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Saturday, August 31, 2019

The Bhagavad Gita and Upanishads

Among the many religious books in Hindu philosophy, the Bhagavad Gita and Upanishads are among the most famous. Both texts agree that knowledge is needed in order to liberate the Self (Atman) from worldly miseries and discover the dharma (truth). Failure to do so may result to subjection of the individual further into the world of ignorance and suffering, making him more of a victim of fate rather than its master or even enjoyer. However, despite their aparent similarities, differences in approach on the same philosophy could be found.The Upanishads, is intended for the individual devoted to consummate asceticism and with firm faith and yearning for the eternal, while the Bhagavad Gita, or Gita, as it is simply called, is a more practical guide for persons facing everyday or normal problems in life. The entire Hindu philosophy believes that there is a God that contains everything and that everyone contains the immortal aspect of God within him. A suitable analogy would be to think of God as the great ocean and we, His creatures, His tiny droplets, and with the rest of creation are subject to change.We are within God and God is within each core of our being: â€Å"I am the Self abiding in The heart of all beings; I am The beginning, the middle, and Also the end of all beings â€Å"(10. 20). The only reason while we experience change and suffering is that we failed to attune Name 2 ourselves to the immortal God. Both sources state that by connecting the self to the one God one can achieve eternal peace. However, man's unneeded worldly attachment and the instability of the human mind has prevented him from reaching this enlgihtened state.And if one has failed to attain liberation before the end of his lifetime, he is still subject to the endless wheel of life and death—he will be reborn.. Both sacred texts agree to the idea of the restlessness of the mind, and that the mind's unstable processes is the cause of the individual's ignorance of the true self. The factors that affect the mind's instability can be internal or external in nature. The internal factors are such things as pesonal longing, the tendency of the mind to wander from one thought to another, or desire, while external factors can be sensations like pleasure or pain.Having these distractions of the mind under control eventually reveals the Atman inherent in each individual. As the Bhagavad Gita clearly states: â€Å"Controlling sense, mind, intellect; With moksha as the supreme goal; Freed from desire, fear, and anger: Such a sage is for ever free. † (5. 28) That passage from the Gita is very similar to the one in the Upanishads: â€Å"The Self is subtler than the subtle, greater than the great; It dwells in the heart of each living being. He who is free from desire and free from grief, with mind and senses tranquil, beholds the glory of the Atman.† (2. 20). According to the Gita and Upanishads, the liberation from Life's vissicitudes and dualities can be attained through discipline of thoughts and emotions, and non-attachment to worldly affairs. Both sources are oriented at a certain sense of â€Å"freedom†. How to attain that, however, Name 3 is where they differ. The Upanishads and the Gita has varying descriptions, yet the same interpretation of faith. In the Upanishads, the term Shraddha was used, which is a Sanskrit word that has no English equivalent, but roughly means â€Å"faith and yearning†.In the commentaries of Swami Paramananda on the Gita, it is stated that â€Å"It is more than mere faith. It also implies self-reliance, an independent sense of right and wrong, and the courage of one's own conviction† (1. 3). In the Gita, we can find a more elaborate description. It was declared that man is dictated by his faith (17. 3), and faith is determined by three dispositions, namely, [1] the quality of truth, [2] action, and [3] indifference (2). The first disposition is marked by doing something without a sking anything in return—altruism.The second disposition is less desirable than the first, however good the act, for it is still motivated by personal desire, and the third is the disposition that leads to injury either of the self or others (17). It is apparent that the first disposition is the favored one. Like the traditional Christian teachings, faith coupled with good action is required, for faith without action is dead, but it is also necessary for one to place faith in the right context. The two books have different views on asceticism, the Gita favors only mental asceticism, while the other included material deprivation as well.The Upanishads view indulgence to worldly affairs as impediments to spiritual progress, while the Gita believes one can still live normally provided that he does not harbor any attachment to mutable things. The Upanishads maintains the practice of bramacharya (life of continence and altruism), and personal austerities. In fact, Nachiketas, a pr otagonist on one of its chapters, has declared his disdain for worldly things by saying that things in Life are â€Å"fleeting†, and even â€Å"the longest life is short. † On the other hand, the Gita views ascetism as counter-productive: Name 4â€Å"Sense-objects turn away from the Abstinent, but the taste for them Remains, but that, too, turns away From him who has seen the Supreme. â€Å" (2. 59) It argues that eliminating the object of desire does not guarantee the removal of the desire itself, as in the cases of drug abuse, mania and similar tendencies. Desire is an internal state and if the matter can be resolved mentally, extreme material deprivation on the ascetic would be unnecessary, and can also be a major obstacle in spiritual progress because its way of life does not liberate the practitioner from samsara (suffering).However, it has stated the importance of treating each worldly affair with full conscionsness or â€Å"single-minded devotion† (11. 54). Although desire is an immaterial thing, depriving oneself of external stimulus would provide a suitable environment for the ascetic in mastering the mind and its passions. Moreover, in the Gita, Nagarjuna, one of the text's protagonists, experienced difficulty in connecting with the eternal and act according to the dictates of his fate, due to his despondency, caused by the incoming war.Temptations or passions are indeed more difficult to resist in their presence than in their absence, but this doesn't mean that living a way of life as described in the Gita is impossible. Both books showed the two faces of the same coin, giving the practioners the freedom to choose according to personal preferences. Name 5 Works Cited Parmananda, Swami. â€Å"The Upanishads†. 1st World Publishing, 2004. â€Å"The Bhagavad Gita†. http://www. atmajyoti. org/

