Monday, September 30, 2019

John Locke Government Essay

Without a civil society, all rules of order begin to break down. At this point, there really is no society present. Rather, there is anarchy and an anarchistic society is not one where the populace can be reasonably cared for and protected. John Locke puts forth many assessments in this regard. However, Locke also understands that the current state of society will often play a role in terms of how we react to it. In Richard II, we have a monarchy of a society that fails to be civil in a number of ways. Because of this, action is taken by certain members of the populace. This does raise questions regarding whether or not the actions of these characters in the play support or undermine the theories of John Locke as they relate to the civil society. A closer examination of the play will reveal answers in this regard. In the play, we see certain callous and decidedly not well thought out actions on the part of Richard II. In the early stages of the play, the king interferes in a dual between Bolingbroke and Mowbray. The former is banished for 6 years as a result of his actions with the latter is banished forever. This creates great animosity among Mowbray and his followers while also setting the stage for the creation of a serious enemy. Such actions are further compounded when Richard appropriates all the land of John of Gaunt for himself when the character passes away. Are such actions those of a ruler that professes to oversee a civil society? A great many arguments can be made that such actions are hardly noble in their intent and action. At the core of Locke’s writing is that there really is no such thing as a divinity among the kings that rule a particular land. In other words, kings are not divine beings that can impose their will on the populace in any way they see fit. There are various John Locke, Government, and RICHARD II – Page 2 reasons why Locke promotes such a notion. Firstly, he recognizes that kings are human beings and, hence, fallible as all humans are. This can lead to kings being self-serving as opposed to serving their subjects and the rule of law. When both of these components are ignored, the civil society breaks down. Also, it becomes impossible for proper governance to exist unless deep and serious thought is put forth towards the nature and role of ruling. So, when a king puts forth the attitude that all things are good because of his divine will, society runs the risk of collapsing. Why is this so? Mainly, it is because no logic is being employed by the ruler. Rather, the king believes all things decreed correct because the king is infallible. This does little more than set the stage for the collapse of the king’s rule as well as the collapse of the civil society. We can see this in RICHARD II in several ways. Richard slowly seems to lose his grip on proper rule and becomes a self-serving entity. During the events of the play, we learn that Richard’s kingdom is involved in a long, bitter, and protracted war with Ireland. As such, the need for making proper and accurate decisions is a must. Poor decisions can undermine the effectiveness of the war effort which, in turn, can lead to a collapse of the kingdom. Early in the play, Richard is accused of not properly managing the war effort as evidenced by his personal appropriations of Gaunt’s wealth among other improprieties. This sets in motion the idea that he must be disposed as the ruler of the kingdom. John Locke, Government, and RICHARD II – Pg 3 While all rulers will be criticized at some point, the most stinging criticism would be that the leader does not hold the fabric of society together. Rather, he contributes to the collapse of society. An argument of these sorts can be made towards the rule of Richard II. Of great concern to Locke is the notion that the population has a right to private property and that any government or ruler that infringes on private property is little more than a tyranny. In the context of RICHARD II, there is a ruler that has no respect for private property as evidenced by his unlawful seizing of land and wealth. This poses the question when a king acts lawless, is there any law to the land? Locke also was an avowed believer in the notion that government must represent the will of the people. Those governments that do not provide for the populace in such a way will run the risk of being legitimately overthrown by the motivated members of the populace. We see such events played out in RICAHRD II in many different ways. Ultimately, all the actions of King Richard promote the notion that he does not serve his subject. Rather, he serves his own personal goals with little regard for the life and property of those he is entrusted to care for. One could say that RICHARD II truly does provide a clear interpretation of the problems with government detailed in John Locke’s SECOND TREATISE OF GOVERNMENT. As such, it would be safe to infer that Locke would hardly approve of the way Richard II rules. Considering the downfall of the king in the play, Richard II would have been better served had be been guided by Locke’s philosophical approach to government.

Sunday, September 29, 2019

Relative Rates: Free-Radical Bromination

BroIn this experiment of the relative rates of free-radical chain bromination, we were expected to be able to determine the relative reactivates of the many types of hydrogen atoms involved toward bromine atoms. Bromination is defined to be a regioselective reaction meaning bromine has preference of making or breaking a bond over all other directions that it may have had available.In this case, Markovnikov’s rule is revealed to be the case in this situation that states that adding a protic acid represented as HX to an alkene (sp2 hybridized), the hydrogen from that HX would be attracted to a carbon with the least alkyl groups and the halide (X) would become more attracted and will attach to the carbon containing more alkyl groups. Within the intermediate stage of the bromination reaction, the bromine radical will have already formed and the electronegatively charged radical will have a choice of how to protonate in order to create a stable carbocation.In order to determine the se sp3 hybridized carbons stability, it can be determined by knowing that while comparing, if there are less alkyl groups attached to a carbocation, then there would not be enough electrons to slightly mask over the positive charge on that certain carbocation. Due to this, the more alkyl groups that are attached, the more stable the carbocation would be due to the fact that the electron flow in the electron cloud slightly donates to the carbocation making it almost completely stable.During the experiment, we were expected to organize two groups of tubes with methylene chloride with their respective hydrocarbon (10 drops) as well as the addition of a small amount of bromine. One group of tubes was set in the light and one was set in the dark and when compared, you were already able to see that the ethylbenzene and toluene were the fastest to react in both situations.Due to this fact we can tell since they were the fastest reacting, they can be associated with the fact that they were more than likely secondary and primary benzylic carbons due to their excellent stability and fast reactions. The only other tube that reacted through observation (by eye) by the end of the experiment was the methylcyclohexane; and we could tell that it had slightly reacted by it’s slight orange color, but was not still completely red like the others(sign of bromine).The next most stable carbocation form would be the tertiary aliphatic carbon, so we will infer that this is what has occurred in this case. Due to the fact that methylcyclohexane is sp3 hybridized, we can pin point that our assumption that the bromination is tertiary aliphatic because it is stable with there being three alkyl groups present which means that the electrons within these groups are delocalized and are contained within an orbital that extends over the adjacent atoms involved. The last two tubes to react within the group were cyclohexane and t-butylbenzene in that order.When first added the bromine, the se two were the only ones that seemed to remain red longer and remained the same shade of red even after all of the other tubes had reacted. The reaction of cyclohexane however was expected to react slightly more than the t-butylbenzene due to the fact that the positive charge on the carbocation is delocalized â€Å"better† when there are more alkyl groups involved. This will match up the two with secondary (cyclohexane) and primary aliphatic (t-butylbenzene) bromination.

Saturday, September 28, 2019

A discussion of homicide

A discussion of homicide Disclaimer: This work has been submitted by a student. This is not an example of the work produced by our Law Essay Writing Service . You can view samples of our professional work here . A discussion of homicide Under the facts of the scenario, Vincent had died and this would warrant a discussion of homicide. The actus reus of homicide is the unlawful killing of another. It would be unlikely that the parties concerned would be liable for murder as it seems they do not have requisite mens rea of malice aforethought for the offence. Criminal Liability Of Flavia. If Flavia is charged with constructive manslaughter, the prosecution would have to show an unlawful act which is also dangerous, caused the death of Vincent. The prosecution would be likely to rely on s23 Offences Against the Persons Act 1861 where the unlawful act is administering a noxious thing; which was successfully argued in Cato. Previous case law on manslaughter and drug supply cases has been far from consistent, but the House of Lords (HL) decision of Kennedy (No 2) was held by Ormerod as a ‘most welcomed conclusion’ to the drug-supply case law. In the case it was stated that where a vi ctim of a sound mind injected himself as a result of ‘free, voluntary and informed decision’ this would break the chain of causation. In the scenario it is stated that ‘Vincent injects himself’, we can safely assume that Flavia had not administered the injection directly and it was a ‘free, voluntary and informed decision’ made by Vincent which breaks the chain of causation. It must also be presumed that factors such as age, mental conditions or improper pressure have not affected the decision of Vincent to self-inject, if they had, Flavia could be liable; which is more likely as he is at a party. If Vincent was an addict, Clarkson would question whether taking drugs would be ‘free and voluntary’. In Kennedy (No 2) it was stated that, in relation to the scenario, that the ‘act of supplying the drugs by [Flavia], without more, could not harm [Vincent] in any psychical way, let alone cause his death’. HL did not rule out scenario where two people are ‘acting together’. This left open a ‘narrow circumstances’ which Flavia would be liable for death of Vincent, apart from where there is direct injection to the deceased. In the scenario, Flavia used her belt as tourniquet to lift a vein and this was similar to the case of Rogers (where the defendant was convicted). But this was specifically stated as ‘wrongly decided’ by Lord Bingham and we can assume that this would not amount to ‘acting together’. Additionally Kennedy (No 2) also stated; preparation and handing the syringe to victim will not constitute ‘acting together’ to give rise to liability for the death of Vincent. Lord Bingham stated ‘nothing in this opinion should be understood as applying to manslaughter caused by negligence’. Therefore we may be able to argue that Flavia is liable for gross negligence manslaughter for the death of Vincent. It is more likely that F lavia would be charged with gross negligence manslaughter, prosecution would have to prove the criteria laid down by Lord Mackay in the case of Adamako (which applies to all gross negligence cases). It would first of all need to be established that the defendant owed a duty of care to victim and the defendant breached that duty of care and this caused the death of Vincent. The breach of duty must be characterised as grossly negligent to constitute a crime; a matter for the jury to decide on.

Friday, September 27, 2019

Legal Issues in Undocumented Immigrant Workers Essay

Legal Issues in Undocumented Immigrant Workers - Essay Example However, the development of such means as electronic verification systems (E-verify) has become a major blow to the industry especially to the companies that was dependent on these undocumented immigrants. This is due to a reduction in the labor pool, higher wages and the cost of hiring new staff might shoot, and what looked like a humming industry could be brought down to its knees.With the changes that are being advocated for by human rights activists and other international bodies, it has come a time when the hospitality industry with have to face the impact of the new legislations put in place to advocate for the rights of these undocumented immigrants. Not that these legislations have not been there before, but the fact is that the government is setting up more profound measures that will ensure that the immigrants do not suffer the same historical injustices as they have suffered before. This will also be aimed at ensuring that the job market in the states is decongested, allow ing room for the citizens to have access to job opportunities.Previously, legislations were aimed at barring entry of some illegal immigrants especially from Asia, Japan and Korea. The Quota Act aimed at reducing the number of immigrants entering the country and dictated a gradual incorporation of any foreign born immigrants. For example, the Immigration and Nationality Act of 1952 that allowed H-2 visas to immigrants with labor skills to help in agriculture industry created an opportunity for immigrants to find legal refuge in the country.

