Wednesday, July 31, 2019

Radical Feminism Versus Liberal Feminism

Feminist theories are an extension of feminism into theoretical and philosophical discourse. They aim at understanding of the nature of gender inequality . They in turn examine women’s social roles and life experiences . While in general some provide a critique of social relationships . Most feminist theories also focus on analysing gender inequality and the promotion of women’s rights, interests and issues . Among such theories are the Liberal feminism and the Radical feminism theories. While Liberal and Radical feminism both seek to ensure that women have access to resources and human rights in a gender equal environment they however do not necessarily employ similar methods in achieving these results. Each has its own distinct reason behind whatever methods they engage to achieve their goals. Wikipedia the free internet dictionary defines feminism as â€Å"the belief that women have equal political, social, and sexual, interlectual and economic rights as men do. It a discourse that involves various movements, theories and philosophies which are concerned with the issues of gender differences . The adaptation of the equality for women and the campaign for women’s rights and interests†. Ritzer (1992) indentifies feminism as that board of theories which analyse the social world of the point of views of women and other minority groups and the major objective is to investigate the situations and experience of women in diverse societies. Britannica encyclopaedia indentifies the term feminism as used to describe a political or economic, cultural, or economic movement aimed at establishing equal rights and legal protection for women. It involves political, cultural sociological theories . As well as philosophises concerned with issues of gender differences. It also is a movement that advocates for women’s rights and interests. Patriarchy according to Robert (1991) is â€Å"derived from a Greek word Patria means father and arche means to rule, beginning, and origins. A male head of the family excising autocratic authority or by extension a member of the ruling class, government of a society controlled by senior men. † Scafer (2000) describes a radical group as a group that is set apart from others because of obvious physical differences. According to Bryson in Haralambos and Holborn (2000), â€Å"radical feminism is a theory that views women as an oppressed group which has to struggle for its liberation against its oppressors. † According to Harton and Hunt , â€Å"a liberal is one who accepts the social system as basically sound but feels that extensive reforms maybe needed. † Liberal feminism is the first form of feminism recorded; it asserts the equality of men and women, through political and legal reform. It’s mostly individualistic thus it focuses mainly on women’s ability to show and maintain their equality through their own action and choices . It looks closely at the interactions that occur between men and women in the public sphere . Liberal feminism cites such interactions as the starting ground from where to transform society into a more gender equitable place . However other issues important to liberal feminists also include reproductive rights , abortion access, sexual harassment voting , education , fair compensation for work , affordable health care , and bringing to light the frequency of sexual and domestic abuse against women. This philosophy tends to have a neutral vision towards different gender. It requires women to mould themselves to fit a citizenship that already exists. On the other hand Radical feminism is a movement that got its inspiration largely from the Marxist theory. It addresses issues Liberal feminism overlooked. It is a â€Å"current† within feminism that pays a great deal of attention to the theory of patriarchy. According to Haralambos, Horlborn and Heald (2000), â€Å"Radical feminism blames the exploitation of women on men. † The term Radical is derived from the Latin word Radix, radic, meaning the root. Radical feminist strongly believe that the root cause of the oppression of women emanates from the patriarchal society that they exist in. The main perpetrators being male. They identify patriarch as a system of power that organises society into a complex of relationships based on an assumption of males being the more superior of the sexes. The end result in such societies is the oppression of women by men . Radical feminists identify only one solution, to challenge and completely overthrow patriarchy by whatever means possible . Including opposing standard gender roles. Whatever they see as male oppression of women calls for a reordering of society†, Wikipedia the internet free dictionary. Liberal feminists generally work for the eradication of institutional bias and the implication of better laws. They legally challenge ideas and practices that result in women being seen as second class citizens. They do not challenge capitalism, patriarchy or any other fundamental structures of society. They a dvocate for transformational changes. Liberal feminists wish to achieve gender equality by working with the system rather than over throwing it , or example liberals do not call for the abolishment of the marriage institution instead they want the institution to be structured in such a way that it is not oppressive and imbalanced . In contrast Radicals are extremists and they strongly believe in a revolutionary change. Radicals on the left wing according to Henslin (1995) believe that subjugation of women is the most basic and fundamental cause of oppression. Radicals therefore believe that the only way to deal with that oppression is to have a complete radical change . They unlike the liberals, they call for the eradication of the existing structures that result in women being oppressed. Campbell and Warsaw (1970) postulate that radical feminism aims to challenge and over throw patriarchy, opposing gender roles and what they identify as male oppression of women. Liberal feminist movement is preferred by government than other forms of feminism movement’s. The liberals see value in working with the system therefore usually the liberal feminists work hand in hand with the governments. For example in the United States of America Liberal Feminism have historically worked for the ratification of the Equal Rights Amendment which ensures that men and women are treated as equals under democratic laws that also influence important spheres of women’s lives including reproduction, work and equal pay. In Britain they supported such measures as the Sex discrimination Act (1975) and the Equal Pay Act (1970) in the hope that these would help end discrimination. Were as radical feminists don’t work closely with the government and neither does the government desire to work with them. To them the government also represents within it patriarch. At the same time the government views the radicals more often than not undesirable as they advocate certain changes that do not necessarily work hand in hand with what the government desires. Most times conflict occurs between the two. Radical feminism places emphasis on the oppression of women by men . This idea distinguishes the Radical theory from the Liberal theory as the later concentrates on the oppression of both men and women. Unlike the radical feminists, liberal feminist take into consideration less dominant men who are oppressed by other men. Thus liberals view gender inequality as power that men have as a group over women and also the power that some men have over women. According to Valerie Bryson (1999) radical feminists see women as an oppressed group who had to struggle for their own liberation. Radical feminists view society and especially the society and especially the family as the key institution oppresses women in modern society. Similarly, liberal feminist also believe that the social system catalyses gender inequality. They believe that society should not impose separate roles for women and those they should be allowed to compete freely with men and they should enjoy the same privileges and opportunities. Radical feminists challenge and thrive to completely over throw patriarchy, by opposing the normal gender roles. They believe that male domination over women is as a result of gendered roles. Such roles have a diminishing effect on the importance of women is society. They argue that men exploit women because of the free domestic labour that they provide. Women are excluded from other important issues such as politics and positions of power and influence. On the same note liberal feminists identify gender roles as one of the main reasons responsible for gender inequality. They believe that childhood conditioning prepares the children for the inflexible and rigid gender roles that they take up in the future. Valarie Bryson (1999) identifies Radical feminism, â€Å"it tends to ignore variations in experience of oppression of women of different classes and ethnic background. Radical feminism originated from the west. Most radicals are white hence radical feminism tends to concentrate on those problems that affected the white women. Very little attention is paid to those that affected the black women. Similarly, liberal feminism originates from the western hemisphere hence most who subscribe to this school of thought are white women . According to Giddens (2004), â€Å"liberal feminists aim for gradual change in the political, economic and social systems of western societies. † Therefore liberal feminism too tends to ignore the experiences of women in other societies. The liberal feminists have played a huge rule in ensuring that women in Zimbabwe have access to resources and opportunities . They set up organisations that see to the welfare of women. For example the Musasa Project. This project aids mostly women who would have been subjected to violence and the aid is for free. It has assisted women to come to terms with issues such as physical abuse by spo uses and boyfriends as well as to help them realise that it is not right them to be abused in such ways. Likewise radical feminists have fought for women to have equal access as men to resources. Through doing so several groups have been formed by the Radical feminists in Zimbabwe organisations such as WOZA and Girl Child. WOZA, Women of Zimbabwe Arise is an organisation that was started in 2003 by women who felt compelled to empower female voices in Zimbabwe. Their main objective was to achieve social justice for women as well as to provide them with a forum on which they could speak about the things they want for their country. In conclusion both liberal and radical feminism provide women all over the world with a platform to share their experiences. They both involve the formation of organisations that provide a voice for women to be heard. While Liberal feminists challenge only ideas and practises that treat women as second class citizens. They concentrate mostly on the public sphere issues, for example representation off women in politics and women being paid equal salaries with men when performing similar jobs. While on the other hand the radical feminists challenge the private interaction that exists between men and women. They concentrate on the private sphere issues, for example non-rights to sexuality, rape and violence. The end of the day both theories work towards enabling women to achieve their full potential REFERANCES_ _ Charvet . J. (1982) Morden Ideologies Feminism En. wikipedia. org/wiki/Feminism Haralambos, M and Holborn. M, (2000) Sociology ;Themes and perspectives. Harper Collins, London _Henslin, J, M, (1995). Sociology :Alyn and Bacon London_ Rizter, G. (1992) Sociological Theory. McGraw-Hill, Ino, New York. _ _Schaefer R. T (2004) Sociology ; A Brief Introduction 5th Edition , McGraw , New York_ Giddens A Sociology 4_th Edition (2004) Blackwell Publishing _ Warsley , P. (1970). Introducing Sociology. Prengin Books, New York WOMEN’S UNIVERSITY IN AFRICA NAME ; Ndafadzwa Chuchu PROGRAM; Bsc (Hons) Management and Entrepreneurial Dev_ _ ID NUMBER ; WMG0308090028 LEVEL _ ; _1. 2 MODULE ; Gender in Enterprise *LECTURER *; Mrs Kashora QUESTION ; Compare and contrast Radical and Liberal Feminism

