expressed doubts about this view. As he explained in a February 21, 1772 letter to his friend and former student, Marcus Herz: In my dissertation I was content to explain the nature of intellectual representations in a merely negative way, namely, to state that they were not modifications of the soul brought about by the object. However, I silently passed over the further question of how a representation that refers to an object without being in any way affected by it can be possible†¦. [B]y what means are these [intellectual representations] given to us, if not by the way in which they affect us? And if such intellectual representations depend on our inner activity, whence comes the agreement that they are supposed to have with objects — objects that are nevertheless not possibly produced thereby? †¦[A]s to how my understanding may form for itself concepts of things completely a priori, with which concepts the things must necessarily agree, and as to how my understanding may formulate real principles concerning the possibility of such concepts, with which principles experience must be in exact agreement and which nevertheless are independent of experience — this question, of how the faculty of understanding achieves this conformity with the things themselves, is still left in a state of obscurity. (10:130–131) Here Kant entertains doubts about how a priori knowledge of an intelligible world would be possible. The position of the Inaugural Dissertation is that the intelligible world is independent of the human understanding and of the sensible world, both of which (in different ways) conform to the intelligible world. But, leaving aside questions about what it means for the sensible world to conform to an intelligible world, how is it possible for the human understanding to conform to or grasp an intelligible world? If the intelligible world is independent of our understanding, then it seems that we could grasp it only if we are passively affected by it in some way. But for Kant sensibility is our passive or receptive capacity to be affected by objects that are independent of us (2:392, A51/B75). So the only way we could grasp an intelligible world that is independent of us is through sensibility, which means that our knowledge of it could not be a priori. The pure understanding alone could at best enable us to form representations of an intelligible world. But since these intellectual representations would entirely â€Å"depend on our inner activity,† as Kant says to Herz, we have no good reason to believe that they conform to an independent intelligible world. Such a priori intellectual representations could well be figments of the brain that do not correspond to anything independent of the human mind. In any case, it is completely mysterious how there might come to be a correspondence between purely intellectual representations and an independent intelligible world. Kant’s strategy in the Critique is similar to that of the Inaugural Dissertation in that both works attempt to reconcile modern science with traditional morality and religion by relegating them to distinct sensible and intelligible worlds, respectively. But the Critique gives a far more modest and yet revolutionary account of a priori knowledge. As Kant’s letter to Herz suggests, the main problem with his view in the Inaugural Dissertation is that it tries to explain the possibility of a priori knowledge about a world that is entirely independent of the human mind. This turned out to be a dead end, and Kant never again maintained that we can have a priori knowledge about an intelligible world precisely because such a world would be entirely independent of us. However, Kant’s revolutionary position in the Critique is that we can have a priori knowledge about the general structure of the sensible world because it is not entirely independent of the human mind. The sensible world, or the world of appearances, is constructed by the human mind from a combination of sensory matter that we receive passively and a priori forms that are supplied by our cognitive faculties. We can have a priori knowledge only about aspects of the sensible world that reflect the a priori forms supplied by our cognitive faculties. In Kant’s words, â€Å"we can cognize of things a priori only what we ourselves have put into them† (Bxviii). So according to the Critique, a priori knowledge is possible only if and to the extent that the sensible world itself depends on the way the human mind structures its experience. Kant characterizes this new constructivist view of experience in the Critique through an analogy with the revolution wrought by Copernicus in astronomy: Up to now it has been assumed that all our cognition must conform to the objects; but all attempts to find out something about them a priori through concepts that would extend our cognition have, on this presupposition, come to nothing. Hence let us once try whether we do not get farther with the problems of metaphysics by assuming that the objects must conform to our cognition, which would agree better with the requested possibility of an a priori cognition of them, which is to establish something about objects before they are given to us. This would be just like the first thoughts of Copernicus, who, when he did not make good progress in the explanation of the celestial motions if he assumed that the entire celestial host revolves around the observer, tried to see if he might not have greater success if he made the observer revolve and left the stars at rest. Now in metaphysics we can try in a similar way regarding the intuition of objects. If intuition has to conform to the constitution of the objects, then I do not see how we can know anything of them a priori; but if the object (as an object of the senses) conforms to the constitution of our faculty of intuition, then I can very well represent this possibility to myself. Yet because I cannot stop with these intuitions, if they are to become cognitions, but must refer them as representations to something as their object and determine this object through them, I can assume either that the concepts through which I bring about this determination also con.

