Saturday, August 31, 2019

Influences of Cartoons on Children Essay

Children watch on television a lot of kind of cartoons like Tom and Jerry, SpongeBob, Mickey Mouse and others. Many parents agreed today that every child is interested in cartoons. It is very good if a child watches only educational cartoons, but there are a lot of cartoons which have bad influences on children. However, nowadays children become addicted to watching cartoons and, as a result, there are a lot of debates about whether children are affected by cartoons more positively or negatively. Some people, especially elder people, state that cartoons in the Soviet Union were kinder, more colourful and harmless. Unfortunately, these people claim that today’s cartoons have more violent acts that cartoons during their childhood. In contrast, younger generation mentioned that cartoons are not bad for children. Also, a research review on watching cartoons and language in the early years, conducted by Robin Close on behalf of the National Literacy Trust, found that for children aged two to five, good-quality educational television can have a positive impact on attention and comprehension, receptive vocabulary, some expressive language, letter-sound knowledge, and knowledge of narrative and storytelling (Close, 2004). So, although, cartoons can be educational and entertaining, many people believe that modern cartoons are very violent, create false sense of reality and negatively affect the development of children’s social skills. Firstly, while watching cartoons, children’s brain processes a lot of violent acts. There are a lot of children who suffer from mental and psychological diseases because of cartoons. Most people think that cartoons are colourful and harmless movies for children. However, it is not true. Children from the age of two or earlier begin to watch cartoons. Unfortunately, they see some materials, which are not acceptable for their age. Also, most cartoons contain violence, which can affect child’s mind. One example of such kind of cartoon is Tom and Jerry. Tom always tries to hurt and catch Jerry, but usually he is the one who is injured. One of the studies indicates that boys are more affected by violent cartoons then girls (â€Å"Effects†, 2011). Also, cartoons can be addictive. Children spend more and more time watching cartoons and cannot live even a day without this process. Adults have to understand that cartoons with violence will influence child’s brain. So, cartoons can negatively affect children and lead to some diseases. Secondly, children a re unable to make the distinction between reality and fiction, they cause harm to themselves by imitating what they see in cartoons. There are a lot of cartoons which show how some characters are jumping, diving and shooting each other. In cartoons, people jump from high buildings and they do not have any injuries. After watching such kind of cartoons, children have an incorrect sense of real life. It can leads to some injuries or dangerous situations or even it can kill a child. According to Choma et al. (2004), for every hour of TV viewed per day, the risk of injury rose by about 34% in the children studied (p.5). Children can try to do what their hero did. â€Å"There are three major television effects on children : not sensitive to the pain of others, children who watch violence do not fear violence nor are they bothered by violence in general; and finally, kids might become aggressive and even can hurt others† (Choma et al., 2004) (p.3). Finally, children do not develop good social and communication skills. There is a growing body of opinions among professionals that an increasing number of children are suffering from communication difficulties. Children need to be confident communicators in order to hav e happy, fulfilled and successful lives. Verbal communication is the method used by the vast majority of people to communicate. People use it to have their needs met, to indicate their likes and dislikes, to request information, to refute something, to socialize, as well as to establish and maintain relationships. The ability to communicate is the basis of social and emotional well-being. Children who have difficulty communicating often go on to develop behavioral problems, mainly due to their frustration at not being able to express their needs, participate in social exchange and achieve in education. These children do not ‘grow out’ of their difficulties as education progresses. However, there are a lot of educational cartoons on television which can give moral lessons and entertainment to children. Educational cartoon characters help children become comfortable to express their feelings. Children learn so many new things. When a child begins to watch educational cartoons he finds out a lot of new things before going to school. While watching cartoons, children try to repeat everything that the ir favorite character says. They try to speak in the same manner. After that they can tell it to other people. So, they improve their speaking skills. Cartoons are also a source for entertainment. Each child spends around two or three or even more hours per day watching cartoons. A child from the time when he starts school until his graduation watches TV around 18,000 hours (Choma et al., 2004). Indeed it is real interesting for children to watch cartoons and it is real a good source for entertainment. In conclusion, adults have to understand that it can really influence a child’s brain and can push a kid to do terrible things, it can be dangerous for children because they try to do unreal things after watching cartoons. On the other hand, there are many cartoons which teach children new things which can be useful in future child’s life. So, parents should choose a good environment for their children which will protect them from some failures. Next generation is the future and adults today have to care about their future life. References. Gunter, B. (2000). The impact of television on children`s antisocial behavior in a novice television community. Child Study Journal; 30 (2). Retrieved from http://web.ebscohost.com/ehost/detail?sid=e314cccf-8419-46fd-b27e-175f4e7b01a9%40sessionmgr104&vid=1&hid=104&bdata=JnNpdGU9ZWhvc3QtbGl2ZQ%3d%3d#db=hch&AN=4055672 Choma C.J, Hossler S., Leu R., Nelson D., Ray S., Wilcox B., Ybarra B. (2004). Effects of cartoons on children. Retrieved from http://www.bgsu.edu/departments/tcom/faculty/ha/tcom103fall2004/gp9/ Josephson, W. (1995). Television violence: A review of the effect on children of different age. Retrieved from http://www.mediaawareness.ca/english/resources/research_documents/reports/violence/upload/television_violence.pdf Osofsky, J. D. (n.d.). The impact of violence on children. Retrieved from http://www.icyrnet.net/UserFiles/vol9no3Art3.pdf Thompson, A. (n.d.). Pros & Cons of cartoons on kids. Retrieved from http://www.ehow.com/list_6874711_pros-cons-cartoons-kids.html

Friday, August 30, 2019

Project Management Recommendation Essay

In response it is to your previous E-mail with the attention of the projects of Juniper, Palomino and Stargazer. The team is found and analyzed the three projects, assessed the risk that each project contains as well as returns on investment (ROI). There are many aspects one should think over when performing an investment decision. These may include the hypothesis of underlying the potential benefits and the ability to calculate and quantify the costs and benefits. However, the team concluded Stargazer Project in the best option comparing to other two projects. The logic behind for not selecting the other two projects is that juniper’s risk of completion of the project on time is low. While is Palomino not valued at with the medium risk of completion and the uncertainty of the costs of the products. The procedure used for reaching the decision was by utilizing the feasibility study. In addition to that, the feasibility study was based on the information observed the team durin g the initial stage of the project. This will define and summarize the findings of these projects in a way that supports sound decision making. The reason of introducing the feasibility study is to provide reliable analysis for the project that will make sense to the company in general. Furthermore, it will answer several important questions concerning of the project these may include length of the project, benefits and risks and Return on investment (ROI) to Piper Industries. Introducing the feasibility study for both Juniper and Palomino projects, materials introduced would not present as with the Stargazer model. Although is Stargazer carries the highest risk comparing the other projects. The team believes bases on the analysis that it provides accommodation for the project to perform high-risk, high- reward. After the actual risk of the project has been acknowledged, the project team estimates the risk based on the probability that may likely  happen, and the possible loss related with the project. To mitigate the risk the team will search an alternative to reduce the operating costs as its forecasted the derivative product will cost more. The fundamental decision of the big- picture is what mix of projects is best for the organization. A company must have the right mix of the projects that extremely assists the company’s strategy. This can be aligned Stargazer model because of the research and the development previously started for the new widgets as well the significant changes that will provide modern markets. (Jacobs & Chase, 2011). Break- Even Analysis Break – even analysis helps to provide reliable information between sales and profits as well as the costs. It also contributes an analysis the amount of success of the project must achieve. Finally, the approach presents to organizations a benchmark to compare a process or a project to what level of operating leverage will create better profits. However, comparing the projects’ Stargazer is the most likely project that will create the highest revenue. (Jacobs & Chase, 2011) The five phases of project planning A project is a set of activities that normally coordinate toward some major output and planned considerable period of time to carry out. In the meantime, project management is described as planning, directing, and controlling resources, which are the people, equipment and the material in order to meet the technical, cost and the limitations of the project. (Jacobs & Chase, 2011), There are five distinctive phases in project management that imply the stargazer model. First-Phase is the Project Conception and Initiation. The focal point of this phase is to secure the project that it is demonstrated into practical and will benefit the Piper Industries Corp. Second phase is project definition and planning. During this phase, the extent of the project will require an outline so the work which has to be performed is attainable. These may include activities that arrange budgets and timelines. Furthermore, planning incorporates the creation of clear and precise objectives defines the work  activities that have to be done in order achieve the planned objective. The purpose may necessitate the achievement of a condition that varies from the present one. Third Phase is the project execution. In this phase, the team must start executing the project against their assigned responsibilities. This phase is where every team member will start the task. It will coordinate the team and the resource to execute the different tasks of the project. Fourth Phase is the project controlling and Monitoring. In this phase of controlling the project manager must start monitoring the situation closely in order to make sure that the tasks are moving as it is planned. There are several ways to control the project this may involve a check – ins with team and more official weekly meeting, together with organized daily stand -ups are considered productive. (Jacobs & Chase, 2011) Project close when all the tasks of the project are approved the firm. The project is officially closed. The manager of the project must organize all the necessary information for future reference. Key Deliverables The Stargazer project is based on the content in order to meet clear deliverable in a matter for the firm to be successful and to consider the project beneficial. Researching and developing new widget and delivering such an innovative product to the market will help in the long-term strategy. References Chase, R. (2011). Operations and supply chain management (13th ed.). Boston, MA McGraw – Hill Irwin .. Jacobs, F. R., & Chase, R. (2011). Operations and supply management (13th ed.). Boston, MA: McGraw-Hill Irwin Project Management Recommendation Email [Multimedia]. Retrieved from University of Phoenix, OPS/571 Operations Management website.

