Wednesday, July 31, 2019

Search and Seizure

Abstract â€Å"The right of the people to be secure in their persons, houses, papers, and effects, against unreasonable searches and seizures, shall not be violated, and no Warrants shall issue, but upon probable cause, supported by Oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized† (Hudson, 2010, p. 363). In this essay we will explore what is reasonableness under the Fourth Amendment. A discussion of consensual encounters vs. etentions concerning search and seizure, we will also discus important cases that shape the fundamentals procedures of search and seizure. According to Rutledge (2010) p. 109, reasonableness may have up four factors to consider: Justification, scope, place, and manner of execution. He also makes a valid point to state that even if an officer were to have the first three factors, justification, scope, and place the fourth is the most important because it could invalidate the search and seizur e if its not done properly.A justifiable search could have many factors that would allow an officer to conduct a proper search or make a lawful detention and stops. One of them is a search warrant, which carries a limited authority to detain persons present and also search the property detailed on the warrant. Another is a criminal profile; an example would be of a drug dealer that would fit the physical description given to the officer. Anonymous tip, multiple informant’s, an example is like two or more persons able to identify someone that has committed a crime, and of course police observation.However if the officer sees something suspicious he/she has to articulate why such person has broken the law and given him/her probable cause to do a warrantless search or detention on such said person. Scope falls in the actual process of the search, meaning that you could only reasonably search with in the search area, an example that my teacher Mr. Enos discussed in class, was if your searching for alcohol in a vehicle then you could only search were alcohol could be reasonably hidden inside a car.Place refers to a public or private area, an example is you could search the immediate area of a public place like a park, but you can’t search someone’s back yard without a warrant. Lastly the Manner of Execution, which refers too the manner in which the officer caries out the search and his/her understanding of the individuals rights, and example would be that you could do a weapon pat down, which is literally just a pat down of the individuals clothe and don’t actually searching pockets and such.Also it helps the officer to diffuse the situation if the officer was to ask not demand and example would be â€Å"could I pat you down for my own protection? † (Rutledge 2010, p. 111). Consensual encounters are when an individual has agreed to talk to an officer on his/her own free will; such said person can at any time terminate the conversa tion and leave. An officer is able to lawfully approach anyone in a public setting and engage in a conversation. Also Rutledge advises that an officer can knock on the front door of a suspect to attempt a consensual encounter with the suspect, he can also approach a park vehicle to do the same (p. 110).Also its ok to shine a flash light on someone and ask to talk and the reason being I believe is for the safety of the officer and the communities, its reasonable I think to want to know who is lurking in the dark. Also its reasonable that its consensual when you ask people certain things like, for identification, and show of hands, because its for the safety of the officer and also to expedite the situation along. The definition of Detention according to Rutledge is â€Å" A detention occurs when a person submits to something the officer says or does that would communicate to a reasonable person that he/she is no longer free to leave† (2010 p. 10). However that’s only tr ue when you have a probable cause or reasonable suspicion for such an action. The use of hunches or suspicions with any grounds is not justifiable, also if a person is hanging out in a high crime area you cant just detain them for that, also random car stops for drivers license’s check is unjustifiable, you could do sobriety checkpoints lawfully and also witness checkpoints, that’s when there is a brief stop to pass out flyers to find a suspect/felon or to seek a witness out for a nearby crime (p112).Some of the Cases I thought were interesting and that help shape the methods of Search and Seizure were California vs. Greenwood, Katz vs. U. S, and Whren vs. U. S. California vs. Greenwood was a case in which the Supreme Court of the United States held that the Fourth Amendment does not prohibit the warrantless search and seizure of garbage left for collection outside the premise of a home. What happen in this case was that an investigator had various sources saying that Mr.Greenwood sold illegal drugs out of his home. So the investigator asked the trash collector if he could bring the trash to her, and sure enough there was drug paraphernalia in the trash bags (Wikipidia). In the case of Katz vs. U. S. the issue was a warrantless search and seizure in a violation of the fourth amendment? The situation was as followed Katz used a certain phone booth for interstate bookmaking and those conversations were being tape by some agents and those tapes were used to convict Katz of federal crimes.However Katz contended that the interception of his phone calls were in violation of his fourth amendment rights, and the courts a greed and reverse Katz’s conviction stating that the search had not being pre-approve by the judge and was warrantless therefore illegal (Rutledge p. 158). In the case of Whren vs. US the issue is can a traffic stop be used as a pretext to stop a vehicle for investigative purpose? (Rutledge p. 167). Under cover narcotics officers saw a vehicle make two traffic violations and made stop to issue a warning when they spotted Mr.Whren with crack cocaine in his hands. Whren was arrested and prosecuted, but he fought, saying that the traffic stop was an excuse to make a narcotic investigation. However the court ruled in favor of the officer that they did have the right to the arrest because it did not violate the Fourth Amendment (Rutledge p. 168). In conclusion I have cover several topics in which Search and Seizure have being explain. Such has what is a reasonable search under the Fourth Amendment, and what is a consensual encounter and what is a detention.Also I have covered a couple of cases that have help shape the methods of search and seizures. REFERENCE Hudson, David L. , (2010) THE HANDY LAW ANSWER BOOK, pg. 363, Visible Ink Press Rutledge, Devallis, (2010 by LawTech Publishing) Californias Peace Officers’ Legal and Search & Seizure Field Sourceguide, pg. 109-112, 158, 167-168. Retrieved May12, 2010 http://supreme. justia. com/us/486/35/case. html California vs. Greenwood,486 (paragraph1-2) Search and Seizure Abstract â€Å"The right of the people to be secure in their persons, houses, papers, and effects, against unreasonable searches and seizures, shall not be violated, and no Warrants shall issue, but upon probable cause, supported by Oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized† (Hudson, 2010, p. 363). In this essay we will explore what is reasonableness under the Fourth Amendment. A discussion of consensual encounters vs. etentions concerning search and seizure, we will also discus important cases that shape the fundamentals procedures of search and seizure. According to Rutledge (2010) p. 109, reasonableness may have up four factors to consider: Justification, scope, place, and manner of execution. He also makes a valid point to state that even if an officer were to have the first three factors, justification, scope, and place the fourth is the most important because it could invalidate the search and seizur e if its not done properly.A justifiable search could have many factors that would allow an officer to conduct a proper search or make a lawful detention and stops. One of them is a search warrant, which carries a limited authority to detain persons present and also search the property detailed on the warrant. Another is a criminal profile; an example would be of a drug dealer that would fit the physical description given to the officer. Anonymous tip, multiple informant’s, an example is like two or more persons able to identify someone that has committed a crime, and of course police observation.However if the officer sees something suspicious he/she has to articulate why such person has broken the law and given him/her probable cause to do a warrantless search or detention on such said person. Scope falls in the actual process of the search, meaning that you could only reasonably search with in the search area, an example that my teacher Mr. Enos discussed in class, was if your searching for alcohol in a vehicle then you could only search were alcohol could be reasonably hidden inside a car.Place refers to a public or private area, an example is you could search the immediate area of a public place like a park, but you can’t search someone’s back yard without a warrant. Lastly the Manner of Execution, which refers too the manner in which the officer caries out the search and his/her understanding of the individuals rights, and example would be that you could do a weapon pat down, which is literally just a pat down of the individuals clothe and don’t actually searching pockets and such.Also it helps the officer to diffuse the situation if the officer was to ask not demand and example would be â€Å"could I pat you down for my own protection? † (Rutledge 2010, p. 111). Consensual encounters are when an individual has agreed to talk to an officer on his/her own free will; such said person can at any time terminate the conversa tion and leave. An officer is able to lawfully approach anyone in a public setting and engage in a conversation. Also Rutledge advises that an officer can knock on the front door of a suspect to attempt a consensual encounter with the suspect, he can also approach a park vehicle to do the same (p. 110).Also its ok to shine a flash light on someone and ask to talk and the reason being I believe is for the safety of the officer and the communities, its reasonable I think to want to know who is lurking in the dark. Also its reasonable that its consensual when you ask people certain things like, for identification, and show of hands, because its for the safety of the officer and also to expedite the situation along. The definition of Detention according to Rutledge is â€Å" A detention occurs when a person submits to something the officer says or does that would communicate to a reasonable person that he/she is no longer free to leave† (2010 p. 10). However that’s only tr ue when you have a probable cause or reasonable suspicion for such an action. The use of hunches or suspicions with any grounds is not justifiable, also if a person is hanging out in a high crime area you cant just detain them for that, also random car stops for drivers license’s check is unjustifiable, you could do sobriety checkpoints lawfully and also witness checkpoints, that’s when there is a brief stop to pass out flyers to find a suspect/felon or to seek a witness out for a nearby crime (p112).Some of the Cases I thought were interesting and that help shape the methods of Search and Seizure were California vs. Greenwood, Katz vs. U. S, and Whren vs. U. S. California vs. Greenwood was a case in which the Supreme Court of the United States held that the Fourth Amendment does not prohibit the warrantless search and seizure of garbage left for collection outside the premise of a home. What happen in this case was that an investigator had various sources saying that Mr.Greenwood sold illegal drugs out of his home. So the investigator asked the trash collector if he could bring the trash to her, and sure enough there was drug paraphernalia in the trash bags (Wikipidia). In the case of Katz vs. U. S. the issue was a warrantless search and seizure in a violation of the fourth amendment? The situation was as followed Katz used a certain phone booth for interstate bookmaking and those conversations were being tape by some agents and those tapes were used to convict Katz of federal crimes.However Katz contended that the interception of his phone calls were in violation of his fourth amendment rights, and the courts a greed and reverse Katz’s conviction stating that the search had not being pre-approve by the judge and was warrantless therefore illegal (Rutledge p. 158). In the case of Whren vs. US the issue is can a traffic stop be used as a pretext to stop a vehicle for investigative purpose? (Rutledge p. 167). Under cover narcotics officers saw a vehicle make two traffic violations and made stop to issue a warning when they spotted Mr.Whren with crack cocaine in his hands. Whren was arrested and prosecuted, but he fought, saying that the traffic stop was an excuse to make a narcotic investigation. However the court ruled in favor of the officer that they did have the right to the arrest because it did not violate the Fourth Amendment (Rutledge p. 168). In conclusion I have cover several topics in which Search and Seizure have being explain. Such has what is a reasonable search under the Fourth Amendment, and what is a consensual encounter and what is a detention.Also I have covered a couple of cases that have help shape the methods of search and seizures. REFERENCE Hudson, David L. , (2010) THE HANDY LAW ANSWER BOOK, pg. 363, Visible Ink Press Rutledge, Devallis, (2010 by LawTech Publishing) Californias Peace Officers’ Legal and Search & Seizure Field Sourceguide, pg. 109-112, 158, 167-168. Retrieved May12, 2010 http://supreme. justia. com/us/486/35/case. html California vs. Greenwood,486 (paragraph1-2)

