Monday, September 30, 2019

Ancient China Summary Essay

Ancient China Essay By: Zach Ellwood Summary There were four great dynasties in Ancient China; the Han, Shang, Qin, and Zhou. Some of the Shang accomplishments were set up an empire, and started the â€Å"Mandate of Heaven. †The Zhou Dynasty set up a Feudal System and started the Great Wall. The Qin Dynasty extended the Great Wall and standardized coins, weights and measures. The Han Dynasty accomplished more things than the other dynasties, they invented paper, the seismograph, set up the Silk Road, started exams for civil service and finished the Great Wall.Thesis Statement; Although the other dynasties were great, the Han Dynasty was the greatest. Support Paragraph Although the other dynasties were great, the Han Dynasty was the greatest. The Han Dynasty was the greatest because they accomplished more things than the other dynasties, they invented paper, the seismograph, set up the Silk Road, started exams for civil service and finished the Great Wall. The Qin and Zhou Dyna sties failed to complete the Great Wall.The Han Dynasty’s philosophy was a mixture of Confucianism and Legalism making ruler Wu Di and Gau Zu really respected and powerful leaders. Ruler Qin Shi-Huang Di only used Legalism so he was more powerful than respected and Confucias only used Confucianism so he was more respected than powerful. The Han Dynasty also improved Chinese writing. The Shang Dynasty made a simpler not as good writing system called pictographs. Conclusion Paragraph There were four great dynasties in Ancient China; the Han, Shang, Qin, and Zhou.Some of the Shang accomplishments were set up an empire, and started the â€Å"Mandate of Heaven. †The Zhou Dynasty set up a Feudal System and started the Great Wall. The Qin Dynasty extended the Great Wall and standardized coins, weights and measures. The Han Dynasty accomplished more things than the other dynasties, they invented paper, the seismograph, set up the Silk Road, started exams for civil service and finished the Great Wall. That is why the Han Dynasty is the greatest.

Sunday, September 29, 2019

Evaluation Criteria Paper Essay

Taylor Transit is a company that is growing rapidly. The company must analyze the resources and capabilities of the company to look for the right tools that will provide potential benefits and competitive advantages in human resources. The new approach should include the selection of effective tools that help human resources during the expansion process and the criteria that will be beneficial in the human resource practices. The intent of the paper is discussing the implementation of specific HR tools such as employee selection test, Human Resource Information System (HRIS), successful planning, and the evaluation of the criteria for each tool selection. Human Resource Criteria Identification Identify and establish which is the most appropriate criteria is fundamental because it allows the implementation of new human resources procedures. The following explain the criteria for each of the following tools: Human Resource Information System (HRIS) For Taylor Transit implementation and use of HRIS is of great benefit because it helps to increase the effectiveness of human resources assets as well as provide guidance. The criteria will be based in the necessity of having a good HR information system in where the company will be able to keep information concerning to each employee and any other related HR information such as employees evaluation, disciplinary actions, rewards, and trainings within the organization. The â€Å"HRIS technology supports strategic planning through the generation of labor force supply and demand needs, requirements and forecasts† ( Lippert & Swiercz, 2005). This tool will be very useful for the company; given that the company is expanding it is important to have a system that allows Taylor Transit to have a solid database to track data 8,000 employees in order to help in the planning and execution of the company objectives. Selection Test The adequate selection test for the company is important because allow identifying the right candidate since the beginning of recruitment process. The recommended tools for measure the candidates are the cognitive aptitude and the ability tests. â€Å"Cognitive aptitude and ability tests are among the most valid predictors available to organizations† ( Terpstra, 1994). The criteria in the selection of these tools are because the cognitive aptitude test measure the candidate mental capabilities as well their reasoning and communication. On the other hand, the ability test will help to predict the performance of the employee within the company. Besides the background and the experience of the candidate, for the company will be useful make a thorough assessment in order to have the best candidates within the company Succession Planning â€Å"Succession planning must be part of an integrated HR process that includes training, development and performance appraisal† (Stensgaard, 2005). The criteria for choosing this tool is because the â€Å"succession planning also has indirect impacts on measures of firm performance such as productivity and gross returns on assets† (Greer & Virick, 2008). This would be excellent tool that would be beneficial in the aid of HR processes (training, development, and performance). One of the things Taylor Transit need to take into consideration is make sure of taking the necessary measures regarding in the proper selection of personnel for each of the positions within the company, as well of having the support of the senior level management. This is important because it allows a systematic process for identifying, evaluating, and developing personnel who are trained to perform key functions within the company. The usefulness of this is essential because it allows certain key personnel receive the necessary tools to develop their skills and abilities, as well as giving them the opportunity in the future to be the future leaders of the company. Conclusion By implementing the right tools allows human resource management to have a higher level of competitiveness. The three selected tools are best suited for the rapid growth of Taylor Transit. Implement the HRIS is helpful because it allows better control of information, and quick access to information for each employee. And for assessing the performance, this will help determine what kind of trainings can be provided to employees. This is helpful because it allows management the assessment and improvement of the procedures of the company. Meanwhile, the employee selection tests are useful because they allow the assessment of cognitive abilities and skills of employees in order to recruit the best possible candidates and may have better performance of the company. This is important because in the long run is cost effective because employees who have better cognitive aptitudes and abilities skills learn quickly, therefore the company does not have to incur in additional expenses for re-training their employees and in turn avoid turnover. Finally, the successful planning is helpful because it allows employees to adapt quickly to the demands of the company; the company in turn may have strategically highly qualified personnel in positions that are key to the success of the company. Implementing these tools allow the proper management of the company.

Saturday, September 28, 2019

10625

10625. I have 10625 songs on my IPod. When you think about it, the number is pretty impressive. It’s a big number, and it’s even more remarkable that I know every song. Music reflects who we are. It reflects our tastes, our desires, our needs. It shows how we feel on the inside when we can’t express it on the outside. When I hear my friend’s music collections, many of them have one or two types of music they listen to. Much of it is similar, with pre-existing sounds and vibrant tunes that reflect maybe one or two aspects of their personalities. All claim to have diverse musical tastes, and will even lecture each other on how their music is different from everyone else’s playlists. Yet beyond a few distinct styles, all they’ve really done is dabble in a few other kinds of music. One or two rock songs surrounded by dance music doesn’t show diversification. . And while that’s fine and perfectly respectable, it’s just not who I am. There are 10625 stories on my IPod. I like to think what we all, as human beings, like to think. That we are special. That we stand out in a crowd. That we are all different. That our â€Å"song† is unique. I am as unique as the many types of music I listen to. The different styles of music are a reflection of the many facets of my personality. I listen to everything from classic rock to popular dance, rap and hip hop to classical, rb to alternative, pop to the blues, and even a little country. A guilty pleasure of mine is not only soundtracks, but musical scores, from piano pieces to music from battle scenes. I’m that girl that listens to Korean Pop, or Kpop as it’s internationally known, which has played a major role in my life for the last three years. Shipping from Korea is far from cheap, but it’s always been worth it for my favorite bands. There is some very strange music on my IPod. I have the Epic Rap Battles of History and The Literal Trailers series by Tobuscus straight off of YouTube. Weird, but fun anyway. Then I have fanmixes. Music put together in playlists to represent every TV show, relationship, character, or mood in existence. Some are sad and slow, and some are fast and made for dancing. They’re easily the most misunderstood music on my IPod, but I use them to find new music and help broaden my tastes. I have sweet and slow music for when I’m sad or disappointed. I have fast, pumping dance and pop music for when I go on my runs. There is deep and thought-provoking music for everyday moments in life. There is light and fluffy music for my occasional lazy day. My relationship with my father finds expression through the classical rock music we both listen to and enjoy. Dance music is shared by my mother and me as we move through the house, singing as we go. Rap music, something I would have written off a long time ago, is a topic of posturing between my younger brother and I. We have very different interests, but I get some of my music from him, and I wonder if he knows I download it just to be a little closer to him. Music is how I connect with people, and how my relationships represent themselves. I’m a lot of different things in this world, and I use my music to express how I really feel. Music isn’t just a set of tunes. It’s a dynamic system, a rhythm that pumps and flows through our lives, with layers of emotion no different from what we all feel on an ordinary day. Music is a reflection of who we are, of our similarities, our differences, and our emotions. It helps us tell our story. Each song represents a smal l part of me, and pieced together, they form a picture of who I really am. I have 10625 stories to tell. And I’m still adding more each day.

Friday, September 27, 2019

What is the current macroeconomic situation in the United States What Essay

What is the current macroeconomic situation in the United States What fiscal policies and monetary policies would be appropriate at this time - Essay Example This also applies for the U.S. economy, especially in regards to its current macroeconomic situation. In view of the unemployment trends in the U.S., the trends have shown a sharp decline since 2008. The employment rates have steadily risen, with present data from the Labor Department showing that over 140,000 jobs have been created in the economy. This has led to the rate of unemployment dropping to slightly over 7.5%. Furthermore, the Bureau of Labor Statistics places the current inflation rates of the U.S. at below 2.5%. This has been occasioned by the constantly improving economy, with the most significant categories for maintaining the inflation rates low being consumer price index based factors such as shelter and consumer products (Vietor & Weinzieri, 2012). The reduced inflation rates coupled with the low unemployment levels in the U.S. have resulted in an overall increase in the GDP of the country. Furthermore, this is aided further by the diversity of the American economy as shown by the technology, finance and the other sectors that collectively result in the average incr ease in the rate of GDP increasing gradually. Moreover, such industries such as mining, industrial, farming and construction industry are the chief drivers that are involved in the creation of jobs, hence elimination of poverty and reduction in inflation consequently leading to economic growth occasioned by the GDP levels. However, in order to constantly maintain a worthy economic environment and hold all factors at economically feasible levels, varieties of factors are considered by the Federal Reserve authority responsible with formulating fiscal and monetary policies for the economy. As such, the Federal Open Market Committee can consider structuring their policies to ensure further economic prosperity. In consideration of the present macroeconomic situation in the U.S., the committee could consider reducing cuts on public goods, as this could eventually