Thursday, September 26, 2019

Hepatitis C Research Paper Example | Topics and Well Written Essays - 1250 words

Hepatitis C - Research Paper Example Transplantation of organs from infected people also spreads the hepatitis C virus. But in 1992 the health professional formulated a blood donation test which detects the presence of hepatitis C virus. After 1992 the blood of donor is tested for the hepatitis C virus before transfusion of blood or transplanting organs due to which the chance of transmission of hepatitis C virus is lowest nowadays. Hepatitis C virus is also transmitted by sexual contact with an infected partner or one having many sex partners. Transmission of virus also occurs from infected mother to baby during birth but the ratio of transmission by this way is low (Centers for Disease Control and Prevention). Anatomy: The liver is one of the main organs of digestive system which is reddish brown in color. Liver is the largest gland of the body which produces different hormones. Liver is divided into two lobes right and left lobe on the anterior and posterior surface. On the inferior surface the liver has two small lo bes quadrate lobe and caudate lobe between the right lobe and the left lobe. In between the caudate lobe and the quadrate lobe is porta hepatis which receives hepatic portal vein, hepatic artery proper and common bile duct. Liver receives blood by two blood vessels hepatic artery and portal vein. The parenchyma of liver is made up of epithelial cells called hepatocytes. Blood sinusoids are present in between hepatocytes which are known as hepatic sinusoids. Portal area is a space which contains three tubular structures collectively called portal triad. The portal triad contains a branch of portal vein, a branch of hepatic artery and bile duct. A delicate covering is present around the parenchyma of liver known as Glison’s capsule. The liver performs different metabolic functions. Liver helps in protein synthesis like albumin which helps in regulating osmotic pressure. Liver synthesize fibrinogen which helps in blood clotting. Liver produces globulin which helps in immunity. I n fat metabolism liver plays important role. It synthesizes cholesterol and also performs lipogenesis. On the other hand liver produces bile which is necessary for the emulsification of fat which is breakdown of fat so liver plays role in synthesis and breakdown of fat. Bile is then transported to gall bladder for storage. From gall bladder the bile goes to the duodenum for fat emulsification when fat reaches the duodenum for digestion. Liver also plays important role in carbohydrate metabolism as gluconeogenesis, glycogenolysis and glycogenesis occur in liver. Liver also stores the extra glucose in form of glycogen. Thrombopoietin is hormone which is also produced in liver. The function of thrombopoietin is the regulation of platelets production in bone marrow. The liver helps in the breakdown of different substance like insulin, hemoglobin, different drugs and ammonia etc. During the first three months of fetal life the liver produces red blood cells. Liver also plays role in bloo d pressure regulation because it produces angiotensin hormone (Robbins et al 2005). Abnormality: By attacking liver cells the hepatitis C virus make morphological changes in the tissues of liver. The hepatitis C virus starts necrosing the liver cells and causes the shrinkage of the liver. The liver becomes wrinkled and red in color. Cross sectional examination of the necrosed liver shows muddy red appearance and blotchy bile staining. There is complete destruction of

Hospitality Management Industries Essay Example | Topics and Well Written Essays - 500 words - 4

Hospitality Management Industries - Essay Example Hospitality management is known as the oldest services provided by human beings. The industry was replacing its older ways with newer techniques and ideas slowly and gradually; however, Isadore Sharp’s ideas brought a drastic change in this industry that are: Before Isadore’s era, medium sized hotels were not that lavish and weren’t also rendering exceptional services. However, Isadore helped changing this mindset that exceptional services can only be rendered by large hotels. Therefore, since then, medium sized hotels and resorts are also trying to provide exceptional services and thus, increasing their customer base and revenue. Isadore, by his ideas of exceptional services bought another change in the industry that people should always get the same level of satisfaction from the hotel. Therefore, hotels and resorts have to keep maintaining their short term and long term strategies all over the year. Gift card is another incomparable and unique service provided by Four Season to their customer. It helps one to buy a gift card for their loved ones, which is redeemable worldwide at any Four Season hotel for overnight stay, dining experiences, spa treatment and other services that are

Wednesday, September 25, 2019

Large-Scale Biomass Combustion Essay Example | Topics and Well Written Essays - 2000 words - 1

Large-Scale Biomass Combustion - Essay Example It possesses a significant need in everyday life. For instance, energy is being used for various activities that include the execution of cars for moving one place to another and televisions for the purpose of entertainment among others. Moreover, energy is also used for producing electricity and heat for different purposes. It has been apparently observed that a large percentage of energy is obtained from the combustion of biomass (Need, 2012). Â  In this paper, a critical discussion about the use of sustainable energy will be taken into concern. Moreover, the determination of large-scale business combustion as one of the sustainable options for energy generation will also be discussed in this paper. Â  Biomass Combustion is principally described as the method of burning through which 90% of the world’s energy is released to supply heat and energy services like material processing that includes food preparation, electricity, and transportation. It has been viewed as the process through which fuels are burnt with the help of oxygen (Overend, 2004). Â  Biomass combustion is considered as the oldest type of combustion that largely exploited by human beings. It is also regarded as one of the most complicated forms of the combustion system. This process of combustion entails the use of solid fuels in a multi-phase reaction system interacting with different mass fluxes. The prime understanding of the solid fuel combustion system reveals with reference to the fact that only fuel can burn and release heat. It has also been viewed that solids and liquids do not burn by themselves but consume heat in the process of drying which is required to be chemically transformed into fuel gas. There are several different materials that can be considered as biomass. These materials include solid wood, fats, and proteins (Overend, 2004).

Tuesday, September 24, 2019

Struggles Over Access To Alcohol Essay Example | Topics and Well Written Essays - 2500 words

Struggles Over Access To Alcohol - Essay Example The struggle for gender equality and the participation of women in pub labor has continued up to date. Several pubs in Australia have both male and female patrons. Several Australian women start drinking as young adults, which has exposed them to various forms of youth violence. The presence of women in pubs is a common occurrence, which has led to increased risks associated with binge drinking and intoxication. However, the physical separation of male and female bar areas does not exist and young women drink in the company of men. Women patronizing pubs are victims of binge drinking of different types of alcohol such as spirits and beer. Adult Australian women still attend dance clubs and participate in occasional drinking. Majority of these women consume-full strength beer, which was part of the traditional drinking pattern of the Australian culture. In conclusion, Australia faced gender inequality in the provision of labor during the nineteenth century. Men and women had tradition ally predefined roles in the society. The changing economy and the world war led to a shift in the labor market in the country. Women began participating in labor activities dominated by men. This involved participating in the public space such as pub attendants. Several women became barmaids, a position previously reserved for men. The changing social responsibilities and trends demanded financial freedom among women. This trend has continued to the present time where pubs are patronized by women.

Sunday, September 22, 2019

Alabama Immigation Law Essay Example | Topics and Well Written Essays - 1250 words

Alabama Immigation Law - Essay Example Hence, illegal immigrants even though not entitled to public benefits are given equal access for the simple reason that there is presumption that they are present in the US legally. The main thrust of the Act is to give jobs and services where these are due—particularly US citizens—to satisfy their needs before illegal aliens. It is also intended to create a fair living environment for legal citizens and immigrants whom must be accorded sole access to the basic necessities and to live the American dream, namely—decent job, pay, health care, education and other services that taxpayers work hard for. It is the task of this paper to examine the effects of the Act in general. Understandably, the purpose of the law is laudable as basic social services are now exclusively reserved to legal residents. This is in accordance with the fundamental reason for the existence of government—to provide its legal residents decent living conditions as well as to protect them from harm. However, the Act, despite its seemingly protective characteristics, is strongly opposed even by its legal residents not only as it curtails civil liberties but the economic benefits touted for is far from happening. By virtue of the Act, legal residents are prohibited from transacting or doing business with illegal immigrants. The prohibition comes with the threat of criminal prosecution should they employ, house, transact or otherwise enter into a contract with illegal immigrants. Even simple acts of kindness or humanitarian actions in favor of illegal immigrants come within the purview of the prohibition which means criminal liability against the legal residents failing to verify an individual’s immigration status before extending the needed help or assistance. This oppressive Act led to the massive exodus of migrant workers to other parts of the US with more lenient immigration laws leaving farm lands, construction sites and other entities requiring hard labor without dedicated, skilled and reasonably paid workers. The lack of manpower is one of the most noticeable effects of the stern immigration law. The requirement of nationalization or legal documentation before being accepted for employment ushered economic slowdown instead of a booming economy. According to an article published by the Immigration Policy Centre entitled "Bad for Business: How Alabama's Anti-Immigration Stifles State Economy", the new law has already caused untold hardship for Alabama's business and citizens. Alabama is predominantly an agricultural state that employs a large amount of labor force. (American Immigration Council) Callous hands and people willing to get their hands dirty are conditions for employment. In 2010 alone, unauthorized immigrants comprise 4.2% or 95000 workers; (American Immigration Council) and as a result of the new law, undocumented residents have crippled the operation of local businesses as they had to flee to other places for the fear of getting caught. Interestingly, one of the main purposes of the Act is to provide employment for unemployed Americans however its valiant purpose is defeated as only few Americans have signed up to take the