Tuesday, July 30, 2019

Invite Friends

Leadership Assignment 5 Sarah Kamal 09-4714 ————————————————- 26th November 2012 Question 1: Was the research program a group or a team? If a team, what kind of a team was it? At first, before the assignment of a formal leader, it was a self-directed team on a whole of groups of people. It was a team because it was not inhibited by organizational boundaries. It was specifically formulated for a purpose and vision that was to develop a technique for large-scale interferon production to use as a treatment against cancer.The performance goals were also set by themselves instead of one strong centralized leadership. This team consisted of 3 groups who had 3 informal leaders namely –gene slicing, recombination and fermentation. At first the senior management believed that this biotech research program could be self-managed so the initial team of groups was a self-directed team as it worked on itself within its group boundaries autonomously and was member centered to the informal leaders.Later on after the formal leader was assigned to this team, it emerged as a stronger cross-functional team coordinating across its group boundaries for a shared purpose and problem solving. The formal leader directed work to the group leaders and assigned some authority to them as well. Question 2: Did the interdependence among the subgroups change with the interferon project? What were the group norms before and after the retreat? Interdependence is the extent to which the team members depend on each other for information, resources or ideas to accomplish their tasks.The research project should have been ideally a reciprocal interdependent one but initially the lack of communication and cohesiveness among the subgroups made it a pooled-interdependent team as the groups were fairly independent and did not share or coordinate work with each other participating as a te am. After the formal leader came, he changed this interdependence style to the required reciprocal interdependent team. The interdependence increased a lot, and the team members influenced each other in reciprocal fashion for he completion of work and problem solving. Yes, the group norms changed and one single approach was taken to lead the project with consensus. Each subgroup was assigned a set of instructions by the leader, strict deadlines were given as the work was highly interdependent now and weekly progress reports were submitted. The communication gap was removed, problem solving was improved and group coordination was increased. Question 3: What factors account for the change in cohesiveness after the chief biologist took over?Cohesiveness is the extent to which the members are united in pursuit of a common goal. The chief biologist increased the determining factors for increasing cohesiveness. He took the team to a two day retreat and made them interact with each other. He organized the work and gave the team a more direct shared mission. Even after the retreat the communication was increased as lunches and coffee gathering took place. Group members and team leaders started having daily discussions and cooperated on research requirements. Enthusiasm and group cohesion was increased.

Public Bank Berhad

Public Bank Berhad The Public Bank Malaysia was founded in the year 1966. The logo, in modern geometric design, is conceived from two interlocking octagons denoting the domestic and international connections of the Group. The interlocking of the two octagons also suggests security, strength and stability. As per the latest reports Public Bank Malaysia is the largest domestic bank in Malaysia after Malayan Banking Berhad. The Public Bank Malaysia, in terms of its market capitalization, is the largest corporation in Malaysia that is not linked with the Government.The expansion and progress of the Group are symbolised by the edges of the octagons pointing outwards at various directions. Additionally, the graphic formation of the two interlocking octagons also creates an â€Å"eye† of foresight of the organisation. Industry Of Public Bank Berhad Public Bank Berhad is an industry leader in hire purchase financing, home mortgage financing and commercial lending to SMEs in Malaysia. The bank has a strong distribution network comprising 248 full service branches in Malaysia and 109 overseas in Hong Kong, China, Vietnam, Cambodia, Laos and Sri Lanka. Public BankProduct Range Of Public Bank Berhad Public Bank Berhad in one of the leading providers of integrated financial services in Malaysia. It primarily focuses on providing banking and financial services. The bank is engaged in offering various financial products and services, which includes investment banking, commercial banking, wealth management products, and Islamic banking services. Target Market Of Public Bank Berhad The whole Malaysian, Hong Kong, China, Vietnam, Cambodia, Laos and Sri Lanka. Aimed at providing customized banking services and products to individual customers in addition to small business concerns.Consumer Groups The core business areas of the Public Bank Group are consumer and retail commercial loans. Individuals and families can find a range of lending solutions to buy residential unit, vehicle or a consumer good. The bank offers home loan, car loan, passenger vehicle hire purchase financing and personal loan at easy terms and conditions. The small and medium sized enterprises, too, can find simplified procedure here to apply for a commercial loan. Position of The Company In Relation To Other Competitors Public Bank Berhad operates in the Commercial banks sector.This analysis compares Public Bank Berhad with three other companies: Malayan Banking Berhad (2011 sales of 18. 28 billion Malaysian Ringgits [US$5. 85 billion] of which 25% was Consumer Banking), Cimb Group Holdings Berhad (2010 sales: 16. 06 billion Malaysian Ringgits [US$5. 14 billion] of which 19% was Foreign Banking Ope), and AMMB Holdings Berhad (2011 sales of 5. 83 billion Malaysian Ringgits [US$1. 87 billion] of which 46% was Retail Banking). Company| Sales(blns)| P/E| P/B| Mkt Cap(RMm)| Revenue(RM’000,000)| Public Bank Berhad| 10. 345| 13. 1| 3. 10| 45,067. 8| 10,523| Malayan Banking Berhad| 18. 278| 13. 0| 1. 90| 62,592. 67| 18,397| Cimb Group Holdings Berhad| 16. 059| 13. 5| 2. 07| 55,597. 16| 16,635| AMMB Holdings Berhad| 5. 831| 12. 2| 1. 69| 17,904. 26| 6,343| Market Capital Revenue Ratio For Public Bank | 2008| 2009| 2010| Current ratio| 120,700,000,000/34,789,000,000=3. 47| 137,600,000,000/41,835,000,000=3. 29| 156,500,000,000/45,911,000,000=3. 41| Quick ratio| 60,656,000,000/34,789,000,000=1. 97| 67,986,000,000/41,835,000,000=1. 63| 59,269,000,000/45,911,000,000=1. 29| Average age of inventory | Impossible since PBB is not involved in trading.No inventories| Impossible since PBB is not involved in trading. No inventories| Impossible since PBB is not involved in trading. No inventories| Average Collection Period| Impossible since PBB is not involved in trading. No sales hence no receivables| Impossible since PBB is not involved in trading. No sales hence no receivables| Impossible since PBB is not involved in trading. No sales hence no receivables| Average payme nt period| Impossible since PBB is not involved in trading. No purchases| Impossible since PBB is not involved in trading. No purchases| Impossible since PBB is not involved in trading.No purchases| Total asset turnover| 10,500,307,000/196,163,106,000=0. 054| 9,715,568,000/271,136,154,000=0. 045| 11,035,597,000/226,328,976,000=0. 049| Debt ratio| (185,934,374,000/196,163,106,000)x100=94. 79%| (205,420,830,000/217,136,154,000)x100=94. 60%| (212,643,888,000/226,328,976,000)x100=93. 96%| Time interest earned| 18,790,015,000/4,562,396,000=4. 12x| 17,068,609,000/3,316,609,000=5. 15x| 19,149,128,000/3,516,111,000=5. 45x| Gross profit margin| (3,948,155,000/10,500,307,000)x100=37. 60%| (4,015,055,000/9,715,568,000)x100=41. 33%| (4,738,265,000/11,035,597,000)x100=42. 4%| Net profit margin| (2,622,660,000/10,500,307,000)x100=24. 98%| (2,551,540,000/9,715,568,000)x100=26. 26%| (3,099,077,000/11,035,597,000)x100=28. 08%| ROA| (2,622,660,000/196,163,106,000)x100=1. 34%| (2,551,540,000/217,136,1 54,000)x100=1. 18%| (3,099,077,000/226,328,976,000)x100=1. 37%| ROE| (2,622,660,000/10,228,732,000)x100=25. 64%| (2,551,540,000/11,715,324,000)x100=21. 78%| (3,099,077,000/13,685,088,000)x100=22. 65%| Analysis Of Public Bank Performance Liquidity Ratio Current Ratio = Current assets/current liabilities 2008| 2009| 2010| 120,700,000,000/ 34,789,000,000 =3. 7| 137,600,000,000/ 41,835,000,000 =3. 29| 156,500,000,000/ 45,911,000,000 =3. 41| The ratio is mainly used to measure the company's ability to pay back  its short-term liabilities with its short-term assets. As we seen the company current ratio for these 3 years, there are decreases from year 2008 to year 2009 but they increase back when come to year 2010. These 3 years current ratio is significant higher than the acceptable ratio. The acceptable ratio is 2:1 but for the public bank, the current ratio are (2008 1 : 3. 47, 2009 1 : 3. 29, 2010 1 : 3. 41).These shows that the Public Bank is not using its resources as efficiently a s it could be. Public Bank should reduce its current assets so there are no excessive current assets. Quick Ratio = (current assets-inventories)/current liabilities 2008| 2009| 2010| 60,656,000,000/ 34,789,000,000 =1. 97| 67,986,000,000/ 41,835,000,000 =1. 63| 59,269,000,000/ 45,911,000,000 =1. 29| Quick ratio  measures  a company's ability to meet  its short-term obligations with  its most liquid assets. The higher the quick ratio,  the  better the position of the  company. From the company 3 years quick ratio, the quick ratio are (2008 1 : 1. 7, 2009 1 : 1. 63, 2010 1 : 1. 29) These shows that the company quick ratio is slightly higher than the acceptable ratio that are 1:1. But the quick ratio for the company are getting better year to year. The company should reduce its current account to reach the desirable ratio that are 1:1. Activity Ratio Average age of inventory =(Average inventories/Cost of sales)x365 2008| 2009| 2010| N/A| N/A| N/A| Impossible to compute sin ce Public Bank Berhad is not involved in trading. No physical inventories are involved. Average collection period = (receivables/sales) x365 2008| 2009| 2010|N/A| N/A| N/A| Impossible to compute since Public Bank Berhad is not involved in trading. No physical inventories are involved. Average payment period =(Payable/Cost of sales)x365 2008| 2009| 2010| N/A| N/A| N/A| Impossible to compute since Public Bank Berhad is not involved in trading. No physical purchases are involved. Total assets turn over= Operating revenue/total assets 2008| 2009| 2010| 10,500,307,000/196,163,106,000 =0. 054| 9,715,568,000/271,136,154,000 =0. 045| 11,035,597,000/226,328,976,000 =0. 049| Asset turnover  measures  a firm's efficiency at using its assets in generating sales.The total assets turnover over for the 3 years, there are decrease in year 2009 but increases in year 2010. For each RM1 of assets for the year 2008, Public Bank only manage to generate RM0. 054 of sales. For the year 2009 and 2010, for each RM1 of the assets, Public Bank only generates RM0. 045 and RM0. 049 of sales. The amount are worsen but there are increases for year 2010. This is because the company have higher profit margin, so they would have lower assets turnover. Financial Ratio Debt ratio=(Total liabilities/Total asset)x100% 2008| 2009| 2010| (185,934,374,000/196,163,106,000)x100=94. 9%| (205,420,830,000/217,136,154,000)x100=94. 60%| (212,643,888,000/226,328,976,000)x100=93. 96%| A ratio that indicates what proportion of debt a company has relative to its assets. The measure gives an idea to the leverage of the company along with the potential risks the company faces in terms of its debt-load. Time Interest Earned Ratio=EBIT/Interest 2008| 2009| 2010| 18,790,015,000/4,562,396,000=4. 12x| 17,068,609,000/3,316,609,000=5. 15x| 19,149,128,000/3,516,111,000=5. 45x| Ensuring interest payments to debt holders and preventing bankruptcy depends mainly on a company's ability to sustain earnings.However, a high ratio can indicate that a company has an undesirable lack of debt or is paying down too much debt with earnings that could be used for other projects. The rationale is that a company would yield greater returns by investing its earnings into other projects and borrowing at a lower cost of capital than what it is currently paying to meet its debt obligations. Analysis : The company have a high time interest earned ratio in this few year and the ratio keep increase. This suggests that this company is less burdened by debt expense and the company has no problem in settling its interest expenses in the future.Profitability Ratio Gross Profit Margin=Gross profit margin/Net sales 2008| 2009| 2010| (3,948,155,000/10,500,307,000)x100=37. 60%| (4,015,055,000/9,715,568,000)x100=41. 33%| (4,738,265,000/11,035,597,000)x100=42. 94%| The gross margin is not an exact estimate of the company's pricing strategy but it does give a good indication of financial health. Without an adequate gross margin , a company will be unable to pay its operating and other expenses and build for the future. Net Profit Margin=(Earning to common stockholders/sales)x100% 2008| 2009| 2010| (2,622,660,000/10,500,307,000)x100=24. 98%| (2,551,540,000/9,715,568,000)x100=26. 6%| (3,099,077,000/11,035,597,000)x100=28. 08%| Net profit margin is the ratio of net profit to revenues a company’s pricing strategy and operating efficiency. Return On Assets=(Earning to common stockholders/total assets)x100% 2008| 2009| 2010| (2,622,660,000/196,163,106,000)x100=1. 34%| (2,551,540,000/217,136,154,000)x100=1. 18%| (3,099,077,000/226,328,976,000)x100=1. 37%| Return on assets is an indicator of how profitable a company is relative to its total asset, the ratio measures how efficient management is at using its assets to generate earning. Return On Equity=(Earning to common stockholders/total equity)x100% 2008| 2009| 2010| 2,622,660,000/10,228,732,000)x100=25. 64%| (2,551,540,000/11,715,324,000)x100=21. 78%| (3, 099,077,000/13,685,088,000)x100=22. 65%| Return on equity  measures a corporation's profitability  by revealing how much  profit a company generates  with the  money  shareholders have invested. Analysis : Public Bank Berhad have a very high net profit margin and the profit increase from 24. 98% in year 2008 to 26. 26% in year 2009. When in year 2010, it rise to 28. 08% again. It’s mean this company generate 24. 98% in year 2008, 26. 26% in year 2009 and 28. 08% in year 2010 for every RM100 sales. Furthermore, the return on assets are in the high rate.In the year 2008, the ROA is 1. 34% and it decreased to 1. 18% in the year 2009. However, in year 2010 the ROA increases to 1. 37%. It’s because of Public Bank has expanded its self –service channels such as Automated Teller Machines, Cheque Deposit Machines and Cash Deposit Terminals to 1,400 machines to serve its large customer base. The ROE for this company in year 2008 is 25. 64%. However it drops t o 21. 78% in the year 2009. The ROE increases again in the year 2010 to 22. 65%. It’s mean this company is more capable of generating cash internally. For the example, Public Bank Berhad is able to pay its shareholders the return he interest of 25. 64% in the year 2008. Conclusion The Overall of our research about Public Bank Berhad have a very good performance. The Public Bank group should seek to tap all growth opportunities arising from the improving economic and business environment, with the aim of delivering superior shareholder value over the long-term. Retail consumer and commercial banking should remain the core focus of the Group. In consumer financing, the group should continue to promote home mortgages, passenger vehicle hire purchase financing and personal financing. RecommendationOverall all our research about Public Bank Berhad and its competitors, Public Bank Berhad was performance very well in this 3 years. Especially when come to the year 2010, the profit be fore tax increases by 23. 0%. The Group’s gross loans, advances and financing recorded strong growth of 13. 8% in 2010, with the Group’s domestic lending business growing 15. 6% during the year. However, Gross impaired loans ratio drop by 0. 03%. The financial pandemic in late 2008 and 2009 that threatened to push the global economy into a deep recession was largely contained through the concerted efforts of the world’s major government and central banks.

