Wednesday, July 31, 2019

Capital Punishment Essay

The world is full of mysterious answers to questions: Why does the sun rise? Is there a higher power somewhere? These questions can be answered one of two ways; either through knowledge or belief. The accuracy of these answers, however, can vary greatly depending on which method of knowing is used. Belief, for example, is the least accurate option of the two. Belief is personal. Different individuals may have different beliefs on the same matter. People tend to have different beliefs depending on their way of thinking, which in turn depends on the person’s upbringing, education, knowledge, etc. Knowledge however is something universal; there are no different views factored into knowledge. It is something that is void of any emotions or personal beliefs. When it comes to capital punishment, the answer for whether or not governments should be allowed to execute criminals is an answer based on belief. Some people may believe that capital punishment is wrong while some may believe that it is just. No one knows for sure whether or not it’s right or wrong to execute criminals. Some faith groups, such as the Roman Catholic Church, oppose the death penalty as not being â€Å"pro-life. Catholic Cardinal McCarrick, Archbishop of Washington, writes â€Å"†¦ the death penalty diminishes all of us, increases disrespect for human life, and offers the tragic illusion that we can teach that killing is wrong by killing. † This quotation is based off of reason. It shows the side of the debate that views executing criminals as wrong. After all, if we kill someone to teach that killing is wrong, doesn’t that make us just as bad? â€Å"If a civilized society cannot say why one man should be executed and another not,† stated Justice Matthew Tobriner, â€Å"it does not rationally, logically take life. Instead, it grossly denies due process of law, inflicting death on the basis of a trial that is capricious, discriminatory and guess-infected. † For example, wrongly convicted, innocent people have received death penalty sentences and were killed by the state. People are accused of crimes they didn’t commit frequently. How can the state be sure of whether or not the person whose life they’re taking is actually doing justice, or just murdering an innocent person? This is based on reason. Arguing for capital punishment, the Clark County, Indiana Prosecuting Attorney writes that â€Å"†¦ there are some defendants who have earned the ultimate punishment our society has to offer by committing murder with aggravating circumstances present. I believe life is sacred. It cheapens the life of an innocent murder victim to say that society has no right to keep the murderer from ever killing again. In my view, society has not only the right, but the duty to act in self defense to protect the innocent. † Some crimes are so horrific that some people think that revenge or retribution is the only option. This reasoning is not based on logic; but rather, it is based on emotions. Therefore, this reason should not be deemed a valid justification. It is commonly believed that the punishment of a crime should equal the crime. This is also known as â€Å"an eye for eye† justice. Therefore using this reason, the appropriate punishment for murder is death. Frank Carrington states, â€Å"is there any way one can tell whether the death penalty deters murders from killing? There is no way one can tell whether the death  penalty deters murderers from killing. The argument goes on that proponents of capital punishments should not have to bear the burden of proving deterrence by a  reasonable doubt. Nor should the abolitionist have to prove deterrence by a reasonable doubt -neither side would be able to anyway. † He also claims common sense supports the inference that if, the threat of the death penalty decreases, the rate of murders increases than it may be true. But  if the threat had increased, the homicide rate may decrease. This statement means that capital punishment may serve as an example to would-be criminals, to deter them from committing murder or terrorist acts. In conclusion, I find the arguments against capital punishment the most convincing. All of the inferences made in the argument against the death penalty have been based on reason or perception. An argument pro death penalty was based on emotion and has convinced me that the death penalty is in large part, a way of getting even. The â€Å"eye for an eye† analogy supports this. Previously, I was for capital punishment, but due to the evidence and the knowledge and not belief, that support the claims, I am against capital punishment. Word Count = 765

Tuesday, July 30, 2019

Save Girl Child

NuclearMain articles: Nuclear explosion and Effects of nuclear explosions In addition to stellar nuclear explosions, a man-made nuclear weapon is a type of explosive weapon that derives its destructive force from nuclear fission or from a combination of fission and fusion. As a result, even a nuclear weapon with a small yield is significantly more powerful than the largest conventional explosives available, with a single weapon capable of completely destroying an entire city. Properties of explosionsForceExplosive force is released in a direction perpendicular to the surface of the explosive. If the surface is cut or shaped, the explosive forces can be focused to produce a greater local effect; this is known as a shaped charge.VelocityThis article is written like a personal reflection or opinion essay rather than an encyclopedic description of the subject. Pleasehelp improve it by rewriting it in an encyclopedic style. (May 2013) The speed of the reaction is what distinguishes the ex plosive reaction from an ordinary combustion reaction . Unless the reaction occurs rapidly, the thermally expanded gases will be dissipated in the medium, and there will be no explosion. Again, consider a wood or coal fire. As the fire burns, there is the evolution of heat and the formation of gases, but neither is liberated rapidly enough to cause an explosion. This can be likened to the difference between the energy discharge of a battery, which is slow, and that of a flash capacitor like that in a camera flash, which releases its energy all at once.Evolution of heatThe generation of heat in large quantities accompanies most explosive chemical reactions. The exceptions are called entropic explosives and include organic peroxides such as acetone peroxide[2] It is the rapid liberation of heat that causes the gaseous products of most explosive reactions to expand and generate high pressures. This rapid generation of high pressures of the released gas constitutes the explosion. The li beration of heat with insufficient rapidity will not cause an explosion. For example,  although a unit mass of coal yields five times as much heat as a unit mass of nitroglycerin, the coal cannot be used as an explosive because the rate at which it yields this heat is quite slow. In fact, a substance which burns less rapidly (i.e. slowcombustion) may actually evolve more total heat than an explosive which detonates rapidly (i.e. fast combustion).In the former, slow combustion converts more of the internal energy (i.e.chemical potential) of the burning substance into heat released to the surroundings, while in the latter, fast combustion (i.e. detonation) instead converts more internal energy into work on the surroundings (i.e. less internal energy converted into heat); c.f. heat and work (thermodynamics) are equivalent forms of energy. See Heat of Combustion for a more thorough treatment of this topic. When a chemical compound is formed from its constituents, heat may either be ab sorbed or released. The quantity of heat absorbed or given off during transformation is called the heat of formation.Heats of formations for solids and gases found in explosive reactions have been determined for a temperature of 25  °C and atmospheric pressure, and are normally given in units of kilojoules per gram-molecule. A negative value indicates that heat is absorbed during the formation of the compound from its elements; such a reaction is called an endothermic reaction. In explosive technology only materials that are exothermic—that have a net liberation of heat—are of interest. Reaction heat is measured under conditions either of constant pressure or constant volume. It is this heat of reaction that may be properly expressed as the â€Å"heat of explosion.†Initiation of reactionA chemical explosive is a compound or mixture which, upon the application of heat or shock, decomposes or rearranges with extreme rapidity, yielding much gas and heat. Many sub stances not ordinarily classed as explosives may do one, or even two, of these things. A reaction must be capable of being initiated by the application of shock, heat, or a catalyst (in the case of some explosive chemical reactions) to a small portion of the mass of the explosive material. A material in which the first three factors exist cannot be accepted as an explosive unless the reaction can be made to occur when needed.FragmentationFragmentation is the accumulation and projection of particles as the result of a high explosives detonation. Fragments could be part of a structure such as a magazine. High velocity, low angle fragments can travel hundreds or thousands of feet with enough energy to initiate other surrounding high explosive items, injure or kill personnel and damage vehicles or structures. Notable explosions Save Girl Child NuclearMain articles: Nuclear explosion and Effects of nuclear explosions In addition to stellar nuclear explosions, a man-made nuclear weapon is a type of explosive weapon that derives its destructive force from nuclear fission or from a combination of fission and fusion. As a result, even a nuclear weapon with a small yield is significantly more powerful than the largest conventional explosives available, with a single weapon capable of completely destroying an entire city. Properties of explosionsForceExplosive force is released in a direction perpendicular to the surface of the explosive. If the surface is cut or shaped, the explosive forces can be focused to produce a greater local effect; this is known as a shaped charge.VelocityThis article is written like a personal reflection or opinion essay rather than an encyclopedic description of the subject. Pleasehelp improve it by rewriting it in an encyclopedic style. (May 2013) The speed of the reaction is what distinguishes the ex plosive reaction from an ordinary combustion reaction . Unless the reaction occurs rapidly, the thermally expanded gases will be dissipated in the medium, and there will be no explosion. Again, consider a wood or coal fire. As the fire burns, there is the evolution of heat and the formation of gases, but neither is liberated rapidly enough to cause an explosion. This can be likened to the difference between the energy discharge of a battery, which is slow, and that of a flash capacitor like that in a camera flash, which releases its energy all at once.Evolution of heatThe generation of heat in large quantities accompanies most explosive chemical reactions. The exceptions are called entropic explosives and include organic peroxides such as acetone peroxide[2] It is the rapid liberation of heat that causes the gaseous products of most explosive reactions to expand and generate high pressures. This rapid generation of high pressures of the released gas constitutes the explosion. The li beration of heat with insufficient rapidity will not cause an explosion. For example, although a unit mass of coal yields five times as much heat as a unit mass of nitroglycerin, the coal cannot be used as an explosive because the rate at which it yields this heat is quite slow.In fact, a substance which burns less rapidly (i.e. slowcombustion) may actually evolve more total heat than an explosive which detonates rapidly (i.e. fast combustion). In the former, slow combustion converts more of the internal energy (i.e.chemical potential) of the burning substance into heat released to the surroundings, while in the latter, fast combustion (i.e. detonation) instead converts more internal energy into work on the surroundings (i.e. less internal energy converted into heat); c.f. heat and work (thermodynamics) are equivalent forms of energy. See Heat of Combustion for a more thorough treatment of this topic. When a chemical compound is formed from its constituents, heat may either be absor bed or released.The quantity of heat absorbed or given off during transformation is called the heat of formation. Heats of formations for solids and gases found in explosive reactions have been determined for a temperature of 25  °C and atmospheric pressure, and are normally given in units of kilojoules per gram-molecule. A negative value indicates that heat is absorbed during the formation of the compound from its elements; such a reaction is called an endothermic reaction. In explosive technology only materials that are exothermic—that have a net liberation of heat—are of interest. Reaction heat is measured under conditions either of constant pressure or constant volume. It is this heat of reaction that may be properly expressed as the â€Å"heat of explosion.† Initiation of reactionA chemical explosive is a compound or mixture which, upon the application of heat or shock, decomposes or rearranges with extreme rapidity, yielding much gas and heat. Many subst ances not ordinarily classed as explosives may do one, or even two, of these things. A reaction must be capable of being initiated by the application of shock, heat, or a catalyst (in the case of some explosive chemical reactions) to a small portion of the mass of the explosive material. A material in which the first three factors exist cannot be accepted as an explosive unless the reaction can be made to occur when needed.FragmentationFragmentation is the accumulation and projection of particles as the result of a high explosives detonation. Fragments could be part of a structure such as a magazine. High velocity, low angle fragments can travel hundreds or thousands of feet with enough energy to initiate other surrounding high explosive items, injure or kill personnel and damage vehicles or structures.