Thursday, September 26, 2019

Culture of Cadbury Essay Example | Topics and Well Written Essays - 2500 words

Culture of Cadbury - Essay Example In case of organizations with traditional culture valuing the existing process of production and business to increase their profits, the core values of the organization do not change or deviate greatly as argued by Richard Lynch (2003)ii. Form the case study it is clear that the most of the directors of Cadbury are insisting upon the existing production methodology to increase revenue rather than investing upon the new technology conching proposed by Chris English. This also makes it clear that the traditional stance of the organization values is not only due to the fact that the company has the richness of the family business but also because of the fact that the organization is not used to big changes in the then business period when the competition was intensifying with the company as the market leader. Alongside, the case study also reveals the traditional nature of the organization's culture in the arguments of the marketing director who argues that the company's Cadbury Dairy Milk (CDM) flavour is the critical element for the effectiveness in the business. As the new conch machine did not improve the CDM taste with a drastic difference and the fact that the CDM is the major marketing brand for the organization makes it clear that the innovative measure proposed by the engineering director was disapproved under traditional grounds. Beliefs: Beliefs as argued by Gerry Johnson and Kevan Scholes 92003) is the major element that drives the organization in the competitive environment of the business. In case of the traditional organizational culture the aforementioned beliefs are focused upon preserving the existing technology and nurture it to gain market share rather than revolutionising the process. From the case study on Cadbury the resistance of the organization to deploy the innovative conching machine to increase productivity through sacrificing time and investment makes it clear that the organizational culture of the company is traditional in nature. The effectiveness of the company in the market with the traditional organizational culture is mainly through the ability of the organization to retain its core business process with time and its ability to use the same technology to address the growing competition in the market. This is evident in the case of Cadbury justifying that the culture of the organization is traditional in nature. Taken For Granted Assumptions: This is argued by Gerry Johnson and Kevan Scholes (2003) as the core of an organization's culture. The lesser an organization demonstrates this in its core strategy, the more traditional it is in nature as a traditional organization culture refrains from taking things for granted. This is evident from the case stud on Cadbury where the organization is not indulgent in deciding upon the vote for the investment on the new machinery wither the new technology or otherwise. From the aforementioned it is clear that the culture of the company is traditional in nature with emphasis on the company values and core principles of the organization. From the innovation perspective, the organization's core culture on retaining its values and principles as opposed to voting for innovative method of production, which has many advantages, justifies the aforementioned

There is a real danger of a house price bubble in London. Discuss Essay - 10

There is a real danger of a house price bubble in London. Discuss - Essay Example Such a scenario envisions that indeed the house price bubble in London which is about to burst. Ideally, just like any other cosmopolitan city in the world London’s property market has been on an upward trajectory for a considerable period given the fact the position of the town on the global map is favourable for both business and luxury living thus attracting the world’s rich to purchase the properties (Nationwide Building Society, n.d.). The influx of foreign capital into the London house market led to the steady increase of the house prices to cater for the growing demand by outsiders thus making the process unaffordable for the local Londoners. According to the available statistics, Middle Easterners account for about forty percent of London’s luxury property buyers followed by Americans and Russians. The fact the foreigners are increasingly becoming attracted to investing in London’s property market has been the primary reason for the massive surge of house prices in London. Developers are coming up with luxury and new concept homes to cater for these clients who are ready to part with premium prices as opposed to the locals who cannot afford the house prices. Literally, a significant number of Londoners have been shelved off the price ladder since the prices is technically unsustainable for them since they do not match their earnings thus making the homes unaffordable to a majority of London native s (Fry, 2013). On that light, the buyer demand for London properties has fallen drastically since the target market are essentially the wealthy foreigners who are willing to spend extra capital to acquire the premium homes in London thus scaring away the conventional buyers from making offers for the houses. However, the situation is not exclusive in London alone. Conventionally, it was deemed that the price surge was only limited to the prime areas of London such as Westminster. The

Wednesday, September 25, 2019

Hitler's table talk Essay Example | Topics and Well Written Essays - 1000 words

Hitler's table talk - Essay Example The book â€Å"Hitler's Table Talk† by Cameron et al. containing private talks by Hitler between 1941 and 1944 reveals important details about Hitler’s personality. This essay discusses Hitler’s personality as the main contributing factor to the actions of Hitler by drawing reference to the book, â€Å"Hitler's Table Talk†, as well as other secondary sources. Among the various factors that contributed to the outbreak of the Second World War were activities of one leader Adolf Hitler of Germany. In fact, most of the blame for the outbreak of the war rests on his activities as well as ideologies. As the world went through the Second World War, most people Germans included, hated their dictatorial leader. When the war broke out, other factors contributed to its growth and development to a fully blown war. One of the biggest contributing factors to the actions of Hitler was his personality (Encyclopedia of World Biography web). Although the world knew Hitler a s a dictator, he was a religious man, who strongly believed in religion. Little literature exists about this man’s religious affiliations and beliefs. However, Cameron et al reveals that Hitler not only engaged in different talks about religion, but was also a believer in Christianity. He believed that it was only with the help of the Orthodox priest that it was possible to do something on Russia. As such, this shows that he had strong respect for Christianity (Zalampas 6). Further, his agreement that the priest played a big role in uniting the Russians reveals his undisputable respect for the Christians. Although it is not clear whether himself was Christian or not, this recognition of the Christians in the society significantly contributed to the development and shaping of his personality  (Giblin 66-70). He even believed in the existence of God, who makes the natural laws throughout the universe. In his description about the nature of God, he agreed that he was mighty an d bigger (Cameron et al 3). He even agreed that the Jesuits would play a significant role in the winning of the war against the soviets. Hitler was a philosopher who believed in his philosophies and those of other people. Before he started engaging in talks with other allied nations, he held the philosophy that only war could solve the problems that the world was facing then. Even before the war broke up, Hitler was aware that his activities would spark another war, with much intensity than the first intensity (Hitler 46-50). This was actually his main intention and target. Subsequently, he took his time in developing strong ties with different leaders in order to win their trust. He even developed philosophies such as the philosophy of fear intimidation. He did not see the use of his goods competing with cheap goods from the English region. Rather, he believed that Germany should have controlled the world trade since it had a more superior military then most of the countries involv ed in the international trade (Cameron et al 9). He believed that despite the differences that existed between Germany and England, the war would unite the two countries, making them friends (Cameron et al 12). Hitler from a tender age was a highly ambitious person, who dedicated his time and efforts in pursuing his dreams. Since a young age, Hitler was a passionate artist who loved painting and drawing. He even used the concept of art in the war against England, as he observed the culture of the English

Tuesday, September 24, 2019

Product Liability Case Research Paper Example | Topics and Well Written Essays - 750 words

Product Liability Case - Research Paper Example However, she was subsequently diagnosed shoulder chondrolysis that caused her shoulder socket and ball to fuse, severely restricting shoulder motion. As a result, she filed a product liability suit against I-Flow Corp, which manufactured the â€Å"PainBuster† device. In this case, she asserted that the device had not received FDA approval for use in such cases, arguing the product’s manufacturer was liable for the sale of this product despite not giving adequate warning and was, therefore, unreasonably dangerous (Moylan, 2015). There is no mention of the insurance company in the article, which might be explained by the fact the case was initially thrown out and the insurance company was not needed. The Courts of Appeals for the Ninth Circuit found that, for medical devices, negligence of instruction was grounds for product liability, stating that this finding was not in contravention of the Medical Device Amendments of 1976 or the underlying intent of the US Congress in making these amendments to the Food, Drug, and Cosmetics Act (Moylan, 2015). The suspected reason for Christina’s disorder was a â€Å"pain pump† that her doctors used to directly administer painkillers to her shoulder joint following the surgical procedure. Normally, this device is used to deliver different types of pain medications to the surgery site quickly and directly. However, the procedure involved in using the device has been linked to development of chondrolysis, which is a debilitating condition of the joints. This disorder causes the depletion of cartilage that separates and connects bones and, as a result, the joints become fused and lose all mobility. In majority of cases, the discov ery and diagnosis of this condition happens too late for any effective treatment or cure (Moylan, 2015). Before submitting her product liability case to court, Christina requested the court to instruct the jury on the negligence theory per se.

Monday, September 23, 2019

How a Cellular Phone System Works Assignment Example | Topics and Well Written Essays - 250 words

How a Cellular Phone System Works - Assignment Example The cells can either take a hexagonal or circular shape. One cell can operate multiple radio towers. People can simultaneously use their cell phones due to the widespread frequency reuse within a city. The cells enable cellular phones to have incredible range as they can automatically switch as people move around. A cellular network’s range is not limited as compared to that of a walkie-talkie (1.1 miles) and a CB radio (4.9 miles). Frequencies also shift between cells when an individual is on a call while in motion. As a cellular phone moves away from its cell, change in signal strength is detected by the cell’s base station. The next base station being approached detects the increasing signal strength. The two base stations in the two cells coordinate, through a Mobile-Telephone Switching Office, and the user is ‘handed over’ to the next cell automatically. The shift makes it possible for someone to drive across a city while using a cell phone, and keep up a conversation for the entire period (Wisniewski, 36). A cell phone differs from both CB radios and walkie-talkies, which are both half-duplex devices. It is able to use multiple frequencies, hence a full-duplex device. An individual can use one frequency for listening and a second frequency for talking. The multi-tasking capability of a cellular phone is that, two people on a call can talk simultaneously. The towers in these cells transmit a two-way frequency maximizing the capabilities of cellular phones as full-duplex devices. Nonadjacent cells can use the same frequencies severally since base stations and cell phones employ low-power transmitters, which ensure that transmissions do not go very far from a cell and the cell phones around it. Low-power transmitters have a stake at the shape of cellular phones since they ensure that the power consumption of the phone is relatively low hence a small battery. Similar frequencies must

Saturday, September 21, 2019

The Median Home Price Essay Example for Free

The Median Home Price Essay The median home price in your area has increased in the last 10 years, how does this differ from the mean home price your area?   The mean, which is commonly known as the average, is the sum of numerical coefficients divided by the number of quantity redundancy.  Ã‚   For instance, the mean of numbers 2, 4, 4, 5, 10 is 5, while its median is 4.   The median, on the other hand, is the middle coefficient in a given set of numbers. Given the basic difference of mean and median, it is therefore possible for the median home price to have a greater or lesser value, which is ultimately dependent on the price range in the area.    For instance, if my community is very diverse in terms of economic capacities of the residents, the cheapest home being $50,000 and the most expensive being $1,550,000, then the median home price would be $800,000.   If in this same neighborhood, the number of high-income house is considerably more than lower income house, then the mean or average price can be higher than $800,000; if there is a larger number of low-income houses, then the mean or average price can be lower than $800,000. Mean and median are essentially different measures with different purposes. The mean is the more accurate measure when the spread of pricing is fairly small in terms of range.   If the neighborhood is homogenous in terms of economic profile, then the mean can be used. If there are deviants in price, like very cheap or very expensive houses, which can drastically change the average, then the median is more appropriate to use. In conclusion, the median home price in my area for the past ten years can remain unchanged, while the mean is increasing or decreasing; this can go both ways or simultaneously. What needs to be considered, in determining whether to use the mean or median, is the numerical price spread of the houses.