Monday, July 29, 2019

Part B- Cross Cultural Management (Student's Review of a Peer's Essay

Part B- Cross Cultural Management (Student's Review of a Peer's Posting) - Essay Example Reynolds et al (2003) emphasize the importance of effective negotiation when undergoing intercultural negotiations. Reynolds (2003) states that ‘managers spend more than 50% of their time negotiating’ and when negotiating with other cultures managers should be aware and respect the differences to avoid conflict. Reynolds et al (2003) also portrayed the link between different negotiation styles and different cultures, which was also discussed in the lecture this week. Such as different cultures being individualistic or collective, centralised or de-centralised, which was discussed in this weeks lecture. The link between trust and negotiation style is also portrayed both in this weeks lecture and this journal article, such as some cultures find relationship building to be an important aspect. Negotiation is extremely important to avoid conflict or solve conflict when dealing with international managers and or companies. Therefore, Reynolds et al (2003) emphasize of the importance of understanding different cultures and their negotiation style is highly vital and relevant to this weeks lecture. This week’s lecture portrays a deeper view of the negotiation process such as portraying that ‘every negotiation party has its own interests, priorities, and strategy’ (Santha, 2007) therefore for a negotiation party to be successful they need to research the culture and gain a good understanding of it. The journal article realises this point and portrays the growing importance of cross cultural negotiation studies. The way Reynolds et al (2003) has done this is by portraying the growing interest in ‘international business negotiation studies’, this is depicted in (Appendix one), where it portrays the number of articles published concerning internat ional business negotiation has risen from (5) on the scale during the year 2000, to (26) on the scale in 1998. The article is also relevant to this weeks lecture is because it portrays how different cultures use

Sunday, July 28, 2019

Profiles of an Effective Teacher Essay Example | Topics and Well Written Essays - 750 words

Profiles of an Effective Teacher - Essay Example In addition, it is the role of the school principles to hire reliable teachers with all the qualities of effectiveness. From the research effective teaching is described as a practice used to cultivate learning skills, create motivation, and instill knowledge to students. Skills and competencies of an effective teacher could be demonstrated when teaching in class, planning their lessons, modes of motivating students in classes among others. However, to improve the level of effectiveness of the teachers, principals should play a big role by devising various activities that could assist in guiding the teachers. The principal should supervise the teaching practices and evaluate the progress of the teachers to find whether they are on the right track towards effectiveness. The principals should come up with the ways to reward effective teachers and also creating guidelines that can assist the teachers to develop their skills and competencies. To improve the achievement of schools, principals should create strategies that could impart positive changes in the performance progress of both the teachers and students alike. The principals should adopt five domains implemented by Marzano (2013). Firstly, the principals and the teachers should develop data the focuses on the improvement of the students’ performance both at school and outside the school. Secondly, the teachers and principals should improve the existing instructions continuously that seem to pull back the performance of the school. Thirdly, the school should have a definite and reliable curriculum based on effective teaching and learning practices. Fourth, cooperation and collaboration among the teachers, principals, parents, and students should be put in place in the schools’ virtues.

Saturday, July 27, 2019

The benefit of drag race Research Paper Example | Topics and Well Written Essays - 2000 words

The benefit of drag race - Research Paper Example Since the development of motorcycles and automobiles, the drag racing has existed as a form of motorsport. It has also being existed as street racing. The form of street racing is regarded as illegal. This is mainly due to the fact that Street racing can violate the rules and regulation of society. Bracket racing and heads-yup are the two forms of drag racing. This research paper will analyze and discuss about the benefits of drag racing. The exciting new sport named drag race has grown more popular among the new breed of racers. People who are fond of racing are most interested to travel fast rather than slow. There are certain basics of drag racing. Before the start of every drag racing, racers using advanced motorcycles and automobiles are permitted to execute burnout. The process of burnout improves the traction and heats the tires. It is vital before every race that tires are heated so that it can help to grip the surface for better control. It can also benefit to sets the rubber down. Christmas tree is a system that can help to start drag race automatically. This system consists of six light, one green, one blue, one red and three ambers. There are several racing organizations around the world that oversees the drag racing. Several organizations are located at South Africa, Australia, North America, Europe, Caribbean and New Zealand (Scott, 2010). The Australian National Drag racing Association, the National Ho t Rod Association, the New Zealand Hot Rod Association, etc. These are some organizations and there are many more around the world that helped to start drag racing events. Mickey Thompson was inventor of first slingshot. This is not a normal race. Each details of the race are effectively measured to be advanced from other competitors. Speed, reaction time and elapsed time of the car are measured by the experts to notify the period of time taken by cars to cross the finish line. Drag racing can benefit economically and technologically.

