Saturday, August 31, 2019

Aquarius Case Analysis Essay

1) Analyze Aquarius in terms of the five contextual variables: * Goals: Aquarius has realized a huge problem in regards to the rapid turnover of their major accounts. An agency reorganization would be a realistic goal in changing their competitive techniques. This reorganization might be able to set them apart from the other agencies by reducing their response time and increasing the communication between the different departments to boost efficiency. * Culture: In my opinion I believe that Aquarius has a very low and undefined organizational culture. It seems like the employees are all looking out for themselves and trying to get ahead of everyone else. These values although unwritten provide the glue to having everyone on the same page and are absolutely essential in providing clients with top of the line work. * Size: Since Aquarius is a mid-sized firm with various specialists on the professional staff of the operations and marketing divisions I would say they have anywhere from 1 000-1500 employees. With this many employees it is critical to have effective communication between the different departments. This would in turn increase flexibility in this unpredictable environment. * Environment: Changes in the environment is the main reason why the agency is considering the need for reorganization. It is typical for advertising agencies to gain/lose clients quickly, this is why is it so essential to have everyone in the organization effectively communicating with each other in order to satisfy their clients and reduce turnover. * Technology: Aquarius has a number of different specialists on their team that work together in assisting their clients, but there is always room for improvement in regards to better communication. It would seem to me that Aquarius would have a number of different programs and internet sites to assist them achieving their services. 2) A new organizational structure that takes into consideration the contextual variables in the case and the information flows is the divisional structure. This structure is suited to fast change in an unstable environment and provides high product or service visibility. A major problem that occurs in Aquarius is that each client account is coordinated by an account executive who acts as a liaison between the client and various specialists. Unfortunately this isn’t followed because sometimes the account executives don’t even know what is going on until a week later. The divisional structure leads to customer satisfaction because product responsibility and contact points are clear. This in turn involves high coordination across functions which will make everyone check with the executive first to get approval before contacting the client. Coordination across functions will allow their services to adapt to the requirements of the individual clients and perform beyond their expectations. This structure would allow Aquarius to achieve their goals while increasing their organizational culture as a whole and being able to adapt more quickly to this unstable environment. 3) Would a matrix structure be feasible for Aquarius? I my opinion I believe that a balanced matrix structure would be hard to implement and maintain. This is due to the fact that account executives as one side of the authority structure would often dominate over the specialists. In order for the account executive to do their job correctly they need everyone on their side and in coordination to run important information by them first. Perhaps a better alternative would be a product matrix where the executives have primary authority and the specialists assign technical personal to the projects and provide advisory expertise as needed. With dual authority I feel that it would be frustrating and confusing for everyone, there needs to be a clear contact points. There would always be a need for frequent meetings to resolve any conflicts between the different authorities, it would simply just require to great of an effort to maintain the power balance.

Friday, August 30, 2019

Reading through “Winter in a Warehouse” Essay

â€Å"Winter in a Warehouse,† is about a group of warehouse women on their way to and from the washroom of the milling company. The washroom is in the office building which is a considerable distance from the women’s workplace, the warehouse. As it is winter, the trek from one building to the other becomes a tedious and an unwished-for errand. The atmosphere is cold and hostile as the people they come across with. The short journey evokes in the narrator’s mind several issues – gender, class and social status – between the warehouse women and the rest of the characters in the poem. In â€Å"Winter in a Warehouse,† Anne Spillard speaks about the condition of the lower- class working women in the latter-day industrial society. The poem started with the narrator’s voice fondly recalling the image of his grandfather, â€Å"Grandad ‘goes for a loo */Behind the old chimbly† (lines 1-2), from a long time ago. The tone here is friendly, the language is colloquial and the mood is gay. Grandad, being old, â€Å"Dragging his feet in carpet slippers† (3), is also probably retired from his work in the mill. The use of grandfather in the poem suggests time difference. The corrugated iron â€Å"Where the wind flaps rusty limbs/ Of corrugated iron† (7-8), denotes a time long gone by. It is probably 40 to 50 years ago since grandfather worked in that company when manufacturing firms employed mostly men in its workforce. Noting the narrator’s familiarity with the setting, it is likely that he or she is a third generation worker employed in the same mill or factory that his grandparent worked for. Grandfather finds the long walk to the office tiresome, â€Å"†¦ ‘It’s too far to trail/ ‘T ‘ the bloody office’ (4-5), so he simply decides to pee against the chimney by the bank. The narrator seems to perceive this as an unusual gesture, â€Å"And pees against the great black chimney† (9). The chimney, great and black, is a thing of significance and not to be trifled with. Grandfather’s peeing where he pleased perhaps constitutes defiance of the convention on peeing and of what the chimney signifies. On the other hand, the narrator’s voice registers a suspicion about grandad’s account, â€Å"Or so he tells us† (10). It implies that grandfather could be lying, that perhaps it is not that easy to break the company regulation as well as the convention. It is only at the 10th line, with the use of â€Å"us† that the narrator is revealed. They are women workers stationed in the warehouse gone for a walk to the office building within the company compound to wash their empty coffee cups and to pee. Upon arriving there, they see the millpond nearby, â€Å"Down to the office/ Where the mill manager used to sit† (12-13). The mill manager, like the grandfather, is a representation of an era gone by. In the early stage of industrialization, it was the manager, who was usually also the owner of the business, who conducted his businesses in an office with the help of a staff or two. He was also visible in the company premises. In more recent times, with further division of labor and the expansion of industrialization, the manager has normally taken to holding his office in an inner chamber within the office building. He is scarcely visible to the workers and as such, there is usually a layer of office staffs that deals with the rank and file or the ordinary workers of the company. It is these office girls that the warehouse women came across with when they went to the office premises to have use of the washroom. The office girls act and speak superior to the warehouse women. They address the women collectively, in a cold and impersonal manner. The washroom is in a state of disrepair, â€Å"Melted snow drips through the washroom ceiling† (18). The water at the mains must be turned on first before the women could flush the toilet. The male washroom, â€Å"†¦ it’s leaking. † (23). These little details describe the ambience of the washroom area – old, ill-kept and deteriorating. And yet, the office girls almost begrudge them for using it. â€Å"‘You warehouse people always arrive/ ‘Just when we’ve boiled the kettle/ ‘for elevenses,’ the office girls rebuke us. † (15-17). The warehouse women do not have a washroom in their workplace. In the period described in this poem, even answering the call of nature, presents a problem. Unlike men, women cannot urinate anywhere. Furthermore, in most manufacturing companies, peeing is only allowed during designated breaks. One girl even goes so far as to point to out to the women that the male washroom must not be used, â€Å"Don’t use the Gents, †¦Ã¢â‚¬  (21). Perhaps, the reminder is unnecessary, as the women have been coming there on the same errand for years and are aware of the fact. It is also not far to suppose that the Gents has not been working for decades. Thus, the part about the male toilet leaking is a take on the grandfather’s story. Perhaps, the male workers in the mill were not subjected to strict regulation on peeing only because the male toilet was leaking. Throughout the poem, the voice constantly changes: from the third person singular (lines 1-10), to first person plural (11-14), to second person plural (15-17), to third person plural(18), back to first person plural (19-20), to third person singular (21-23), and lastly, to third person plural (24-31), making it vibrant and giving the reader the feeling that the characters are performing before him. It also shows the individuality or lack of, the characters within the poem. Nina, one of the office girls, has a distinct voice and she has a name. In contrast, the warehouse women are only referred to as â€Å"us,† â€Å"we† and â€Å"warehouse women. † The warehouse women have only one voice: the voice of a group. The office girls have their voice as a group and their individual voices as persons apart. Despite the office being heated, perfumed and powdered, the narrator notices that â€Å"the office girls sit shivering† (24), a hint that their thinner clothing cause them discomfort during winter. On the other hand, the warehouse women have become indifferent to the coldness. Why? It is because winter is the all-year season inside the warehouse. What is not mentioned here but is implied is the suffering of the warehouse women doing hard, manual and routine labor, whose enclosed workplace is perhaps unheated, full of fumes and dust, and dark as one could imagine. Towards the end of the poem, the engaging voice at the beginning seems to have become somebody else, an alienated figure viewing a scene that he is not part of, But the warehouse women, Shapeless in heavy sweaters and wooly longjohns, Trudge back through the snow, No longer noticing this winter Which may last forever Inside the blankness of their warehouse. The poem begins on a cheerful note, in an informal way and in a youthful voice, with a fond recollection of one’s grandfather and his days. It ends on a cheerless, aged and serious tone about a group of women trudging their way back to the warehouse across the snow, oblivious of the season and what it might bring to them.