Monday, July 29, 2019

Palm's Strategy Essay Example | Topics and Well Written Essays - 1000 words

Palm's Strategy - Essay Example Having clarity regarding the level of performance and the factors affecting the performance helps the organization to comprehend the bottlenecks that exists in the organization. The organization than can utilize the resources in a more effective way. Nadler and Tushman’s Congruence Model: David Nadler and Michael Tushman at Columbia University formulated a simple yet effective approach to assess the organization dynamics based on the systems theory. The efforts taken by Nadler and Tushman to develop a theory to chalk out the flow of productive work in a company created the congruence model. The congruence model systematically breaks each step of the basic systems model to explain the systems model. The congruence model developed by Nadler and Tushman depicts the outcome of strategies applied on the inputs namely Environment, Resources and History. The outcomes are assessed in the level of organizational performance, Group /unit performance and individual performance (Nadler, T ushman&Hatvany, 2007) The entire model aims at assessing the application and strategy applied by the company on their key resources like Human resource, the background or the history they have and the environmental resource available to the company. ... Palm has been able to apply the strategy of generic competitiveness on the inputs to achieve the outcomes that it enjoys. Fig: Nadler and Tushman’s Congruence Model, Source: Cameron and Green (2009) Porter’s Generic Competitive Strategies Applied By Palm: A number of theories have been developed in the area of strategic management. Porter’s Generic competitive strategies define the three standards on which an organization can base their growth strategies. Cost Leadership, Differentiation and Focus. The cost leadership is the strategy applied by the company to be different from their competitors in pricing. Offering products at a lower price than their competitors without compromising with the quality of the product. Differentiation strategy implies strategies applied by organization to differentiate their products in such a way that they stand out in comparison to their competitor’s product. Focus is the area on which the company decides to place more stre ss on to achieve either cost leadership or product differentiation. Cost Leadership: When a company aims at cost leadership, cost reduction becomes a major goal for the company. A low cost strategy applied by Palm Inc. is increasing the scale of production. The company makes provision to cut costs that occurs due to unplanned reasons. One of Palm’s main business strength is the ability of Palm to produce cost effective products. Cost effectiveness allows Palm to generate better revenue. In a competitive market having a technologically sound product does not always guarantee better market share. Even the most high end customers look for cost effective bargain and Palm has been able to recognize this factor. The software technology developed by Palm is produced in such a way that they appeal to

Sunday, July 28, 2019

Detroit women working in war industries (WWII) Research Paper

Detroit women working in war industries (WWII) - Research Paper Example This caused a huge need for work force in the city. During 1940 s’ there were great discrimination based on sex. Women were not deemed fit to do men’s work. Hence most of the women of that period were housewives. Their main work was to take care of the house and the children. Further during the great depression there was a huge population of men who lost their jobs and was against employing women. The people during that time considered that by employing women, eligible unemployed men were being deprived of jobs. But due to the ongoing war most of the men were enrolled in the army and were not available for work. This resulted in a large scale need for workforce (Milkman, 1987). Another main reason for shortage of work force was the sudden increase in the need for Tanks, Planes, trucks and other equipment required for war fare. Due to the huge increase in need for those articles the major automobile companies in Detroit stopped the production of Automobiles and started c oncentrating more on producing war machines. This lead to development of new factory units and these Factories were involved in the production of war machines and other related equipments. It also created new vacancies and since majority of the men were either fighting for the country or wounded only few men were available to fill up these huge vacancies. This was also the main reason for the sudden shortage of workforce. Due to shortage of workforce, the production was greatly affected. As national interest was involved, the government started showing more concern towards this issue. As a result, the Government decided to involve the women folks of that area to work in the place of men. At the beginning response from the women was very less. Though few women came forward to work, they were only willing to do the traditional female jobs such as clerical or administrative works. They were not willing to do the so called traditional male jobs and they were not willing to work in the f actories. But as there was huge vacancy in these types of jobs the government wanted to employ women in these types of jobs. The call for to work in the factories by the Government was responded mostly by women belonging to minority and lower class who were already employed in some other work. They just shifted from the low paid desk work to a better paid job. This did not help to reduce the need for work force in any way. Hence girls graduating from high schools were also recruited. This also did not suffice the need for the work force. So, the government turned its attention towards house wives. As the majority of the women were housewives, the government started targeting house wives for these kinds of jobs. The male population of the city was totally against this. They thought that by employing housewives the future of the children will be spoiled. In the beginning housewives, especially, with children were prevented from going to work. The government really had a very hard time in bring those women to work. United States of America being a democratic country was not able to force these people to work. Hence, it started to use various other means to do this (Babson, 1986). The government thought of luring the women to work through various propagandas. Through propagandas patriotic feeling was greatly increased. Further economic

Saturday, July 27, 2019

THERAPUTIC HYPOTHERMIA POST CARDIAC ARREST Essay

THERAPUTIC HYPOTHERMIA POST CARDIAC ARREST - Essay Example One of these means is identified to include the use of reflective analysis, whereby after any major task with a patient, the nurse sits back to reflect on the nursing practice that was executed, using a series of methodologies and procedures. In this paper, such clinical judgment in the nursing management of a patient is undertaken. The patient was taken care of after post cardiac arrest during the first 6 hours of his initial admission to the hospital. As part of regular nursing practice, there are several decisions and actions that were taken that were based on academic and clinical reasoning. The reflective paper will therefore give a general profile of the patient, after which there will be a vivid discussion of the care that was rendered. There will then be an appraisal of the care, which shall take the form of a critical analysis of the care before a reflective conclusion is given. This is the case of Mr. B, whose actual name is withheld for ethical reasons to keep the identity of the patient anonymous. Mr. B was admitted to the hospital for the reason of a post cardiac arrest. This means that the patient was going through a moment of cessation of what was to be the normal circulation of blood into his heart (Sonneville et al., 2013). Such instances of cardiac arrest have been attributed to a failure for the heart to effectively contract and expand as part of its regular functionality (Peberdy et al., 2010). It was realised that Mr. B’s instance of cardiac arrest had come about whiles he was undergoing treatment for acute exacerbation of Asthma in one of the medical ward. Some of the specific instances of symptoms that he showed at the time of being reported to the ward were I was in charge included an arrest with a rhythm of pulseless electrical activity (PEA). It would be noted that under very normal situations,

Assess, Plan and Design Possible Teaching and Learning Interactions Essay

Assess, Plan and Design Possible Teaching and Learning Interactions that Promote Acquisition and Learning of Oral, Visual Art - Essay Example Persisting with difficulty: When she realized that the drip stand was empty, she persisted in searching for a bag of fluid to attach to it so that the drip station would look authentic. She even suggested to put clamps so that the fluid will not run down. Expressing an idea or feeling. Her play emulated a nurse administering an IV to her own hand and this was observed when she pretended to prick her finger. Taking responsibility. She asked that a note be placed on the medical equipment she was playing with so that no one will touch it and that it will still be available when she comes back to it next time. 2. Assessment: The assessment framework adopted is the Learning Stories Framework (Carr, 2001). It is an approach that tells a story about a child in action as observed and documented by a teacher or practitioner. It is a more holistic approach in assessing a child’s knowledge, skills and attitudes, which are reflective of the child’s competencies (Carr, 2006) 3. ... She has displayed adequate verbal communication skills as she was able to express herself when she requested for some things she needed in her play (Communication, 2, p. 76) She showed ownership of her play by asking her teacher to write a note not to touch her drip. She realized that the note can be read by others and is a form of communication (Communication, 3, p. 78) Observing Daneka gave the teacher ideas on how to help her in her language development. She seems to be open to learning because she is very curious and applies her ideas directly to her play (Communication 4, p. 80) In her play, Daneka learned that her ideas have value and with a responsive environment, she can pursue it. She realized that the practitioner respected her ideas and cooperated with her requests. She has learned that a real life experience can be reproduced in play. Daneka has shown that she has developed confidence in pursuing her ideas further by exploring what the drip would feel like if it were on h er. Daneka’s opportunity to observe her brother gave her ideas regarding the use of medical equipment thus supporting and extending her understanding of what is happening to her brother. (Indexed for Mind Map) *Emergent literacy is the term used to refer to the earliest period of a child’s literacy development, specifically the time between birth and when the child can read and write (Sulzby and Teale, 1991). According to emergent literacy theories, the child is the central figure in the construction of learning. His life experiences directly affect his literacy. One theoretical perspective in the area of emergent literacy is that children are innately predisposed to

Friday, July 26, 2019

Finncil Mrkets nd Monetry Policy Assignment Example | Topics and Well Written Essays - 1500 words

