Monday, September 30, 2019

Marketing Assignment Essay

My chosen retailer is Pick n’ Pay which is a company owned by South African entrepreneur Raymond Ackerman in 1967. Pick n’ Pay was able to gain a large share of the market because Raymond Ackerman’s policy of putting offering customers the best value for their money before profit maximisation and various social responsibility programmes have made them a household in South Africa. Question 1 Pick n Pay bridges the following gaps: * Space. * Time. * Information. The space and time, value gaps are bridged by pick n’ pay, by establishing what the market really wants and providing consumer what they want at the right price in the right environment. -Information on products is readily available in stores during promotions and generally accessible in store. -Pick n’ Pay offers financial services like credit on large purchases like appliances. -Through bridging these gaps Pick n’ Pay has been able to establish long term relationship with consumers. Question 2 An organisation has to perform its primary & auxiliary marketing activities efficiently and in a timely manner to ensure that the needs/ of the customer are met. Pick n’ Pay also owns its own transportation fleet so they have more control over meeting demand on time. * Pick n Pay conducted detailed market research in order to properly serve its market as all store formats are as diverse as the geographic area they operate in, from the large hypermarkets to the express stores in petrol stations, they cater to all different market segments. Pick n’ Pay also own Boxer supermarkets which cater to low income groups such as rural areas. * They form of standardisation and grading is their policy of giving consumers double their money back on Pick n’ Pay products if they not satisfied with the quality, This policy enabled Pick n’Pay to gain the trust of consumer which translates into Customer loyalty. All other products offered by Pick n’ Pay have to follow certain regulations before being offered to the public. Pay has to take the necessary steps to ensure that products like fruits are available all year round which means such products need to be stored in fridges and other products have to be stored properly so they don’t get damage before getting to the actual store so they don’t incur any losses. * The risk of loss or damage is to be mitigated by the form of having insurance policy to cover the business. * Pick n’ Pay borrows money from banks to cover the day-to-day operations; Raymond Ackerman says many businesses that were destined for greatness failed because they didn’t have enough cash to run their daily operations. I would say Pick n’ Pay uses the societal marketing-oriented concept because of their environmental initiatives which have even gained the organisation a Sunday Times Top Brand Grand Prix award for the company that did the most to promote â€Å"green† issues and social upliftment of communities. Raymond Ackerman stresses the importance of doing â€Å"good† business which means implementing sustainable practices in the work environment and doing what the business is obligated to do in terms of social responsibility. Here are some environmental initiatives have introduced: * Green Products- Products that are 100% recyclable with active ingredients that are made from sustainable,natural ingredients. * Introduced limited edition eco-friendly bags to limit the use of plastic bags * Pick n’ Pay vehicles use a low sulphur content diesel and ozone-friendly lubrication oils. * Setting up recycling points at Pick n’ Pay stores * In 2009 they opened up 3 Pick n’ Pay express stores, starting a new era of green retailing. These type strategies will gain the business long term customers because of its awareness of contributing positively to the environment. Question 4 I would say my chosen retailer has evolved to this level because they the good relationship it has with its stakeholder that’s why they have been able to offer the market such good prices and within any business you need to maintain good relationship with your suppliers for example, this would ensure that everything is delivered in a timely time and with your employees to ensure that their product are product and know what’s expected of them. Pick n Pay has a number of policies and guidelines to govern relationships with its stakeholders so every interaction with its stakeholders is morally sound and is in line with the correct practices so that customers are satisfied and customers are retained. Question 5 5. 1 The micro environment of Pick n’ Pay is its internal stakeholders which would be: * Employees * Investors * Management The business has full control over this environment. The market environment is the outside of the business and the business can only control this environment to a certain degree. The market environment comprises of: * Suppliers * Competitors- Checkers,Spar,Woolworths. * Customers * General Public – Brand Perception and Brand awareness. 5. 2 Pick n Pay is a company that focuses a lot on physical environment and socio economic issues as it recognises the importance of sustainability practices in its business due to the fact that natural resources are not available in infinite quantities and the damage us humans are doing to the environment. Pick n’ Pay has also implemented programmes that challenge socio economic issues such as unemployment. Here some the changes and programmes implemented to adapt to changes/trends in the macro environment: * Setting up recycling points at Pick n’ pay which in turn provides employment. * â€Å"Green† products – 100% recyclable products with natural active ingredients that don’t harm the environment. * BEE programmes which allows people from disadvantaged backgrounds to own a Pick n’ Pay franchise store. * Pick n’ Pay company also recently extended its ‘Green Range’ of household products to include garbage bags made from 100% recycled material, 70% of which is post-consumer recycled materials.

Sunday, September 29, 2019

Unit 207 Use Electronic Message Systems

KNOWLEDGE & UNDERSTANDING QUESTIONS Unit 207 Use Electronic Message Systems Learning Outcome 1 | | |Learner’s Name xxxxx Signature | | | |Assessor’s Name Signature Date 31/1/12 | Learning Outcome 1 – Understand the use of electronic message systemsDescribe the main types of electronic message systems The main types of electronic message systems are email, fax and instant messaging chat. Describe the different features of electronic message systems Emails come direct to your pc and are easily accessible. Fax machines send information electronically but relayed at the other end in paper form. Instant messaging chat pops up on the computer screen when you receive a message. 1. 3 Explain the purpose of keeping an electronic message system up to date (ie why is it important)Old emails take up space and should be deleted when finished with in order to free up space. Also, under the data protection act, we should only keep patient information for as long as it is nee ded so therefore it is important that once we no longer need the email, that we destroy it. 1. 4 Describe how to use an electronic message system to check and delete or discard messages Email systems work in different ways, when I get an email, my computer displays an envelope in the task bar area, plays a sound and also pops up on my screen to let me know that I have mail.To delete a message when I am reading the message, there is an X which I can click on and the message will delete, if I am in my inbox, I can highlight on the email to be deleted and right click to delete, to delete multiple messages I can click on the Ctrl key and highlight all messages to delete, then right click and select delete. 1. 5 Explain the purpose of leaving clear messages for others( ie why is it important) Leaving clear messages increases the chances of the email being opened by the recipient and read and understood.If you use a clear subject for the email, the recipient will have an understanding of what the email is about and prioritise it. It is important that the opening sentence of the email is clear and specific so the recipient can understand and decide their course of action. It is also important to check the grammar and spelling of the email and not use abbreviations that the recipient will not understand. Do not use CAPITALS AS IT LOOKS LIKE YOU ARE SHOUTING. ———————– [pic]

Saturday, September 28, 2019

Respiratory Failure Research Paper Example | Topics and Well Written Essays - 2000 words

Respiratory Failure - Research Paper Example It is important to note that respiratory failure occurs when the ability to take up oxygen or eliminate carbon dioxide is largely impaired. The cessation of these active processes indicates the severity of the patient’s condition, which results in mechanical interventions to sustain life (Hu et al, 2009). The use of medical interventions such as mechanical ventilation is subject to debate based on the ethical nature of the application. Opponents and proponents alike present heavy and valid arguments to oppose or support their position. With this in mind, this paper seeks to explore various aspects of respiratory failure include pathophysiological changes in the affected organs. Moreover, the paper explores ethical issues surrounding the use of mechanical intervention to restore respiratory functions to the affected patient. As already established, respiratory failure occurs following the incapacitation of one or both of the gas-exchanging processes; that is oxygenation of veno us blood and/or removal of carbon dioxide. Respiratory failure may be acute or chronic where the clinical presentation of each is different. Acute respiratory failure is usually characterised by life-threatening levels in blood gases resulting imbalanced acid-base status while chronic respiratory failure is more passive and bears unapparent clinical manifestations. Numerous underlying factors contribute to respiratory failure with each part of the body system resulting in a distinct type of failure. In essence, failure of the lungs owing to pneumonia, emphysema among other lung diseases, results in hypoxemia or type I respiratory failure. Similarly, failure of respiratory controllers such as the chest wall and muscles leads to hypoventilation and hypercapnia or type II respiratory failure. The two conditions may coexist as illustrated in patients with chronic obstructive pulmonary disease, severe pulmonary oedema, or asthma. Owing to numerous underlying factors that contribute to re spiratory failure, the condition has emerged among the major causes of illness and death in the United States. The high prevalence of chronic respiratory conditions serves to enhance the risk of respiratory failure, which in turn leads to loss of productivity and shortened lives. However, it has been difficult to define mortality rates related to respiratory failure since the underlying conditions are indicated in such cases. The effects of chronic diseases become widespread much earlier, and can be felt as strain to a country’s economic development, which affects the low and middle income countries because chronic disease creates a double burden besides infectious diseases. Increased prevalence of chronic diseases is seen as an underlying cause of poverty, which hinders development in most countries. According to World Health Organization (WHO), approximately 16 million deaths occur each year in people under the age of 70, which the working and income-generating class. This nullifies the notion that only the aged are affected. Hypothetical Scenario A patient complains of heightened fatigue and shortness of breath after undertaking in relatively light duties. The patient indicated no breathing problems while at rest. However, the patient was not well rested following a night’s sleep and the morning were characterised by persistent headaches. Patient’s history illustrated a severe trauma to the head and chest in a car accident a few years ago. The patient also indicated that he was a moderate smoker taking less than a pack a day.