Tuesday, July 30, 2019

The Jones Family, Incorporated

THE JONES FAMILY, INCORPORATED Principles of Corporate Finance 6th Edition Richard A. Brealey and Stewart C. Myers The accompanying table summarizes Johnny's NPV calculation. He assumed Marsha would take 25 100-mile trips per year, saving $200, plus $1. 00 per mile, plus a $40 tip on every trip. Operating costs would be $. 45 per mile. The net savings are $295 per trip and $7375 per year.These savings increase with inflation at an assumed rate of 4% per year. It seems that Marsha's horse transporter was a good buy after all: NPV is positive (+ $14,325). MINICASE SOLUTIONS THE JONES FAMILY'S HORSE TRANSPORTER |Year |0 |1 |2 |3 |4 |5 |6 |7 |8 | |1.Investment (plus ending value in | | | | | | | | | | |year 8) |-35,000 | | | | | | | |+15,000 | |2. Insurancea |-1,200 |-1,200 |-1,200 |-1,200 |-1,200 |-1,200 |-1,200 |-1,200 | | |3.Net savings vs. rented | | | | | | | | | | |transporterb | |+7,375 |+7,375 |+7,375 |+7,375 |+7,375 |+7,375 |+7,375 |+7,375 | | | | | | | | | | | | |4.Cash flow |- 36,200 |+6,175 |+6,175 |+6,175 |+6,175 |+6,175 |+6,175 |+6,175 |+21,175 | |5. Adjusted for 4% inflationc | | | | | | | | | | | |-36,200 |+6,422 |+6,679 |+6,946 |+7,224 |+7,513 |+7,813 |+8,126 |+28,979 | |6.Present valued |-36,200 |+5,892 |+5,622 |+5,364 |+5,118 |+4,883 |+4,658 |+4,445 |+14,543 | NPV = + 14,325 a Paid at start of year. b Savings per 100-mile trip: 200 + 100 (1. 00 – . 45) + 40 = $295. For 25 trips per year, annual savings are 295 x 25 = $7375. Here the savings are entered at end of year (or start of the next year). This understates their value: the Jones family would actually begin to save right away. c Savings increase by 4% per year. Year 8 cash inflows from line 4 are multiplied by (1. 04)8. d Line 5 discounted at 9%.