Friday, July 26, 2019

Dualism and the Inconsistent Triad Essay Example | Topics and Well Written Essays - 750 words

Dualism and the Inconsistent Triad - Essay Example ive up the world-view given by the theories of physics on the one hand and the quite intuitive idea that we have about the functioning of our own minds and bodies on the other. Two important versions of dualism are Interactionism and Epiphenomenalism. The former view holds that mind and body, although being two mutually excluded and independent categories, interact together. The nature of interaction is bi-directional because the mental states affect the bodily states and the bodily states affect the mental states. Both the categories are causally efficacious. Epiphenomenalism, on the other hand holds that bodily states are causally active but mental states are causally inefficacious. Mental states therefore are epiphenomena in the sense that they have no causal power to act back on the body. Here the nature of interaction is uni-directional that is only from body to mind (Jacobsen, 66). The interactionist dualist cannot deny the proposition (1) â€Å"the body is physical and the mind is non-physical† (Jacobsen, 68) because it is the fundamental thesis of any form of dualism. So also, being interactionists, they cannot deny the proposition (2) either, which says that â€Å"the mind affects body and the body affects the mind (Jacobsen, 68). The apparent inconsistency arises when the proposition (3) which says that â€Å"all physical changes can be completely explained by their physical causes† (Jacobsen, 68) gets added to the other two propositions to form a set. In order to avoid the inconsistency, the interactionist has to keep the propositions (1), (2) and (3) all true within the same set. If an interactionist hold only (1) and (3) as true, it would end up in epiphenomenalism (Jacobsen, 69). So the strategy to get around the inconsistency triad must be one which avoids this and for that, one has to identify a solution which supports the mind-body in teraction. The principle of the closure of physical laws says that all physical changes can be explained by their

Thursday, July 25, 2019

Human Development Across the Lifespan - Gender Identity Issues that Essay

Human Development Across the Lifespan - Gender Identity Issues that Adolescents May Face - Essay Example The purpose of this paper is to focus on gender identity issues that adolescents face, and how they cope with them. Gender identity is defined as â€Å"the youngster’s internally perceived gender, regardless of chromosomal constitution, gonadal/ hormonal secretions, or genitalia† (Telingator & Daniolos, 2007: 79). Gender includes biological sex but is larger in scope, encompassing the socially prescribed roles which are considered appropriate for each sex, which are different in various cultures (Lee, 2005). Hence, gender role refers to culturally underwritten masculine and feminine behaviors, attitudes and personality traits which are based on biological factors as well as an individual’s environment. Aspects of sex-typed behavior in childhood, adolescence or in adulthood are affected by hormones that play a part very early in development, as early as age two or three, sometimes by age five or later (Sexson, 2005; Pescovitz & Eugster, 2004). At the core of adolescents’ development is the separation-individuation process by which adolescents become independent of their parents in a process similar to that which occurs during infancy. Children usually develop a gender identity which is in alignment with with their assigned sex, also known as their sex of rearing. The formation of gender identity is influenced by the combination of children’s temperament and parents’ qualities and attitudes. Culturally acceptable gender roles are learned stereotypical roles, by which boys are required to be masculine and girls to be feminine in their behavior and conduct. However, over the past few decades there has been increasing toleration for mild cross-gender activity in children (Sadock et al, 2007). â€Å"Sigmund Freud believed that gender identity problems resulted from conflicts experienced by children within the oedipal triangle† (Sadock et al, 2007: 718), which may be fueled by actual family

Wednesday, July 24, 2019

Leadership Assessment #3Group Essay Example | Topics and Well Written Essays - 1250 words

Leadership Assessment #3Group - Essay Example Such a model was a response to the chronic shortage of registered nurses as it basically removes the umbrella of license differentiation which basically enables other nursing related professionals to take duties and responsibilities that was usually confined to Registered Nurses. Several concerns arise from the primary care to team care shift especially the conflict between license types. Tensions among them could arise due to the different way they care for patients. Putting people under one roof and making them follow the lead RN's style can be counterproductive as it can result to job dissatisfaction leading to physical and psychological withdrawal from the job. The Five South Transitional Care Center employs a care delivery system consisting of Registered Nurses, LPNs and CNAs. I belong to a team of 5 nursing staff headed by a preceptor nurse. Under the supervision preceptor nurse, we can initiate treatments or perform interventions ourselves. The nursing staff can basically assume a Registered Nurse's dependent and independent functions. The former are those that must be carried out under the orders of a licensed physician or dentist, including such duties as administering medications and changing dressings on wounds. Independent functions are those that nurses carry out based on their own professional judgment. Such duties include bathing patients, positioning them to prevent joint contractures, teaching people how best to care for themselves, and providing nutritional counseling. Supervision is necessary for the dependent part while there is much greater degree of freedom for the independent function. The team nursing model was a recent innovation of St. Mark's Hospital management in 2003 to comply with its goal of quality improvement. The Hospital aims at enhancing services and delivers excellent patient care through a Performance Improvement system. Under this program, every employee is encouraged to utilize their acquired knowledge and skills for the improvement of work processes so that excellent patient and health outcomes are achieved. It was also a measure, to a limited extent, to address the limited supply of Registered Nurses which I have already mentioned before. All of us, the preceptor nurse and my co-nursing staff, agree that the team nursing model is very effective because of the various positive feedbacks that we receive from the patients that we handled. These feedbacks were gathered by Patient surveys on discharged patients. The patients expressed their joy on how receptive and how rapid the nurses were on their concerns. This was due to the relatively low patient to nurse attendant ratio of 4 is to 1. It is not uncommon to find our station with flowers, cakes and cards sent by discharged patients. With regards to staff satisfaction, all of us have become friends because of the openness and the removal of license discrimination. Many of us are very glad of the learning opportunities that would have not been available to us if we were limited in what we can do. The only major concern is not on the model itself but on the attitude of some co-nursing staff to come late at work thereby delaying our much awaited rest period. Nursing models are evaluated primarily in patient outcomes and staff satisfaction. Generally, when positive feedbacks

The Black Diasporic discourse Term Paper Example | Topics and Well Written Essays - 1000 words

The Black Diasporic discourse - Term Paper Example Every period in the history of African American literature portrays its unique theme. Yet, in every period, almost all African American writers have tried to present event a quick look into the diverse and rich histories of African Americans. The transatlantic slave trade transported millions of Africans to the Americas, Caribbean, India, Europe, North Africa, and the Arab world. Numerous African American literary texts describe this great movement in detail. Michael Gomez provides a factual description of the African Diaspora in his book Reversing Sail: A History of the African Diaspora, while Charles Henry Rowell presents a collection of African American fiction and poetry in his book Making Callaloo: 25 Years of Black Literature. This paper analyzes how the African slave trade’s shaping of the African diaspora was described in these two important books. African Diaspora in Black Literature The massive forced transport of Africans does not match precisely the meaning of dias pora. African slaves do not belong to a single ethnic or religious group, but to different beliefs, cultures, and ethnicity. However, the concept of diaspora can be related to the African diaspora in its broadest meaning of diffusion and preserved cultural traditions. Millions of Africans who were scattered across the globe through the slave trade kept hold of their culture, and continuously practiced it through rituals, traditions, music, and religion. Over the recent decades, the black Atlantic discipline has placed emphasis on the shaping of racial groups across the globe, with a focus on the flow of material objects and ideas. And still Africa is strangely missing in these lively and flourishing discourses, as the Atlantic is still viewed as mainly talking about the flow of objects, peoples, and ideas between the Americas and Europe. Hence, African American literature emerges to describe how Africa is positioned in the discourses and writings of black diasporic authors. Taking i nto consideration literary portrayals of Africa by African, black British, and African-American authors, this paper argues that a charting of Africa in diasporic literature contributes much to the reconstruction of current perspectives of diaspora. In black diaspora literary texts, the symbol of Africa refers as strongly to aspirations of liberation and restoration of a lost homeland. Read as one, the literary creations of authors, such as Caryl Phillips, Percival Everett, and the other authors included in the book Making Callaloo, make up a black Atlantic collection. This collection comprises not just writings that emphasize transnational movement across different points of the Atlantic, but also texts that adopt the theoretical features of the concept of diaspora—the effort to unearth a valuable past, the significance of memory, and the loss of home. Moreover, a study of diaspora essentially requires a thought on the outcomes of slavery, as well as an analysis on the relati onship of Africans to the Western word and its intellectual forces, specifically those that have been identified with regard to Africans—reason and modernity. Two of the most remarkable contemporary writers of African diaspora are Michael Gomez and Charles Henry Rowell. In Reversing Sail, Michael Gomez explores the factual scattering and movement of Africans since ancient times. The struggles of Africans in Europe, the Arab world, and the Mediterranean are afterward marked by their migration into the Americas, where their predicaments in territories invaded by European colonizers are examined in relation to the African

Tuesday, July 23, 2019

Feasibility I Assignment Example | Topics and Well Written Essays - 1250 words

Feasibility I - Assignment Example Venture concept refers to a start-up entity built with the intention of benefiting financially. A business endeavor may also be deemed a small business. Numerous ventures will be advanced by one or more groups or individuals with the anticipation of the business raising a financial benefit for all sponsors. Most business ideas are generated on an insufficient supply in the market or the market demand. If the new venture is accepted by entrepreneurs or investors the growth of the new proposal will start and all supporting players will help expand and market the new venture to gain financially. The Food retail industry, for instance, particularly bake products has continued to develop into consumer demand. Rolls, fresh bread, cakes, and pastries are products customers seek on a daily basis. The new venture notion of Innovative bakery services and goods consumer is what Sweet Berry Company seeks about to establish. Introducing New Business Proposal –Sweet Berry Company The company makes customized pastries. What this means is that the clients log onto our website choose the product, for example, a cake then choose the ingredients that they want to be used to make a cake. The advantages of this are numerous as we can specify needs such as health or medical concerns for the clients. For example, clients who are lactose intolerant can place an order where the cake is made without the use of dairy products. This is where a business owner takes into consideration factors such as labor, location, suppliers, transportation amongst other factors (EPA, 2008). Investors are usually able to gauge a good business plan from the information contained in the technical feasibility. It is used to asses costs, long-term planning and troubleshooting. For our particular model of business, we have no competitors for this particular brand locally. The model that we have taken is from companies such as Indulge bakery in Colorado and sweet themes

Monday, July 22, 2019

Costs and Benefits of Inflation Essay Example for Free

Costs and Benefits of Inflation Essay High inflation has many costs: Inflation erodes the value of money. When future prices are less predictable, sensible spending and saving plans are harder to make. People increasingly fear that their future purchasing power will decline and erode their standard of living. Inflation encourages investments that are speculative and take advantage of inflation rather than productive investment. It can also create the illusion of temporary financial success while masking fundamental economic problems. Businesses and households must spend more time, and money, protecting themselves from the effects of rising costs and prices. Businesses, workers, and investors respond to signs of inflation by pushing up prices, wages, and interest rates to protect themselves. This can lead to a â€Å"vicious circle† of rising inflation. Inflation can mean particular hardship for those whose incomes don’t keep pace with the rising level of prices, especially people on fixed incomes such as senior citizens who are receiving pensions. Low inflation has many benefits: Consumers and businesses are better able to make long-range plans because they know that their money is not losing its purchasing power year after year. Interest rates, both in nominal and real terms, are lower, encouraging investment to improve productivity and allowing businesses to prosper without raising prices. Sustained low inflation is self reinforcing. Businesses and individuals do not react so quickly to short-term price pressures by seeking to raise prices and wages if they are confident that inflation is under long-term control. This contributes to keeping inflation low.