History Isu: Juno Beach Essay

Some of the greatest battles in Canadian history took place during the course of World War II. Most would argue it to have been Stalingrad, The Battle of the Atlantic, or even the Battle of Scheldt. The Battle at Juno Beach was a defining moment in Canadian history that led to the rise of a great nation. On June 6, 1944, after having prepared for more than four years, Canadian troops in Britain took place in an invasion that would become the greatest turning point in Canadian history. â€Å"†¦ early in the morning of June 6th, 1944 under cover of a massive air and naval bombardment, ships started ferrying 150 000 American, British, and Canadian troops across the channel of Normandy.† After courageous fighting and tremendous struggles, the Canadian, American, and British troops managed to get the farthest inland to secure a position against allied invaders. â€Å"†¦the German defences at Juno Beach had been shattered and Canada had established the beachhead.† Because Canadian troops were able to secure the beach, â€Å"Operation Overlord† led to great victories amongst the Allied Troops. Juno was the largest amphibious battle to have taken place in history. â€Å"155,000 soldiers, 5,000 ships and landing craft, 50,000 vehicles and 11,000 planes were massed for the greatest seaborne invasion in history.† Canadian troops, being the only commonwealth nation, were assigned 1 out of the 5 beaches at Normandy to secure. First, Canada was to create a beachhead on Juno beach. The American, Canadian and British troops task was to capture and seize all sea towns ashore of the beach and get further inland after breaking through enemy lines. Also, their objective was to secure the Carpiquet airport and create a link that would be able to attach the British beachheads on the other two beaches, Sword and Gold beach, and also to secure the Caen-Bayeux highway. â€Å"The challenge facing the Canadians was to overcome the coastal defences and capture ground positions that could be defended against German counter attacks.† The task the Canadians were given was one that would take a lot of courage and self-determination to push through. â€Å"†¦ Germans had turned the coastline into a continuous fortress of guns, pillboxes, wire, mines and beach obstacles.† Although the Germans had displayed strong thresholds, the allied troops managed to keep pushing their way through German defences. With the lead of Major General R.F.L Keller, the 3rd Canadian Infantry along with many men, tanks, and vehicles helped to secure and take over Juno Beach. â€Å"The 3rd Canadian Infantry Division supported by the 2nd Canadian Armoured Brigade would land on Juno beach in brigade groups. Two brigades would land in the initial assault followed later by the reserve brigade which would pass through the lead brigades on to the divisional objectives . More than 20,000 men, 200 tanks and hundreds of other vehicles were under the command of Major-General Keller.† The allied troops were successful in securing the position on Juno beach. â€Å"†¦in the face of heavy shelling and deadly machine gun fire, the Canadians fought their way past the German defences.† The troops were able to penetrate farther inland then all other allied forces could. Securing Juno beach was a huge success and as a result, has helped Canada to become a greater nation. Since Juno Beach, the troops that were involved with the invasion are greatly recognized and forever appreciated. Securing Juno Beach may have been one of the best things to have happened. After having done so, many great victories came along. They extended their beachhead further inland, and continued to move northwestward. They were able to liberate several French channel ports, which included Dieppe, which was a great success, because a number of Canadians had lost their lives at such place two years back. Also, because of such a great achievement at Juno Beach, the liberation of Europe took place, along with the defeat of Nazi-Germany, which lead up to the end of World War 2. The defeat of Nazi-Germany became a very proud accomplishment for many. â€Å"Allied to serve the common cause of freedom and democracy, Canada, Great Britain, the United States, the countries of the British Commonwealth and free nations suffering under Nazi occupation counter-attacked.† Due to Canada being able to accomplish many victories, they proved that coming together as a nation could lead to great victories and successes. Also, it helped make and build the independence of Canada. It showed that Canada is a powerful country, and doesn’t need to hold hands with Britain per se, but still work together. â€Å"So many different roads to Victory, conquered through determination and courage and at the price of many human lives.† Although â€Å"Operation Overlord† took the lives of many brave soldiers, it was one step closer to the complete defeat of Nazi-Germany. With great success comes a price, and although the capture of Juno Beach was accomplished, many soldiers were wounded, killed, or captured. â€Å"Fourteen thousand Canadians landed in Normandy on D-Day and to ensure the victory 340 Canadians had given their lives. Another 574 had been wounded and 47 taken prisoner. The casualties were less than expected, but heavy nonetheless.† Despite the many loses Canada suffered, soldiers were still encouraged to move forward and keep on fighting. The Canadian troops relied heavily on goods and services that were being shipped to them. The government greatly supported the troops, providing them with the many necessities needed to be successful. â€Å"Canadian troops relied on a tight organization and on a wide range of services that provided food, shelter, medical care, intelligence, communications and more. They also relied on ships, aircrafts, tanks and weapons needed to face the enemy.† Funding for the invasion was very costly, but in conclusion, led to great victory for the allied troops. Canada at the Battle of Normandy had a great impact on war. It changed the way many thought of the word â€Å"impossible.† After what was done, and how much was conquered, anything is possible. Being able to get further inland than any other before and securing a position that later on led to the liberation of Europe and the defeat of Nazi-Germany isn’t just a small accomplishment, it’s something that has changed the way war is seen and the way troops continue to fight. Without the necessary goods and services being sent over to the allied troops, not much would have been possible. Many brave troops stood against German defences and took their lives so the rest of their brothers could continue on and make Canada proud. â€Å"Many would die there but, for the Canadian forces, D-Day was a triumph that is still honoured at home and on the beach they called Juno.† It is with great success that Canada as a nation, is able to say proudly that they fought strongly to secure Juno beach on June 6, 1944, and because such a great event took place, the rise of a nation began. ——————————————– [ 1 ]. Jill Coyler, Jack Cecillon, Graham Draper and Margaret Hoogeveen, Creating Canada A History- 1914 to present ( McGraw-Hill Ryerson, 2010) , 239 [ 2 ]. CBC News, D-Day: The allied invasion of Normandy, 1944, http://www.cbc.ca/news/canada/story/2009/06/02/f-dday-history.html, June 5, 2009 [ 3 ]. CBC News, D-Day: The allied invasion of Normandy, 1944, http://www.cbc.ca/news/canada/story/2009/06/02/f-dday-history.html, June 5, 2009 [ 4 ]. Lane, D.W. â€Å"Juno Beach – The Canadians On D-Day†1944, http://members.shaw.ca/junobeach/juno-2.htm, Operation Overlord – Plans and Preparation [ 5 ]. Lane, D.W. â€Å"Juno Beach – The Canadians On D-Day†1944, http://members.shaw.ca/junobeach/juno-2.htm, Operation Overlord – Plans and Preparation [ 6 ]. Lane, D.W. â€Å"Juno Beach – The Canadians On D-Day†1944, http://members.shaw.ca/junobeach/juno-2.htm, Operation Overlord – Plans and Preparation [ 7 ]. Jill Coyler, Jack Cecillon, Graham Draper and Margaret Hoogeveen, Creating Canada A History- 1914 to present ( McGraw-Hill Ryerson, 2010) , 239 [ 8 ]. Juno Beach Centre, â€Å"Canada in WWII†, http://www.junobeach.org/e/2/can-eve-rod-e.htm, Roads to Victory [ 9 ]. Juno Beach Centre, â€Å"Canada in WWII†, http://www.junobeach.org/e/2/can-eve-rod-e.htm, Roads to Victory [ 10 ]. Lane, D.W. â€Å"Juno Beach – The Canadians On D-Day†1944, http://members.shaw.ca/junobeach/juno-2.htm, Operation Overlord – Conclusion [ 11 ]. Juno Beach Centre, â€Å"Canada in WWII† http://www.junobeach.o rg/e/4/can-tac-e.htm Arms & Weapons [ 12 ]. CBC News, D-day: Canadians Target Juno Beach 1944, http://archives.cbc.ca/war_conflict/second_world_war/topics/1317/ 2003

Thursday, August 29, 2019

Ehtnographic Study paper Essay Example | Topics and Well Written Essays - 1500 words

Ehtnographic Study paper - Essay Example Regarding the students in the entire school, these students’ ethnic background(s), language(s), ages, educational level of community members, behavioral norms and values, and socioeconomic statuses will be evaluated and thoroughly analyzed. Here we will analyze primarily the students in the entire school, with a philosophy of diversity centering upon the particular class. II. Background The ethnic mix of the learners, both in the class and in the school, is diverse. The school’s student body is predominantly African-American, although there are small amounts of other races present in the student body. The school used to be more racially diverse years ago. Regarding students’ socioeconomic status, this is diverse as well. The SES of the learners at this high school is varied, but a lot of the students tend to come from backgrounds with socioeconomically disadvantaged status. The primary language spoken is English, and in some cases, Ebonics (although not formally recognized by some as a bona fide language) is widely spoken by the student body. The type of community surrounding the school is in the city. Therefore, this school is an urban school. This school has special populations (special education, ESL/ELL, gifted). This school has a comprehensive special education program. Moreover, however, it has a large gifted population in its 7th-12th grade program. A certain percentage of the 7th and 8th graders in the Gifted program remain to go on for high school there, so there is that factor to consider, too. It is a keystone of any teacher’s philosophy of diversity that the classroom be a place of inclusiveness—whether students be Black, white, Latino, Asian, Native American, or of mixed race(s) or races not named here, and be of whatever socioeconomic status, religion, national origin, gender, sexual orientation, disability, or cultural affiliation—that students feel that they are equals in the classroom regardless of the teacher’s cultural lens. An inclusive philosophy dictates that each student should have the same opportunity to learn their subject. This includes being cognizant of striving against favoritism, especially based on gender or race. Students who are from lower levels socioeconomically should be given a fair chance to succeed by providing them with the tools they need to succeed in an environment which has typically favored the dominant culture’s hegemonic social strata. A level playing field is key. Strategies include having class materials available such as extra paper and pens. Teachers should want students of various national origins and religions to feel comfortable enough to express themselves within the dynamic of their own backgrounds. Especially with students who have ESL/ELL/bilinugal/multilingual backgrounds, teachers should want to make sure that their class is accessible to their language capabilities by supporting their learning with extra attention in order to check for understanding so that they don’t fall behind. Additionally, teachers should like to extend their help to students of different genders and sexual orientations who may suffer discrimination from other students—and try to combat that discrimination within the classroom by having an open-door policy. The teacher should wish to facilitate a learning

Wednesday, August 28, 2019

Research into sustainable global tourism council, leading hotels of Literature review