Saturday, September 21, 2019

The Authors Descriptions Essay Example for Free

The Authors Descriptions Essay Making a decision is a talent. Not everyone can make the right decision in such a short time. Therefore, the two main characters Marco and Danny in the two stories First Crossing (by Pam Munoz Ryan) and The Swede (by Alden R. Carter) have faced problems in making adult decisions. These decisions changed Marco’s and Danny’s lives. Additionally, Marco has successfully reached his ambition by crossing to the United States. On the other hand, Danny’s decision puts him in lots of troubles, specifically got him arrested. In the first story, First Crossing, Marco is the main character. Marco is a poor 14-year-old boy. He lived in Mexico with his family. However, he decided to enter the US illegally. Marco’s father paid a woman to help them. Marco has made a huge decision by leaving Mexico with his father. Even though Marco made an adult decision to face death, he ended happily entering the US and being with his father. However, as the narrator said, â€Å"He looked out the window at the people in the cars on the freeway. They were all headed somewhere in the United States of America. Marco wondered how many were headed to a new world.† He knew that he is going to a new world, but he was wondering, how many of those people are like him. In the other story The Swede. Danny is the main character. Danny is a teenager. He is a student. Luke is a friend of Danny. After Per-Erik family moved from Switzerland, Per-Erik met Luke and Danny. Therefore, Danny liked Per-Erik, but Luke did not because Per-Erik’s father works in the United States. And then, after Per-Erik father discharged 200 workers from the company that he leads. Luke asked Danny obligatory to choose between Pre-Erik or him, â€Å"Well, you’d better start. Because before long everybody’s gonna have to take a side and that includes you, your dad, and Mindy Shultz, too. Get it?† Danny decided to take Luke’s side. And then, Danny and Luke start to bully Per-Erik and his family in many ways. For example, they used trash, dirt, and a dead deer. At last, Per-Erik family got irritated from what people did to them, they moved back to Switzerland. Additionally, the police know that Danny has a hand in all what happened, so he ends up arrested. To conclude, the two writers have described the two boys Marco and Danny well. On one hand, Marco’s decision leads him to get a better life and a nice job. On the other hand, Danny’s decision leads him to jail and shamed from his family. Therefore, making a decision has a powerful effect on anyone life, so everyone need to have decision making talent that will help everyone to avoid these mistakes.

Friday, September 20, 2019

Relationship Between a Conductors Length and Wire

Relationship Between a Conductors Length and Wire Electricity has become very useful and has changed everyones life since the day it was discovered. What is Conductivity? What is Resistance? What is the best conductor of electricity? What is Nichrome Wire? There are many factors that influence the electrical resistance in wires, going through a current in circuits. The length of the wire and the cross-sectional area are two very important variables. The flow of charge through wires is often compared to the flow of water through pipes. The resistance to the flow of charge in an electric circuit is analogous to the frictional effects between water and the pipe surfaces as well as the resistance offered by obstacles that are present in its path (The Physics classroom,2016) The total length of the wires will affect the amount of resistance. The longer the wire, the more resistance that there will be. There is a direct relationship between the amount of resistance encountered by charge and the length of wire it must traverse. After all, if resistance occurs as the result of collisions between charge carriers and the atoms of the wire, then there is likely to be more collisions in a longer wire. More collisions mean more resistance. The cross-sectional area of the wires will affect the amount of resistance. Wider wires have a greater cross-sectional area. Water will flow through a wider pipe at a higher rate than it will flow through a narrow pipe. This can be attributed to the lower amount of resistance that is present in the wider pipe. (The Physics classroom,2016) In the same manner, the wider the wire, the less resistance that there will be to the flow of electric charge. When all other variables are the same, charge will flow at higher rates through wider wires with greater cross-sectional areas than through thinner wires.[AR3] Another formula that will be used is the resistance formula which will   Ã‚   (Physicsclassroom, 2016) To work out the cross-sectional area of the wire, the formula The wire that will be used in the experiment is nichrome 30 wire which has a radius of 0.000125m and also nichrome 22 wire, with a radius of 0.0346mm [AR4](3.46e-5m) Ohms law deals with the relationship between voltage, current and resistance. Voltage is the difference in electrical potential energy. For example, if you have a simple circuit with a battery powering a lamp, the electrons will move from the negative side of the battery, through the lamp and then to the positive side. The voltage or the difference in electrical potential energy, between the positive and negative ends of the battery would be the amount labelled on the battery because the charge was used to move the electron around the circuit. A good analogy for voltage is a waterfall. The water at the top of the waterfall is similar to the negatively charged electrons and the water at the bottom of fall is similar to the discharged electrons. As the water flows from the top of the fall to the bottom it loses all of it gravitational potential energy just like the electrons losing their charge when they travel around the circuit. Current is the total amount of charge passing through a conductor over a period of time. The water analogy for current would be how fast the water is flowing or how much water is passing through a bit of river over a period of time. [AR5](Crash Course, 2016) Ohms law can be summarised with (Hyperphysics, 2016) Since the results of the experiment will be recorded using a voltmeter and ammeter, the resistance will have to be calculated using ohms law re-arranged   Ã‚   (Hyperphysics, 2016) Resistivity P (Ohm M) = and a resistivity coefficient 1.1010-6à ¢Ã¢â‚¬Å¾Ã‚ ¦m to 1.5010-6à ¢Ã¢â‚¬Å¾Ã‚ ¦m at 20 °C so this figure will be used in the resistance formula [AR6](Elert, 2016)   Change of conductor length [AR7] 4.481[AR8] Change of conductor cross sectional area R= 3.00 R= 6.00 Lengths of conductor Resistance wire area of Resistance wire area of 3.46e-5m 0.2 4.481 3.000 0.4 8.964 6.000 0.6 13.44 9.011 0.8 17.92 12.015 1 22.4 15.019 This process was repeated for all figures/ conductor cross sectional area and the following graph and tables gives the result[AR9] Figure 1 The graph above shows the resistance when the wire cross sectional area is at 3.46e-5m, while the length of the wire/ conductor changes The above research prompts the following hypothesis: If the length of an electrical conductor increases, then the conductors resistance will increase[AR10], if the cross-sectional area increases, then the resistance will increase because resistance occurs due to charge carriers and the atoms of the wire colliding, longer wire, more collisions[AR11][AR12]. Equipment was gathered which included a voltmeter, ammeter, 12v power supply and nichrome wire were all joined together to making a complete circuit[AR14]. Alligator clip leads helped to complete the circuit. Pliers were used to straighten and scissors to cut the wire. 0.20m of nichrome wire was put into the circuit and was taped to the metre ruler to keep the wire as straight as possible so the length can be measured as accurate as possible. The length of varied, the wire went up by 0.20m intervals all the way up too 1.20m, starting from 0.20 Figure 3: Self Drawn, Word [AR15] The voltmeter was in parallel to the exposed nichrome wire because it measured the energy difference between two points. If it was connected in series it would barley measure anything because the energy difference would be so insignificant. The ammeter measured the current passing through the wire. If it was connected in parallel, it would not be measuring the current through the nichrome wire. A light bulb was used to consume the energy to avoid a short circuit[AR16]. The independent variable was the length of the exposed nichrome wire. The dependent variable was the electrical resistance of the wire. The controlled variables included wire thickness, material, temperature, as these are all known variables that effect resistance, same equipment because small differences in calibration will affect their readings, same people doing the same jobs so that everything thing is done in the same way each time, same circuit/configuration as to not produce inconsistencies. This experiment was hazardous, injury was avoided as precautions were taken. All sharp objects such as scissors and pliers were used with caution to avoid cuts and pinches. Eye protection was used when cutting to avoid pieces of wire flying into eyes. Electrocution was avoided by having dry hands and only modifying the circuit when the power supply was off.[AR17] To find Resistance This Formula above was used to find the Resistance Resistance[AR19] coefficent @ 1.1010-6m wire area of 3.46e-5m Wire Length (m) Current Trial 1 (A) Current Trial 2 (A) Current Trial 3[AR20] (A) Average Current Voltage Trial 1 (V) Voltage Trial 2 (V) Voltage Trial 3 (V) Average Voltage (V) Average Resistance(à ¢Ã¢â‚¬Å¾Ã‚ ¦) 0.00 0.088 0.088 0.088 0.0880 0.025 0.032 0.028 0.028 0.318 0.20 0.088 0.087 0.087 0.0875 0.276 0.272 0.264 0.270 3.068 0.40 0.088 0.087 0.087 0.0875 0.523 0.518 0.526 0.523 5.943 0.60 0.088 0.088 0.089 0.0885 0.775 0.772 0.762 0.770 8.75 0.80 0.087 0.084 0.083 0.0855 0.960 0.920 0.950 0.943 10.71 1.00 0.088 0.086 0.087 0.0860 1.120 1.122 1.120 1.120 12.72 1.20 0.088 0.089 0.088 0.0885 1.450 1.450 1.450 1.450 16.47 Resistance coefficent @ 1.1010-6 ¦m @ wire area of Wire Length (m) Current Trial 1 (A) Current Trial 2 (A) Current Trial 3 (A) Average Current Voltage Trial 1 (V) Voltage Trial 2 (V) Voltage Trial 3 (V) Average Voltage (V) Average Resistance(à ¢Ã¢â‚¬Å¾Ã‚ ¦) 0.00 0.088 0.080 0.088 0.0850 0.050 0.056 0.054 0.055 0.625 0.20 0.088 0.088 0.088 0.0880 0.340 0.340 0.340 0.340 3.863 0.40 0.089 0.088 0.088 0.0885 0.599 0.659 0.659 0.659 7.488 0.60 0.088 0.088 0.088 0.0880 0.860 0.910 0.910 0.910 10.34 0.80 0.087 0.087 0.088 0.0875 1.134 1.234 1.233 1.233 14.01 1.00 0.088 0.088 0.088 0.0880 1.340 1.642 1.642 1.642 20.52 1.20 0.088 0.089 0.088 0.0885 1.601 1.601 1.601 1.601 26.008 From the results It is nearly impossible to get perfect results as the independent are not able to be controlled. [AR22] When the wire was at 0.20m, the resistance was 3.865 ÃŽÂ © and when the wire area cross sectional was 3.46e-5m the resistance was 3.068 ÃŽÂ © Knowing that per the original hypothesis that the wider the cross sectional, less resistance. So, when the wire was at 0.20m, it agrees with the hypothesis. Comparing the theoretical data to the actual results when the wire was 3.46e-5m were surprisingly close. Knowing that the result was 3.068 ÃŽÂ © and the theoretical data was 3.00 ÃŽÂ ©.[AR23] When the wire was at 0.40m, the resistance was 7.488 ÃŽÂ © and when the wire area cross sectional was 3.46e-5m the resistance was 5.943 ÃŽÂ ©. Again, agreeing with the hypothesis. The theoretical data was also close the actual result. If the length of an electrical conductor increases, then the conductors resistance will increase was stated in my hypothesis and was supported by the results as the length increased to 0.40m and the end result of the resistance was increased from 3.865 to 7.488 When the wire was at 0.60m, the resistance was 10.34 and when the wire area cross sectional was 3.46e-5m the resistance was 8.75 When the wire was at 0.80m, the resistance was 14.01 and when the wire area cross sectional was 3.46e-5m the resistance was 10.71 When the wire was at 1.00m, the resistance was 20.52 and when the wire area cross sectional was 3.46e-5m the resistance was 12.72 When the wire was at 1.20m, the resistance was 26.008 and when the wire area cross sectional was 3.46e-5m the resistance was 16.47[AR24] There are many possible errors with this experiment Parallax view is the difference of where the objects apparent positioning is, changing due to the change in viewing angle. This may have caused a problem as the ammeter and voltmeter both have needled in front of the scale/numbers. To get the correct numbers while using both these measuring instruments, it was a necessity to read the numbers perpendicular to both the ammeter and voltmeter. The makers of both of these instruments have thought of this and there will often will be a reflective strip below the scale so that the user can line up the real pointer with the pointer reflection so they know that their eye is perpendicular to the surface. Another simpler solution would be to use digital devices that tell you the exact number, leaving out the ability for human error. Whenever a conductor has a current flowing through it, the resistance will generate heat, which then makes the conductor more resistive. In a conductor like nichrome, used in heating elements because of its high resistivity, it takes longer for it to heat up and to reach a resistance that is stable. If the resistance was measured when it wasnt stable, then you would receive results that were lower than the actual value. The obvious solution to this is to wait a little bit after the power supply is turned on so the wire has time to heat up or to use a thermometer to make sure that the wire is the same temperature. [AR26](Electrical4u.com, 2016) Another error was the length of the wire. Even though the wire was as straight as possible when put into the circuit, there were still slight bends in the nichrome wire making slightly longer than the actually measurement. This would affect the results as instead of the wire being exactly 0.80m; it might be 0.83m, which would be enough to change the resistance total. Another error that I was faced with is, If a wire is bent past its minimum bend radius, the cross-sectional area of the damaged section will be smaller. Because a bent wire has a smaller cross sectional area, its resistance will increase. This applies to the experiment in terms of wire degradation and wire handling. The wires need to be of a consistent cross sectional area, otherwise, the results will inaccurate.[AR27] [AR28] References   Ã‚   Physicsclassroom.com. (2016). Ohms Law. [online] Available at: http://www.physicsclassroom.com/class/circuits/Lesson-3/Ohm-s-Law (Accessed 5 Mar 17). Physicsclassroom.com. (2016). Resistance. [online] Available at: http://www.physicsclassroom.com/class/circuits/Lesson-3/Resistance (Accessed 5 Mar 17). Pic Wire Cable. (2016). Cable Bend Radius | Coaxial Cable Bend Radius | Triaxial Cable Bend Radius. [online] Available at: http://www.picwire.com/technical/bend_radius.php [Accessed 14 Nov. 2016].at: http://www.picwire.com/technical/bend_radius.php (Accessed 5 Mar 17). Crash Course, (2016). Electric Current: Crash Course Physics #28. [image] Available at: https://www.youtube.com/watch?v=HXOok3mfMLMlist=PL8dPuuaLjXtN0ge7yDk_UA0ldZJdhwkoVindex=28 (Accessed 5 Mar 17). Electrical4u.com. (2016). Joules Law of Heating | Electrical4u. [online] Available at: http://www.electrical4u.com/joules-law/ (Accessed 5 Mar 17). [AR1]Put more detail into your abstract. See the document online titled Deadly EEI. They have a whole section abstracts: An abstract is a paragraph, that if read by itself, summarises the project in the least possible words (usually 100 200). It should include the aim, principles/techniques employed and a very brief statement of your results and conclusions. The criteria used will be: The abstract is a clear, concise, accurate representation of the project, linking the main ideas together well without added interpretation or criticism, misunderstandings or unnecessary details. 1.Begin with a topic sentence that is the major thesis (the Aim). 2.Purpose: state the research question and hypotheses 2.Method: the design 3.Results: concisely 4.Conclusions: implications of results. Can be recommendations, evaluations, applications, suggestions, new relationships, and hypotheses accepted or rejected. 5.Other information incidental findings to the main purpose of the document but must not distract attention from main theme. [AR2]Clearly presented. Well chosen subjects. Need more variety of communication methods. Eg tables, graphs, images, diagrams, to support explanation. [AR3]You should discuss the formulae that links the variables for length and cross-sectional area here so your preliminary calculations make better sense. [AR4]How do you calculate area? [AR5]Good analogies. Again, use diagrams to support this. [AR6]= and? [AR7]Make sure you explain whats happening, why this data was chosen, etc. [AR8]Your table isnt clearly labelled. If this is the resistivity of the wire, state as much in the table. Why did you label it as the resistance coefficient? [AR9]This is just the same table. [AR10]Describe the relationship here. Logarithmic? Linear? [AR11]This part just refers to length, not resistance. [AR12]Probably worth a C for your hypothsis. You can increase that by addressing the above points. [AR13]These elements of your method are good, but its incomplete. You never said where you varied the length of the wire, for instance. [AR14]Ensure you have someone proof read your draft before you submit it to pick up grammatical errors and run-on sentences. [AR15]Good use of diagram. [AR16]Good explanation of equipment used. [AR17]Safety issues in detail. Good [AR18]Youll need to graph your results and put it beside your theoretical data for comparison in order to achieve the highest grade here. [AR19]Extensive results. Good. [AR20]This table is missing average current [AR21]Youre just stating the results of the experiment. You should be exploring patterns and trends as well as anomalies. Ie as the diameter increasedà ¢Ã¢â€š ¬Ã‚ ¦ or as the length increasedà ¢Ã¢â€š ¬Ã‚ ¦ Without this, you may not pass this section. [AR22]Didnt you control them? [AR23]Include units for resistance here. Cut and paste this one: ÃŽÂ © [AR24]Wheres your conclusion? [AR25]This is decent. Probably a C. Remember to suggest what can be explored from here eg. A modified hypothesis. [AR26]Did you not do this? [AR27]Good. [AR28]Put this near the relevant section [AR29].Bibliography. Your list and formatting is sufficient for a B. Summary: Ryan, you can improve your grade with the following: Remove plagiarism. Rewrite in your own words. Include more diagrams in the introduction. Explain what youre doing more thoroughly in the preliminary calculations. Reword your hypothesis more accurately. Finish your method. Add graphs to your results section. Analyse and discuss trends in your discussion/conclusion. Include a conclusion that links to the hypothesis. Plus anything else Ive missed up there. Without knowing how much youve cut and pasted from other sources its impossible to tell a grade, but Im estimating between a C and a D. Its possible to improve what you have here up to about a B. Godspeed.