16 year old Drivers

You just turned 16 and can’t wait to drive a car by yourself. Why should you have to wait even longer. You already have to take courses before you get your permit, and you have drive a year with a parent/guardian supervision before you can get your drivers licence. To persuade you that 16 year olds are mature enough to drive a car I will give you two reasons why. My first reason that 16 year old are mature enough to drive a car is you take courses to before you can start driving. This means that they will know the rules of the road before they start driving.This is good because they will know what signs mean and what to do on the road, and not what not to do on the road. You also have to take tests before you get your drivers licence and if you don't know the rules then you will properly fail the test. Teenagers will have to know the rules if they want to be able to drive. They will know the rules because they will take courses. My 2nd reason is that you have to drive with a p arent or guardian for a year before you get your drivers licenses. In the state of Colorado you must drive with a parent or guardian one whole year before you can get your drivers license.You also have a year with a parent or guardian helping and guiding you how to succeed parent or guardian can help them to understand the rules of the road, so they will know how to use the rules of the road in a good way. It is safer because the parent or guardian can tell them don't to blast loud music because you will be more focused on the road when there isn't blasting loud music. They can tell them to focus on the road and can tell them to keep there eyes on the road when they get a text or a phone call. The abusing reason is dangers of teenage drivers, teenage drivers are more luckily to text while driving.So if they wait a little longer to start driving then they will be more mature and might not text while driving. If teenagers have friends in the car they might be more distracted at wheel. This might cause car accidents to teenage drivers. To conclude my paper 16 year old are mature enough to drive a car. They have to take courses before they can get there drivers license. You also have to drive with a parent or guardian for a year before you can get your drivers licenses . This is why 16 year olds are mature enough to drive. I hope you agree that 16 year olds are mature enough to drive a car.

Monday, July 29, 2019

Managing Personal and Organisational Changes Essay

Managing Personal and Organisational Changes - Essay Example This means that management and change skills will determine the nature of actions taken by a manager in dynamic situations. From a theoretical perspective, change management needs substantial utilisation of appropriate planning and implementation tools. According to Dobson and Woodward (2012), failure to employ appropriate techniques in managing change results in underachievement, and shortcomings resulting from missed objectives. Therefore, leaders and individuals involved in change management should be thoroughly equipped with relevant knowledge or experience. Relevant knowledge is usually available in college and university course works involving change management. In this regard, change management theories find significant application even in practical situations. Change management takes into consideration numerous aspects of organisational structure and typical cultures. Organisations comprise employees, stakeholders and consumers of either products or services. These parties ar e usually sensitive to changes that may affect their part in the organisation. On the other hand, organisations need to adjust and adapt to changing business environments in order to cope with new developments. ... In such cases, a leader should possess relevant professional skills coupled with intuitive personal skills in order to manage change. Change processes are systematic and sensitive situations that require thorough analysis of underlying problems. Careful analysis ensures that managers can objectively identify the need for change, and the processes meant to achieve desired changes. In this context, any objective change should be rational, measurable and achievable. Analysis of Case Study After planning change steps, organisational managers will have to depend on employees to implement desired adjustments. In this regard, managers need to objectively analyse imminent situations and communicate findings to the subordinates and stakeholders. Cameron (2004) states that thorough analysis will enable people to understand the need for change; hence they can participate in creating new structures. At this juncture, this essay seeks to demonstrate the application of change management theories a nd models within practical situations. In September 2012, universities in England had plans to raise tuition fees to approximately ?9,000 annually. These plans raged amid tremendous budget slices by the government to institutions of higher learning. The UK government is encouraging universities across the nation including Scottish, Welch and Irish institutions to consider raising their tuition fees. This plan is in line with the government’s strategy of striving to reduce utilisation of taxpayer’s money in learning practices, and in turn leave the burden with the student population. In the past, government allowed English universities to charge approximately ?3,300 per year. In this context, it is evident that new charges of ?9,000 amount to a major change

Sunday, July 28, 2019

Comp Set Analysis Research Paper Example | Topics and Well Written Essays - 500 words

Comp Set Analysis - Research Paper Example Rodeway Inn SF Civic Center enjoys a strategic location within the city. Furthermore, it offers a number of services that may enhance its competitiveness. However, the other five are equally competitive and may, therefore, threaten the hotels profitability and longevity. Crowne Plaza, for example, is a luxury hotel strategically located in the airport; the hotel poses a significant threat to Rodeway Inn SF Civic since it offers immense convenience to visitors. Additionally, Rodeway Inn SF Civic does not have conference facilities. The industry has shifted with most modern day hotels striving to attract visitors who come to the city for seminars and conferences. The lack of ballrooms and workshop facilities denies the hotel a major competitive advantage thereby making it vulnerable to the numerous competitors who are setting up shop in strategic locations within the city and continues to target the same target