Research into sustainable global tourism council, leading hotels of the world,locations for roll out of greener hotels and imple - Literature review Example Some of the internationally leading hotels where tourists spend time have implemented sustainability program so that they can check on the impact of tourism on culture and nature. They have adopted the greener hotels movement and have implemented the policies of sustainable tourism education. Through the international body of Global Sustainable Tourism Council, several factors that promote sustainable tourism have been identified and most of the hotels are advised to adopt the recommendation given. According to Girard, and Nijkamp (2009, p. 37) several programs have been proposed to help achieve the envisaged results of sustainability. Some of the diverse programs proposed by Girard, and Nijkamp includes; Education and Training, Accreditation, International Standard Setting, and Destinations. They informs that GSTC body provides a detailed global sustainable tourism criteria that is supposed to be adopted by all the stakeholders in the tourism sector so that they can realize the full potential of tourism as a means of alleviating poverty as well as a tool for conservation- both cultural and natural resources. Through the GSTC body that promotes reduction of negative impact contributed for by tourism, the criteria given to the hotels and tour operation can be subdivided into certain areas of concern as stated below Demonstration of Effective Sustainable Management A comprehensive reference has been availed by the GSTC body for sustainable management of the resources in the tourism destination. As reported by Branson in his Approaches towards a Sustainable Tourism Development a Strategic Concept, these concerns look into among other issues; social, cultural, health, quality, economic, and safety (2009, p. 62). All the tourism activities are expected to observe the mentioned criteria in its endeavour to make tourism sustainable. The international tourist destinations are all bound to abide by the provision so these regulations for the sustainability of tourism ind ustry. The sustainable aspect in this relation as proposed by Branson take into account planning and construction activities related to tourism, activities related to demolition, renovation design, planning and construction must respect the cultural and the natural heritage that surrounds the immediate environment (2009, p. 67). This is proposed to be done through careful planning, designing, siting, and sound impact assessment. There are also concerns of using the locally available sustainable practices and materials, the design and construction should provide accessibility for people with special need so that they can access and utilize the facilities. The guidelines as provided by Branson (2009, p.71) do not also provides for involuntary resettlement of the indigenous people, construction of the hotels are supposed to be done in tandem with the communal and the indigenous rights and states that there has to be free prior and informed consents from the indigenous people. Maximize the Social and Economic Benefits with Minimal Impact to the Local Community According to Seba in Ecotourism and Sustainable Tourism: New Perspectives And Studies, the international hotels through the provision given by the sustainability body have to ensure that the local community benefits the most but with minimal negative impact

Tuesday, August 27, 2019

Racial and Ethnic Relations Assignment Example | Topics and Well Written Essays - 500 words - 3

Racial and Ethnic Relations - Assignment Example The Nazis and Serbs that did not get caught to be tried fled to other countries or went into hiding. These people are still being caught. The victims that survived continue to survive and tell their accounts so the world will not forget. The similarity of propaganda before the violence is present in both the Nazi and Serbian campaign of ethnic genocide. The Nazis used propaganda to insist the Jews caused the World War I, the economic woes of the German people, and all of Germany’s problems. The Serbs used propaganda to assert the Bosnians were causing economic woes, suppressing the Serbs right to their ancestral land, and religious persecution. Bosnia’s Serbs wanted to join Milosevic’s Serbia, but the ethnic Bosnians wanted to create their own country. As a result, the Serbs started a propaganda campaign against the Bosnians before actual warfare broke out. The Nazis and the Serbs used the cover of war to commit genocide. These ethnic cleansings did not begin dur ing peace times. Under the confusion of war and combat the major actions against citizens took place. Incidents occurred before, but not to the extent the rest of the world would be concerned. It began gradually and then snowballed into the ethnic cleansing. The manner in which the Jews and Bosnians were executed was different. The Nazis were more systematic.

Monday, August 26, 2019

Description of policy currently under force Essay

Description of policy currently under force - Essay Example The United States National Guards are a part of the United States reserve military force.The primary main function of the National Guards is to aid the armed forces during emergency and support the state government during war.Used both by the United States air force and the armed forces, the United States National Guards are federally controlled units of the state authorities under title ten and thirty two of the United States code. Mobilized through the means of either the president order or the governor's consent, the National Guards require voluntary transfers or temporary duty assignments to get in action.According to the current policy, the National Guards are to act as a first line defense for the United States. The force is divided into small units which are spread across the length and breadth of each of the fifty states and are governed by their territorial governors. The current policy also states that in case of an emergency such as a hurricane, flood or an earth quake, th e National Guards may be pressed into active service after getting a nod from the territorial governors. National Guards can also be commissioned into active or inactive services in the federally recognized armed forces if the need rises.For this, it is imperative that the authorities get a nod from the state governors. Likewise, the National Guards may be called up to assist the Federal services to suppress invasions, rebellion or to repel a proposed armed invasion of a foreign country. Likewise, in the case of any danger against the Federal authority or the inability of the president to execute the laws of the United States with the aid of the current armed forces, the federal laws require added assistance through the means of the National Guards. At present, with special regards to the war with Iraq, wherein tens of thousands of National Guards are being dispatched to the war torn country, the country is facing acute shortage in terms of both manpower as well as recourses when it comes to dealing with natural disasters. Since the year 2003, the National Guards have left sixty four thousand pieces of equipment, which include trucks and communication equipment valued over $1.2 billion in Iraq. (Pear) (Millett and Maslowski) Environments Of The Policy Currently In Force National guards comprise one half of the US ground forces and one third of the support forces. Since September 2001, over 140,000 guard members have been mobilized; of which 113,000 are one active duty. Of these over forty percent are currently deployed in the war torn Iraq and fifty one percent are involved to aid the global war on terrorism. (United States Office of the Federal Register) The Physical Factors The main physical factors which affect the origin, development and implementation of the current policy are the physical factors. The biggest setback to the National Guard came when the organization was commissioned to active service. Here, it was a complete transition from a force which was rarely deployed to a force which was always on active duty. Likewise the sudden transition of a soldier, who was earlier deployed for a short period of time to one who had to be on active duty for at least a year, led to unprecedented stress and physical discomfort. In accordance to the present operational tempo, the unparallel physical demands led to severe health problems. The need for health promotion programs to prevent soldier injuries on and off the battle field, led to the induction of new health policies (Eaglen). The problems include- 1) Lack of medical readiness program projections based on current and future assessments 2) Conditions, which are potentially preventable but affect the mission include orthopedic (56%), internal medicine (16%) and neurological disorders (8%). 3) Lack of mobilized medical units 4) Lack of enhanced medical readiness to ensure healthy and fit medical personnel. 5) Absence of medical facilities which aid in the conservation and restoration of a soldier's health and medical

Sunday, August 25, 2019

Public Law Essay Example | Topics and Well Written Essays - 2000 words

Public Law - Essay Example Conversely, the 1688 settlement between the incoming king and Parliament enshrined the independence of the judiciary under the Bill of Rights, however required them to implement the will of the Sovereign Parliament. However, the supremacy of Parliament itself has been attacked on limits of judicial review4. The 1688 settlement introduced checks and balances in restraint of autocratic power. Theoretically, the Crown, House of Commons and the House of Lords could not pass any legislation to support a course of action unless they were accepted by the other bodies involved. However, the gradual erosion of the power of the House of Lords means that there is effectively no check on the House of Commons5. For example, the executive clearly carries out legislative functions and a prime example is the Law Commission. Additionally, the judiciary obtain their power from the Crown and there is a distinct overlap of functions between the powers, which should be separated for the effective application of the separation of powers and the efficacy of Parliament as check on the executive6. This is further compounded by the fact that the Prime Minister and Cabinet ministers are Parliament members and part of the legislature and the Prime Minister is head of the executive. This obfuscation of the theoretical separation of powers has ramifications for the procedure of passing Acts of Parliament. Parliament is essentially the legislative section of the British political system. As such, through the executive Prime Minister and the Cabinet, Parliament sanctions executive sovereignty in a party governmental system. Theoretically Parliament is a policy influencing body, relying on the executive to formulate policy and reacts to it and therefore the party machine reinforces power of the executive to initiate policy. Parliament is not therefore involved in the policy making process and has minor powers of initiation. Whilst government controls Parliament the passing of an

Saturday, August 24, 2019

West VS East. Racial And Gender Stereotypes And Power Relationships Research Paper

West VS East. Racial And Gender Stereotypes And Power Relationships - Research Paper Example Thus, this flow seems unstoppable on the example of Europeans and Asians. David Henry Hwang’s M. Butterfly is an applicable example of those fallacies white supremacist promoted about underdeveloped Asians. Turning up to this topic, the world knows many examples when cultural misconception brought a host of social, political, and economical conflicts based on the racial and ethnical difference. This popular trend in the East-West debate was broken down by means of Hwang’s M. Butterfly. Thus, Western influences on Asian culture refer to the imperial dominance, while Eastern identity cannot be trite even after the period of colonization. First and foremost, representatives from Asian countries and with Asian descent were always an object for Western mockery and humiliation. This trend is historically grounded. The question is that Asian people are quite different in their sets of virtues and values they carry on in terms of religion, society, money-making, and the like. O nce, it became annoying for the white supremacists that colonized much of the South-East Asian countries. The pressure started growing since that time. Hence, it overgrew into inequality and prejudices. Asian men and women were not considered equal with European men and women due to the higher, so to speak, status and position of the latter descent. Taking a look at the Hwang’s work, Rene Gallimard is an unhappy white man to be trapped into his own fallacy on Asian women. He fell in love with blindness in his eyes regarding the gender of an Asian woman he loved. The idea is that Asian men as well as Asian women were not considered sexually attractive for white people. Their asexual identity was another reason why they were mistrusted and discriminated by the white majority. Oriental sexuality bore a mark of impossibility. This bias embraced the cultural vision of Caucasian people worldwide. Hence, a host of different stereotypes is the reason why East-West discourse fell shor t of further clarifications. Misogyny referred to Asian men along with feminization referred to Asian women in a wider look at the Western imaginary are the main drives to declare inability of Asians to be attractive to white people. This is why Asians seem to be cast adrift far from where whites gathered. On the other hand, Asian women were considered incapable of their female potential so as to impress Europeans. Thus, East-West racial and gender stereotypes were well grounded on extrapolation of power relations with a century-long continuation. When Gallimard says: â€Å"I’m a man who loved a woman created by a man† – it is a justification of narrow-mindedness he possessed before which was imposed by the rest of his own society in Paris (Hwang ii). It is a remarkable episode depicting the way Rene Gallimard erred during his visit of China. On the other hand, framing Asian men as dangerous for women at large was another stereotype by the Western theorists. One can see it through the way Gallimard behaved in the first days of his trip to China. Frankly speaking, it is all about the way two cultures differ in their understanding of social equilibrium and harmony. Sorrentino points out in his study the following idea: â€Å"Most relevant in this case is the way the West has been described as having an individualistic culture with relatively â€Å"loose† social norms whereas the East has been described as having a collectivistic culture with â€Å"tight† social norms that emphasize social harmony† (51). This is the sticking point highlighting the point of misunderstanding between two cultures. Drawing the images of Asian people in strict accordance to the prejudices and stereotypes illustrating the Western supremacy over the rest of the world, asexual Asian men and hypersexual Asian women seem to