Sunday, July 21, 2019

Elderly Care Comparative Study | Research Methodology

Elderly Care Comparative Study | Research Methodology A COMPARATIVE STUDY OF ELDERLY CARE AMONG HINDUS AND MUSLIMS IN RURAL AND URBAN AREAS OF ALIGARH DISTRICT A comparative study of elderly care among major religious community of Aligarh district Introduction: Since time immemorial, across the world history, care affairs of the elderly were totally family concerns, carried out mostly at home by women and elder themselves (Bookman Kimbrel, 2011). In the twenty first century the needs, rights, concerns and problems of elderly persons are getting more attention of people from different walks of life i.e. social scientists, statesmen, administrators and social workers etc. Aging is neither a new phenomena nor a kind of ailment rather it’s a latter part of life cycle, considered one among the most challenging phenomena around the world- irrespective of developed and developing country as well. In, India, family based care of elderly is fastest growing concern for the big chunk of elderly population, about hundred million. This study seeks to highlight the existing pattern of care affairs of elderly in the informal setting, and interaction between elders and cares in the family. Here, more emphasis has given to peep into the nuts bolts of care relations among elderly and their family members. Research problems In the last couple of decades, innovation of wide range life saving drug, its availability and accessibility to common man have improved health of elderly, consequently the raised the life span of people worldwide and in India too, in contrast to previous normal age. That demanding lot of care and support for them includes medical, financial, psycho-social, spiritual and religious care. Now India is the home of about100 million people, taking care of elderly is of course a serious affair, can’t be left as it is going on. In due course of time, by the introduction of industrialization, urbanization and modernization in India, living style has drastically changed, where institution of joint family transformed into nuclear family. The industrial revolution not just change the people living standers, rather it’s too altered the age stratification resulting, lessen the power, prestige and importance of elderly people in society, finally, the elderly turn into social elite to social problems (macionics,2013). Because, the paradox, whether the responsibility of elderly care is a family matter or of government, becoming a matter of concern in India. Literature review Significance of study From the prehistoric time, India has been a country of care, love, affection, companionship and intimacy, where elder’s status remained matter of high consideration and elders considered as nucleus of power. Till the pre-independence era, most of the families were living jointly and agriculture was the major source of income and elders were the headed the family. But, after the industrialization, urbanization and modernization, joint family turned into nuclear family. Now, their position is no more, some time their status worst to social problems. Elderly people above the age of 60, have less resources, income and high life expectancies, require more, need, concerns and cares. Objectives of the study To undertake a socio-economic, and situational analysis of the condition of the elderly people in the family. To comprehend the pattern of family based elderly care practices in terms of various parameters such as religion, area (Rural-Urban), class and gender etc. To develop an extensive list of needs and difficulties as faced by elders in the family. To decipher psycho-social and emotional conditions of elderly people and associates factors. To identify the influence of religion and religiosity on care of elderly. To critically assess the changing value systems and social institutions that impinges upon the care and social support system with reference to the elderly. To study the level of awareness among the elderly as regards policies, programmes and legislatives provisions safeguards in India. Key Words: elderly, elderly care, family based care practice, religion and religiosity Conceptual framework Research questions This study will focus on the comparison care concerns and status of elderly care in the family among Hindus and Muslims in different settings i.e. rural and urban area. Further will seek to answer the following important questions concerning family based Elderly Care. What are the existing system and patterns of elderly care in the family? What are the dimensions and the level of care provided by the family members? Who is the responsible person for the care of elderly in the family? What is the quality of the elderly care in the family settings? What are the major day to day challenges of elderly care in the family? What is the impact of structural changes in the family on elderly care? What are the sources of livelihood of elderly people? What is the attitude of elders toward the care provided by family members? What is the level of satisfaction among elderly about their care? What are the role of religion and religiosity on care relation and care of elderly in the family? What are the differences and similarities in the family based elderly care among Hindus and Muslims in rural areas. Research Methodology Scope of the study This study will focus to study the day to day pattern of care relation and care of elderly and most possible issues and challenges, encountering elderly people within the family. This study will explore the level of differences and similarities of elderly care, among Hindus and Muslims family on the one hand and rural and urban on the other hand. Universe and Sample The study will be conducted in the selected rural and urban areas of Utter Pradesh, particularly in Aligarh District. The basic respondent of the study will be elderly people (60 or more age) and their potential caregiver in the family. Sampling Frame First of all, willing elderly people for being respondent for the purpose of study will be enlisted, respective to their economic classes, religion and sex, would be helpful to have proper result of the study. Sampling Method Sample Design As elderly care is personal and sensitive issue the sample would be selected on the basis of purposive sampling stratification of the universe will be on the basis of religion (Hindu Muslim), areas (rural urban) economic class (upper, middle and lower), and sex. SAMPLE DESIGN Tools and techniques for the data collection This study would be based on qualitative as well as quantitative data. Therefore mixed approach will be adopted, includes survey research for quantitative data to have empirical analysis and qualitative methods i.e. interview schedule and case study method will be used to comprehend a comprehensive and wider description to fill the gap of quantitative data. Through, direct observation and in-depth interview of elders, issues and concerns of their care in the family would be more elaborated and will cover all aspect of their care life, includes, their living arrangement, relationship with family members, in the family References Bookman, A. Kimbrel, D. (2011) Families and elder care in the twenty-first century. Princeton University, 21 (2), 117-140. Macionics, J.J. (2013) Social problems. New Jersey: Pearson publication.