Thursday, September 19, 2019

Discuss the way in which the following passage presents Paddy Clarkes :: English Literature

Discuss the way in which the following passage presents Paddy Clarke's response to the world in which he is growing up. How characterists of the whole novel are the techniques that Roddy Doyle employs in the passage? Throughout this passage, p53 - p55, you can identify that the author, Roddy Doyle uses several techniques in which to show how the world is developing around the young ten year old Paddy Clarke and how he responds to these changes. Doyle does this in numerous ways, initially and most importantly by what the young boy talks about. On page 53, the paragraph beginning with, 'Snails and Slugsà ¢Ã¢â€š ¬Ã‚ ¦' you can identify that Paddy Clarke is very young, you can easily distinguish this because of the topics he mentions and how he introduces them. This is evident in the opening paragraph. In this section he manages to talk about at least three dissimilar topics, this indicates that he cannot structure his speech probably. Doyle does this incredibly well because you can see that he is trying to state as many things as possible, signifying that he is still a young boy and maybe quite confused because of the events that are taking place around him, for instance the separation of his father and mother. So overall the opening paragraph is quite chaotic, for this to occur Doyle introduce several non - secquiters, meaning, when you go off at a tangent. 'Picked him up with a towel and gave him a decent burial. The real name for soccer was association football'. This takes place throughout. Secondly the topics he talks about are quite normal for a ten-year-old boy, they are almost quite simple subjects, slugs, football and Indians are all mentioned immediately. This is a very good technique implied by Doyle because it just shows how young he is. Doyle does is very effectively and he manages to keep this going throughout the novel, for instance when the lady farted, quite simple subjects that keep Paddy amused. Doyle's use of language is also extremely effective, it again indicates, how young the boy is and how he may seem quite confused following the events that are circulating his life. Overall the language is quite simple; 'a sad old woman' phrases like this emphasize that, but in some circumstances the language does become more structured, 'he was riding hunched down sideways on his horse so that others couldn't fire their arrows at him'. For a ten year old, this is quite a complex sentence; this may indicate that he could be rather serious and even sad because of his parents divorce. In my opinion I believe he likes to occupy himself in-order not to think

Wednesday, September 18, 2019

Cultural Studies in the Undergraduate Program :: Culture Cultural Pedagogy Education Essays