Friday, September 20, 2019

Relationship Between Savings and Inflation

Relationship Between Savings and Inflation Savings help cushion the business cycle as the economy faces hard economic situations (Syden, 2014). To have a sustainable economic growth, there is a need for sustainable resources to support it. That is why savings are needed to finance capital spending. These high savings rate levels have allowed the economy to gain high levels of investment (Horioka Terada-Hagiwara, 2011). China’s domestic savings rate is one of the highest in the world (Loayza, Schmidt-Hebbel, Serven, 2000). Inadequate savings would leave the economy vulnerable to shocks in income uncertainty and unexpected rise in prices. At 52% of the national GDP, China’s domestic savings rate is among the highest in emerging markets inadequate savings leave households vulnerable to shocks in income and rising prices, add burden to government in providing retirement assistance, constrain individuals in accumulating wealth inadequate savings leave households vulnerable to shocks in income and rising prices, add burden to government in providing retirement assistance, constrain individuals in accumulating wealth. Many factors come into play with regard to how much to spend and how much to ‘keep’ for future spending. REVIEW LITERATURE There have been a lot of theoretical and empricical research studies about the relationship of savings on different factors like inflation rate, unemployment rate, and interest rate. It has been argued that savings are important, and when the economy is hit hard, having money in the bank can ease the problem (Elmerraji, 2010). Saving rates around the world differs widely. (Loayza, Schmidt-Hebbel, Serven, 2000) stated that China, world’s fastest growing economy, had one of the largest national saving rates in the world. Those at Sub-Saharan Africa save less than 15% of their gross national disposable income while East Asia saves more than 30%. In recent years, saving rates have doubled in East Asia while those in Latin America were stagnated. What people do not spend after consuming part of their income is called personal savings. People tend to put their savings on bank accounts or partly invested (Piana, 2003). Given a certain income, the decision of consuming a good negatively affects savings. Postponing such consumption would increase savings and in contrast, savings can rise due to negative expectations for future income. As economic shocks occur on business cycles, households experience hard time in unexpected reduction in income. According to the Life-cycle hypothesis by Milton Freidman, people would eventually save more and minimize consumption to avoid future uncertainty. (Zaman, Carannate, Ferra, 2013) In times of economic crisis like the recent financial crisis on 2008, policy measures and uncertainty affects household consumption and saving decisions. In the Spanish economy, after the great recession, there has been an evolution of saving rates (Bande Riveiro, 2012). The behavior of households has changed after the great recession, through increasing saving rates. Large increase in savings rates is connected to the increased uncertainty in the future (Bande Riveiro, 2012). EMPLOYMENT Macroeconomic instability which is measured by inflation, causes an upward trend in saving. The season of high inflation and high unemployment, as well as cutting public benefits have raised income uncertainty and changed the expected future income of the economy (Chowdhurry, 2014). When an economy has a crisis, it leads to unemployment, and the risk of future uncertainty in income makes households save more (Zaman, Carannate, Ferra, 2013). When part of the households are affected with future uncertainty of income, it stimulates to low demand and consumption which would worsen the economic situation of the country. Financial crisis happens when labor market is distorted with high unemployment, changing households’ structure of saving portfolio. Any sort of financial crisis leading to a recession would have a significant effect on household savings. ECONOMIC GROWTH Growth models includes Harrod (1939), Domar (1946) states that economic growth is highly dependent on level of savings and output ration. These models indicate that increase in saving means high investment which stimulates economic growth. The availability of funds for investment increases as effect of having higher savings (Sothan, 2014). The higher the level of saving rate leads to increased capital stock that in progress leads to a high level of output. Business Cycle Different economies go through different patterns of ups and downs in the value of its Gross Domestic Product (Riley, 2012). This business cycle has four phases namely boom, recession, depression, and recovery. Economic boom has high consumer spending, profits, and investment. Unemployment tends to be low in this economic situation. Economic Recession has low level of consumer spending, income, and investment, and has a rising unemployment as businesses cut costs. Economic depression is when there is a declining GDP, showing weak level of consumer spending and investment, rapid rise of unemployment and prices starting to fall. Economic recovery is when economic situation starts to get better and consumers begin to increase spending and investment. Every country’s goal is for an economy to achieve a sustainable level of growth (Riley, 2012). Trend growth rate is what helps assess and compare the growth of the different economies. (Lequiller Blades, 2007) REVIEW OF RELATED LITERATURE EFFECT OF INFLATION ON SAVINGS RATE Almost all the past literatures that were found concerning the relationship of the variables inflation rate and savings rate concluded that the relationship between the two are positive and significant. In a cross-sectional data on inflation rates and savings rates of various countries in the world, both developed and developing, the results obtained in the recent study showed that inflation rates of all the countries positively impacts each of the countries’ savings rate (Cheng Li, 2014). El-Seoud (2014) conducted a study on the effect of Gross Domestic Product, interest rate, and inflation rate on the national saving rate in the kingdom of Bahrain over the past 20 years. The researcher found that inflation rate has a positive relationship and significant impact on Bahrain’s saving rate in both the long run and short run. Similarly, Syden (2014) also found that in their study of South Africa’s 48 years of household savings data, inflation significantly creates a positive impact on the continent’s saving rate. As for the case of Turkey, Er, Tugcu, Coban (2014) used the Autoregressive Distributed Lag approach and the study’s results indicated that there that inflation positively affects inflation rate and savings but there was no relationship of significance between inflation and savings in the short run. Using two stage least squares model, the study of Chaturvedi, Kumar Dholakia (2009) on the relationship between economic growth, inflation, and saving rate in Asia revealed that inflation rate has a positive effect on the interest rates of the Asian countries as well. On the other hand, Heer Suessmuth (2006) utilized data of the inflation and saving rates from United States postwar period in order to analyze the monetary policy regimes of the three eras, namely the Pre-Volcker Era (’65-’78), Volcker Era (’79-’87), and the Greenspan Era (’88-’98). There appeared to be ambiguous resu lts on the effect of inflation on the saving rates. In the Pre-Volcker Era and Greenspan Era, inflation negatively affected the saving rates. In the Volcker Era, on the other hand, inflation is positively associated with saving rates (Heer Suessmuth, 2006). EFFECT OF INTEREST RATE ON SAVINGS RATE El-Seoud (2014) concluded from his previously mentioned study that the interest rate in Bahrain, just like inflation, has a positive and significant effect on the national saving rate in the short run. However, in the long run, El-Seoud (2014) saw that while the interest rate still has a positive relationship on Bahrain’s saving rate, this effect is now insignificant. On the other hand, in the results acquired from the study of Syden (2014) on South Africa, it showed that interest rate has a negative relationship and significantly impacts the saving behavior of South Africa. In a study on the Turkish economy, the researchers found that there was no significant relationship between interest rates and saving rate found in the long run (Er, Tugcu Coban, 2014). (Challe Ragot) (Romer) References El-Seoud, M. S. (2014). The Effect of Interest Rate, Inflation Rate And GDP On National Savings Rate. Retrieved from http://www.gifre.org/admin/papers/gjcmp/1-7-EFFECT-vol-3-3-gjcmp.pdf Syden, M. (2014). Trends and Determinants of Household Saving in South Africa. Economic Affairs: 59(2): 191-208 Cheng, Q. Li, X. (2014). Cross-Country Effects of Inflation on National Savings. Retrieved from https://smartech.gatech.edu/bitstream/handle/1853/52867/Cross-Country Effects of Inflation on National Savings(ECON3161).pdf Chaturvedi, V., Kumar, B. Dholakia, R. H. (2009). Inter-Relationship between Economic Growth, Savings and Inflation in Asia. Journal of International Economic Studies, No.23, 1–22. Retrieved from http://repo.lib.hosei.ac.jp/bitstream/10114/3628/1/23VaibhavChaturvedi-ather.pdf Heer, B. Suessmuth, B. (2006). The Savings-Inflation Puzzle. Retrieved from http://www.cesifo-group.de/pls/guestci/download/CESifo Working Papers 2006/CESifo Working Papers January 2006/cesifo1_wp1645.pdf Er, P. H., Tugcu, C. T. Coban O. (2014). Investigating The Link between Savings, Inflation and Economic Growth: An ARDL Analysis for The Case of Turkey. Journal of Economics, Finance and Accounting. Vol. 1, Issue 2. Wachtel, P. (1977). Inflation, Uncertainty, and Saving Behavior since the Mid-1950s. Retrieved from http://www.nber.org/chapters/c9102.pdf Bibliography Bande, R., Riveiro, D. (2012, October). Private Saving Rates and Macroeconomic Uncertainty: Evidence from Spanish Regional Data. Iberian Regional Economics Network. Retrieved March 2015, from http://otega.usc.es/docs_idega/documentos_de_traballo/irene/irene_4.pdf Challe, E., Ragot, X. (n.d.). Precautionary Saving over the Business Cycle. Retrieved March 2015, from http://www.su.se/polopoly_fs/1.57517.1321520817!/ChalleRagot.pdf Chowdhurry, A. (2014, December). Terms of Trade shocks and Private Savings in the developing Countries. Journal of Comparative Economics. Retrieved March 2015, from http://dx.doi.org/10.1016/j.jce.2015.02.006 Elmerraji, J. (2010, February 28). How Savings Are Saving the Economy. Retrieved February 2015, from http://www.investopedia.com/financial-edge/0310/savings-are-a-blessing-in-a-slow-recovery.aspx Horioka, C. Y., Terada-Hagiwara, A. (2011, November). The Determinants and Long-Term Projections of Saving Ratesin Developing Asia. National Bureau of Economic Research. Retrieved from http://www.nber.org/papers/w17581 Lequiller, F., Blades, D. (2007). Understanding National Accounts. 415. doi:10.1787/9789264027657-en Loayza, N., Schmidt-Hebbel, K., Serven, L. (2000). Saving in Developing Countries: An Overview. The World Bank Economic Review, 14, 393-414. Piana, V. (2003). Savings. Economics Web Institute. Retrieved February 2015, from http://www.economicswebinstitute.org/glossary/savings.htm Riley, J. (2012, September). Economic Environment. Retrieved March http://www.tutor2u.net/business/strategy/economy-business-cycle.html, 2015 Romer, C. (n.d.). Business Cycles. The Concise Encyclopedia of Economics. Retrieved March 2015, from http://www.econlib.org/library/Enc1/BusinessCycles.html Sothan, S. (2014). Causal Relationship between Domestic Saving and Economic Growth: Evidence from Cambodia. International Journal of Economics and Finance, 6. doi:10.5539/ijef.v6n9p213 Syden, M. (2014, June). Trends and Determinants of Household Saving in South Africa. Economic Affairs. doi:10.5958/J.0976-4666.59.2.018 Zaman, R., Carannate, M., Ferra, E. (2013, June 17). Effects of Uncertainty on Household Saving Rate. Munich Personal RePEc Archive. Retrieved March 2015, from http://mpra.ub.uni-muenchen.de/51208/