Finncil Mrkets nd Monetry Policy - Assignment Example "In that sense I think the outlook is 'bimodal' - in terms of there being two main stories. The orthodox story, to which I gave most weight in my November vote, required a small tightening," he said. On the significance of the 15 per cent annual rise in broad money supply, Mr Tucker said it was important to look at what was contributing to the growth: "One has to get one's hands dirty in analysing the money numbers." (Daneshkhu, 2006) The rection of the finncil community to the increse of interest rtes by the Bnk of Englnd showed tht they believed tht the consumer price index would remin bove trget if rtes were left unchnged t 4.75 per cent. Growth ws firm nd hd left smll mrgin of spre cpcity, they rgued, while the risks from slowing US economy hd diminished. The still buoynt housing mrket might spur consumer spending, though it ws ccepted tht household indebtedness could ct s restrint. In ddition, the mjority remined concerned tht the upcoming New Yer py round my pose risk s workers noted tht the retil price index ws t n eight yer pek of 3.7 per cent. "There ws risk tht employees would seek to negotite higher wges in order to resist the erosion of their purchsing power ccording to tht index," sid the Bnk. (Daneshkhu, 2006) The mjorityThe mjority gin reiterted their concerns tht the fst pce of brod money growth could further fuel sset price infltion nd tht tht if infltion continued bove trget for much longer, tht might come to be reflected in infltion expecttions. ll these fctors posed upside risks to infltion. In contrst, one member, presumed to be Ms Lomx, "plced more weight on the downside risks to demnd nd infltion." (Fifield, 2006) The member lso rgued tht the ugust rte rise hd not yet fully been fully felt nd tht the Bnk ws underestimting the risks to demnd of slowing US economy. Rising unemployment ws likely to leve wge growth muted. nother member, believed to be Dvid Blnch flower, rgued tht the "current spike in infltion ws minly relted to lrge gs nd electricity price increses, which were still more thn offsetting the recent fllbck in petrol prices." Infltion would fll shrply next yer s their impct dissipted. Richrd McGuire t RBC Cpitl Mrkets sid the split vote might be interpreted by the mrket s reducing the momentum for nother increse in the cost of borrowing. "While it remins close cll, we continue to see the blnce of probbilities slnted towrd the Bnk of Englnd remining t the sidelines in Februry, view which hs received some support from tody's minutes." (Fifield, 2006) b) On wht grounds hs this interest rte increse hs been justifiedRises in interest rtes re justified by the forecsting tht Bnk of Englnd hs mde in reference to the growth during the next yer nd infltion tht will remin t or bove its trget over the next two yers. Addressing the Financial Markets Association in London, Paul Tucker said he had voted for last month's quarter-point increase in the Bank's main rate to 5 per cent. "With headline inflation tangibly above target in the run-up to the main, new year wage bargaining season and with the market clearly expecting that policy would be tightened, a small increase in bank rate was,

Thursday, July 25, 2019

Corporate Stratergy Case Study Example | Topics and Well Written Essays - 3000 words

Corporate Stratergy - Case Study Example Over the last few decades the UK grocery market has become a supermarket-dominated business (Ritz 2005, p 22-23). The dominance of the groups in terms of supply chain efficiency, ubiquitous stores and huge product range make entry of new players in the market difficult. Asda's positioning strategy is to be UK's cheapest supermarket grocer. The economic slow down has suddenly made a cheaper supermarket a more attractive proposition to the consumers. Morrison began as a butter and egg merchant, and went on to be a leading supermarket chain. It was by taking over the Safeway chain that Morrison began to make its large-scale presence. In fact, Morrison was forced to sell more than 50 stores it took over to avoid local monopolies. Some of the stores were also sold off because it did not fit in with the group's large format identity. Sainsbury group has a history of more than 150 years. Good quality at reasonable prices was the hallmark of the group from its first store. During the course of years, Sainsbury found itself sandwiched on one side by the cheap stores and on the other side by the up market stores like Waitrose. Tesco cornered the status of being termed the first superstore. The supermarkets grew when RPM (Resale Price Maintenance) was abolish ed, thereby giving the option of more discounts to the customers. Lower prices are the key strategy for the supermarket groups. All four groups own superstores, have lower prices or reasonable prices as a strategy and are perceived as one strategic unit by customers as well as in the Industry. b. Analyse the microenvironment that these companies must operate within. Strategic Analysis of the UK supermarket industry UK retail industry is a supermarket-dominated business. Smaller players exist in the periphery of the business. The supermarkets control the suppliers. Cheaper products that are provided by developing countries also threaten the suppliers. The supplier margins have consistently eroded with the power of the big four. Though food remains the main focus on the big chains, as customer spend more time in the stores, the non-food portfolio that they hold also become profitable. The supermarkets have diversified to add products like clothing, electronic goods, mobile phones and even banking products and legal assistance. The consumer movement has also ensured that the supermarkets focus on remaining green. This is true in case of a reluctance to use Genetically Modified food to carbon labeling of electronic goods. The supermarket chains are also experimenting with alternate store formats to target different type of customers. Continuous innovation and fast response to market conditions are a given in the industry. THE PESTEL Analysis: Political factors affecting the Industry: The political climate that could influence include policy decisions, EU, Euro, taxation policies etc. A couple of issues that could alter the political pressure on the supermarkets include pressure from the farming community which claim that they are getting squeezed by the bargaining power of the supermarkets and as the weakest link in the chain they

Wednesday, July 24, 2019

Discussion board Essay Example | Topics and Well Written Essays - 500 words - 2

Discussion board - Essay Example Apart from the Smallpox, there were other items involved in the Columbian exchange. The items included livestock and crops. The natives provided potatoes, sweet potatoes and maize. The Europeans brought to America crops such as Oranges, tomatoes and bananas. Horses, donkeys, sheep, goats, mules, dogs, cats, and pigs were brought from Europe to the New World. Other diseases included in the exchange were: measles, yellow fever and Syphilis. The natives gave the settlers syphilis in return. The Columbian Exchange was not a Pandora’s Box. The diseases and other items exchanged were just brought in or taken out by the settlers. The problems were caused by settlers. Even if the settlers had left, the continent was permanently changed by the settlers due to the introduction of the diseases and other exchange materials. In Bacon’s rebellion, Bacon led fight against Native Americans in order to defend the rights of the Englishmen. Bekerly, who was a governor, defended the Indians instead of colonists because the Indians were friendly to them, so they would act as buffers against hostile tribes. Edmund Morgan links the rebellion to American Freedom by using the role of slavery in American history. He argued that growing masses of alien slaves and freedom acted together as a way of bringing white settlers together and reducing racial differences. Indentured servants fitted into this picture by collaborating with freemen and small farmers in the Bacon rebellion to fight for freedom from the settlers. These immigrants served the settlers (planters) but they became freer each year. African Slave Trade became popular in the 17th century in United States. The slaves were taken to sugar colonies in the Caribbean and to Brazil. African slaves were taken to the colonies between 1519 and 1867. The middle passage was a stage in the triangular trade.

Tuesday, July 23, 2019

Global Financial Crisis Article Example | Topics and Well Written Essays - 500 words

Global Financial Crisis - Article Example The article further claims that financials problem could be avoided if people could have adopted the current economic models. Depending on the article's argument, financials problems have been brought about by people negligence. States have been neglecting the economic models which can help in resolving the economy. Currently, most of the states depend on others in order to get enough supply of goods and services. Many, countries have their foreign policy which governs their relationship with other states. The lack of an international organization to bring about a general foreign policy to govern all states as led to the lack of corporation in terms of international business. Conflict exists between some states, and this makes it difficult for the international business to take place. Due to increasing level of transnational and globalization activities countries needs to interact and share business difficult importation and exportation of products. The article states that the proble m will affect the livelihood of people in all corners of the world, and this is because people move to other states to seek employment and perform business. When one country is affected, it means that the whole world will be affected (Shah 2013). It is true that I am persuaded by the reading in this article because I have seen it happening. From the time to time, foreign currencies change their market status from being stable to unstable and vice versa (Shah 2013). The level of globalization has increased and without inclusion of the current economic model a country’s economy can decline. Those economic models which could have prevented financials crisis include qualitative models, stochastic and non-stochastic model.  