Thursday, August 29, 2019

An Economic Look At Guatemala

The population of Guatemala has been quickly spread outing over the past 20-50 old ages harmonizing to information provided by the U.S. Census Bureau. In 1960, the population was a modest 4,099,721. By 1985, nevertheless, its population had grown to 7,580,844 with no mark of decelerating down. Today the population is 13,550,440 and its growing rate is decelerating down towards a more modest per centum. In 1985, a growing rate of 3.1 % was recorded along with a high birthrate rate of 5.7 per adult female. Today, the growing rate has been reduced to 2.0 % with a birthrate rate of 3.4 per adult female and is expected to go on decelerating down through 2025. This current birthrate rate is still much higher than the norm which is around 2 and indicates that Guatemala s population is go oning to increase albeit a little more easy than experienced in the 1980 s. The current age pyramid, as can be seen in figure 1 below, indicates that a big per centum of the population is less than 20 old a ges of age and a much smaller part are more than 65 old ages of age. This shows there was still really strong growing in recent old ages which produced many immature kids and grownups. The gender dislocation of the current population is about even with a male population of 6,685,453 and a female population of 6,864,987. At the expected growing rate degrees, Guatemala s population is expected to duplicate by 2050. There are several factors that contribute to Guatemala s high growing rate tendency which are really typical symptoms of less developed states. Guatemala s economic system s largest industry is in agribusiness which creates a high inducement for households to bring forth many childs to assist work on the land. This is evidenced by the higher birthrate rate of rural adult females versus urban adult females. On mean, rural adult females have 2 more kids than urban adult females. Besides, there is a really big economic spread between the rich and hapless. In order to keep themselves in their older age, Guatemala s aged rely on their kids to take attention of them. This means that the aged will hold more security if they have more kids. Birth control techniques are besides non promoted by Guatemala due to their strong Catholic background. Due to Guatemala s hapless economic status, many older people do non hold entree to proper medicine which causes them to decease at a younger age. Thes e many factors have resulted in the really high growing rates experienced in Guatemala over the past 50 old ages. HEALTH A ; WELFARE: In chiefly the rural countries of Guatemala, there are high rates of enteric diseases and infant mortality due to the inadequacy of Guatemalan wellness services. Conducive factors to these jobs are famine and minimal usage of sanitation. To help those with these medical jobs, there are infirmaries that provide free health care in communities that are reasonably big, and there are besides a assortment of private infirmaries. These infirmaries are maintained by the Ministry of Public Health and Social Assistance. To assist better rural dweller s wellness s, there were rural wellness Centres established in 100s of parts during the 1980 s. Since the 1980 s, there has been betterments in these Centres, yet many of the persons of the rural countries of Guatemala are malnutrition and are in demand of medical attending but lack the entree. ( Stansifer, C. , Griffith, W. , A ; Anderson, T. ( n.d. ) . Guatemala. Retrieved September 29, 2010, from lt ; hypertext transfer protocol: //www.histo ry.com/topics/guatemala gt ; ) . With respects to the wellness and public assistance of the people in Guatemala, The grade of major infective diseases is high. Such diseases are nutrient or waterborne diseases: bacterial diarrhea, hepatitis A, and typhoid febrility vector borne disease: dandy fever febrility and malaria H2O contact disease: swamp fever ( 2009 ) ( Guatemala People 2010. From lt ; www.theodora.com/wfbcurrent/guatemala/guatemala_people.html gt ; ) . Harmonizing to gapminder.com, the current infant mortality rate per 1000 births is 28.63 ( Indicator gapminder infant deathrate. ( n.d. ) . Retrieved October 1, 2010, from lt ; hypertext transfer protocol: //spreadsheets.google.com/pub? key=phAwcNAVuyj0NpF2PTov2Cw ) and the maternal mortality rate per 100,000 births is 88.28703 ( Maternal Mortality Ratio 1800-2008. ( n.d. ) . Retrieved October 1, 2010, from lt ; hypertext transfer protocol: //spreadsheets.google.com/pub? key=pyj6tScZqmEcVezxiMlWaRw gt ; ) . From the 1800s to the 1980s, the life antic ipation at birth went from being 26 old ages to 57 old ages and so increased to 71 old ages by twelvemonth 2000. Energy: Following the 1996 Peace Accords, which ended about 40 old ages of civil struggle, Guatemala has enhanced their substructure sing to electricity and telecommunications. Electricity, sanitation services, and H2O have been improved and have resulted to an addition of over 40 % . Prior to the Peace Pact of 1996, many of the autochthonal, hapless, and rural persons were non likely at all to be the receiving systems of new substructure connexions as they are presently twice every bit likely to be. The usage of telephones, chiefly cellular phones, has increased from 4.2 of denseness in 1997 to 19.7 of denseness in 2001. Furthermore, since the terminal of the civil war, there has been an addition in public phones for rural locations. ( Ike-Okoh, C. ( 2010, April 19 ) . Retrieved October 9, 2010, from lt ; hypertext transfer protocol: //businessdayonline.com/index.php? option=com_content A ; view=article A ; id=10232: do-not-ignore-the-need-for-infrastructure-reform A ; catid=44: busines s-intelligence A ; Itemid=318 gt ; ) . Using both renewable and non-renewable resources, the state has the ability to bring forth energy on its ain. Using air current, Sun, biogas, hydro, energy harvests, bioethanol, and biodiesel, Guatemala could bring forth around 13,800 MW. ( Rivera, M. ( 2010, March 27 ) . Sustainable Energy for Guatemala [ aˆÂ ¦ ] . Retrieved October 9, 2010, from lt ; hypertext transfer protocol: //www.reeep.org/index.php? id=51 A ; content=2659 gt ; ) . The state s authorities has created a programme specifically for the enlargement of energy beginnings for the indigens and for fuel variegation providing a long-run solution. Economy: Guatemala is the most to a great extent populated and largest state in Central America. With respects to the economic system in Guatemala, agribusiness is the most of import because through agribusiness they obtain most of their money. Their chief merchandises of exporting are java, bananas, and sugar. They presently are exporting 75 % of these goods to assorted states and their Gross Domestic Products ( GDP ) are at about 15 % . This shows Guatemala s overall economic end product. Furthermore, other goods and services in this state include winter veggies, fruits, dress, fabrics, cut flowers, and touristry. The private sector which supplies about 85 % of GDP controls Guatemala s economic system. On the other manus, the authorities merely has a limited engagement in the economic system which is to airdromes, docking and other ports, public utilities, and legion development-orient fiscal establishments. With respects to the stabilisation of macroeconomics, Guatemala has had of import betterments since the 1996 Peace Pact. These betterments have been made through policies and structural reorganisations to promote territory economic integrating every bit good as advancing growing. The addition of higher economic growing and low public debt in recent old ages was due to robust remittal. However, Guatemala is susceptible to external daze due to its unfastened economic system. Because of this, Guatemala s economic system is unpleasantly impacted by the planetary economic crisis. Therefore, remittals, falling exports, and capital influxs are grounds for Guatemala s economic system to quickly decelerate down. When taking into history, income disparity in this state, there is merely 2.6 % of income inequality with respects to labor and developing experience, 15 % of income inequality with respects to instruction in human capital, 6 % of direct consequences of gender and cultural favoritism, 2.5 % of income disparity between freelance and paid workers, 3.6 % of income spread between informal and formal divisions, and 2.4 % of non-labour net incomes. Among the three classs used to break up non-labour income, factor payments have the largest engagement, explicating 1.1 % of income derived functions. ( Alejos, L. A. ( n.d. ) . Contribution of the determiners of income inequality in Guatemala. Retrieved October 8, 2010, from lt ; www.uwcades.org/papers/alejos2003.pdf gt ; ) . Last, the disparity of the country of life is calculated to be 3.4 % . Table 1 on page 8, indicates the contributed determiners at a national degree of income disparity. ( Alejos, L. A. ( n.d. ) . Contribution of the d eterminers of income inequality in Guatemala. Retrieved October 8, 2010, from lt ; www.uwcades.org/papers/alejos2003.pdf gt ; ) . Obstacles: Guatemala is a really developing state in many countries such as political relations, economic sciences, and instruction which creates obstructions to sustainable development. The authorities of Guatemala is a really immature democracy that has been formed through many old ages of civil war. In order for Guatemala to make, keep, and implement governmental policies that will lend to the state s well-being, it must hold a dependable and trusty authorities. Currently, authorities functionaries are easy bribed and policies are formed with a really colored influence. Drug trafficking, money laundering, and illegal foreigner smuggling are all major jobs in Guatemala that leads to a more corrupt and less stable society. The deficiency of a proper instruction, particularly for rural kids, proves to be a immense job in making a more productive economic system. Almost half of Guatemala s economic system is dependent upon agribusiness. Thus, many rural households grow up working on farms instea d than acquiring a proper instruction. The deficiency of installations, particularly in rural countries, besides hinders Guatemala s ability to educate their young person. Guatemala s economic system is undiversified and relies chiefly on agribusiness, and in peculiar java beans. The clang in the agricultural markets, the down monetary values for java beans, and the widespread planetary recession in 2001 has proved how delicate Guatemala s development is due to its dependance on a individual industry. In order to hold sustained development, Guatemala would necessitate to educate its population and diversify its economic system. It would besides necessitate a dependable and responsible authorities to supply the proper leading in the face of so many challenges. ( Guatemala. ( n.d. ) . USAID from the American People. Retrieved October 11, 2010, from lt ; www.usaid.gov/policy/budget/cbj2004/latin_america_caribbean/guatemala.pdf gt ; ) . Figure 1: Degree centigrade: UsersArteeDesktopIntroduction to Environmental StudiespopulationPyramid.php.jpg Beginning: U.S. Census Bureau, International Data Base. Table 1: Contribution of the determiners of income inequality at a national degree Beginning: Contribution of the determiners of income inequality in Guatemala. Luis Alejandro Alejos. October 2003.