Friday, September 27, 2019

Time Trend Analysis Assignment Example | Topics and Well Written Essays - 500 words

Time Trend Analysis - Assignment Example A general trend or a movement can be easily seen on the financial ratios. There is no certain rate at which they are increasing or decreasing. If we consider current ratio we can see that the current ratios are increasing from year 2009 to 2010 but then it declined in the year 2012. From 2012 onwards the current ratio is increasing which means that the company is improving and it has the capability of paying its short term debts (Financial Report, 2013). Similarly, if we consider return on assets and return on equity of the company over a period of 5 years, we can see a trend. In this case also there is no particular rate at which the ratios are increasing or decreasing. The increase and decrease in the ratios depends upon the performance of the company. From these ratio analyses we can find out how much strong and secure a company is. On the analysis of return on assets and equity, we can see a trend. In the year 2010 both the ratios decreased as compared to the previous year but after 2010 the ratios have kept on increasing till 2013, which represents good performance of the company (Brigham & Ehrhardt, 2007). The ratios move in the direction described because of the performance of the company. The ratios will move in an upward direction if the company is performing well and will go downward if the performance of the company is not good in the market (Shapiro, 2009). If we compare the financial ratios of Pfizer Inc. with the financial ratios of Abbott Laboratories, we will find a difference in the trend of both the companies. The ratios of Abbott Laboratories are very different as they have kept on increasing and decreasing over the past 5 year which is unlike Pfizer Inc. If we only compare the ratios of both the companies of the year 2013 we will have a clear view that Pfizer is a better company as compared to Abbott Laboratories because the return on assets and equity of Pfizer has increased and that of Abbott

Thursday, September 26, 2019

Mid Term Exam Assignment Example | Topics and Well Written Essays - 1250 words

Mid Term Exam - Assignment Example This depends upon where and how the company markets its products or services. In addition, when it comes to marketing or promoting a service or product, one sixe does not fit it all. There are various elements of the marketing strategy that may need to change depending on whether the company is marketing globally or domestically. In order for the Apollo Company to gain enter and gain control of new markets, the marketing managers needs to conduct a situation analysis. A situation means the state of things that occur at the same time. Situation analysis interprets the environment that an organization operates. The situation analysis gives the knowledge and context for planning. It shows the competitive position, financial and operating condition and the state of external and internal affairs. In situation analysis, SWOT analysis is the commonly used analysis. SWOT refers to the strengths, weaknesses, opportunities and threats to a company. In our study of the Asian pacific and North America markets, the positioning statement should be believable, important and unique. After the positioning statement has been developed, supporting claims have to be implemented. The statements are used in satisfying a similar criterion to the positioning statement. Then support points usually reinforce the uniqueness, believability and the importance of the positioning statement. The support points usually give a structure for demonstrations of the products. The positioning statement articulates the abstract benefit while the supporting points usually are readily available for demonstration. International marketing means to provide one’s services or goods worldwide. It is a tradition for most companies to start marketing their products or services domestically and expand to international market to capture wider market share and increase avenues for sales of their services or

Wednesday, September 25, 2019

Math Exercises Problem Example | Topics and Well Written Essays - 1000 words

Exercises - Math Problem Example 1 A firm manufactures and sells q units of a product at price =  £(575 –  ½ q) which has unit costs of  £(q2 – 25q) and fixed costs of  £45,000. (a) Write down expressions for: revenue, profit and average cost in terms of output(q) of the firm. [1 mark] Revenue = (575 –  ½ q ) q = 575q –  ½ q2 Profit = Revenue – Total Cost = 575q –  ½ q2 - [(q2 – 25q )q +45,000] = 575q –  ½ q2 – q3 + 25q2 - 45,000 = – q3 + 24.5q2 + 575q - 45,000 Average Cost = Total Cost / q = q2 – 25q + 45,000/q (b) Find expressions for: marginal revenue, marginal cost, marginal profit and marginal average costs in terms of output (q). [2 marks] Marginal Revenue, Marginal Cost, Marginal Profit and Marginal Average Costs is the derivative of Revenue, Cost, Profit, Average Costs . Since the derivative of f(x) = xn is nxn-1, we have: Marginal Revenue = 575 – q Marginal Cost = 3q2 -50q Marginal Profit = -3q2 + 49q +575 Marginal Average Cost = 2q – 25 -45,000/q2 (since 1/q = q-1) (c) Find the output levels of the firm that and confirm that the output levels found do indeed maximise or minimise these functions [ 1 mark] (i) Maximise revenue †¢ This is the graph of Revenue = 575q –  ½ q2 , we can see that it is maximised at q = 575. (ii) Minimise costs To minimise costs, set marginal costs to 0 q = 50 / 3 or approx 17 units This is the graph of Costs = q3 - 25q2 + 45,000. We can see that the minimise value is approximately at q =17. (iii) Maximise profits To maximise profits, set marginal profits to 0 -3q2 + 49q +575 = 0 Using the quadratic formula, we have: q = 23.23 , -7.89 Disregarding the negative value, we have: q = 23 units. This is the graph of Profit = -q3 + 24.5q2 + 575q - 45,000. We can see that the maximum value is approximately at q=23. (iv) Minimise average costs To minimise average costs, set marginal average costs to 0: 2q - 25 -45,000/q2 = 0 (multiply both sides by q2) 2q3 - 25q2 - 45,000 = 0 With the use of trial and error, we get the only possible value as: q = 33 units. This is the graph of Average Cost = q2 - 25q + 45,000/q. We can see that the maximum value is approximately at q=33. 2. The demand function for a product is given by the following expression: q = 25 + 200 (p - 2) (a) Calculate the demand at prices 3 and 7 [1/2 mark ] For p = 3: q = 25 + 200 (3 - 2) q = 25 + 200 q = 225 For p = 7: q = 25 + 200 (7 - 2) q = 25 + 40 q = 65 Answer in (Q,P) form: (225,3), (65,7) (b) Calculate the ARC elasticity of demand with respect to price between the prices given in part (a) and comment on whether demand is elastic or inelastic between these prices. [1/2 mark] Earc = (Q2-Q1) / [(Q2+Q1)/2] (P2-P1) / [(P2+P1)/2] Earc = (65-225) / [(65+225)/2] (7-3) / [(7+3)/2] Earc = -160 / 145 4 / 5 Earc = -40 = -1.38 29 Since an "elastic" good is where price elasticity of demand is greater than one, we can consider that the demand is elastic between these prices. (c) Find an expression for POINT elasticity of demand with respect to price in terms of price. [ 1 mark] Ept = (q/ p) * p/q The derivative of q = 25 +200/(p-2) is q/ p = 0 + -1 (200) (p-2)-2 And q = 25 +200/(p-2) Hence: Ept = [-200p/ (p-2)2]/ [25 +200/(p-2)] (d) Calculate POINT elasticity of demand at prices 3 and 7 and comment on their values and on the relationship between ARC and POINT elasticity [1/2 mark] Ept = [-200p/ (p-2)2]/ [25 +200/(p-2)] Ept (3) = (-600/ 1)/ 225 = -2.67 Ept (7) = -56/ 65 = -0.862 The value of arc elasticity is in between the value of point elasticity which is expected

Tuesday, September 24, 2019

Reflective skills essay Example | Topics and Well Written Essays - 2500 words

Reflective skills - Essay Example The basic thing needed to nourish the therapist-client relationship is respect. The therapist must respect the patient in whatever the state he is in. He should be honest and straightforward. He must also take patient’s informed consent about the treatment. Informed Consent is about having the capable patient take part in making decisions about his healthcare and treatment process (Wear, 1992). The therapist has to guide some ethical principles in his practice to be able to hold the client. Rainbow (2002) describes that these ethical principles include: Physicians should stick to their responsibilities when they are facing a dilemma in making ethical decisions. This will help them to make consistent decisions while adhering to their ethical obligations. All of the above mentioned principles and theories help in developing strong bond between the therapist and the client. When the client knows that the therapist will protect his privacy, respect his autonomy, and will make ethical decisions about his health, he will naturally want to share all his health related problems with the therapist and will want to participate in the decision-making process. This fastens up the recovery process and guarantees patient compliance with the treatment. Transference is a therapeutic process in which the patient transfers his feelings to the therapist, the feelings which arise because of inappropriate relationships in the past and which can help the therapist in understanding the patient’s present condition (Bauer, 1994). It is known as a very important part of psychoanalytic treatment in which the patient transfers his attitudes and feelings linked with some significant others, to the therapist, and the patient in turn gains an insight into the present distortions in his life by looking at past disturbances in the relationships which may have remained hidden or inactive in his memory. In the therapy session, I had to deal

Monday, September 23, 2019

International Relations and how Iran has effected the Middle East Research Paper

International Relations and how Iran has effected the Middle East - Research Paper Example Situated in the Persian Gulf, Iran remains the region’s strongest military power and hosts the region’s largest population. Moreover, Iran is the Persian Gulf’s â€Å"main country straddling the strategic Strait of Hormuz through which† more than half of the world’s oil passes (Ramazini, 1979, p. 821). The Persian Gulf’s strategic position and Iran’s prominent political and geographical position within, makes Iran a very important actor in both regional and international security. The Persian Gulf joins Africa, Europe and Asia and connected to the Indian Ocean, the Persian Gulf also connects the Mediterranean Sea, the Red Sea, the Pacific Ocean and the Indian Ocean. Moreover, Islam was born in the Persian Gulf and thus the culture of the Persian Gulf is profoundly characteristic of Islamic values (Sajedi, 2009). It is therefore hardly surprising that the Persian Gulf has come to be known as the â€Å"center of the Muslim world† (Sajedi, 2009, p. 77). Stagedi (2009) informs that: Owing to its strategic location, the Persian Gulf region has been the center of attention for traders, businessmen and big powers for a long time. The commercial interests, through shipment of goods from the Persona Gulf to the outside world and vice versa have made this region so important for big powers that wars have been fought over its control (p. 77). From 1700 hundreds forward, the Persian Gulf has been the focus of political and commercial competition among maritime factions in the West. When oil was discovered in the 1900s in the Persian Gulf, oil became another fortified the interest in the region. In the aftermath of the Second World War, the Cold War saw competition between the US and the Soviet Union for power in the Persian Gulf and the Middle East generally. Until 1991 a climate of fear was perpetuated in the region over