Monday, July 22, 2019

The Impact of the Global Economic Crisis on Syria Essay Example for Free

The Impact of the Global Economic Crisis on Syria Essay Introduction: The Syrian Arab Republic lies on the eastern coast of the Mediterranean Sea, between Turkey and Lebanon, stretching eastward towards Iraq and Jordan. Of its total area (18. 5 million ha) one-third is arable land or forest. The remainder consists mainly of steppe (Al Badia) or rocky areas. The Mediterranean climate, rainy winters and dry, hot summers separated by two short transitional seasons, prevails in the Syrian Arab Republic. The Syrian Arab Republic compares in land size with Tunisia, Senegal, Uruguay or Cambodia, and in population (16. 7 million) with much smaller Netherlands or much larger Chile or Madagascar. Syrian resident population increases by 0. 4 million per year, a still high rate of 2. 45 percent, despite the long term deceleration. Demographic growth imposes a heavy pressure on the economy and its natural resource base. Population is evenly distributed between urban and rural areas, making almost half of it depend mainly on agricultural and related activities. Indeed, agriculture is the main source of employment for the Syrian labour force. Agricultural land (arable land and permanent crops) account for about one-third of the total land area, a proportion similar to Tunisia, slightly above Greece and slightly below Bulgaria, while the rural density of population (1. 15 rural inhabitant per ha of agricultural land) compares with those of Greece or Morocco. Type of State: Syria is a republic officially based on a parliamentary democracy but in reality it is controlled by an authoritarian, military dominated regime where the President and his ruling party have immense powers. Type of economy: Lower-middle-income economy. A country which depends a lot on its petroleum activity. It ranks 29th in the world with production of 26 million tones. Agriculture has an important place: the sector employs 35% of the active population. Economy overview The Syrian economy grew by an estimated 3. 3% in real terms in 2007 led by the petroleum and agricultural sectors, which together account for about one-half of GDP. Higher crude oil prices countered declining oil production and led to higher budgetary and export receipts. Damascus has implemented modest economic reforms in the past few years, including cutting lending interest rates, opening private banks, consolidating all of the multiple exchange rates, raising prices on some subsidized items, most notably gasoline and cement, and establishing the Damascus Stock Exchange which is set to begin operations in 2009. In October 2007, for example, Damascus raised the price of subsidized gasoline by 20%, and may institute a rationing system in 2008. In addition, President ASAD signed legislative decrees to encourage corporate ownership reform, and to allow the Central Bank to issue Treasury bills and bonds for government debt. Nevertheless, the economy remains highly controlled by the government. Long-run economic constraints include declining oil production, high unemployment and inflation, rising budget deficits, and increasing pressure on water supplies caused by heavy use in agriculture, rapid population growth, industrial expansion, and water pollution. Real GDP and growth rate of Syria: GDP real growth rate: 4. 3% (2007 est. ) Definition: This entry gives GDP growth on an annual basis adjusted for inflation and expressed as a percent. The economy of Syria has seen a moderate growth over the last three years as can be depicted in the real GDP growth rate which averaged 5 percent over the last three years. In 2005, real GDP grew significantly by 21. 74, 25% between 2006-7 and 22. 86 between 2007-8. Inflation rate (consumer prices): 12. 2% (2007 est. ) Year Inflation rate (consumer prices) Percent Change Date of Information 2006 5. 00 % 138. 10 % 2005 est. 2007 8. 00 % 60. 00 % 2006 est. 2008 12. 20 % 52. 50 % 2007 est. Definition: This entry furnishes the annual percent change in consumer prices compared with the previous years consumer prices. The chart shows an increase in consumer price from 2005 to 2008. Year Export Import Net export 2005-6 424300 502369 -78069 2006-7 505012 531324 -26312 2007-8 579034 684557 -105523 Exports and Imports of Syria: Our export rose from 2006 to 2008 but also on the second hand, our export rose from 2006 to 2008. In all the years we can notice that our import is more than our export which is reflects badly on GDP. Government Tax, government expenditures and fiscal deficit: Syrias system of income tax is apportioned into three main income categories: (1) profits from an industrial, commercial, or non-commercial activity; (2) wages; and (3) income derived from movable capital assets. While the overall fiscal deficit increased to about 3 percent of GDP in 2007 the non-oil deficit remained stable. This reflected a drop in expenditures by about one percent of GDP, as both current and capital outlays declined. This was achieved despite the pressure on budgetary expenditure arising from the large number of Iraqi refugees. Oil revenue decreased by about 2 percent of GDP as the net external oil trade surplus virtually disappeared. Non-oil receipts, also declined, partly reflecting the reduction in customs tariffs. The external current account deficit widened to an estimated 3. 3 percent of GDP in 2007 (from 2. 8 percent in 2006). The net oil surplus (after subtracting the share of foreign partners) was eliminated due to a decline in output and an increase in domestic consumption. However, non-oil exports, tourism, and transfers, were buoyant partly as a result of strong regional demand and the relaxation of foreign exchange controls. Net foreign assets of the Central Bank of Syria (CBS) and the Commercial Bank of Syria (CBoS) stood at about $17 billion. The World Economic Crisis and the Syrian Economy Prices are rocketing in Syria. All things has doubled its prices and maybe tripled. A quick view to the average of salaries in Syria and comparing it to the prices will give you a quick idea about the World economic crisis and its effects on Syria. Syria Has faced one of the worst seasons in the agriculture field last year. The effect of drought has hit the meat and the framers who are growing ups Goats. Syria is depending on goat as a main source of meat in contrast to other parts of the world, which depends on cows. The prices of meat were at the bottom during last summer. That was owing to the drought and the lack of grasslands in Syria. What happened in this fall is the rocketing of Meat prices, which has doubled. That is only one face of problem. The other face of the economic crisis of the world and its effect on Syria is another issue. The effect of this crisis on Syria is mild. Thanks to George Bush who has put sanction on Syria especially in the financial field. These sanctions have limited the relations between Syrian Financial firms and The American ones. This has saved Syria from the crisis at least till now. Here we have not seen a bankrupted banks or insurance companies. Syrian financial sector still junior and limited to the Syrian market and it has not any big relation with the world financial sector. With an embryonic banking sector, low leverage ratios, and no stock market, Syria seemed ideally positioned to escape the brunt of the global rout. But Syria has not been so lucky. Gathering storm clouds are evident in the shifting tone and statements of Syrian Government officials. Conclusions: Syria’s politicians are much like those in other countries. Few predicted the extent to which their economy would be hit by the global credit crisis. The Russian ruble is under serious attack by currency traders and has fallen more than ten percent over the last few days. Recent economic reforms have opened Syria’s doors to a great array of new imports; tariffs between Arab states have been eradicated altogether, forcing Syrian manufacturers to compete with inexpensive imports for the first time. Chinese goods, falsely labeled as â€Å"made in the UAE† are now entering Syria with few mark ups. To make matters worse, the Syrian pound has risen in value against the dollar at the same time that the government has slashed subsidies on petroleum and electricity. Local producers are reeling from these many challenges. Government officials have responded with a few stop gap measures to protect local producers, such as restricting the source countries of products and by threatening to buy the products that carry suspiciously undervalued invoices. Importers commonly avoid paying import duties by low-balling purchase prices on their invoices for non-Arab produced imports. While such measures look good on paper, they are notoriously hard to implement and police. Syrian import duties are simply too high and importers will continue to find ways to avoid exorbitant duties, whether by by outright smuggling or by falsifying invoices. It is very hard to keep inexpensive foreign manufactures from getting into Syria. This is a war that local producers stand little chance of winning. Syria needs to use the recent drop in commodity prices to devalue its currency and improve its export competitiveness. It also needs to broaden its tax collection base. This can be done by lowering exorbitant import duties that force merchants to cheat and by tightening income tax collection on the countries wealthy and well off. References: Dr.Hayan Ahmed Salman, S. (2008) â€Å"The activation of our foreign trade to face the global financial crisis the concept and Economic Accounting’’ iqtissadiya [online], Vol. 347. Available,www. iqtissadiya. com, [Accessed 10 June, 2009]. Syria. (2009). In Encyclopedia Britannica. Retrieved June 12, 2009, from Encyclop? dia Britannica Online:http://www. britannica. com/EBchecked/topic/578856/Syria, Sarris, A. 2002. Final Report on Agricultural Development Strategy for Syria. December 2001. (Chapter 1)

Application of Anthropological Concepts Essay Example for Free

Application of Anthropological Concepts Essay Concepts in anthropology, especially those which describe, predict, explain, and evaluate the behavior of groups or categories of people are termed as general or explanatory concepts. Kinship, marriage, religion, race, class, and language are some of the general concepts being studied in the field of anthropology. In a way, general concepts can also be used to create models that will facilitate hypothesis testing. In essence, this type of concept is generally a medium of creating specific concepts – concepts which represent a part of a general phenomenon. One may argue that it is difficult to delineate the boundary between a general and a specific concept. However, it should be noted that general concepts represent realities magnified by the rigours of scientific investigation. In some cases, general concepts are known as ideal types (although this is fairly incorrect since ideal types are measurements of existing systems – although derived from it). In this essay, two academic articles or books will be presented to highlight some important concepts applied in the study of anthropology. The first article is a review of Bronislaw Malinowski ethnographic study in the Trobriand Islands. This article focuses on the general effect of kinship to the latent system of a preliterate society and vice-versa. The general thesis of Malinowski study is summed up as follows: Kinship determines the structure of law; law determines the structure of the society. His thesis will be explained in detailed in the following pages. The second article is an ethnographic study of Indian reservations in the United States. Race is the central concept in this article. The thesis of the article is; modernization in the United States erased the Indian notion of race as embodiment of cultural identity. Kinship and Law Firth (1980), in his review of Bronislaw Malinowski study on the Trobriand Islands, identified two types of laws: civil law and criminal law. The first one is positive law governing all the phases of tribal life. The second type is made up of rules safeguarding such institutions as chieftainship, exogamy, rank, and marriage. Thus, the â€Å"civil law, in contrast to criminal, is the ‘law obeyed and not the law broken’† (Firth, 1980:73). The creation of a law system in the Trobriand Islands, according to Malinowski, is essentially based on kinship. The system of law was created to foster greater solidarity among kin or family members. This was later extended to clans outside the immediate kin. Thus, the first type of law (civil) was essentially created out of this purpose. Formal rules governing chieftainship, rank, marriage, and exogamy were essentially derivations of the former. According to Malinowski, since the law was created to maintain kinship ties, it has therefore four senses. Here are as follows: (1) the law of cultural determinism, (2) the law or rule of native conduct, (3) the law of order and maintenance, and (4) the mechanisms of law when breach occurs. In essence, these senses of the law determine the shape or form of preliterate societies. In general, kinship and law are highly associated concepts since they determine the outcome of social relationships. Specifically, according to Malinowski, societies as old as those found in the Trobriand Islands do not need a definite set of laws to define its kinship structure since rules are essentially derived from kin systems. Race and Modernity Lynch (1974), in his ethnographic study on Indian reservations, argued that the modernization process occurring in the reservations was generally dangerous for the whole Indian community in the United States. The dangers are as follows; 1) The basic assumptions of Indian-American culture are radically changing. For example, close family ties are becoming absent in some Indian reservations; 2) Race assumptions are also changing. In the past, â€Å"race† for Indians refer to â€Å"common cultural identity. † Nowadays, American Indians associate race with â€Å"stereotype labeling of an oppressed minority. † In short, the term race was used to convey a â€Å"glorious statement of cultural identity† in the past in contrast to its derogatory sense nowadays. 3) And, the modernization process is creating mediums for racial discrimination. For example, before 1960, it was illegal for Indians to work in mines unless certified by the Employment Bureau (this had been eliminated in the late 1960s, although Indians still face the insecurity and discrimination in the workplace). The author concluded that the modernization process of Indian reservations in the United States had been based on false assumptions; assumptions derived from the West. According to him, â€Å"it provided a glimpse of their future as well, a glimpse made all the more comforting to the West by the assurance it gave †¦ path to modernity† (Lynch, 1974:186). References Man and Culture: An Evaluation of the Work of Bronislaw Malinowski. 1980. Ed Raymond Firth. Britain: Redwood Burn Limited. Rethinking Modernization. Ed. John Poggie and Robert Lynch. 1974. Political Modernization in a Native American Community. Connecticut: Greenwood Press.