Cultural Studies in the Undergraduate Program Any discussion of cultural studies must begin with an attempt to define culture. I say attempt because the word 'culture' is so steeped in historical, psychological and political meanings and counter-meanings it has become, in the jargon of literary theory, overdetermined, i.e., so full of meaning it threatens to become meaningless. So instead I will begin with a statement about art which I think goes to the heart of our conceptions of culture. In 1973, Ray B. Browne--an acknowledged pioneer in the field of popular culture studies--wrote that "One of the significant new realizations is that there is no real distinction between 'elite' and 'popular' art, that all aesthetics are on one horizontal continuum ..." (PCE 2). While that may have been a "new" realization in 1973, I believe it was premature, because I think we could agree that even in 1995 there is probably not a single campus where it is generally accepted that such distinctions between high and low art do not exist. I would say the same prejudice still exists about what we mean by the word culture. For instance, in the supposedly sophisticated cyberdiscourse of the Internet, where dozens of discussion groups on cultural studies list hundreds of postings from thousands of cultural studies pioneers, still there persists an assumed distinction between the high and the low, only now it is referred to as the difference between the study of capital 'c' Culture and all ot her kinds. Ray B. Browne's optimism notwithstanding, apparently in the ensuing two decades we have merely traded the rhetoric of high and low art for that of upper and lowercase culture. It is a persistent myth of most societies but particularly of American society that popular art and its attendant culture are somehow a fundamentally different "thing" than whatever it is we mean by high art and its culture. In fact, I would assert that the word culture itself still means for most Americans the opera, the symphony, museums--places and rituals associated with money and privilege. In other words, culture is a synonym for class--or rather, for high class. To counter that myth, cultural studies begins with the understanding that all citizens in a society both consume and produce culture; that there are no absolute distinctions to be made between upper and lowercase culture. To quote David Trend on this idea (and by the

AIDS :: HIV Diseases Health Medical Essays

AIDS Sub-Saharan Africa is the region of the world that is most affected by HIV/AIDS. An estimated 26.6 million people are living with HIV/AIDS and approximately 3.2 million new infections occurred in Sub-Saharan Africa in 2003. In just the past year the epidemic has claimed the lives of an estimated 2.3 million Africans. Ten million young people (aged 15-24) and almost 3 million children under 15 are living with HIV. An estimated eleven million children have been orphaned by AIDS in Sub-Saharan Africa. This is not just an African problem this is a world wide concern. It is estimated that over 50 million world wide have contracted the HIV/AIDS virus. (www.avert.org/aafrica.htm) Why during such an epidemic are drugs not reaching the people who need them? There are a few issues surrounding the distribution of these and other drugs including market size, patent laws, compulsory licensing, and price discrimination. Pharmaceuticals have played a key role in improving health world wide. Health trends in the 20th century have had significant improvement due to vaccines and other technological advances. It has been shown from 1962-1987 that a 74 percent decline in infant mortality rates can be attributed to technological advances. (Journal of Economic Perspectives) However, distribution in developing countries is still in dire need of improvement. A major reason for lack of access to pharmaceuticals in developing nations is the size of the market and the lack of revenue that can be obtained from consumers there. As shown in Table 1 from the Journal of Economic Perspectives the US holds almost 40 percent of the world’s pharmaceutical market while Africa has only l percent. The market in Africa and other developing nations is significantly smaller, â€Å"Drug developers often do not even bother to take out patents in small, poor countries† (Journal of Economic Perspectives p70). Diseases in developing countries mainly infectious and parasitic diseases differ from the noncommunicable conditions found in more developed countries, the high cost of research and development and the low payback from consumers in developing countries deter pharmaceutical companies from investing time and energy into diseases that mainly affect developing nations. Developed nations spend an average of $4,000 per person per year on health while developing nations spend on average less than $20 per person. Such a large gap in health spending does not give pharmaceutical firms an incentive to provide research and development in these areas.

Tuesday, September 17, 2019

Managing Creativity of Shanghai Tang Essay

Shanghai Tang was founded by David Tang in Hong Kong in 1994. It was a retail store selling high quality product made in China, such as traditional Chinese costumes, Chairman Mao wrist watch, qipao, traditional Chinese silk products with Chinese design. Its target customers at the first place were those high ended tourists. Taking around 1 year, instead of 2 year which is typical period a new retailers need to make business in break even, Shanghai Tang turned its first profit in October 1995. Shanghai Tang later entered an agreement with the Richemont Group which is a famous Switzerland-based luxury goods maker. David Tang thought Shanghai Tang would become China’s first international luxury brand. Like other ambitious entrepreneur, in Nov 1997, Tang opened the first Shanghai Tang store on Madison Avenue in New York USA. However, things were not going the way it was supposed to. Not many people liked what Shanghai Tang was selling. Unfortunately, the financial crisis worsened the situation, and it had to scale down the business. By 2001, Tang had reduced his stake in Shanghai Tang to near 5%, so the Richemont Group took control of the company. Appointing executive chairman of Shanghai Tang in September 2001, Raphael Le Masne, who then employed a new creative director, Joanne Ooi, having intensive experience in international garment business. With correct insight and vision, hired more in house designers, and fixed the right directions, they were successfully turning Shanghai Tang around. Image of Chinese-themed high-end fashion and lifestyle emporium had been established. Sales and global coverage had been increased a lot from 2001 to 2008. By summer of 2008, company had more than 40 stores in 14 countries all over the world. Things will never run smooth, at the same time, Joanne had handed in her resignation. An increasing conflict within company between creators and commercial departments also gave big headache to Raphael who always relied on Joanne to smooth things out. During that time, the global financial crisis was striking the whole world economy again, while China, still with double digit increase in GDP every year, was considered a shelter and gold mine for every business. Shanghai Tang has no exception, but tried to expand its business in China market. Should Shanghai Tang hire a new creative director under this uncertain economic time? How to strike a balance between creativity and the  profit? How the company can maintain its success? How the company should adapt its strategy to make it successful in China market and other potential global markets? These were the main challenge Shanghai Tang were facing. Analysis Conflicts between Creativity/Innovation and Business Sense As a business, the past success factors are always considered as a critical factor. Business people have a tendency not to deviate this much in order to maintain the success. On the other hand, it will certainly jeopardize the creativity and innovation from designers especially it is considered it is too much different from the successful factors or past evidences already prove it had not worked out. For creative people, they always tend to be very trendy and creative, so they try to make something completely new which is of course totally different than the past. However, like Shanghai Tang, it had experienced a very bad time, and a new design strategy set by Le Masne and Ooi, had made the company turn around. It just likes an endless cycle – company having a success factor, makes itself become successful in terms of profit and image, then it will resist to change and the success may last for another couple of years. At the end, with emerge of new competitors, change in economy or whatever reason, past success factors may no longer work. The company may be forced to think deeply in creativity and business innovation, but it is always too late. A real successful company must be able to continue its success factors, but new elements must always be needed to be added in its business. In Shanghai Tang, from design process to the start of mass production, there was heavy involvement from a Product Committee which comprise the designers, executive chairman, the creative director and key business managers like retail /marketing/ merchandizing directors. To help designers to understand how different products perform in the market, they received reports from the retail and marketing departments regularly. Those reports mainly revealed the sales and customer feedback to different items. Designers also had to follow the company norm â€Å"Shanghai Tang DNA† which contains 2 major elements – Chinese-ness and the use of bright color. Excellent design but expensive to produce will be eliminated. Designers are also paid a salary plus bonus based on KPI such as its generating revenue and ability to innovate. It can simply observe  that there were too much constraints to the design process. Potential generating revenue becomes a very important element to determine the success of the new design. New design which is not similar with past success factors is unlikely to survive. The consequence is that it will eliminate some new elements which make the company even successful in future. Shanghai Tang has 2 main business streams – core collection and seasonal collection, which about 50/50 in terms of revenue. In fact, for its seasonal collection, extra room should be given to the design teams, and more deviation from Shanghai Tang DNA should be allowed. It can let the company to test the water temperature in the market and to get more insight how the market is changing. It would not impact to its core business. Shanghai Tang could even think of the 3rd stream which more innovation would be allowed. The bonus scheme for designers would also be linked to the recognition of their design. The Shanghai Tang DNA should be reviewed from time to time to keep pace with the market trend to make sure the new fashion elements will be captured. Thus, those designers will be motivated and encourage to participate in the theme of their design. As Shanghai Tang is a high end fashioned product, it should not be limited to high manufacturing cost as well. Margin can be set higher for products with nice design but higher manufacturing cost. Replacement of Creative Director Ooi was going to leave Shanghai Tang, but the global economy was in the tough situation. Le Masne was in a dilemma to hire a new replacement or let the whole team to continue the work. Considering the fact that the Creative Director is the soul of the company which can define the main frame of the products and company direction, it is indeed an urgent matter that they have to hire the new replacement or promote internally. Promoting internally may create conflicts inside the team, and it doesn’t add any new element to the team. Unless there is someone very outstanding, Shanghai Tang could look for a competent replacement externally. Working a whole team without leader is not going to work especially there are too much conflicts between the design and commercial teams and no one is able to resolve it. Expanding China Market Shanghai Tang had around 10 shops in China. It also had 9 shops in Hong Kong which can be considered crossover between eastern and western culture, not pure Chinese taste. The Chinese society accounted totally half of its total shops all over the world. However, looking deeply to its customer profiles, its major customer group was still USA and Europe. The Chinese customer in mainland China market was just over 50%. American and European might be in favour of existing product design in Shanghai Tang. However, it doesn’t imply that the Chinese customers are with the similar taste. Foreigners may be in favour of design with fashion and absolute Chinese styled, but Chinese may desire the design with mix of Chinese and Western style, and do not want it to be too Chinese. They may be even reluctant to accept the goods â€Å"Made in China†, as there was a trend wealthy people tend to buy foreign luxary brand. Shanghai Tang had experience that different culture may have different taste. Design had to be fine tuned somehow to fit different culture. In terms of customer age group, excluding Mainland China market, the target age group was those between 36 to 45. However, in China market, there’s also 40% of customer from age group 26-35. Among the 7 key in house designers in Shanghai Tang, though 3 of them were Chinese, they did not really have exposure in China. For the rest, they were foreigner but had certain exposure in eastern fashion industry, not much in China yet. It was proven their design can quite hit the western market with age group 36-45, but it did not imply it will work perfectly in China market and younger age group. It is advisable that Shanghai Tang should conduct a thorough research in China to define the Chinese taste. Moreover, they should also bring in some designers with Mainland Chinese exposure. They should also add in innovation elements into the business in order to compete the market shares in China. â€Å"Jacket in Chinese, skirt in more western† may not work for US/European customers, but it may work perfectly in China market. Using the famous western celebrities to promote its brand in China may increase its awareness effectively. Chinese may not perceive Shanghai Tang as â€Å"Real Chinese Stuff† only, but also an icon of western fashion. Conclusion Though Shanghai Tang had been quite successful in the past years, it cannot simply stick to it. It has to keep its creativity and innovation, and bring new elements to the company. Thorough preparation is essential for its battle in Mainland China Market.