Friday, August 30, 2019

Saussure and Derrida

A science that studies the life of signs within society is conceivable; . . . I shall call it semiology (from Greek semeion ‘sign'). Semiology would show what constitutes signs, what laws govern them. Since the science does not yet exist, no one can say what it would be. . . . (Saussure, 1960:16) In this statement Ferdinand de Saussure (1857-1913), the twentieth-century father of the science of signs, presents his theory about language and gives a Greek name. This enterprise has considerably affected most discussions about language and of interpretation since its inauguration. Saussure presents the linguistic system as the place of the sign. Signs don't exist apart from a system. And it is every time a system of differences. Unavoidably, the theory of signs leads Saussure to the theory of language as system. Later, Jacques Derrida (1930-2004) discovers the logocentric dynamic in Saussure's new theory. Referring to the father of structural linguistics and semiology, Derrida leads readers beyond Saussure toward a poststructuralist future. It is this logocentrism which, limiting the internal system of language in general by a bad abstraction, prevents Saussure and the majority of his successors from determining fully and explicitly that which is called ‘the integral and concrete object of linguistics† (Cours 23). Both Ferdinand de Saussure – father of 20th-century linguistics and Jacques Derrida – founder of deconstruction made profound impact upon language theory; their ideas laid the basis for considerable developments in linguisti cs in the 20th century. Saussure on Language In itself, thought is like a swirling cloud, where no shape is intrinsically determinate. No ideas are established in advance, and nothing is distinct, before the introduction of linguistic structure. [†¦] Just as it is impossible to take a pair of scissors and cut one side of paper without at the same time cutting the other, so it is impossible in a language to isolate sound from thought, or thought from sound. To separate the two for theoretical purposes takes us into either pure psychology or pure phonetics, not linguistics. Linguistics, then, operates along this margin, where sound and thought meet. The contact between them gives rise to a form, not a substance (Cours 155-7). This impressive statement from the posthumously published Cours de linguistique generale of Ferdinand de Saussure (1857-1913) introduces readers in what was later called as a ‘Copernican revolution' in Western thought relating to language. Why ‘Copernican’? Because just as Copernicus had asserted that the Earth revolved around the Sun, instead of the Sun revolving around the Earth, Saussure asserts something similar on the subject of language. His theory claimed that languages are the instruments that give human beings opportunity to achieve a rational understanding of the world in which they live. Rather than considering words as mere addition to human comprehension of reality, Saussure considered comprehension of reality as depending substantially upon human use of the verbal signs that form the language people use. Language is not secondary but, quite the reverse, central to human life. As a result, human life is linguistically constructed life. Saussure's theory goes far beyond the traditional theory of language as something communicated. It also goes beyond Locke's theory of words as symbols that stand for ideas. Many linguistic philosophers had claimed that without language human reason would be lacking its principal instrument of transformation ideas into words. But Saussure's theory goes further and deeper. Saussure indicates the phonetic and conceptual aspects of language. Linguistics was for Saussure only one subdivision of a relating to various branches science of signs that he proposed to call ‘semiology' (semiologie). Each branch of semiology had a theory of the signs which it studied. Consequently, linguistics would need a theory of the linguistic sign, the fundamental unit of langue. Such a theory of language Saussure proceeds to offer. As his paper-cutting analogy shows, he deals with the linguistic sign as a unit determined merely by its form. Its form has two facets, or ‘opposite sides'. The Saussurean technical identifications for these two facets of the sign are signifiant and signifie (the ‘signifying' plane and the ‘signified' plane) (Matthews 21). Every langue includes semiological system of bi-planar signs. Each sign has its signifiant and its signifie. Despite the fact that each plane may, for convenience, be analyzed one by one, no linguistic sign can be determined without considering both planes that are equally important. The published in 1916 text of the Cours faithfully reflects Saussure's theory about language. That text became the subsequent chapter in the history of ideas about language theory. The text became a cornerstone of modern linguistic theory, as well as the public declaration of a more general intellectual movement of the 20th century that had effect on such diverse disciplines as psychology, social anthropology and literary criticism. This all-round movement is today known as ‘structuralism'. The whole question that the Saussurean theory of linguistic structure gives rise is this: ‘If our langue is a structure, then a structure of what exactly? ‘ (Matthews 69) Saussure's answer to this question is problematic. He identified langue as being at the same time a structure of the mental operations of the human beings, and also a structure of the communicational processes by means of which human beings perform their roles as a cultural constitution. So langue is finally supra-individual in the relation that it is placed in society and depends for its existence on cultural relations; yet it assumes in each individual the power of an internally created system of linguistic signs. More exactly, langue, Saussure claims, ‘is never complete in any single individual, but exists perfectly only in the collectivity' (Cours 30). Derrida’s Theory of Language The theory of language to which Derrida wants to turn attention is connected with the method linguistic meaning is produced. More exactly, the method what there is of linguistic meaning and nonmeaning in their interconnection is presented. Derrida, in his theory of deconstruction, presents the same structure for both the process of nonaesthetic negativity and the process of aesthetic negativity. â€Å"Deconstruction† is connected with an analysis of the theory of language that, similar to the process of aesthetic negativity, discovers within this theory the seeds of its own downfall. Derrida presents a theory of meaning that reflects the idea of the â€Å"iterability† of signs and what he calls their â€Å"supplementary† status. Jonathan Culler summarized Derrida's central idea in this regard in the following way: Our earlier formula, â€Å"meaning is context-bound, but context is boundless,† helps us recall why both projects fail: meaning is context-bound, so intentions do not in fact suffice to determine meaning; context must be mobilized. But context is boundless, so accounts of context never provide full determinations of meaning. Against any set of formulations, one can imagine further possibilities of context, including the expansion of context produced by reinscription within a context of the description of it (Menke 96). Considering Culler's interpretation, Derrida's thesis of the uncircumventable proclivity of language for crisis is based on the difference between what one expects context to offer and what it can really do, when correctly viewed. The nonetheless inevitable recourse to context in the determination of meaning thus results in a crisis for every attempt to comprehend language. What is supposed to generate definitiveness is itself unlimited and thus the source of unmanaged difference. Derrida’s general thesis thus is based on the idea that the understanding of the meaning of signs can only function in a context-bound way. At the same time that contexts cannot define the meaning of signs since they are themselves boundless. The boundlessness that meaning opens itself to in its context-boundedness is in no way eo ipso the boundlessness of a difference that is inconsistent with any identity of meaning (Menke 90). Derrida himself realizes his argument that a â€Å"thousand possibilities will always remain open even if one understands something in this phrase that makes sense† (Menke 96) in an equivocal fashion. On the one hand this idea means: every sign can function in different and boundlessly many contexts. This is precisely what determines the iterability of signs: their reusability in contexts that are not actually those in which they were first placed. The usability of signs in boundlessly many contexts in itself, though, in no way is opposite to the definitiveness of its use and meaning as determined by rules of language. Although one might note, with Derrida, that the deconstruction of logocentrism is a search for â€Å"the other of language† (Derrida 1984, 123), this does not contribute to the statement that deconstruction is originally concerned with a linguistic theory. This is first and foremost the question of the concrete instance, of â€Å"the other, which is beyond language† (Derrida 1984,123). Far, then, from being a philosophy that according to its critics, states that there is nothing beyond language and that one is confined within language, deconstruction can be considered as a response. â€Å"Deconstruction is, in itself, a positive response to an alterity which necessarily calls, summons or motivates it. Deconstruction is therefore vocation – a response to a call† (Derrida 1984,118). Derrida claims that the character of deconstruction is not solely positive, that is not merely an assertion of what already exists and is known, but that it is an assertion of what is wholly other (tout autre) (Derrida 1992, 27). Derrida claims that difference is not something that can appear in logocentric discourse: â€Å"differance is not,† Derrida explains, â€Å"preceded by the originary and indivisible unity of a present possibility that I could reserve†¦. What defers presence, on the contrary, is the very basis on which presence is announced or desired in what represents it, its sign, its trace†¦. Differance is â€Å"that which produces different things, that which differentiates, is the common root of all the oppositional concepts that mark our language†¦ † (Positions, 89). Differance is neither structure nor origin, â€Å"such an alternative itself being an ‘effect' of differance. † Even so, studying the operations of differance requires that the writer use such concepts as structure and origin and â€Å"borrow the syntaxic and lexical resources of the language of metaphysics† even if the writer wishes to deconstruct this language ( Positions, pp. -10). Derrida indicates that differance is not an origin. Neither language nor writing springs in differance. Instead, Derrida says, differance allows the play of absence and presence, writing and thought, structure and force by means of which the question of origin comes to know itself. Saussure and Derrida Exactly at this point one is faced with one of the most problematic though fascinating dimensions of Derrida's theory. The problem, stated above, is that, as soon as it is recognized that there are no simple, unsignified, transcendental signifiers that fix and warrant the meaning of the words, that there exist no originals to which the words can be attributed, one comes to conditions where even this acknowledgement itself seems to have become â€Å"floating† (May 125). Derrida resolves this difficult situation with the help of above discussed theory of signs and of language developed by Ferdinand de Saussure. Despite the idea that language is in a fundamental way a naming process, attaching words to things, Saussure had claimed that language is a system, or a structure. In the structure any individual element is meaningless outside the boundaries of that structure. In language, he asserts, there are only differences. But – and here the ideas of Saussure are basic for Derrida's deconstruction of the metaphysics of presence – these differences are not differences between positive terms, that is between terms that in and by themselves are connected with objects or things outside the system. Accordingly, in language, Saussure indicates, there are only differences without positive terms (May 127). But if this is true, if there are no positive terms, then it means that one can no longer define the differential position of language itself by means of a positive term either. Difference without positive terms indicates that this dimension must itself always be left unperceived for, roughly speaking, it is unconceptualizable. It is a difference that cannot be returned into the order of the same and, through a signifier, given individual characteristics. This suggests, then, that â€Å"the play of difference, which, as Saussure reminded us, is the condition for the possibility and functioning of every sign, is in itself a silent play† (Derrida 1982, 5). If, however, one wants to articulate that – one must first of all admit that there can never be a word or a concept to correspond to this silent play. One must also admit that this play cannot merely be exposed, for â€Å"one can expose only that which at a certain moment can become present† (Derrida 1982, 5). And one must ultimately admit that there is nowhere to begin, â€Å"for what is put into question is precisely the quest for a rightful beginning, an absolute point of departure† (Derrida 1982, 6). All this, and more, is acknowledged in the new â€Å"word† or â€Å"concept† – â€Å"which is neither a word nor a concept† (Derrida 1982:7) but a â€Å"neographism† (Derrida 1982:13) – of differance. The motive why Derrida uses â€Å"what is written as difference† (Derrida 1982, 11) is not difficult to understand. For although â€Å"the play of difference† (Derrida 1982, 11) is introduced as something for the opportunity of all conceptuality, one should not make the mistaken opinion to think that one has finally discovered the real origin of conceptuality. That, expressing the same idea but differently, this play is a playful but despite that transcendental signified. Strictly speaking, in order to avoid this mistake one must acknowledge that the differences that make up the play of difference â€Å"are themselves effects† (Derrida 1982:11, original emphasis). As Derrida claims, What is written as differance, then, will be the playing movement that â€Å"produces† – by means of something that is not simply an activity – these differences, these effects of difference. This does not mean that the differance that produces differences is somehow before them, in a simple and unmodified – in-different – present. Differance is the non-full, non-simple, structured and differentiating origin of differences. Thus, the name â€Å"origin† no longer suits. (Derrida 1982, 11) Although differance is straightforwardly connected with a structuralist idea of meaning – that Derrida recognizes when he indicates that he sees no reason to question the truth of what Saussure proposes (Derrida 1976, 39), there is one important aspect in which differance is outside the scope of structuralism. The point here is that Derrida clearly refuses to accept the primary character of structure itself. Structure is not a transcendental represented (for which reason Derrida notes that he does not want to question the truth of what Saussure proposes â€Å"on the level on which he says it [original emphasis] â€Å"but does want to question the logocentric way in which Saussure says it (Derrida 1976, 39). Structure is even less the effect of an original presence coming before and causing it (Derrida 1978, 278-9). What differance tries to express is the differential character of the â€Å"origin† of structure itself. It is in this relation that one might observe that Derrida's writing is poststructural. To some degree, surely, differance appears when Saussure's examination of how language operates. â€Å"In language,† Saussure indicates, â€Å"there are only differences. Even more important: a difference generally implies positive terms between which the difference is set up; but in language there are only differences without positive terms† (Positions, 120). Derrida's differance in an obvious manner is like Saussure's differences. At the end of Positions, for instance, Derrida specifies â€Å"as differance the movement according to which language, or any other code, any system of reference in general, is constituted ‘historically' as a tissue of differences† (Positions, 104). But Derrida makes an effort to go further. Whereas Saussure considers the differences in a semiotic system as the set of constantly changing relationships the speaker manipulates in order to produce meaning, Derrida defines differance as the boundless disappearance of either an origin of or a final place for meaning. When Derrida describes differance, he always does so by examining what it is not. Rather than considering language in the traditional way, as a set of external signs of already farmed internal thoughts (characteristic of â€Å"logocentrism†), Derrida, like Saussure and modern linguistics, thinks of users of language producing coded, that is, repeatable, marks or traces that originate from within certain unities of meaning as â€Å"effects† of the code. These traces are not fundamentally meaningful in themselves but â€Å"arbitrary† and â€Å"conventional† (Menke 96). Thus there is no difference whether one says â€Å"rex,† â€Å"rol,† or â€Å"king† so long as â€Å"we† – those who share these conventions – can tell the difference between rex and lex, roi and loi, and king and sing (Menke 96). The meaning – is a process of the difference, of the distance or the â€Å"spacing† between the traces, what is called, in an absolutely serious way, the â€Å"play† of differences or traces. By the â€Å"play of differences† Derrida defines the differential spacing, the recognized distance, the recognized (heard, seen) intervals between traces first analyzed in structural linguistics (Menke 97). Conclusion A comprehensive historical examination of deconstruction would necessarily include numerous precursors and forerunners: Freud, Hegel, Heidegger, Husserl, Lacan, Levi-Strauss, Marx, Nietzsche, Saussure. . . . However, it can be said that the history of contemporary deconstruction begins with Jacques Derrida De la grammatologie (1967) that opens with a critique of Saussure. Saussure’s theory of language is here framed within a metaphysical system that extends from Plato and Aristotle to Heidegger and Levi-Strauss. By Derrida this theory is called â€Å"logocentric. † Saussure marks a concluding stage of the long logocentric epoch. Derrida indicates that logocentrism imposed itself upon the world and controlled the theory of language. Derrida’s contributions laid ground for future epoch. In the role of prophet, Derrida concludes his â€Å"Exergue† indicating: â€Å"The future can only be anticipated in the form of an absolute danger. It is that which breaks absolutely with constituted normality and can only be proclaimed, presented, as a sort of monstrosity. For that future world and for that within it which will have put into question the values of sign, word, and writing, for that which guides our future anterior, there is as yet no exergue† (Derrida 1967).