Sunday, July 21, 2019

Organisational Flexibility | Literature Review

Organisational Flexibility | Literature Review This chapter reviews the literature on organisational flexibility, the different types that exists, and the different forms commonly seen in different organisations. The different forms of flexibility are discussed in section 2.2.3 using the classification provided by Looise et al (1998) Major studies reviewed, particularly the work of Atkinson (1984) focused on the fact that there are 2 main groups of workers within a firm: the core group and the peripheral group. The theory of the flexible firm made by Atkinson is at the centre of this literature review. It is discussed in section 2.2.4 followed by some empirical evidence of the use of flexibility in section 2.3 Theory An overview of the different types and known forms of flexibility used in organisations is discussed in this section. After that, an illustration of Atkinson model of the flexible firm is also provided in section 2.2.4 Definition of flexibility As defined by Looise et al, 1998 and Blyton and Morris, 1989, flexibility is the ability to adjust under fluctuating and uncertain circumstances. The concept of the flexible firm itself was originated by Atkinson in 1984 where he argues that there is a growing trend for firms to seek various forms of structural and operational flexibility. Searches he made at that time demonstrate that flexible working can provide an elastic and less rigid approach within most functions in an organization, through the use of strategies such as flexitime working, flexible labour rotations, multi-tasking, production flexibility and delivery flexibility. Flexibility strategies can also improve a companys competitive position on the basis that the meaning of flexibility is the ability to respond to changing market circumstances effectively. Types of flexibility According to Atkinson (1984), there are three main types of flexibility areas and they are as follows: Functional Numerical Financial Functional flexibility It is the ability of managers to extend the range of tasks a worker can perform. With functional flexibility, employees are said to be multi-tasking or multi-skilled. They are able to perform different tasks and functions within the same company as required by the management. It requires a well trained workforce with in-depth knowledge of the different areas of the company, its processes, and its prevailing culture. This practice is said to benefit both the employees in terms of job enhancement and the organization which avails a multi-skilled workforce at its disposition and ready to face rapid changes. An example in the hotel sector, a receptionist can check in/out guests in the morning and also cleans guests rooms as a chambermaid after the morning rush. This demonstrates the extent to which companies are given greater flexibility to act quickly and smoothly as a means of reacting to the problem of staff shortage. According to Atkinson (1985), functional flexibility may imply the same labour force changing its activities within the organization in both short term and medium term. Numerical flexibility Numerical flexibility can be defined as the ability of organizations to increase or decrease employment quickly in line with fluctuations in business demand, and to improve competitiveness of firms through adopting this flexible policy (Atkinson1984; Looise et al 1998; Ruiz-Mercarder et al 2001). With numerical flexibility, companies can easily increase or decrease its total number of workers in the short term to accurately achieve an exact coincidence between the needed workforce and that effectively employed. It is normally achieved through the use of different types of contracts and variations in the distribution of working time. When organizations use numerical flexibility policies, they tend to predict the requirements for human resources and then adjust their human resource supply accordingly. For this type of policy to be more effective and in order to achieve greater success in balancing demand and supply, organizations must imperatively have the ability to use employment and deployment. For example, in most hotels nowadays, the accounting and finance department tries to predict the number of tourist arrivals during different periods by using budgeting systems and then pass it on to the Human Resources department which decides whether there is a need to employ more workers on contract in order to meet the budgeted demand. Financial flexibility It is defined as the policy of adjusting employment costs in line with the demand for labour in the organization, and reflecting the supply of labour in the external labour market. It is therefore obvious that financial flexibility and numerical flexibility are closely associated which implies that certain forms of numerical flexibility inevitably lead to greater financial flexibility for the employer. More specifically, in terms of setting wage levels, financial flexibility means moving from uniform and standardized pay structures towards individualized pay systems. Financial flexibility usually involves a sort of performance based element of pay or simply based on merits. Sources of labour Between these three broad types of flexibility, that is functional, numerical and financial, Looise et al (1998) further classify flexibility strategies into a two-by-two matrix based on two considerations, the source of the staff (that is the acquisition of man power internally and externally) and the involvement of different skills (that is the requirement for staff to have one specific skill only or be able to work more than two positions). This two-by-two matrix is illustrated below. Table I Labour flexibility matrix Internal External Overtime Agency staff Quantitative Variable working time Short-term contracts Part-Time Flexible contracts Shift working Exchange of labour Labour pool Qualitative Job Rotation Detachment Multi-tasking Consultancy Multi-functioning Source: Looise et al (1998) Internal quantitative source of labour: Internal quantitative source of labour implies numerical flexibility. It represents the different ways a company can obtain a numerical increase in its labour force by looking within the organisation itself. (a) Overtime From Table I overtime is said to be an internal quantitative source of staff. Overtime is the term used to describe work undertaken on top of an employees normal contracted hours. Employees are normally paid at an enhanced rate for their overtime (usually one and a half time the normal hourly rate or even double time). Overtime is usually done voluntarily by employees as it is seen as a means of supplementing their basic wage. However, in some circumstances, it is compulsory. For many workers, particularly in white collar jobs and especially amongst professionals and managerial grades, there is no additional overtime payment, even working after normal contracted working hours. (b) Variable working time It refers to a situation where the employee is free to choose his or her working time. Usually, employers accept to make workers choose between variable working time as long as they attain a certain quota in their work as targeted by the management. (c) Part-time It denotes jobs where the number of hours is less than the standard working week. However, there is a problem when talking about part-time jobs. There is no general agreement on what constitutes a standard working week, although there are sometimes industry or establishment norms. It implies that the term part-time can be used to denote someone working a three hour week as well as someone working thirty hours a week. (d) Shift working Shift working is another internal source of quantifying labour. It allows establishments to work continuously by deploying a large workforce across three segments in the working day: early shift, late shift and night shift. In many instances, employees will rotate across these shifts from week to week. Internal qualitative source of labour Internal qualitative source of labour is more likely to be linked with functional flexibility. It encloses the different ways a firm can get working within the company itself to do different tasks. (a) Job Rotation Job rotation means that employees within a particular work area have the ability to perform a variety of tasks and will move from one to another at various times within the working day or the working week. This means that employees have to be fully flexible and able to perform different tasks when necessary during the working day. (b) Multi-tasking and multi-functioning Multi-tasking or multi-functioning implies that a worker can do other jobs apart from those assigned to him. For example, in the hotel sector, a person can work as barman and prepare cocktails and also work as cook in the kitchen. External quantitative source of labour External quantitative source of labour refers to the different ways a firm can become numerically flexible and get an increase in labour force by looking for workers outside the firm. (a) Agency staff Staffing agencies co-ordinate and engage with corporations, organizations and other clients, size up their  human  resources  needs and match their staff needs according to specific requirement. This implies that agency staffs are those persons who are registered to a staffing agency which in turn try to place them in certain specific jobs according to their qualifications. For example, if a hotel is looking for a cook with 2 years experience, it may contact the staffing agency which will look in its data base system for a cook with the experience necessary. (b) Short-term contracts Short-term contract jobs are jobs that have a definite end date. The length of the contract is specified in the contract itself. Short-term or contract jobs could last for one month, three months or even twelve months, depending on the nature of the job. Some people choose short-term jobs because they dont want to feel like they will be stuck in the same job for a long time. (c) Flexible contracts Flexible contract is another quantitative source of labour. It implies employing persons through agency staffs, employing freelance workers or casual workers or even outsourcing the work to specific agencies in the particular field of work required. An example in the hotel sector, instead of employing someone permanently to do gardening or cleaning, there is a gardening agency that provides workers for a certain time period. These workers would be paid directly by the hotel itself but will leave when the job is over. (d) Exchange of labour Exchange of labour is a system where an organization does not need to any recruitment and selection to obtain the necessary labour. Instead it looks within other companies most of the time within the same group of companies and take the best candidate according to requirements. In the hotel sector for example, lets say La Pirogue Hotel need a chef cook. Instead of recruiting one, the hotel will try to find one within the other hotels in the group, i.e. the Sun Resorts Ltd. (e) Labour pool Labour pool refers to a source of trained people from which labour can be hired. It is another external quantitative source of labour where companies can find trained people required for a particular job. The University Of Mauritius is a labour pool. When, for example, a finance company needs ten persons to work in a particular department, they may come to the University of Mauritius and choose the ten best finance students that fits their requirements. External qualitative source of labour It implies functional flexibility but the source of labour this time is outside the firm. (a) Detachment Professional detachment is about doing a task when you dont like it very professionally.  If a person is affected by the way the customers talk and that affects the way he or she is doing the job, then the latter are not professional in his work.  Professionalism is manifested when someone carry out the job when he does not like it at all.   Professional detachment paves the way for achieving excellence and avoiding a lot of unnecessary headaches that one will get from personal involvement. (b) Consultancy Consultancy is an arrangement where a specialist firm sells its services to other firms. For example, KPMG offer advice about matters like taxation or investment or management to other firms. Consultancy is therefore an external qualitative source of labour as the consulting firm will send workers to the other company and provide advice which may benefit the company in terms of better quality work. John Atkinson model of the flexible firm In the 1980s, debates around flexibility were focused on the model of the flexible firm proposed by Atkinson (1985). The most distinctive feature of Atkinsons model was the suggestion that firms started dividing their workforce into CORE and PERIPHERY workers. The model is illustrated in the figure below. Figure 1: The flexible firm Source: Atkinson (1985) The core group According to Atkinson, the most important part for a flexible firm is its core group. Core workers are full time, i.e. permanent employees who benefit of job security and high earnings. In return, they perform different tasks and work as flexible workers across different traditional skills boundaries. They are functionally flexible. The firm invests in these workers in terms of training and they develop new skills which make it possible for them to perform different tasks. Typical members of the core group include managerial and professional staffs and multi-skilled workers. The first peripheral group Outside the core group there is a great variety of peripheral workers. However, the first peripheral group is composed of full-time workers. As compared to the core group, these workers enjoy less job security and inferior career prospects. They are hired to do specific jobs usually of semi-skilled nature. Because workers within the first peripheral group are easily recruited and easily fired, firms can vary their number according to different levels of activity and hence become numerically flexible. In the hotel sector, a typical example could be a waiter or waitress. When there is too much work, more waiters are recruited and when the load of work goes down, again some are fired. The second peripheral group The second peripheral group is made of part-timers, people on job share, and a variety of temporary workers such as workers from agency staffs, people on short term contracts and also those on government schemes. These workers perform the same type of jobs as the first peripheral group and also give the firm numerical flexibility depending on fluctuating activities and hence allow to cope with uncertain growth. The only difference between these two groups is that the second peripheral group is made of part time workers whereas in the first peripheral group, workers are on a full time basis. Outside the firm (Self-employment/ sub-contracting/ increased outsourcing/ agency temporaries) There is a variety of external workers outside the firm who perform either routine tasks such as cleaning and security or very specialized ones. For example many firms employ external workers to do cleaning jobs or ensure the security. There are also sub contracts, agency staffs and home-workers. Home workers may be those working in areas of computing or networking and who can work also through long distances. With these external workers, firms are able to cope with predictable changes in their activities and therefore become financially flexible rather than numerically flexible as they enable the firm to limit financial commitment. Empirical evidence In this section, different studies pertaining to flexibility are illustrated. Some figures are provided to demonstrate the use of different forms of flexibility in organisations. The evidence for flexibility When Atkinson make the study, be based his model on evidence from case studies and surveys including the NEDC (1985) survey of 72 firms in the food and drink, engineering, retail and financial services industries. The NEDC, National Education Data Center, is a U.S agency responsible for providing policy-relevant analysis and reports derived from education data and indicators. It was created in the 1980s by combining offices from several federal agencies. The surveys and case studies identified widespread increases in numerical flexibility in the early 1980s. Surveys also included the Advisory, Conciliation and Arbitration Service survey the ACAS (1988). The latter demonstrated that there was also a slight increase in different forms of numerical flexibility. For example, it argues that sub-contracting was the most common and has increased in the manufacturing sector, in larger organisations and in parts of the public sector, such as health and civil service whereas job sharing was on an increasing trend in sectors such as banking where there are problems of balancing staffing and workload. Studies made also provide the evidence that the number of flexible employees increased. They were divided into two particular groups: part-time employees and self employed. In 1981 there were over 4 million people working part-time and in 1993, the number of part-time workers has nearly reached 6 million. The studies demonstrate that the increase in part-time workers occurred at the expense of full-time workers. In 1993 when the number of part-timers increased by 227,820 to a total of 5,998,112, full-time jobs declined by 275,464 to a total of 14,889,977. Over the period 1981-1993, the number of part-timers rose by 1.25 million while full-time jobs declined by 0.5 million. The proportion self employed in the U.K workforce also increased substantially throughout the 1980s at a faster rate than the increase in part-time employees. In the 1990s there were nearly 3.4 million self-employed, approximately 1/8 of the total workforce. Hunter and MacInnes (1991) study Hunter and MacInnes made a study in 1991 on a survey carried out by the Employers Labour Usage Strategies (ELUS). The results progressively focused on workplaces having the most marked tendency to employ peripheral workers. ELUS visited 877 workplaces which made use of peripheral workers of various kinds. Hunter and MacInnes then took a sub-sample of 39 of these establishments. They identified three groups of workers: First there was a set of skilled professionals and technical occupations comprising large numbers of freelance, agency staffs and self-employed workers. Second there was a group of manual and non manual workers who were seen by their employers as having a low level skill or as easily transferable. Not much learning and training were required to do their jobs. Some were on a temporary or a part-time basis Finally, there was a smaller group between the two others which covered both skilled and unskilled jobs that were dependent in some way on limited contracts. The conclusion made by Hunter and MacInnes was that employees have started extending their use of non-standard contracts and this demonstrate the progression of different forms of flexibility in organisations. Conclusion Researches on flexible work are relatively well established and at least since the work of Atkinson (1984) there has been much attention to the concept of flexibility in organisations. Flexibility is seen as a means to improve a firms competitiveness by lowering labour costs. The 2 most important types of flexibility that will be considered within the rest of the project are numerical flexibility and functional flexibility. These two concepts are very important as numerical flexibility tries to make the firm able to cope with increases in work by changing the amount of labour quickly in response to changes in the market and on the other side, functional flexibility make it possible for employees to carry on different tasks and hence reducing company labour costs. Evidences in Europe proved that many companies are more flexible since the 1990s and are actually looking for more and more better ways to be flexible and efficient both in terms of costs and productivity.