Sunday, September 22, 2019

Two Dimensional Materials, Tools And Processes Essay Example for Free

Two Dimensional Materials, Tools And Processes Essay Introduction Artists throughout the centuries have utilized medium and formulated its distinction together with themselves. Understanding a work of art does not plainly rely on the history, the artist and the purpose or them, sometimes there is more to it that people fail to analyze. Some people disregard the materials and processes utilized in order to accomplish a specific artwork. Indeed there is more to materials than just things or medium used in order to accomplish art. The following will showcase two sample masterpieces that display meaning with the help of the materials, processes and other tools. â€Å"Prophet† by Emile Nolde (p. 217) Essentially, the heart of this piece revolves around the material conveyed and the message that it displays. Nolde used woodcutting that exposed a more recognizable effect of emotion as seen in the piece. Woodcutting is a relief process that creates a different form of line control due to the effect of the ink being pushed down the areas and wiped from its surface. It enhances the lines even more and produces a more deeper representation of texture. As seen in the â€Å"Prophet†, Nolde takes advantage of woodcuts to get a more expressed feeling of emotion in the face of the main element of the piece. The title and the piece correlates well with each other but the over-all effect wont be possible without Noldes use of woodcuts. In order for him to portray the more expressed feelings of spirituality and deep emotion, he needed to create lines and texture that arouse viewers. Most works that utilized this kind of medium showcases deeper effects in the aspect of emotions. The lines of these works show more feelings and the overall presence compels viewers. The boldness in the effect seen in the piece creates a critical dependency on the material and the process incorporated to accomplish the work.   Clearly, the masterpiece showcases a typical German Expressionist message. The jagged lines, the dented areas and the woods textured grain efficiently collaborates well with the main message being carried out from this faithful mans face. The â€Å"Prophet† is clearly one of the works that displays a definitive importance when it comes to materials and how it was processed just to be accomplished. Emile Nolde relied on a more deeper expression and a bolder portrayal of his message in the piece. He achieved it by incorporating woodcutting as the means. Clearly, if he used a different medium, the effect wont be as greater than this. â€Å"Hurricane Over Horsemen and Trees† by Leonardo Da Vinci (p. 195) In this masterpiece, Leonardo used pen and ink over black chalk with wash on grey washed paper. He skilfully made use of the effect of pen and ink on a grey washed paper that led to an assisting effect with regards to the subject of the work, which tangles with nature. His utilization of his great imagination is displayed along with the effect of the power of nature. This wont be realized without his expert choice of medium. Creating that natural occurrence effect shows a more descriptive form of representation. There is definitely a mythical touch to it as seen in the elements composing the work. Deeper understanding of why that material and medium is used can be concluded in such different ways, but as a viewer, there is such importance to its role that it dictates the whole effect of the artwork. Without his use of Pen, the lines wont be as fine as it looks like and the circular effects wont be as effective as it looks. The use of grey washed paper highlights the floating effect of the elements which in turn reflects a much stronger expression as seen in the textures and shadows. Conclusion Such is the importance of materials, tools and processes on artwork that it assists on a major scale. Its critical role emphasizes effectiveness and suggests a deeper representation or understanding regarding the masterpiece itself. REFERENCES Sayre, H. (2006). A World of Art. New York: Prentice Hall. http://www.wsu.edu/~delahoyd/20th/expressionism.html http://www.universalleonardo.org/trail.php?trail=198work=354 https://courses.worldcampus.psu.edu/art001su08/course/lesson09/print.html

Saturday, September 21, 2019

Narrative Writing Assessment Essay Example for Free

Narrative Writing Assessment Essay Warm up the prompt by reading something short, such as a picture book, that matches the prompt. †¢ The prompt is to be â€Å"loose†, that is the student can write on any subject that comes to mind, tweaking the prompt to fit him/her. †¢ The mode of the piece is narrative. This simply means a personal experience. †¢ The maximum time to write is 30 minutes. When the student is finished, proceed with other assessments or share the pieces you wrote to one another. †¢ The teacher writes as well. This encourages and motivates the student, showing him/her you value the writing †¢ This piece is to be an â€Å"on-demand† piece. This means that the writer is not to recopy. It is expected to be a rough draft. †¢ Provide composition paper with lines, or use the spiral and tear the paper out. You can cut off the messy ripped paper along the side if you want later. †¢ The primary â€Å"topics† to use are subjects many authors write about: a favorite person, place or thing. Writers usually tell about their favorite using the narrative mode because the narrative, a true story that follows a story line, is more interesting. Narrative Writing Assessment Protocols Picture Books Matching the Topics: Place All the Places to Love (MacLachlan) If You’re Not from the Prairie (Bouchard) The Canoe (Gary Paulsen) Person My Rotten Redheaded Brother (Palocco) Thank You Mr. Falker (Palocco) My Great Aunt Arizona (Houston) Thing (can be an object or a pet) My Grandpa Was a Cowboy (the ring—Silky Sullivan) The Worry Stone (Dengler). Everybody Needs a Rock (Baylor) What to say: â€Å"Today we are going to write a narrative about somethinganything—that matters to you or comes to your mind about a favorite person, place or thing. Tell your piece like a story, that is, something happens. When we were younger, all of us have had something or someone or someplace that comes to mind that stands out. Which would you like to write about? (Show the student the three books, one on a favorite person, one a place, etc. The student selects. ) Pick a favorite to write about: person, place or thing. I’ll read you the picture book you pick to help stimulate some ideas. † Scoring Protocols: †¢ Use the â€Å"3† anchor papers for each grade from third through twelfth to find a match between the anchor and your student’s writing. This is holistic scoring. Record the grade and date. †¢ Count by estimating the number of words the student wrote. Record. †¢ Record how many minutes he/she wrote. †¢ Find two or three things that are strengths to use as specific reinforcements to share with the student the next day. What you notice and show to the student will be repeated in future writing.

Friday, September 20, 2019

Preserving Minority Languages

Preserving Minority Languages On the other hand, according to Anthony Ellis, it would be trifling to insist that extinction of language causes extinction of culture because language is not whole culture but just one part of it (Ellis, 2005). Nevertheless, according to David Harrison, linguist and professor of the Swarthmore College, languages have been shaped by people to serve as repositories for cultural knowledge, efficiently packaged and readily transmittable across generations. (Harrison, 2007:7). In other words, it is crucial for human race to keep the conservation of minority language due to its cultural values: academic, ethnic and social values. The first cultural value of minority language is its academic value. Linguists especially have academic passion for protecting and researching minority languages. They should study many different languages to restore their all functions and structures of endangered languages. It must also be noted that linguists need to train many youngsters at school to transmit their native languages to next generations. Moreover, one of most important reason why it is needed to keep minority languages researching is that academically new and attractive facts are always discovered in minority languages. Ubykh, one of minority language of the North-western Caucasian group spoken by the Ubykh people until the early 1990s, was regarded as a language which has a large number of consonants (Romaine, 2007). Recent researches, however, show that some African language have more consonants than Ubykhs. Furthermore, linguists found an African language called Hixkaryana, which has about 350 speakers. The reason why this language and its adjacent languages have an attention is that they are cases of language which place their object first when they make a sentence. For an instance, if the English sentence, I love you, is made, the sentence in Hixkaryana should be you love I instead of I love you. In the case of Korean and Japanese, they have the archetypal structural order, Subject + Object + Verb(SOV). They say I you love whilst English speakers say I love you. It is clear that contemporary English has self-evident sentence order, Subject + Verb + Object(SVO). However, Irish puts its verb firs t. Unfortunately, linguists predict that object-initial languages such as Hixkaryana will vanish in the next century. (Nettle Romaine, 2000:11) At this point, it should be academically asked that why object-initial languages are hard to survive in the modern era. This is the academic question which needs to be examined by researching minority languages. There will be a number of these kinds of academic questions from minority languages. This academic knowledge will be a great legacy for human race. This is why we preserve minority languages. The second cultural value of minority language is the value about its ethnic identity. One of the most important factors of ethnic identity is language. In the time of globalisation, identity of people is defined by the language that they speak and write rather than the region that people live. For an example, although every people in London speak common language, English, it is unsure that all of them are English people because some of them have their native languages. It means that people can find their ethnic identity when they speak their native languages. The importance of ethnic identity acquired by using native languages is closely related with national stature of each country. For example, one of the urgent issues of Ukraine after independence in 1991 was to establish its linguistic identity to rise up the stature of nation-state. After breaking up Soviet-union, one of differences between other nation-states and Ukraine was the influence of Russian. Unlike other nation-states, Russians was used in more widely and still made an impact on culture, science, management and so on in Ukraine. In this situation, Ukraine declared the new constitution and it expressed clearly that there is only one national language. By this process, Ukrainian became only one official language of Ukraine. People who used Ukrainian thought that people who still used Russian didnt have any ethnic identity as the member of Ukraine (Zhurzhenko, 2002). For another example of historically dark side, during the Japanese occupation in the past, Hangeul, Korean native language made by Sejong the Great in 1443, was strictly banned to use among Koreans as a colonial policy for ethnocide. Koreans were forced to change even their Hangeul names to Japanese names. Koreas national stature could not help fall. These historical facts above clearly demonstrate that language can not be divided from the ethnic identity. For this reason, if minority languages become extinct, the ethnic identity of those who use minority language will be disappeared as well. The third cultural value of minority language is its aesthetic value. Every language has its aesthetic values. This is expressed by art works through languages such as novels, poets and even music. Research has shown that there is the tendency to regard analogies between artforms and linguistic structures as relevant and illuminating. (Kraut, 2007:177). It is said that Jazz improvisation is analogous to spontaneous speech.'(ibid). In other words, it means that all minority languages have their unique aesthetic values. For an instance, China is unified multiracial nation and 56 tribes are living together in an extensive land. The numbers of minority tribes languages are around 60. Even though they are minority languages, their aesthetic values are proved by their literatures. Tibetians literary value is excellent and its Gesaer, written in the 13th century BC, has been well-known as the longest heroic epic over the world. Dong, one of minority ethnic groups in China has their native language, Kradai. It is told that Kradai is a profusion of musical value because it has various tones and vocabularies. Kradai has been developed in unique musical ways of Dongs people. It is known that Kradai is the most complex language over the world because it has 15 tones whilst the language of the Han race in China has 4 tones. As a matter of fact, its complexity contributed to make its aesthetic value. Therefore, it is natural that this great value dies if minority languages of Chinas minority ethnic groups die. For these three cultural values, which are academic, ethnic and aesthetic values, it is self-evident that minority languages are definitely deserved to be protected and transmit to their next generations as their great legacy. That is to say, minority languages are not a part of culture and a method of communications but culture itself. When a language dies, a culture dies. Conclusion In conclusion, it is urgently asked at this time to protect minority languages. Firstly, it is essential that the endangered languages ought to be found, stabilised all linguistic functions and all people help them be transmitted to next generations. Secondly, it is needed to make preserving minority languages be an important part of Conservation ethic. It means that people should realise that our language is equally one of the great natural environments and endeavour to protect our linguistic environment. Lastly, there has to be unremitting exertion for native language education even if it is minority language. For an instance, some Korean scholars pointed out to Koreas education environment just focused on English instead of Hangeul, Korean language and predicted there will be no Hangeul after 200 years if we keep this education system. Minority language education is important especially for next generations. Therefore, the fact that extinction of a language engenders extinction of a culture should be remembered to all generations and make a great effort to preserve minority languages. Bibliography Ellis, Anthony (2005). Minority Rights and the Preservation of Languages. Cambridge Journals: 199-217. The Royal institute of Philosophy. Harrison, David. K. (2007). When Languages Die: The Extinction of the Worlds Languages and the Erosion of Human Knowledge. USA, Oxford University Press. http://news.bbc.co.uk/1/hi/7206411.stm (Accessed 08 November 2010). Kraut, Robert. (2007). Artworld Metaphysics. Oxford Scholarship Online: January 2008. Nettle, D. and S. Romaine (2000). Vanishing voices : the extinction of the worlds languages. Oxford, Oxford University Press. Romaine, Suzanne. (2007). Preserving Endangered Languages. Language and Linguistics compass 1/1-2:115-132. Blackwell Publishing Ltd. Zhurzhenko, Tatiana. (2002). Language Politics in Contemporary Ukraine: Nationalism and Identity Formation. IWM Junior Visiting Fellows Conferences, Vol. XII/2.