Thursday, September 19, 2019

Film History Essays -- The Silent Era of Film

In the early years of narrative cinema there was little pressure on filmmakers for the ‘evolution of film forms before nickelodeons’ (Salt, 1990, pp31) as cinema neither became a mass nor high cultural product and was still a novelty but ‘Production companies’ profits were based principally on the sales of longer fiction films’ in the later years (Musser, 1990, pp256) so focus was made for the production of popular narratives so I will show how the early development of narrative evolved from trick films to complex narrative. I will analyse the short film Mary Jane’s Mishap (1903, Smith) and an extract from the seminal The Birth of a Nation (1915, D.W.Griffith). Mary Jane’s Mishap was made when ‘multi-scene films were becoming popular’ (Salt, 1990, pp32) It is notable for its use of experimental transitions. To ‘separate successive scenes’ (Salt, 1990, pp32) Smith used vertical wipes to transition to wider framed shot. This efficiently showed an ellipsis in time from the funeral to people visiting her grave. D.W.Griffith also used inventive shots but popularised them rather than inventing them, such as tracking shots adding pace the characters movement and the narrative. In the silent-era of film insert titles were important in explaining the narrative to the primitive viewer not well-versed in film, especially in films where the audience were not familiar with the story unlike ‘Porters The Night before Christmas‘(Musser, 1990, pp258). Griffith used insert titles which ‘changed around 1905 into summaries of the action’ (Burch, 1990, pp221) As the film had a ‘self-sufficient narrative’ (Burch, 1990, pp221) that ran for over three hours, with poor camera quality to recognise characters. But they were ‘systematically anticipating t... ...ows this film as being a transition between the early trick films and narrative cinema. The Birth of a Nation has evolved in ‘relation to the articulation between shots in term of space and time’ (Gunning, 1990, pp89) it is of the third and fourth cinà ©-genres. As the ‘multi-shot narrative’ of approximately three hours long is edited as to the ‘cut is de-emphazised’ (Gunning, 1990, pp89) and is placed in the ‘fourth genre’ as the plot is disrupted through parallel editing (Gunning, 1990, pp90). In conclusion, we can see in film narrative The Birth of a Nation has progressed from the trick film narrative of Mary Jane’s Mishap to being identified according to Gunning as being of the third genre, due to both profitability and popularity of realistic cinema Moving from being of theatrical proscenium to complex cinematography to tell a story suited for the screen.

Wednesday, September 18, 2019

Free Essays - I Havent Got a Dime for College :: College Admissions Essays

I Haven't Got a Dime for College Growing up I've met the best of people and I've met the worst of people. My father has always been my hero. He loved, provided for and took care of two children and a sick wife everyday for twenty years. I look at his picture in my wallet each day and wonder if I can ever measure up to him. I thought my cousin had agreed to lend me $15,000 so that I could attend a decent college. I agreed to sign a promissory note. I showed up at the New City Brewery to sign the papers and pick up the check. I read the paper. It said for $30,000 I was selling him my interest in a vacation cabin our grandmother bought fifty years ago. The check however was only for $15,000. "I don't understand." I pushed back his Mount Blanc pen and the unsigned contract. Bill folded his arms. "In 1956 your father borrowed $6,000 from my father and I want it back." He flashed a mean smile that I hadn't seen since 1957 when the bank took away my family's house. My father took me to my cousin's house to ask for his outgrown clothing for me. That day my cousin handed me a book along with some clothes from his hamper and gave me this same vicious smile. The book was "The Prince and The Pauper". My father worked sixty hours a week for the next fifteen years paying off debts and sending his children to college. He stopped paying old debts when my mother's medical bills made that impossible. He died a few years later. I've missed him every day. I hadn't used that small cabin at the lake in a decade.

Essay --

Consumerism, the key tool of social manipulation is considered a child of globalization and represents a set of beliefs, and values that owning material goods is placed very high on the list of priorities. Earlier value system through which we concluded what people really need in life is slowly replaced by the advertisements that people dictate what is fashionable . We no longer know who lives the way he wants to live , and who lives according to " rules " and norms of what is proclaimed in the media . Without adequate personal value system , the question is how our needs may indeed be real and not subject to consumerism . Simply put , today's society has become a consumer society in which no one is happy and by spending money people are trying to fill their lives with joy , a feeling that they are strong , powerful and lead their life the way they want . Is it really so , or is it all a well organised illusion in the minds of marketing professionals ? Consumerism became a force in only a few decades. It started to move the social and economic development of the world , and the only question is in which direction . When talking about this concept , it is certainly not new , but dates back to ancient Mesopotamia , and the first hint of today's practices come in the seventeenth and eighteenth centuries in Britain, where the middle class wants to copy their idols at royal functions. Buying only out of necessity becames not important. More important is to have the things that the rich one has. Consumerism has its roots also in the British society of the time after war. Shopping and enjoying financial freedom was at that time in Britain a relaxation for men who returned from the battlefield . The thought they deserve to make up for los... ...British people. Routine that teaches that it is not important to know , but it's important to spend. People spend seeking acceptance in the community, knowing that society rejects those who do not want or do not have nothing to spend. Thus , it appears that the thesis " money can buy happiness " is slowly becoming a reality . This is supported by the fact that all the greater importance is placed on material goods and the value system of the people changed . It is interesting , however, that although obsessed with consumerism and supplied with money , the British are not the happiest people in the world . Statistics show that the happiest people are in Pakistan , Bangladesh , Vietanam and even Kosovo, where everyone has the time for their families and themselves. However, the modern man is not worth as much as his knowledge, but as much as he has and he can spend.

Tuesday, September 17, 2019

European Cars Are Better Than Japanese Essay

The design is specialized to cater to the specific needs of a consumer. Every country in the world manufactures its own cars, whether it is Japan, America or Europe. European cars are vastly superior to Japanese cars when examining performance, design and safety. The key feature that makes European cars better than all other cars is performance. Performance of a care is judge by how well the, brakes, suspension, traction, transmission and engine work. When European car manufacturers talks about performance they are referring to power generated by the car. European cars manufacturers combine all the aspects of performance to create an extraordinarily spectacular engine, which has maximum horse power and torque. Some European cars engines are hand-built, which helps delivers performance at a perfect level. Power from the engine has to be delivered to the wheels; transmission plays a vital role in delivering the power and speed from the engine to wheels. Car manufacturers in Europe develop a transmission system which is particularly adept at applying output so that it can be delivered quickly, smoothly and efficiently when called upon. European car manufacturers are especially renowned for their designs, because their designs allow precision in handling, efficiency in engine performance and good brakes. An efficient power output of the engine leads to an increased maximum speed limit that the car can reach. To maximize the speed that a car can reach the external shape of the body of a car is designed with special care as well. When European car manufacturers talk about speed, they keep in mind the aerodynamics of the car. Designers ensure that the car has a streamlined body shape, which reduces air resistance experienced by a car while it is in motion. In addition, aerodynamics designing provides for the external appearance of the car to look elegant, fashionable, artistic and sensational. European cars are made out of high-strength steel body panels make the safer when an impact takes place. They are manufactured with 7 different air bags inside the care to avoid the impact and causing the driver and passenger to be much safer. If a car can reach high speeds in a short span of time then it needs good brakes. European engineers ensure safety and handling does not become an issue for the driver and the passenger by providing an anti-lock braking system. This system prevents the car from skidding and allows the driver with greater control over the car because due to the anti-braking system the wheels of the car are only gradually reduced in speed. Rather than bringing the wheels of the car to an abrupt halt, the brakes of the car provide with better independent suspension for each wheel, which can help withstand shocks and bumps. European cars are superior in performance design and safety. Japanese cars lack behind in performance when compared to European cars. They have weaker and lighter engines, which only reduce the manufacturing cost, but result in giving a poor performance. Japanese car engines are manufactured on low budget. The lack in use of technology during the production makes the cars less reliable, because the finished engine does not produce much power. Less power means less torque and horsepower. Production companies in Japan manufacture engines using heavy equipment and machinery. This allows them to produce cars in a greater quantity, but there is no guarantee for quality . Japanese engineers focus on building lighter engines which gives more gas millage. Japanese cars are designed using weaker body structures making the car lighter. They use to steel alloy to manufacture the exterior of the less expensive material. Exterior of the car is brittle enough to not to withstand an impact, hence making less safe. Japanese cars are not safest car in the world. To avoid the cost to manufacture the car, they use disk brakes which have a higher risk of worning out faster than anti-lock brakes. They use one suspension for two pair of wheel, which causes to feel the smallest shock and bump while ridding the car. Japanese car don’t use that much technology to make their car safe enough. European cars are superior to Japanese cars. They are better in performance, design and safety. European cars are comfortable, luxurious and high end cars. Japanese cars are ordinary and standard cars. Japanese cars are cheaper that European, but buying an expensive car gives you a lot of option to enjoy the ride of the car. , and produce products with a superior passenger cabin but employ lower standards outside of the cabin. Disk brakes, Alloy Wheels, and Brake Override Systems have been standard on most mid-size domestic cars for years, yet are still optional or non-existent on many major Japanese mid-size cars being sold today. Anti-lock braking system (ABS) is an automobile safety system that allows the wheels on a motor vehicle to maintain tractive contact with the road surface according to driver inputs while braking preventing the wheels from locking up (ceasing rotation) and avoiding uncontrolled skidding. It is an automated system that uses the principles of threshold braking and cadence braking which were practised by skilful drivers with previous generation braking systems. It does this at a much faster rate and with better control than a driver could manage. With 72% of its body panels made from high-strength steel, theody structure is even more rigid than its renowned predecessors. The advanced front crumple zone has been refined with approximately 17,000 computer-simulated collisions and 150 crash tests. An innovative front bulkhead and deformation zones that act on four independent levels to help divert the energy of a frontal impact under, over and around the passenger cabin.