Thursday, November 7, 2019

Italy Country Report. Company Ford

Italy Country Report. Company Ford Company: Ford Overview Italy is geographically positioned in Europe. The country’s capital city is the renowned city of Rome. Italy’s population is estimated as over 61.2 million people. The country takes pride in a parliamentary form of government. Moreover, the country trades with Euro (EUR) as its main currency. Since the year 2011, the countrys GDP shows that the main economic sectors are service delivery, industry and agriculture. In addition, the country’s both import and export are associated with the United States, France, Germany, China and Spain.Advertising We will write a custom report sample on Italy Country Report. Company: Ford specifically for you for only $16.05 $11/page Learn More Economic Situation Weak Economic Performance Italys economic performance has been in decline since the Eurozone economic turmoil in the year 2012 (Lane 52). The subsequent economic struggles in Greece had a negative impact on both external and internal demands in Italy. In fact, the economic struggles reduced business and consumer confidence in the country. This factor has a negative impact on Fords operations in Italy. With a declining demand for automotive products and reduction in industrial production, Ford would suffer huge losses of the company ventures in Italy in 2013. The general economic performance in Eurozone affects consumer spending. This is attributed to the increasing unemployment rate. Ford manufactures high quality products, and consumers in Italy cannot spend money on expensive automotive. International Competitiveness Italy’s position in international competitiveness has been deteriorating since the year 2011 (Smeral 8). The fact that the country has lost at least 20% of the market share in international exports is discouraging. In this respect, Italy has avoided conducting business with countries that do not pose competitiveness in terms of costs and price change. Such countries include Germany and the United States. In this regard, it would not make economic sense to have Fords venture in the Italian market. Inflation Rates In the year 2012, the inflation rate in Italy had increased incredibly. A major reason for the increasing inflation rate was the rise of energy costs. An increase of the value added tax (VAT) also influenced the high inflation rate. During this period, the demand for automotive products was stable, but the decreasing demand for trend in the year 2013 is a sign of reduced inflation rate. In this regard, a demand for imports in Italy will reduce in the year 2013. A projected decrease of inflation by 1.6% would influence the demand for Fords products in the country. Unemployment Unemployment in Italy has been on the rise since the year 2012. By November of 2012, unemployment had risen by 11.1%, which is 25% higher than the previous year (Checchi 148). The current labor laws in Italy seek to protect employees who only work on a permanent contract.Advertis ing Looking for report on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More In this respect, companies like Ford and similar businesses are unable to invest in uncertain labor environment. In fact, this makes it difficult for companies like Ford and automotive businesses to manufacture and sell automotive products in Italy. Fords success in Italy requires constant availability of labor and stable market. Bank lending and interest rates The Eurozone crisis in the year 2012 led to restrained bank lending. The Italian economy has depended on the European Central Bank to fund government projects, and bail out major economic sectors. The increasing lending rates provided by Italian banks are making it difficult for investors to increase their capital base. Companies like Ford or automotive businesses require support from financial and lending institutions during an economic meltdown. Such support was evidenced in the U nited States when the government bailed General Motors from receivership and total bankruptcy. Currently, the lending institutions in Italy cannot support Ford or bail out a foreign investor in the automotive industry. Italy’s interest rates are determined by the European Central Bank. Interest rates in the year 2001 were recorded as 4.8 % compared to 0.5% in the year 2013 (Spaventa 9). The projected reduction of interest rates in the year 2014 might increase the business opportunities for Ford and automotive business in Italy. However, the current interest rates are still high and cause a decline of the automotive business in Italy. Moreover, the high interest rates are causing the weakening of the Euro in the region and especially in Italy. GDP It is estimated that the country’s GDP reduced by 0.1% between August and September of 2013. Until the year 2013, Italy’s GDP has always averaged 0.6% since the year 1960. From the year 1992, Italy’s expansion of trade within the European Union has seen its GDP reduce significantly. This may be due to its low international competitiveness and the global economic meltdown. The increased public spending in Italy is not favorable for automotive business and Ford. Fig 1.0 Sample Italy’s GDP graphical representationAdvertising We will write a custom report sample on Italy Country Report. Company: Ford specifically for you for only $16.05 $11/page Learn More Demand The demand for Ford vehicles in Europe has been high for the past two decades. By targeting market segments in Germany, France, Spain and Italy, Fords sales volume rose by 2.3% by the end of August 2013. However, a decrease of automotive sales in Europe declined by 5.7 % during the same period. This is an indication that Fords sales volume may be reducing if the current economic factors remain constant. Checchi, Daniele. Labor market and inequality trends in Italy. The Politics of Structural Reforms: Social and Industrial Policy Change in Italy and Japan. Ed. Magara, Hideko and Sacchi, Stefano. Boston: Edward Elgar Publishing, 2013. 148-170. Print. Lane, R. Philip. The European sovereign debt crisis. The Journal of Economic Perspectives 26.3 (2012): 49-67. Print. Smeral, Egon. The impact of the financial and economic crisis on European tourism. Journal of Travel Research 48.1 (2009): 3-13. Print. Spaventa, Lugi. The growth of public debt in Italy: past experience, perspectives and policy problems. PSL Quarterly Review 66.266 (2013). Print.