Thursday, September 19, 2019

Discuss Fitzgerald’s use of symbols within The Great Gatsby. Essays

Discuss Fitzgerald’s use of symbols within The Great Gatsby. Throughout his novel ‘The Great Gatsby’, F. Scott Fitzgerald uses symbolism. Symbols are objects, characters, figures or colours used to represent abstract ideas or concepts. The first symbol we see appears at the end of Chapter one. It is a green light, situated at the end of Daisy Buchanan’s East Egg dock and is only just visible from Gatsby’s expansive West Egg back garden. In Chapter one Nick (the narrator) describes his mysterious neighbour stretching â€Å"out his arms toward the dark water in a curious way’, this is Gatsby reaching desperately out to the green light, which represents his hopes and dreams for the future (which incidentally, involved Daisy). He associates it with Daisy and sees the green light as a guiding light to his goal. Perhaps the green light represents Daisy, the unattainable. Alike to the green light, she is so close, yet so far from Gatsby and just within his grasp. Although he is reaching out to her, he cannot in reality reach her because there is a divide, in the case of the green light it is water, but in the case of Daisy it is status (and her husband, Tom). The green light also represents the generalised ideal of the American Dream, because Gatsby’s quest for Daisy is generally connected with this. Fitzgerald’s choice of using ‘green’ as the colour of the light is very significant and symbolic in itself. Green is the colour of money and therefore wealth, this is something which Gatsby has always strived for (similarly he is reaching out and striving for the ‘light’) in order to capture Daisy’s heart, as she rejected him in the past due to his lack of wealth and status. Also, green is the colour that ... ...umping of industrial ashes. - It represents the moral and social decay that results from the uninhibited pursuit of wealth, as the rich indulge themselves with regard for nothing but their own pleasure. - It also symbolises the plight of the poor, like Wilson, who live among the dirty ashes and lose their vitality as a result. - Fitz uses the valley of the ashes as a dramatic contrast to the lives of the rich east and west egg dwellers, to really emphasise and show how large the difference between them is, despite them being so nearby. - He also uses it to highlight how superficial the rich are. They are the ‘beautiful people’ and this is reflected in where they live, however the valley of the ashes is dirty and unattractive. - The valley is actually used as a cut through road for the rich, however real people live there.

Wednesday, September 18, 2019

What is Voice Recognition? :: essays research papers

First off, what is voice recognition technology? Voice recognition is a computer application that lets people control a computer by speaking to it. In other words, rather than using a keyboard to communicate with the computer, the user speaks commands into a microphone (usually on a headset) that is connected to a computer. By speaking into the microphone, users can do two things. First, they can tell their computers to execute commands such as open a document, save changes, delete a paragraph, even move the cursor--all without touching a key. Second, users can write using voice recognition in conjunction with a standard word processing program. When users speak into the microphone their words can appear on a computer screen in a word processing format, ready for revision and editing.   Ã‚  Ã‚  Ã‚  Ã‚  Voice recognition has gained tremendous popularity over the past few years. It has gone from imagination, to rumor, to reality and this trend is not going to stop. It this will be better explained by Jeffrey C. Scott from Computer Shopper in the paragraphs below. â€Å"The ability to interact with computers by talking to them may help bridge the gap between human beings and machines. Once deemed a fantastical glimpse into a science-fiction-like future, voice-recognition technology has undergone several significant developments recently, and it now seems destined to move us toward a humanized computer interface. But that's for the future. At present, voice-recognition technology at its best lets us focus on our daily tasks and needs rather than on the computer's commands and syntax. Imagine inputting all your requests, numerous e-mail messages, routine correspondence and numerical data simply by telling them to the computer. Executives with limited typing skills, individuals who are physically challenged, and users who suffer from pain associated with the repetitive motion of typing can all benefit from voice-recognition applications. In fact, almost anyone can profit from this technology, though it may take some adjustment and a little patie nce to scale the learning curve. Today's voice-recognition products are notably easier to use than those of the past. In addition, veterans of voice recognition should find that the new and improved dictation systems require substantially less training and customization.† â€Å"The Virtues of Training :Training a voice-recognition system consists of a defined dictation session where you are prompted to say words, phrases, and sentences. This exercise, which can take anywhere from 20 minutes to an hour and a half, allows the computer to become accustomed to your pronunciation.

Tuesday, September 17, 2019

Evolution of globalization

In 1492 the process of globalization began when Christopher Columbus unintentionally â€Å"discovered† the â€Å"new world†. The   cultures   of   the Nahua, Inca, Maya, and Spanish   peoples during the contact and conquest periods (1400s-1600s) was one of the factor that led to globalization.   The different   cultural, economic, social, philosophical, and political systems of these peoples, both before and after conquest  Ã‚   cast an shadow of   these cultures, though conquered, shape the Spanish-American colonial system as it developed in these regions. The blend of different civilizations: The present linguistic situation in ‘Merida’ has engrossed its roots from the pre-colonial period of Mexico. The first   Crenellation   took   place   during the final voyage of, Christopher Columbus in the year 1502.   When his ships entered   Spain   the people over there didn’t know they were listening to the Mayan language. The first Mayan word they heard was â€Å"turquin† which translates to gold and money as wealth was the main goal of Christopher’s expeditions. Two Spanish explorers who were stranded in Mayan land   were     later found by conquistador Cortes . One of the stranded explorers was Aguilar who served as a interpreter between the two civilizations. Later ‘castellano’ language was developed and till now it is in use. The two entirely different civilizations was plunged as thick roots into the nation. Castellano Vs Maya-Yucateco : The new linguistic politics began with the catholic missionaries in the sixteenth century The Spanish priests had to learn the language of the pupils who were mostly Mayans. Formal studies of Maya- Yucateco   was done and the first dictionary was brought out in 1546. The colonization of Yucatan   was mainly   because of   the Mendicant   Landa. The learning of Maya-Yucateco continued until the eighteenth century . For many reasons there was little teaching of ‘castellano’ language to the Mayans . Linguists have divided the variations spoken by Mayans into 30 different languages. They are all included in generic term ‘Maya’. Discrimination: The language was one of the factor that     divided people from the globalization. There were the people who supported the Mayan literature and some saying that ‘castellano’   Ã‚  was something uncontrollable and inevitable, the product of modernization. Discrimination arouse for the Mayans in Merida. They were denied access to certain places and discouraged from being in others. This is a situation that is still in the existence. Mayans developed a passive resistant syncretism to the spiritual conquest that was imposed upon them. Though cultures accepted military defeat, but in an effort to keep some semblance of former lives pays a service to the Spaniard religion, still practicing the hated idolatry in secret. While the conquerors were assimilating Mayans, the Mayans were assimilating the conquerors religion.this resulted in the extension of the interrogation by Spaniards to the new world in   paradox   of     Christianity   at the time. Conclusion  Ã‚   : The evolution invoked by Christopher Columbus led to globalizationIn turn it resulted in a revolution that brought discrimination Until now it continues to be the present situation.   The endless †¦   