Corporate Governance UK USA

Corporate Governance UK USA A statutory response to Corporate Governance: A Critique Compare and contrast UK and USA responses to Corporate Governance Introduction My dissertation will focus on the examination and the comparison of the corporate governance practices followed in UK and USA. The extensive reforms that have taken place in the particular sector have led to the development of many doubts regarding the effectiveness and the credibility of the corporate governance systems applied on these two countries. For this reason, the examination of the particular issue is considered to be really valuable offering to researchers and managers around the world the chance to understand the various aspects of corporate governance and align (where possible) their business strategies with the relevant corporate governance principles applied on each specific market (referring to the cases of UK and USA). Moreover, this study could help to the identification of any potential weaknesses of the corporate governance policies applied on UK and USA suggesting appropriate reforms on the relevant rules. Background: Business activities around the world have often caused the interest of governments within the particular states. The reason is that all parts of these activities need to be appropriately regulated in order to offer adequate and effective protection to the stakeholders and the public in general (referring mostly to protection from severe financial losses that can threat the viability of the company but even the level of the development of the local economy – when the firm under examination is a well established one, eg Enron). However, because there are many differences in corporate structure internationally, it is necessary for legislators to each specific state to try to adapt the legal principles that are related with business activity with the social and cultural characteristics of each particular state; the size of the firm and its culture should be also taken into consideration. The particular issue was examined by Douglas et al. (1989, 440) who noticed that ‘differ ences in environmental conditions in different country markets, in terms, for example, of market size and growth, rate of technological change, or barriers to entry, may also lead to differences in strategy’. In other words, corporate activity is a complex network of actions and initiatives that need a careful review and close monitoring by the governmental authorities in order to ensure the safety of the transactions without influencing the development of the various corporate projects. As noticed above, the dissertation will focus on the examination of a specific aspect of corporate activity: the corporate governance. The latter can refer to a series of elements within a particular organisation starting from the principles that should be applied to the governance of a firm up to the relationships between the employer (board of directors) and the employees. On the other hand, globally two major corporate governance systems are recognised: the liberal form of corporate governance (UK and USA) in which the interests of shareholders are considered to be the major priority for legislators when developing laws related with business activities. In accordance with the coordinative model (accepted mostly by Europe and Japan) the interests of other participants (in the corporate activities) like employees, customers and suppliers are considered to have a crucial role in the formulation of the laws regulating business activities. This study will refer primarily to the corpora te governance schemes applied in UK and USA. For this reason, the corporate governance system of these two countries will be analytically presented highlighting the potential differences and also the advantages of each one of them within the modern market. From another point of view, the examination of the various aspects of corporate governance cannot be achieved without the analytical presentation of the characteristics of corporate governance through an appropriately customised definition. In this context, it is stated by Buck et al. (2005, 42) that ‘corporate governance and governance institutions in general terms are concerned with the means by which a firms stakeholders control the decisions of senior managers; these stakeholders can include shareholders, executive directors, employees who are not executives, customers, creditors, suppliers (including banks as suppliers of credit), competitors, and the State’. From another point of view, Pedersen (1999, 45) supported that ‘corporate governance the mechanisms by which companies are controlled and directed is a complex subject that consists of owner-manager relations, stakeholder relations, board structures and practices, management compensation, capital struct ure, company law, and other variables’. Both the above definitions present the particular aspects of corporate governance within the modern market; no differentiation in corporate structure seems to be made in accordance with the principles of the state of activity (or the state of origin). On the other hand, the study of Fort (2000, 829) led to the conclusion that ‘corporate governance can be described as the top management process that manages and mediates value creation for, and value transference among, various corporate claimants in a context that ensures accountability to these claimants’. In accordance with the above definition the development of the various aspects of corporate activities is decided by the firm’s managers; the intervention of the state is rather limited. Indeed, the increase of the power of top management in modern businesses around the world is also highlighted by the literature and the empirical research. In a relevant report it is noticed that ‘the principal weakness of corporate governance today is the excessive concentration of power in the hands of top management; rebalancing or equalising this power is a prerequisite for controlling management fraud and promoting accurate financial reporting’ (CPA Journal, 2008). The above described concentration of power can have severe consequences for both the stakeholders and the public in general. In the case of Enron the concentration of power in the firm’s top managers led to the unexpected collapse of the firm and the development of severe turbulences in American economy. Literature Review Corporate governance – general aspects Firms that operate within the modern market have to face a series of challenges related with both their internal and external environment. In this context, it is supported by Wooldridge et al. (2001, 17) that ‘the main challenge for companies in a global economy is to situate themselves in various centers of excellence and weave together different centers of excellence into a global production network’. From a different point of view, Gooderham et al. (1999, 507) noticed that ‘despite their very different assumptions, both rational and institutional explanations of organizational structure and management practices predict similarity among firms that operate in the same industry within the context of a simple country’. In other words, the regulation of business activities today can be effective only if it takes into consideration the various aspects of these activities as they are formulated within the modern market – taking always into consideration t he changes in the needs of the firm’s shareholders but also in the needs of the stakeholders. On the other hand, it is clear that extensive differentiations can be observed in the methods of corporate governance applied to modern firms in accordance with the social and cultural characteristics of these firms but also the social and cultural context of the country in which the firms’ operations are based. The theoretical and empirical research has proved that significant differences can be observed in all aspects of business activities in accordance with the social and cultural characteristics of a specific region – where business activities are mainly developed. The differences mentioned above can refer to specific management issues or they can refer to all business context. In the case of British firms, Scullion (1994, 86) noticed that ‘very few British companies can claim to have a truly international top management team’. Other issues of corporate activity may be differentiated under the influence of the social and cultural trends applied on a specific country/ region. In order to understand the importance of corporate governance for the development of the business activities, we should refer primarily to a clear description of the interests existed within any corporation: the stakeholders from one side and the shareholders from the other. Regarding this issue, it is noticed that ‘stakeholders, broadly defined as society as a whole, are interested in the collateral benefits derived from the success of the enterprise, such as the abundance of a product or a service, a clean environment, or a general rise in the standard of living; stockholders have a dual interest in the success of the enterprise: direct interest as a reward for their investment, and collateral benefit as stakeholders’ (CPA Journal, 2008). The conflict of interests of these two sides can lead to the development of severe turbulences within the organization. On the other hand, in firms that the interests of both these sides are protected it is very likely that there will be no severe problems in the communication and the cooperation between these parties towards the increase of the firm’s performance. It should be noticed that the principles of corporate governance are primarily stated by the governmental authorities (referring to the firms of a particular country). Apart from these orders, the international community can intervene in the business activities presenting a series of standards that should be met in the corporate activities worldwide. OECD is a well known international organization that provides appropriate solutions to a series of issues related with international business activities. The specific organization has set several rules regarding the various aspects of corporate governance. In accordance with these rules: ‘’all shareholders should be treated equally; insider trading and abusive-self dealing should be prohibited; capital structures and arrangements that enable certain shareholders to obtain a degree of control disproportionate to their equity ownership should be disclosed’ (OECD, 2004, 18-19). It is clear from the above rules that inter national organizations can set rules regarding business activities around the world; however these rules can be characterized rather as ‘principles’ of commerce being similar with the ethics held in corporate activities worldwide. Corporate governance in Britain In the case of Britain, the regulation of business activities is realized through the application of a series of legislative texts and orders. The history of business activity in the particular country was examined by Pedersen (1999, 45) who noticed that ‘the industrial revolution took its beginning in the United Kingdom more than 250 years ago; therefore, the hypothesis of greater differentiation in the early industrialized nations than in later industrialized nations can be tested by examining the extent to which the corporate governance structures of U.K. firms are more or less similar to the governance structures of firms in other nations’. In other words, Britain is a country with a significant history in business activities. The importance of the latter in the economy should be considered as extremely high. For this reason the legislator pays a significant attention to the development of the appropriate legal framework for the regulation of the various aspects of c orporate governance. The above assumption is in accordance with the view of Kay (1995, 84) who supported that ‘British statute law is virtually silent on how corporations are to be organised; since the corporation is regarded as a creation of private contract, obligations on companies are mainly there to prevent abuse of the privilege of limited liability, and concern formal matters such as registration and audit’. Because of the above phenomenon, additional legislative texts (as described below) have been introduced and applied in order to support the effective regulation of all corporate governance in British firms (foreign firms that operate in Britain may have the right to claim the application of the laws of their country of origin – it depends on the law applicable on each case taking into account the firm’s articles of association but also the legislation of the country of origin and the country of operations). However, it could be noticed that the British statute law recognizes to the firm’s leaders (board of directors) the right to decide on the firm’s corporate governance. The legal framework applied in UK regarding the corporate governance includes a variety of legislative texts: ‘Common law rules (e.g. directors fiduciary duties). Statute (notably the Companies Act 1985). A companys constitutional documents (the memorandum and articles of association). The Listing Rules, which apply to all companies that are listed on the Official List (or AIM Rules, as appropriate). The Combined Code on Corporate Governance; the Code is supplemented by: the Turnbull Guidance (relating to the internal control requirements of the Code), the Smith Guidance (on audit committees and auditors) and suggestions of good practice from the Higgs Review. Non-legal guidelines issued by bodies that represent institutional investors (such as the Association of British Insurers (ABI), the National Association of Pension Funds (NAPF) and the Pensions Investment Research Consultants (PIRC). In the context of takeovers of public companies, the City Code on Takeovers and Mergers and the rules of the Takeover Panel apply. The Financial Services Authoritys Code of Market Conduct (relating to the disclosure and use of confidential and price sensitive information and the creation of a false market)’ (Metropolitan Corporate Cousel, 2008) In other words, corporate governance in Britain is regulated by a series of legal texts the most important of which is the Combined Code on Corporate Governance as described above. The specific Code includes provisions that refer to all particular aspects of corporate governance of firms operating in Britain; however because in some cases additional provisions may be required (like in the case of a merger) it is possible that other legislative texts are used in order for the relevant issues to be appropriately addressed. In any case the common law rules and the Companies Act of 1985 are applied (the former are rules that can be applied in any dispute – whenever necessary – whether the latter can be applied in any issue related with the business activity – i.e. not only to the corporate governance). Corporate governance in USA On the other hand, in USA there is no Code for the regulation specifically of the corporate governance issues; instead a series of laws and courts’ decisions can be used in order to resolve problems that are related with the corporate governance of firms operating across the country. There are certain issues that are regulated directly by the law but these are limited; in the high majority of the disputes appeared in the area of firms’ corporate governance various statutes and other legislative texts can be applied. In accordance with a report published recently in USA ‘corporate governance practices in the United States are not regulated by any one particular statute but instead are affected by the governing instruments, the corporate law and the court decisions of each issuer’s state of incorporation, and, in the case of many publicly-owned issuers, by the U.S. federal securities laws and requirements of the national securities markets (Security and Excha nge Commission of Brazil, 2008). On the other hand, it should be noticed that corporate governance issues are likely to be regulated differently by each one of the 50 states of USA. In this context, the Sarbanes-Oxley law which was introduced in 2002 has been formulated in order to offer a valuable legislative base for the regulation of various issues referring to the corporate governance of firms across USA. The above is considered to have influenced also the UK legislation related with the corporate governance. Regarding the specific legislative text it is noticed by Tran (2004) that ‘Sarbanes-Oxley, which called for tighter internal company controls, caused a rethink of   corporate governance laws in the UK as well, with the publication of the Higgs report, written by Derek Higgs, the former investment banker’. The effectiveness of Sarbanes-Oxley Act 2002 has been extensively criticized. In accordance with Atkins (commissioner in United States Securities and Exchan ge Commission, 2003) the specific legislative text ‘contains many advances for corporate governance and attempts to provide best practices to prevent the misdeeds that have led to the investor losses. Many of these ideas are not new, but have been floating around in one form or another for quite a number of years’ (Atkins, 2003). In other words, Sarbanes-Oxley Act has been introduced in order to resolve specific problems in corporate governance for firms operating in USA; in the long term the achievement of this target can be doubted and only the examination of the consequences of application of this Act in practice could lead to a ‘safe’ assumption regarding the particular issue. It is for this reason that the incorporation of the empirical research (questionnaire) in current study has been considered as necessary. Research question and objectives In accordance with the issues developed above, current study will focus on the regulation of corporate governance in two specific countries: UK and USA. Because the particular issues can include a variety of aspects, it is necessary for the relevant research to be expanded to the following questions: a) which is the current trends in corporate governance around the world, b) which are the major differences between the corporate governance practices followed by the Anglo-American countries and the countries of continental Europe/ Japan, c) which are the benefits and the pitfalls of the statutes and the other legislative texts applied on UK and USA regarding the corporate governance d) which are the most common problems related with the corporate governance in these two countries. References Atkins, P. (2003) Recent Experience With Corporate Governance in the USA, online, available at http://www.sec.gov/news/speech/spch062603psa.htm Buck, T., Shahrim, A. (2005) The Translation of Corporate Governance Changes across National Cultures: The Case of Germany. Journal of International Business Studies, 36(1): 42-69 CPA Journal (2008) A Comprehensive Structure of Corporate Governance in Post-Enron Corporate America http://www.nysscpa.org/cpajournal/2004/1204/essentials/p46.htm Fort, T., Schipani, C. (2000) Corporate Governance in a Global Environment: The Search for the Best of All Worlds. Vanderbilt Journal of Transnational Law, 33(4): 829-859 Kim, H. (1995) Markets, Financial Institutions, and Corporate Governance: Perspectives from Germany. Law and Policy in International Business, 26(2): 371-405 OECD Principles of Corporate Governance (2004), available at http://www.oecd.org/dataoecd/32/18/31557724.pdf Pedersen, T., Thomsen, S. (1999) Business Systems and Corporate Governance. International Studies of Management Organization, 29(2): 43-54 Scullion, H., (1994) ‘Staffing policies and strategic control in British multinationals’, International Studies of Management and Organization, 24(3): 86-97 Security and Exchange Commission of Brazil (2008) available at http://www.cvm.gov.br/ingl/inter/cosra/corpgov/usa-e.asp Tran, M. (2004) USA: Corporate Governance Law Too Strict available at http://www.corpwatch.org/article.php?id=11374 Metropolitan Corporate Counsel (2008) Corporate Governance In The UK And U.S. Comparison http://www.metrocorpcounsel.com/current.php?artType=viewartMonth=DecemberartYear=2005EntryNo=3957