Wednesday, August 28, 2019

1 page summary of the article Essay Example | Topics and Well Written Essays - 250 words

1 page summary of the article - Essay Example Two problems associated with identification of ethics are: how we base our standards and how those standards are applied to specific situations. Five sources of ethical standards that can be used to identify and analyze ethics are: the utilitarian approach, rights approach, fairness or justice approach, common good approach, and the virtue approach. The utilitarian approach deals with bringing the greatest good to the maximum amount of people. Politicians often use the utilitarian approach in their decision making. The moral approach protects and respects the moral rights of those affected. The justice approach states that everyone should be treated equally. The common good approach suggests that the interlocking relationships of society are the basis of ethical reasoning and that respect and compassion for all others, especially the vulnerable, are requirements of such reasoning (Scu). The virtue approach states the ethical matters should be guided by the ideas of virtues that provide development for our society. To make good ethical decisions employees need proper ethical

Tuesday, August 27, 2019

Reflections Assignment Example | Topics and Well Written Essays - 750 words - 1

Reflections - Assignment Example Personally, I agree with Lewis’s saying that the ultimate price that we pay for losing those we love is pain and grief (Tesiik, 2001). I saw my mother, G.M struggling with the pain of losing my stepfather. Thus, she was paying a price for the commitment and love that she accorded my stepfather. Connection to saying. The saying relates well to the scenario of my mother, G.M. As pointed by Lewis, one can go through a series of pain if she loses the object of her love. G.M was indeed in deep love with my stepfather. She went through series of pain and episodes of depression attributable to cognitive response. As a result, she is suffering from Alzheimer and Parkinson’s diseases. Description of manifestations of grief. Grief manifests itself in four different ways including feelings, physical sensations, cognitions, and behaviors. Feelings are often diverse and take different turns. Sadness is a feeling that many individuals experience after losing the persons that they love or have a close attachment (Loos, Willetts, & Kempe, 2014). My mother, G.M experienced this when she lost my stepfather. Individuals often demonstrate sadness by crying. Crying is a gesture that arouses a protective or sympathetic reaction from other individuals. Complicated grief may result if individuals fail to express sadness with or without the accompaniment of tears. I felt sad when I watched G.M writhing in pain. Anxiety is a common feeling that relates to the loss and it often originates from the fear that the bereaved may not be in a position to take care of themselves. There are different ranges of anxiety and can extend from mild to extreme forms of panic attacks. Grief also manifests itself through cognition. In most cases, a cognitive response often occurs after an individual develops varied feelings. As I have outlined above, my mother G.M experienced different feelings of sadness, and anxiety after the loss of my stepfather. It is through this happening that I realized

Monday, August 26, 2019

Marketing transportation Essay Example | Topics and Well Written Essays - 250 words - 2

Marketing transportation - Essay Example A different political limit includes embargoes, or the ban of goods amid specific countries. Government plays an imperative role in restriction of cross border trade so as to promote their own goods. The government can involve itself with constructing marketable vessels and engaging in trade related activities so as to promote their own commercial fleet. The regime also supports their individual carriers through the implementation of cargo preference regulations. This needs the approval of the government to enable the careers to move freely in their countries. In the past, various global airlines were governmental owned with the state dictating their operations. The past 25 years have seen some government sponsored carriers being privatized. British Airways was owned by the government in 1980s (Czinkota, Ilkka and Marta). Logistics performance guide is an index to measure a country performance using six logical aspects. It was started as a way of recognizing the significance of logistics in international trade. The six aspects of logistics covered in the regulations include making the clearance process efficient by enhancing speed, procedures and inevitability. The use of border agencies and customs ease the process. It deals with improvement of the quality of trade and infrastructure such as the transport system. Performance index helps in simplicity of arrangement of competitively priced shipments, proficiency and value of logistics. This includes transportation operators and custom agencies. The performance index encourages the ability of the custom body in tracking and tracing goods. Ships are more efficient in that they are expected to follow a strict timetable and schedule so as to reach the predictable destination on

Sunday, August 25, 2019

Is water a natural right or is it a commodity Essay

Is water a natural right or is it a commodity - Essay Example Different civilizations throughout history considered water as a mutual property resource and not an open access resource. Hence there were different priorities over water usage. Drinking water had the highest priority; nobody who wanted drinking water was turned away. The community well dug by the community in general was freely used by the community. In a civilization like Rome, shows a typical example of how water was allocated when there was an actual allocation and sanitation system. They had an unrestricted water source recognized as the lacus. Here the Romans rich or poor could collect water for free. The use of lacus required one to transport the water to their private homes using their own labour and money. Then there was another kind of executive supply of water whereby the water would be delivered to the homestead via pipe for a fee. It was an actual right recognized by the Roman and the Jewish law which was known as the â€Å"Right to thirst†. This shows that human beings since the early civilization have recognized water especially drinking water as a human right and not a commodity (Branco, 150). In today’s world, international human rights and law have been put in place which acknowledges water as a human right and not a commodity. This was agreed on after a lot of discussion and debate by 122 countries. This decision was arrived at formally in 28 July 2010. This was done in a General Assembly (GA) resolution (A/64/292 which was established on draft resolution A/64/L>63/Rev.1.) It led to the UN Human Rights Council espousing an obligatory resolution that acknowledged that the human right to water and sanitation is an element of the right to a sufficient standard of living. Although it is recognized in international law it cannot be imposed in the national echelon until it’s integrated into the national legislation (Gupta, 304). This resolution confirms that the human right to nontoxic drinking water and sanitation is originat ed from the right to adequate standard of living and is inextricably tied to the right of the highest possible standard of physical and mental health, also the right to life and human dignity. This right places several responsibilities on governments. They are meant to ensure that all their citizens can access sufficient, uncontaminated water and affordable in an equal manner. Some of the uses that water should be availed for include drinking, personal sanitation, washing clothes, food preparation and personal hygiene. The States should ensure that first priority should go to personal and domestic uses over other uses. This water should be sufficient, clean affordable and accessible. Governments should also take up secondary priorities of irrigation and availing water for manufacturing in an affordable manner (International water sanitation center, 204). The number of people unable to access clean and improved sources of domestic and drinking water is 780 million and at least 2.6 bi llion lacking access to sanitation services. This shows that still a lot has to be done to make sure water is accessible to all in the planet. Other problems that have afflicted secure and accessible sourcing of water is the cross-border conflicts in the Middle East, The Eastern Mediterranean and other parts of North America. Some non-governmental organizations (NGOs) and researchers have tried to establish the fact that the right to water is also

Critical Analysis two Prescribed Journal Articles Essay

Critical Analysis two Prescribed Journal Articles - Essay Example d social norms, or simply because these individuals cannot reach a win-win consensus and one among the conflicting party feels that their needs are being targeted for criticism. This article covers virtually every dimension of conflict, giving it more reliability. The article also involves different aspects of psychology, such as emotional outcomes or using various hostile actions to project one’s emotions on another and, generally, conflict requires a negotiation style in order to resolve it. It also involves sociological elements such as cultural values and how one within the organisation related to cultural symbols and diversity. A secondary article, â€Å"Intraprofessional relations in nursing† describes a primary methodology as an explanatory research case study that measured nurses’ interactions in three different wards of a real-time hospital environment. It describes a rigorous data collection effort and then proposes the consequences of multiple, complex interactions between nurses and their emotional responses to these conflict scenarios. It offers various findings about the nurses involved in the study and how they balance their emotional responses to perceived or actual conflict that occurs in everyday nursing practice. The article entitled â€Å"Conflict within nursing work environments: concept analysis† by J. Almost describes a secondary research effort to uncover the causes of conflict, rather than attempting to use different conflict management theory to come up with a working solution to problems in the nursing workplace. Therefore, it is somewhat exploratory in nature, though through the use of secondary research sources. The target audience for this paper is generally the practicing nurse, any clinical administration team, and the management systems that govern the nursing work environment. It is not aimed at the general public. In its literature review, it describes the idea of concept analysis, using different supporting literature to

Saturday, August 24, 2019

SPECIAL EDUCATION AND RELATED SERVICES OF SPECIAL EDUCATION Research Paper

SPECIAL EDUCATION AND RELATED SERVICES OF SPECIAL EDUCATION - Research Paper Example It is at this point that special education, or special needs education sets in. To this end, special education refers to the learning programs, institutions, or systems that are specifically designed to cater for students with special needs (Morellion 2007, p. 87). These educations systems have to be structured in a manner that ensures all the inadequacies of the students with special needs are met in a way that tries to keep them at par with the regular students. As such there are certain assigned effective models for providing these secondary special education services. An effective model for secondary special education services has to factor in quite a number of aspects to ensure that the students can get the best from it. For a start, it has to understand that the students are specialized in such a manner that they need special attention to be able to learn as effectively as the rest. Moreover, the specialized approach needs to be unique to each and every student with a special need. This is due to the fact that special needs students vary in terms of specific needs and individualistic traits. These include the strengths and weaknesses of each student, their processing and cognitive abilities as well as the specific form of disability that they may be possessing (Lian and Kim 2002, p. 131). In this line, a mental disability has to be treated differently from a physical deficiency. Similarly, the same type of disability has to be treated differently across different age brackets. Consequently, a model that identifies the specialty in special needs education is expected to be more effective than that which generalizes and does not give any unique attention to individualistic traits. One of the most effective models for providing secondary special education is the collaborative model for secondary special education services. Through this model, both a regular teacher and a special education teacher work collaboratively to provide

Friday, August 23, 2019

Social Determinants of behaviour Essay Example | Topics and Well Written Essays - 1500 words