Friday, August 23, 2019

London School Business & Finance Essay Example | Topics and Well Written Essays - 500 words

London School Business & Finance - Essay Example As the report discusses  internet marketing is an effort that helps to facilitate overall marketing concept by using different internet portals as well as various electronic medium. Global context that are associated with digital improvement is an identical objective that is evident within every marketing practices and assist in enlarging the value that is associated with the overall advertising technique that is provided using electronic media.This essay stresses that in the current complex social domain, it is identifiable that the organisations that are trying to develop its competitive advantage need to maintain a string digital presence. In order to maintain the competitive advantage within the current complex business internet marketing has emerged to be a concept that helps in engaging overall business artillery using large web mediums.  Internet marketing is identified to be a process of marketing as well promoting events that are conducted using the Web, email along with other mediums that helps in fulfilling the needs of internet marketing. Various elements including social media, website, blog, networking, and attractive public interfaces enhances the ability of the internet .Social media is identified to be having certain involvement to increase the overall business campaign virtually.  Now a day’s people highly prefer to conduct online activities and sharing information with the use of digital media.

Thursday, August 22, 2019

History of networking Essay Example | Topics and Well Written Essays - 2500 words

History of networking - Essay Example The said necessity can be attributed to the advent of the computer technology since stored data in different units of are needed to be shared within a local are or to another remote located. The said need that been realized through the onset of the different networking technologies that made data management faster and more efficient (Morley and Parker, 2009, p.322). The study is aimed to present the history of networking technologies by discussing the chronological development of the different systems that contributed to the present utilizable networking tools. Toward the Development of the Connectionless Computer Networks 1960s: 1. Development of the ARPANET The ARPANET is one of the first networking technologies considered as the precursor of the internet technology. It had been developed in 1969 by a group under the United States Department of Defense known as the Advance Research Projects Agency (ARPA) and known as the ‘first operational packet-switching network’ (St allings, 2007, p.25). ... The original ARPANET design can be seen in Figure 1. From the said circle of users and groups connected to the ARPANET, the number of hosts grew to hundred millions and the number of users grew to billions. In 2007, there are 200 countries that were connected to the network (Stallings, 2007, p.25). From the said official use, the utilization of the system extended to college students. Thus, the ARPANET at that time was being applied for military purposes and for the exchange of information among the groups included in the circle. Through the inclusion of the students, though, a new purpose had been born considered as unintended. Computer games began during that time (Morley and Parker, 2009, p.322). Figure 1. Original ARPANET design. (Source: Tanenbaum, 2003, p.52) Basically, the networks continued to expand through the years. It became massive that it included the different types of hardware from the earliest to the latest such as the ‘DOS-based computers, the Windows-based co mputers, the Apple Macintosh computers, and the UNIX systems. The evolution, development and connection to the ARPANET can be considered as the early stage internet that the world has today (Morley and Parker, 2009; Stallings, 2007). The ARPANET uses the technology contributed by the different participants in the group such as the European networks including Cyclades in France and EIN. This collaboration led to the main system used, which was the Transmission Control Protocol (TCP) and the Internet Protocol (IP). The protocol suite then became TCP/IP, the main foundation in the development of the Internet (Stallings, 2007, p.26). 1970s: 1. Development of the System Network Architecture (SNA) The SNA which had been launched in 1974 was developed by IBM. It is a layered

Bubba Tech Inc Essay Example for Free

Bubba Tech Inc Essay After seven years working, Carson became a certified public accountant and Boone successfully complete a masters egree program in Information System at Southern Methodist University. In 2001, Carson and Boone formed a manufacturing company, Bubba Tech Inc. (BTI) in Austin which is privately owned by them and venture capital firm. Boone becomes chief executive officer (CEO) and Carson become chief financial officer (CFO) in BTI. There was no board of director because the firm has completely confidence in the ability of Carson and Boone. Venture capitalists provide a provision into their agreement where Boone and Carson would received 10% return on their investment for five ears and after company went public they would be repaid the amount of their investment. BTI had hired Randy Burnham ; Co. to audit its financial statement on 31 December 2012 due to their plan to go for public within five years. Burnham completed its audit for that five years in BTI and give unqualified opinion on the audited financial statement. In 2007, BTI decided to go as public. In meeting with Burnhams auditor, Boone ask Clint Strait, the partner who in charge of BTI audit to prepare a list of top operational issues to consider as the company went from being privately held to publicly held corporation. Then, Strait set up a team to proceed. The teams consist of Randy Burnham and Clint Strait itself, Shania Hill (the manager in charge of audit), Faith Twain (who had in charge consulting services engagement for BTI), Garth Chesney (tax department) and Kenny Brook (who responsible for information technology work related to audit of BTI). QUESTION 1 Based on the limited facts of this case, prepare a list of the operational issues to present the top management at BTI. Include in your list any corporate governance issues of importance in relation to the management of BTI after it becomes a public ompany and any issues related to the relationship between BTI and Randy Burnham co. ANSWER: Referring to the case of Bubba Tech, Inc. (BTI), there are several operational issues to be presented to the top management at BTI which concerning the corporate governance and issue related to the relationship between BTI and Randy Burnham Co. The operational issues that can be highlighted are the issue of working with potentially biased audit firm, lack of internal control and lack of corporate governance. The chief financial officer (CFO) of BTI, Willie Carson was once an employee of the Randy Burnham Co. , an accounting tlrm that is currently acting as the auditor tor BTI. The relationship between Carson and the auditors from Randy Burnham Co. may cause a conflict of interest. A conflict of interest is a situation in which private interests or personal considerations could affect or to perceived to affect both Carson and the auditors from Randy Burnham Co. Judgements to act in the best interests of BTI. The relationship of Carson and the auditors may influence the Judgement and the decision relevancy that creates many of the conflict of interest problems in the business. For instance, Carson may ask the auditors favour to conceal the material misstatement found in the financial statement from the venture capital firms knowledge. Objectivity and integrity are essential qualities for employees of any organization. The affected result is not only the unqualified opinions rendered for the audited financial statements for previous years are arguable but also the transparency of every future Judgement and decision is doubtful as BTI is working with an audit firm that potentially biased towards BTI. The second issue that can be highlighted is the lacking of internal control in BTI rganization. One of the best defences against business failure, as well as an important driver of business performance, is having an effective internal control system, which manages risk and enables the creation and preservation of value. A system of internal control refers to the process by which organizations maintain environments that encourage incorruptibility and deter fraudulent activities by management and employees. Based on the fact stated in this case, BTI was privately owned by Carson, Boone, and a venture capital firm where Carson has been appointed as CFO, Boone as CEO and there was no board of directors. Obviously all the decision related to operations, management, and financial are decided by either Carson or Boone, or both of them. There is no other party to question, monitor and evaluate their action. This situation is proving the issue of lacking of internal control in BTI organization. If BTI proceeds with the plan to go public, it should establish a well-tailored, govern, and implemented set of internal control in its organization. Corporate governance is the internal structure of a corporation from its lowest level workers all the way up to its executives. Corporate governance has far-reaching ffects not only for the business itself but for the financial market as a whole. In the case of BTI, the CFO management integrity and the external auditor integrity are questionable as the relationship built between them may cause conflict of interests and fraud. Management integrity, or the moral character of persons of authority, sets the overall tone for the organization. However, managements enforcement of policies is the major indicator of an organizations commitment to a successful internal control system. Unfortunately, was not applied by BTI organization. Another issue that can be raised is the segregation of duties. The absent of board of directors fgure in BTI organization causing so many critical issue as there is no stewardship centre that determining the companys approach to corporate governance, including developing a set of corporate governance principles and guidelines that are specifically applicable to the company . Carson and Boone have the freewill to decide on anything related to the company. Segregation of duties is critical to effective internal control because it reduces the risk of mistakes and inappropriate actions.