New Heritage Doll Company: Business Overview

Index Executive summery†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. †¦1 Introduction†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 2 Case analysis Match My Doll Clothing†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. †¦. †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 2 Design Your Own Doll†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚ ¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. 3 Comparison†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. †¦. †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦4 Additional Questions†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦5 Recommendations†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.. 5 Appendix Appendix 1: calculation formulas, definitions and assumptions†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 6 Appendix 2: Exhibit 1 & 2†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã ¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. 9Appendix 3: The NPV Profile†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ 11 Executive Summary The production division at New Heritage Doll Company is considering between two business proposals to recommend at the firm’s upcoming capital budget meeting in October. In order to prioritize between the two projects, we needed to analyze both companies, quantitatively and qualitatively, to determine which proposal better suits NHDC’s goals. Using a qualitative analysis, we analyzed both Match My Doll clothing line and compared it to the Design Your Own Doll proposal.We found, after comparing the strengths and weaknesses of both proposals, that MMDC’s business case is more compelling. We then analyzed the financial aspect of both projects using the financial information given in the exhibit. In order to complete this analysis we began with a profitability analysis. First we computed the NPV, IRR and the profitability index in order to determine which of the projects would be more profitable. We found that although DYOD’s NPV was slightly higher, MMDC’s ratio’s seemed more compelling. We then moved on to a risk analysis, in order to compare the riskiness of the two projects.We found that not only is MMDC’s risk lower than that of DYOD, but its payback period was approximately 30% lower as well. Based on these analyses, we recommend that the company should choose the Match My Doll Clothing line expansion proposal. Introduction In this case study, two business proposals from the Production division of the New Heritage Doll Company (NHDC) are being considered for submission at the capital budgeting committee meetin g which makes decisions at the corporate level for all large spending proposals.The first proposal is to extend the company’s Match My Doll Clothing line, and the second is to develop a new Design Your Own Doll product. Emily Harris, vice president of NHDC’s production division, is weighing the two proposals. Due to constraints on financial and managerial resources, it is possible that the committee will decline to approve both projects as other divisions of the company such as licensing and retail are also presenting projects that may prove more attractive to the committee. Harris has to be prepared to recommend only one of the projects.In order to evaluate which of the projects Emily should promote, we look at the criteria of the committee. They will examine the proposed project for consistency with the company’s overall business strategy and they will see if the project balances the needs and priorities of each division against the practical, financial, and o rganizational constraints of the company. The committee will evaluate whether the proposed project will strengthen the entire company, not just the particular division. We would try to evaluate which of the proposals based on the projects' qualitative and quantitative analysis.We have used in our analysis both the figures that were supplied by the line managers, and further information that seem relevant from online researches we had conducted. Match My Doll Clothing This investment proposal is the expansion of the Match My Doll Clothing line (MMDC), an existing clothing line of matching doll and child clothing and accessories. The original line was a success, due to the strong identification that girls feel with their NH dolls. Due to the growing popularity of the line the line’s manager believe that the timing is right for expansion.The original line selected several items of New Heritage dolls’ fashions and produced identical items in girl’s sizes. However, t he number of items was limited. The proposed expansion would create an â€Å"All Seasons Collection† of apparel and gear covering all four season of the year. It would expand the number of matching doll and girl clothing items available One of the benefits of expanding the MMDC’ line is that the line has already demonstrated the commercial viability of the matching doll and child clothing model. The concept has a proven track record and now the company has only to further build on this successful model.Furthermore, the recent positive publicity engendered by the celebrity sightings, will create an even greater demand for the product, and will allow for the maintenance of premium pricing. We believe that the expanded line will be at least as profitable as the existing line. Another strength this project possesses is the project’s moderate risk , which is almost identical to that of MMDC’s existing business line. One of our concerns regarding the expansion of MMDC’s clothing line is the company’s inexperience within the clothing industry. NHDC will have to compete outside its current niche of dolls and accessories.The fickle nature of children’s fashion trends requires that the management keep up with current market trends, in order to maintain its premium pricing. Another concern we think is important to address is the expected lifetime of the project. Based on the risk that the company would not be able to stay up to date with the current trends and fashion we think that the life span of the projected CF may be somewhat optimistic, and might not reflect correctly the characters of this project. However, we do believe that for the sake of comparison this projection should be kept.Another concern that arises from the unexpectedness of children’s fashion trends is that the company may be faced with a very limited time frame in which it can make profitable investment decisions. One of the opportunities that a rise with the current proposal is the reduction in the seasonality of the company’s sales and earnings. The new line created an additional benefit of supplying clothing all year round, which in turn could provide the firm with a more stable revenue stream. By taking advantage of the â€Å"off peak discount† offered by some suppliers and anufacturers, the line manager expected to reduce the company’s seasonality which would create a more stable revenue stream for the firm. A threat which attributed to this proposal is its reliance on supposed discounts offered by suppliers and manufacturers. The failure of obtaining these discounts can cause an increase in costs, resulting in lower profitability. Capital expenditures in 2010 are predicted to be high since the project is during its first year of operation . In the following year they are still relatively high, but this can still be explained by it still being the beginning years of operation. 012-2013 have the low est Capital expenditure of all projected years; this could be explained by the high growth in revenues . It is important to note that these years are considered â€Å"day one†- since the product is new in the market, the market should embrace the product first and the depreciation is still on the lower numbers. From 2014 and onward, we see an increase in the firm’s Capital expenditure coupled with a constant growth . This might be due to maintaining the operation scope and compensating for the growth in depreciation (During year 2015 and onward). Design Your Own DollThe Design Your Own Doll (DYOD) project sets out to make dolls products more personal to customers, by creating dolls that can be designed to look like their owners. The new project was targeted to both new customers and loyal customers, who may already own a number of dolls, but are looking to add a unique addition to their collection. The strategy behind the project is that by becoming an active part of t he creation of the dolls the customers will become more loyal customers. The whole creation and participation will take part in a new section of New Heritage's website.We believes that because of all the new features, the experience and the uniqueness in this product, the customers would be willing to pay premium price. The fact that this project is web-based also enlarge the accessibility for customers, and by that enabling people that have hard time to approach an actual store to still purchase the company's product. On the other hand, there is a risk that the premium price, as discussed earlier, might narrow the audience since it approach higher socio economic level people. Due to the projects' unique the initial investing costs are higher, but so does the expected return .As a product which is â€Å"one of a kind† (â€Å"OOAK†), the production costs are going to be higher than usual (in particular fixed costs on a per unit basis, which come from low production runs and volume ), meaning that the payback period would be high. In addition, there are untested elements that need to be put into the manufacturing process, a risk that might cause future unexpected expenses. This project is considered to be a high risk project, due to the fact that it is completely new and contains (as mentioned) high costs of production.The initial equipment costs high (comparing to MMDC and) the time for it to be ready for production is going to be two years instead of 1 year in the MMDC proposal. Moreover, there is more equipment that shall be installed by the end of 2014 and that's why in the forecasts of DYOD (exhibit 2) there is a very high spike in the capital expenditures line. The good thing in purchasing this kind equipment is the option to pay custom equipment quarterly, so New Heritage can decide to pay everything in front, so it can get a sustainable discount.The projections for this project are based upon a near-flawless operation. Since this project wa s not tested and there is no experience with it, this may add to the riskiness of the project. New Heritage's website should be developed with the new software, which will take a year to write and test before starting with the sales. This is an explanation for the high initial R&D costs . Financial Comparison Net Present Value In order to evaluate both of the projects, we used the projections for MMDC and DYOD and calculated MMDC’s NPV to be slightly lower than that of DYOD.Our projections show that MMDC’s NPV is $7,150,070 , while DYOD’s is $7,298,100 . Due to the relatively small difference between the NPV’s we found, we believe that we should consider putting more emphasis on alternative factors when coming to a final decision. IRR Although we observed rather similar NPV’s, the two projects’ IRR are very different. Despite the slightly lower NPV, MMDC has an IRR of approximately 24%, compared to the 18% IRR of DYOD. This substantial diffe rence we’ve found can be explained by the significantly lower initial spending on capital by MMDC . Profitability indexUsing the Profitability index (PI) allows us to quantify the amount of value each project makes for every dollar invested. We calculated the Profitability ratios for both projects and found MMDC PI to be 2. 367, compared to 1. 17 of DYOD. After analyzing these results, it would seem that MMDC would generate a higher return on their investment. Risk analysis For MMDC, we took on the recommended moderate risk rate of 8. 4%. Based it is an already existing line that has no need for consumer acceptance, in addition to its proven ability to maintain premium prices, we decided that it was a logical assumption.For the DYOD, we assumed a high risk rate of 9%. After considering multiple factors, such as DYOD’s lengthy payback period , relatively high fixed costs and the use of new untested elements in the manufacturing process, a high discount rate is appropria te. Given these assumptions, we can see that MMDC is less risky than DYOD. Furthermore, we analyzed the NPV Profile and found that MMDC’s NPV is less sensitive to increases in the discount rate than DYOD. Another relevant figure we examined is the projects’ payback periods, which calculates the amount of time until a project’s initial investment is returned.According to our calculations, MMDC’s payback period is lower than that of DYOD . While MMDC will recuperate their initial investment in slightly over 7 years, it will take DYOD over 10 years to return their initial investment. Since the Payback period we calculated doesn’t take into account the time value of money, we calculated the Discounted Payback Period, and confirmed that here too, MMDC is faster at recuperating its initial investment . Profit Margin The average profit margin for the MMDC is 14. 9%, while for the DYOD it is 12. 55%. This suggests that MMDC is a more profitable company, an d may have better control over its costs than DYOD. Acid Test The result for the MMDC is 2. 43, while the result for DYOD is 2. 72. The significant of this is relating to the â€Å"worst case scenario† – what if the project would fail and the firm will need to get rid of it. Internal growth rate Even though we don't know how much of New Heritage's NI goes to dividends, we know that in both of the cases it will be the same and it would be