Monday, September 16, 2019

Employment Relations Japan Essay

Japanese culture is highly diverse as compared to the other western nations, due to their stringent localized policies and protectionist laws which are meant to protect their local businesses and populace. The culture of the Japanese is deemed as an over-achieving culture with each individual striving to become the best at their chosen work and tasks. Companies across the globe acknowledge that the industries, within which the Japanese enter, become dominated by Japanese companies within the top 3 market positions (Alexander, 2003). The same philosophy is translated into the workforce and even before the Second World War, the Japanese were adopting practices meant to create product quality and best business practices. However, the first disparities amongst the working class and the ruling samurai elite began during the war periods and the people who worked in factories and industries realized the injustice of their working conditions during the war times (Morishima, 1982). The sources in this paper will be books and academic journal extracts which have been stated after considerable time and effort has been involved into the validation of the statements as facts and after they have been approved by other accomplished individuals in the topic. The paper has been divided into 6 basic chapters. The first chapter discusses the development of the employment relations of Japanese businesses and workforce. The history is discussed within this portion of the paper. The second chapter identifies the various labour market parties existing in the Japanese business spheres. The parties are divided along the lines of labor unions, employers’ associations and various state roles in maintaining employment relations. The third chapter of the paper discusses the main employment relations processes in the Japanese organizational structure and talk about topics such as collective bargaining and employee participation and degree of involvement. The next chapter looks at the current trends and future issues pertaining to the employee relations model in Japan and is purely analytical. Finally the summary is included which will provide the concise description of the key findings and the advantages and limitations of the data sources. The bibliography will identify the various sources used in the formulation of this paper. The early organization of workers and employers As discussed earlier, the Japanese society can be divided along the lines of the merchants, traders and businessmen and the samurai class. The two groups were responsible for conducting certain activities and this system was dominant since the pre-world war era. In the post world war era, the borders of Japan opened up considerably and the western styles of management began entering the nation. The USA played an integral role in helping in formulating the new business models for Japan as the western world became very interested in the business potential in the Asian part of the world (Tabb, 1995). A key element to recognize regarding the organizational structures in Japan is that in japanese organizations, even to date, the vertical hierarchy is very important in the business functions and no matter how the company appears to be decentralized, the actuality lies in the fact that employees further down the hierarchy are usually expected to obtain greater responsibility rather than be able to make decisions in a more decentralized role (Tabb, 1995). This notion of vertical hierarchy has prevailed throughout the Japanese organizational culture and played a detrimental role in the evolution of current organizational structures and employee relations models. Recognition of Trade Unions Up till the World War, the Japanese did not look favorably towards the trade unions and the Japanese culture encouraged the owners the right to do as they pleased while maintaining responsibility over their workers. The Japanese culture is centered around the master-worker relationship with the master being responsible for watching out for the benefits of his workers while the workers would be required to fulfill their masters demands unflinchingly. The Fukuzawa and Shibusawa philosophies were particularly centered on the debate regarding this relationship and played an important role in forming organizational structures. Therefore in the pre-world war era the concept of unions was not popular in Japan. However, following the US entry into Japan some changes began to appear in the organizational models. Trade and industrial unions began being fostered under the US supervision and the legal barriers against union formation were abolished. The communists and socialists activists were released from the prisons and this accelerated the number of unions being formed for the protection of the workers against the ruling class and by 1949, a mere 2 years since the movement began, around 34000 unions had been created with around 7 million members in totality (Pempel, 1998). The purpose of the Japanese unions however were not industrial but seemed to be attracted towards political linkages as most unions sided with the Japanese Communist Party and the Japanese Socialist Party and these unions began using their influence towards blackmailing the government through strikes and sit-ins on a fairly regular level (Pempel, 1998). The unions are still politically inclined and unlike the US style, are fairly active in political agendas. Role of the State in the formative period The Sanbetsu Kaigi was a major union which easily rallied workers against the government and the government found that the leftist were using the unions to pressurize the government into meeting their demands by manipulating with the country’s production levels. The government realized that it would need to take matters into its own hands as by the end of 1948, the total production was still only 65% of the level which was produced in 1930-4 (Neary, 2002). The response to this issue came in the form of creating second unions and lock-outs on the part of organizations to decrease the reliance on the trouble-making militant groups. The second unions were more compliant and would be as large as the minimum required number of people to run the factory. The government responded by conducting a â€Å"red purge† which was aimed at removing communist factions from within unions and during the 1950s the government and SCAP (Supreme Commander of the Allied Powers) implemented policies to remove communist members from public posts and universities (Neary, 2002). We can therefore see that the state played a directly involved role in creating the structure of the unions and unlike free market economies where the market pressures dictate formulation of such entities, the government was forming the structures itself. Diversification of Interests and Organizations The trade union movement in Japan was legally liberalized over the next 10 years following the World War. The radical trade union movements which were steeped in leftist ideology were gradually overcome as the employers and organizations tried to maintain communication linkages with the workers and by using the intensive communication and offering humanitarian services. Trade unions in Japan are organized on the enterprise base unlike other countries where the trade unions are usually industrial or craft based (Tsujino, 1992). The enterprise based unions differ from other global unions because the members of this unions wish for the enterprise to succeed as it would result in greater salaries and better workplace atmosphere. Unlike trade unions meant for entire industries, these enterprise based unions have a clearer vision and goal. The Japanese trade unions hence become more employee oriented and lead to greater humanitarian concerns from the organizations. Trade Unions The trade union structure within Japan lies in the manner that the most basic unit is the enterprise trade union. This trade union falls within an industrial federation which is itself affiliated with a general peak union organization (Benson & Zhu, 2008). As of 2005 the number of unions stood at 61,178 which was a decline of 15. 3 percent from 1990. The total number of union members at the time amounted to 10,014,000 which was also a decline in the total number of members since 1990 at a declining rate of 18. 7 percent. The major national peak union federation in Japan is the Japanese Trade Union Confederation (locally known as Rengo) which constitutes 54 industrial union federations (as of 2006). Rengo itself was created in 1987 by a merger between 5 private sector peak union bodies. The unity is sketchy in the union movement and it lacks a unifying factor. Two other major peak union bodies which have surfaced are: the National Confederation of Trade Unions (Zenroren), a militaristic and highly political-agenda union peak body and The National Trade Union Council (Zenrokyo). The total percentage of union members within these 3 bodies amounts to 75. 6% as of 2003 (Benson & Zhu, 2008). Employers’ Associations Associations which are legally recognized by the state are often referred to as Employers’ associations. Unlike other countries, Japan has one major employers’ association which basically covers all the country’s private enterprises under its umbrella. The Japan Federation of Employers’ Associations (Nikkeiren) is the body which represents and coordinates the body dealings with labour and social issues in the state. All the employers’ associations are coordinated within this body and aims to increase cooperation between the associations. Nikkeiren is composed of 47 prefectural and 54 industrial associations and in totality covers around 30,000 corporations. Even though the body does not negotiate on the part of its members, it does take interest in the negotiation process (International Labour Organization, 1994). The role of the state in employment relations Unlike many western countries, the state actively participates in the employment relations and dictates the actions of the organizations and companies in formulating employee relationships and the level of benefits and services to be provided to the employees of an organization. The state keeps a role similar to a guardian as well as a supervising body for the employee relations to be maintained by an organization and the various employers’ associations and trade unions. Due to the turbulent past, the government does not leave the bodies with a free reign and supervises their actions and observes their policies vigilantly. It comes as no surprise then that the state plays a more involved role in Japanese employment relations as compared to that of the role played by Western countries such as USA and UK. Collective Bargaining Collective bargaining has been researched frequently for the context of Japanese businesses. Empirical studies have been conducted in this regard to see the correlation of the collective bargaining technique as a tool for unions with which to deal with labor demands. The evidence proves that there are important implications in the Japanese context regarding the collective bargaining as a tool for negotiations between labor elements and the organizations (Fuess, 2001). Collective bargaining in Japan is practiced at the enterprise level and union level rather than at the national level. Since the state simply plays a decisive role and allows the lower levels to conduct their own processes, enterprise level bargaining and shop floor mechanisms enables the unions and parties to conduct their processes in the most feasible manner (Silva, 1996). Joint consultation systems are practiced in Japan in this regard to facilitate the collective bargaining aspect and to decrease conflicts which may arise within the collective bargaining procedure. This system has proved effective given the country’s culture and organizational structures (Silva, 1996). Employee Participation and Involvement The employees participate on an enterprise level and hence the unions and associations basically constitute a organization specific movement. The enterprises create their own policies and then commonalities are identified which can then be implemented on a wider scale across the national board to maintain some consistency and ensure no injustice is done in certain localities. Since most associations are divided along numerous factors, such as geographical bounds and enterprise level, the nature of participants is mostly small scale. Unlike large union meetings, smaller gatherings of major players are conducted and they decide the direction for the meetings and the outcomes. Rather than a general meeting for all members to be present, Japanese system invites influential people from the associations to represent their parties and groups and to offer suggestions. Involvement is thus lower in Japan when compared to that of trade unions in western cultures and countries such as Germany, Canada, USA and UK. Industrial disputes, strikes and mediating institutions Since the past disputes which resulted in the government to become actively involved in the settlement of trade unions concerns, the Japanese have developed policies and labour laws for the purpose of decreasing the number of strikes and conflict scenarios which may arise between employees and organizations. Unlike the past where production level fell drastically in the 80s and 90s, the Japanese enterprise level unions have been critical in resolving employee concerns as soon as they stem up. Rather than using reactive measures such as lock-outs and firing employees, organizations have adopted preventive measures and ensure systems which would alert warning signals when employees became agitated. The situation can then be quickly resolved and the production levels and employee performance does not suffer so drastically. Economic Integration and Recent Changes The Japanese system of managing their workforce seems stable and has over time evolved to resolve the issues which occasionally arose. The current system is suitable for the local culture and since the Japanese culture is highly collectivist, this system is efficient for handling the specific concerns which arise time and again. The current globalization has led to a deeper interaction with western cultures which are quite different from the local Japanese culture but they have minimal effect as the Japanese culture does not become too effected by this interaction and the local system still suits the organizational structures the best. SUMMARY AND CONCLUSIONS By looking into the Japanese Employment Relation model we have been able to see the gradual transition and development of the employees interactions with organizations and the various entities which play an important role in determining the employee relation policies and practices. The paper has been able to draw a picture of the national situation and has analyzed the employee relations comparing it to western standards creating a better understanding of the local deviation from the western style of handling employee relations. What we have come to understand is that the trade unions are basically a political tool used by the citizenry in manipulating government decisions and this has led to a government vigil over these entities processes. The government closely supervises the enterprises and corporations and has developed a forward integrated union system which works on the enterprise level, hence reducing the damage which may be caused by a revolt or strike by certain workers. The government has divided the entities into miniscule units for closer supervision and has actively participated in monitoring these entities. The sources shed light and support the arguments and facts stated thereby creating a solid argument regarding the employee relation model and consolidating the statements said therein.