Social Determinants of behaviour - Essay Example Social Determinants of behaviour This paper focuses on the psychological approach to explaining the reasoning behind prejudiced behavior still occurring in society today despite social sanctions that have been put in place against it. Negative behavior involving prejudice has been punished over the past several decades due to social sanctions being put into place. These sanctions have resulted in many individuals who would otherwise display prejudice behavior to change their stance or to at least keep their opinions to themselves and not act out in public. However, quite a bit of prejudice behavior still appears in society despite these social sanctions being put into place. There is a social psychological reason for this prejudice behavior continuing in society today. Among the things contributing to this fact are social cognitive processes such as stereotypes and categorization, as well as psychological theories, concepts, and research. According to Kanlouh, Koh, and Mil, "In culturally diverse and immigrant receiving societies, immigrant youth can be subject to prejudice and discrimination. Such experiences can impact on immigrant youth's cultural identity and influence their psychosocial outcomes. Four main themes emerged on participants' experiences of prejudice and discrimination: (a) societal factors influencing prejudice; (b) personal experiences of discrimination; (c) fear of disclosure and silenced cultural identity; and (d) resiliency and strength of cultural identity.† " Policies and practices that are inclusive in nature need to be put into place in order to counteract the disintegration of youth. The problem is not limited to just general culture. A big problem occurs in school systems throughout the world as well. According to Valeo (2009, pg. 1), "Ontario's current education system is struggling with the task of fully including children with disabilities in the regular classrooms of their neighbourhood school. While many educators understand that it is wrong to deny admission to publicly funded schools because the child may be Black or female, they nonetheless feel that segregation of students with disabilities is warranted and not discriminatory. An examination of their experiences using a narrative format seems to suggest that the institution of education has never welcomed difference in any form and at issue is not whether education can ever welcome students with disabilities, but whether it was created to be anything but an exclusive enterprise." Some people believe that prejudice occurs naturally, as in people are born with it, and that it does not develop as a result of society. Others disagree. They claim that it occurs because of how a person is raised, the situations that occur around him or her, or the like. In arguing the latter point of view, prejudice may occur as a result of the establishment of institutions, the status of a particular individual compared with those around him or her, a person's role in society, laws, belief systems, the overall distribution of the population, social currents, the experiences of groups, emotions, and urbanization (Valeo, 2009). There are both formal and informal social sanctions. An example of formal sanctions includes the law of the land. Examples of informal sanctions i

Thursday, August 22, 2019

Bleak House Commentary Essay Example for Free

Bleak House Commentary Essay The following is an analysis of a passage from Charles Dickens novel, Bleak House, in which a bleak and dreary atmosphere is conveyed. The first thing that is mentioned by the narrator in the first paragraph of the passage is mud, and this plays a significant part in the depiction of a filthy, dirty environment. The beginning line, As much mud in the streetsand it would not be wonderful to meet a Megalosaurus, forty feet long or so, waddling like an elephantine lizard up Holborn Hill uses hyperbole to suggest that the streets are so muddy that its almost like the beginning of the world, and it wouldnt be strange to see a dinosaur roaming around because of that. Also, the line Dogs, undistinguishable in mire. Horses, scarcely better; splashed to their very blinkers is an exaggeration of how the streets are so dirty that one cannot tell the different between the mud and the dogs, and even horses are up to their eyes in it. This shows us just how much mud and grime there is, and how dirty everything is. Another aspect in this passage is the dreariness and the bleak environment. This is expressed in the line Foot-passengers, jostling one anothers umbrellas, in a general infection of ill temper, and losing their foot-hold at street-corners, where tens of thousands of other foot passengers have been slipping and sliding since the day broke (if this day ever broke), adding new deposits to the crust upon crust of mud Firstly, the line jostling one anothers umbrellas suggests that the place is so overcrowded and uncomfortable that people are all bumping into each other, and that their ill temper is spread like a disease every time they come into contact, and it stirs in us a sense of claustrophobia because the people are all packed together. This adds to the implication that its a miserable and unpleasant place to be. Also, the fact that the foot-passengers are using umbrellas suggests that it is or has been raining, strengthening the general feeling of gloominess. Furthermore, the fact that the part of the line slipping and sliding since the day broke (if this day ever broke) is written in parenthesis suggests the sarcastic voice of the narrator, that he is mocking the foot-passengers ill temper and derisively commenting on the cold and depressing atmosphere, and this in turn reinforces that very fact. The use of sibilance in slipping and sliding further increases the effect of the dismal environment. The following line, Smoke lowering down from chimney-pots, making a soft black drizzle with flakes of soot in it as big as full-grown snowflakes gone into mourning, one might imagine, for the death of the sun is very effective in expressing how unpleasant the place is. The fact that the smoke is lowering down, instead of drifting upwards as it normally does, implies that the atmosphere is so oppressive that even smoke cant escape and is being pushed down. In addition, there is a personification of the soot and snow, as they have gone into mourning for the death of the sun. This could be an implication that the place is so gloomy and polluted that you can no longer see the sun, and that is why it has died, and is also why everything is black. This effectively intensifies the feeling of despair and dreariness that is hanging over the city, and the bleakness of the environment. The second paragraph of this passage concentrates mainly on fog and how it has been personified into a shadowy demon from which there is no escape. The first line of the second paragraph begins with Fog everywhere, and this alone is a very abrupt, aggressive statement that makes us feel, once again, slightly claustrophobic, as though there is fog pressing in all around us and that there is no escape from it. Subsequently, the lines Fog in the eyes and throats of ancient Greenwich pensioners, wheezing by the firesides, and Fog cruelly pinching the toes and fingers of his shivering little prentice boy on deck are examples of how the fog is personified, and made to seem sinister, omnipresent, like an oppressor that takes pleasure in attacking weak, vulnerable people like ancient Greenwich pensioners and the shivering little prentice boy. Another very effectual line is Chance people on the bridges peeping over the parapets into a nether sky of fog, with fog all round them, as if they were up in a balloon, and hanging in the misty clouds. The use of the verb peeping is very interesting because it means the people are looking quickly or secretly over the bridges, and it creates a sense of nervousness and apprehension, as though the people are frightened of the fog, thus making the fog seem all the more threatening. In addition to this, the use of parapets may not be just a reference to the sides of the bridge, as it also makes us think of castles, and so people peeping over parapets makes it seem as though they are under siege or under attack from an army of fog, which goes back to the allusion that the fog attacks weak or vulnerable people. Furthermore, the last part of the line, as if they were up in a balloon, and hanging in the misty clouds conveys a sense of helplessness, because when youre in a balloon you have very limited control, and this has been used as a metaphor to suggest how the people have no control over the fog and that they are trapped by it. Once again, this creates the feeling of claustrophobia and makes it seem overwhelming as there is so much fog and theres no way out. The structure of these this passage is very interesting to note. The first paragraph is almost conversational, as though the narrator is describing to us the many events of the day, while the second paragraph suddenly switches to more somber, grave narrative of the fog, and this affects us and makes us feel uneasy of the fog. This is also partly because the passage is written in the present, and so it involves us, makes us feel as if we are there in the dreary environment. Additionally, the elongated syntax of the sentences mirrors the long, miserable day and the never-ending fog, and this intensifies the gloomy feeling we get from it. In conclusion, this passage from Bleak House uses many different techniques such as personification, hyperbole and tone of voice to effectively express the dirty and gloomy environment and the general feeling of misery and despair.

Wednesday, August 21, 2019

Design Liability under National Engineering Contract (NEC)