Thursday, August 29, 2019

Motivation, Rewards Systems and Employeee Performance Term Paper

Motivation, Rewards Systems and Employeee Performance - Term Paper Example There is a strong relationship that exists between motivation, performance and reward systems in any social set up and the business organizations in specific. The reward system influences the behavior of the workers through motivation which in turn influences their effort and personal drive towards performing their duty with the goal of boosting the organizational output (Klarsfeld 170). With the current globalization pressure, the social, economic and political structure of the society has been redefined and the reward systems that were used long time ago are facing irrelevance hence need of reforms. Whereas most firms attached a lot of importance on quantifiable rewards with negligible concern on qualitative aspects, the current situation champions for quality as the greatest motivational aspect of individual performance. Taking the case of IKEA Company which is the leading furniture retail chain in the world that designs and sells ready-to-assemble furniture, appliances, and home accessories the concept of reward can be explored in depths. From the data available on the global corporate performance records, the company was the world's largest furniture retailer as of January 2008. This is one of the firms that have reaped from sound human resource management and sets the pace for its competitors as far as employee reward is concerned. IKEA is one of the multinationals that give much attention to the individual input of each employee by offering incentives that motivate the overall performance of its workforce. While several companies in the same industry still rely solely on salary as the only motivational factor, IKEA has gone a notch higher and adopted non-monetary incentives that mean a lot to employees, and this explains its continued excellence in the industry (Klarsfeld 174). Reward system works better in improving the overall effort of employees in their contribution in value creation in firm, and IKEA seems to have realized this concept from the word go making it clinch the first position ahead of the park. It longstanding overall performing standing is basically tied to the quality of its services and good public image it has. It employs for attitude and trains for skill, and this is one factor that has boosted the exemplary performance and an unmatched competitiveness in the industry and the corporate world at large. Rewards compensate for additional sacrifice of efforts towards attaining specific goals and when it comes to the mission of IKEA, satisfaction of the customer takes central concern and forms the basis of the team’s goals. To achieve this dream, the management realized that motivating the workers through incentives and other modes of rewards significantly boosts their efficiency which translates to aggregate firm performance. Since it deals in decorative items with much focus on art and beauty, IKEA relies on human capital and real commitment from its employees and this can only be realized through motivati ng them to deliver up to the standard. IKEA has adopted diverse reward systems in its management policies that suit various needs of different employees within its workforce. These rewards take into account age factor,

Wednesday, August 28, 2019

Nuclear Power Essay Example | Topics and Well Written Essays - 500 words

Nuclear Power - Essay Example One of the ways is through the use of renewable resources such as wind and hydraulic power. However, there are limitations to these alternatives and this is one of the reasons that nuclear power has become an increasingly used resource, but many countries are fearful of the powerful and destructive nature of nuclear power. Nuclear power operates on the principle of nuclear fission. The process of nuclear fission is the bombardment of large molecules in order to split the nucleus. The splitting of the nucleus causes an enormous release in energy. As the elements undergo more and more of the process of nuclear fission, toxic chemicals are produced in the reactor, which must be stored away for extremely large periods of time in order to prevent radiation exposure. Even though there are numerous safeguards designed to protect the reactor in case of a breach, there have been huge nuclear disasters that have left the global community apprehensive about the proliferation of nuclear energy technology. The nuclear meltdown at Chernobyl is considered to be the worst nuclear reactor accident in history. An explosion in the core reactor of the building lead to the proliferation and spread of dangerous radioactive material into the atmosphere, spreading across the Soviet Union and Western Europe. At first the Soviet Union did not report on the incident until countries started seeing the effects of the radiation fallout. There was also contamination in the water supply that had to be accounted for since the plant was near a river system. In addition to the people killed at the plant, there were mutations and cancers associated with the exposure to the radiation as it proliferated across the globe (Berger, 2010). In addition to Chernobyl, the only other level seven disasters occurred at the Fukushima Daiichi nuclear disaster. Unlike Chernobyl, the precipitant to the nuclear disaster resulted in an earthquake, which damaged the systems.

Tuesday, August 27, 2019

Ethics In Disability Sports Essay Example | Topics and Well Written Essays - 2750 words

Ethics In Disability Sports - Essay Example Disability sport can be defined as recreational, competitive, and Paralympics sport for individuals with disabilities or a body of knowledge that guides philosophy and practices. The relationship among disability, sport, and knowledge is multifaceted. Such concepts are created by social groups and reflect the affordances and constraints of specific times and cultures.Disabilities have been conceptualized as limitations in physical, mental, or sensory functional ability and activity that prevent or compromise equitable participation in able-bodied sport. Disability sport has been associated mainly with disability sport organizations (DSOs) or the International Paralympics Committee (IPC). However, people with disabilities can now choose to participate in a wide variety of sport contexts (Sherrill & Williams 1996). Thus, the meaning of disability sport has been widened to include any combination of sport and disability. DePauw defined disability sport as a term that gives equal weight to concepts of disability and sport (1986).4. Theories and Conceptualizations of Sport DisabilitySome of the studies and researchers have defined theories of sports disability that might fit into a disability sport conceptual framework.5. Sport Performance TheorySport performance theory includes all of the inconstant, excluding classification, that facilitate explaining or foreseeing phenomenon such as attaining an individual best, winning and losing, managing injury, burnout, stress, anxiety.

Monday, August 26, 2019

Common Law - business Assignment Example | Topics and Well Written Essays - 1250 words

Common Law - business - Assignment Example Respondeat superior and quifacit per alium facit per se are the two principles that vicarious liability is based on. According to respondeat superior, a superior is responsible for the acts committed by his subordinates. Quifacit per alium facit per se means that if someone does something through another, then he does it through himself (Giliker, 2010). The rules that the court applies in deciding if the blame for a tortuous act can be shifted from the employee to the employer are: Control Test: Was the employee under the control of the employer when the tortuous act was committed? Control is the key characteristic that the court will consider. The employer must have the control and the ability to exert authority over the employee. That is the employer controls the actions of the employee’s work. He must instruct the employee on what to work on and how to work on. Control, authority and direction are necessary liability conditions (Giliker, 2010). Employment Test: An employer will only be liable to acts of employees and not independent contractor. That is, employees have a ‘contract of service’ while an independent contractor will have a â€Å"contract for service’. Course of employment: Employer is liable only if the tort was committed in the course of the employment. That is the blame can be shifted from the employee to the employer if the tortuous act was authorised by the employer or the authorised act was done in a wrongful way (Smith & Thomas, 2007). 3b. Occupier’s liability act of 1957: This act deals with the liability of the occupier to the lawful visitors. The act treats all visitors as a single entity irrespective of them being invitees, contractors and licensees. It is not applicable to illegal visitors such as trespassers. It imposes duty of care on the occupier. According to the act, an occupier is one who has reasonable control on the premises and must have had the ability to avoid or prevent the danger. Common Duty of Care: An occupier owes a common duty of care to all legal visitors wherein care must be taken by the occupier to ensure that the visitor is safe in using the premises for which he was invited under all reasonable circumstances (Harpwood, 2008). Warnings: Occupiers are not held liable if harm is caused to a visitor if he/she had been warned about the danger. The visitor under all circumstances must be able to avoid the danger based on warnings. But apart from warnings extra care must be taken if the danger is unusual or extreme (Harpwood, 2000). Children and professional exercising their duty: Exceptions are made to children and persons who are exercising a skill or trade. With children, the occupier must ensure that children are safe considering the fact they are less careful than adults. For Example, in Glasgow Corpn v Taylor (1922) a child died after eating poisonous berries from a bush in a public park. The bush was not fenced and hence did not take care in safeguarding c hildren. The occupiers were held responsible (Harpwood, 2000). With persons exercising their duties the occupier can expect the person to be aware of special risks associated with the skill. For example, an electrician repairing an electric socket must be aware of the danger of dealing with electrical equipment and must be careful in dealing with it. Independent Contractors: The occupier cannot be held liable if the danger or harm is caused by the work of an independent contractor