Saturday, July 27, 2019

Hot summer helps butterfly numbers critique Essay

Hot summer helps butterfly numbers critique - Essay Example Richard Fox the manager of the survey believes that during the summer a majority of the insects were in their early developmental stages and the perfect temperature conditions assisted in their survival and finally gave rise to a large number of adults. The article also confirms that the perfect weather conditions were responsible for attracting immigrant butterflies such as painted lady, clouded yellow, silver Y moth and the rare long-tailed blue. Participants in the survey were asked to look for 21 common butterfly species and the final results saw 15 of these species growing in numbers. 12 out of these 15 species showed a growth of over 50% while only 4 species – the ringlet, marbled white, meadow brown and six-spot burnet moth, showed decrease in their numbers. Mr. Fox inferred that the species which showed decreases in their numbers were ones which have just a single generation every year. Therefore, the number of these species represented the direct offsprings of their p arents who had been counted in the last year. However, he confirms that even though the parental numbers in the last count was large, there must have been decline in breeding success giving rise to lower number of off-springs. The article concludes with the fact that the weather cannot help increase numbers forever and that the number of butterflies in the U.K is gradually declining and the sole way of redressing this problem is to conserve the habitats and inhibit destruction of their range. The author of the article is absolutely accurate in drawing conclusions that butterflies are temperature dependent. Survivorship of butterflies depend on this since if the temperature is not high enough butterflies make the butterflies â€Å"more susceptible to predation during roosting and basking periods when they are unable to attain the body temperature needed for vigorous flight† ( Kingsolver,1985,p13). Hence a decrease in adult population would automatically decrease the population size. Another important role of temperature is its role in fecundity. A study conducted by Karlsson and Wiklund showed that lifelong fecundity of butterflies in relation to temperature was bell shaped where for open landscape butterflies fecundity was optimal at around 30 degrees (Karlsson & Wiklund,2005,p99).Studies also suggest that butterfly fecundity is controlled by temperature at two stages- egg maturation and female ovipositing (Berger et al,2008,p523). Therefore it is obvious, that since butterflies are temperature dependent, high numbers of emigration as observed because of the prevalent heat wave in the region which attracted butterflies from less suitable weather regions. The article also suggests a solution to the declination in the number of butterflies in the U.K. i.e. prohibiting habitat destruction. It is true that destruction of natural habitat has been the primary reason for decline of the butterfly population. Species richness of butterflies has decreased rapidly in places where habitat destruction is highest (Forister et al, 2010, p2088). Climate change has also been a major cause of habitat destruction since the changes in climatic conditions alters the vegetation of the habitats and destruction of the biotopes that the butterflies are accustomed to thereby hastening butterfly

Friday, July 26, 2019

Church and State Assignment Example | Topics and Well Written Essays - 250 words

Church and State - Assignment Example The wordings used by Jefferson in framing the declaration of independence exposes the image of someone who although was aware of the dictates of religion and God, was reluctant to embrace it (Hamburger 13). The laws of nature rely on the human understanding of the world. They are not necessarily induced by any religious affiliations though, if they are, it is an unconscious inclination towards religious beliefs. The laws of nature relate to some of the provisions of religion. It is misconstrued that the similarity between the proclamations of the founding fathers and the ideals of Christianity imply that they were intentionally applied in reverence to God. A skeptical view of such proclamations cast aspersions on the use (Hamburger 120). It is fair reasoning that if it were a reality that the founding fathers championed Christianity, then its application could be evident in the Declaration of Independence. Natural rights are inalienable. In essence, nature dictates the best human actions. Often, the natural laws have similarities with the doctrines of Christianity (Hamburger 45). In the presence of such a similarity, individuals may be confused to believe that they subscribe to the

Thursday, July 25, 2019

Face Negotiation Theory Essay Example | Topics and Well Written Essays - 2500 words

Face Negotiation Theory - Essay Example To begin with, the research will administer a number of questionnaires to several participants in various different national cultures asking them to give a description of interpersonal conflict. After administering the questionnaires, the major findings of the this study came as follows; cultural individualism collectivism revealed direct and indirect effects on conflict styles, self-face and other-face related positively with independent self construal. Additionally, self-face related positively with conflict styles that are dominant and other-face related positively with integrating and avoiding styles, and finally, face accounted for all of the total variance explained (Littlejohn and Foss 172). However, it is worth noting that, face dominated and avoided some of the variances explained when considering face concerns, cultural individualism- collectivism, and self-construal. According to Stella, conflict earns the meaning, a perceived and actual incompatibility of values, processes, expectations, and outcomes between two or more parties over relational or substantive matters. In this research, a number of investigations make maximum use of the face negotiation theory. With reference to face negotiation theory, the author argues that face is an explanatory mechanism for management different styles of conflict within different cultural groups. Face is a representation of a claimed sense of a positive image of an individual in the context of social interaction. The general tendencies of patterned responses to conflict in a variety of antagonistic interactive situations refer to styles of managing conflicts. Face negotiation theory has strength whereby, it provides an explanatory and organized framework for behavior conflicts (Littlejohn and Foss 175). Nevertheless, the underlying assumption that face is an explanatory mechanism for conflict behavior has no previous tests. Prior investigations did not measure face directly but rather used face post hoc in explaining the relationship between conflicts and variables of culture. Hence, this research sought to incorporate testing the assumption that face is the explanatory mechanism for the relationship between culture and conflict management style as well. Research findings shows that, face negotiation theory provides a decisive framework of explanation for describing differences and similarities in face and face work during times of conflict. Concisely, the face negotiation theory argues that, in all cultures, people try to maintain and negotiate face in all communication situations. In addition, the concept of face becomes problematic especially in situations where there is uncertainty such as conflict or embarrassment circumstances (Littlejohn and Foss 191). This happens when situated identities of communication respond to questioning. Individual level variables, variability of culture , as well as variables of situation influence