Design Liability under National Engineering Contract (NEC) Design Liability under NEC Problem Every construction or engineering project is generally designed and occasionally defects occur as a result of defective design. These defects if possible then have to be rectified and this has associated costs. Where interested parties cannot agree on which of them is responsible for the defect they often seek a legal remedy to allocate costs. To avoid this legal entanglement the majority of construction projects are carried out under the relative control of a contract that identifies the party that is responsible for the design. The degree of liability depends on how the design responsibility has been allocated under the contract. However, the complicated interaction of various legal elements with contractual provisions can consequently make this difficult to determine. For practical use a contract should allow for the incorporation of clear acceptable levels of liability to both parties. Research by Gaafar and Perry (1998) suggests using a contract that allows for a spectrum of liability such as the NEC/ECC. This allows the level of responsibility to be tailored to the individual project by the inclusion of secondary clauses. Another consideration that must be investigated is that even if the design responsibility is not allocated under the contract, or no written contract exists, a level of responsibility under tort almost always exists. This responsibility is often forgotten and is rarely referenced in the contracts text. The level of design liability differs depending on what type of organisation the designer works for. For example, the level of design liability is the same in tort for a consultancys designer and a contractors designer, however, under a contract the level of liability may be different. In tort, the nature of the designers obligation is to exercise reasonable skill and care irrespective of the designers organisation. In contract, a consultancys designers liability is to exercise reasonable skill and care unless they know the purpose for which they are designing in which case a fitness for purpose liability is implied. Because of this risk of suffering an implied liability terms of engagement for a consultancys designer usually contract out fitness for purpose requirement. This is useful as no level of Professional Indemnity insurance exists to cover a consultancys designer for fitness for purpose liability and it is unlikely the consultancy would be able to independently cover the ris k. Even if a fitness for purpose liability is excluded, a consultancys designer could still be liable for not delivering the end result, if it can be proved that they did not use reasonable skill and care and has ultimately committed professional negligence under tort as well as being in breach of contract. As the tort of negligence is implied into both written and none written contracts, wherever a situation arises where one party owes another a duty of care, it is essential to look at its meaning. The Institution of Civil Engineers (2006) defines negligence as being based on the inflicting of injury or loss upon another person by failure to take such care as the law requires. A contractors designer suffers risk by reference to the statutory implied terms, under the Sales of Goods Act 1972 and the Supply of Goods and Services Act 1982, which will impose certain contractual warranties relating to merchantable quality and fitness for purpose, irrespective of what the contract says. The statutory implied terms give rise to risk for the designers contractor in that a contract which is silent on the point will impose on him a strict liability for all the obligations he has undertaken, including his design obligation. It is also worth noting that because of this, if a contractor chooses to appoint a consultancy designer under a subcontract, even if he is using the relevant standard subcontract form of the main contract, they may open themselves up to considerable risk. This is because they still have an obligation to deliver the end result that is fit for purpose, unless there are express provisions to limit liability. This why most Design and Build standard for m contracts limit the liability of the contractor for design to that of an architect under a traditional build contract. However, if there are express provisions in the contract to impose an explicit fitness for purpose liability on the contractor these provisions will then be subject to the Unfair Contract Terms Act 1977. As already stated, there are two levels of design reasonable skill and care and fitness for purpose. These two terms are the most commonly used and even though they are an over simplification it is important to define them in more detail. Fitness for purpose is just that, it should satisfy and/or deliver the clients requirements whereas reasonable skill and care can be further split into professional skill and duty of care. As well as carrying out their specialist skill competently the construction professionals have to exercise a defined level of care. This duty of care is based on foreseeability, where one must take reasonable care to avoid acts, omissions or statements, which could reasonably be foreseen to be likely to result in injury or loss to other people. The standard of care to be exercised is that of the ordinary, prudent person and will depend on the particular circumstances of each individual case. In the context of this proposal it would be the construction professionals, working for the contractor who must exercise due care to highlight errors when reading and implementing the clients design, or the contractors own designer who must exercise due care when creating and developing a design (Institution of Civil Engineers, 2006). The element of skill required by a construction professional, whether they are an engineer, designer, quantity surveyor or project manager is to carry out their own specialist skill competently. The courts have defined the specialist skill and competence on many occasions and the following direction to the jury in Bolam v Friern Hospital Management Committee [1957], has been adopted by the House of Lords and is frequently cited:- Where you get a situation which involves some special skill or competence the test is the standard of the ordinary skilled man exercising and professing to have that special skill. A man need not possess the highest expert skill it is sufficient if he exercises the ordinary skill of the ordinary competent man exercising that particular art (Institution of Civil Engineers, 2006). As previous research by Gaafar and Perry (1998) suggests, the NEC/ECC contract is an acceptable document that can be tailored to individual projects and remain workable and acceptable to both client and contractor. These advantages could explain why it has rapidly become the contract of choice for public sector work. Due to the economic situation that exists in the construction and engineering industry at present the majority of work is in the public sector and as a result is under NEC3 the most recent version of NEC/ECC form of contract. According to the Bank of England the current economic situation is going to continue for at least the next 6 months before signs of recovery start to filter through to the construction industry in the form of private investment. Because of this, more disagreements over design defects carried out under the NEC3 form of contract are probably going to go before the courts. It would be useful then for contractors construction professionals to know what design liabilities the contractor could be exposed to so that they can take steps to avoid any legal entanglement. This is especially prudent as the NEC3 contract does not include the term fitness for purpose in its text and instead relies on the works information given by the client to specify the performance requirements and secondary clauses to limit a contractors liability. When this information is incomplete or missing it creates a situation where the responsibilities and the end requirements are unclear and the contract reverts back to a silent position as discussed earlier and imposes a strict liability upon the contractor, unless secondary clauses to expressly limit liability are included within the contract document. Even where these clauses are included contractual warranties implied by the Sales of Goods Act 1972 and the Supply of Goods and Services Act 1982 may take precedence. It is important to note that in this silent position a contractor would not be liable for desi gn works carried out by subcontractors even if appointed by them under the relevant NEC3 subcontract form. The aim of the dissertation then, is to carry out primary and secondary research to determine whether, and if so, how, a contractors design liability can be limited to reasonable skill and care under the NEC3 suite of contracts. Your problem specification specifies the problem alright, but it does not indicate what can be done to resolve the problem or what issues need to be addressed in resolving this problem. These issues would form the basis of the ensuing chapters of the dissertation. There is a decided lack (although not a total absence) of appropriate citation to substantiate your many authoritative statements in the problem spec. Literature Review Current literature on the National Engineering Contract 3 (NEC3) includes legal cases, commentary or how to use guides and finally but not exhaustively research by construction and engineering academics and/or professionals. This literature individually covers the different aspects of design liability and the NEC3. Need to make more substantial to provide a structured overview. The NEC3 is endorsed and recommended by the UK Governmental Office of Government Commerce for use on all public sector construction projects. And because the majority of current construction and engineering work is in the public sector at present it is getting a lot of use and therefore it is important that those using it fully understand it. To that end Eggleston (2006) has written a comprehensive commentary on the NEC3. His commentary explains how each NEC3 contract is uniquely put together to meet the employers needs by assembling clauses from the option structure and by particularisation in accompanying documents. This commentary is particularly useful in that it helps the reader use the contract by providing step by step instructions to ensure the basic building blocks of the contract are set up correctly. A good example of this is the five steps that an employer must follow in order to create a set of NEC3 conditions for a particular contract. Egglestons (2006) commentary is an overview of the entire suite of NEC3 contract documents and gives a brief definition of the clauses. It does not give instruction of which combination of options and clauses to use but instead informs the user how to incorporate their chosen selection into a working document. On the down side the book does not give you enough legal analysis and only refers to a handful of cases and to this end does not highlight sufficiently what the repercussions of not getting it right are. This means unless the professional using it is fully versed or doesnt follow a commentary such as Egglestons to the letter they could end up in hot water regardless of what secondary clauses they think are in place to limit liability. Using Egglestons (2006) definitions of clauses and with cross reference to an NEC3 contract it is apparent that it is the secondary options X15 limitation of contractors liability for design and X18 limitation of liability are the most relevant to this proposal. This is because they are the clauses that can be included if agreed between the client and contractor to pre-determine the level of liability. Need to insert what Eggleston says Difference between two clauses and what they limitContradiction with works information Express catch all sentences added under Option Z or included in works info Egglestons thoughts on silent position Gaafar and Perry (1998) have written an insightful paper that is relevant to the proposed aim of this proposal. They based some of their findings on communication with an unnamed author involved in the development of the NEC. From this they discovered that these optional clauses came about due to legal advice that was given to avoid the term fitness for purpose and to the eventual adoption of the notion that the employer would either define the extent of his requirements for performance through the works information or would limit the liability through the choice of an optional clause. The term fit for purpose is very open to interpretation and could be a reason why it was left for the employer to fully define their requirements. Gaafar and Perry (1998) were unable to find a precise definition for the term fitness for purpose and concluded from comparing correspondence and discussion with unnamed legal academics and professionals that no such definition exists. This is hard to accept as regardless how many legal academics and professionals were contacted it is precedence set in the courts that establishes a meaning for the term not the legal academics and professionals opinion. It may be the case that these legal academics and professionals are unaware of any relevant case law and it is unlikely that they exhausted all published volumes. In addition Gaafar and Perry (1998) may have narrowed the question posed to the legal academics and professionals too much and a definition may exist in a non construction and engineering context that could be applied if the princi ples are the same. In addition to correspondence and discussion Gaafar and Perry (1998) also carried out a survey to determine the desirability to be able to adjust the level of liability. They highlight that 30% of clients questioned in the survey said that a fitness for purpose liability is not desirable as they recognise the practical and commercial problems it can cause. Gaafar and Perry (1998) expand on the description of these problems reiterating that professional designers do not have to carry a professional liability higher than reasonable skill and care and therefore no higher level of insurance cover exists. This means that the contractor can not obtain cover either and because of this if a fitness for purpose obligation exists and the design is carried out by a professional designer under a subcontract, the contractor can not pass this liability down to them. This leaves the contractor carrying a large uninsured risk. This unexpected result in their findings gives strong support to their re commendation of using a contract that allows liability to be tailored to an individual contractual situation. The theory and supporting research is comprehensive, however, the raw data is not given and it undermines their reasoning, as it is impossible to determine the significance of the results without knowing the sample size, methods used, the context and appropriateness of the questions. Gaafar and Perry (1998) was published in the International Journal of Project Management and looks at a number of problems associated with the interaction of legal elements and contractual provisions. They look at, but do not directly compare, a number of standard forms of contract and their individual advantages and disadvantages when the limitation of design liability is the key issue. The paper concludes by recommending the use of the NEC contract as they suggest it provides a spectrum of liability. Despite their suggestion of using a contract that allows a spectrum of liability they importantly acknowledge that a strict liability and obligations under the Sales of Goods Act 1972 and the Supply of Goods and Services Act 1982 exists and is difficult to sign