Monday, September 16, 2019

Communication Plan Example Essay

Background/Purpose Description of project The Denver International Airport (DIA) Project was created to handle the projected increase in passenger travel, due to the Airline Deregulation Act of 1978. The DIA project would consist of improved airfield configuration, international facilities and efficiency in operation of regional airspace and terminal layout, reduction in noise impact, and new baggage handling and communications systems. This anticipated $1.2 billion conversion project turned out to be a $5 billion ordeal. Improper project management appeared to be the underlying cause of this costly project. The City of Denver appointed two companies, referred to herein as the project management team (PMT) to manage the DIA project. However, beginning with the selection of the architects, the PMT relinquished control by failing to maintain the City’s goals and objectives. Project Scope Provide the scope of the project The scope of the DIA was to replace Denver’s Stapleton Airport with a new runway and baggage handling system to serve the needs of the growing air travels through it city which would satisfy its needs for at least 50-60 years with an initial estimate of $1.2 billion agreed upon by Denver Mayor Federico Pena and Adams County officials in 1985. The project benefits included: Improved airfield configuration; Improved efficiency in the operations of its regional airspace; Improved and efficient terminal/concourse layout; Improved international facilities; Significant expansion capability; and Enhanced efficiency of airline operations. Communication Plan Purpose: what is the purpose of the communications plan The purpose of the communications plan is to guarantee that all parties involved in the project are communicating in an efficient and timely fashion. The plan states the audience involved, as well as the type of vehicle of communication vehicle and frequency, medium, source, task responsibilities, sensitivities, lessons learned, expected results, historical information, and closing statements. Prioritizing and organizing skills are essential elements to a communication plan in order to disseminate information in accordance with the project’s timeline to meet its goals and objectives. The project stakeholders are: City of Denver Greiner/MKE Engineering New Orleans Architectural Firm Continental Airlines United Airlines Communication Plan Scope: Scope: Why a communication plan and what it does for the project The communication plan is essential to the DIA project because it fosters accountability to the stakeholders for effective communication regarding the work that needs to be completed according to the approved deadline and costs to complete the project. Effective communication includes the method in which the information will be delivered, details about the timeline of events and any unforeseen circumstances with remedies for modification and approval. References Kerzner, H (2004). Advanced Project Management: Best Practices on Implementation, 2nd Edition, Retrieved June 23, 2013 from DeVry Library Database 24Ãâ€"7.

Sunday, September 15, 2019

History SBA Essay

Statement of Aim Throughout this research paper, the reader will have a better understanding of the different forms of resistance. Also the reader will have the ability to compare the two types of resistance which were active and passive. And finally the reader will be able to tell which type of resistance was most effective and most common between active and passive. Rationale The reason topic being chosen is to better elucidate the different forms of resistance and how effective it was in the Caribbean. As for a historian, this topic allowed me to open my mind by analyzing the types of resistance and interpreting it in the SBA. Resistance of slaves was a great part of Caribbean history which is currently still the most debated topic. With that being said, I felt a need to choose this topic. INTRODUCTION Resistance of slaves was a great part of Caribbean history. There were two  types of resistance practiced by slaves: passive (day by day) and active resistance. In this research paper I will show different types of resistance and their level of effectiveness in battling slavery. FORMS OF RESISTANCE & ITS EFFECTIVENESS The most common form of resistance available to slaves was what is known as â€Å"day-to-day† resistance, or small acts of rebellion, most popularly known as passive resistance. This form of resistance included sabotage, such as breaking tools or setting fire to buildings. Striking out at a slave owner’s property was a way to strike at the man himself, albeit indirectly. Other methods of day-to-day resistance were feigning illness, playing dumb, or slowing down work. Both men and women faked being ill to gain relief from their harsh working conditions. Women may have been able to feign illness more easily–they were expected to provide their owners with children, and at least some owners would have wanted to protect the childbearing capacity of their female slaves. Slaves could also play on their masters’ and mistresses’ prejudices by seeming to not understand instructions. When possible, slaves could also decrease their pace of work. Women more often worked in the household and could sometimes use their position to undermine their masters. Poisoning the master was very popular .In general women may have used birth control or abortion to keep potential children out of slavery. Many slave owners were convinced that female slaves had ways of preventing pregnancy. Throughout the history of Caribbean slavery, Africans resisted whenever possible. The odds against slaves succeeding at a rebellion or in escaping permanently were so overwhelming that most slaves resisted the only way they could, which was through individual actions. Slaves also resisted the system of slavery through the formation of a distinctive culture and through their religious beliefs, which kept hope alive in the face of such severe persecution. The other form of resistance was active resistance, which consisted of running away and conducting rebellions. Slaves who ran away most often did so for a short period of time. These runaway slaves might hide in a nearby forest or visit a relative or spouse on another plantation. They did so to escape a harsh punishment that had been  threatened, to obtain relief from a heavy workload, or just to escape the drudgery of everyday life under slavery. Others were able to run away and escape slavery permanently. Running away was difficult; slaves had to leave behind family members and risk harsh punishment or even death if caught. Many of the successful runaways were only successful after multiple attempts. Runaway slaves would often choose holidays or days off to give them extra lead time (before being missed in the fields or at work). Many fled on foot, coming up with ways to throw off dogs in pursuit, such as taking to water or using pepper to disguise their scent. Slave rebellions all over the Caribbean region were common. There is documented evidence of uprisings in at least 20 islands. In many of the territories multiple revolts occurred. Furthermore, there are many cases when conspiracies were put down before there was any violence. The slaughter of the native population by the early 18th Century left the colonist landowners without a work force for the great sugar, coffee, cocoa and cotton plantations that formed the backbone of the region’s economy. African slaves were brought in to work the land. By the 1720s the population of the Caribbean ranged from a low of about 30 % in Cuba to more than 90 % in other islands. Most whites, however, lived in cities; in the countryside the racial makeup favored Blacks 50 to 1. None-the-less, all economic, political and social power was in the hands of the Europeans. There is no need to discuss the many evils of slavery suffice it to say that revolts began before long. Initial revolts took place in Hispaniola and Puerto Rico in the late 16th Century and, Barbados, Jamaica and Antigua early in the 17th. By the middle of the 18th Century, Antigua, Guadeloupe, Sainte Domingue (Haiti), and Dominica had experience various degrees of violence. Newly brought slaves – those that had been free in Africa – were more likely to revolt than the ones born in captivity. In some islands, rebellion was instigated by opposition colonial powers during European wars; an uprising in a Spanish colony could be prompted by French agents; or British agents could bring about a rebellion in a French colony and so forth. The Berbice Slave Uprising was a slave revolt in Guyana that began on 23 February 176and lasted into 1764. It is seen as a  major event in Guyana’s anti-colonial struggles, and when Guyana became a republic in 1970 the state declared 23 February as a day to commemorate the start of the Berbice slave revolt. In 1762, the population of the Dutch colony of Berbice included 3,833 enslaved Blacks, 244 enslaved Amerindians or indigenous people, and 346 whites. On 23 February 1763, slaves on Plantation Magdalenenberg on the Canje River in Berbice[ rebelled, protesting harsh and inhumane treatment. They torched the plantation house, and then went to other plantations to mobilize other enslaved Africans to join the rebellion. Cuffy, a house slave at Lilienburg, another plantation on Canje, is said to have organized them into a military unit. As plantation after plantation fell to the slaves, the Dutch settlers fled northward and the rebels began to take over control of the region. For almost a year, the rebels held on to southern Berbice, while the whites were able to hold on to the north. Eventually only about half of the white population that had lived in the colony remained. The rebels came to number about 3,000 and threatened European control over the Guianas. Other key figures among the rebels include Atta, Accara and Accabre. The insurgents were eventually defeated in the spring of 1764 with the assistance of troops from neighbouring French and British colonies and from Europe. Cuba with seven documented significant insurrections in the 19th Century is second to Jamaica, which had 14 verified slave rebellions from the mid 18th Century to the mid 19th. The greatest slave revolution in Jamaica was the Baptist War of 1831-1832. It began simply as a general strike during the Christmas season. The slaves, led by one Samuel Sharp, wanted liberation and decent paid. It is not clear why it turned into a fully fledged revolt, but the landowners considered so from the beginning. About 14 Europeans were killed and thousands of acres of crops burned. Within 10 days, it was put down. Anywhere from 20,000 to 60,000 slaves participated in the uprising. Between 200 and 400 die in the fighting and similar numbers were later hunted down. Sharp was executed by hanging. Promises of freedom for the slaves which put an end to the fighting were not kept. British forces landed in the island and hung close to 3,500 slaves. Many additional Africans received other kinds of punishment . The revolt known for its connection to a couple of Baptist parishes was over. The most successful slave revolt to take place in the Caribbean Basin was the Haitian Revolution of 1791 to 1804. The uprising by the slave population in the western part of Hispaniola was influenced by the ideals of the Enlightenment and French Revolution – which had been launched just two years before. The leader of the revolt was Toussaint L’Ouverture. The whole process of liberation involves a complex combination of the slave’s revolts; European politics which resulted in the slaves allying themselves first with the Spanish and British and later, with the French; and total control of the island. Eventually, the government of Napoleon Bonaparte would send troops to re-conquer Saint Domingue and would send L’Ouverture in chains to France, where the Haitian leader would die in 1803. However, L’Ouverture’s second in command, Jean-Jacques Dessalines, would declare Haiti a sovereign nation the following year. Haiti thus joined the United States as the only former American territories to gain independence before the 19th Century and the first former European colony liberated by slaves. CONCLUSION From what was explained, it is clear passive resistance was more successful than active resistance. The only level of success achieved actively was the few slaves who ran away and were not caught and the Haitian Revolution. Passive resistance was tolerated for the most part because I feel it didn’t affect productivity on the plantation unlike active resistance that affected production negatively so the masters focused on it strong and stopped them. BIBLIOGRAPHY 1. Caribbean: Caribbean Story Book Bk. 1 (Caribbean Story History) February 6, 2002 by William Claypole (Author), John Robottom (Author) 2. Ford, Lacy K. Deliver Us from Evil: The Slavery Question in the Old South. New York: Oxford University Press US, 2009. 3. Franklin, John Hope and Loren Schweninger. Runaway Slaves: Rebels on the Plantation. New York: Oxford University Press US, 2000. 4. http://en.wikipedia.org/wiki/Slave_rebellion 5. http://en.wikipedia.org/wiki/Haitian_Revolution