Saturday, July 20, 2019

The Social Construction of Gender Roles Essay -- Papers male masculine

The Social Construction of Gender Roles Gender or sex roles are the expected patterns of behavior assumed to follow from a person's sex. Gender roles are not natural. They are formed by and vary within society, culture, geographic location, politics and time. There is a strong relationship between the social construction of gender and compulsory heterosexuality. People are programmed into certain gender roles and social categories through socialization and interaction with others. Expectations about appropriate gender role characteristics and sexual behavior have evolved throughout history, especially for women. In the 1700’s and 1800’s, the men’s role included earning an income to support a family and working in the farms, while the female’s role included the responsibility to have and to care for children, running a household and assisting a husband in farm labor. Running a household and caring for children was considered a â€Å"full-time† job. Children were taught their roles when they were very young. Boys were shown how to farm and provide for their future families’ as they attended school. Girls learned how to do the household chores and received only the very basic education. They were taught how to be wives and mothers. By the end of the 1800’s, higher education began to become available for women. The Industrial era brought new developments for the sex roles. The male world expanded and men had the opportunity to take up new careers and the freedom to move around the country more conveniently. They were still the breadwinners and dominated the government, legal and medical agencies. Women’s roles during this time also changed but not as much as men’s. The... ...rately, use different washrooms and play different sports. Even the fact that most teachers are females and most of the administration is male cause children to realize that each gender has a different role in life. This kind of treatment makes children aware that boys and girls are different. The media is a powerful social agent that portrays gender roles and stereotyping. Many prime time television shows, movies and commercials portray young beautiful women as either sex symbols or the â€Å"typical† women who cooks, cleans and cares for the house. These situations teach young girls that beauty and their role as a nurturer is what is valued in society. If gender were a natural phenomenon to men and women, then why does it have to be taught? Why must we be told to â€Å"be a man† or â€Å"act like a lady,† and be reprimanded for doing what comes naturally when it is deemed

Friday, July 19, 2019

History of Cloning and the Future Prospect of Cloning Humans :: Argumentative Persuasive Argument Essays

History of Cloning and the Future Prospect of Cloning Humans In the first article, the author describes cloning as the process of creating a cell, tissue line or even a complete organism from a single cell. He says that the concept of cloning was introduced in 1903 and plants were the first living organisms to be cloned. He gives examples such as trees sending up runners, worms dividing into smaller worms and says that all these are clones. He then explains the various threads and experiments used over the years and how they have contributed to the field of cloning. The author states that the first research thread leading to experimental cloning involved laboratory stimulation of development through artificial fertilization. This was proven when artificial parthenogenesis of sea urchin eggs showed that fertilization was not necessary to make larval urchins. Transplantation was the second experimental manipulation of development. Nuclear transplantation was used to produce a clone from embryonic or adult cells. The third line of development was cell line and gene cloning. In this process, the scientists recombine the genetic material. Using nuclear transplantation, the first frog was cloned. After nuclear transplantation came recombinant DNA. This revolutionized the field of genetics presenting new techniques for cloning. Recombinant DNA showed that pieces of DNA could be transplanted from animals into bacteria. And after all this came the major breakthrough in the field of genetics and cloning. That was the cloning of the firs t sheep, Dolly. Dolly was a result of reproductive technology. It is a fact that living wombs are required as incubators and they are available because of advances in reproductive technologies and agriculture. Implantation techniques were not new in Dolly, but this step is essential for the process to work. Ian Wilmut and his team used these various established research threads to produce Dolly. There was one detail new in Dolly in a technical fact. That the nucleus came from an adult somatic rather than embryonic cell was not sufficiently radical scientifically that it should have evoked such strong reactions. The production of Dolly has raised mixed reactions all over the world.

Thursday, July 18, 2019

Key Points presented by Philosophers in the 17th Century

IntroductionREALLY, should it not be the purpose of a government to work for the benefit of its subjects? The well-known American George Washington said that â€Å"the happiness of society,† that is, of the people, â€Å"is, or ought to be, the end [the objective] of all government.† Over the centuries, humankind has lived under hundreds of governments. None have truly satisfied the needs of all the people.Whatever the complaints made, however, the fact remains that some sort of government is clearly better than no government at all. Without government there would be no order; it would be no less than mob rule. And if you have ever seen a mob in action you know what that would mean—for in a mob people take the opportunity to vent hatred, greed and viciousness, feeling that no one will identify them for punishment.However, despite of all the disappointments brought about by the human government to the society through the threads of history, philosophers from the o lden times up until the present era still believes that the human society could not exist in an organized manner without the existence of a concrete government in authority.  In this regard, it is thus essential for the present generation to know the vitality of the philosophies presented by the 17th up until the 21st century philosophers and how much important they are with regards to the political systems existing in the human society todayAmong the well-known philosophers to be discussed herein are Rene Descartes, Karl Marx, Thomas Hobbes Leviathan, John Locke, Voltaire Candide, Jean Jacques Rousseau, and Montesquieu. These philosophers are most likely agreeing on one theme with regards to their belief of the present situation of the human society and tits need of having a government to rule over its concerns. In this regard, an analysis would be very beneficial to understand the theories and philosophies formulated by the people mentioned above.The PhilosophiesRene Descartes b elieves that in many ways, the human society is in dire need of a government to rule over its activities. According to him, it is indeed naturally innate in humans that they are able to solve and face the challenges they are supposed to meet everyday. The fact that they are capable of speculating on the things that might happen through simple application of theories, humans are indeed capable of solving social issues they face. However, it is also evident in his philosophy that to be able to create the necessary solutions for certain problems, it is important for humans to attain guidance from a higher sort of authority. This is where a government enters the scenario, which is ought to give guidance to the society on how they are supposed to deal with the numerous problems that occur in the society every now and then.Karl Marx on the other end refers to governments as a source of social strength. In his philosophy on the communist manifesto, he states that the idea of communism to  produce socialism is an important factor in helping the human society to progress through their works. According to him, the factual effect of communism to many countries using the said type of government as a means of ruling the territories they organize. It is through this way of governance that the authorities are able to favor the abilities placed by the workers in contributing to the economy of the entire country.Still regarding politics, Thomas Hobbes Leviathan states in his philosophy that men, when left alone are naturally lovers of violence. They are naturally involved in fights and chaos. However, an existing government designed to help the human generations deal with the conflicts they have against each other, then such conflicts are possible of being solved. The laws prepared and implicated by the human governments help so much in making it possible for the human society to be well organized thus giving humans the chance to control their emotions and reactions towards several conflicts that they are involved with.John Locke on the other hand agrees with the idea of Thomas Hobbes. He believes that through the existence of empiricism, the human civilization would become more organized. He states in his philosophy that the main goal of every government is to establish a certain level of organization within the human society. Aside from this, it is indeed beneficial that the governments help the society to learn the needs and the essential factors contributed by law to the lives of the population of people making up the society. With this, cooperation between each subject within the territories ruled by the government could be established well.John Locke further adds that in many ways, a human government is able to emphasize the need for each person to pursue what they believe is true. Certainly, through the existence of ‘tabula rasa’, which refers to the natural rights of humans, the governments are able to deal with the problems caused by the social conflicts in a better and organized manner.Voltaire Candide meanwhile talks about the utopia of the human generation. According to him, the regular exercise of humans of their right to speak of their minds helps in making a better government. The ability of humans to speak out their minds and the rights that are connected with it constantly helps in making more reliable and practical laws and regulations for the society. Certainly, the constant practice of this right is believed by Candide to be a key source to social development.Jean Jacques Rousseau of the philosophy on Social Contract on the other hand makes a clear point in stating that humans are naturally good, however, because of the government and the environment around them, they become rude and are influenced to do otherwise than what is accepted good. To him, government is a factor of the society that must be constantly controlled by the people since the people placed the government in authority. To him, th e exercise of democracy is the key factor to social success.Regarding the existence of a democratic government, Montesquieu agrees that the present systems used by the European governments, having been able to divide the rulership or authoritative power into three major sectors is among the most progressive  innovation there ever was in the human government. In this regard, it is thus expected to be effective enough in leading the human civilization to a progressive future.ConclusionA peaceful, prosperous and happy world that is what people everywhere long for. Not just humility, but reality and honesty oblige us to admit that it is because all men are imperfect that they are not capable of dealing with the necessary needs of having a true reliable government. The fault lies, not just with those who rule, but also with those who are ruled. True, Instant communication and fast transportation have â€Å"shrunk† the size of the world, so that there is an interlocking of intere sts, and no nation can be an isolated, totally independent unit. What happens in one place affects people everywhere else.Governments can make some minor moves to adjust matters and make conditions a little better for the people. However, such help proves to be only superficial and temporary. As the philosophers discussed in this paper states, the existence of a fine government lies upon the capability of the people to cooperate and be in submission to the laws created by the authorities to attain a social Utopia.BIBLIOGRAPHYSteven M. Cahn. (1998). Classics of Political and Moral Philosophy.Oxford University Press, USA.

The New Economic Policy

How uttermost were sparingal problems responsible for Stalins finality to supercede the New Economic policy in 1928 with the primary Five-Year Plan ? There seemed to be various reasons why Stalin decided to knock tail end the New Economic Policy with the frontmost Five-Year Plan in 1928. These included economic problems, the case of political orientation, a fear of onslaught and political considerations. Although economic problems certainly were an definitive reason for Stalins decisiveness, the most probatory reason must admit been political, since the consolidation of his power arrange had always been Stalins prime concern.The occurrence of economic problems presumably played a study role in Stalins last to give the axe away from the New Economic Policy (NEP), although it must be noted that, ahead that time, the NEP had had its, albeit limited, success By 1925 the NEP had returned the economic system to its pre-war levels, and by 1927 both agriculture and ind ustrial occupation exceeded their pre-war level. However, the NEP had run into problems such as the scissors grip crisis in 1924 and the grain procurement crisis of 1927-28.For Stalin and some pragmatists who had supported the NEP because it had been workings, the grain procurement crisis brought matters to a head. Russia was by 1928 still an economically converse country compared to the large economies of Western europium and especially the USA. Farming methods still were essentially backwards and unproductive. In industry in that location was a genuine necessity for the economy to develop and compete with western competitors far ahead of Russia.Economic problems were likely to be a catalyst for the bold measures of the first Five-Year Plan, since Stalin snarl that without it Russia would keep lagging slowly. Ideological aspects as well as seemed to matter in Stalins decision making, although his admit ideologic position butt end be seen as somewhat blurred, since he u sed to frequently change policies check to what suited him best in his inquisition of a leading role in the Communist Party. For example, before his policy U-turn in 1928 Stalin had defended the NEC against opposition from the left fly of the Party.By 1927-28, when the NEP began to experience problems, Stalin sensed that stressing Communist ideological believes would gain him a lot of support. umteen a(prenominal) Communists, especially those of the left locomote, saw the NEP as a retreat from Marxist, anti-capitalist principles and the urban working class resented the special position of the peasants under the NEP. Growing mass unemployment in the towns and fare shortages combined with the ideological distaste matte by many Communists for the NEP and the Nepmen.This led Stalin to earnings a class war against the peasants and the Kulaks in particular, branding those who would resist collectivisation as enemies of the people or enemies of the revolution. Communist ideology played their part in Stalins decision making since it ensured support not only from the Party but too from the workers and gave Stalin the moral grounds to prevail and unspoilt control of the state. A fear of incursion must also cast been important in Stalins decision, as since back during the Civil War of 1918-21, when the western powers had all the way supported the Whites, the Communists had a certain suspiciousness for them.Russia found itself in a far from ideal international climate during the slow 1920s, which clearly suggested that the Soviet Union was adjoin by hostile nations which undermined its national security. Stalin seemed to have felt the necessity for both desktop up self-sufficiency in viands for thought production and industrialise rapidly in order to built up the arm forces and prepare Russia for war against the capitalist powers, or, as he would say at a Party meeting Either we do it or they crush us. Since under the NEP these goals were improbabl e to be accomplished, a fear of aggression probably was an important motivator behind the shift to the first Five-Year Plan. Finally, and most importantly, political considerations led Stalin to replace the NEP. It could be seen as a continuation of the leadership jumble that had set in after the demolition of Lenin in 1924 and demonstrated Stalins advantage over Bukharin, who was the leading advocate of the NEP. Stalin could confront that he was able to apply his own policies and, in doing so, consolidate his position.The Plan would pull ahead gain him the support of the left wing of the Communist Party, which had been leaderless when Zinoviev, Kamenev and Trotsky were defeated and humiliated in 1927. In addition, he still advocated collectivism in one country and whence appealed to Russian nationalism. Self-sufficiency in food production and not being dependant on foreign grain imports was universal as it would make Russia appear stronger and husband money which could b e used to ameliorate living conditions.Political considerations were of prime importance to Stalin since he knew that if he could deliver all these things, it would march the sanctioned aim of securing his leadership position for the time to come. Overall, while it was possibly a combination of all factors discussed that played a role in Stalins decision to abandon the NEP in favour of the first Five-Year Plan, political considerations must have been the major driving force.However urgent a declaration of the pressing economic problems was, Stalin had proven consistently throughout the leadership challenge of 1924-1928 that his basic aim was the consolidation of his power. He had repeatedly changed his policies to decimate both the left and even off wing of the Party. Like so many times before, it is quite probable that his decision was yet another piece of opportunism. Had it not been for the unpopularity of the NEP among many Party members, it is questionable whether Stalin w ould have taken such bold steps.