Wednesday, August 21, 2019

Specifications of Damage Assessment Technique

Specifications of Damage Assessment Technique Specifications of Damage Assessment Technique Damage Tolerance (DT), is the ability of a material to function and resist fracture after a permanent change/defect has taken place for a given period of time. The Damage Tolerance is an essential attribute of a structural component, whose failure could result in catastrophic loss of life or property. Damage Tolerance Analysis The DT addresses two points concerning an initially defected/damaged structure. First, it determines fracture load for a specified defect size. Meaning that the load where material failure occurs, when a specified defect size, exists is determined. Second, it predicts the required length of time for a sub-critical defect to grow to the size that causes fracture at given load. In this case, it is assumed that the defect can extend and propagate in a sub-critical manner1. The determination of fracture/failure load for a defected component will be the primary target of the DT analysis that will be carried out for the projects needs. To apply the DT method, the fatigue target stress levels need to be calculated. The last can be derived from the ultimate allowable stress levels. The ultimate allowable stress levels can be basically determined by the loading conditions applied to the specified component. In every structural case, the specific target stress value for any given primary structural component is adjusted for its specific geometry and material properties. Therefore, the prediction of the required length of time for a sub-critical defect to grow to the size that causes fracture at given load will be attempted to be determined. Of course to achieve predicting the required length of time for a sub-critical defect to grow to the size that causes fracture at given load, the respective material data should be available. Damage Tolerance Analysis Procedure It is known that a structure usually fails by one or combination of failures. These failures can be elastic /inelastic deformations, buckling, fatigue or accidental impact, etc. In the flow chart of Figure 4.1 a possible procedure that might be adopted to carry out the numerical DT analysis of a structural component is depicted. This flow chart, as it can be seen, covers the case of static and fatigue load. Despite of this, each case can be assessed and examined individually if all the required inputs are available. 1 Damage Tolerance Analysis of Aero Structural Components, TATA Figure 4.1: Damage Tolerance Analysis Procedure It is intended to develop a fully parametric numerical model of the structural (metallic and/or composite) component for the DT modelling using the aid of suitable Finite Element software. The work plan is to write a scripting code in the FE softwares parametric design language to allow defect geometric characteristics (e.g. defect location, damage size etc.) and external data (e.g. geometric characteristics, material properties, loading and boundary conditions of the component) to be automatically inserted to the numerical model of the structural component. The aim is to develop a code with the following features: easy data insertion by uploading the geometry of the component, apply loading and boundary conditions to the DT modular unit, and data import for different types of components with minimum modifications. Moreover, it will be attempted to achieve a sufficient mesh density for the Finite Element model (refined FE model) that will provide adequate accuracy by minimizing the discrepancies of the results in a prescribed range. At the same time, it is desired that the model will not consumes excessive computational time and effort for its solution. It will be attempted to incorporate an adaptive mesh routine for increasing the mesh density at the defect regions according to certain condition/criteria, such as the minimum energy condition. This technique will be employed in case that complex geometry is about to be analysed. Eventually, a post-processing macro-routine will also be programmed to process the results from the analysis solution. A possible way for verifying whether the structural component can operate with defect or repair is required is by calculating the Margin of Safety (MS) for the examined component. Using the maximum stress (von-Mises) obtained from the numerical analysis, static margin of safety (MS) obtained for limit and ultimate loads can be calculated respectively. By employing the suitable failure criteria a possible reduction of the components structural strength will be defined. Required inputs for Damage Tolerance Analysis In this section the inputs that will be required for carrying out the numerical structural analysis are listed in the following paragraphs. A brief explanation about each required input is also presented in order the reader to comprehend the necessity of each characteristic. Components geometric characteristics The geometric characteristics of the component can be separated in three distinguished categories, which both of them have to be defined with accuracy. These categories are: components   geometry   (the   geometric   characteristic   of   the   reference-no   defect- component), type of defect, and geometry of the defect. And they are explained in more detail below. Components Geometry Initially, the geometric characteristics of the component are required for carrying out a numerical analysis that will assess the DT of the investigated component. In more detail, the geometric characteristics of the investigated component-in case of a flat plate- are its width, length, its thickness etc. For the case where a more complex geometry needs to be investigated, CAD drawings will be required. It is preferred to provide EXIS with the drawings in electronic format in a neutral file (e.g. .igs or .stp format) to allow the smooth insertion of these file to the FE software. Additional inputs will be required, depending the case, for de-featuring the CAD model and eventually generate an equivalent simplified FE model. It is expected the last to have less elements/nodes and hence less computational demands. Typeofdefect The type of flaw detected by the Non Destructive procedure (e.g. crack, delaminations, etc.) will be an advantage to be known and given as input before developing the FE model for the DT analysis, Figure 4.2. It will be helpful to know the defect type DT Analysis of the structural component will examine, so the appropriate modelling procedure and discretization method in the defects region will be used. Delaminations(single-andmulti-level)Freeedgedamages(delaminations, notches,loosefibers,etc.) Figure 4.2: Type of defect to be analysed DefectGeometry It is essential when performing a numerical structural analysis of a defected component to know the geometry of the defect. Basically in this case the geometry of the defect is part of the geometry of the analysed and investigated component. Therefore, the   non-destructive method (PA or IRT) will initially detect the damage and generate an image. The image processing procedure will allow to calculate the size of the defect and its location. The geometric characteristics that are expected to extract are the area, width (w), height (h) and the coordinates of the defected area into the component. An estimation of the through thickness damage will be also required for the FE model. The last is expected to be provided by the software that will perform the non-destructive testing. It might be necessary to model the defect using an equivalent area of a circle or rectangular, in order to avoid modelling complex defect shapes, such as of Figure 4.3. In case that this approach is utilized, a validation procedure will be performed. Figure 4.3: Geometrical characteristics of the defect Material mechanical properties To carry out a numerical DT analysis of a component, it is necessary to insert the appropriate material models into the FE model to simulate the exact behaviour of the component and its strength. In case the metallic components are examined, the material properties that need to be available are the following: Modulus of Elasticity (E), and Poisson Ratio (ÃŽ ½). Regarding composite components, monolithic CFRP is the main category that is believed that is about to be investigated, since a wide range of currently flying aircrafts, such as the Airbus 3XX family is using them. Therefore, in case that monolithic composite material the material properties that define the material model will be inserted to the FE model. The following material properties can adequately define the behaviour of the material model. Material properties of the ply Eij, Gij and vij, where Eij Gij and vij is the Young, Shear modulus and Poissons ratio in the i,j direction respectively. The subscripts i, j can take values from 1 to 3 and they are used for defining the material coordinate system, Figure 4.4. Ply thickness. Stacking sequence and number of plies, Figure 4.4. Axial Strength of laminate in 1, 2 and 3 direction. Shear Strength of laminate in 12, 23 and 31 direction. If the material inputs are not available from the designer of the component, then they will be taken from the open literature. Figure 4.4: Representative stacking sequence of a CFRP composite and material coordinate system Characteristic example of a set of three dimensional failure criteria is the maximum stress failure criteria. They are presented below (ÏÆ'ij are the calculated layer-stress components in the (ij) direction and the denominators are the ultimate strengths in the corresponding direction). Maximum  Stress  Failure  Criteria: The nominator of each ratio is the maximum stress value that is developed in the structure. The denominator is the strength of the material in each direction. Whenever the ratio is less than one then no failure occurs, otherwise material failure exists. It desired not having any failure when ultimate load is applied to the component. Restraints and Boundary conditions The stress state of a composite structural member is strongly related with the way this member is attached to the rest of the aircraft structure. Knowing that in the area of the defect/damage stress concentration exists, the correct definition of the boundary conditions is essential. To this end, the boundary conditions of the structural component must be provided in order to apply the respective degrees of freedom/ constraints to the FE model. Loading conditions For carrying out the DT analysis, the loading conditions exerted to the composite component need to be defined. It is essential for the numerical analysis the applied load to be known; hence it is a required input. In more detail the limit load that is applied to the structural component needs to be known before running the analysis. Additional inputs Additional inputs might be required to perform the DT analysis of a specific component with a specific type of defect. In that case additional inputs might be needed.