Tuesday, November 5, 2019

1984 - Summary and Book Report Tips

1984 - Summary and Book Report Tips Writing a Book Report If youre writing a book report on the novel 1984, you will need to include a summary of the story line, as well as all of the following elements, like title, setting, and characters. You must also make sure you include a strong introductory sentence and a good conclusion, as well. Title, Author Publication 1984 is a novel by George Orwell. It was first published in 1949 by Secker and Warburg. Currently it is published by the Penguin Group of New York.   Setting 1984 is set in the fictional future state of Oceania. This is one of three totalitarian super states that have come to control the world. In the world of 1984, the government controls every aspect of human existence, especially individual thought. Note: A totalitarian government is one that is strictly governed by a dictator (or strong leader) and expects complete subservience to the state. Characters Winston Smith – the protagonist of the story, Winston works for the Ministry of Truth revising historical events to favor the Party. His dissatisfaction with his life and the love he finds cause him to rebel against the Party. Julia – Winston’s love interest and his fellow rebel. O’Brien – the antagonist of the novel, O’Brien traps and captures Winston and Julia. Big Brother – the leader of the Party, Big Brother is never actually seen, but exists as a symbol of the totalitarian regime. Plot Winston Smith, disillusioned by the oppressive nature of the Party, begins a romance with Julia. Thinking they have found a haven of safety from the prying eyes of the Thought Police, they continue their affair until they are betrayed by O’Brien. Julia and Winston are sent to the Ministry of Love where they are tortured into betraying each other and accepting the truth of the Party indoctrination. Questions to Ponder 1. Consider the use of language. What irony exists in the naming of the Ministries?How does Orwell’s use of language contribute to the idea that language is power?How does Orwell’s use of misnomers contribute to the satire of 1984? 2. Examine theme of the Individual vs. Society What is a dystopian society?What does Orwell seem to be saying about the power of individual action?In what way does 1984 reflect the real political systems of the time, i.e.Communist Soviet Union or Fascist Nazi Germany? 3. What events or people could have influenced Orwell? Although the title is 1984, the book was published in 1949. What events around that time could have influenced Orwell?The Diary of a Young Girl was published in 1947, how could this work have influenced Orwell?1946 saw the first meeting of the United Nations General Assembly, did Orwell draw anything from this? Possible First Sentences The list of statements below are meant to help you develop a strong introductory paragraph. The statements may also help you construct an effective thesis statement for your paper. Big Brother is watching has become a common term in our modern language, but the phrase has lost some of its potency.  George Orwell’s 1984 is a novel of social science fiction.The danger of totalitarianism rests in its power to suppress the individual.The conflict between courage and betrayal is a central one in the novel 1984.

Sunday, November 3, 2019

Nursing theory Annotated Bibliography Example | Topics and Well Written Essays - 250 words

Nursing theory - Annotated Bibliography Example During her times, nursing was merely for the impecunious and hopeless women of society. Florence Nightingale challenged this stigma when she defied the expectations and entered nursing. She did humanitarian acts and responded to greater causes by exceeding her limitations. One example of this is the image of her making rounds at night while carrying her lamp, to which she has been always portrayed. The article also puts emphasis on the timeless relevance of Nightingale’s works. Her works, at first glance, may seem like inapplicable at present times. But if analyzed in an elaborative manner, Nightingale’s notes, theories and works can still befittingly applied. The paper also pointed out that today’s nurses need not to force themselves into becoming strictly akin to what Nightingale did. What is more important is for modern-day nurses to be able to apply Nightingale’s vision and mission by contributing to their own practice in their own unique and personal

Thursday, October 31, 2019

Coca Cola and IT Logistics Assignment Example | Topics and Well Written Essays - 750 words

Coca Cola and IT Logistics - Assignment Example Supply Chain forms the backbone of logistics. Automation makes the supply chain extremely efficient. All kinds of transportation delays are removed. Transportation delays occur due to the presence of manual system in the different stages of supply chain. They cause delay due to the inherent limitations of physical labor. The positive consequence of automation in supply chain is that the concerned parties can get their supply on time. Moreover, companies can also reduce their cost of holding and carriage cost. Up to date inventory data can help prevent conditions of stock completion. The stocks can always be available on time. It will reduce customer waiting time. A customer can easily find out the product of his necessity. It also facilitates reduction of overhead costs like cost of labor, and inventory (McFarlene, n.d.). In this context a very appropriate automation technology used is the RFID Technology. The RFID (Radio Frequency Identification) technology plays a very important role in the supply chain distribution of Coca Cola. The primary application of this technology is in bar code reading. Bar codes have to be read to ascertain accurate information regarding the product such as price, manufacturing date, and date of expiry. This information’s are very important for the customers. Another sphere of application of this technology is in the form of what is called smart shelves in the retail stores.