Saturday, July 20, 2019

Friday Night Lights - Just Read It ! :: friday

Friday Night Lights - Just Read It ! Meat head, dumb jock. These are just two of the many derogatory labels given to football players. Is it possible for me, a meat head, to hear the criticisms dealt to the sport of football? Is it possible for me, a dumb football jock, to understand and be objective about the issues raised in the book, Friday Night Lights? Yes, because I'm not the stereotypical football player like those described of Odessa, Texas. The football players in Odessa were generally a wild party crowd. It was typical that late in the fourth quarter, when the game was in the bag, the players would begin talking on the sidelines about what parties they were going to after the game, what girls they were going to try to pick up, and laughing about how drunk they were going to get. They cared nothing for academics. The senior star running back, Boobie Miles, was taking a math course that most students took as freshmen. Many of the senior players' schedules consisted of nothing but electives. For the Oddesa footbal players, school was nothing more than a social get-to-gether, served up to them as a chance to flirt with girls and hand out with their friends. They knew that their performance in class didn't matter; the teacher would provide the needed grade to stay on the team. It wasn't uncommon for players to receive answer keys for a test or simply to be exempt from taking the test at all. Some didn't know how they would cope without football after the season was over. They ate, drank, and slept it. On the whole, these 16 and 17-year-old boys' identity was wrapped up in a pigskin. The Odessa football players couldn't be objective about criticisms of football. Their total self-esteem depended on how they did on Friday night. This was the glorified culmination of their football career: wearing the black MoJo uniform in the stadium under the big lights. Football was more than just a game to them; it was a religion. It "made them seem like boys going off to fight a war for the benefit of someone else, unwitting sacrifices to a strange and powerful god" (Bissinger, p.11). Because football was so meaningful in their lives, to criticize it was to criticize everything they'd worked so hard for and lived for.

Friday, July 19, 2019

Modernism vs Neo-Traditionalism Essay -- essays research papers

Modernism vs Neo-Traditionalism: A debate on the merits and failures of two major competing paradigms in architecture and urban planning.   Ã‚  Ã‚  Ã‚  Ã‚  Beyond the term modernism underlies one of the greatest ideas in architectural development. Modernism was meant to provide more green areas, cheaper housing and more efficient use of space. This was to be accomplished by creating vertically dense spaces with the use of the new inventions of the nineteenth century, such as steel, glass, electricity and elevators. By decreasing costs of building, modernists hoped to provide cheaper housing, affordable to almost anybody. The modernist movement was also promising to meet the growing demand for office spaces, hence the motto â€Å"form follows function† . Today, the inhabitants of every large city are able to see products of modernist influence. Its opposite, neo-traditionalism, is admired for its beauty and variety. â€Å"Small City U.S.A.† is an extremely popular concept among today’s citizens, looking to escape the ordinary, colorless office buildings. Boring and redundant, is modernism today wh at it was conceptualized to be? Its ideas shape today’s housing, from housing projects to single homes that have neo-traditional skin. Modernist concepts are of incredible importance and necessity; however, they were misunderstood in application.   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"Modernism was a response to the rise of industrial manufacturing as man’s chief economic activity.† Modernism fulfilled the growing demand for office space. It made use of such inventions as steel, glass, concrete and elevators. Steel and concrete allowed building to go to whole new heights. Glass and electricity provided lighting, thus making the workday longer. Elevators made the office buildings possible by carrying its inhabitants to any floor in the building. These materials also solved the problem of fireproofing and were definitely less costly than the materials used for traditional buildings. At the same time, modernist buildings became uniform: built from the same materials, modular, colorless with the same components, flat roofs and lack of ornamentation. Kunstler argued that such buildings have seized to have any meaning that they destroy social arrangements and do not consider natural resources. He blamed modernism for ruining the c ities with corporate gigantism, failing to creat... ... supposed to provide for both.   Ã‚  Ã‚  Ã‚  Ã‚  People who despise modernism, probably do not know what it is supposed to be. Post-modernism seems to be more or less of an answer. It finally lets modernist buildings nurture creativity. Post-modernist buildings vary in shape, size and color, thus making them more appealing to the eye and less redundant. It seems that the costs of such innovations would still be less than those of traditional buildings.   Ã‚  Ã‚  Ã‚  Ã‚  I believe that our society needs post-modernism. People long for trees and parks and waterfronts, as well as for buildings that one can look at and think, â€Å"Oh, G-d, that is beautiful.† We need this no less than we need office buildings. Modernism and post-modernism are deemed to be different, and they are in the sense that post-modernism is exactly what modernism was supposed to be, may be with a bit more variety. In many instances, post-modernist buildings are even more attractive than neo-traditional. So, maybe one day when all modernist ideals are realized, a person will come out of the new Federal Plaza and for a hundredth time think, â€Å"This is the most relaxing landscape I’ve ever seen.