Monday, September 16, 2019

The poem ‘After Apple Picking’ by Robert Frost as one the most celebrated and widely read poems of the Romantic Period

The poem ‘After Apple Picking' by Robert Frost is one the most celebrated and widely read poems of the Romantic Period. The poem was drawn from Frosts' own life, his recurrent losses, everyday tasks, and his loneliness. After Apple Picking is the poem that links Frost heavily to the Romantic Tradition as he follows the traditional Romantic model, in which he displays a number of Romantic qualities, mainly a connection with the transcendent and spiritual, Individualism, Primitivism and Nature as a source of reflection and guidance. A characteristic of Romanticism was the belief that emotions and relationships were not just important, but were the very currency of life (Individualism). After Apple Picking focused on ones deep feelings of suffering but also a sense of hope and transcendence. This is conveyed in the quote â€Å"Of Apple picking: I am overtired Of the great harvest I myself desired†. The dramatic monologue, diction and modality shows the struggles of the man. The persona has too many goals and is regretting his choices in life, showing feelings of regret and exhaustion. Individualism is a major aspect to Romantic poetry and is expressed through the example as it shows a single person and his expression of individual feelings. Romantic literature tends to have a theme of favouring the pastoral over the urban way of living. After Apple Picking is set in a rural background of a farm which is a critical aspect in determining that Frost is a poet of the Romantic Tradition. The symbolism of the ‘great harvest' as the goals and dreams of the man links it back to the Primitivism and the experiences of the common man. The other example of â€Å"Empty Barrels† symbolise Frosts regrets at having not fulfilled all of his lives dreams and ambitions. This primitive state is a common occurrence in many Romantic period poems and the emphasis on rural life adds to the proof that After Apple Picking and Frost are part of the Romantic Tradition. In After Apple Picking nature is used greatly to create a deeper value and more meaningful answers to life. This is nature acting as source of reflection and guidance. His emphasis on emotion rather than logic clarifies that the poem is indeed Romantic. The fist person narrative and reference to nature; â€Å"woodchucks†, â€Å"apples†, â€Å"boughs† help create a reflective tone in the poem. Frost capitalises on the reflective tone and attempts to use nature as a source of value and meaning within his life. Romantic poems also had a connection with the transcendent and links to the spiritual. Frost makes certain biblical allusions to Jacob's ladder and heaven shown in the quote â€Å"My long two-pointed ladder's sticking through a tree Toward heaven still†. This is used to emphasise the need to connect with the transcendent and the divine. Frost connects with the divine while creating a positive connotation to nature through the apples, which are a gift from God. Their has been a constant battle as to whether Robert Frost is indeed a Romantic poet. This poem conforms that Robert Frost is a Romantic poet as the many characteristics of the Romantic Tradition have greatly been expressed in his work and especially in After Apple Picking as shown in the many examples. The poem includes many of these characteristics and ultimately â€Å"it depicted emotional matter, in an imaginative form†.

Sunday, September 15, 2019

Advertisements Exploiting Children

Are current practises of advertising to children exploitative? What restrictions should be placed on advertising to children? Up until recently, parents had been the intended target audience for advertising efforts aimed for children of young age groups. However it is now the children who have become the main focus.The growth in advertising channels reaching children and the privatisation of children’s media use have resulted in a dramatic increase in advertising directly intended for the eyes and ears of children (Wilcox et al. 2004). It is estimated that advertisers spend more than $12 billion a year on the youth market with more than 40,000 commercials each year. The current practises of advertising to young children definitely exploit their lack of understanding and comprehension of the aim of advertising and promotion of products.In the early 1970’s, The Federal Communications Commission originally set out to ban all advertising that was aimed at young children, ho wever ended up settling for a more lenient proposal of limiting the amount of time advertisements were aired within children’s programs and put in place certain restrictions to do with advertising practises (Wilcox et al. 2004). Studies have shown that the age range of 8-12 year olds spend $30 billion directly and influence $700 billion on family spending each year.This can be attributed to a relatively high extent to the fact that 46% of 5-14 year olds watch more than 20 hours of television per week with tens of thousands of TV ads shown per year (Neil 2012). Neil (2012) quotes that a child who watches 4 hours of TV per day over a 6 week holiday period would have viewed a total of 649 junk food ads including 404 advertisements for fast foods; 135 advertisements for soft drinks; and 44 for ice cream products. Until quite recently, advertisers viewed children around and under the age group of 8 as off limits when it came to advertising targets.However, industry practises have now developed and make for greater degrees of age niche advertising (Wilcox et al. 2004). Along with this growth in marketing efforts, there has become a rapid increase in the use psychological knowledge and research to effectively market products to young children. An example of this includes a study that was specifically designed to determine which strategy best induced children to nag their parents to buy the advertised product (Wilcox et al. 004). Exploitation refers to the idea of taking advantage of something you shouldn’t take advantage of. In relation to ads, advertisers are taking advantage of children’s lack of understanding, their innocence and their vulnerability to persuasion (Neil 2012). Young children tend to be particularly vulnerable to advertising as they do not fully understand the intent of advertisers and the process of creating an ad (Gunter, Oates & Blades 2005).Children are not born with any knowledge of economic systems with their awareness of advertising and marketing developing only gradually later in life. Adults too can be influenced by an ad, which is the reason for ads in general, but they are able to interpret the messages in the context of the advertisers’ intentions to prevent them from being exploited, unlike children (Gunter, Oates & Blades 2005). Neil (2012) states that children up to the age of 4 see ads merely as entertainment, progressing to believe advertisements provide information at ages 6-7.At ages 7-8 they still cannot distinguish between information and intent to persuade and once they reach 10-12 years they can understand the motives and aims of advertising but are still unable to explain sales techniques. The Australian Communications and Media Authority (2007) explain that advertisers may create advertisements that appeal to a child’s cognitive abilities. Research was conducted that indicates different age groups respond differently to formal stimuli in commercial, for example colour s attract younger children while message text attracts older children.This uses leverage of children’s cognitive development to entice the purchase of the product. Furthermore research on the language of advertisements, while used to promote products, may be purposefully constructed to confuse younger children at lower levels of cognitive development. Simple correlation research in the US indicates that children typically aged 2-6 years who view more television advertising request more products from their parents. This is known as pester power.It has been found that parents are more likely to buy products when kids ask for them in the shop (nag factor). As children age, they develop the cognitive capacity to contextualise and act critically on the observations made, reducing the amount of requests for products (Australian Communications and Media Authority, 2007). Children who are exposed to TV commercials for toys not only develop the initial idea for the toy but repeatedly pester their parents to buy it. This is exploitation on the arents’ behalf as it often causes parent-child conflict when the parents deny their children the product (Wilcox et al. 2004). Another troubling issue relating to child advertising exploitation is in reference to food ads. Half of the advertisements in the UK directed at children concern food. There are little ads emphasising healthy eating and since the start of television advertising, the largest proportion of ads aimed at children has always been unhealthy food products (Gunter, Oates & Blades 2005).The Australian Communications and Media Authority (2007) detailed the New South Wales Department of Health content analysis which found that 43% of all food advertising was for high fat/ high sugar foods and 36% was for core foods (such as breads, pasta). Additionally, approximately 48% of food advertising in times defined by the study as ‘children’s viewing times’ was for high fat/ high sugar foods . Consequently, children become confused and consider unhealthy foods to actually be healthy. Toys aren’t as controversial as they don’t exhibit the same health implications as do fast food ads.However, over-playing how good a toy is, or presenting misleading information is very unethical as children cannot comprehend some messages. The writing on the screen about disclosures are usually too quick to read or even understand as an adult, let alone a young child (Gunter, Oates & Blades 2005). Wilcox et al. (2004) demonstrates the exploiting nature of advertisers when it comes to tobacco and alcohol. A variety of studies show a substantial relationship between children’s viewing of these products in ads and positive attitudes toward consumption of such products.The studies conclude that advertising of tobacco and alcohol contributes to youth smoking and drinking. Characters from movies and television programmes often attract children’s attention with researc h indicating that the use of real life or animated characters is positively associated with memory and attitudes toward products and has the potential to confuse children as they do not realise they are getting paid for the advertisement so it is likely it’s not genuine promotion of a product (Gunter, Oates & Blades 2005). Another trick that advertisers use is on the BBC.BBC programs are â€Å"non-commercial† but some of the programs have been specifically designed to include products directed at children to make it harder for children to recognise when they are being targeted by marketers. This shows a negative change in children’s advertising. Body image is another major aspect of young children’s lives as they are vulnerable to their self-image (Gunter, Oates & Blades 2005). Advertisements use attractive people to sell products which reinforce the pressures on young people to conform to the ideals of beauty that are hard or near impossible to achieve.M arketing of dieting products therefore appeal to young children in recent times including primary school children. Currently there are regulations in place that have been implemented under the Children’s Television Standards in 1990, enforced by the Australian Broadcasting Tribunal. These include placing limitations on the broadcast of advertisements during ‘Children School Age’ programs (no ad more than twice in 30 minutes) and ‘Preschool Age’ programs (no ads at all).Also, no misleading or deceiving ads, no undue pressure on children to ask their parents to buy something or any unsuitable material including alcohol and cigarette ads, or demeaning/racists/sexist etc. ads(Australian Communications and Media Authority 2007). To further these regulations, many recommendations have been made. Wilcox et al (2004) suggested that while it is impossible to protect this age group from all commercial exposure, it is essential to restrict efforts made by adver tisers to focus primarily, if not exclusively, on this uniquely vulnerable portion of society.They also state that advertising disclaimers used in ads be stated in a language that children can read and understand and be shown in both visual and audial contexts in a time length that is conducive to reading, hearing and comprehending. For example, stating â€Å"You have to put it together† instead of â€Å"Partial assembly required† in toy ads. Gunter, Oates and Blades (2005) point out that advertisers usually argue against any extension of regulations, claiming that very young children, even from the age of 3, have some understanding of advertising.If this is so, it is not enough. A child’s recognition of advertisements is not the same as a child’s understanding of their persuasive intent. Some argue that rather than extending regulations, the most effective way to help children understand advertising is through their parents by informing kids of the natur e of ads. However as children become more independent with access to their own TVs, parents increasingly have less control over what children watch and less opportunity to discuss advertisements that might have been seen during family viewing.As well as the fact that parents often lack sufficient knowledge of regulators and their regulatory responsibilities. These excuses made by advertisers just show how ignorant they are in the potential harming of young children. In conclusion, advertisers know that their efforts greatly influence child audiences. Targeting children below the ages of 8 years is inherently unfair because it capitalises on younger children’s inability to sense persuasive intent in an advertisement.Due to this, children around and below this age are exploited as they take in information placed in commercials uncritically, accepting most of the claims and appeals put forward as truthful, accurate and unbiased. Reference Australian Communications and Media Auth ority 2007, Television Advertising to Children, accessed 6/9/2012, http://www. acma. gov. au/webwr/_assets/main/lib310132/television_advertising_to_children. pdf Gunter, B, Oates, C & Blades, M 2005, ‘The Issues About Television Advertising To Children’, in Advertising To Children On TV: Content, Impact, Regulation, Lawrence Erlbaum, Mahwah, pp1-13.Neil, D 2012, PHIL106 ‘Advertising to Children’, lecture notes, accessed 1/9/2012, [email  protected] Wilcox, B, Kunkel, D, Cantor, J, Dowrick, P, Linn, S & Palmer, E 2004, ‘Report of the APA Task Force on Advertising and Children’, American Psychological Association Australian Association of National Advertisers, AANA Code for Advertising & Marketing Communications to Children, accessed 9/9/2012, http://www. aana. com. au/pages/aana-code-for-advertising-marketing-communications-to-children. html