Saturday, September 14, 2019

Political Corruption Essay

Wrongdoing on the part of an authority or powerful party through means that are illegitimate, immoral, or incompatible with ethical standards. Corruption often results from patronage and is associated with bribery. In economy, corruption is payment for services or material which the recipient is not due, under law. This may be called bribery. Way back in 200 B.C., Kautilya meticulously described 40 different kinds of corruption in his Arthashastra. He has aptly commented: â€Å"Just as it is impossible not to taste honey or poison when it is at the tip of the tongue, so it is impossible for a government servant not to eat up a bit of revenue. And just as it cannot be found out whether a fish swimming through water drinks or not so also government servants cannot be found out while taking money for themselves.† Corruption is defined as moral depravity and influencing through bribery. Essentially, corruption is the abuse of trust in the interest of private gain. This normally involves business man and government. The extortive type is the kind where the donor is compelled to bribe in order to avoid harm being inflicted upon his person or his interest. It is not difficult to locate the causes of corruption. Corruption breeds at the top and then gradually filters down to the lower levels. Gone are the days when people who joined politics were imbued with the spirit of serving the nation. Those who plunged themselves into the fight for freedom knew that there were only sacrifices to be made, no return was expected. So only the selfless people came forward. But the modern politicians are of entirely different mould. They are not motivated by any lofty ideals. They win elections at a huge personal cost and then try to make the best of the opportunity they get. Powerful business magnates who are forced to give huge donations to political parties indulge in corrupt practices not only to make up their losses but also to consolidate their gains. Corruption in different fields Collusion is an agreement between two or more persons, sometimes illegal and therefore secretive, to limit open competition by deceiving, misleading, or  defrauding others of their legal rights, or to obtain an objective forbidden by law typically by defrauding or gaining an unfair advantage. Collusion is a corrupt activity. The different fields of corruption are 1. Political corruption 2. Police Corruption 3. Corporate corruption 4. Corruption in local Government 1. Political Corruption Political corruption is the use of legislated powers by government officials for illegitimate private gain. Misuse of government power for other purposes, such as repression of political opponents and general police brutality, is not considered political corruption. Neither are illegal acts by private persons or corporations not directly involved with the government. An illegal act by an officeholder constitutes political corruption only if the act is directly related to their official duties, is done under color of law or involves trading in influence. Forms of corruption vary, but include bribery, extortion, cronyism, nepotism, patronage, graft, and embezzlement. While corruption may facilitate criminal enterprise such as drug trafficking, money laundering, and human trafficking, it is not restricted to these activities. The activities that constitute illegal corruption differ depending on the country or jurisdiction. For instance, certain political funding practices that are legal in one place may be illegal in another. In some cases, government officials have broad or poorly defined powers, which make it difficult to distinguish between legal and illegal actions. Worldwide, bribery alone is estimated to involve over 1 trillion US dollars annually. A state of unrestrained political corruption is known as a kleptocracy, literally meaning â€Å"rule by thieves†. When people in power indulge in corruption so unabashedly, the common man gets a kind of sanction. Ironically, instead of  fighting against the menace of corruption, our political leaders declare it a worldwide phenomenon and accept it as something inevitable. 2. Police Corruption Police corruption is a specific form of police misconduct designed to obtain financial benefits, other personal gain, and/or career advancement for a police officer or officers in exchange for not pursuing, or selectively pursuing, an investigation or arrest. One common form of police corruption is soliciting and/or accepting bribes in exchange for not reporting organized drug or prostitution rings or other illegal activities. Another example is police officers flouting the police code of conduct in order to secure convictions of suspects — for example, through the use of falsified evidence. More rarely, police officers may deliberately and systematically participate in organized crime themselves. In most major cities there are internal affairs sections to investigate suspected police corruption or misconduct. Similar entities include the British Independent Police Complaints Commission. Police corruption is a significant widespread problem in many third world countries, such as Russia, Ukraine and Mexico. 3. Corporate Corruption Corporate crime refers to crimes committed either by a corporation (i.e., a business entity having a separate legal personality from the natural persons that manage its activities), or by individuals acting on behalf of a corporation or other business entity (see vicarious liability and corporate liability). Some negative behaviours by corporations may not actually be criminal; laws vary between jurisdictions. For example, some jurisdictions allow insider trading. Corporate crime overlaps with: †¢ White-collar crime, because the majority of individuals who may act as or represent the interests of the corporation are white-collar professionals; †¢ Organized crime, because criminals may set up corporations either for the purposes of crime or as vehicles for laundering the proceeds of crime. The world’s gross criminal product has been estimated at 20 percent of world trade. (de Brie 2000); and †¢ State-corporate crime because, in many contexts, the opportunity to commit crime emerges  from the relationship between the corporation and the state. 4. Corruption in Local Governments There are several types of political corruption that occur in local government. Some are more common than others, and some are more prevalent to local governments than to larger segments of government. Local governments may be more susceptible to corruption because interactions between private individuals and officials happen at greater levels of intimacy and with more frequency at more decentralized levels. Forms of corruption pertaining to money like bribery, extortion, embezzlement, and graft are found in local government systems. Other forms of political corruption are nepotism and patronage systems. Bribery Bribery is the offering of something which is most often money but can also be goods or services in order to gain an unfair advantage. Common advantages can be to sway a person’s opinion, action, or decision, reduce amounts fees collected, speed up a government grants, or change outcomes of legal processes. Extortion Extortion is threatening or inflicting harm to a person, their reputation, or their property in order to unjustly obtain money, actions, services, or other goods from that person. Blackmail is a form of extortion. Embezzlement Embezzlement is the illegal taking or appropriation of money or property that has been entrusted to a person but is actually owned by another. In political terms this is called graft which is when a political office holder unlawfully uses public funds for personal purposes. Nepotism Nepotism is the practice or inclination to favor a group or person who is a relative when giving promotions, jobs, raises, and other benefits to employees. This is often based on the concept of familism which believes that a person must always respect and favor family in all situations including those pertaining to politics and business. This leads some political officials to give privileges and positions of authority to  relatives based on relationships and regardless of their actual abilities. Patronage systems Patronage systems consist of the granting favors, contracts, or appointments to positions by a local public office holder or candidate for a political office in return for political support. Many times patronage is used to gain support and votes in elections or in passing legislation. Patronage systems disregard the formal rules of a local government and use personal instead of formalized channels to gain an advantage. Corruption Perceptions Index Since 1995, Transparency International (TI) publishes the Corruption Perceptions Index (CPI) annually ranking countries â€Å"by their perceived levels of corruption, as determined by expert assessments and opinion surveys.† The CPI generally defines corruption as â€Å"the misuse of public power for private benefit.† The results of the 2010 edition, as every year, are sobering. No region or country in the world is immune to the damages of corruption, the vast majority of them score below 5. The CPI has played a critical role in branding the issue of corruption on the world’s conscience. It sends a powerful message and national governments have been forced to take notice and act. The demand for public sector governance that keeps the interests of its citizens first with openness and accountability is not limited to a country or region – this is a common goal that transcends borders and cultures. The public sector is just one side of a multi-faceted problem though. Transparency International conducts an array of global research, such as the Global Corruption Barometer, a world wide public opinion survey, and the Bribe Payers Index, which measures the likelihood of firms from leading exporting countries to bribe abroad, which taken together enables us to better comprehend the many sides of corruption. Corruption is notoriously difficult to measure. The complexity and secrecy that shroud corrupt deals mean that it is virtually impossible to quantify the financial cost of corruption. The human expense is clear to see though, and it is the poorest that are most vulnerable. The diversity of victims that seek help from one of TI’s Advocacy and Legal Advice Centers shows that corruption can affect anyone. As we support these individuals, their personal triumphs are translated into systemic change – proving that corruption can be fought and  beaten. It may be that the CPI scores are just a number to you, but for many people around the world it is their daily reality. It need not be so. As Huguette Labelle, Chair of Transparency International, notes, â€Å"These 180 countries in our index are your countries, and their perceived levels of corruption will remain as such until you demand accountability.† India in Corruption Perception Index India’s ranking in Transparency International’s Corruption Perception Index too has slipped from 84 to 87 in 2010. All this exhibits a problem that is not going anywhere soon and mocks the high moral ground that we aspire to occupy in the international arena. Corruption has afflicted all the organs of our society including the polity, bureaucracy, judiciary, police, businessmen, and even public at large. It has rendered our governance apparatus hollow and ineffective. Countless efforts to combat corruption have not made any significant dent into this hydra headed monster. The public perception of India has been extensively damaged by the corrupt activities of politicians, bureaucrats and business houses. The telecom spectrum allocation scam – the biggest in the history of independent India – for which a minister, an MP and several corporate bosses are in jail and others are expected soon, the Commonwealth Games scandal in which the whole organizing committee, including the chairman are in jail, politicians grabbing prime real estate in housing Society meant for war widows in Mumbai, and the cash-for-vote scam involving parliamentarians have all badly eroded the public faith in government functioning in India. Corruption is silently eating into the vitals of our nation like termite. Bit by bit, it is denting our dignity and compromising our soul. Not only does it affect only individuals but alarmingly it affects our nation as a whole. India Against Corruption India Against Corruption (IAC) is a citizen’s movement to demand strong anti-corruption laws. Lokpal bills were introduced several times since 1968, yet they were never passed by the Indian Parliament. After a fast by veteran social activist Anna Hazare and widespread protests by citizens across India the Government of India constituted a 10-member Joint Committee of ministers  and civil society activists to draft an effective Jan Lokpal Bill. The primary focus of IAC movement is to ensure a strong Lokpal bill. This corruption in India does not lead simply to cabinet portfolio shifts or newspaper headlines, but to massive human deprivation and even more extreme income inequalities. Combating corruption in the region is not just about punishing corrupt politicians and bureaucrats but also saving human lives. The IAC is a strictly voluntary organization and its participants are bound by the IAC code of conduct. India Against Corruption Movement – Code Of Conduct 1. The movement is completely NONVIOLENT & PEACEFUL  2. It is INCLUSIVE & NON-DISCRIMINATORY. Encouraging every community regardless of religion, caste, language, region, culture, sex, age, profession, economic strata, etc. to be part of the movement and be treated equally. 3. The movement is completely SECULAR. Communalism is more dangerous than corruption. Also, the problems of this country cannot be solved without people from all faiths and religions coming together. 4. The volunteers should work in the spirit of SELFLESS SERVICE to fulfill the dream of realizing a strong Jan Lokpal Act for the country without expecting money, name, fame, recognition, etc. for oneself. 5. India Against Corruption is not a Sangathan or an NGO or any institution. It is a people’s movement, a collective expression of the people of India fighting against corruption and seeking a better future. Therefore, the movement cannot have any branches. Rather than an organizational structure, it seeks to develop an efficient communication structure to enable free flow of ideas. Every person participating in the movement does so as a citizen of India with a burning desire to do something for the country. No person is a representative of Anna Hazare or in any other position. 6. FRATERNITY & UNITY. People should work with a feeling of brotherhood and avoid conflicts within a group or across groups. The forces opposite us are so powerful. We must stay united if we have to win over them. Deficiencies in the present anti-corruption systems Central Government level: At central Government level, there is Central Vigilance Commission, Departmental vigilance and CBI. CVC and Departmental vigilance deal with vigilance (disciplinary proceedings) aspect of a corruption case and CBI deals with criminal aspect of that case. Central Vigilance Commission: CVC is the apex body for all vigilance cases in Government of India. †¢ However, it does not have adequate resources commensurate with the large number of complaints that it receives. CVC is a very small set up with a staff strength less than 200. It is supposed to check corruption in more than 1500 central government departments and ministries, some of them being as big as Central Excise, Railways, Income Tax etc. Therefore, it has to depend on the vigilance wings of respective departments and forwards most of the complaints for inquiry and report to them. While it monitors the progress of these complaints, there is delay and the complainants are often disturbed by this. It directly enquires into a few complaints on its own, especially when it suspects motivated delays or where senior officials could be implicated. But given the constraints of manpower, such number is really small. †¢ CVC is merely an advisory body. Central Government Departments seek CVC’s advice on various corruption cases. However, they are free to accept or reject CVC’s advice. Even in those cases, which are directly enquired into by the CVC, it can only advise government. CVC mentions these cases of non-acceptance in its monthly reports and the Annual Report to Parliament. But these are not much in focus in Parliamentary debates or by the media. †¢ Experience shows that CVC’s advice to initiate prosecution is rarely accepted and whenever CVC advised major penalty, it was reduced to minor penalty. Therefore, CVC can hardly be treated as an effective deterrent against corruption. †¢ CVC cannot direct CBI to initiate enquiries against any officer of the level of Joint Secretary and above on its own. The CBI has to seek the permission of that department, which obviously would not be granted if the senior officers of that department are involved and they could delay the case or see to it that permission would not be granted. †¢ CVC does not have powers to register criminal case. It deals only with vigilance or disciplinary matters. †¢ It does not have powers over politicians. If there is an involvement of a politician in any case, CVC could at best bring it to the notice of the Government. There are several cases of serious corruption in which officials and political executive are  involved together. †¢ It does not have any direct powers over departmental vigilance wings. Often it is seen that CVC forwards a complaint to a department and then keeps sending reminders to them to enquire and send report. Many a times, the departments just do not comply. CVC does not have any really effective powers over them to seek compliance of its orders. †¢ CVC does not have administrative control over officials in vigilance wings of various central government departments to which it forwards corruption complaints. Though the government does consult CVC before appointing the Chief Vigilance Officers of various departments, however, the final decision lies with the government. Also, the officials below CVO are appointed/transferred by that department only. Only in exceptional cases, if the CVO chooses to bring it to the notice of CVC, CVC could bring pressure on the Department to revoke orders but again such recommendations are not binding. †¢ Appointments to CVC are directly under the control of ruling political party, though the leader of the Opposition is a member of the Committee to select CVC and VCs. But the Committee only considers names put up before it and that is decided by the Government. The appointments are opaque. †¢ Therefore, though CVC is relatively independent in its functioning, it neither has resources nor powers to enquire and take action on complaints of corruption in a manner that meets the expectations of people or act as an effective deterrence against corruption. Departmental Vigilance Wings: Each Department has a vigilance wing, which is manned by officials from the same department (barring a few which have an outsider as Chief Vigilance Officer. However, all the officers under him belong to the same department). †¢ Since the officers in the vigilance wing of a department are from the same department and they can be posted to any position in that department anytime, it is practically impossible for them to be independent and objective while inquiring into complaints against their colleagues and seniors. If a complaint is received against a senior officer, it is impossible to enquire into that complaint because an officer who is in vigilance today might get posted under that senior officer some time in future. †¢ There have been instances of the officials posted in vigilance wing by that department having had a very corrupt past. While in vigilance, they try to scuttle all cases against themselves. They also turn vigilance wing into a hub of corruption, where cases are closed for  consideration. †¢ Departmental vigilance does not investigate into criminal aspect of any case. It does not have the powers to register an FIR. †¢ They also do not have any powers against politicians. †¢ Since the vigilance wing is directly under the control of the Head of that Department, it is practically impossible for them to enquire against senior officials of that department. †¢ Therefore, , the vigilance wing of any department is seen to softpedal on genuine complaints or used to enquire against † inconvenient† officers. CBI: CBI has powers of a police station to investigate and register FIR. It can investigate any case related to a Central Government department on its own or any case referred to it by any state government or any court. †¢ CBI is overburdened and does not accept cases even where amount of defalcation is alleged to be around Rs 1 crore. †¢ CBI is directly under the administrative control of Central Government. †¢ So, if a complaint pertains to any minister or politician who is part of a ruling coalition or a bureaucrat who is close to them, CBI’s credibility has suffered and there is increasing public perception that it cannot do a fair investigation and that it is influenced to to scuttle these cases. †¢ Again, because CBI is directly under the control of Central Government, CBI is perceived to have been often used to settle scores against inconvenient politicians. Therefore, if a citizen wants to make a complaint about corruption by a politician or an official in the Central Government, there isn’t a single anti-corruption agency which is effective and independent of the government, whose wrongdoings are sought to be investigated. CBI has powers but it is not independent. CVC is independent but it does not have sufficient powers or resources. Conclusion We are all part of this historic movement to eradicate corruption. Together, under the leadership of Anna Hazare, the â€Å"Jan Lokpal Bill† – a strong law to ensure swift and certain punishment to the corrupt political leaders and government officials is being drafted. Jan Lokpal Bill is a Law being made by the people and for the people. The success of this campaign depends entirely on us. So we have to support the fight for effective Jan Lokpal Bill. References http://www.google.co.in/ http://www.wikipedia.org/ http://www.indiaagainstcorruption.org