Sunday, August 25, 2019

Management Skills II Essay Example | Topics and Well Written Essays - 2000 words

Management Skills II - Essay Example In this regard both organisation and individuals must take measures to alleviate such negative impacts of stress on the work performance. But before that the employees need to learn identify the signs which indicate that they are feeling stressed out. The employers also need to be aware of the signs of employee stress and the effects it has on the employees’ health as well as on the profits of the company. In this report we will look at the effects and outcomes of stress it has on the individuals and on organisation and how it can be managed best by both of them. Discussion General Stress Stress is defined as the way in how an employee feels when they have to respond to a change in demand in the workplace. Stress is a part of our life and it occurs when we faced with significant changes in our lives, whether it is positive or negative (NHS, 2013). There are some stresses which are okay, referred to as positive stress. The problem arises when the level of stress exceeds the thr eshold level of individuals affecting both the physical or mental behaviour of the people. Different employees have different abilities to cope with the stress. But there are situations which are categorized as being stressful, including financial worries, unemployment, work overload, relationships, balancing both work and family, parenting, health problems, caregiving, losses, competitiveness, exams, peer pressure and not having enough time to cope with the pressure (Bickerstaff, 2008, p. 42). Stress is how the employees respond to the normal stressors in the environment. Sources of Stress at Workplaces There can be a number of situations for stress to occur at the workplace. There are a number of categories of Job Stressors which the employees feel at the workplace. The first Category is Factors which are unique to the job. These include situations like Work overload or under load. Again the Pace, variety and the meaningfulness of the work is another factor. Again the Autonomy is also a major stress factor. If an employee doesn’t have the freedom to make his own decisions about his job then he will feel stressed out. The Physical environment of the workplace also plays an important role (NHS, 2013). Then Isolation at the workplace leaves an emotional effect on the employees who feels that he is working alone. The Second category is Role which the employees perform at the organisation. This may happen in cases of Role conflict which they face. This happens when there are conflicting job demands, or multiple managers or supervisors which the employee has to face. Role ambiguity may also lead to stress for the employee. It indicates the lack of clarity about the expectations, responsibilities etc. about the job (Canadian  Centre  for  Occupational  Health  and  Safety,  2000, p. 1). Again the level of responsibility that the employee is given also affects his morale. The Third category is the Relationship of the employee with his colleagues . These include his relationships with Supervisors, Subordinates, and Peers. Since an employee has to deal with them every day, any unhealthy relationship may affect the moral and leads to increased stress at the workplace. The fourth Category is the Career development. In this category, any under promotion would increase the stress level. Again the job security is another important factor. If the employee is under constant fear of losing the job because of the downturn in the economy or lack of job, it will increase the stre

Saturday, August 24, 2019

Dry farming the Zinfandel grape varietal Essay Example | Topics and Well Written Essays - 1250 words

Dry farming the Zinfandel grape varietal - Essay Example Before irrigation systems became available and practical, dry farming was standard practice for planting and managing wine grapes in California. Dry farming is still possible and successfully used by some growers, but it is site-specific and dependent on annual rainfall, climate, soil type and grape variety. The economics of dry farming are a key consideration in relation to grape yields and prices. Dry farming wine grapes depend on residual soil moisture to meet the water requirements for grape vine growth and berry development (Chatterton, 196). Even in California’s dry Mediterranean climate, the water retained in soils from winter rains can be sufficient to support grape production throughout the growing season without supplemental irrigation. Dry farming techniques can improve grape and wine quality. Many growers have said that they trade quantity for quality when dry farming. Although dry-farmed vineyards may yield less than irrigated vineyards, the fruit that is produced often has more concentrated flavors and a deeper expression of quality taste. Tablas Creek Vineyard in Paso Robles believes that their dry-farmed berries are essential to the balance and expression of their wines. Dry farming can also have significant positive impacts on the environment and improve the sustainability of vineyards. By not irrigating, dry farmers reduce the water footprint of the vineyard. According to Frank Leeds (2003), studies in Napa Valley shows that he is saving a minimum of 16,000 gallons of water an acre a year by dry farming his vineyards, compared to those that only lightly irrigate. If vineyards can conserve fresh water, not only will they be contributing to water conservation, but also reducing their dependency on a highly demanded resource, particularly in areas of groundwater overdraft (Hargreaves & Mary, 109). Competition over

Friday, August 23, 2019

Paraphrase the paragraphs in the document Essay

Paraphrase the paragraphs in the document - Essay Example n the Chinese stock market, there are basically five classes of stocks: the ordinary domestic stock (A shares), foreign shares (includes B, h and N shares), legal entity shares (C shares), government shares and employee shares. Of all the five groups of shares in the Chinese stock market, the A shares have attracted the interest of most researchers. The A shares are listed in the Shanghai Stock Exchange as well as the Shenzhen Securities Exchange. The quotation of the A shares in both financial markets is done in the Chinese renminbi Yuan and only individuals who live in the country can buy the shares. Further, the Chinese stock market differs from its counterparts in developed nations on the basis of regulations and restrictions. In the Chinese stock market, the process of offering IPOs is characterised by strict regulations and restrictions than those in developed nations. The China Securities Regulatory Commission (CSRC) sets the rules for the Chinese stock market and ensures all the dealings are conducted in accordance with the set rules. Besides determining the newly issued shares’ annual quota, the CSRC is also responsible for setting the method of determining the offering price for new shares. The CSRC is charged with the responsibility of determining the allotment of quota to different areas and provinces via specific criteria, thus providing the number as well as cumulative value of IPOs awaiting listing on the stock market. The CSRC determines the fixed offering price (online) by multiplying the company’s earnings per share by preset price earning ratio (P/ E ratio). As a result, the Chinese IPOs receive little or no feedback because of the inflexibility of the method used for setting the offer price, which makes it difficult to respond to market changes (Su & Fleisher 1999). Critically assessing the features of the Chinese stock market, it is apparent that there are many factors interplaying to yield the Chinese IPO underpricing. The factors

Thursday, August 22, 2019

Real World Quadratic Functions Essay Example | Topics and Well Written Essays - 500 words

Real World Quadratic Functions - Essay Example Borrowing from Harshberger and Reynolds (2013), with a > 0, the parabola would open upwards as opposed to when a It would be deduced from this graph that with no clerks working, there would no profits made just as there would be no profits made with the engagement of 12 clerks. Maximum profit would be achieved with 6 clerks working. This function gives a graph whose relevance only holds in the first quadrant. Quadratic functions play a critical role in business cases with managers using these functions to determine the amount of workforce or units needed to obtain the greatest possible profit returns (Harshberger & Reynolds, 2013). Similarly, they help in forecasting the expected profits or losses hence assist in planning. These functions vary from one company to another thus the importance of each manager to determine the function that truly reflects the operations of the managed firm. Quadratic functions would be applied in various real world situations to find meaningful solutions. In this assignment, its usefulness in determining the maximum profit and how to maximize profits in a business entity has been illustrated. From this, it would be noted that solving a quadratic function problem requires the determination of vertex or description of the parabola’s

History of Special Education Essay Example for Free

History of Special Education Essay Special education only began when parent-organized groups started advocating for disabled children’s rights. Prior to this, disabled children were considered crippled, dump, mentally defective or feeble-minded, (J. E. Wallace Wallin, 1924). They were therefore excluded from education in public institutions. By 1975, more than half of disabled children were denied an opportunity to education. (William N. Myhill, 2004) However, during the 1950s and 1960s several parent-organized groups of advocacy emerged. Such groups included the American Association on Mental Deficiency, Muscular Dystrophy Association, and Mental Retardation Panel by John F. Kennedy among others. These groups’ advocacy necessitated establishment of schools for children with disabilities, both at the local and state levels. The advocacy also led to state’s concern for special education. Several legislations that aimed at development and implementation of programs for the needs of children with disabilities and their families were also passed. In 1958, 1959 and 1961 three laws; PL 85-926, PL 86-158 and the Teachers of the Deaf Act, respectively were passed. These laws helped in the training of teachers who to work with the mentally disabled and the deaf. In 1965 the state also approved the Elementary and Secondary Education Act and the State Schools Act. With these acts in place, states got access to grant funds for the education of children with disabilities (James J. Cremins, 1983). The United States Congress also approved the Education for All Handicapped Children Act (EHA) in 1975. This law was to protect the rights of children with disabilities and their families. The law later became the legislative foundation through which special education received federal funding (James J. Cremins, 1983). In 1997 and 2004 the EHA was re-authored and renamed the Individuals with Disabilities Education Act (IDEA), changing the procedures for disability identification and demanding for high standards of qualification for teachers of special education. IDEA advocated for a Free and Appropriate Education (FAPE) to every student. Court cases have also been vital in shaping of special education. For instance, the Pennsylvania Association for Retarded Children (PARC) challenged the Commonwealth of Pennsylvania in 1971 for the exclusion of mentally handicapped from public schools. The courts ruled out this discrimination. This case extended into 1972, with a ruling that children with disabilities be given education irrespective of its cost following a case filled by Mills against the District of Columbia (William N. Myhill, 2004) In 1998, Honig filed a case against Doe when two students were suspended for disruptive conduct resulting from their disabilities. The court ruled that students could not be punished for a disability-related misbehavior. As well, three different cases; Diana v State Board of Education (1970), Hobson v Hansen (1967-1968) and the Larry P.  v Riles case filled in 1979, sort a ruling on disability tests. The court ruled out the use of IQ, culturally biased and language-biased tests whose use to place a student in special education class was common. Special education has undergone remarkable transition; from the time when disabled children were simply ignored to today when a good number of programs for these children have been developed (James J. Cremins, 1983). There are now numerous professionals who evaluate children with disabilities and place them into the best conditions for their learning. References James J. Cremins, (1983). Legal and Political Issues in Special Education4–5 J. E. Wallace Wallin, (1924). The Education of Handicapped Children Losen, Daniel J. Orfield, Gary (2002), Introduction to Racial Inequality in Special Education. The Civil Rights Project at Harvard University: Harvard Education Press. William N. Myhill, (2004). No FAPE for Children with Disabilities in the Milwaukee Parental Choice Program: Time to Redefine a Free Appropriate Public Education, 89 Iowa L. Rev. 1051, 1055.