Immigration law Essay Example | Topics and Well Written Essays - 4000 words

Immigration law - Essay Example Also, they helped provide information in regard to the socio-economic rights of asylum as interpreted by the UK courts. Question A. Over the years, conflicts of all dimensions have plagued several countries across the world; persecution, violence, and war have been taking places in some parts of the world on account of political opinion, religion, race, and nationality among others accounts. As a result, citizens of the affected countries often tend to run away from their countries and seek refuge in foreign countries that they deem to be safe and where their human rights will not be violated nor their lives threatened. This reality has prompted international organizations like the United Nations, regional integrations like the European Union, and nations have to establish conventions, treaties, statutory instruments, and domestic legislation relating to refugees and asylum seeking.1 An asylum seeker has been defined as a person who has flied from their country of origin and has appl ied for protection in a foreign country as a refugee.2 Such a person claims to be a refugee but those claims are yet to be validated by relevant national, regional, or international authorities. So, the definition of the term â€Å"asylum- seeker† is hinged on the definition of the term â€Å"refugee†. ... eligion.3 However, until such claims by such a person is evaluated and validated by relevant authorities in the country he or she is seeking asylum, the person will be considered as an â€Å"asylum seeker†. European Convention on Human Rights 1950 is one of the main international and European treaties or agreements that relates to refugees and asylum seekers. The Convention aims at protecting fundamental freedoms and upholding human rights in Europe. The European Court of Human Rights (ECHR) is established under the Convention, its main purpose being to protect individuals regardless of their nationality from violations of their human rights. Individuals who feel that their human rights have been violated by a member state under the Convention are free to initiate legal proceedings against a member state in that court.4 However, many people and institutions agree that Article 3 of the Convention does not dictate a minimum standard of social support for those in need or even an automatic welfare obligation towards asylum seekers. It is no doubt that the asylum seekers are in dire need of social support; actually, the very sense of asylum seeking. Social support to asylum seekers is important in making them feel that they are cared for and have a sense of belonging even in a foreign country. Social support resources to asylum seekers include but not limited to the following: companionship so as to create a sense of belonging; emotional support; informational support in terms of advice regarding â€Å"live† in those particular countries, as well as financial support to ensure that they can attain the basic level of sustenance.5 Article 3 of the Convention is very general and tends to cover the general aspects of asylum seekers. As such, the minimum standard of social

Wednesday, July 24, 2019

Diagnosing and medicating grief as illness Essay

Diagnosing and medicating grief as illness - Essay Example Gup’s argument for alternative emotions management strategies, to medication is also justified. Grief has not been classified as depression, until the new D.S.M. publication, and the proposed management strategy may be a risky shortcut. Gup agues for use of coping skills and these appear to empower psychologically and to ensure a long lasting solution to emotions. In addition, understanding emotions such as grief to be non-medical conditions also justifies the call that medications should not be used for management. Traditional understanding of management of emotions such as grief also validates Gup’s position against medication of emotions. Grief normally transforms people’s lives and could motivate the grieving person of help the person identify opportunities for progression in life and medicating grief denies a person an opportunity for transformation. Grief is also a way of expressing love for what a person has lost and medical treatment therefore undermines the emotional aspect of grief. In addition, counseling that has been used as a strategy to managing grief requires acceptance of loss and the need to shift the pain to emotional development. Medication doses not however address the suffered loss and could therefore be a short-term solution yet a long-term solution is more appropriate. It is also important to note that crisis into emotions can be best understood from the beholder’s perspective. However, medication is based on a practitioner’s perspective and could therefore undermine resolving the real problem into grief.

Tuesday, July 23, 2019

Violence Associated with Integration at Little Rock Central High The Essay

Violence Associated with Integration at Little Rock Central High The Little Rock Nine as Individuals - Essay Example Little Rock incident or crisis as it is usually called is a proof of the same kind of racial discrimination. Oryal Faubus was the Governor of Arkansas at that time. Faubus tried to stop the students who were African-Americans to enter the school. This was solely on the basis of racial issues. Initially the students had to face a lot of trouble to stay in the school as the Governor was against allowing them to even enter the school. They were allowed to enter the school, join the classes and finally graduate from this school after the intervention of President Eisenhower (Lanier, 2009). By the mid of 20th century, the African-American movement of equal civil rights was also on its peak. Considering the changes that were taking place in the social fabric of American life, people were becoming less extremist and thus the African-Americans were being accepted as normal human beings by many. Faubus was however not one of them. When these kids were to attend the school on their first day, they were stopped by the National Guard. Troops from National Guard of Arkansas tried to stop these kids from entering the school and once these African-Americans entered the school, they were harassed by mobs making threats to them. It was of course not a very pleasant situation for them (Kirk, 2008). By that time, the historic 1954 verdict of U.S. Supreme court was already out. According to this verdict of Brown vs. Board of Education in 1954, all segregated schools were considered to be not following the constitution of America. The American constitution is not in favor of racial discrimination. However, before 1954, many segregated schools operated in the U.S. as there was no fully defined law against these schools. By 1954, all schools which were segregated and did not allow students from African-American origin to get admission and study were asked to desegregate and allow all students on the basis of merit to get admission in this school. This was a time when National Associa tion for the Advancement of Colored People (NAACP) was fully active. This organization tried to get registered as many black students as possible in the schools which were good but were all white only a couple of years before. Their attempts were more successful in the south. Violence Associated with the Little Rock Nine Crises: Little Rock School Board of Arkansas decided to go with the Supreme Court ruling in 1955. They passed their own plan of integration of black students in 1955. Virgil Blossom was the superintendent of schools and his plan which was approved was to be implemented from 1957, the year these Little Rock nine got admission in this school. By the efforts of NAACP, nine black students were admitted to this school in 1957 (Gordy, 1997). These kids were selected on the basis of their educational background and the grades they have acquired so far. The Little Rock 9 was a name given to this group of black students who joined this school in 1957. Their names were Green, Eckford, Thomas, Roberts, LaNier, Brown, Karlmark, Mothershed and Beals. Earnest Green who was born in 1941 was the first one of these black students to graduate from this school (Faubus, 1980). When these students were admitted to this school a lot of people who wanted segregation on the basis of racial discrimination held protests against this school. The first violent reaction to the admission of these students to the school was the blockade by these protestors to not allow the students to enter the school. Governor Orval Faubus helped them further by deploying National Guard troops to stop these students from entering the school premises. He was clearly in favor of segregation. In the nation however, there was a