Wednesday, July 17, 2019

Helicopter Emergency Medical Service

pearly taking into custody aesculapian exam exami farming checkup Service convey health check exam imparting has only been utilise for the past 70 years. The egressset true commit ambulance public life was during the Great fight. A Serbian policeman was transported from the subject field to the hospital by plane. broadcast ambulance was being tested by unalike multitude organizations during the First World war. Schaefer atmosphere services was the first United States pipeline ambulance service, created in 1947. The Korean War was the lucky turning point for EMS pearlys. In 1950, the military was given authorization to use choppers for aesculapian purposes.These chops were used to evacuate injured long-sufferings from the draw and quarter field during combat. The sm whole choppers were equipped with basket stretchers that were machine-accessible to the grungeing gear. The patients were transported outside of the aircraft, which did non let for medi cal during transport. From January 1951 to January 1953 more than 17,000 patients were removed from the battlefield and transported to the hospital by helicopter. The use of medical helicopter transport signifi senstly reduced the causality/ finale rate among the passel in combat.World War II death/causality rate was 4. 5 deaths per atomic number 6 casualties, whereas, the Korean War death/ injured party rate was 2. 5 deaths per 100 casualties. The Vietnam War introduced to idea of patients receiving medical c atomic number 18 during air transport. The Bell UH-1 besides k outrightn as the Huey was the frost helicopter that was large exuberant to carry the patient and medical mental faculty inside the aircraft. The state of free state started the nations first combined speck service helicopter program, in 1969. This program was put into place by the Maryland State Police and the University of Maryland.The program get together together the state police, rescue and HEMS (helic opter necessity medical service). In 1972, St. Anthony Central hospital in Denver Colorado was the first hospital to baffle civilian hospital-based helicopter transport. This hospital-based helicopter transport system is inactive in use today and is now intergrated with Denver EMS. The attributes of helicopter transport are speed, accessibility, specialise forcefulness and technology. Modern medical helicopters are cap fitting of sustain speeds in excess of 150mph. This wholeows for patients to be transported to a specialized care center much rapid than terra firma transport.Using a helicopter allows for fatality medical soulfulnessnel to access patients in places cast anchor clusterings bathroomnot go. A helicopter washbasin capture off and land in a vertical motion. jot medical helicopters are catered with highly adroit and practiced staff. EMS helicopters are equipped with highly civilize medical technology and faeces go along people across a enormous geogr aphical area. When considering the use of the EMS helicopter you should take all these attributes into consideration. If these attributes are not important, thence the use of an expensive EMS helicopter should not be used.Air medical transport arsehole pose its take stressors to patients, medical staff and medical equipment. These stressors are more prevalent in fixed-wing operations rather than helicopter transport. Hypoxemia is the biggest threat to people who fly. However helicopters no dot exceed 1000 feet supra sea level. Patients being transported by helicopter are at no evidential danger of hypoxemia momentary to decreased ambient pressure. Acceleration of the aircraft is another ingredient that can stress the patient. cleaver acceleration force is not that much several(predicate) than that of ground transport.Acceleration is more significant in fixed-wing aircraft. encumbrance is a study issue when it comes to helicopter transport. The noise inside the helicopter causes problems for the medical staff. The noise whitethorn hinder the medical staff from hearing lung sounds. The staff moldiness use headph hotshots and an intercom system to communicate. trembling of the aircraft is another problem for the patient and staff. The vibrations can cause fatigue and discomfort to the patient. vibe can also cause monitor errors and equipment malfunction. Air medical transport has a few cons but when life is on the line these issues seem minor.Each helicopter has its own transport team. The transport team may consist of a buffer zone, registered nurse or paramedic, and can include EMTs and EMT-Is. most race combinations include a physician. Physicians on fight factions bind posed a lot of controversy as to whether a physician as a ring member improves the outcome of the patient. Each man member essential undergo umpteen education courses as well as hands on training forwards being employed by HEMS. safety is the most important aspect to H EMS. Emergency medical helicopters have an alarming memorial of crashes.The National Transportation Safety venire conducted a study to determine the major causes of helicopter crashes. Important areas of escape valve risk are the buffers, the mechanics of the aircraft, crew training, maintenance, put up conditions, time of day, and get stations. The study showed that pitiful weather conditions posed the greatest risk for helicopter crashes. Since, the study many an(prenominal) improvements have been made to improve the crash rate. It has been express that the sole decision is set on the pilot as to whether it is safe bountiful to take the flight or not.The pilot essential consider the weather conditions, aircraft maintainence, and crew readiness. Medical personnel cannot make the decision to take the call. Medical personnel should not tell the pilot the nature of the call, because this may deter the pilots judgment. presently the Federal Aviation Administration is loo king to make changes in the safety procedures of HEMS. Air medical transport is largely used in for two reasons, rescue and inter-hospital transfer. Helicopter transport is very expensive and is dominancely dangerous.Rescue helicopters are dispatched by emergency personnel at the pic. The helicopter reports to the scene of the fortuity or fed up(p)ness. When should a EMS helicopter be dispatched? EMS helicopter should only be called out when speed, accessibility, specialized equipment and personnel are all needed to save life or limb. Inter-hospital air medical transport is generally used to transfer critically ill patients to another hospital that suites the needs of the patient. thither are two types of landing sites for EMS helicopters. cardinal type is the controlled site. The controlled site located at hospitals.These landing sites are constructed to safely accomindate the aircraft. The second type of landing site is the masterless landing site. The uncontrolled landing site is landing at the scene of an accident. The landing site is selected by the ground EMS. The pilot looks at the site and determines if it is safe to land or not. flat coat EMS are trained on how to chose, and mark a landing site. Ground EMS personnel are also trained on how to behave rough the aircraft. When a patient is going to be transported by air the ground EMS must prepare the patient for transport.The EMS ground crew should have the patient stabilized as much as possible to begin with transport. Another way ground EMS can prepare the patient is to intubate a patient that has a high potential for loss of airway. Good chat is the biggest factor in a successful transport. Ground EMS typically has radio communication with the helicopter. The communication between the two should be retained until after the helicopter takes off. Maintaining good communication allows the flight crew to inform ground EMS of any major, unexpected patient complications or malfunctions of the aircraft.EMS helicopters must have well trained, several(a) flight crews. These crew members must be able to perform their duties on the scene of an accident and while in flight. The crew members are trained to handle many antithetical types of patients such as drowning, burns, spinal anaesthesia cord injuries, heart attacks, pediatric and neonatal patients. The flight nurse is responsible for the patient assessment, and interventions before loading the patient on the aircraft. The flight nurse must hunch forward how to use all the equipment and know all the safety guidelines pertaining to the aircraft.There are many different requirements to becoming a flight paramedic. A person who wants to become a flight paramedic must be able to work in chaotic situations. become a flight paramedic involves a lot of hard work and dedication. The person who wants to become a paramedic must have at least one year EMT sleep with and many different certifications such as CPR, Basic manners Su pport (BLS), Basic Pediatric carriage Support (BPLS), Basic Trauma keep Support (BTLS), Neo Natal spirit Support (NALS), Advanced Cardiac intent Support (ACLS), and Pediatric Advanced brio Support (PALS).In order to become a flight paramedic this person would have to have at least 5 years critical care experience in a high bulk progressive EMS system. Becoming a flight paramedic is no easy task.References Formm, younger Robert E. Air medical transport. journal of Family Practice. March 1993. http//www. findarticals. com/p/articles. html . 1 Oct. 2010. Kreisher, Otto. The Rise of the Helicopter During the Korean War. Aviation History Magazine. History. net Jan 2007. http//www. historynet. com/the-rise-of-the -helicopter-during-the-korean-war. htm. 1 Oct. 010 Federal Aviation Administration. Helicopter Emergency Medical Service Safety. 8 June 2010. http//www. faa. gov/ intelligence operation/fact_sheets/news_story. cfm? newsID+6763. 1 Oct. 2010. Lenworth M. Jacobs, MD, MPH, FACS , and Bennet, Barbra, RN, MPH. The Critical Care Helicopter System in Trauma. Hartford Conneticut.. http//www. ncbi. nlm. nih. gov/pmc/articles/PMC/articles. 1 Oct. 2010 Gentile. Rosanne. How to Become a Flight paramedic Required Qualifications and Education. Associated Content. 18 August 2008. http//associatedcontent. com. 1 Oct. 2010