Saturday, September 14, 2019

Correctional Subculture Essay

The correctional subculture has various ethical questions pertaining to a correction officer and his duties. According to Thomson and Wadsworth (2005), when an officer makes the decision to reprimand or write a disciplinary report, he is playing a role in the Criminal Justice System (p. 316). A disciplinary committee also has a dilemma because he, or she must decide on what punishment should accrue towards the offender. This may be a temporary loss of privileges, or he may have his sentence increased (p. 316, para. 2). A correctional officer in uniform is an authority figure, which implies reasonable and rational control over the incarcerated. Moreover, he has the full range of coercive control over inmates; excessive force, loss of liberty, and his power may be defiant; taught through his subculture (other correctional officers’). According to Thomson and Wadsworth (2005), many correctional officers have (deontological) exceptional knowledge and practice professionalism. While others tend to use (teleological) coercive, control against offenders gain advantage (pp. 317-318). A correctional officer must engage in ethical behavior. He must act professional; show respect for the incarcerated; be consistent; maintain integrity and honesty; and act impartial (p. 318). The subculture of a correctional officer has similar aspects of police subculture. However, cover-ups and wrongdoing is apparent in both. According to Thomson and Wadsworth (2005), a correctional officer will travel to administer aid for another officer. Again, as police officers, correctional officers will not cooperate in an investigation if it pertains to a fellow officer (blue code). One would not embarrass another in front of an offender because this may jeopardize an officer’s effectiveness. A fellow officer does not indulge in a white hat. This pertains to showing emotions towards an inmate or his family. A main similarity between correctional and police officers is that both engage in solidarity, against all outside groups (pp. 320-321). In conclusion, few officers endorse and publicize subcultural values, whereas the majorities, who are silent, privately believe in different values. In fact, his morals tend to make judgments on their own. This can be based on  his religion; what is good or bad based on what is morally wrong, utilitarianism; a bad action turning into a good deed (a selfless act), natural law; universally acceptable and ethical formalism; the intent of good will. According to Thomson and Wadsworth (2005), correctional officers are faced with these dilemmas on a daily basis. Moreover, the difference between morality and justice comes not from the difference between actions and consequences (as between morality and influence ethics) but from the difference between motives and actions (pp. 325-327). Therefore, when a C.O. does not practice morals and does not follow the ethical code; he may drift into relativistic egoism. He may believe he should receive benefits for his trouble, and he does not think of the latter consequences to his actions. References Axia College of University of Phoenix. (2005). Chapter 11: Ethics in Crime and Justice, Ethics for Correctional Professions. Retrieved October 6, 2008, fromAxia College, Week Eight reading AXcess, ADJ 235- Ethics and the Administration of Justice

Friday, September 13, 2019

Online classes and attend traditional classes Essay

Online classes and attend traditional classes - Essay Example Online classes however have their disadvantages over traditional classes that limit effectiveness of leaning and both advantages and disadvantages of the types of classes need to be explored before a learner selects a type of class. I, in this paper argue that traditional classes are better than online classes. Conducting a comparative analysis of traditional classes and online classes requires an understanding of fundamental factors to learning processes and effectiveness of the fundamentals to achieving learning objectives. Applied approach to delivery of learning materials and learning concepts, student’s active role in the learning process, and quality of involved activities and processes in learning are some of the determinant of effective learning. Administration of learning processes and support to learners are other fundamentals of effective learning and forms bases for understanding relative effectiveness of traditional classes and online classes. The fundamentals als o explain strengths and weaknesses of the two modes of learning (Kats 290). Two perspectives support application of traditional class system over the online class system. ... The well-defined environment also dictates direct interaction between learners and educators and encourages learners’ participation through questions to educators and responses to prompts from educators. The structured scope also aids administration of learning processes and therefore facilitates achievement of learning objectives because the learning process, learners, and educators all exist in the same physical environment. Traditional class also offers a â€Å"more personal relationship† between learners and their instructors. Physical presence and the role of face-to-face communication such as developed confidence and trust develop a link between the parties and this facilitates interaction and freedom towards better understanding of concepts. This is partly because students are free to ask questions and have confidence to respond to questions when they are in a favorable environment. Traditional classes, unlike online classes, allow for instant responses to questi ons by learners and educators and this facilitates effective learning. It is contrary to the experience in online classes in which an educator may forget to respond to a question, a phenomenon that may discourage a learner and limit the learner’s confidence in asking questions. Learners in a traditional class set up also have the opportunity to interact with one another, develop social ties, and form study groups, and these occurrences expands sources of knowledge to facilitate learning (Sharpe 240). Numerous disadvantages of online classes that traditional classes manage also offer rationale into the preference of traditional classes. Unlike in traditional classes in which educators are able to identify each learner’s need and motivate the learners, the distance in an online class

Thursday, September 12, 2019

The measurement tecniques of Particulate Matter2.5 (PM2.5) Essay

The measurement tecniques of Particulate Matter2.5 (PM2.5) - Essay Example An earlier research has shown a relationship between hydrogen and a trace element (ANSTO, 2003). For analyzing these suspended particulate matters, these particles have to be collected as per a standard procedure and thereafter have to be investigated. For analyzing the nature of these suspended particles especially PM2.5 various analytical techniques are used. Analytical techniques such as particle induced X-ray emission or particle induced gamma ray emission; IR spectroscopy and gas chromatography are used for finding the elements, inorganic compounds and organic compounds respectively (Measurement methods, 2007). In the present study a literature search has been carried out to study the impact of bushfires on our environment and the examples of Australia and Singapore bush fires has been covered. A brief introduction of PM2.5 has also been covered. A few analytical instruments utilized by the various environmental protection agencies have been studied with respect to their advantages in bushfires. The through principles of the instrument techniques were also studied and a conclusion of the study has been made. The most common measurement in air quality is the concentration of suspended particles in it and is reported as the PM index. ... PM10 (where the total concentration of all particles having diameter less than 10 m) are being monitored by various government agencies in many countries such as US, Canada (Baird, 2005). Many government agencies are also looking for monitoring fine suspended particles having diameter less than 2.5 m, as these are within the respirable range and can penetrate deep into the lungs. US EPA specification for PM 2.5 US EPA National Ambient Air Quality standards (NAAQS) have set standards for particulate matter PM2.5 and PM10. For PM2.5 it has set an annual average of 15 g/m3 with a 24 hour standard of 65g/m3 and for PM10 an annual average of 50 g/m3 with a 24-hour standard of 150 g/m3 (ANSTO, 2003). A short term US EPA NAAQS standard for air borne particulate matter is given in Table-1. As many countries still do not have their own specifications for PM2.5, most of the countries follow US EPA guidelines. Sampling of Particulate Matters: It is really difficult to collect a representative sample especially from a bushfire. However the sample should be collected from multiple locations so that the analysis gives more prcis and meaningful results. The sample collected from different part can either be mixed or separate analysis can be carried out. There are various methods involved for collecting particulate matters. A few methods are summarized below. a) Filter cups: Filters are the simplest way of collecting particulate matters. Aerosol sample is passed through a set of filters at a controlled rate so that a specific particulate matters are collected through a specific filter. These filter papers are cellulose, glass fiber, teflon or a combination of materials (Thompson, 1998). b) Cyclones:

Wednesday, September 11, 2019

Case Study in Exerise Psychology ( Msc ) Essay Example | Topics and Well Written Essays - 2000 words

Case Study in Exerise Psychology ( Msc ) - Essay Example One such example can be identified in the case of Client A, a 29-year old male junior project manager in a multinational software developing company for almost two years. As he needs to work for five days from Monday to Friday and for 12 hours each day, it becomes quite difficult for him to continue with adequate physical exercise on a regular basis. Moreover, Client A is required to travel away for work frequently which again provides perceived barrier to the performance of regular exercises. Client A used to perform physical exercise regularly before joining the organization. Recently, he noticed an increase in body weight and reduction in the energy and enthusiasm in work. He was also becoming more stressed at the workplace because he was no longer able to devote sufficient time to his health which in turn started hampering his performance. The organisation encourages continuous professional development of their employees including constant monitoring and counselling by the prospe ctive senior officials. In one of the counselling sessions, the senior project manager found that the client was experiencing high levels of stress as a result of not being able to make sufficient time for personal development including regular physical exercise. Thus, he advised Client A to consult a sport psychologist who would efficiently guide him in maintaining his body fitness without compromising with his job responsibilities. Key Challenges Observed in the Case It is well-identifiable from the aforementioned case that the absence of physical exercise was creating a mental pressure on Client A signifying the effect of exercise on the mental health of a person. It was stronger in the current case as a result of Client A’s previous involvement in regular practitioner of physical exercise and has already been aware of its positive affects. This in turn influences his self-determination (the will to achieve a desired goal), self-confidence (the belief to achieve a desired performance) and physical anxiety (nervousness felt by an individual regarding his/her physical ability) to a certain extent (Weinberg & Gould, 2010). Due to the decrease in these factors, he tends to display emotional outburst in the workplace and possess an increased stress level. When first employed by the organisation, he was recognised as a consistent performer which is now noticeably reducing due to his increased stress levels and the resultant behaviour. Therefore, the key challenges for the sports psychologist are to determine ways in which Client A can participate in regular physical activity without compromising with his job responsibilities. These interventions should be based within the cognitive and humanistic approaches. In this regard, analyzing the various aspects regarding Client A’s psychological influence can also be termed a key challenge. Findings of the Case According to the self-determination theory, external environmental factors have a strong influenc e on the mental health of a person which determines their readiness for physical exercise (Ryan & Deci, 2007). The readiness can be further defined as autonomy, competence and relatedness (Ryan & Deci, 2007). It is worth mentioning that the various facets of self-determination theory are intrinsically related to the (Ryan & Deci, 2007). In order to implement the theory in the real practise to identify the various psychological and cognitive factors influencing Client A’s readiness to physical exercise, the psychologist implemented repetitive

Tuesday, September 10, 2019

2 contract law assignments Essay Example | Topics and Well Written Essays - 3750 words

2 contract law assignments - Essay Example However, that right would have arisen by virtue of common law principles rather than statutory law as contained in the Contracts (Rights of Third Parties) Act 1999. Owen Fox explains that ‘for many years, the doctrine of privity of contract was a fundamental feature of English law, meaning that it was only the parties to a contract who could rely upon or enforce the terms of that contract. The consequence of this was that if a third party suffered a loss because the contracting parties failed to fulfil their obligations to each other, then the third party had no recourse under the contract.’2 This is the background against which Sarah Jones Development’s claim for damages against Archibald must be examined. There were and are exceptions to the privity of contract rule. One exception is to be found in circumstances where a collateral contract exists. For example when there is a contract between two parties one of the parties thereto may have a collateral contract with a third party in respect of the same matters contained in the primary contract. Shanklin Pier v Detal Products [1951] 854 provides a good example. In this case the plaintiff hired a contractor for the purpose of painting a pier. The painting contractor was instructed to purchase the paint from the defendants. The defendants informed the plaintiffs that the paint would last for seven years when in fact it only lasted for three months. As a result the plaintiff took the defendants to court despite the absence of a contract between them and defendants. 3 The court ruled that the plaintiffs could sue the defendants for damages on the basis of a collateral contract. The plaintiff had provided consideration in exchange for the defendants’ assurance of the quality of the paint by indorsing a contract with the painting contractor which specifically required that they purchase the defendants’ paint.4 The general tone of judicial findings was that there must be an intention to form a

Monday, September 9, 2019

Daimler-Benz Marketing Plan Research Paper Example | Topics and Well Written Essays - 7250 words

Daimler-Benz Marketing Plan - Research Paper Example Indian automobile market and industry are presented, which will be helpful in building up a scenario, where Daimler can actually present facts and figures to the management in assisting them to launch a new model of car in India. For this reason, a detailed market research has been conducted which entails market summary, demographics of the target market, market requirements, trends and market growth. Additionally a SWOT analysis is also presented in order to enable the management to identify the strengths, weaknesses, opportunities and threats that Daimler will be facing in India. The market analysis section also includes competition in the automobile industry, products offered by the competitors, critical success factors and issues that will be arising on the Indian automobile market’s horizon for Daimler. The market analysis conducted in section 2 of the report will help in developing a marketing plan which entails the marketing and financial objectives, identifying the tar get market, positioning of the product and the strategies to promote the product efficiently. Marketing strategy section will be followed by a detailed financial analysis to estimate the investments and returns. In the end, controls and revenue management report will be provided to overcome the risks involved for Daimler-Benz while entering into the Indian market with its new product. 2. Situation Analysis Daimler-Benz is present in Indian automobile market for over 50 years. The company is engaged in offering its prestigious vehicles to the rich Indian market where it is well preferred over other prestigious car manufacturing brands. Now the company has decided to offer its Hybrid cars to the potential Indian market. Daimler, just like other markets, believes that the quality, durability,... The paper includes competition in the automobile industry, products offered by the competitors, critical success factors and issues that will be arising on the Indian automobile market’s horizon for Daimler. The market analysis conducted in the report will help in developing a marketing plan which entails the marketing and financial objectives, identifying the target market, positioning of the product and the strategies to promote the product efficiently. Marketing strategy section will be followed by a detailed financial analysis to estimate the investments and returns. In the end, controls and revenue management report will be provided to overcome the risks involved for Daimler-Benz while entering into the Indian market with its new product. Daimler-Benz is present in Indian automobile market for over 50 years. The company is engaged in offering its prestigious vehicles to the rich Indian market where it is well preferred over other prestigious car manufacturing brands. Now the company has decided to offer its Hybrid cars to the potential Indian market. Daimler, just like other markets, believes that the quality, durability, energy efficiency and eco-friendly features of the Hybrid cars will be the key to success in India. For this reason, besides paying special attention towards the above mentioned four features, Daimler also believes that handling over the market research and strategy formulation to a local firm who knows Indian culture and has sufficient knowledge of how to make the launch of Hybrid cars, a success story.

Sunday, September 8, 2019

Procurement Outsourcing Strategies Essay Example | Topics and Well Written Essays - 750 words

Procurement Outsourcing Strategies - Essay Example Additionally, the Wonderful Widgets Company gets to act as a management hub that executes the finalized strategies for the product. This reading focuses on the series of strategic initiatives that explain the perceived impact of forming strategic alliances in procurement and outsourcing. The impending questions regarding the issues with outsourcing this particular case scenario is what risks are involved, and whether the outsourcing strategies should depend on the product characteristics, for example, the clock speed. As the Supply manager, the tasks involved entail the identification and development of an effective procurement strategy that aids in lowering or reducing the monthly operational costs (Rosenfield, 2012). The final decision pertaining to procurement is also dependent on the business operations involved with the company. Streamlining the business processes is essential in enacting and implementing an appropriate procurement service that works in favor of the business goals in terms of minimizing the operational costs. The selection of a strategic source for the manufacturing components would aid the company in taking advantage of any classified duty rates or even if the company is eligible to participate in special trade programs. The dynamics of the transit costs ought to be calculated to determine the inventory carrying costs, the freight, duty and brokerage or insurance costs (Rosenfield, 2012). Subscribing to premium freight services that require paying higher percentages can prove to be expensive to the company’s operational costs. This is common for shipment of premium goods which uses carrier insurance. Consolidating the goods and components expected by the company from multiple suppliers helps in minimizing transport costs for the business. The variable transit times for goods from different suppliers results in higher payments for the company. Since the company

Does Religion Cause War Essay Example | Topics and Well Written Essays - 500 words

Does Religion Cause War - Essay Example Beliefs are the key word of the definition. When an individual or group has a set of religious beliefs, these beliefs are their life. Religious beliefs are the main component reflecting decisions that one may make. This means that religious beliefs do not cause war but may influence decisions made after a war has already begun. This can raise argument but truth has shown that most war has begun as a result of territory and possessions and not solely because of religion. Religion regarding beliefs has been an issue of war since creation. Every individual practices some form of religion like Christianity, Judaism, or Atheism. Each form of religion is similar in the sense that the belief is a religion and a way of life. Each religion is also quite different. Many like those in the Christian religion are persecuted for their religious beliefs and cannot be caught acting in a Christian manner. The persecution creates a war in the life of the Christian. They must choose between honoring th eir beliefs and being persecuted. The United States, according to a poll by ABC news consist of 83% Christians. This may be because Christianity is so well tolerated in America and Christians can freely practice Christianity. In other areas of the world Christianity is not accepted and has been known to cause war. This war is more so between the Christian and Muslim communities.