Tuesday, October 29, 2019

The Statute of David Essay Example | Topics and Well Written Essays - 250 words

The Statute of David - Essay Example Commissioned by the Cathedral Works Committee in 1501, Michelangelo created The Statute of David, which was his testimony to the beauty of God’s creation. The sculpture was a representation of King David in the Bible. During the critical times of the Florence Republic’s threatening and powerful rival states along with their rival the Hegemony of the Medici Family, the Statute of David symbolized the defense of civil liberties. The Statute of David or â€Å"the Eyes of David† was later turned towards Rome. In 1873, the Statute of David was placed in the Accademia Gallery in Florence. The original location of the Statute of David was replaced with a replica of the sculpture. Michelangelo’s deeply spiritual faith to do God’s Will was an influence in his creation of the Madonna Della Pieta or the bust of the Virgin Mary. The sculpture was created for the St. Peter's Basilica in Vatican City. Michelangelo sculpted the compassion and serenity in the Virgi n Mary’s face. His purpose for the Madonna Della Pieta was to embody â€Å"the spiritual beauty of the infinite beauty of God.† The Madonna Della Pieta was Michelangelo’s testimony to his eternal love for God. The sculpture is a symbol of the Christian faith. Michelangelo’s spiritual obedience to do God’s Will influenced his artistic work. His spiritual faith allowed him to create many artistic masterpieces that influenced the Italian Renaissance. He created inspirational masterpieces for the world. He is Michelangelo di Lodovico Buonarroti Simoni, â€Å"the divine one.†