away. This difficulty in signing away rights is also made reference to when they discuss liability under tort and the inclusion of express clauses to limit liability. These important points included by Gaafar and Perry (1998) are relevant to this proposal as they have a bearing on how effectively liability can be limited. Professor J. Perry and Dr H. K. Gaafar are academics at the School of Civil Engineering, the University of Birmingham and for this reason their assumptions on NEC3 in practice are likely to be based on 3rd part information and not their own practical experience within the construction and engineering environment. It is also worth noting that The Housing Grants, Construction and Regeneration Act 1996 (HGCRA) states that parties cannot sign away certain rights under UK law and current precedence will determine what obligations exist regardless of whether a clause was included to limit liability. The HGCRA forms the basis of the current UK law and as such must be treated seriously and acknowledged as the presiding authority on set aspects of construction projects. It is also important to note that the HGCRA is 13 years old and largely based on the report by Latham (1994), as such developments have happened in the way contracts are worded to either incorporate it or find ways around it. Egan (1998) suggests that a move to partnering and mutual cooperation will do away with a need for contracts. In this situation a strict liability will be implied by current UK law and legislation and as discussed a fit for purpose obligation will be the default situation. If clauses intended to limit design liability are not effective then Eagans (1998) view that; designers should work in close collaboration with other participants in the project will protect the contractors and reduce the risk as they will be fully aware of the requirements and ultimately able to deliver the end product that is fit for purpose. This work by Egan (1998) is a very theoretical academic view and 11 years on has not fully been adopted despite moves to create more trust through partnering, however, it does provide an alternative view to the confrontational and aggressive stand many contractors and clients are adopting in the economic down turn. Wallace (1995) states his opinion that the obligation to construct a work capable of carrying out its intended use overrides the obligations to comply with specification given in the works information. If this is the case even though a contractor may have produced a design that complied with all the works information, if the end result is not fit for purpose they are then responsible. This goes back to the implied obligation discussed earlier and responsibility of the contractor to request more information and highlight lack of clarity in the works information. They may have done everything including reasonable skill and care to produce a design that complies with the works information but if the works information was inadequate they were liable for not correcting this fault and therefore liable for not producing a design that could deliver. Wallace (1995) published this work a year after Latham (1994) and in a climate where a more progressive approach to construction was the new way of thinking, however, it ignores this work and focuses on fact and the law as it stood at the time. This is not a bad thing but when applying Wallaces work to contracts such as the NEC3 it does not always directly apply and extrapolation of the legal principles is necessary, however most are still the same and the book is still widely accepted and used. Jackson and Powel (1992) conclude that the particular obligations of a contractor to his client are generally of a different nature from those owed by a professional man to his client. They make the point that this does not expressly state that the contractors obligations amount to a fitness for purpose requirement. However they imply in the passage, my complaint against him is not that he has failed to exercise reasonable skill and care in carrying out the work but that he has failed to supply what was contracted for, that a higher level of liability than reasonable skill and care exists and that the precise level of liability is governed by what is stated in the totality of the contract. Jackson and Powel (1992) is considered to be an accepted legal text and the authors experts in their field. This opinion is supported by the fact that the book has been quoted in the courts. A good example being; Lady Justice Butler-Sloss in the Court of Appeal regarding the case of Sansom and Mona ghan v. Metcalf Hambleton Co (1997) (Was it a construction law case? Was the case to do with design liability?) EGCS 185 who quoted the book as being a helpful summary. This use in 1997 is important as it is post HGCRA and although it is 17 years old has many useful interpretations that are still relevant. For example, the concept mentioned above regarding totality of the contract is very similar to the commentary detailed in Eggleston (2006) 14 years later regarding liabilities imposed by the entire contract. In relevance to this proposal then, if the book and the authors are deemed to be an authority on the subject of negligence their implications above regarding totality of the contract carry significant weight. This would suggest that secondary clauses under NEC3 are not necessarily going to limit a contractors liability to reasonable skill and care. In addition to the above works, NEC itself provides literature in both on its website and in published form, and despite the inherent bias it may carries is worth reviewing. The bias is there because the NEC has an invested interested in portraying the NEC3 in a positive light to increase sales, however, it is useful for reference to clarify technical points and attain original copies of contract wording. What is clear is that each of these commentaries focuses on a particular area of a contract or takes a view from one particular party and at present there is nothing comprehensive to show all the interrelationships of NEC3 contractual clauses and UK law and legislation. As a result unless the employer compiling the contract or contractor entering into an NEC3 contract fully understands the full ramifications of the options and clauses chosen they should seek professional legal advice. As described by Gaafar and Perry (1998) these interrelationships are very complicated especially to the non legal professional. Gaafar and Perry (1998) try to bypass the need to understand all these complicated interrelationships by developing and suggesting the use of a Spectrum of Liability, however, as acknowledged by them no contract currently exists that fully allows for this. As stressed by Latham (1996) though and indeed acknowledged by Gaafar and Perry (1998) there are certain obligations and im plied responsibilities that cannot be signed away and a strict liability is imposed unless express clauses are used to support this flexible spectrum. Only the NEC3 contract comes close, however, the effectiveness of secondary clauses to control levels of liability is difficult to determine due to the complex legal interrelationships mentioned above. To establish whether liability can be controlled in an NEC3 contract this dissertation will use arguably the main aspect that has most bearing design liability and seek to demonstrate the following conjecture: A contractors design liability can be limited to reasonable skill and care under NEC3 by use of secondary clauses. Can expand to 2500 or 3000 words In final submission should include a statement in the summary to the literature review as to where the dissertation sits in relation to the main authors outlined in the introduction to the literature review. Methodology To manage the presentation of this dissertation it has been split into a number of chapters. The overall dissertation will form a piece of work that can be useful to all construction and engineering professionals who are considering entering into an NEC3 form of contract. Chapter 1 will be derived from the problem specification, literature review and methodology that form this dissertation proposal. Chapter 2 involves carrying out extensive secondary research. This will take the form of investigation into legal precedence that exists for cases with relevance to a contractors design responsibility and associated liability under NEC3. In addition to this, investigation into accepted academic views, professional interpretation of NEC3 clauses and commentary on UK statute and legislation is necessary. Combined this will form a theoretical perfect world view of design liability and act as the control for this research. Chapter 3 will explore construction professionals understanding of design liability under an NEC3 form of contract. To do this a statistically sufficient number of construction professionals will be interviewed. The questions are designed to be comprehensive enough to generate the desired responses but have been deliberately left open ended to ensure they do not lead the interviewees in a certain direction or stifle responses. The benefit of this is that a greater insight into the interviewees experience and knowledge is gained and helps determine how much weight to assign the responses. The results will then be summarised and initial statistical processing carried out to allow them to be analysed. The open ended nature of the interview questions also gives the opportunity for contractors problems that are not covered by the interview questions to be picked up and acknowledged and be compiled into the summary conclusions. Chapter 4 will seek to substantiate or disprove the conjecture made in Chapter 1 by comparing the differences between the control in Chapter 2 and the summary conclusions made from the interview results in Chapter 3. Depending on the outcome of this comparison will determine the recommendations made in this dissertation that aim to benefit construction professionals thinking of entering into an NEC3 form of contract. Chapter 5, the final chapter seeks to bring together all the conclusions made in the above chapters into a final summary. The outcome of the comparison in Chapter 4 should identify how effective the NEC3 form of contracts intentions are in regards creating a contract that is able to limit design liability by the inclusion of secondary clauses or whether other factors come into play and greater care and legal advice is needed before a contractor signs up to an NEC3 form of contract. The comparison will also determine whether any of the additional problems or negative experiences identified by the construction professionals in the interviews is real or merely perceived due to lack of understanding of UK law and of the NEC3 contract in general. If they are merely perceived, the recommendations made in this work should allow them more confidence when deciding whether or not to sign up to a given NEC3 contract. They would then be able to make an informed decision as to whether an included clauses attempt to limit liability under NEC3 would safeguard them or whether they would be exposed and need to adjust their price to suit the increased risk of what is effectively an imposed fit for purpose design liability. Need to justify research method. This justification is done by reference to established research methods authors. You make only one reference to Blaxter et al but it does not really get to the bottom of what you are doing and why. You do not eliminate other methodologies. Do other authors agree? A good methodology will compare the recommendations of three or four research methods texts. You might like to look at some of the following: 1) Dissertation Research and Writing for Construction Students Dr S.G. Naoum Butterworth Heinneman 808.066624 NAO 2) Research Methods in Construction Fellows Lui 3) Hart, C. 2005, Doing Your Masters Dissertation, SAGE Publications Ltd., London 4) Preece, R. 1994, Starting Research: An Introduction to Academic Research and Dissertation Writing, A Cassell Imprint, London 5) Blaxter, Hughes Tight 2006, How to Research, Open University 6) Questionnaire Design, Interview and Attitude Measurement A.N.Oppenheim Continuum 300.723 OPP The methodology should be introduced by a statement about the theoretical perspectives being employed, e.g. you are approaching this dissertation from a legal and contractual perspective by way of offering appropriate practical advice to the industry Need to justify structure. Justification for the structure requires cerebral argument and includes some linking text between your discussion on the content and format of each chapter. Remember the chapters should be based on the issues to be addressed as identified in the problem specification, so your justification of the structure could be based upon the logic of dealing with those issues. References Blaxter, L., Hughes, C. and Tight, M. (2006). How to Research 3rd Ed. Open University Press. Maidenhead. Eagan (1998). Rethinking Construction. Department of the Environment, Transport and the Regions. London. Eggleston, B. (2006). The NEC3 Engineering and Construction Contract 2nd Ed. A Commentary. Blackwell Publishing. [Online] Available from: http://books.google.co.uk/books Accessed 07.07.09 Gaafar, H, K. and Perry, J, G. (1998). Limitation of design liability for contractors. International Journal of Project Management Vol. 17, No. 5, pp. 301-308. Elsevier Science Ltd. Institution of Civil Engineers (2006). ICE Legal Note Liability for Latent Defects. Institution of Civil Engineers. London. Jackson and Powell (1992). Professional Negligence 3rd Ed. Sweet and Maxwell. London. Latham (1996). Housing Grants and Regeneration Act 1996. London. Available from: http://www.opsi.gov.uk/ Accessed 22.08.09 Murdoch, J. and Hughes, W. (2005). Construction Contracts 3rd Ed. Law and Management. Spon Press. Oxon. Wallace, D. (1995). Hudsons Building and Engineering Contracts, Volume 1, 11th Ed. Sweet and Maxwell. London. Uff, J. (2005). Construction Law 9th Ed. Sweet and Maxwell. London. Bibliography Blaxter, L., Hughes, C. and Tight, M. (2006). How to Research 3rd Ed. Open University Press. Maidenhead. Dissertation Creation. Dissertation Help How to Write and Structure a Dissertation Proposal [Online] Available from: http://www.ukdissertations.com Accessed 07.07.09 Eagan (1998). Rethinking Construction. Department of the Environment, Transport and the Regions. London. Eggleston, B. (2006). The NEC3 Engineering and Construction Contract 2nd Ed. A Commentary. Blackwell Publishing. [Online] Available from: http://books.google.co.uk/books Accessed 07.07.09 Gaafar, H, K. and Perry, J, G. (1998). Limitation of design liability for contractors. International Journal of Project Management Vol. 17, No. 5, pp. 301-308. Elsevier Science Ltd. Institution of Civil Engineers (2006). ICE Legal Note Liability for Latent Defects. Institution of Civil Engineers. London. Latham (1996). Housing Grants and Regeneration Act 1996. London. Available from: http://www.opsi.gov.uk/ Accessed 22.08.09 Murdoch, J. and Hughes, W. (2005). Construction Contracts 3rd Ed. Law and Management. Spon Press. Oxon. The Guild of Architectural Ironmongers (2004). Commercial and Contract Law. Uff, J. (2005). Construction Law 9th Ed. Sweet and Maxwell. London. Additional useful paragraphs; If the NEC3 contract is set up for the contractor to have design responsibility, then the contractors design must comply with the works information. Even if the optional clause to limit liability is used, the performance specification given in the works information will override it and therefore the contractors liability may or may not be interpreted as fitness for purpose depending on how the works information has been drafted with a strict liability imposed. Results Ques