Saturday, September 7, 2019

Damage That Has Been Done to Children of Divorce Essay Example for Free

Damage That Has Been Done to Children of Divorce Essay When a marriage is not working, there is a breakdown of communication, common goals, or trust, and often this ends in divorce. A divorce is a very painful process with detrimental effects on children that are involved (Wienstock 5). The general trauma of a divorce and the level of severity it has on a child are mainly due to the childs age when a divorce takes place. The psychological effects are normally considered long term and the hardest to deal with for children involved (Persons 1). The easiest of all effects of a divorce is a child is behavior outburst normally displaying aggression and a feeling of not caring about anything or anyone anymore. The general effects of a divorce can affect everyone involved, but often the children will show the stress and emotions of a divorce more openly that an adult would. The fear of abandonment and losing one of the parents is devastating on a child (Wienstock 3). How a children perceives their homes normally sets the level of damage children are going to have to cope with through out the divorce and thereafter. If a child perceives the home as stable, they may handle a divorce well, but if a child perceives a home as freighting and scary place, they may try to avoid dealing with it at all. The trauma that a child endures will probably be worse than a child in a stable household environment. The most important issue that affects the level of perception and a level of damage is the age of a child when the parents divorce (Wienstock 3). Younger children will normally take a divorce of their parents more personally and handle it worse than an older child would. The psychological effects are more categorized as long-term effect that leave the children feeling responsible and blaming themselves for the guilt of a divorce everyone going through. Most children exercise a sense of loss during a divorce that can only be compared to as lost of a loved one (Children of Divorce 4). Feeling of rejections and loneliness normally confuses a child to the point of depression and some times suicide. The struggle as a child trys to keep in contact with the absent parent without  offending the parent that they are still are with becomes stressful and some times damaging to a young child (Wienstock 4). The deepest of all emotions is anger, and it is the easiest to recognize in older children that are coping with a divorce (Persons). The anger is normally turned toward both parents and sibling in the household (Wienstock 4 5). The behavior change in a child is almost immediate after the announcement of a divorce. The behavior outburst and disruption in a childs life are signs that a child is having a hard time dealing with the idea of parents splitting up. Academic problems with school activities and grades and physical displays of anger are the first of behavior effects to be seen in a family that is falling apart (Wienstock 5). Older children and even younger children are turning to drugs and alcohol to cope with the emotional stress of losing one of the parents in the household . Girls tend to become sexual active with older partners, as they long to find a father like figure to replace the parent that is no longer a direct part of their lives (Wienstock 5). Boys tend to have shorter relationships refusing to get close for fear of being rejected again as they might have felt when their mother left them with his father as a child during a divorce. These children are just trying to find someone that they feel will not abandoned them as they feel their parents have done to them. The painful process that is broken into stages is navigated by a child and adults alike that have been subject to a divorce. The loss of the other parent is compared by most specialists to a death of a loved one. In therapy, the psychological effects in children are normally over looked as a child grows up and into adults themselves. These children typically are found to have poor relationships and an unbalanced social life as they struggle to find where they belong in this world. The physical effects that affect everyone are the choices that children make while thinking that they will never survive the divorce. Drugs, alcohol, and the sexual behaviors of the older children are just a few effects that a divorce can have on the children. The poor decisions of the current generation to enter in to marriage lightly at such a young age, leaves our society open for a generation of emotion basket cases of parents to raise the our future  generations..

Friday, September 6, 2019

Ethical Issues on Confidentiality Essay Example for Free

Ethical Issues on Confidentiality Essay Ethical Issues on Confidentiality: Research and Medical Procedures A guiding principle followed by most administrators and health care providers is the concept that ethical principles must match the values of the whole organization. This belief should serve as a continuous teaching to all staff so that the organization’s goals may be uniformly achieved. Healthcare administrators must be fully competent in adhering to the ethical principles of patient and employee confidentiality in order to promote trust, respect, and the protection of individual’s rights concerning health information. This is one of the main objectives of the Privacy Rule or HIPAA, and a breach to this rule is one of the most common ethical issues. When administrators demonstrate capable ethical decisions in guiding the flow of services in the organization, there may only be a few disorders that will be encountered in the operations as a result of ethical perplexities. In the article, Ethics of Stem Cell Research (Siegel, A., Stanford Encyclopedia of Philosophy, Spring2013), the ethical dilemma of confidentiality in research pales in comparison to the dilemma posed in destroying human embryonic cells. A great dispute is presented on the use of human embryos and whether researchers are dealing with a human being or not. The question on the permissibility or the impermissibility to destroy human embryos is fully explored without the full ethical answer being presented. Confidentiality, research, and medical procedures all impart ethical dilemmas that complicate organizational activities. Problems of the Affected Population: Patients and Participants In the procurement of embryotic cells for example, research subjects are not considered the same way as patients and regarded differently in terms of confidentiality and privacy issues. According to the article, HIPAA, the Privacy Rule, and Its Application to Health Research (2009), â€Å"Health research is not the focus of HIPAA.† and, â€Å"Because a great deal of health research in the United States is also subject to the Common Rule- the federal rule that governs most federally funded research conducted on human beings and aims to ensure  that the rights of human subjects are protected during the course of a research project, historically focusing on protection from physical and mental harm by stressing autonomy and consent.† (HIPAA and Research, Beyond the HIPAA Privacy Rule: Enhancing Privacy, Improving Health Through Research, 2009). Many research institutions are not considered covered entities and therefore the subjects are not covered by the Privacy law. Nevertheless, all subjects must submit personally identifiable health information and in the course of research or procedure, a subject may be harmed. This is an uneven application of confidentiality and the Privacy law that gives more benefit to a patient than a research subject. Medical research in particular has a participant and some experimental procedures are accomplished with the patient as the subject in the belief that the experiment could bring positive results to the patient specially, when there is no definite answer to a needed treatment. According to Fremgen B.F. (2009), ethical issues arise when there is harmful effect to the patient from experimental procedures. Lack of understanding and communication remains a big barrier to ethical issues. Somehow the creation of the Privacy Law did not consider the welfare of the research subject, yet they are likened to a patient who undergoes procedures, submits identifiable health information, and when procedures are not perfect, may also suffer harmful consequences. The other bothersome issue is when the bodily parts contributed by the participant are sold, reused or endorsed to other institutions for other purposes. Other issues pertain to the interest of the researcher placed above the interest of the patient (B.F.Fremgen2009). Informed and voluntary consent from participants are used as shield in order to further the research activities, but privacy and confidentiality are both compromised on research participants and must also be incorporated. Proposed Solutions In California, where the biggest budget for stem cell research is allocated, the California Institute of Regenerative medicine (CIRM) in their objectives has encouraged institutions and researchers on the development of best practices in hSC projects. Institutional Review Boards (IRBs) at each research institution must be responsible for the proper review of projects involving human participants. The regulations of the CIRM implies that donor  consent must be understood fully by the participant, maintain a clear record of every embryo, strict accounting of donated cells, and must always be consistent with existing laws. In fairness to the donor, any medical complication must be treated fully, and the donor must not bear any cost for any treatment (G.P Lomax, Z. Hall, B. Lo, Responsible Oversight of Human Stem Cell Research: The California Institute for Regenerative Medicine, 2007) The foundation for all procurement of biological materials can be summed in informed consent. Authorizations and voluntary consent must be explicitly understood by the donor and must be presented with choices they can understand including the information regarding the destruction of the cells, commercial application and sharing (L. P Knowles, Issues in Procurement of Embryonic Stem Cells: Informed Consent and Conflict of Interest, n.d.) Information management system must be in place for protection of confidentiality. In most instances, the system must protect the anonymity of the donor to safeguard privacy. There will always be people who would donate biological materials for their own reasons beyond ones understanding. These individuals must be informed fully of the consequences and possible risks. In some places, inducement of monetary consideration is prohibited. However, there are instances when the donor sincerely commits to help in exchange for some requirements like burial assistance when deemed terminally ill. Ethical issues and personal choice of the donor must be taken into consideration at all times and the option to donate must be free from pressure. In some parts of the globe, there are ads roaming related to procurement of organs from individuals who are impoverished and destitute. The government and the public must be vigilant in exposing this black market trade of organ trafficking so as to safeguard the dignity, confidentiality, and humanity in general. The mainstream media must be cooperative in relaying to the public not only the positive implications of medical research but also the contrary, so that that knowledge and understanding of present scientific advancement and problems may be learned. The Administrator and Ethical Issues An administrator who is engaged in a healthcare institution where research activities are occurring commits to a heavier burden of maintaining the place for it to be free of ethical issues. Aside from the issue of  patient care, privacy, lack of resources, maintaining regulations, and promoting goodwill, the needed knowledge on the requirements or regulations on research must be understood. The administrator must be adept at ethical analysis and organizational policies. Many have not been through a lot of experience related to research institutions but according to Fremgen B. F. (2009), â€Å"Adherence to bioethical principles involves the entire healthcare team, not just the physicians† (pg. 251). The ethics of the institution must be in accord with the staff and conflicting values should not prevail. The administrator must know how to initiate educational sessions and communicate the ethical values even with the integration of research and experimental procedures. References Siegel, A. Ethics of Stem Cell Research, Stanford Encyclopedia of Philosophy, rev. Jan 28,2013 Retrieved from: http://plato.stanford.edu/entries/stemcells/#EthDesHumEmbForRes Knowles, L.P. Issues in Procurement of Embryonic Stem Cell: Informed Consent and Conflicts of Interest, Retrieved::http://www.stemcellnetwork.ca/uploads/File/whitepapers/Inf Consent-and-Conflicts-of-Interest.pdf Institute of Medicine (US) Committee on Health Research and the Privacy of Health Information: The HIPAA Privacy Rule; Nass SJ, Levit LA, Gostin LO, editors. Washington (DC): National Academies Press (US); 2009.Retrieved from: http://www.ncbi.nlm.nih.gov/books/NBK9573/ Lomax GP, Hall ZW, Lo B (2007) Responsible Oversight of Human Stem Cell Research: The California Institute for Regenerative Medicines Medical and Ethical Standards.Retrieved http://www.plosmedicine.org/article/info%3Adoi%2F10.1371%2Fjournal.pmed.0040114 B.F. Fremgen, Medical Law and Ethics (Third Ed. 2009)