Wednesday, August 21, 2019

Effects Of Concentration On The Absorbance Values

Effects Of Concentration On The Absorbance Values Abstract: A 0.2100 M stock solution of cobalt (II) chloride hexahydrate was analyzed using UV-Vis spectroscopy. A series of dilutions of the stock solution were made to analyze the effects of concentration on the absorbance values of cobalt (II) chloride hexahydrate using the UV-Vis spectrophotometer. The copper (II) chloride hexahydrate was found to have the highest absorbance value at an average wavelength of 511.02 nm. The average molar extinction coefficient for copper (II) chloride hexahydrate was found to be 4.5172. Spectroscopic analyses of dilutions of the stock solution were used to create a calibration curve of absorbance versus concentration of the cobalt chloride hexahydrate solution. A solution of unknown concentration was analyzed using the UV-Vis spectrophotometer. The calibration curve was used to determine that the unknown had a concentration of 0.1250 M. Introduction: Ultraviolet/Visible (UV-Vis) spectroscopy analyzes electronic transitions between atoms and molecules. Spectra are produced when electrons in molecules or atoms move from one electronic energy level to another of higher energy. In doing so, the absorbed energy is equal to the difference between to the two levels. Compounds that absorb light in the visible region are colored. Compounds that absorb light only in the ultraviolet region are colorless. Inside a UV-Vis spectrophotometer there are usually two light sources, a tungsten lamp for the visible region (380-800 nm) and a deuterium lamp for the ultraviolet region (10-380 nm). The light source produces a white light ray which contains all wavelengths (all colors). The light ray directed to a monochromator by a mirror. The monochromator is used to separate light into specific wavelengths. Each wavelength corresponds to a different color. The instrument scans through the UV-Vis spectrum, sending different wavelengths of light through the sample. A single wavelength passes into the modulator, which consist of a rotor with mirrors that splits the light into two beams. One beam passes through the sample cell, while the other passes through the reference cell. Both sample and reference beams are redirected by mirrors into a detector. The detector compares their intensities of the two beams and sends a signal to the computer that controls the instrument. The signal is defined as abs orbance, which is a measurement of how much light is being absorbed by the sample at that particular wavelength. The Beer-Lambert law states that absorbance (A) is proportional to concentration of the absorbing species and path length of the medium over a certain time: In equation 1, is the molar extinction coefficient and has units of, the path length of the medium or L, is reassured in centimeters or cm and the concentration of the absorbing species has units of molarity or M. In this experiment a solution of cobalt (II) chloride hexahydrate was analyzed using UV-Vis absorption spectroscopy. The purpose of this experiment is to create a calibration curve of absorbance versus concentration by making series of dilutions of cobalt (II) chloride hexahydrate. The calibration curve will then be used to determine the concentration of an unknown sample. The molar extinction coefficient for cobalt (II) chloride hexahydrate will also be determined using the absorption at the concentrations of each dilution. Experimental Procedure: Using the analytical balance, 2.5072 g of cobalt (II) chloride hexahydrate were weighed and placed into a 50 mL beaker. The purple solid was dissolved inside the beaker using 15 mL of distilled water. The purple liquid was then transferred to a 50 mL volumetric flask with the aid of a funnel. The beaker was then rinsed with another 15 mL portion of distilled water to collect any remaining cobalt (II) chloride hexahydrate left behind and then was transferred to the 50 mL volumetric flask using the same funnel. Additional 20 mL of distilled water were added to the 50 mL volumetric flask to create the stock solution of cobalt (II) chloride hexahydrate. Dilutions of the stock solution were made by transferring 2, 4, 6 and 8 mL of the stock solutions to four labeled 10 mL volumetric flasks. Distilled water was added to fill each flask to the line. The absorbance for each solution was calculated using spectrophotometer. Before any samples were analyzed, a sample containing just water was used to blank the instrument. A quartz cuvette was filled with distilled water and covered. The blank sample was placed in the sample holder in the back of the spectrophotometer. Using the program, the spectrophotometer parameters were set to scan the sample from 650 nm to3 90 nm. The program was also designed to automatically let the user know which sample to place next into the sample holder. After the blank sample was analyzed, the cuvette was rinsed with distilled water first and then with a small portion of the stock solution. The cuvette was then filled with a portion of the stock solution, covered and analyzed using the spectrophotometer. This procedure was repeated for all dilutions. After each analysis, the cuvette was first rinsed with distilled water and then rinsed with a small portion of the following sample. Results: In order to analyze the sample using the spectrophotometer, the compound needs to be present in the aqueous form. The copper (II) chloride hexahydrate appeared purple as a solid. After the 2.507 grams of copper (II) chloride hexahydrate were dissolved in 50 mL of distilled water, the compounds color changed from a dark purple to a pink colored solution. The concentration of the copper (II) chloride hexahydrate stock solution was found using the molecular weight of the compound, the amount of compound used and the amount of distilled water used to dissolve it. Table #1 shows the how the concentration of the copper (II) chloride hexahydrate stock solution was found. When the dilutions were made by taking 8, 6, 4 and 2 mL of the stock solution, the concentration of each dilution decreased proportionally to the amount of stock being added. The intensity of the pink color of each dilution also decreased as the amount of milliliters of distilled water increased. Table # 2 shows how the concentration for each dilution of the stock solution was calculated. The software was programmed to analyze the solutions in the following order, the blank sample, the stock solution (0.2100 M), the 0.1680 M dilution, the 0.1260 M dilution, the 0.0840 M dilution and 0.0420 M dilution. All samples were analyzed in the spectrophotometer, by using quartz cuvettes. The blank sample had no visual results as expected. When the 0.2100 M stock solution was analyzed by the spectrophotometer, the computers monitor displayed the formation of a graph starting at 650.00 nm on the x-axis and 0.00 Absorbance on the y-axis. After the graph passed 580.00 nm, the graphs absorbance values started to increase exponentially. The maximum absorbance value was recorded at 0.9993 and it occurred at maximum wavelength of 511.34 nm. After the was passed, the graphs absorbance values started to exponentially decreased until the graph reached 420.00 nm, after 420.00 nm the graphs absorbance values displayed a slightly constant pattern until the end of the graph at 380.00 nm. Similar results were observed for all the dilutions. The 0.16800 M dilution analysis showed a maximum wavelength of 510.92 nm and a maximum absorbance value of 0.7266. The 0.12600 M dilution analysis showed a maximum wavelength of 511.11 nm and a maximum absorbance value of 0.5703. The 0.0840 M dilution analysis showed a maximum wavelength of 510.98 nm and a maximum absorbance value of 0.4024. The 0.0420 M dilution analysis showed a maximum wavelength 510.75 nm and a maximum absorbance value of 0.1758. Table # 3 summarizes all the maximum wavelengths and absorbance values for the stock solutions and all its dilutions. Figure # 1 (appendix-pg 14) illustrates the graph for each solution. Using the data from table # 3, a calibration curve of absorbance versus concentration can be created. Figure # 2, the calibration curve can be found in the appendix section, page 13. The molar extinction coefficient for copper (II) chloride hexahydrate can be found using data found in Table # 3 and the Beer-Lambert law. By algebraically manipulating the Beer-Lambert equation (A = ÃŽ µ * L *c), the molar extinction coefficient (ÃŽ µ) for copper (II) chloride hexahydrate can be determined by: ÃŽ µ = A / L*c. The molar extinction coefficient for all the solutions can be found in Table # 4. The average molar extinction coefficient for copper (II) chloride hexahydrate was found to be 30445. A solution of unknown concentration was analyzed using the spectrophotometer following the same procedure as all other solutions. The solution of unknown concentration was found to have a maximum wavelength of 511.49 nm and a maximum absorbance value of 0.5715. The concentration of the unknown sample was determined using the equation of the line found on the calibration curve (page 13-Appendix). The unknowns absorbance value of 0.5715 was used as the y-value and the equation was solved for its correspondent x-value or concentration. The unknowns concentration was found to be 0.80 M. Table # 5 shows how the equation of the line from the calibration curve was used to determine the concentration of the unknown. Figure # 3 in the appendix section-pg 14, is a graph of all the solutions tested. In figure # 3, the unknown is easier to identify because the graph is in a landscape format and the x-axis increases by a factor of 20 nm as opposed to a factor of 50 nm in Figure # 1. Conclusion: The spectroscopic analysis of copper (II) chloride hexahydrate made the students familiar with operating a spectrophotometer. Dilutions to a stock solution of copper (II) chloride hexahydrate were made to examine how different concentrations of the compound affected the absorbance values of each sample. The copper (II) chloride hexahydrate was found to have the highest absorbance value at an average wavelength of 511.02 nm. A calibration curve for the concentration versus absorbance of copper (II) chloride hexahydrate was created using the data obtained from stock solution and dilutions using the spectrophotometer. A unknown sample was found to have a concentration of 0.1250 M. The concentration of the unknown was determined by using the calibration curve along with the data obtained from the spectrophotometer. The average molar extinction coefficient for copper (II) chloride hexahydrate was found to be 4.5172. The value for the molar extinction coefficient was determined using the t heory behind Beer-Lambert law and maximum absorbance values from the spectrophotometer. Discussion A different approach to determine the concentration of the unknown involves using the average molar extinction coefficient for copper (II) chloride hexahydrate found in table # 4. By algebraically manipulating the Beer-Lambert equation a formula for concentration can be derived: c = http://www.800mainstreet.com/elsp/Elsp.html