Monday, July 22, 2019

Delima Case Aummary Essay Example for Free

Delima Case Aummary Essay Delima Enterprise was founded in 1981 by Encik Zayed. It conducted trading and supplying related products including manpower supplies to the oil and gas industries. In 2004, the enterprise was incorporated as Delima Enterprise Sdn. Bhd. Encik Zayed as the Managing Director and his wife Puan Hashimah as the Chief Operating Officer managed the company. The other personnel were Puan Balqis as the Operation Manager and Encik Salam as the Human Resource and Administration Manager. Both of them were family members of Encik Zayed and Puan Hashimah with only secondary school background and likewise Encik Zayed and Puan Hashimah. As the company was incorporated as Delima Enterprise Sdn. Bhd. the company expand their business operation into provision of engineering services. Their mission was to become a leading service contractor and provide quality and excellent services. In May 2006, the company had employed Cik Amy as Finance Executive. She was responsible for maintenance of the accounting and financial matters, including the preparation of accounts. Subsequently, in May 2006, the company had secured a contract worth RM 750,000 to be implemented a duration of six months. However, due to shortage of funds, the company had submitted applications to Maybank and CIMB Bank Berhad for banking facilities totaling RM 1 million. The banks required the company’s Audited Financial Statements for the last two years. This was when Encik Zayed realized that the company had never been audited. Therefore, his friend had introduced an audit firm and shortly after, Aziz Co. was engaged to perform audit and to be completed as earliest as possible to meet the bank’s requirement.