Sunday, October 27, 2019

Selection of Materials and Labour in Construction

Selection of Materials and Labour in Construction Suitable selection of materials and labour Insitu reinforcement concrete and structural steel are popular and dominates in the framing market of multi storey buildings. Through the above evaluation we found that the insitu reinforcement concrete frames materials and labour is pretty much stable then steel and precast concrete frame. Therefore, we recommend using insitu reinforcement concrete frame approach in this development. Cost Cost is one of the crucial factors need to be considered in the selection of structural framing options and this costs of framed structures can be affected by the market condition. Through our experience and market analysis, we found that the insitu reinforcement concrete frame is much cost efficiency compared to the others type of structural frame. This is due to steel is particularly volatile and always influence by the exchange rates due to international competitions. Adversely, cement price is more stable and according to BCA (2007), the statistic claims that the UK average cement price is stable over the last 10 years and it is raised below the inflation rate. Cement is one of the main components in the concrete mixture and thus cause the concrete price generally will be cheaper. Therefore it is wisely no to propose steel frame as its price fluctuate more frequently in comparing with concrete. Speed of construction In principle, the insitu reinforcement concrete frame has a disadvantage in term of construction speed it is relatively slow due to the time consumed for curing. However, lead time for steel frame actually is higher than insitu reinforcement concrete frame because one of the reasons is due to the steel frame need to pre-fabricate in factory and it is requires a number of fabrication processes. Lead time can be defined as the actual time counted from putting in an order (by the builder) until to the actual construction one site of a particular element. According to the lead time figure published in the Chartered Quantity Surveyor (1992), show that insitu reinforcement concrete frames lead times is 2-8 weeks and it is less than the steel frames lead times; with 8-14 weeks. Hence, the insitu reinforcement frame constructions total construction time would be shorter if compared to steel frame. Although steel frame construction has an advantage in term of faster structural erection time but in our opinion the shorter total construction time produced by insitu reinforcement frame construction is more crucial. Therefore, the insitu reinforcement concrete frame construction is more suitable and is recommended in this project. Ability to standardise The insitu reinforcement concrete frame is more flexible and tolerant in any alteration during the construction process. Any subsequence alteration is straightforward and it would not much affect the following construction sequence, process, cost and importantly greater delay would not happen. But, both the steel and precast concrete frame has disadvantages in the ability to standardise. This is due to both are factory prefabricated products and later only deliver to site for installation. Therefore any subsequence alteration in steel frame or precast concrete frame construction either in design or construction sequence will cause an impact in the factory production line as well as to the subsequent following construction planning process. Fire resistance The insitu reinforcement concrete frame has inherent fire resistance advantage compared to steel frame which fire resistance factor is not inbuilt. Therefore steel need additional fire protection work and this directly will involve additional construction time and cost. Size and nature of site As mentioned above both of the steel and precast concrete frame are prefabricated in the factory. Therefore, it has a disadvantage and limitation in producing huge structural frame during the prefabrication process and installation process at site. Similarly the delivery process of prefabricated huge frame will also tough and massive and not practical. But, this does not happen to the insitu reinforcement concrete frame where the huge structural elements can be adjusted and produced on site by constructing it in small part each time without affect by the factor of size and nature of site. Finally we would like to propose that this 10 storey building to be constructed by using insitu reinforcement concrete frame construction due to the above mentioned advantages. In addition, this insitu reinforcement concrete frame is more useful in accomplishing green process compared to steel frame. Adversely, we also do not negligence on the disadvantages points of the insitu reinforcement concrete frame such as quality control, massive construction process and etc. However, this insitu reinforcement concretes existent disadvantages factors can be reduced to an acceptable level by adopting a proper site management system and well planned construction process. REFERENCES: Construction Technology 5, Heriot-Watt University Comparison Of Reinforced In-Situ Concrete And Structural Steel In Multi-Storey Building Framework Construction, RIAD QUADERY (ICE Membership Number: 64405090) BCA (2007 Chartered Quantity Surveyor (1992) Unit 1 (c) In order to increase the building height to 30 storeys, the previous proposed structure need to consider and cope efficiently to the gravity loads and resists significant lateral loads or sway force cause by wind, while at the same time, not presenting excessive self weight loads on the foundation system. Therefore, some alteration in terms of frame will need to take into consideration for achieving the tall building design safety factor. According to Chew, Y L M., Construction Technology for Tall Buildings (2nd Edition), the amount of materials needed in a tall building to resist gravity loads is almost linear with its height, however the amount of material needed to withstand lateral forces increases with the square of the wind speed. The Figure 2.1 below is an illustration of the lateral forces imposed by wind increase exponentially with the building height. A) Introduction of Shear Truss Shear wall Structure Shear walls normally is reflected to the vertical elements in the lateral force resisting system (LFRS). This shear wall is very famous apply in many structures. For conventional concrete frame system, shear wall is designed to function as a deep, thin vertical cantilevered beams members where it is robustly connected from the roof level onto the foundations level. While at the same time the insitu reinforcement concrete floor are designed in robust connection into the shear wall (vertical element) and performing the function as a horizontal diaphragms to transfer lateral loads to the vertical element and subsequently into the foundation. Please refer the below illustration of Diaphragm of Shear wall (Figure B), Shear Wall Action (Figure C), Diaphragm Action (Figure D) and For this 10 storey office building, it is design with a symmetrical floor layout and this layout makes it suitably to create few shear wall system. Moreover this shear wall design and its implementation will only involve some minor arrangement and structural design alteration, such as; alter the