Tuesday, August 20, 2019

DNA Replication Body System

DNA Replication Body System Mahbubul Alam Introduction The ability of a cell to sustain in a disorderly atmosphere depends on the precise duplication of the wide variety of inherited information carried in its DNA. This duplication process, called DNA duplication or replication, must happen before a cell can generate two genetically similar daughter cells. Keeping it in a cell also needs the constant surveillance and repair of its inherited details, as DNA can be harmed by chemicals and rays from the planet, and by injuries and reactive substances that happen inside the cell. DNA Replication The genetic content in a cellular is known as in the series of the heterocyclic amines of DNA. There are normally 46 lengths of DNA known as chromosomes in individual tissues. Particular parts, known as bodys genes, on each chromosome contain the genetic details which elevates people from each other. The bodys genes also contain the known as details necessary for the functionality of protein and minerals necessary for the regular features of the tissues. DNA replication to human reproductive processes The replication of the DNA molecule, also known as doubling, or polymerization, of a genetic phenomenon that ensures the self-duplication of the information contained in the chromosomes, particularly in the genes. This process occurs during the S interface (phase of the cell cycle, preparing to enter the cell division), being necessary for maintenance of the individual organic, allowing the development of the organism (growth), the replacement of injured tissue (epithelial) or where possible regeneration and propagation of hereditary traits, allowing the gamete formation containing reliable information on the species. For the event this process are indispensable some events involving the strand of the DNA molecule. Initially the filament of the template (parent molecule), has its double-stranded (polynucleotide chain: phosphoric grouping, pentose deoxyribose and nitrogenous base) separated due the breaking of hydrogen bonds, held between complementary nitrogenous bases. Prior to cellular department, the DNA content in the unique cellular must be replicated so that after cellular department, each new cellular contains the complete amount of DNA content. The procedure of DNA replication is usually known as replication (Hejna, 2000). The replication is known as semi conservative since each new cellular contains one string of unique DNA and one recently produced string of DNA. The unique polynucleotide string of DNA works as a design to details the functionality of the new contrasting polynucleotide of DNA (Dickerson, 1983). DNA replication at cellular level After identifying the replication of DNA template, the next step was to investigate the process as follows. Each parental strand of DNA will serve as template for the formation of a new complementary strand (review complementarity rule of nitrogenous bases) using the free nucleotides of each cell in the nucleoplasm. The end result is two new identical double-stranded DNA molecules with each other, with an original chain and other complementary newly synthesized. DNA Mutation One of the qualities of the inherited content, as identified in the component on nucleic chemicals, is the capability to demonstrate difference over time. This residence was necessary to describe why people within an inhabitants are not all genetically similar, and to describe how creatures progress. Mutation is placed as a failing to shop inherited details consistently (PBS. 2001). Types of Mutations Somatic vs. Gametic Mutation The repercussions of a mutation rely on where in an personal they happen. Some Mutations happen in frequent body cells; these are somatic Mutations. For example, someone who stays too enough time suntanning might encounter a mutation in an epidermis cellular. The repercussions of such a mutation are sensed only by the person. The epidermis cellular may create some issue (such as cancer malignancy, perhaps) due to the mutation, but because the mutation took place only in an epidermis cellular, it would not be approved on to following years (Cook, 1999). Some Mutations happen in germline cells. These cells generate the gametes; therefore, they are gametic Mutations. In most situations, such Mutations wouldnt even be discovered by the person. After all, the gametes dont perform a popular part in the day-to-day operate of the person. These Mutations, as opposed to the somatic Mutations, will be approved on to the next creation, because they happen in the cells that generate the next creation (Cook, 1999). Spontaneous vs. Induced Mutation Some Mutations happen as natural mistakes in DNA duplication (or due to mysterious chemical type reactions); these are known as natural Mutations. The rates of such Mutations have been established for many types. E. coli has a natural mutation amount of 1/108 (one mistake in every 108 nucleotides replicated). People have an increased natural mutation rate: between 1/106 and 1/105 (probably due to the greater complexness of human replication) (Baker Bell, 1998). Random Reversible The reversibility of many Mutations should recommend to you that the procedure is unique. Mutations do not happen in reaction to an incitement. In other terms, bacteriado not mutate to become anti-biotic tolerant as a reaction to experience medications. Instead, out of all of the Mutations happening in inhabitants of bacteria, some (a little percentage) will cause anti-biotic level of resistance. If that anti-biotic is experienced, those microbe cells with that particular mutation will survive; the vast majority of the cells that do not have the mutation will die (Pray, 2008). Mutations can be undoable. If a mutation happens once in a gene, there is a very little possibility that the mutated platform could mutate again to its unique kind. On the other hand, there are events when a mutation in a second, individual gene will come again the phenotype of the patient to an outrageous kind overall look (an unusual situation of two errors creating a right). This form of mutation is known as a suppressor mutation (Pray, 2008). Effects of Mutation Mutations can impact people in several different methods. Among the repercussions of mutation are the following (Dickerson, 1983): Change in a morphological feature. This means an apparent alternation in some actual typical of a patient. Most of the mutant phenotypes we have seen in this course have been of this kind (for example, brief vegetation instead of tall). Healthy or biochemical difference. A mutation may happen in a gene that encodes a compound engaged in a metabolic road, such as a compound engaged in the biosynthesis of a protein. If this happens, the patient can no more synthesize the protein, and must acquire from nutritional resources. Impact Of Genes And Chromosomes On Inherited Characteristics And Traits Genes comprise of deoxyribonucleic acid (DNA). DNA contains the code, or outline, used to integrate a protein. Qualities fluctuate in size, contingent upon the sizes of the proteins for which they code. Every DNA particle is a long twofold helix that takes after a winding staircase containing a huge number of steps. The ventures of the staircase comprise of sets of four sorts of atoms called bases (nucleotides). In every step, the base adenine (An) is matched with the base thymine (T), or the base guanine (G) is combined with the base cytosine (C). Conclusion Because DNA duplication is so important to creatures, an excellent deal of attempt has been dedicated to knowing its procedure. The replication of E. coli DNA is probably best recognized and is the focus of interest in this area. The procedure in eucaryotic cells is believed to be identical, and hence the study of DNA has become such an important aspect in the field of microbiology and biotechnology. Through the study of DNA the agriculture sector is also being facilitated through the means of genetic mutation of seeds of various fruits, vegetables and grains (Johnson, 1993). Task # 2 Human Body System The Digestive System is made up of organs that break down food into protein, vitamins, minerals, carbohydrates, and fats, which the body needs for energy, growth, and repair. After the food is chewed and swallowed, it goes down the throat and enters the stomach. It is further broken down by powerful stomach acids. From the stomach the food travels into the small intestine. This is where your food is broken down into nutrients that can enter the bloodstream through tiny hair-like projections. The excess food that the body doesnt need or cant digest is turned into waste and is eliminated from the body. The digestive system is a key component of everyday life due to the fact it handles all the intake of water and food sources. The Muscular System is comprised of tissues that work with the skeletal system to control development of the body. A few muscles like the ones in your arms and legs are willful, implying that you choose when to move them. Different muscles, in the same way as the ones in your stomach, heart, digestion tracts and different organs, are automatic. This implies that they are controlled consequently by the nervous system and hormones you regularly dont even understand theyre grinding away. Without the muscle system the body would be pretty much as motionless as ocean weed. There would more corpulence and a more quickly developing demise rate. The Nervous System is made up of the brain, the spinal cord, and nerves. One of the most important systems in your body, the nervous system is your bodys control system. It sends, receives, and processes nerve impulses throughout the body. These nerve impulses tell your muscles and organs what to do and how to respond to the environment. There are three parts of your nervous system that work together: the central nervous system, the peripheral nervous system, and the autonomic nervous system. The most important part of the human body; plain and simple if you kill the head the body will follow. The Reproductive System allows humans to produce children. Sperm from the male fertilizes the females egg, or ovum, in the fallopian tube. The fertilized egg travels from the fallopian tube to the uterus, where the fetus develops over a period of nine months. Most would think that it’s not important but with no reproductive organs the world would have been unpopulated long time ago. Physiological Processes of Organs Human physiology is a discipline that is focused on the study of the functions of the human body. It is an area of à ¢Ã¢â€š ¬Ã¢â‚¬ ¹Ãƒ ¢Ã¢â€š ¬Ã¢â‚¬ ¹biology, anatomy closely related. The study of human physiology is as old as the origins of Medicine. Many knowledge on this field have been acquired through the study of animal physiology, through experimentation on animals. he human body through its physiological processes has several mechanisms to control the conditions of the internal environment and state of the body. These mechanisms are responsible for maintaining body temperature, blood pressure, blood pH, ion concentration and adequate oxygen, among other important factors, being disturbed, would endanger the maintenance of homeostasis and normal functions of the body human. Skin The skin is the largest organ of the human body and, among other functions, is responsible for tact. It is through her that we perceive as heat and pain sensations.The skin has thousands of receptor cells on its surface. Tongue The tongue has receptors called taste buds, responsible for taste. The papillae are chemoreceptor, does that mean that they are specialized to detect the presence of chemicals. Knew the language has a unique and exclusive impression, similar to fingerprint? There are specialized taste buds in the perception of four basic flavors: sweet, bitter, sour and salty. Each type of papilla is located in a specific region of the tongue. The combination of these four types of stimuli receptors to the nervous system transmits information about, for example, the flavor of the foods you eat. Nose The nose is the organ that contains the receptors responsible for the smell. Within the nasal cavity, there is a specialized tissue, the olfactory epithelium, which contains thousands of receivers, called olfactory cells. Olfactory sensory cells possess by that pick or other volatile substances dispersed in inspired air molecules. In response to the presence of these molecules, olfactory cells produce nerve stimuli. These are conducted to the central nervous system where they are translated into sensations. Ears Ears healthy organs responsible for hearing and balance. Inside the ear are mecanorreceptoras cells. These cells capture mechanical stimuli, translating them into nerve impulses. The semicircular canals are also filled with fluid and having a plurality of hair receiving cells. As the head and the body move the liquid within the channels moves and presses the cilia of the sensory cells. These capture the stimulus and transmit nerve impulses to the central nervous system. Eyes The photoreceptor cells have eyes, i.e. light stimuli capable of capturing, producing nerve stimuli transmitted to the central nervous system. These cells are located in the retina, a layer of lining of the eye, and are of two types: rods and cones. The rods are very sensitive to changes in light intensity, but not distinguish colors, which is performed by the cones. The bright rays penetrate the eye and pass through the pupil. The pupil is a structure capable of controlling the amount of light that enters the eye. Role of Organs of Special Sense in Homeostasis The human body is continuously bombarded by all kinds of stimuli. Some of these stimuli are received by sensory receptors distributed throughout the entire body. Other stimuli are received by highly complex receptor organs. These are referred to as the special senses. From each special sense organ, information is sent to the brain through specific cranial nerves. When the information reaches the specific area of the brains cerebral cortex, it is perceived at the conscious level as sight, sound, smell, taste, and balance. These special senses allow us to detect changes in our environment, providing information necessary for homeostasis. The role of internal and external environment is immense in the context of organs of special sense. Osmoregulation Osmoregulation is the process by which living organisms remain relatively constant it internally so that their chemical composition varies little. To do this, agencies should regulate the entry and exit of water, minerals and other substances. Aquatic unicellular organisms such as bacteria and many protozoans are in constant contact with water and this greatly facilitates this process. In multicellular organisms, however, only some cell surfaces are in contact with the external environment, while the internal cells are surrounded by an extracellular fluid that has a composition and characteristics different to those of the environment. The main function of osmoregulation is to maintain the chemical composition of the cell cytoplasm and internal fluids within the limits that can develop a kind. Thermoregulation Thermoregulation or temperature control is the ability of a biological organism to change its temperature, within certain limits, even when the surrounding temperature is very different. The term is used to describe the processes that maintain the balance between gain and loss of heat . If one adds or removes a given amount of heat to an object, its temperature increases or decreases, respectively, in an amount that depends on theheat capacity in an environment specific. At steady state, the rate at which heat (produced thermogenesis ) is balanced by the rate at which heat is dissipated to the atmosphere ( thermolysis). If thermolysis imbalance thermogenesis and a change in the rate of heat storage body and consequently a change in the heat content of the body and at body temperature. Thermoregulatory or bodies homeotermos essentially maintain constant body temperature in a range of environmental conditions. Moreover, thetermoconformistas or poiquilotermos are organisms whose body temperature varies with the ambient conditions. According to the method of production of heat, organisms are classified in endotherms and ectotherms . The endotherms organisms control body temperature by internal heat production, and usually maintain that temperature above the ambient temperature. Ectotherms organisms depend, to regulate their body temperature, essentially a heat source (Lyman, 2012). In the case of human body temperature is approximately 37. More precisely, the average temperature in humans is 36.7 ºC, although it can vary from subject to subject, and 95% of subjects have a temperature between 36.3 and 37.1 ºC. On the other hand, the temperature in a subject can vary throughout the day, being a little lower at dawn and 0.5  ° C higher in the evening. During sleep the worst and regulates temperature tends to drop. In women the temperature rises half a degree in the second half of the menstrual cycle, after ovulation. To maintain this temperature constant, there are multiple mechanisms, but are controlled by the hypothalamus, where the temperature control is centralized. The hypothalamus is responsible for regulating the properties of the internal environment, such as salt concentration or temperature. The hypothalamus works similar to a home thermostat. When the temperature of the house is lower than that at which we set the thermostat, it starts heating until the temperature is equal to the desired. If the temperature of the house is greater than the set point, the heating stops the temperature drops. The hypothalamus measures the temperature in the hypothalamus itself, there are some neurons in the hypothalamus region which are sensitive to temperature. Besides the hypothalamus receives temperature information elsewhere in the body, especially the skin temperature, and this information will come from sensory nerve fibers sensitive to temperature. The hypothalamus compares the temperature in the hypothalamus and in the skin with the reference value of 37, if the body temperature is greater than 37 puts in place mechanisms to decrease, if you are under 37 makes it rise. When there is a discrepancy between the core temperature in the hypothalamus, and the skin temperature, for example if the temperature is higher than 37C (in) hypothalamus and (in) skin is (will be) less than 37, preferably taking the core temperature.