Tuesday, August 20, 2019

Erik Erikson Theory of Development

Erik Erikson Theory of Development Human life is determined by so many factors which contribute to how they behave. Every human being has a personality which many claim that it might be caused by genes. There are circumstances that go unnoticed which contribute to how people behave. These events run from childhood to adulthood and that is what the theory of development/ model of early childhood development as created by Erik Erikson try to explain. This paper highlights on child development and factors that determines his/her behavior as explained by Erikson in his theory of development. This theory explains why people behave as they do which is contributed by environment, interaction and response. There are eight stages and in each, there are both positive influences as well as negative which give either result. The stages contribute to physical, emotion, intelligence and social features of an individual. Theory of Development/Model of Early Childhood Development The theory of development came up in 20th century when interest to change the perception of children being small adults and aim to discover the abnormal behaviors became a concern. There have been many theories on this ground like Freuds psychosexual stages which focused on mental disorders in childhood. The Piagets stages of cognitive development attributed to Jean Piaget who had a view that children and adults never thought the same. John B.Watson, B. F. Skinner and Ivan Pavlov developed the behavioral child development theories which test on the influence of the environment to behavior (Thomas, 2005). Lastly, Eriksons stages of psychosocial development by Erik Erikson was developed which encompassed the whole human life. Each stage in his theory is presented with conflict whose success or failure impacts on the personality (Muzi, 2000). Erik Erikson tries to explain the development of personality and behavior in people mostly attributable to stages in life. Most of his work is developed and related to Freuds; he has only made his complex and covers from childhood to adulthood (Baldwin, 2008). Development takes place in all years in human life according to him. Exposure, training, reciprocation and experience determine the effects of these stages on a persons behavior and personality either negative or positive. Each stage is presented with equal positive and negative effects and Erik warns against use of the word achievement and encourages on the word acquisition of personality. He built his work on Freuds to make it more meaningful and accessible. His work shows the tasks that need to be accomplished in different ages for smooth living (Santrock, 2010). In his model, he developed eight stages using age range which is not fixed hence there are overlaps. In any of the stages that is not well partaken, it may present problems in the future. The first stage according to his psychosocial development is trust vs. mistrust with a virtue of hope and experienced in infants between 0 to I year. In this stage, there is total reliance of the child from the mother. Parents act as a guide as child understands the world. If the child is exposed to the basic needs of the stage, he/she may have trust on the world. If the opposite happens, the child gains a sense of mistrust about the world. This is the stage in which the infant understands about the world and its people. The writer advocates for warmth, sleeping and feeding amongst others (Thomas, 2005). Stage two is autonomy vs. shame and doubt with a virtue of will and is experienced in toddlers between age 2 and 3 years. The child is on an exploration about the surroundings. At this stage, it depends with the parents encouragement as well as strictness. The infants depend on the caregivers reaction to their actions. They can move and the muscle coordination is increased. They can attend to some of their issues without bothering the caregivers and if encouraged, they gain a sense of autonomy but if discouraged, they may develop doubts and shame about their ability. It encompasses independence and confidence both of mind and oneself. The writer advocates for toilet training, aiding their walking and showing encouragement (Baldwin, 2008). In initiative vs. guilt which is the third stage, its virtue is purpose and is in children between 3 to 5 years i.e. preschool. It is based on tasks for purposes and the children learn about nature like gravity. The guilt may be caused by failure to achieve or doing the wrong thing. They have a multiple of choices about the activities to do which may be fit for them or unfit hence affecting the juniors i.e. doing what is beyond their capability. The responses they receive from juniors have effects on their initiative. If they feel motivated, they can try new thing which give confidence and achievement and if they are demoralized, they can feel guilty. The activities undertaken in this stage may result to both negative and positive behaviors. If the child fails in most of his/her activities, frustration may develop hence may depict negative behaviors. Erik encourages on play and adventure as the management techniques (Slentz Krogh, 2008). The fourth stage is industry vs. inferiority with a virtue of competence and is between ages 6 to 11 years i.e. childhood. At this stage, children are now aware of themselves and apply more logic to practical things. They aim at doing right, being responsible and attending to their issues with no or minimal assistance. The children are recognized with groups either through culture or differences in personality. The activities undertaken here are complex, meaningful and purposeful. The spirit of cooperation is developed and every child discovers his/her unique capabilities. This stage takes place mostly when many people are in school and is considered as a vital transition in ones life because everything else is built on it. The main techniques are parents, teachers and friends encouragement as well as schooling (Newcombe, 2010). Identity vs. role confusion comes as the fifth stage. It has an ego quality of fidelity and it is between 12 to 19 years concentrated on adolescence. It is a transition from childhood to adulthood in which there is confusion in roles. It brings a sense of identity, what has transpired from stage one to stage four can be termed as mare childhood but now reality of who they are and what the society views and expects of them is vivid. There is what is expected in the future and it is at this stage that matching of the past and the expectations is done. This creates the personality of who you want to be. The sexuality is well developed and there are self ideologies which may or may not be affected by past stages (Slentz Krogh, 2008). Depending on the results from fourth stage, the fifth stage may take place at different ages, some as early as 17 and 18 while others as late as 20 and 21.There are more experiments before the real identity is established. Adolescents are in a position to differ with their parents and caregivers on some issues like politics and religion. Many parents may try to influence decisions made by their children at this stage like the career to pursue. This may block their self establishment hence have an influenced identity because this stage requires total independence. It can be established by identifying with peers and groups (Baldwin, 2008). The stage of intimacy vs. isolation has the value of love which is established between 20 to 40 years, among young adults. Some bit of identity vs. role confusion may be experienced at early years of this stage due to late identity establishment. Identification with friends is most here and since there is experience of pain, some may isolate themselves due to fear of break ups and rejection. They grow a defense mechanism that that can destroy what seems dangerous to them. With creation of intimacy, people graduate to commitments which call for compromises and sacrifices. This is where marriage is established forming a long-term commitment which brings both emotional and physical closeness. Failure to experience intimacy may cause isolation which may be due to rejection or personal reasons (Slentz Krogh, 2008). There is need for social life, friends and lovers to achieve satisfaction in this stage. The seventh stage is generativity vs. stagnation with a virtue of care and is experienced between 45 to 65 years, middle adulthood. It has more social works and responsibility focused on the siblings as they are the future generation. These adults act as caregivers of the young ones and it is a warning that their success or failure in any of the previous stages should not affect on the way they influence the siblings (Thomas, 2005). They have a lot of tasks to do to the young ones and also the children have set expectations about them. Responsibility extends to others and the ability to give it is generativity while inability is the stagnation. It is associated with works of giving back to the community and through care. Production is expected from these mid adults both in terms of work and participation to the community development. The final stage is ego integrity vs. despair which is experienced in senior adults of age 65 and above. Its virtue guide is wisdom and it is more of a review of how the life has been and what he/she has achieved and need for rest. These individuals feel either rejected or accepted depending on what they have done, the impact of their actions on the community and the world at large (Slentz Krogh, 2008) It is the stage at which they make peace with people, the creator and also need peace of mind. If their lives have been successful and full of accomplishments, the adult feels full of integrity. If the life has been a total failure, they feel despair. The review is focused on the achievements made which could be in one way or another, an improvement to the world, making it a better place. This stage also allows an adult to give back to the community what he/she had not yet given i.e. being responsible and making up for any mistakes or harms inflicted to both the people and world at lar ge (Thomas, 2005). In all these stages of life, there are two extremes one positive and the other negative and there is need for an individual to balance both of them to have a balanced living. Each stage acts as a transition to the next and it is important to accomplish the tasks in each stage, failure to which may result to problems in the future. The age gaps provided may not be fixed depending on different reviews as well as individuals. They used as a guiding way to place all the stages in a life of a human being. There are individuals that may be late to graduate to the next stage hence carrying the previous stage tasks (Slentz Krogh, 2008). Others graduate faster than presented in years in the Eriks theory. This creates the differences in ages when a given stage starts and when it ends. The most affected stage is identity vs. role confusion in which many girls start at age 9 which is below the provide age of 12 to 19 years. There is need for caregivers to ensure proper balancing of the conflict s especially in the stages that they have control of for good life development

Monday, August 19, 2019

Women Athletes in Male Dominated Sports Essay -- Argumentative Persuas

Women Athletes in Male Dominated Sports Sports are one of the great American pastimes, but the reality is that sports have encouraged a very distinct separation between males and females in the American society. The attitudes acquired through sports are learned on the field and breached into the real world to create conflict between the sexes. The issue of gender inequality goes far beyond the sports world, yet male dominated organizations form and support the sexes. With this separation of sexes we see the social and cultural strain on athletes participating in opposite gender sports, because society frowns on women participating in male dominated sports. The idea of sports has always had a masculine viewpoint. It has been seen as unladylike for women to participate in certain sports, let alone those that are primarily male dominated. The American public's fascination with female athletes: tennis players, professional golfers, figure skaters, and gymnasts. These sports demonstrate the agility and elegance "natural" to women and although athleticism is clearly a major aspect of these sports, the individual stars are known, culturally at least, more for their "feminine" attributes like self-sacrifice, glamour and grace (Banet-Weiser, p 411). From the article by Banet-Weiser, we can see society and the general public recognition of female athletes has always been based on their feminine beauty and objectified status, rather than their athletic skill, which becomes a major drawback to women's sports and probably a significant reason why many women drop out of sports or have their sexual identity questioned when they try to prove their ath leticism. This issue of gender in sport occurs all the time. The masculine assumptions... ... everyone whether male or female needs to incorporate physical activity into their daily routine. Without it, we would not be able to participate in athletics and so what if a woman sweats when she is at the gym or playing a sport, it just proves that she is working hard at what she is doing. So, in a way, sport provides communication with other people and improves the physical, mental, and emotional well being of a woman. I think we just need to look past the negative aspects of sport because they can distract athletes or even cause them to stop doing what they love. Pressure from society to fit in is always a hard thing to deal with and those that overcome the remarks from audiences or critics become the better person in the long run by looking back at what they accomplished and what they have left behind for many other generations of women athletes to follow.

Sunday, August 18, 2019

Robinson Crusoe Essay -- essays research papers

Robinson Crusoe   Ã‚  Ã‚  Ã‚  Ã‚  I believe the most interesting character in this book was Robinson Crusoe. He is a young man who runs away from home to seek adventure and excitement as a seaman. He does indeed find adventure, though much more than he had hoped for. He is ship wrecked on a remote island, where he lives most of his life alone. This could be the end of the story of Robinson Crusoe, but it’s really only the beginning. On the island, begins to wonder about many things. Eventually he makes many discoveries. Some strange, some horrible. But though everything, he keeps his faith in God.   Ã‚  Ã‚  Ã‚  Ã‚  The story of Robinson Crusoe starts in sixteen thirty-two, in northern England. His father was a merchant who had grown very rich and settled on...

Saturday, August 17, 2019

Health Paper-Hypertension Essay

Hypertension also known as high blood pressure is a common condition in which the force of the blood against your artery walls is high enough that it may eventually cause health problems, such as heart disease. Blood pressure is determined by the amount of blood your heart pumps and the amount of resistance to blood flow in your arteries. The more blood your heart pumps and the narrower your arteries, the higher your blood pressure. High blood pressure is the leading cause of stroke and a major cause of heart attack. In the U.S alone, more than 30% of American adults have high blood pressure. Hypertension is often called the â€Å"the silent killer† because it rarely caauses symptoms, even as it inflicts serious damage to the body. You can have high blood pressure for years without any symptoms. If your blood pressure is uncontrolled it can increase your risk of serious health problems, including heart attack and stroke. High blood pressure develops over many years, and it affects nearly everyone eventually. Although high blood pressure is most common in adults, children may be at risk also. For some children, high blood pressure is caused by problems with the kidneys or heart. But for a growing number of kids, poor lifestyle habits, such as an unhealthy diet and lack of exercise contribute to high blood pressure. Most people with high blood pressure have no signs or symptoms, even if blood pressure readings reach dangerously high levels. Although a few people with early stage high blood pressure may have dull headaches, dizzy spells or a few more nosebleeds than normal, these signs and symptoms typically don’t occur until high blood pressure has reached a severe, even life threatening stage. Thankfully, high blood pressure can be easily detected. Once you know you have it you can work with your doctor in controlling it. There are two types of high blood pressure. First, Primary (essential) hypertension. For most adults, there’s no identifiable cause of high blood pressure. This type of high blood pressure, tends to develop gradually over many years. Second, Seconday hypertension. Some people have high blood pressure caused by an underlying condition. This type of high blood pressure, tends to appear suddenly and cause higher blood pressure than does primary hypertension. Various conditions and medications can lead to secondary hypertension. High blood pressure has many risk factors including: age(the risk of high blood pressure increases as you age), race, family history, being overweight or obese(the more you weigh,the more blood you need to supply oxygen and nutrients you your tissues), not being physically active, using tobacco, using to much salt in your diet(too much salt can cause your body to retain fluid which increases blood pressure), too little potassiium in your diet, too little vitamin D in your diet, drinking alcohol, stress and certain chronic conditions. The excessive pressure on your artery walls caused by high blood pressure can damage your blood vessels, as well as organs in your body. The higher your blood pressure and the longer it goes uncontrolled, the greater the damage. High blood pressure can cause hardening and thickening of the arteries, which can lead to a heart attack, stroke or other complications. Blood pressure is measured with an inflatable arm cuff and pressure measuring gauge. A blood pressure reading, has two numbers. The first, or upper, number measures the pressure in your arteries when your heart beats which is called systolic pressure. The second, or lower, number measures the pressure in your arteries between beats which is called diastolic pressure. There are four general blood pressure measurements. Fist, normal blood pressue. Your blood pressure is normal if it’s below 120/80. However, some doctors recomment 115/75 as a better goal. Once blood pressure rises above 115/75 the risk of cardiovascular disease begins to increase. Second, prehypertension. Prehypertension is a blood pressure measurement of 120/80 to 139/89. Prehypertension tends to get worse over time. Third, Stage 1 hypertension. Stage 1 hypertension is a blood pressure reading ranging from 140/90 to 159/99. Fourth, Stage 2 hypertension. More severe hypertension, stage 2 hypertension is a blood pressure reading of 160/100 or higher. Changing your lifestyle can go a long way torward controlling high blood pressure. But sometimes lifestyle changes aren’t enough. In addition to diet and exercise, your doctor may recommend medication to lower your blood pressure. Which category of medication your doctor prescribes depends on your stage of high blood pressure and weather you also have other medical problems. It’s never too early to make healthy lifestyle changes, such as quitting smoking, eating healthy foods and becoming more physically active. These are primary lines of defense against high blood pressure and its complications. References: Choosing Health by: Lynch, Elmore, Morgan www.webmd.com www.managingmybloodpressure.com Steadmans medical dictionary 28th Edition