Tuesday, August 20, 2019

Apprentices, Planters and Special Magistrates 1834 -1838

Apprentices, Planters and Special Magistrates 1834 -1838 Introduction The Apprenticeship System was intended to provide a smooth transition for the ex-enslaved into freedom after Emancipation was declared. It also ensured an adequate supply of labour for Planters during the period it lasted.[1] The newly made Apprentices were separated into two groups: the Praedials who were to work 6 years in the fields and the Non-Praedials who were to work 4 years domestically.[2]Apprentices were supposed to learn new skills such as budgeting and saving. Planters on the other hand, were expected to introduce new technologies and get accustomed to paying wages. Special Magistrates were employed to make sure that the planters obeyed the laws and the ex-enslaved were protected. The system was implemented in British Guiana, Trinidad and Jamaica. However, Antigua and Bermuda did not implement it.[3] The aim of this study is to examine the views of the Apprentices, Planters and Special Magistrates as they recall the Apprenticeship System during the time period, 1834-1838. It is necessary to research this topic because it needs to be examined more in depth as it is not widely researched. One can obtain valuable insight from the different perspectives of the Apprentices, Planters and Stipendary Magistrates in this case. Apprentices The Apprenticeship System was not anything like what freedom should have felt like. Although it was supposed to be a transitional for many ex-enslaved it ended up being nothing more than a further period of bondage. At first they were happy in 1834 when Emancipation was granted, but later on they became confused and upset when they realised that their new freedom came with terms and conditions to abide by just as if it were enslavement continued. Apprentices did not understand this system which led to instances of protest. From time to time short strikes occurred and acts of sabotage just as during the enslavement period[4]. For example, in Jamaica. John Graskell of Mt.Sinai was found guilty of insubordination and attempting to get other apprentices to resist[5].These actions taken by the Apprentices showed that they were unhappy with the Apprenticeship system. Even though the Apprentices were supposed to be paid for any additional hours of work other than the 40  ½ hours they had to complete each week, Planters continued to frustrate them by tying wages to the rent of huts and they often took advantage of the Apprentices by making them work the extra hours for no pay as they knew that the Apprentices did not have the knowledge to calculate how long they worked and if they were getting paid accurately. Apprentices were in a weak position which did not enable them to bargain with Planters about the conditions of their employment.[6] Aside from this, Planters also punished the Apprentices by using one of the harshest punishments, the treadmill which was carried out in workhouses.[7] The Apprentices were quite confused when they received these horrible punishments and faced these frustrations because they were supposed to be treated as free men and employees. This clearly did not happen. Figure 1: Apprentices on the Treadmill       Digital Image.GeorgetownsvgrevisitedN.p., n.d.Web. http://www.georgetownsvgrevisited.co.uk/resources/Sugar-Plantations-In-South-America.jpg?timestamp=1442850837171> Plantocracy The whole idea of the Apprenticeship System was upsetting to planters, because their properties (the Africans) were granted their freedom. The planters were disgusted by the Apprentices and they did not view them as people who should be granted their freedom. Even though planters were compensated, this did not stop them from extracting as much labour as possible from the ex-enslaved before full freedom set in. They tried to exercise their usual power over the now freed people. This was especially done as they had the right to decide if an apprentices work was satisfactory or not. Even though the Emancipation Act forbade physical punishment on the plantation, it ordered each colony to set up workhouses[8] to carry out punishments there. The workhouses were dominantly controlled by the planters nonetheless. When planters discovered that apprentices would sell produce from their provision grounds or work on other properties for income, they tried to stop it by all means. If the Apprentices were making their own money they would forfeit this control that the Planters had and the Planters did not want this. They started giving Apprentices poor quality provision grounds closer to their plantation or in the case of an Apprentice always having their own provision ground the planters made it difficult for them by cutting down fruit trees or forbidding apprentices to have livestock.[9] Planters also refused to pay fair wages after the 40  ½ hours, or pay the wages on time. The vagueness of the Act allowed the Plantation Owners to manipulate the terms and conditions to their benefit and made the Apprentices suffer. The Special Magistrates The Colonial Office attempted to see that the Apprenticeship System was being carried out fairly so they sent Special Magistrates to the Caribbean. They were supposed to protect the rights of the former enslaved and settle disputes between employers and labourers. Many of the Magistrates were either retired British army officials or were civil servants.[10] However, the ratio of Special Magistrates to Apprentices was small, therefore this left the Magistrates with a lot on their hands. Their job was extremely exhausting as they had no money and worked under poor conditions. A Special Magistrates salary was insufficient and they still had to provide their own housing, food and travelling expenses[11]. As a result of this, many Magistrates were forced to take bribes from Planters such as accepting meals and lodgings, often the night before a Magistrate had to listen to an apprentices complaint against a planter. This was not fair to the Apprentices as the Magistrates opinions were bias and they were automatically on the side of the planter. Even if there were Magistrates who wanted to help they could not as they did not have the resources to do so. Fortunately, there were still a few Magistrates who carried out their jobs well and went out of their way to help apprentices and investigating their complaints, often risking their lives. For example, John Bowen Colthurst,Captain James Grady, William Oldery and William Ramsey.[12] According to historian, W L Burn, a good magistrate was one who: à ¢Ã¢â€š ¬Ã‚ ¦ tolerated neither undue laziness on the part of apprentices nor undue severity on the part of the masters; kept their districts in order, tried to work with the governor and (while courting neither the favour of the planter nor that of the negrophilists).[13] Conclusion The Apprenticeship System failed as it was plagued by poor labour relations as Planters intended to keep their traditional power and racial dominance over the Apprentices. It also failed as a British Parliamentary Committee recommended that workhouses be taken away from local magistrates due to evidence reports sent by the Special Magistrates in 1837.[14] The planters had mixed reactions to the ending of the system. Some still wanted the system to run its full course while others wanted it to end mainly because they no longer wanted to have the expenses of providing for the Apprentices. As expected, the Apprentices were quite happy that the system was ended. On August 1 1838, laws were passed to prematurely end it[15]. At the end of Apprenticeship everyone was freed wether they were a praedial or non-praedial. Figure 2 : A gathering for the listening of the Governor reading the proclamation of the end of the Apprenticeship in the Spanish Town main square, Jamaica, 1838 Digital Image. Jamaican Echoes. [1] Dookhan, Isaac. Pre-Emancipation of the West Indies. Longman Group UK Ltd.1988. p.94 [2] http://scholar.library.miami.edu/emancipation/culture2.html [3] Beckles McD, Hilary, and Verene A Shepherd, Freedoms Won: Caribbean Emancipations, Ethnicities and Nationhood. Cambridge University Press.2006 p.9 [4] Beckles McD, Hilary, and Verene A Shepherd, Freedoms Won: Caribbean Emancipations, Ethnicities and Nationhood. Cambridge University Press.2006 p.11 [5] I bid. [6] Dookhan, Isaac. Pre-Emancipation of the West Indies. Longman Group UK Ltd.1988. p.93 [7] Claypole, William and John Robottom. Caribbean History: Foundations Book 1, Pearson Education Limited, 2009. Pg.175 [8] Extracts from the journal of a special magistrate in Barbados showed how the workhouse was used to control apprentices who worked less hard than the overseer demanded or who challenged a planter. [9] Claypole, William and John Robottom. Caribbean History: Foundations Book 1, Pearson Education Limited, 2009. Pg.178 [10] Claypole, William and John Robottom. Caribbean History: Foundations Book 1, Pearson Education Limited, 2009. Pg.175 [11] The initial salary of a Special Magistrate was  £300 but this was seen as inadequate and it was then moved up to  £450. [12] Beckles McD, Hilary, and Verene A Shepherd, Freedoms Won: Caribbean Emancipations, Ethnicities and Nationhood. Cambridge University Press.2006 Pg.13 [13] Beckles McD, Hilary, and Verene A Shepherd, Freedoms Won: Caribbean Emancipations, Ethnicities and Nationhood. Cambridge University Press.2006 Pg.14 [14] Claypole, William and John Robottom. Caribbean History: Foundations Book 1, Pearson Education Limited, 2009. Pg.178 [15] I bid.