type of foundation, convert the existing wall element become vertical reinforcement concrete wall, change the floor system in order it must be robust enough and able to transfer the lateral force to the shear wall within the limit of design deflection. Similarly the design of the beam (underneath at open space area) must be rigidly tied into the supporting shear walls make sure the lateral load can efficiently for transfer to the foundation. With the above alteration the whole shear wall will be formed (refer layout plan grid line A-B/3-6 F-G/3-6) and this new created system not only carries vertical load but it floor system acting as a diaphragm to transfer the lateral loads to this shear wall and then transfer those load to the foundation efficiently. With this alternative design the building height will able to achieve 30 storeys and maximum to achieve 35 storeys height. Besides, through this approach the overall building concept will be remained unchanged. B) Introduction of Frame Using Vertical Trusses, Belt Trusses and /or Outrigger Trusses This concept is development from the earlier shear wall. The purpose of this design is to provide a vertical truss call Outrigger Trusses where it is robustly connected to the perimeter column/exterior column with the purpose to form a much stiffer structure at external column and enables it to resist greater wind forces or other form of lateral load, as well as the resistant of gravity load. In addition the Belt Trusses will be built and it is functioning in wrapping through the perimeter column at the same level as the outrigger trusses to further stiffen of the structure. This design is suitable in apply to amend this building height into 10 storey. The Figure E and Figure F below shown two diagrams to illustrate the concept of this vertical trusses, belt trusses and outrigger trusses. In order to apply this concept in this project, the perimeter building column (facade column) will be tied by using beam act as outrigger trusses and robustly connected to central core (also act as shear wall). Through this alternative frame solution the whole structure will act as a large system will enabling a structure approximately 25% stiffer than a original structure solely relying on a shear truss or shear wall system while without changing the floor plan arrangement. Figure F shown how the outrigger truss combine with shear wall to further enhance this whole building structure to resist lateral forces. C) Introduction of Tube System and Bundle Tube System The tube system has been the most efficient structural system used for tall building. This tube approach creates a 3 dimensional system (Refer Figure G). This system can be formed by using the conventional frame system where the external columns around the perimeter of the building are designed in much closer together. Subsequently, these columns around the corners of the four building facades are tied robustly with short beam and will form a continuity system around all four facades and effectively create a structure similar to a huge box section that cantilevers from the foundation to the top of the building. This structural system capable in resisting lateral forces in any direction as in principle a Box section has inherent strength. This tube system is appropriate to adopt in order to increase this building height to 30 storeys. From this building existing layout design (in term of shape) it is suitably to form a Tube shape. Therefore, according to this tube system design criteria, the perimeter column (facade column) of this building will be placed much closer (Refer Figure H) and tied robustly by beam surrounded the four facades of the building and become more stiffened. This will enable the whole structure act as a whole system to resist the lateral force as well as functioning to transfer the gravity load to the foundation. The advantages of this tubes system is it is allow fewer interior columns, and so create more usable floor space. In addition the above propose tube system can wisely interconnected or combine act as a whole with the existing tube frames, i.e. two number of lift core and the alternative proposed new shear walls (position at grid line A-B/3-6 F-G/3-6), to create and perform another approach call bundle tube system. Through this combination a stronger structure will be created and efficiently to resist the lateral forces and gravity loads. The Figure F illustrate the bundle tube system and through this integrate structural frame it is definitely will become more efficiently to resists lateral loads or sway force cause by wind. As a conclusion, with the above solution of alternative frame design (i.e shear walls, vertical trusses, belt trusses and Outrigger Trusses, tube system). This building will be able to increase to 30 storey height with any one of the above single alternative frame design. However it is advisable to combine those approaches by looking at the advantages and permission of this existing symmetrical building layout with the objective to resists significant lateral loads or sway force (cause by wind), as well as cope efficiently with the gravity loads (vertical load). Moreover theses combination will not cause many changes in terms of the original design and the building concept. References: Chew, Y L M., Construction Technology for Tall Buildings (2nd Edition), Construction Technology 5, Heriot-Watt University Brick Industry Association, Technical Notes 24C-The Contemporary Bearing Wall, Introduction To Shear Wall Design, (Sept./Oct.1970)(Reissued May 1988) www.gobrick.com Tall Building Structures Analysis And Design, By Bryan Stafford Smith, Alex Coull) Introduction Double skin facades is very popular apply in many European cities. This wall system is attractive due to its characteristic such as durability, ecology, greener technology, aesthetical viewing and etc. This double skin facade able to provide natural ventilation into a building space and also can reduce energy consumption. These double skin facades sometimes also referred to as a building in building. Definitions This wall system can be define as a traditional single facade doubled inside or outside by a second, essentially glazed facade. Each of these two facades is commonly called a skin. Each of the facade skin can be constructed by various different combinations of materials, commonly by two skin of glazed. However, it is also popular to apply an outer layer of glass used together with a solid inner skin. The area between the two skins can call ventilated cavity or air space. It is purposely in such designed for vertical air circulation purposes. The ventilated cavity between the two skins can be in various widths, normally range from as narrow as several centimetres to as wide as several metres (in order to form accessible cavities). The cavity width will influence the way that the facade is maintained. This air circulation space can be used in many different functions, but in the simplest analysis, the air will be drawn into the building by applying the circulation utilises stack effect , so that a natural ventilation effect will be created for the internal space of the building. However, this cavity space in some other design can be consists of fan supported or mechanically ventilated. A) Natural Ventilation The design of exterior