Friday, August 16, 2019

Product Mix and New Product Development Strategies Essay

The Coca-Cola versus Pepsi competition is perhaps the most well known rivalry in the history of marketing. Coke has long enjoyed the home field advantage, having become entrenched as the most popular and identifiable cola throughout the world. Although it has carved itself a substantial portion of the market, Pepsi has struggled to match the sales revenue of Coca-Cola; until recently. Although Pepsi has never come close to equaling Coke cola market share, they have become more aggressive and adept than Coke in cornering the non-carbonated beverage market. It is in this market that Pepsi is seeking to obtain a sustainable competitive advantage over Coke. It their quest to acquire and develop new products, will the use of the PTSTP method help Pepsi develop new products in order to obtain a sustainable competitive advantage?A product is defined in three levels; core, actual, and augmented. The core of the product is the benefit it offers the consumer. For the example of colas, it could be refreshment, energy (sugar and caffeine), alertness, or just pleasure. The soda itself is the actual product. The augmented product for a cola could be the recognition and status gains perceived by drinking that particular brand. Or it could even be the weight loss from sticking to diet colas. For the development of new products, we first need to identify what consists of a new product. There are six categories of new products:1.New-To-The-World. This is a product that has no like product offered elsewhere. For example, when the first personal computer was offered to the public, this would be a new product. 2.New Product Lines. This is when similar products exist, possibly even under the same brand, but a new line of the product offers some tangible difference to those products already offered. For example, offering diet colas in addition to regular colas under the same brand. 3.Product Line Additions. This is the addition of a product that is directly related to one offered. For example, offering Vanilla Coke for sale alongside Coke. 4.Improvements/Revisions. This is a product which has already been offered,  but some change or revision has been made to the products properties. For example: New Coke, or anything labeled â€Å"new and improved.†5.Repositioned Products. The same product offered in a new market or directed towards a new target market. For example Pepsi bringing Sabritas chips into the US to target the Hispanic market. 6.Lower-Priced Products. This is simply reducing the price of an existing product to stimulate sales. New products affect the product mix of a company. Product mix is generally defined as â€Å"the total composite of products offered by a particular organization.† The product mix includes both individual products and product lines. A product line is a group of products which are closely related by function, customer base, distribution, or price range. To use Pepsi as an example, Pepsi’s product mix includes beverages and potato chips. The beverage product line consists of carbonated, non-carbonated, and water. Pepsi, Gatorade, and Aquafina all are individual products. PTSTP is a mnemonic for the five step process underlying Target Marketing and Positioning. The five steps are as follows:1.Identify competitive Products. 2.Define the Target market. 3.Determine the basis for Segmentation. 4.Determine if any Target markets are underserved. 5.Develop a Product for the underserved market. By using this method, a company can identify a gap in a particular market segment. This gap may be present because there is no product to fill it, or because the current product is reaching the end of its life-cycle, thus creating an opportunity for new growth. To answer the previous question, we will contrast the PTSTP method to Coca-Cola and Pespi’s development of the non-carbonated beverage market. Pepsi has continually struggled to match Coke’s market share in colas and other carbonated beverages. Coke enjoys a 44% slice of the market compared to Pepsi’s 32%. During their 108 year rivalry, Pepsi has never come close to selling as much soda as Coke. Much of this is due to Coke’s brand recognition. Although in 2006 Pepsi, for the first time, beat Coke in beverages sold. This was due to Pepsi’s embracement of the non-carbonated beverage market, where it led the market with a 24% share over Coke’s 16%. Pepsi was able to recognize and take advantage of the growing non-carbonized market much earlier than Coca-Cola. Although cola sales have recently stagnated to less than 1% growth, non-carbonated beverages grew 8% in 2004. Much of the failure of Coke to expand into this market can be traced back to the stubbornness of Coke executives to expand beyond the soda market. Coke had an opportunity to acquire Quaker Oats in the 1990’s, but passed on the opportunity. Instead, Pepsi acquired Quaker Oats in 2001. Among Quaker Oats assets were Gatorade and Snapple, both leaders in their markets. Although these product lines were already established, they represented new products to Pepsi, as they represented Pepsi’s introduction into the non-carbonated beverage market. As a result, Pepsi owns a commanding lead in the sports drink market, with Gatorade holding an 80% share to Coke’s Powerade at 15%. Until 2001, Coca-Cola had been reluctant to embrace new products. They were not willing to extend their company and take the chance in the non-carbonated market, until they saw the success Pepsi was having. In addition to passing up on Quaker Oats, Coke lost a bidding war for the Sobe line of enhanced juices, and their bid for the Planet Java line of coffees and teas was not embraced by their independent bottlers. However, since 2000 Coke has been actively seeking new products in this market, including the acquisition of the successful Minute Maid juice line. The difference in philosophy has made the difference for Pepsi. In fact, losing the cola wars may have been the best thing for Pepsi. This forced Pepsi to look outside the soda realm in order to increase profits. As Pepsi’s CEO, Steven Reinemund believes that his company’s growth is due to their constant quest for change, that â€Å"Innovation is what consumers are  looking for, particularly in the small, routine things of their life.† Pepsi’s willingness to embrace new product lines has given them the edge over Coke for the first time in history. Their offerings of Quaker Oats’ beverages, Sobe, and Aquafina have all been firsts for a soda company. As a result, they have gained the brand recognition over Coke’s subsequent offerings, leading to an increased market share. In order for Pepsi to maintain their competitive advantage over Coke, they need to follow the advice of Reinemund, by remaining innovative. PTSTP can help them sustain this advantage. By identifying potential markets, and developing products for these markets, they can continue to capture new market shares. The beverage market is saturated with options for the consumer, with new products appearing everyday. Many of these products are variations on existing products. For example, energy drinks have become very popular in the past few years. As a result the market has become flooded with options. It will become increasingly difficult to introduce new products in this category. By using PTSTP, Pepsi can identify a new niche in this market, or a different market to exploit. Using the energy drinks as an example, the competitors range from Fuze, Red Bull, and many others. By defining the target market, they can identify that the same demographics both tend to buy sodas and energy drinks. Pepsi can then segment the market into young males (18-30). They then determine that the target market of combined soda energy drinks is underserved. They then develop a product to serve this market. Thus Pepsi Max is born. By using PTSTP, Pepsi has created a new product in soda energy drinks, Pepsi Max. It is this type of creativity and innovation that is embraced by Reinemund, and will serve to keep Pepsi with a sustained competitive advantage over Coke. Only by using a method such as PTSTP, can underserved markets be identified and exploited. References 1. http://business.enotes.com/business-finance-encyclopedia/product-mix2. Brady, Diane (). A Thousand and One Noshes: How Pepsi deftly adapts products to changing consumer tastes. Business Week. 14 Jun 20043. Foust, Dean. Things Go Better With †¦ Juice: Coke’s new CEO will have to move quickly to catch up in noncarbonated drinks. Business Week. 17 May 20044. Brooker, Katrina. How Pepsi outgunned Coke: Losing the cola wars was the best thing that ever happened to Pepsi — while Coke was celebrating, PEP took over a much larger market. FORTUNE 1 Feb 2006http://money.cnn.com/2006/02/01/news/companies/pepsi_fortune/index.htm5. http://www.marketingteacher.com/Lessons/lesson_three_levels_of_a_product.htm