Sunday, September 15, 2019

Building Blocks of Life Essay

Part 1: Mitosis and Meiosis Short-Answer Response Use Ch. 5 of BioInquiry and the â€Å"Comparing Mitosis and Meiosis† video as resources for Part 1 of this assignment. Write 75- to 100-word answers to the following questions. Why are the process of mitosis and meiosis both important to a living organism? Both mitosis and meiosis processes are extremely important because they are the division of chromosomes and without this division reproduction would not occur. Cell division plays an important role in the life cycle of a cell allowing the cell to grow, develop and then reproduce. If these processes did not occur then the cells would eventually die out and without the ability to be replaced by new cells then the host would die as well. When would an organism need to undergo the process of mitosis? Meiosis? An organism would need to undergo the process of mitosis in order to repair damaged cells or to start a new cell life cycle through cellular division. All cells need to be replaced on the regular basic within a living organism the cells divide and create new cells. An organism would need to undergo the process of meiosis when it needs to produce cells that are designated for sexual reproduction, such as egg or sperm cells within humans What would happen if meiosis did not occur? If meiosis did not occur then haploid cells would not be made resulting in the cell being unable to reproduce. Meiosis I reduces the number of chromosomes by half so that when fertilization occurs the number of  chromosomes would be reestablished. During meiosis II the daughter cell is a unique variation of its parent cell while still only having one pair of chromosomes. Part 2: Photosynthesis and Cellular Respiration Matrix Complete the matrix. Use the following questions to aid in completion: What is the purpose of this pathway? Reactants: What does this reaction need to proceed? Products: What is produced because of the reaction? The role of ATP: Does it supply energy or store energy? Cellular respiration Photosynthesis Pathway Glycolysis Krebs cycle Electron transport Light-dependent reaction Light-independent reaction Purpose Energy Harvesting or Sugar-Splitting breakdown of glucose to single carbon molecules Converts oxygen to water Provide energy for the light-independent reaction Produces food for cellular respiration Where it takes place Cell cytoplasm Mitochondria Mitochondria Chloroplasts Chloroplasts Reactants ATP, NADH, Pyruvates,CO2,Coenzyme A,PGAL Acetyl Co-A, oxaloacetate, Citrate, Alpha ketoglutarate NADH, FADH2 Sunlight, chlorophyll, and water ATP, carbon dioxide, and NADPH Products H20, NADH, ATP Carbon dioxide and ATP 36 ATP Oxygen and ATP Carbohydrates (sugar and starch) The role of ATP Energy used to breakdown Pyruvic acid into Acetyl Co-enzyme A for the Krebs Cycle Energy to drive the electron transport High production of ATP produces energy for overall cell growth and repair Transports solar energy in the form of ATP to power other chemical reactions Fuels the formation of carbohydrates

Saturday, September 14, 2019

Ot Regarding Entering Canadian Market Succesfully

OPPORTUNTIES AND THREATS Regarding entering the Canadian market successfully with Douwe Egbert’s new product: Grannie Annie’s hot chocolate milk. A SWOT-analysis (strength, weaknesses, opportunities, threats) is an analysis based on strength and weaknesses on one side, and opportunities and threats on the other side, choices are made. A SWOT-analysis can be used either internal or external. Both analyses together can be put together as a situational analysis. The outcome of this analysis can be the input of the SWOT-analysis. STRENGHTS Since there is a cold climate in Canada, the popularity of hot beverages is high compared to every other drink, leading to a high demand. – Canada’s stable economy – The good financial state of Douwe Egberts could be an advantage over the competitors. – The effective distribution strategies. – High quality product. – Good customer relationship management. – Canada-European Free Trade Associ ation Free Trade Agreement, this agreement is aimed at eliminating all tariffs on goods. WEAKNESSES – Profitability may suffer as a result of strong competition in the Canadian market. Long distribution channels (especially to Canada) OPPORTUNITIES – Outplay other coffee brands by introducing special products like Grannie Annie’s. – Extend product line with other products for non-coffee drinkers – Build new coffee houses on strategic points – Create brand loyalty by making sure customers get the experience needed from drinking Grannie Annie’s – Keep developing new products for customers – Pick clear target group. (Starbucks aims for couples age 25-54 with children, who tend to spend more on non-alcoholic beverages outdoors) –Douwe Egberts should not copy the strategy of competitor’s but create something unique. THREATS – Competition of businesses who are on the Canadian Market (Starbucks, Dunkin Donu ts, Krispy Kreme, McDonalds, Burger King). – Lack of advertisement – Changing prices in Coffee market – By only entering the market with Grannie Annie’s you probably wont get very far. – Wrong target group Developments A development of the surroundings of the costumer will eventually turn into a need that customers will most likely get to have ease and more user-friendly coffee machines, packaging and more.Next to this, sustainability is getting more and more important to customers. DE is known for their sustainability and fairness regarding coffee bean farmers. This can be used for Grannie Annie’s too, regarding Cacao farmers. Also, the sustainability of transport is important and has to be done as carefully as possible. DE Looks forward to train their own coffee and cacao farmers so that the quality can be guaranteed. Also, sustainability can be higher when DE trains own farmers.

Advanced Technologies in Ancient China and Egypt

Egypt is raining hardly and it has a dry, hot weather. Most of Egypt is covered in the desert. However, the Egyptians can cultivate crops to surplace food as the Nile River across Egypt is hit by the flood every year. Meanwhile, China has deserts, forests and mountains, and many Chinese people adapt to the environment through the establishment of irrigation systems, fishery, and cultivation of crops. Ancient Egypt and Ancient China were in two different places, but their industries, agriculture and weapons technology have similarities and differences. Ancient civilization of children - Mesopotamia, Ancient Egypt, Ancient India, Ancient porcelain. Comparison of Ancient Mesopotamia and Ancient Egyptian Civilization: Ancient Comparison and Control of Mesopotamia and Egypt: Comparison of West Hill University Mesopotamia, Egypt, India, China and Early Central American Civilization Development 20. The difference between ancient Egypt and ancient China, they ate something similar to the arc hitecture of Greek and Roman in ancient India. Similarities between ancient civilizations of ancient Egyptian civilizations such as China, Egypt, Mesopotamia, Rome are progress Between Mesopotamia, Egypt, India and China, I need three political similarities or differences between ancient Egypt and Mesopotamia. Mesopotamia and Ancient Egypt: The similarities and differences lie in the early civilization of China, agriculture related research of ancient Egypt and Mesopotamia. Do you think there is somewhat similarity between the two documents you read about early civilization in the prehistoric times of India, China, Egypt? There are many similarities between China and India, but Egypt and Mesopotamia grew when comparing the politics of ancient India and Egypt. There are many similarities in the differences between the Egyptian and Mesopotamian ancient religions in the Near East, but there are many similarities. India and Egypt compare facts, figures, measurements, and indicators side -by-side to quickly review similarities and differences. How this technology is spreading in ancient Egypt, Mesopotamia, Egypt, Cambodia building, 10 important similarities between ancient civilizations There are four major civilizations in the Furukawa Valley: the fertile New Moon in Mesopotamia, the Nile River in Egypt, the Indus River in India, and the Yellow River in China. These civilizations show specific similarities and contrast differences. Many of these differences and similarities occur in three categories: technology progress, government type, civilization. In-depth research and research on China and Egypt contrast the two very interesting civilizations in society. As China and Egypt are isolated from the outside world, their development is very concentrated in technology and learning, and with a powerful government to unite the country. Similarity ... Read more

Friday, September 13, 2019

Reflect upon your own coaching practise (coaching sessions you have Essay

Reflect upon your own coaching practise (coaching sessions you have delivered) and critically explore the range of models and techniques used. (3000 words) - Essay Example The major type of coaching is educational coaching which offers an opportunity for learning as well as mentorship consequently improving academic or learning skills hence academic performance. Coaching is a one on one leaning mode that has been in existence for a long period but much focus has been put on this learning method especially in the recent past. This paper is a reflection of the importance of coaching, the different micro coaching models, and coaching strategies especially those I applied in my micro coaching sessions, and an analysis of why some worked perfectly while others proved to be problematic. During my micro coaching sessions, I realized how I would enjoy some coaching techniques and strategies while others were a blunder and made me feel like quitting or terminating my sessions. Coaching takes different spans of time with micro coaching taking a short period but producing excellent results if done properly. During my micro coaching sessions, I realized strategies like the five whys’ strategy was so pressurizing while others like the Grow model proved supportive and pleasing. I will endeavour to analyse reasons why some were not accommodating and how one can improve to generate better results than I managed. The sessions also helped me realise the importance of the coach understanding the needs of the coachee, their behaviours and attitude to decide on the appropriate coaching strategy. Before discussing the coaching techniques and strategies, it is important I first discuss why I found it important to engage in the micro coaching sessions. The major importance of enrolling in micro coaching was to get challenged which enabled me to focus and realize my potential. The coaching process amplified my desire to learn and i have surely improved on my review and learning skills. Coaching also helped me to improve my self-esteem since the coach motivated me to improve on my performance and when I saw an improvement in my results my

Thursday, September 12, 2019

Fire Engineering Design Project Assignment Example | Topics and Well Written Essays - 1500 words