part of the skin forming a protective shield for the building and through the circulation utilises stack effect the natural air will be drawn into the internal space of the building, so that a natural ventilation effect will be created. Therefore, the interior comfort would not be affected even though the windows maintain open throughout the whole day. B) Promote Greener Technology The natural ventilation for high-rise conditions relatively will reduce air-conditioning loads and thus will minimise the CO2 output produced during the building operational phase. According to the research, carried out by Franklin Andrews, Professor Michael Wigginton of the University of Plymouth and Battle McCarthy, who represent the United Kingdom Department of Environment, Transport and Regions has shown that double skin buildings when compared to advanced single skin building are capable to reduce 50% of CO2 emissions within the cold temperate climate prevalent in the United Kingdom. C) Better acoustic insulation-improve noise protection Besides improved the noise protection, this double skin facade are capable to gain an excellent acoustic insulation magnitude even though under the windows open condition. The magnitude of the acoustic insulation is equal to that obtained in classical glass facade with the windows closed condition. D) Reducing heating energy requirement The air stored in the cavity between the two skins would be heated by the sun rays especially in winter time. Thus improving both the heat-insulating functions of the facade and its thermal performance and subsequently will reducing the heating costs. E) Reducing cooling energy requirement Double skin facade can allow for nigh-time cooling of the interior building with make the window in open during night time and thereby lessening cooling loads of the buildings HVAC system. Thus especially, apply during summer time the night cooling can cut down the building energy consumption particularly the costs of air-conditioning in the summer. F) Exploiting solar power Both energy consumption and costs are possible to reduce by utilize the suns energy particularly with the incorporation of photovoltaic glass. By this method, the air stored inside the cavity will be heat by the solar rays and reduce the energy consumption. G) Increased Natural Daylighting The double skin facade will improves the access of natural light transmission into the building space and thus will produce a better indoor comfort and give positive effect to occupants health and as well as increase the productivity of office personnel. Physically with this increased natural daylighting will cause a significant reduce in the amount of electrical lighting required because the quality of light from natural daylight is more preferential to electrical lighting. H) Fire Escape For some of the widest cavities (normally width range from 600mm to maximum 2m), located between the two skins will be able to provide a fire escape during fire occur. Therefore, with this back up emergency escape will enable the fire brigade to save more life during there is fire to the building. Conclusion The above have indicated the benefit of double skin facade wall and make it gain a lot of popularity throughout the world. References: Construction Technology 5, Heriot-Watt University Franklin Andrews, Professor Michael Wigginton of the University of Plymouth and Battle McCarthy www.glassinbuilding.com/double_skin_facades Coursework Unit 6 (b) The technical challenges that would need to overcome to produce a double skin facade for this building are as below; 1) Overheating challenges The overheating problem may happen especially on warm day where hot air will collects and emerge at the top air space and this may cause the top floor offices suffer due to this overheating issue cause by this accumulation of hot air in the cavity. Therefore, technically approach to overcome this problem is to design the air space. There are two type of air space, undivided air space, and divided air space. The undivided air space will has advantage from the stack effect. On warm days hot air collects at the top of the air space and with the appropriate openings at the top of the cavity, thus will siphon out warm air and at the same time the replacement of cooler air is draw in from the outside. The benefit of divided air space design is it can reduce over-heating particularly on upper floors. It is also can reduce noise, fire and smoke transmission within the division. Moreover, this floor-by-floor divisions add construction simplicity of a repeating unit and in turn can produce economic savings. From the above, indicate that both air space using the natural physics principals (hot air rises) to draw air upward. We need to highlight that the second type; i.e. divided air space by floor is practically apply for fire protection and sound transmission purposes. 2) Maintenance Challenges 2.1 Cleaning Although some of the building which is use the fully glazed double skin facade to achieve an aesthetical pleasing view but its maintenance is critical in terms of cleaning process. The air space need to be cleaned more frequently because this area is tend to emerge of dust particles which is circulates quickly during the ventilation process. From an research carried out by Terri Meyer, Associate Professor, school of Architecture, University of Waterloo indicate that glazed double skin facade need to carried out full cleaning regularly from 2 to 4 times a year. Therefore, the air spaces design criteria need to consider the imparts of cleaning especially for the continuous cavity. Similarly, others barrier elements such as louvers placed within the cavity must be removable in order to facilitate access during cleaning process. Normally a device called bosuns chair platform which is similar to the window washing rig is used to access the interior space of cavity for cleaning purposes. In some double skin facade design an open grates will be put at floor by floor or at particular place act as the cleaner standing platform and without affected the airflow design. For divided air space or cavity, normally the interior windows will function as the access panels for In some instances, where the cavity is more divided, the interior windows, whether operable maintenance purposes. Therefore the design of air space need a consideration to provide an adequate space for maintenance purposes besides the ventilation functionality. The interior clear dimension for air space is usually range from 600 to 900 mm. 2.2 Replacement of Deteriorate Mechanical Part The high-tech mechanic which is incorporated for the functioning of double skin facade (particularly in ventilation process) tend to have a higher failure rate and repair cost. The same mechanics also necessitate higher replacement costs. For instances, the replacement of wiring after a certain number of years. Therefore, a preventive checking is need to carry out frequently in order to detect any mechanical problem in an earlier stage before its give a negative impact onto the ventilation system. Besides, a proper data record and operation manual on those relevant mechanic device also need to be keep properly. Through this data any cases of malfunction of mechanic device would be able to find the direct causes and the solution can be carry