Friday, September 13, 2019

Wind Turbine Design and Construction Lab Report

Wind Turbine Design and Construction - Lab Report Example In its very basic nature, the wind turbine consists of the rotating blades, a component that points the turbine to the wind, a system to convert the mechanical rotation of the blades into other forms of energy, the control system, as well as the start and stop mechanisms. There are two main wind turbine designs, the horizontal axis and the vertical axis designs (Spera, 2009). Specifications of the Wind Device For this project, the horizontal axis wind turbine (HAWT) is considered. The horizontal axis machine is preferred due to the fact that less cost is incurred in the foundation (as a fraction of the total cost) of the structure compared to its vertical axis counterpart (Veritas, 2001). This essentially makes HAWT cheaper in cost. The design is also preferred since it does not need to be pointed at the wind direction especially where the wind direction varies almost constantly. The wind turbine is expected to operate at room temperatures (between -200C to 400C). Operating beyond these temperatures may cause the wind turbine generator to work inefficiently or cause structural damage. Furthermore, at extremely low temperatures, the generator may need external power to internal heating. The wind turbine should be ale to work efficiently at different wind speeds and directions. Very high wind speeds (beyond the survival speed) often lead to wind turbine damages according to Veritas (2001). In order to reduce the speed of rotation, a mechanical (disc) braking system will be used. The design will take into consideration the three modes of operation of the turbine; beyond rated speed, around rated speed and below rated speed operations. In order to ensure that the wind turbine operates efficiently at different wind directions, a wind vane will be fitted at the rear of the devices. The vane which also forms the tail of the wind turbine is made of a thin steel plate welded to a slender metal strip. Steel is suitable for its strength and low cost. According to past studies, the mass of a wind turbine for the survivable wind speed is best proportional to the blade length cubed (Stiesdal, 1998). The square of the blade length is also proportional to the power of the wind tha t is intercepted by the turbine (Stiesdal, 1998). The Rotor Unit As a matter of fact, the most visible and most vital part of the wind turbine is the bladed rotor. The rotor is the part that transforms wind energy into mechanical energy. This energy in turn causes the rotation of the turbine’s main shaft. The turbine blade is designed in such a way as to allow the streamlined flow of wind, the material at best remaining inflexible. Considering this need, the blades will be made of steel sheets. The thickness, twist and width of the blade is a compromise between the need for strength and for the streamline flow of wind (Stiesdal, 1998). Considering that the more the number of blades the greater the aerodynamic efficiency but with reducing return, the turbine to be constructed will have three blades. The transmission system The transmission system of the wind turbines acts as the link between the rotor system and the generator. The transmission system of the wind turbine is bas ically presented in the following figure. Fig. Transmission system The hub is made of cast iron. The complicated shape of the hub makes casting the most appropriate method for its production according to Stiesdal (1998). The material for the hub is cast iron, the material’s desirable property being its high resistance to fatigue. For such a small turbine, normal cast iron, although the material is fragile and may fracture if exposed to extreme blasts. Fig: The Wind turbine hub The main shaft of the wind turbine is commonly made of hardened steel that is tempered. For this project, hardened steel will