Fire Engineering Design Project - Assignment Example The perspectives of a variety of experts in the field of fire engineering will be explored. Appendix One Fire engineering may be better classified as the implementation of engineering regulations, laws and professional assessments. These elements may be based upon a cognitive evaluation of human motivation and an empirical comprehension of fire related effects in order to: Preserve life property, environmental resources and national heritages. Assess the dangers and potentials of fire related incidents. Methodologically assess the maximum protective and preventative requisites which are necessary to minimize the results of fire events. The endeavor of fire engineering is to reduce the consequences of fire in the vicinity of adjoining edifices and structures. This is required by national codification and convention. During the past thirty years, edifice related legislation has deviated from complete prescriptive mandates to more flexible rules as demonstrated by research and developme nt in the field. Many experts agree that the presently accepted regulatory documents which are designated Approved Document B (ADB) are not adapted to large open and more intricately constructed structures. In addition, the Approved Document B is not adapted to rehabilitated structures. Many of the requisites recommended in Approved Document B are non existent in edifices which were constructed prior to its inception. An example of this would be a structure with one staircase and one conspicuous egress point (Cooke 2011). The evaluation of the methods of escape inside of a structure, notwithstanding new or rehabilitated structures is reliant upon the aspects of the structure. The perspective for such a structure would be different if the structure were an office, a shop or an institution of higher education. The accepted conventions require that the structure or edifice be erected in agreement with the design recommendations that are within the parameters of Approved Document B. In accordance with this perspective, a compliant solution is implemented. This compliant solution requires strict adherence the design criteria. These criteria are not restricted to the Building Regulations and Approved Document B. There are roughly 120 documents which are currently set as criteria which may be applied as a design matrix for fire engineering (Lawrence Webster Forrest 2012). As a point of reference, the designer must consider the number of occupants who will occupy a structure at a predetermined moment. Subsequently, as architects plan and implement the required endeavors in order to ascertain various requisites, the fire engineer endeavors to calculate the planning of a structure's means of egress. Approved Document B accepts two techniques which may be applied to fire engineering. The primary technique is founded upon linear area abstractions. These abstractions may apply a value of six square meters per person in the case of an office environment or seven meters per person in the situation of a library. The Approved Document B table may be applied in order to provide a comparative analysis with similar structures with parallel applications. The Approved Document B, Table 4 suggests the application of the following standards: Optimal Occupancy of Persons Minimum number of egresses 60 1 600 2 Greater than 600 3 The coordinates of egress routes and the final exit doors are required to be accessible and recognizable by all occupants. The number of egresses

Wednesday, September 11, 2019

English Employment Law Study Essay Example | Topics and Well Written Essays - 3000 words

English Employment Law Study - Essay Example Self-Employed Individuals- Self-employed individuals are regarded as those individuals who are independent and run their business own. These individuals can also be duly considered as self-regulating contractors who are responsible for making broad regulations in order to attain predetermined business targets. It is worth to mention that self-employed individuals are   responsible for adopting   as well as implementing   broad decisions for smooth conduct of business (Kemp Little, 2012). A big similarity between the workers and the employees in the organizational context of the UK is that both of them are covered under common statutes of employment law. These include Health & Safety at Work etc Act 1974, Trade Union and Labour Relations (Consolidation) Act 1992, Employment Tribunals Act 1996, Employment Rights Act 1996, Public Interest Disclosure Act 1998, Data Protection Act 1998 and Human Rights Act 1998. All these laws are enacted by the government in order to defend the rig hts of the employees as well as the workers belonging to different organizations of the UK (Kemp Little, 2012). Employees - All the employees in the UK are covered with special laws that eventually protect their respective rights by a considerable level. The basic understanding of these laws and statutory employment protection legislation apply to all those employees who work in diverse organisations despite their status i.e. higher, lower or middle level employees.   Employees are entitled to all major rights as long as they serve the basic purpose. of performing their

Tuesday, September 10, 2019

Can commercial media be ethical Be sure to draw on each of the module Essay

Can commercial media be ethical Be sure to draw on each of the module topics to in answering the question and use artefacts fro - Essay Example It will also contain ads from various brands that were banned for breaking the ethical barriers. Commercial Media Most of the content of media is staged, where the TV channels show that the Pope is blessing innumerable people, what is important in showing this on air is the millions of people who are viewing this at home not the ones present at the scene where the Pope is offering his blessings. Similarly, the political discussions shown that are witnessed on the TV require approval by the political authorities before these are presented to the viewers. Nevertheless, it can be said that such media programs are few, however, the point persists that such manipulated media is existent. Although, such ‘live Media’ events may be few in number but with the passage of time they are increasing in quantity (Rosengren, 1994). Thus, it can be implied that the human mind is largely conditioned by the media available on the internet, programs on TV, and articles available online and in the magazines. Many individuals believe it to be authentic and let it influence their mind sets. This perspective to look at the authenticity of media makes the consumer gullible to the gimmicks presented in the content of media available on TV, in News Papers, and magazines (Hiebert, 2001; Berman, Abraham, Battino, Shipnuck, & Neus, 2004). Journalism is another way to advertise the product in the market. The image of the advert entirely relies upon the sort of publicity it receives. Usually, this type of advertising is used for the events and media programs; creating a hype for the program in order to increase the TRP’s of the show. Publicity of a product can make and break the image of the product; for whatever the consumer reads and sees on TV thinks it to be authentic to its core. Thus, a bad publicity can ruin the image of the product altogether (Kwanash-Aidoo, 2005; Baerns, 2003; Mickey, 1997). Therefore, it can be analyzed that commercial media has the power to shap e the mind sets of individuals to the extent where they can believe in certain things and abandon beliefs as well. The commercial media have evolved over the last decade. With the emergence of new technology the ideas of communication has been shaped in to varied ways that gauge the attention of the audience and the media providers. This has diverted the attention of the media developers to the newly innovated ways of communication to tools such as the internet and mobile media. Many advertising agencies have invested large sums of money in ambient media. UK industry forecasts that the ambient media are so effective that its growing rapidly, in the near future the cost for ambient media will be in millions of pounds; moreover the literature suggests that the traditional media such as TV, posters, Cinema, and radio is substantially being replaced with the ‘non-traditional out-of-home’ media which is collectively referred to as the ambient media (Hiebert, 2001; Shankar & Horton, 1999). It is essential to high light that due to non-availability of business models in media many of the factors in advertising remain unattended and hap-hazard. For these reasons media tries to publish a story in order to sell well. This lack of media business models only make the media focus upon

Monday, September 9, 2019

Death and fate Essay Example | Topics and Well Written Essays - 1000 words

Death and fate - Essay Example This story thus tries to show how death is inevitable and despite efforts put in place, it will always find ways of capturing its victims. The story revolves around death and its inevitability. It portrays many traditions of the Gothic fiction thus presenting an allegory of death and fate. It is therefore important to study and know how different societies deal with death and the meanings behind their actions. Death in Different Societies Over the years, the mystery of death have stunned many individuals and because no one knows what happens when after death, different societies have come up with tales on the origin of death, causes of death and implications of death. Different people have different believes on death, but the vast majority view death as a form of punishment from a supreme being usually referred to as ‘god’ or ‘the ancestors’. Very few people have embraced the reality about death and view it as natural, many still believe that death occurs as a result of fate or punishment (Lynn 327). To broadly understand death in different societies, we will attempt to look at what the societies believe are the causes of death, what are the remedies to the stated cause and whether death is avoidable by any chance. Death According to the Muslim Societies According to the Muslim community, death is normally regarded as the ultimate completion or end of the physical life of an individual. The dead person is normally referred to as resting because, this society believes that, in the end, the dead will be resurrected by God normally referred to as Allah. Since the dead are only resting, they believe that those who were righteous are capable of seeing visions of Allah even in immortal state. The wicked on the other hand, usually see hell in their visions. According to the Muslim society, there is heaven where the dead will go after judgment (Ivone 174). This place however is restricted to the pure Muslims; non Muslims can only get to heaven after they have been purified in fire, commonly known as the purgatory. In Muslim society, religious legends are worshiped and specific shrines are built for their remembrance. To date, Prophet Mohammed is worshiped and every Muslim knows that he was the most righteous person who ever lived. As a way of recognizing this, special shrine is built in Mecca where Muslims Faithful usually visit to pay their tribute to this hero. This process is done annually. When a Muslim dies, he is supposed to be washed, wrapped in a white clean cloth and buried the same day. This is done to honor the dead and give him last respect. People know very little in what happens after one is buried and they just believes that he or she will be resurrected when time comes. Muslims also believe in a holy war called Jihad. In this war, if someone dies in an attempt to do the will or Allah, he is guaranteed heaven. This is why, some fighters like Osama, having been convinced that they were doing service to God, would do anything without being human enough to reconsider his actions. When he died, the best thing was to bury him under water to avoid shrines and a repeat of the same cycle. Death in Traditional African Society Many traditional practices according to many traditional practices are coiled around death and resurrection. Many individuals believe in the existence of semi-divine powers and the intercession of spirits (Aloysius and Joanne 68). It is therefore important to appease the spirits if one is to avoid the painful consequences of death. There are also

Sunday, September 8, 2019

X-ray Photons Essay Example | Topics and Well Written Essays - 2000 words

X-ray Photons - Essay Example The intensity of beam if then given by the number of photons passing through a given area per unit time. As the intensity is also proportional to the square of the electric field it follows that magnitude of the field is quantised (Dendy & Heaton, 1999). Thus A beam of x-ray photons is heterogenous and presents both fields: electrical and magnetic. Because X-ray beam is not originated from a point source it's divergent by its nature. In this way the magnification of the image could be achieved by the increase of the focus distance (direct dependence). Because of the existence of two different types of photon interaction within the x-ray tube there is important what peak voltage is used. The energy of electrons depends on the voltage between the anode and cathode. Higher peak voltage produce photons with higher energy (Aichinger et al., 2003). Thus measurement of the practical peak voltage is used for the quality control of X-ray units (Ramrez-Jimnez et al., 2004). There are some types of X-ray photons dependently on their origin and type of interaction with target atom. If the projectile electron interacts with an inner-shell electron of the target atom rather than an outer-shell electron than characteristic x-radiation can be produced (Christensen et al., 1979;). Contrarily to the characteristic interaction Bremsstrahlung (braking) x-radiation occur when the projectile electrons lose their kinetic energy in the interaction with the nucleus of a target atom (Aichinger et al., 2003). Actually, X-ray tube is very ineffective device - only small part of energy is transformed in X-ray beams while the rest just produce heat (Aichinger et al., 2003). Only small part of the anode surface is involved in x-ray production. This area is called as the "focal spot". There is known that smaller focal spots is more useful for imaging purposes because they generate less blurring and provide better visibility of image details. Thus X-ray tubes with small focal spots are useful for decrease of radiation loading (Aichinger et al., 2003). X rays interact with irradiated substances in form of photoelectric effect, dispersion and forming of pairs "electron-positron" (Aichinger et al., 2003) They have high penetrating capacity, its property is described by formula: I=I0e-rt, where I0 - is intensity of the beam of X-rays, - attenuation coefficient (Aichinger et al., 2003). The depth of penetrating depends on the half-value thickness, i.e. the thickness of an absorbing substance that reduces the intensity of x-ray beam to half its value (i.e. I0/2). The half-value thickness depends on the attenuating properties of the substance itself and the penetrating power of the radiation incident upon it. This property is used for such radiographic tests as roentgen-densitometry when density of tested object is compared with etalon, e.g. aluminium equivalent (Wells & Ryan, 2000). Another practical application of the half-value thickness knowledge is shielding/filtration. Protective equipment is an example of added filtration. Filtration allows increasing the average energy of X-ray beams and reduce amount of low-energy photons. It's helpful for radiation dose control. Minimum adequate filtration of the x-ray beam is achievable at the half value thickness which is equal or more than 2.5 mm of aluminium (Bushberg et al., 1994). Both Bremsstrahlung and characteristic radiation are emitted in the anode