Condoleezza Rice Essay -- Biography Biographies Essays

Condoleezza Rice Not many people can add the position of National Security Advisor to their list of achievements, especially if those people are women. Condoleezza Rice, however, can place the accomplishment right up there with being a previous member of President Bush’s foreign-policy team, and tenured professor and provost in the political science department of the prestigious Stanford University. Rice is well known for her knowledge on Russian history and current events. After growing up in Birmingham, Alabama during a time of racial segregation, Rice soon went on to graduate from the University of Denver at the age of 19 (she skipped two grades), where she became an expert in the issues of the Soviet Union. She also received two advanced degrees in political science. With a master’s degree from the University of Notre Dame and a doctorate from the University of Denver’s Graduate School of International Studies, she soon found herself a provost and professor at Stanford, only to be drawn away by a life in politics. In Washington, D.C., Rice worked on nuclear strategic planning with the Council on Foreign Relations fellowship at the Joint Chiefs of Staff. After returning to Stanford, she soon found herself back in the political spotlight. President George Bush, in 1989, trusted Rice to the point of allowing her to aid in Russian policy and relations. Rice became the director of Soviet and East European affairs with the National Security Council, special assistant to the president for national security affairs and senior director for Soviet affairs in the National Security Council. In essence, Rice helped Poland receive needed reforms, as well as helped with policies between the United States... ...ck and female, the world suddenly takes notice. â€Å" There aren't too many females in this business, she was really an exception in this almost 100-percent-male crowd -- which may be one of the reasons she earned the reputation of being tough," said Sergei Rogov, director of the Russian Institute of U.S. and Canada Studies in Moscow, who has known Rice for nearly two decades. Condoleeza Rice has been a member on the boards of directors for the Charles Schwab Corporation, the William and Flora Hewlett Foundation, the Chevron Corporation, the University of Notre Dame, the International Advisory Council of J.P. Morgan and the San Francisco Board of Governors. She also has invested time working on various political books, such as â€Å"Germany Unified and Europe Transformed,† â€Å"The Gorbachev Era,† and â€Å"Uncertain Allegiance: The Soviet Union and the Czechoslovak Army.† Condoleezza Rice Essay -- Biography Biographies Essays Condoleezza Rice Not many people can add the position of National Security Advisor to their list of achievements, especially if those people are women. Condoleezza Rice, however, can place the accomplishment right up there with being a previous member of President Bush’s foreign-policy team, and tenured professor and provost in the political science department of the prestigious Stanford University. Rice is well known for her knowledge on Russian history and current events. After growing up in Birmingham, Alabama during a time of racial segregation, Rice soon went on to graduate from the University of Denver at the age of 19 (she skipped two grades), where she became an expert in the issues of the Soviet Union. She also received two advanced degrees in political science. With a master’s degree from the University of Notre Dame and a doctorate from the University of Denver’s Graduate School of International Studies, she soon found herself a provost and professor at Stanford, only to be drawn away by a life in politics. In Washington, D.C., Rice worked on nuclear strategic planning with the Council on Foreign Relations fellowship at the Joint Chiefs of Staff. After returning to Stanford, she soon found herself back in the political spotlight. President George Bush, in 1989, trusted Rice to the point of allowing her to aid in Russian policy and relations. Rice became the director of Soviet and East European affairs with the National Security Council, special assistant to the president for national security affairs and senior director for Soviet affairs in the National Security Council. In essence, Rice helped Poland receive needed reforms, as well as helped with policies between the United States... ...ck and female, the world suddenly takes notice. â€Å" There aren't too many females in this business, she was really an exception in this almost 100-percent-male crowd -- which may be one of the reasons she earned the reputation of being tough," said Sergei Rogov, director of the Russian Institute of U.S. and Canada Studies in Moscow, who has known Rice for nearly two decades. Condoleeza Rice has been a member on the boards of directors for the Charles Schwab Corporation, the William and Flora Hewlett Foundation, the Chevron Corporation, the University of Notre Dame, the International Advisory Council of J.P. Morgan and the San Francisco Board of Governors. She also has invested time working on various political books, such as â€Å"Germany Unified and Europe Transformed,† â€Å"The Gorbachev Era,† and â€Å"Uncertain Allegiance: The Soviet Union and the Czechoslovak Army.†

Thursday, July 18, 2019

A Persistant Lichen Sclerosus Case Health And Social Care Essay

Lichen sclerosus is a lymphocyte-mediated chronic inflammatory dermatitis that most normally involves the anogenital country. Treatment options include topical corticoids, tacrolismus, C dioxide optical maser extirpation and eventually vulvectomy as surgical attack. The aim of this survey is to describe a stubborn anogenital LS topic and depict the usage of V-Y promotion flap for the Reconstruction of the perineal defect after vulvectomy. Case: A relentless LS instance who was treated succesfully with surgery is reported and literature is reviewed. The patient had good tolerated the surgical process with satisfactory decorative consequences.Decision:A multidisciplinary squad work would be ideal in the direction of relentless LS instances. Surgical intervention of LS should be reserved as a last resort for patients who were furnace lining to other medical options and in the instance of a surgical effort recontruction of the vulva should be good known. Cardinal words: Lichen sclerosus, Vulvectomy, Vulvar Reconstruction..Introduction:Lichen sclerosus ( LS ) is a benign, chronic tegument disease that most normally occures in the anogenital epithelial tissue ( 1 ) . It affects both gender and kids particularly adult females in postmenopausal ages. Although the exact aetiology is still unknown, there is a strong association between LS and autoimmune upsets such as ; alopecia areata, vitiligo, thyroid upsets and diabetes mellitus ( 2 ) . Besides the autoimmune diseases in association with HLA category II antigens, hormonal factors, infective causes, and familial influence have besides been associated with LS ( 1 ) . Authoritative LS is characterized by pronounced redness, epithelial cutting and typical cuticular alterations with an visual aspect of all right â€Å" coffin nail paper † -like pursing accompanied by symptoms of pruritus, dyspareunia and dysuria ( 3,4 ) . A considerable figure of patients ( 33 % ) are symptomless but have the clinical marks of LS on physical scrutiny. The diagnosing of LS is based upon the presence of characteristic clinical manifestations, ideally with histological verification obtained from a vulvar clout biopsy. A hold in the diagnosing may originate, due to the patients ‘ embarrassment and/or reluctance of the doctor to to the full measure the symptoms every bit good as strangeness with the disease ( 5 ) . The optimum direction of LS could be achieved with a multidisciplinary attack. Surgical intervention is preferred in the instance of a post-inflammatory sequelae, phimosis or in a malignant province. Although the presence of vulval cicatrixs or the features of the defect will restrict our surgical preferance there are many surgical options proposed for the perineal Reconstruction, including local musculus and fasciocutaneous tegument flaps ( 6,7,8 ) . We are depicting a persistant lichen induration instance who was treated surgically and recontructed with V-Y promotion vulvar flaps.Case study:A 49 twelvemonth old Caucasian adult female married for 30 old ages G3, P2, A1 enduring from vulvadynia because of relentless vulvar LS for 16 old ages, admitted to our clinic. She has been having medicine with carbamezepine for ungratified leg syndrome for six old ages. She had two cesarean subdivisions and three lumbar phonograph record hernia operations in which an internal fixator was placed to the lumbar vertebras. She used to hold local cortisol, estrogen and testosterone therapies since she received her initial diagnosing. She has had vulvar alcohol injection one time and vulvar betametasone, lidocain injections and phototherapy several times. Her history revealed a vulval denervation operation to the pudental nervus with the diagnosing of vulvadynia. Furthermore she had three times simple vulvectomy and vulval Reconstruction operations. These intervention modes failed to relieve her symptoms, and sclerosing alterations of vulvar country which extends to posterior, affecting the perineum and anus. The singular findings in her pelvic scrutiny were the hyperkerotic lichen plaques spread to anus, vaginal orifis and periclitoral country ( Figure 1a ) . We observed the vaginal orifis as narrow shaped and labia majora – minora were absent. Hyperkeratotic scars were noticable on her mons pubis due to her old surgical operations and lichen plaques. In her speculum scrutiny, vagina and neck were normal in form and uterus – bilateral ovaries were normal by transvaginal ultrasound and no malignant cells were reported in her pablum smear trial. Histopathological diagnosing of the topic was confirmed with two antecedently performed consecutive vulvar biopsies that revealed characteristic cuticular wasting and cuticular hyalinisation ( homogenisation of the collagen in the upper corium ) . Our patient had relentless and worsening symptoms and we decided to execute simple vulvectomy and V-Y promotion flap for the Reconstruction of vulvar defect ( Figure 1a ) and obtained informed consent consequently. Briefly ; urinary catheterisation was needed to forestall urethral hurt and to supply plenty wound hygiene after surgery. After vulvectomy ( Figure 1b ) , we performed V form scratchs bilaterally widening to median part of the thigh without any complication ( Figure 1c ) . The scratchs were profoundly performed until the superficial genital facia to travel the flaps freely and punctilious haemostasis was done. The mobility of the cutaneal flaps are tested. Following the release of the flap, this extra block of hypodermic tissue is folded into the defect. The sidelong transverse defect which was formed when the island flap moved medially is closed horizontally, therefore giving the concluding cicatrix a horizontal â€Å" Y † form. We aproximated the hypodermic tissue with 2/0 polyglactin 910 [ Ethicon, Edinburgh, UK ] . The tegument was closed by interrupted 3/0 polyglactin 910 [ Ethicon, Edinburgh, UK ] suturas ( Figure 1d ) . We repaired the round defect above the vaginal orifis with free rotary motion flap. No drains were placed. Postoperative closing of vulvar defect was seen perfect in form. She was hospitalized for the undermentioned two yearss ( Figure 2a ) and uretral catheterisation was removed on her 2nd twenty-four hours. All the critical marks of the patient were usual without any wound infection or haematoma in the closing. In the early postoperative period, the healing of vulva was uneventful and completed after three hebdomads ( Figure 2b ) .Discussion:A assortment of names and descriptions have been used for the disease that is presently named lichen sclerosus. In 1887, Hallopeau was the first to depict the histological characteristics of the disease ( 9 ) . LS occurs at all ages but non in newborns and is rare in the first twel vemonth of life. The disease has a bimodal extremum incidence in prepubescent misss and menopausal adult females. In a survey the prevalence of lichen sclerosus in childhood was found to be 1:900. The bulk of patients consists of adult females aged between 50-70 old ages, while 5-15 % of the LS topics were kids. Lifelong surveillance of all adult females with LS is considered indispensable because of the hazard of malignant patterned advance, ( 10 ) . Although adult females with vulval LS are at increased hazard of developing invasive squamous cell malignant neoplastic disease ( SCC ) of the vulva ( 4 ) , the estimated hazard is to be less than 5 % ( 11 ) . No grounds exists that regular check-ups cut down the hazard of malignant patterned advance. Nevertheless, patients with vulval LS should be examined at least annually and localized, relentless, nonresolving lesions should be biopsied ( 4 ) . In contrast to vulvar LS extragenital LS lesions are non associated with an increased hazard of malignance ( 9,12 ) . There is non a universally recognized direction scheme for adult females with LS. It normally provides diagnostic alleviation, without needfully rectifying the implicit in upset. The intervention of LS consists of instruction and support, behavioural alteration to keep good perineal hygiene and turning away of any local thorns, medicine and surgery. Assorted conservative curative options such as, topical testosterone, topical Lipo-Lutin, topical corticoids, estrogens, retinoic acid, retinoids, vitamin A, chloroquine and a short class of systemic corticoids are wholly accepted as intervention options ( 13 ) . All published studies on the direction of LS indicate centrist to strong topical steroids as the intervention option of pick ( 12,14,15 ) . Mild to chair authority topical corticoids are besides normally used for intervention of grownup vulvar LS ( 3 ) . Recently, ace potent topical steroids were found to be an effectual intervention for this job with both short- ( 16 ) and long-run ( 17 ) efficaciousness. Topical steroid therapy is non without complications, including the possibility of wasting, contact sensitisation, tegument alterations, and secondary infection. Although there are no good studied therapies in adult females who failed to react to corticoids, Lipo-Lutin, testosterone, retinoids, topical immune system modulating agents ( tacrolismus, pimecrolimus ) and cyclosporine has been used in some randomised tests ( 4 ) . Small randomized tests showed that Lipo-Lutin and testosterone picks are less effectual than corticoids ( clobetasol ) with more side effects ( 18 ) . Treatment with an unwritten retinoid ( acitretin ) was found to be effectual in one randomised test ( 19 ) . Successful interventions with tacrolimus oinment was reported ( 20 ) but frequently discontinued due to Burnss on application sites. As presented in our instance furnace lining instances have been treated with intradermic intoxicant injections with variable consequences ( 21 ) . Another concern must be the physicological jobs that may look ( i.e. narcotic maltreatment ) in relentless LS topics due to chronic vulvar hurting. The American College of Obstetricians and Gynaecologists suggests one-year scrutinies for patients whose LS is good controlled and more frequent visits for those with ill controlled disease ( 15 ) . Surgery does non hold a cardinal function in the intervention scheme of LS and could be considered as a last resort to handle complications secondary to the LS ( 22,23 ) . Surgical intercession in LS should non be aimed at taking the disease but at deciding complications of the disease: to let go of a inhumed button, to divide fused labia, or to widen a narrowed introitus in instance of ailments about clitoric symptoms ( hurting or sexual clitoric disfunction ) ( 22 ) . Its usage is limited since scars and contractures may look after surgery. However, if surgery is the preferable intervention mode, it is of import to cognize how to retrace the vulva. Patients wish to go on their sexual life every bit shortly as possible. V-Y promotion flap is an effectual method for Reconstruction of the perineal part. This technique will supply better blood supply and nervus esthesis and will let the expanding of the vaginal orifis. The principle behind the surgical therapy is chiefly to handle those patients who did non or react ill to medical intervention and secondly to forestall the development of invasive carcinoma of the vulva ( 23 ) . Our patient had a long medical history about LS in which she had received several local therapies, phototherapy, surgical efforts and systemic medicines for 16 old ages. All intervention modes were discussed with the household and the concluding determination of the patient was surgery due to her exhaustion and better decorative outlook. Consequently, surgical intercession must be deferred until LS has been controlled with medicine or should be reserved for pull offing postinflammatory sequelae. If an excisional process ( i.e. vulvectomy ) is the preferable intervention mode, Reconstruction of the vulvar defect with V-Y promotion flap seems to be an applicable and extremely effectual surgical technique with its good decorative consequences and rapid healing after surgery.LegendsFigure 1: Pre and intraoperative images of vulvar lichen sclerosus patient. 1a ; hyperkerotic lichen plaques spread to anus, vaginal orifis and periclitoral country, 1b ; vulvectomy was performed, 1c ; V form scratchs bilaterally widening to median part of the thigh, 1d. closing of the tegument, giving the concluding cicatrix a horizontal â€Å" Y † form. Figure 2: Postoperative images of vulvar lichen sclerosus patient. 2a ; station operative 2nd twenty-four hours, 2b ; completed vulvar mending three hebdomads subsequently.