Was Dollarization a Success in Zimbabwe

CHAPTER ONE [pic] 1. Introduction At independence in 1980 the Zimbabwe dollar replaced the Rhodesian dollar at par at a rate which was higher than the American dollar. Although this quickly deteriorated, it was not until the late nineties that a series of events led to the demise of the Zimbabwean dollar. In 2008 in an 18-month ‘experiment’, foreign currency was accepted as legal tender for transactions with a set number of retailers. Honorable Members will be aware that in the hyper-inflationary environment characterizing the economy at present, our people are now using multiple currencies for day to day business transactions, alongside the Zimbabwe dollar. These currencies include the South African Rand (ZAR), United States Dollar (USD), Botswana Pula (BWP), Euro, and British Pound Sterling, among others. In line with the prevailing practices by the general public, Government is, therefore, allowing the use of multiple foreign currencies for business transactions, alon gside the Zimbabwe dollar. †[1]However, months later, in March of 2009, the newly instated Finance Minister, Tendai Biti, announced that the Zimbabwe dollar would be suspended indefinitely. [2] The main argument in this piece is that the Zimbabwean crisis in the 2000s and the subsequent stabilization of the economy were made possible by the dollarization of the Zimbabwean economy in 2009. This article investigates the recent monetary experience of Zimbabwe with dollarization. It shows how dollarization has allowed Zimbabwe to quash hyper-inflation[3], restore stability, increase budgetary discipline, and re-establish monetary credibility.This paper analyses the effects of the dollarization of the Zimbabwean economy in 2009, in the wake of devastating hyper-inflation and a political crisis that reached its zenith with the electoral crisis of 2008. Though there is a direct nexus between the two processes, the former cannot be exclusively ascribed to the latter; there are a host of other issues that have contributed to the economic and financial breakdown in Zimbabwe. 1. 11 The Background to the ProblemThe Reserve Bank of Zimbabwe (RBZ) was forced to revalue the Zimbabwean dollar, three times in a space of less than three years, because of rampant hyper-inflation in the country. In August 2006, in an operation called ‘Sunrise 1’, the RBZ removed 3 zeroes from Zimbabwe’s currency and promised to introduce a new currency in the near future. In August 2008, exactly two years after the first revaluation, the RBZ slashed a further 10 zeroes from Zimbabwe’s currency, calling this ‘Sunrise II’. Rampaging hyper-inflation forced the government to erase another 12 zeroes in early February 2009.This was ‘Sunrise III’. Thus, a staggering 25 zeroes had been slashed from the Zimbabwean currency within a space of only three years. The hyper-inflation was just unsustainable, and when the Zimbabwean dollar was officially shelved in March 2009, the highest single denomination was a 100 trillion dollar note. When the 100 trillion dollar note was introduced on 16 January 2009, it was worth the equivalent of US$ 30 on the parallel market. The establishment of the Government of National Unity (GNU) saw the dollarization of the Zimbabwean economy and the shelving of the Zimbabwean dollar in March 2009.Dollarization is a portfolio shift away from domestic currency to foreign currency, to fulfil the main functions of money – store of value, unit of account, and medium of exchange. It is typically a result of unstable macroeconomic conditions and is a rational response of people seeking to diversify their assets in the face of heightened domestic currency risk. Efforts to revive the battered Zimbabwean economy, largely through the dollarization of the Zimbabwean economy are assessed through the lens of the banking sector.The banking sector thrived during the peak of the Zimbabwean crisis, as most bank s became key players in highly speculative activities in areas such as Zimbabwe’s bullish stock exchange and real estate. The profits that were being realized in the banking sector trickled down to their workers who became the best remunerated workers amongst all the sectors in Zimbabwe. With dollarization of the economy in 2009, the once vibrant banking sector was suddenly facing the grim prospect of disintegration, which had plagued sectors such as teaching during the peak of the Zimbabwean crisis.The banking sector was adversely affected by the dollarization of the economy, as the speculative activities that were reaping huge rewards for the banks were wiped out overnight by the adoption of more stable currencies at the expense of the precarious Zimbabwean dollar. This spelt disaster for the banking fraternity, as most banks in the first few months of dollarization struggled to pay their workers in hard currency and instead were forced to downsize their operations and lay- off some of their employees.The paper argues that in complete contrast to most sectors in the economy, the banking sector boomed during the crisis, and the Zimbabwe Congress of Trade Unions (ZCTU) monthly remuneration lists in 2008 saw the banking workers consistently topping the lists. However, the dollarization of the Zimbabwean economy turned the tables on this once prosperous sector, as bank workers like the bank tellers and other clerical workers found themselves being laid-off, as most banks struggled to remunerate their workers in hard currency. 1. 12 Objectives ? To assess the performance of the banking sector before and after dollarization. To investigate the effects of dollarization of the Zimbabwean economy on the banking sector. ? To investigate the advantages and disadvantages of dollarization on the banking sector. 1. 13 The Research Problem The effects of dollarization on the banking sector after the dollarization of the Zimbabwean economy. 1. 14 The Research Question What effect does the dollarization of the Zimbabwean economy have on the banking sector? 1. 15 Sub Questions 1. What is dollarization? 2. What are the forms of dollarization? 3. What are the costs of dollarization? 4.What are the benefits of dollarization? 5. What impact does dollarization have on the banking sector? 6. Was dollarization a success in Zimbabwe? 1. 17 Significance of the study To the researcher The research is in partial fulfillment of the requirements of a Bachelor of Commerce Honours Degree in Accounting at the National University of Science and Technology. It will allow the researcher to have a deeper understanding and both theoretical and practical knowledge in the area of research and encourage a practical application of theoretical concepts on the area under study.To the banking sector The research is set to provide enlightment on the impact of dollarization of the Zimbabwean economy to the banking sector. To the university The research project will assist the university in coming up with a curriculum on the study of the dollarization of the Zimbabwean economy and the impact that it had on the banking sector. 1. 18 Assumptions ? All respondents have adequate knowledge of the developments in their particular organizations. ? Respondents will give truthful responses adequate to make reasonable inferences. The researcher assumes that respondents will respond within a reasonable time period to enable the timetable to be adhered to. ? The researcher assumes that he will have enough financial resources to meet all the expenses. ? There will not be institutional disturbances that could delay completion of the project. ? Secondary data will be available. 1. 19 Literature Review Data will be collected from the textbooks, libraries, newspapers, journals and the internet. 1. 20 Theoretical Framework Was the dollarization of the Zimbabwean economy a success to the banking sector?The research intends to use both primary and secondary sources of data. These sources of data will help to explore an analysis of what past researchers have brought to light in relation to the impact of the dollarization of the Zimbabwean economy on the banking sector. It is under this section that the researcher intends to explain various forms of dollarization. The benefits and costs of dollarization shall be explored through exclusive use of the internet and various text books and journals. 1. 21 Definitions of TermsFor the purpose of this study the following abbreviations and definitions will be used. Hyper-inflation – Ruinously  high  increase (50  percent  or more per month) in  prices  due  to the near total  collapse  of a  country's  monetary system, rendering its  currency  almost worthless as a  medium of exchange. Although hyperinflation is caused mainly by excessive  deficit spending  (financed by  printing  more  money) by a  government, some  economists  believe that social  breakdown  leads  to hyperinflation (not vice versa), and that its roots lie in political rather than economic  causes. 4] Dollarization – occurs when the inhabitants of a country use foreign  currency  in parallel to or instead of the domestic currency as a store of value, unit of account, and/or medium of exchange within the domestic economy. The term is not only applied to usage of the  United States dollar, but generally to the use of any foreign currency as the national currency. [5] BWP – Botswana Pula GNU – Government of National Unity USD – United States Dollar RBZ – Reserve Bank of Zimbabwe ZAR – South African Rand ZCTU- Zimbabwe Congress of Trade Unions 2. 00 Research DesignSample of people to send questionnaire is going to be based on knowledge, accessibility and convenience. 2. 11 Instruments for Data Collection The research will be based on both primary and secondary methods of collecting data which include surveys, interviews, questionnaires and published information and journals. The researcher will use a number of methods in the collection of primary and secondary information. The following methods will be used to gather primary information: ? Questionnaires- these will be designed and hand posted to the selected respondents.Sample of people to send questionnaire is going to be based on knowledge, accessibility and convenience. ? Interviews- interviews will be conducted to collect some of the information required in the research. The following sources will be used to tap all secondary data available about the subject: ? Use of textbooks ? The researcher in the course of the research will access newspapers, financial reports, business journals and the Internet. Information will also be attained through discussions with classmates and fellow researchers. 2. 2 Data Presentation and Analysis There will be use of tables, graphs and statistical tools/methods including pie charts in data presentation and anal ysis. These will be used first to present the data obtained through the questionnaires in the interviews, which will then make possible the analysis of the data in a more objective and quantitative manner as well as less subjective and qualitative way. A report shall then be compiled and presented on the final outcome of the findings and analysis. 2. 13 Research Timetable and Budget (Project Scheduling)Research Time Table SectionChapterMonth/Period Introduction1Two weeks Literature Review2Two weeks Research Method3Four Weeks Data Presentation ; Analysis4Four Weeks Conclusion and Recommendation5Two weeks Research Budget Cost CenterCost Amount (USD) Typing and Printing$20 Photocopying$20 Internet$30 Traveling costs$50 Food Costs$30 Total$150 2. 14 Research Limitations ? The research is going to be limited due to the studies that will be going on concurrently with the research project and the time committed to the research project will be reduced. Time, unforeseen institutional disturb ances at N. U. S. T. may delay timely completion of the research project. ? Lack of cooperation – there could be unexpected lack of cooperation from respondents, if any are to be involved in the project. ? Possible limited access to confidential information, which might be useful for the purposes of the research. ? Financial constraints – The research could be affected by the writer’s limited funds to fully meet all due costs to be incurred during the research 2. 15 Source ReferencingThe â€Å"According to â€Å"Kararach G, Kadenge P, and Guvheya G, (2010). CURRENCY REFORMS IN ZIMBABWE: AN ANALYSIS OF POSSIBLE CURRENCY REGIMES,† will be used. 2. 16 Bibliography (a) Books The Harvard way of referencing shall be employed (b) Journals The â€Å"According to â€Å"Kararach G, Kadenge P, and Guvheya G, (2010). CURRENCY REFORMS IN ZIMBABWE: AN ANALYSIS OF POSSIBLE CURRENCY REGIMES,† will be used. ——————— – [1] (Acting Minister of Finance, Cde Patrick Chinamasa on Budget Presentation to Parliament on 29 January 2009. ) [2] Ibid. ; Biti, T. ‘Statement on the 2009 Budget’, Presented to the Parliament of Zimbabwe by the Minister of Finance, 17 March 2009, http://www. zimtreasury. org [3] Hyper-inflation is defined by Hanke (2008) as a situation where the year- on- year rate of inflation breaches the 12,875 percent mark. Zimbabwe began to hyper-inflate in 2007 and hyper-inflation was officially reported by the Zimbabwe Central Statistical Office to have peaked at 231 million percent in July 2008. [4] http://www. businessdictionary. com/definition/hyperinflation. html [5] http://www. answers. com/topic/dollarization#ixzz2BXaOhuVJ ———————– 1