Saturday, September 7, 2019

Comparison of the foreign policy decision making by the United States Essay

Comparison of the foreign policy decision making by the United States and Germany on the example of Operation Iraqi Freedom (OIF - Essay Example 1. Foreign Policy Decision Making of the US 1.1 Constitutional Conditions By virtue of his constitutional prerogatives, as set up in Article II, Section 1 and 2 of the US Constitution, the President of the United States is the nation’s chief executive and Commander in Chief of the Army and Navy, as well as is granted the power to make treaties with foreign nations, â€Å"by and with the Advice and Consent of the Senate†¦ provided two thirds of the Senators concur† (Clause 2). This postulate not only outlines the presidential powers in regard to foreign policy decision making, but also gives the Senate quite a passable share in that process by requiring Senate approval and confirmation of any treaty before it comes into effect. However, the President is allowed to enter into â€Å"presidential or sole executive agreements† concluded on the basis of his constitutional authority in regard to Article II, Section 1, Section 2, Clause 1 and Clause 2, as well as Se ction 3 of the Constitution (Congressional Research Service, Library of Congress 4). In addition to his control over the military forces, the President has the authority to deploy them at his discretion – in other words to wage war – while the Congress is empowered to declare war, and to raise and support armies, as well as to provide and maintain navy, which alongside the control of funding the military provides another way of keeping the executive branch in check (Constitution of the United States, Article I, Section 8, Clauses 11, 12, 13). Under Article I, Section 8 of the Constitution, the Congress is additionally empowered to â€Å"make all Laws which shell be necessary and proper for carrying into Execution the foregoing Powers† (Clause 18), which clause enables the legislature to use any reasonable means to put the powers in question into action, and authorizes the Congress to enact legislation necessary to carry out the powers of the other branches as we ll (Constitution of the US, Article I, Section 8, Explanation). This division of the war powers had repeatedly been put to the test in Korea, Vietnam and other places, where the US were involved in a number of intense conflicts without any declaration of war. That had provoked congressmen’s concern and a national argument over the meaning of these powers and the erosion of congressional authority to decide whether and when the United States should be involved in a war. As a consequence, both the House of Representatives and Senate passed the War Powers Resolution (Public Law 93-148) which, although being vetoed by the President Nixon, was enacted in 1973. The resolution has been intended to guarantee â€Å"that the collective judgment of both the Congress and the President will apply to the introduction of United States Armed Forces into hostilities† (War Powers Resolution, Sec. 2a), as well as to stipulate the procedures of consultation, reporting, congressional actio n, etc. in regard to the US involvement into such situations. 1.2. Participating Institutions As seen from above, the institutions all-important in the process of creation (decision making) and implementation of U.S. foreign

Friday, September 6, 2019

Animal Abuse Essay Example for Free

Animal Abuse Essay The Greyhound is an ancient breed of dog. It is the only dog mentioned in the Bible, and has been depicted in many ancient Egyptian paintings, dating back over 4,000 years. Greyhounds were so revered, that the Greyhounds were allowed to share their tents. In ancient Arabic countries, the birth of a son was the most important event, the second was the birth of a Greyhound. The history of dog racing can be traced back to Queen Elizabeth I in the 16th century when Greyhounds were brought over to England from Egypt, where her majesty created the first formal rules of dog coursing, naming it the â€Å"Sport of Queens†. In the 18th century, England exported the sport to America, and soon the sport was comprised of racing and gambling. In 1912, the dog racing as it is known today, was established by Owen Patrick Smith, the man who invented the mechanical lure used in today’s dog racing. The first official dog track was opened in 1919 in California, and in 1931, wagering was legalized in Florida, paving the way for the development of the Palm Beach Kennel Club. The Palm Beach Kennel Club operated permits for dog racing, which officially started in America in 1932. Unfortunately, the once grandeur and majesty of the sport is tarnished with the unethical abuse these animals endure. The definition of animal abuse is â€Å"the crime of inflicting physical pain, suffering or death on an animal, usually a tame one, beyond necessity for normal discipline. It can include neglect that is so monstrous (withholding food and water) that the animal has suffered, died or been put in imminent danger of death. † (Hill, 2005). Many Greyhounds are the subject of abuse in the racing world. The Greyhounds are subject to horrible conditions. Many people enjoy watching a good race. The anticipation of the race and the thrill of their prized dog winning would make anyone want to attend a race. But it’s what happens before and after the race that has many people up in arms over the whole dog racing scene. When the dogs are not racing, they are kept in crates stacked one on top of the other. The dogs are not exercised regularly; the only exercise they get is from racing, and a race lasts for only a few minutes. If an Greyhound is injured during practice or during the race, the dog is killed and ground up for food for the other dogs. Many Greyhounds also die during the race due to exhaustion and dehydration. It is important to address this issue because animal abuse is a crime, and most people who commit these heinous acts are never brought to justice. It is also important to understand why someone could harm an innocent animal. According to the ASPCA, there are three main reasons why someone would be cruel to animals in their article titled, Why people abuse animals. The first reason is that some people abuse animals is that they do not know they are abusing the animal. Some people just don’t think about what they are doing to the animal, and others think excessive force is necessary to maintain control of the animal. A person who hits their dog when he or she does something wrong, like poop in the house, will use excessive force to show the animal that what he or she did was bad. Other people forget to roll down a window on a hot day with the animal in the car. The second reason a person would abuse animals is that the person will do it purposefully, but not for a continuous amount of time. Young kids who throw rocks at cats or kick a dog are an example of this type of abuser. Many young children can be taught through support groups and educational programs to show how an animal feels when it is abused in such a way, and many children learn to respect animals. The third reason a person would abuse an animal is the most serious form of animal cruelty. The third reason a person would abuse an animal is for power. Many of these types of people enjoy hurting the weak and helpless animals, as it makes them feel in control. Most of these people who intentionally hurt an animal have serious psychological issues that need to be addressed. If left unchecked, these issues may lead to more serious acts of violence. According the article, most people that were mentioned in the first and second reason for animal abuse can be educated through materials, counselors and educational classes. But even with the educational classes, what most people don’t understand is the psychological effects of the abuse has on animals. All animals want is to be loved and cared for, especially dogs. Humans have breed dogs to be our companions, and are the only animal that sets out to please us. When a human abuses an animal, we lose that trust that the animal places in us. The main psychological effect abuse has on dogs can be devastating. A dog may feel threatened by any human that it comes in contact with, and the dog can turn aggressive out of fear. Other dogs are fearful and maintain their fearfulness throughout the rest of their lives. These dogs may cower away from humans, shunning away when a human has an object in their hand or hide when they hear raised voices. L. Kalef wrote an article titled Psychological effects of animal cruelty, and in the article, he talked about the effects of animal abuse in Eastern Europe. For those who have traveled to Eastern European countries, it is not uncommon to be privy to packs of dogs roaming in some of the major cities, and sometimes being aggressive out of fear, hunger or abuse have led to provoke a similar reaction by the population by way of harm and abuse. Sadly, these neglected animals are under constant scrutiny and possible attack, which has become all too common. For years, welfare activists have been speaking up for the plight of the strays and the brutal inhumane abuse and killings; but no one until now has suggested that the constant exposure of this violence may instigate other and further violent activity within the community. In other words, growing up in a society being exposed to animal abuse causes further abuse and lack of compassion. (Kalef, 2012) But there are many people who argue that dog racing is not the only animal sport that has animal abuse and that it is part of the sport. Throughout the world of animal sports, there are some instances of animal abuse. In Mexico, bullfighting is a very popular sport, where the object of the game is to kill the bull or else the Matador will be stampeded or stabbed by the bulls horns. The bulls are starved and tortured, and they meaner the bull becomes, the more entertaining the sport. Also, horse racing has had its fair share of animal abuse cases. Many Thoroughbreds that receive an injury are killed, just like the Greyhounds, and made into meat that is sold for human consumption. J. Frater wrote an article titled 10 Debated acts of animal cruelty, which outlines a few instances that can be considered animal abuse. For those who have traveled to Eastern European countries, it is not uncommon to be privy to packs of dogs roaming in some of the major cities, and sometimes being aggressive out of fear, hunger or abuse have led to provoke a similar reaction by the population by way of harm and abuse. Sadly, these neglected animals are under constant scrutiny and possible attack, which has become all too common. For years, welfare activists have been speaking up for the plight of the strays and the brutal inhumane abuse and killings; but no one until now has suggested that the constant exposure of this violence may instigate other and further violent activity within the community. In other words, growing up in a society being exposed to animal abuse causes further abuse and lack of compassion. (Frater, 2010). But to most people, that is just the way the sport is. What is someone going to do with a prized race horse that has a broken leg and can no longer race? Why take the money to fix the injury, when the owner can make money off of selling the animal for food? It’s just part of the sport. But there is one question that needs to be answered. Which side is right? The truth is both sides are right. There will always be animal abuse in sports, as well as throughout the world. We as a people will not be able to completely stop the abuse, we can just diminish the amount of animals are abused. Through the use of stricter laws and more regulations, we as humans can help the voiceless. In conclusion, though there is no one way to solve animal cruelty in the world. There will always be animal cruelty in the sporting world, but as long as we humans can educate the younger generations, the amount of cases of animal cruelty will drastically decrease. Only one can hope that the â€Å"Sport of Queens† can return once again to the grandeur and majesty that the sport once was.