out as soon as possible as well as in finding the suitable spare part replacement within a shorter period of time. 3) Control of Natural Ventilation For high-rise building with double skin facade, normally will found a problem on how to control and maintain its natural ventilation (here mean the quality of air) to its occupant. The area between the double skin facade in principle is not affected by high velocity wind because this area have been protected by the exterior skin. Therefore, this region typically will access by the inhabitants for natural ventilation and this will cause some unexpected impact of sound, smoke, noise or heat transfer over this zone either from one section, level or room to the proximity area. In order to eliminates these impact efficiently normally this buffer zone will be propose in compartmentalize design and separate into regions with air supplied by grilles or vents at the individual zone or each level. Then with the use of vents or grilles allows for the control of the incoming air by reducing air velocity, as well as protecting from the rain and reducing the noise transmission from the exterior. R egular cleaning process also need to be carried out in order to make sure that the ventilated air is always in good quality such as out of dust particle. Hence, high-rise building is essentially need to plan and implement this control in order all its occupant will be provide with a natural ventilation. 4) Fire Regulation Although the air space between the skins can be use for fire escape but the fire regulation might cause difficulties if no extra attention is provided. Therefore, for safety measured a proper indication of fire escape route have to provide and place at suitable location at each floor. 5) Reduce of Space As mentioned earlier the width of the cavity can be formed from few centimetres until few meters. So, this will cause some reduce in the building usable space. Therefore, it is significant to find the optimum cavity width in order to gain an optimum office space in this building. 6) Climate In some European country the double skin facade will face the climate issue such as humidity. For those double skin facade associate with the passive design strategies, (i.e. thermal mass) and radiant (hydronic) system , the condensation control will become an issue. Therefore, this critical factor need to be solved in order it would not give a negative comfort effect inside the building. This problem can be technically solved by adopting condensation control through the appropriated mechanical ventilated system, i.e. extract air system. This system normally apply for location where the natural ventilation is not possible (due to it locations inherent with high noise, wind and fume). Through this system the fresh air will be supply by HVAC and it is precludes the natural ventilation. These systems tend not to reduce energy requirements as fresh air changes must be supplied mechanically. In addition, the occupants are advisable not to adjust the temperature even though belong to their individual spaces. However, the priority consideration will still be put on the potential use of natural ventilation. For instances, to come out a desirable hours of natural ventilation scheduled through the utilisation computerise control system can achieve this objective. 7) HVAC Technically Design The HVAC will play a major role for the building where the natural ventilation is not suitable due to its negative climate conditions. Therefore, in cases the functionality of a HVAC system will become a significant point and it will give an impact onto the building ventilation system. So, in order to solve that problem, during the earlier design process need to fully integrates architectural and mechanical concerns is need to fully integrates during the earlier design process. By this earlier stage planning will able to achieve a smooth functioning of HVAC system. In economical point of view it will less costly and it is a wise planning because the cost saving figure is enough to compensate for the construction cost of the second facade. 8) Solar Heat Gain This point come to the issue of excessive of the incoming solar radiation above the comfort level especially in the summer time. So, in order to maintain solar heat gain under a standard design level is by preventing the heat from initially entering the space. Particularly for a highly full glazed building, normally an external shading devices are the most efficient means of reducing solar heat gain. However, this external shading devices need to be cleaned frequently in order its can function effectively. In the other approach is to use the special glazing such as spectally selective glazing and where this glazing materials is able to respond differently to various wavelengths of solar energy or in other means is to permit visible light while rejecting unnecessary invisible infrared heat. An ideal spectrally selective glazing permits only the art of the suns energy which is useful for daylighting. Another type of glass called electrochomic glass also able to improve the solar performance. The type of glass able to change its colour from clear to dark using electrical current. The electrical current can be activated in two ways, either by manually activated or by sensor reaction to the light intensity. In physic principle dark colour glass will reduce solar transmission into the building. Adversely when it is little sunlight, the glass will perform brightens in order to permit more suns ray into the building and minimized usage of artificial light. Both of the above mentioned materials is very practically apply for the full glazed double skin high rise building. Besides, the application of horizontal blind can permit use of daylighting and at the same time still can achieve the exterior view and it is a more economic approaches. 9) DSF Self Loading Transfer. This double skin facade (DSF) especially full glazed type, is unable to take its own load. Therefore, the dead load and imposed load of skins have to transferred to the adjacent structural wall and frames. Therefore, the design of structural wall and frames need to consider to carry the facade skins loading. 10) Installation Process Challenges His installation process is difficult especially for full glazed double skins facade because it is tough to work with the increase of the building height. Also encounter near misses and possibility of the hazard of falling. Besides the wind gust is always a question of safety to its installer. Moreover the are only limited movements in the working place. Therefore, the design of open grates to put at floor by floor to act as the installer standing platform is advisable and can ease the installation process. Conclusion From the above, we have analysed the possible technical challenges of the double skin facade for this propose 10 storey of office. Therefore, the project design team need to consider that technical challenges during the earlier stage of design in order to come out a proper and efficient double skin facade building design in terms of aesthetical pleasing and maintenance capability. References: Construction Technology 5, Heriot-Watt University Terri Meyer, Associate Professor, school of Architecture, University of Waterloo www.glassinbuilding.com/double_skin_facades