Monday, August 19, 2019

Jack the Ripper Essay -- Serial Killer Essays

Jack the Ripper was one of the most famous and renowned killers in history. Even though he was not the first serial killer, he was the first killer to strike on a metropolis setting. Jack the Ripper was in his prime at a time when the media had a strong control over society and society as a whole was becoming much more literate. Jack started his killing campaign at a time of political controversy between the liberals and social reformers along with the Irish Home rule partisans. The reports of Jack the Ripper were collected and reported by the police, but then the different newspapers with their political influences slightly distorted the stories to give them their own effect. It has been more the one hundred years since the last murder and there is no longer any more original evidence, and the â€Å"facts† about the stories have changed over time due to different writers or differing sources. The press changed Jack the Ripper from being a depressed killer of prostitutes to on e of the most romantic figures seen throughout history. One fact that most sources agreed upon was that the Ripper was a killer who wanted nothing more than to strike fear into the entire city by horribly mutilating his victims and then leaving them in locations where they were sure to be seen. Jack was the type of killer that wants fame and loved the fact that his â€Å"name† was on everyone’s lips and was able to strike fear into anyone and everyone’s heart. In the late 1800’s â€Å"Jack the Ripper† began his rampage of killings. He was a serial killer who murdered several prostitutes in the East End of London in 1888. The people of London, mainly the press at the time, dubbed this killer, â€Å"Jack the Ripper.† The name was given to the killer because at the time of the murders, a person wrote a letter to the police and press claiming to be this serial killer, and he had called himself, â€Å"Jack the Ripper.† These killings took place in the districts of Aldagate, City of London proper, Spitalfields, and Whitechapel which all happen to be within a mile radius of each other. Within these different districts, he was given different names depending on the stories that were told about the killings some of these other names that the serial killer â€Å"Jack the Ripper† was given were Whitechapel Murderer, which was an extremely creative and original name, and â€Å"Leather Apron,† which is presumed to reference the... ...se â€Å"search parties† one can find on the internet is board-line obsessive and insane. What people need to learn to accept is that their questions and puzzles they stubble upon in life will not always be answered. They need to realize that this was some lonely, crazed man that enjoyed killing defenseless individuals, but even so he was bright enough to get away with the crimes. It is a very sick and sadistic cycle of being deranged enough to plan out a murder so that no one will be able to catch that person, but at the same time being smart enough to be able to do all this. So basically, â€Å"Jack the Ripper† was a crazy, smart guy that enjoyed killing young and attractive women. Works Cited Barbee, Larry S. â€Å"Casebook: Jack the Ripper.† Ryder, Stephen P. and Thomas Schachner.  ©1996-2014. http://www.casebook.org/intro.html. Cornwell, Patricia. â€Å"Portrait of a Killer: Jack the Ripper—Case Closed.† Berkley Publishing Group. October 28, 2003. Montaldo, Charles. â€Å"Crime/ Punishment: Jack the Ripper.† A PRIMEDIA Company.  ©2014. http://crime.about.com/od/history/a/ripper040721.htm. Sugden, Philip. â€Å"The Complete History of Jack the Ripper.† Carroll and Graf. January 9, 2002.

Sunday, August 18, 2019

SEINFELD :: essays research papers

SEINFELD: THE UNTOLD STORY   Ã‚  Ã‚  Ã‚  Ã‚  Throughout Seinfeld’s eight-season stint on network television the show and its creator’s have stereotyped everything from young Puerto Rican boys to Jewish Priests. The main stereotype of this sit-com is the very florid portrayal of the generational age groups of the characters. The main characters represent the beginning of the Generation X culture. The parents and relatives of Jerry Seinfeld and that of George Costanza present the presence of the members of the Silent or GI generation. Throughout the television series we have seen the elderly as stereotypically helpless individuals with little or no purpose. The character’s Jerry Seinfeld, George Costanza, Elaine Benes, and Cosmo Kramer, represent the Generation X culture. These half-witted characters are often unreliable and uncaring about the society they live in. These characters often care about nothing more about life outside their own. The stereotype of these characters and the succes s of this very popular television show have contributed to the media’s wide usage of stereotyping generations. The article, â€Å"My Inner Shrimp,† can be directly correlated to George’s eccentric ego trips with his problems with shortness, unemployment, and baldness. George’s character is often portrayed as a very loud, very rambunctious person who is often seeking to be on top. Elderly: Helpless or Not   Ã‚  Ã‚  Ã‚  Ã‚  Throughout the series we have seen the elderly characters of Seinfeld often being absent minded, senile, and often helpless. Jerry’s parents upon retirement moved to the sunny state of Florida to bask in their retirement. This proves to be a very common nomenclature among senior citizens. Throughout the nation many retired citizens have been moving eagerly across the country spending their hard earned money and moving to much more appealing climates. Throughout the show Jerry’s parents often try to impose money upon him even though he never request any money from his parents. Mr. and Mrs. Seinfeld often believe that Jerry is living a life of poverty and that he lives a very inadequate life. Throughout our nation the elderly have often saved and saved countless dollars so that they may have a better life and provide their children with the sustenance they need to live a very adequate life. Mr. and Mrs. Costanza are often portrayed as very senile indiv iduals. George’s parents often tend to exaggerate things outside the spectrum they should really include. One certain episode can attribute to there senility. During the Seinfeld’s visit of New York to see their son Jerry, the Costanza’s graciously ask the Seinfeld’s to accompany them to dinner at their home.