Sunday, July 21, 2019

14-3-3 Protein Analysis | Essay

14-3-3 Protein Analysis | Essay INTRODUCTION 14-3-3 represents a family of highly conserved, 28-33 kDa, acidic dimeric proteins. [B, H1] These proteins were first identified and isolated by Moore and Perez during their systematic study of protein fractions from mammalian brain tissue. [B1] Their nomenclature reflects the system used by the researchers to classify the various protein fractions, based on their migration pattern on starch gel electrophoresis and two-dimensional DEAE chromatography. [D1] Initially it was thought that the occurrence of these proteins was confined to neuronal tissue, where they were found to be present in concentrations as high as 13.3 ÃŽ ¼g/ml. [B19] However, subsequent studies showed that they are in fact widely distributed and ubiquitously expressed in most mammalian tissues. [B] Apart from mammalian tissue, orthologous proteins with a high degree of similarity have also been identified in other organisms including plants, yeast, insects and amphibians. [B] Interestingly, though no prokaryotic ancestor has been identified for the 14-3-3 gene, eukaryotes are known to express multiple isotypes, encoded by highly similar gene sequences. [A, G13] Drosophila and yeast each contain two 14-3-3 genes, Arabidopsis species have 15, while the human genome contains seven closely related 14-3-3 genes. [G13-G16] These genes encode the seven different 14-3-3 isotypes found in human cells – namely ÃŽ ², ÃŽ ³, ÏÆ', ÃŽ µ, ÃŽ ·, Ï„, and ÃŽ ¶. Two additional isoforms – ÃŽ ± and ÃŽ ´, represent the phosphorylated varieties of ÃŽ ² and ÃŽ ¶ respectively. [D7] By virtue of their conserved sequences, the different 14-3-3 isoforms display a similar tertiary structure. Crystallographic studies show that each subunit is made up of nine anti-parallel ÃŽ ± helices, which are able to self-assemble into dimers [F1]; with four of the nine helices participating in this process of dimerization. [A] While certain isoforms such as ÏÆ' and ÃŽ ³ show propensity towards the formation of homodimers, other isoforms like ÃŽ µ prefer to heterodimerize. [H] Structural analyses have also revealed that each monomer contains an amphipathic concave channel through which it interacts with its target proteins. [F13] Since each of the subunits of the dimer contain an independent ligand-binding groove, these proteins can interact with two different binding sites present on the same or different target proteins [H3] The targets of 14-3-3 proteins were first studied by Muslin et. al. in 1995, who determined that these proteins interact with phosphorylated serine-containing binding partners in a sequence specific manner. [A2] Thus, this came about to be the first family of proteins discovered to have an affinity for phosphoserine-specific targets. More specifically, Yaffe et. al. in 1997 identified two putative high-affinity motifs, bearing the sequences RSXpSXP and RXXXpSXP, where pS stands for phosphoserine, R stands for Arginine, P is proline and X is any amino acid. [] These were found to be the consensus sequences for 14-3-3 binding, and were called the mode I and mode II binding motifs respectively. [A21] However not all the 14-3-3 binding partners conform to these motifs and neither are all 14-3-3-target interactions found to be phosphorylation-dependent. [H] Though, a small percentage of 14-3-3 targets do not conform, in general it can be said that, proteins that interact with the 14-3-3 family are usually found to be globular proteins that contain either the mode I or mode II binding motifs within an unstructured region of the peptide. [PG] Interestingly, despite the fact that the different isotypes share a similar structure and show complete conservation of sequence in the ligand-binding region, not all the isotypes of 14-3-3 bind equivalently to their ligands in vivo and the pathways in which the individual isoforms participate have diverged considerably. This isoform specificity cannot be explained solely on the basis of 14-3-3 binding to the consensus sequence. [A, PA] It has hence been speculated that this isoform-specificity may be attributed either to differences in subcellular localization and/or tissue-specific transcriptional regulation rather than inherent differences in their ligand-binding ability. [D] Consequently, the various isoforms of the protein are found to bind different ligands and hence influence distinct cellular pathways and processes. Some of the ligands postulated on the basis of database searches include Raf1, CDC25C, polyoma middle T antigen, BAD, 5’AMP Kinase and PLC ÃŽ ³. [PA] Studies conducted in the late 1990’s demonstrated the ability of 14-3-3 proteins to interact with a number of different protein phosphatases and kinases in the cell, thus influencing multiple signalling pathways within the cell. [D] The mechanism of action of the 14-3-3 family of proteins is based on their ability to alter the stability, the catalytic activity or the subcellular localization of their targets. [H] 14-3-3 dimers being highly rigid, they are able to induce conformational changes in their target proteins as well as generate steric hindrance upon binding. Together, these forces can prevent molecular interactions by modulating the accessibility of the ligand to enzymes; and they can also serve to expose or hide localization motifs such as NES and NLS. [H] The first cellular activity to be attributed to 14-3-3 was that of an activator of tryptophan and tyrosine hydroxylases, rate-limiting enzymes that regulate the biosynthesis of catecholamine and serotonin neurotransmitter, as reported by Ichimura and co-workers. [B20] Subsequently it was discovered that 14-3-3 proteins could regulate the activity of signal transduction molecule protein kinase C. [D3,D4] This and other findings led to the implication that 14-3-3 proteins could act as novel chaperone proteins that are able to modulate the interactions between the different constituents of signal transduction pathways. [D5] Today it is known that 14-3-3 protein dimers are able to interact with a wide array of proteins within the cell including signalling molecules, apoptosis factors, tumor supressors, transcription factors, biosynthetic enzymes as well as cytoskeletal proteins; as a result of which they play crucial roles in the regulation of multiple cellular process such as the onset of cellular differentiation, and senescence, DNA repair and the maintenance of cell cycle check point, co-ordination of motility and adhesion and the prevention of apoptosis [A,H] REVIEW OF LITERATURE 14-3-3 proteins are crucial in the regulation of many cellular functions. An implication of their involvement in this multitude of processes is that any mutation, loss of regulation or altered expression of these proteins can lead them to be associated with major diseases. Through their involvement in the regulation of various tumor suppressor genes and oncogenes, 14-3-3 proteins are thought to be potentially involved in cancerous transformation and the development of malignancies. [Z11] They are also known to be associated with neurodegenerative conditions such as Alzheimer’s disease, ataxia and Parkinson’s disease. [MT1, MT2, MT3, MT4] The causes of these diseases are poorly understood and hence this family of proteins has been the focus of study of several research groups around the world, leading to numerous publications investigating all the different aspects. This section summarizes the literature elucidating the properties and functions of 14-3-3 proteins that have helped shape the rationale behind this project. A special focus is maintained on current literature that highlights role of 14-3-3 ÃŽ ³ in the cell cycle and in desmosome assembly, as well as its recently discovered ATPase activity. Human 14-3-3 isoforms The members of the 14-3-3 family are among the most abundant proteins in the cell. It has been established that owing to their interaction with diverse targets, 14-3-3 proteins are known to be involved in a multitude of processes, including the control of gene transcription, metabolism, cell cycle regulation, and apoptosis. [C] However, not all 14-3-3 proteins carry out the same functions. The table below provides an overview of the properties of the various human 14-3-3 isoforms: 14-3-3 isoform Official symbol Official full name Chrom-osome location No. of amino acids Mol.Wt. (kDa) Interactions, functions and disorders 14-3-3 ÃŽ ² YWHAB Tyrosine 3-monooxygenase/tryptophan 5-monooxygenase activation protein, beta 20 q13.1 246 27.95 shown to interact with CDC25 phosphatases and RAF1 may play a role in relaying