Wednesday, July 17, 2019

Salomon V. Salomon & Co. Analysis

Mr. Aron Salomon was a British drawing card merchant who for m whatever twelvemonths operated a sole proprietor tune, specialized in manufacturing leather boots. In 1892, his son, also evince interest in the business organisationes. Salomon then resolute to in corporal his businesses into a limited order, which is Salomon & Co. Ltd. However, thither was a requirement at the metre that for a wear outnership to in merged into a limited participation, at least cardinal souls must subscribe as shareholders or members.Salomon honored he clause by including his wife, four sons and daughter into the businesses, making both of his sons directors, and he himself managing director. Interestingly, Mr. Salomon owned 20,001 of the confederations 20,007 shares the rebrinying sextuplet were shared individually between the early(a) six shareholders. Mr. Salomon sold his business to the juvenile corporation for almost 39,000, of which 10,000 was a debt to him. He was thus simultane ously the companys principal shareholder and its principal creditor. At the time of reasoning by elimination of the company, the liquidators argued that the debentures used by Mr. Salomon as security for the debt were invalid, and that they were based on fraud.Vaughan Williams J. accepted this argument, nonion that since Mr. Salomon had created the company solely to transfer his business to it, the company was in trulyity his means and he as principal was likely for debts to unsecured creditors. The lord bonnyices of appeal differently described the company as a myth and a fiction and say that the internalisation of the business by Mr. Salomon had been a unsullied scheme to enable him to verbalise on as before just with limited obligation. However, the House of nobles subsequent quashed that glide path of integrity of Appeal (CA) ruling, upon critical interpretation of the 1862 Companies Act.Thecourt unanimously find oneselfd that thither was nil in the Act a bout whether the subscribers (i.e. the shareholders) should be independent of the majority shareholder. The company was duly constituted in fair play, the court control, and it was not the function of adjudicate to read into the polity limitations they themselves considered expedient. The 1862 Act created limited liability companies as sound persons narrate and distinct from the shareholders.In other words, by the preconditions of the Salomon field, members of a company would not automatically, in their personal capacity, be entitled to the benefits nor would they be apt(predicate) for the responsibilities or the obligations of the company. It thus had the effect that members rights and/or obligations were restricted to their share of the profits and great(p) invested.Significance of the Salomon CaseThe rule in the Salomon case that upon incorporation, a company is generally considered to be a virgin lawful entity separate from its shareholders has continued work on th ese days to be the law in Anglo-Saxon courts, or ballpark law jurisdictions. The case is of particular significance in company law thus Firstly, it open up the canon that when a company acts, it does so in its own name and right, and not merely as an alias or agent of its owners.For instance, in the later case of Gas Lighting Improvement Co Ltd v Inland Revenue Commissioners, Lord Sumner said the following Between the investor, who participates as a shareholder, and the undertaking carried on, the law interposes other person, real though artificial, the company itself, and the business carried on is the business of that company, and the capital utilise is its capital and not in any case the business or the capital of the shareholders. Assuming, of course, that the company is duly formed and is not a shamthe idea that it is mere machinery for affecting the purposes of the shareholders is a laymans fallacy. It is a learn of speech, which cannot alter the legitimate aspect of th e facts.Secondly, it established the important doctrine that shareholders under common law are not liable the companys debts beyond their initial capital investment, and looking at no proprietary interest in the property of the company. This has been affirmed in later cases, such as in The fairy v Portus ex parte Federated Clerks amount of money of Australia, where Latham CJ while deciding whether or not employees of a company owned by the Federal Government were not use bythe Federal Government ruled that The companyis a distinct person from its shareholders. The shareholders are not liable to creditors for the debts of the company. The shareholders do not own the property of the company II smashing of the disguise by super acid honor CourtsLifting the dissemble of incorporation or better still Piercing the corporate bedim means that a court disregards the existence of the corporation because the owners failed to guard one or more corporate requirements and formalities . The lifting or stinging of the corporate wipe out is more or less a judicial act, hence its most short meaning has been given by various judges. Staughton LJ, for example, in Atlas Maritime Co SA v Avalon Maritime Ltd (No 1) defined the term thus To pierce the corporate head covering is an expression that I would reserve for treating the rights and liabilities or activities of a company as the rights or liabilities or activities of its shareholders.To lift the corporate bury or look skunk it, thence should mean to have regard to the shareholding in a company for some legal purpose. Young J, in Pioneer cover Services Ltd v Yelnah Pty Ltd, on his part defined the expression lifting the corporate veil thus That although whenever each individual company is formed a separate legal personality is created, courts will on occasions, look behind the legal personality to the real controllers. The simplest way to summarize the veil convention is that it is the direct opposite of the limited liability design. Despite the merits of the limited liability concept, there is the enigmaatic that it can lead to the problem of over inclusion, to the disadvantage of the creditors. That is to say the concept is over protected by the law.When the veil is lifted, the owners personal assets are exposed to the litigation, just as if the business had been a sole proprietorship or general partnership. Common law courts have the lassitude or exclusive jurisdiction lift or look beyond the corporate veil at any time they pauperization to examine the operating mechanism behind a company. This wide margin of kerfuffle given common law judges has led to the raw of the corporate veil becoming one of the most litigated issues in corporate law.But it should be worthy of differentiation that a rigid application of the piercing doctrine in common law jurisdictions has been widely criticized assacrificing substance for form. Hence, Windeyer J, in the case of Gorton v Federal Commiss ioner of Taxation, remarked that this approach had led the law into unreality and formalism.As aforementioned, when the judges pierce the veil of incorporation, they then proceed to treat the companys members as if they were the owners of the companys assets and as if they were conducting the companies business in their personal capacities, or the court may attribute rights and/or obligations of the members on to the company. The doctrine is also know as disregarding the corporate entity. In his 1990 article, Fraud, Fairness and Piercing the Corporate Veil, prof Farrar remarked that the Commonwealth authority on piercing the corporate veil as tongue-tied and unprincipled.That claim has been earlier support up by Rogers AJA, a year ago in the case of Briggs v James Hardie & Co Pty thus thither is no common, unifying principle, which underlies the occasional finish of the courts to pierce the corporate veil. Although an ad hoc story may be offered by a court which so decides, ther e is no principled approach to be derived from the authorities. some other scholar in the person of M. Whincop in his own piece Overcoming Corporate Law Instrumentalism, Pragmatism and the Separate Legal Entity Concept, argued that the main problem with the Salomon case was not so much the argument for the separate legal entity, but rather the failure by the English House of Lords to give any indication of What the courts should consider in applying the separate legal entity concept and the circumstances in which one should refuse to enforce contracts associated with the corporate structure.