Monday, August 19, 2019

Computer Crime :: Technology

Formatting Problems Computer Crime One of the newest areas of crime is what we call computer crime. The at least seeming anonymity of computer technologies may actually encourage some people who would not otherwise be tempted to commit crimes to do so using the Internet. They may simply believe that they will never be caught, or they may not think about being caught at all. They may simply find the lure of committing virtual crimes too psychologically appealing to resist. Many of those who commit crimes on the Internet are in fact psychologically disturbed and need compassionate treatment by psychiatric professionals. However, this does not lessen the real harm that they can do to people and they must be stopped. Combating the global computer crime pandemic is becoming an increasingly urgent issue, as identity theft and spyware are occurring with alarming frequency. Early instances of computer crime found individuals, corporations and law enforcement unprepared, uninformed and immobilized to address computer crime re sponsively. This resulted in victims suffering long drawn-out battles to regain their identities. With no guidelines to assist them, many victims endured frustrating battles that yielded little benefit. Corporations likewise faced many obstacles in their uncharted course to recover from data theft. As defined, technology has created a gateway for computer criminals, allowing for easy access to personal or business computers via the internet. Cyber criminals use several different methods to infiltrate business and personal computers; fraudulent marketing schemes, on-line auctions, work-at-home schemes, gambling operations, and spam, just to name a few. Many times home owners and businesses have no idea they have been the victim of a cyber crime. Types of computer crime can sometimes lose their significance when we as citizens wrap it all up into one expression, â€Å"computer crime.† There needs to be a further breakdown and a better public understanding of what computer cri me actually is and these types of computer crime will hopefully shed some light on the current problems faced today. Cyber terrorism is the convergence of terrorism and cyberspace. It is generally understood to mean unlawful attacks and threats of attack against, computers, networks, and information stored on these mediums. It’s done to intimidate or coerce a government or its people in to promote political or social objectives. To qualify as cyber terrorism, an attack should result in; violence against persons or property, cause enough harm to generate fear, attacks that lead to death or bodily injury, explosions, plane crashes, and severe economic loss.

Censorship in Fahrenheit 451 :: Fahrenheit 451 Essays

Censorship in Fahrenheit 451 Fahrenheit 451 begins on the East Coast, IN LARGE AMERICAN CITY OF THE FUTURE. The futuristic world described here is chilling, a future where every type of book, save inexpensive comics, are burned by "firemen." One such fireman is Guy Montag, who is tall and dark-haired like most firemen. One thing sets him apart from his colleagues, though he secretly loves books. One night while Montag is walking home from a day's work, he meets a young, bright girl named Clarisse McClellan. She is idealistic and hates the social structure of the times. She says that firemen once put out fires started accidentally instead of starting them. Montag thinks this to be nonsense, for the Chief told him firemen have always been fire-starters. Clarisse goes on to tell him about her uncle, who remembers the past and has a sharp intellect. She tells Montag that her family stays up all night talking about a variety of different subjects. He finds this to be extremely odd. Why would anyone want to stay up and talk? Montag decides that Clarisse is eccentric because hardly anyone except for firemen walk down the street at any time. He goes home to his wife Mildred, a woman who has very little to do except to take part in interactive TV shows. She has three walls of the living room equipped with such walls. She thinks that a fourth wall would be great, while Montag refuses because he thinks it is useless and expensive. The next day, Montag finds Clarisse waiting at the bus stop. He asks her if she goes to school. She says she does NOT, because she HAS been labeled anti-social by her teachers. They SPOKE for a while, and he eventually goes to work. When he gets to work, an alarm is sounded, so the two firemen go to destroy the house of books. Before they burn the house down, Montag takes two books. When the owner of the house refuses to leave, a fireman burns her along with the house and its books. Montag feels sorry for the old lady, and he becomes depressed. The next day he calls in sick. Captain Beatty, comes by and talks to him. Montag is lying in bed with a book behind his pillow.

Sunday, August 18, 2019

monsanto good or evil :: essays research papers

ANNISTON, Ala. -- On the west side of Anniston, the poor side of Anniston, the people ate dirt. They called it "Alabama clay" and cooked it for extra flavor. They also grew berries in their gardens, raised hogs in their back yards, caught bass in the murky streams where their children swam and played and were baptized. They didn't know their dirt and yards and bass and kids -- along with the acrid air they breathed -- were all contaminated with chemicals. They didn't know they lived in one of the most polluted patches of America. Now they know. They also know that for nearly 40 years, while producing the now-banned industrial coolants known as PCBs at a local factory, Monsanto Co. routinely discharged toxic waste into a west Anniston creek and dumped millions of pounds of PCBs into oozing open-pit landfills. And thousands of pages of Monsanto documents -- many emblazoned with warnings such as "CONFIDENTIAL: Read and Destroy" -- show that for decades, the corporate giant concealed what it did and what it knew. In 1966, Monsanto managers discovered that fish submerged in that creek turned belly-up within 10 seconds, spurting blood and shedding skin as if dunked into boiling water. They told no one. In 1969, they found fish in another creek with 7,500 times the legal PCB levels. They decided "there is little object in going to expensive extremes in limiting discharges." In 1975, a company study found that PCBs caused tumors in rats. They ordered its conclusion changed from "slightly tumorigenic" to "does not appear to be carcinogenic." the Environmental Protection Agency ordered General Electric Co. to spend $460 million to dredge PCBs it had dumped into the Hudson River in the past, perhaps the Bush administration's boldest environmental action to date. The decision was bitterly opposed by the company, but hailed by national conservation groups and many prominent and prosperous residents of the picturesque Hudson River Valley. Anniston is not much of a model city anymore. The EPA officials who set up an Anniston satellite office to deal with the PCB problem are now alarmed about widespread lead poisoning as well. The Army is building an incinerator here to burn 2,000 tons of deadly sarin and mustard gas. And the Anniston Star has been questioning Monsanto's past mercury releases. Officials at Solutia Inc., the name given to Monsanto's chemical operations after they were spun off into a separate company in 1997, acknowledge that Monsanto made mistakes.

Saturday, August 17, 2019

P&G and SK-II Essay

Paolo de Cesare heads to Japan to make a decision on one of P&G’s most successful and fast growing products – SK-II. SK-II was a high end product that had developed a strong following among Japanese women, who were increasingly conscious about skin care and willing to spend a significant amount of their income. Cesare must decide among three options: continue to focus on the Japanese market, introduce the product in china, or introduce it in Europe. Decision After careful consideration and analysis, I would recommend that Cesare pursue a strategy that prioritizes a focus on the Japanese market and eventually transitions into China. SK-II is a proven product in a market that is has yet to be fully tapped. With a penchant for numbers and analysis, Japan’s consumers are some of the most sophisticated easiest to target in the world. However, China’s expected prestige-beauty segment growth cannot be ignored. Intense rivalry from companies that have already set up camp in China is to be expected, but core cultural similarities can be extracted from the success of SK-II in the Hong Kong and Taiwanese markets. A table with pros (+) and cons (-) is listed below for each country: CAGE Analysis of the Decision A CAGE (cultural, administrative, geographic, and economic) analysis was performed to support this decision. Cultural – As far as cultural distance, staying in Japan poses the least amount of threat as P&G would be staying in a market that they are familiar with and have established a strong understanding of consumer needs through massive amounts of market research. China has close ties to Hong Kong and Taiwan, which are countries where SK-II has also been established strongly, however, the European cosmetics market is still in an infancy stage for P&G. Administrative – P&G is a global company with administrative support available in various regions. The brand in Japan is well established and makes distance visible for managers. P&G’s presence in European also well established and would not pose much administrative difficulties in setting up. China is still a new market to P&G in terms of political/governmental systems and building administrative support would be difficult. Geographic – Geographically, Europe is the closest to P&G’s headquarters in the US, however, a strong establishment of R&D facilities in Japan would arguably remove any worries about physical remoteness. Again, China is still a new market and has only recently accepted foreign retailers. Economic – Japan’s economic climate is in stagnation, however, Japan’s target market for SK-II is strong as women are willing to spend up to $1,000 of their yearly income on the product. While the economic climate of European markets is strong, a high concentration of high-end cosmetics producers are already established and create high bargaining power among buyers. China is the most attractive in terms economy and the prestige-beauty segment is growing significantly faster than that of Japan and Europe. However, high economic trade costs do slightly offset China’s potential. Based on the CAGE analysis, Japan is clearly the best choice as it provides the least distance for P&G. China is attractive as it can take advantage of the cultural similarities to the established markets in Hong Kong and Taiwan and provides the most robust growth opportunity in terms of economic prowess. Adding Value Scorecard Analysis In order to establish a more robust analysis, an Adding Value Scorecard was used to evaluate Japan, China, and Europe. Adding Volume – In terms of value creation and economies of scale, adding volume may very well reduce product costs when expanding into all three markets. Further information such as proximity to inputs and raw materials would provide a better view of this perspective. Decreasing Costs – In terms of decreasing costs, China would have the highest integration costs as P&G would have to set up a business in a completely new market. Japan and Europe are already well established. Differentiating – Differentiating SK-II in Japan is one of the leading reasons for the product’s success. Consumers value the analysis of scientifically proven benefits that the product provides. Establishing this ideology in China will be difficult for P&G but the success of the product in Hong Kong and Taiwan may help alleviate the issue. European markets are saturated and have a high level of competition with various established products, and thus, differentiation in this market will be difficult. Improving Industry Attractiveness – De-escalating or escalating the degree of rivalry will be a crucial factor when deciding which market to prioritize. Focusing on Japan will further strengthen P&G’s foothold among competitors such as Shiseido, Lion, and Kao. Companies have already been in China for three years (at the time the case was written) and a quick entry for SK-II would foster early entry benefits. European markets are too highly competitive – prioritizing this market may induce price wars. Normalizing Risk – International operations can provide geographic risk reduction but can also create new sources of risk. While China will provide a new market to diversify P&G’s portfolio, it has still only recently opened its borders to foreign retailers. Strict governmental regulations and lack of transparency in economic predictability may actually increase risk. Europe and Japan’s economies, while slow in growth, are established and can be considered low risk. Generating and Upgrading Knowledge/Capabilities – Utilizing Japan’s strong R&D foundation, SK-II’s proven success can help the product line as it expands to capture more market share. For Europe, P&G does not have the expertise to deal with the perfumeries in Germany and France, two of the largest markets in the region. Developing SK-II in China may very well provide additional research findings in a new and growing market. Based on the above Adding Value Scorecard analysis, P&G can capitalize on its competitive advantage and enter the Japanese market in full force. Further research and developments in Japan may possibly fuel a new strategy for entering the Chinese and European markets.