mitogenic signaling to the cell cycle machinery 14-3-3 ÃŽ ³ YWHAG Tyrosine 3-monooxygenase/tryptophan 5-monooxygenase activation protein, gamma 7 q11.23 247 28.12 interacts with RAF1, CDC25C and protein kinase C induced by growth factors in human vascular smooth muscle cells also expressed significantly in heart and skeletal muscles 14-3-3 ÏÆ' YWHAS, SFN Stratifin 1 p36.11 248 27.64 known to interact with PLK4, ERRFI1, MARK3, JUB expressed in epithelial cells 14-3-3 ÃŽ µ YWHAE Tyrosine 3-monooxygenase/tryptophan 5-monooxygenase activation protein, epsilon 17 p13.3 255 29.03 interacts with RAF1, CDC25 phosphatases, and IRS1 proteins plays a role in pathways related to signal transduction, cell division and regulation of insulin sensitivity implicated in the pathogenesis of small-cell lung cancer 14-3-3 ÃŽ · YWHAH Tyrosine 3-monooxygenase/tryptophan 5-monooxygenase activation protein, eta 22 q12.3 246 28.09 contains a repeating sequence, 7 bp in length, in its 5 UTR changes in the number of repeats are associated with conditions such as psychotic bipolar disorder and schizophrenia 14-3-3 Ï„/ÃŽ ¸ YWHAQ Tyrosine 3-monooxygenase/tryptophan 5-monooxygenase activation protein, theta 2 p25.1 245 27.63 found to be over-expressed in patients with amyotrophic lateral sclerosis also expressed in T cells 14-3-3 ÃŽ ¶ YWHAZ Tyrosine 3-monooxygenase/tryptophan 5-monooxygenase activation protein, zeta 8 q23.1 245 27.61 interacts with IRS1 protein may play a role in regulating insulin sensitivity 14-3-3 ÃŽ ³ 14-3-3 ÃŽ ³ is an adapter protein that is known to be involved in the regulation of a wide range of signalling pathways, both general and specialized. This protein is encoded by a gene designated YWHAG, which was mapped to the chromosome 7q11.23 by Horie et. al. in 1999 [Z2] A study of its binding partners in a yeast two-hybrid study revealed that 14-3-3 ÃŽ ³ may have as many as 130 potential ligands. [PG 4] There are reports which link the overexpression of 14-3-3 ÃŽ ³ and its high titres in the cerebrospinal fluid (CSF) with certain neurodegenerative disorders such as Down syndrome and Alzheimer’s. [A129, A131] This protein is also thought to to be involved in the process of carcinogenesis. Although 14-3-3 ÏÆ' is the isoform that has been most extensively studied for its association with human cancers, there are also several ongoing studies which attempt to establish a correlation between 14-3-3 ÃŽ ³ expression and the development of tumours. This includes the work of Jieqiang Lv. et. al. which was able to demonstrate through proteomic analysis that a reduced expression of 14-3-3 ÃŽ ³ is observed in patients with uterine tumours. [Z10] The role of 14-3-3 ÃŽ ³ in cancer can be better appreciated by understanding its role in the cell cycle and its regulation. Role of 14-3-3 ÃŽ ³ in the cell cycle 14-3-3 proteins play a major role in the regulation of cell cycle through the interaction with various cell cycle proteins. The main targets for 14-3-3 regulation are the Cdc25 proteins. Cdc25 is a family of protein phosphatases comprising the members Cdc25A, Cdc25B and Cdc25C, which are active during different phases of the cell cycle. Cdc25A participates in the regulation of G1/S transition, whereas Cdc25B and Cdc25C regulate G2/M transition. [z3] Cdc25c has been specifically implicated in the activation of the CDK1-cyclinB1 complex by removing inhibitory phosphorylations at T14 and Y15, which advances the cell cycle from G2 to M phase. The overexpression of this protein has been seen to result in mitotic catastrophe in the cell due to premature mitosis. [E28] Therefore the expression and function of Cdc25C needs to be tightly regulated; and 14-3-3 ÃŽ ³ plays a crucial role in this regulation. [E29] During the interphase, 14-3-3 proteins bind to Cdc25C and sequester it in the cytoplasm by occluding the NLS, preventing it from accessing the CDK1-cyclinB1 complex in the nucleus and thus in essence inactivating it. [E28] Dalal et. al. showed that though all the 14-3-3 proteins were able to carry out this function in vitro, only 14-3-3 ÃŽ ³ and ÃŽ µ were found to bind to and thus inhibit Cdc25C in vivo. [] This binding however was found to require the phosphorylation of a specific serine residue at position 216 in human cells, usually carried out by TAK1 and other similar kinases. [E30, z4] Cdc25C is also known to be a target of the DNA replication and DNA damage checkpoints that exert their effects through the phosphorylation of S216 by kinases like Chk1 and Chk2. [z5, z6, z7] This phosphorylation thus generates a high-affinity motif that is able to bind to 14-3-3 proteins present in the cytosol. A schematic representation of this process is provided in the figure below. In the absence of 14-3-3 proteins, this regulation of Cdc25C is disrupted and a result, cells lose their ability to stop cycling upon loss of integrity of their DNA. To this effect, a study conducted by Hosing et. al. in 2008 showed that cells require 14-3-3 ÃŽ ³ in order to maintain their ability to arrest cells in the S phase and the G2 phase checkpoint. [] This was proven by generating 14-3-3 ÃŽ ³ knockdown cells, and studying their response to DNA damage. It was found that these cells were unable to arrest in G2, thus leading to an increase in premature chromatin condensation (PCC) as compared to the vector control. [] This was the first report suggesting that 14-3-3 ÃŽ ³ modulates the cell cycle checkpoint response, through its negative regulation of cdc25C function. Role of 14-3-3 ÃŽ ³ in desmosome assembly 14-3-3 isoforms were also not known to have any role to play in the assembly of desmosomes, until a serendipitous observation led to a study conducted by Sehgal et. al. This study demonstrated for the first time that 14-3-3 ÃŽ ³ is required for desmosome formation. [] They showed that 14-3-3 ÃŽ ³ is able to form complexes with the desmosomal proteins plakoglobin, desmoplakin and plakophilin 3. Their work led to the conclusion that 14-3-3 ÃŽ ³ is essential for the recruitment of plakoglobin to the cell border; and that the loss of 14-3-3 ÃŽ ³ leads to a decrease in desmosome formation. This translates to defective cell-cell adhesion in HCT 116 cells and sterility in male mice when this loss is manifested in the testis. [] These results are in agreement with the fact that 14-3-3 ÃŽ ³ plays a role in the transport of proteins from the Golgi complex to the cell border, as previously reported by Valente et al. in 2012. [Z1] ATPase activity of 14-3-3 proteins The notion that 14-3-3 proteins may possess an ATPase function evolved through a series of studies. The first of these was reported in a paper in 1993 by Hachiya et. al., who had isolated a protein from the rat liver cell cytosol, called the mitochondrial import stimulation factor (MSF). [] This factor was found to modulate the conformation of aggregated proteins and stimulate their import into the mitochondria in an ATP-dependent manner, much like the Hsp70 chaperone molecule. Ensuing studies by the same group led to the cloning of cDNA sequences encoding the large and small rat MSF subunits; and based on these cDNA sequences, it was deduced that the MSF peptides belong to the 14-3-3 family. [] This was thus the first time the ability to hydrolyse ATP was attributed to a 14-3-3 protein. In 1997, Yano et. al. probed further and asked whether the 14-3-3 family of proteins were also capable of the reverse reaction i.e. ATP synthesis; and found that native 14-3-3 proteins isolated from human lymphoblastoma cells as well as recombinant 14-3-3 Ï„ exhibited the ability to generate ATP from ADP. [] This activity resembled that of the enzyme nucleoside diphosphate-kinase. It was then speculated that ATP synthesis and hydrolysis may play a role in regulating the interaction of 14-3-3 proteins with their substrates. Subsequently, in 2006, Yano et. al. also showed that 14-3-3 ÃŽ ¶ acts as a molecular chaperone under heat shock conditions, dissolving thermally-aggregated proteins, also in an ATP-dependent manner. [] This stress-related function is said to differ from the role of MSF as previously described, since in that case, the protein activity is limited to the transport of newly synthesized proteins into the mitochondria. This finding thus represented another part of the puzzle that is the multi-functional nature of 14-3-3 proteins. Despite these reports however, the ATPase activity of 14-3-3 proteins had not commanded much attention from researchers, until recently Ramteke et. al. in 2014 demonstrated unequivocally, using 14-3-3 ÃŽ ¶ as a model, that these proteins possess an intrinsic ATP-hydrolysing function. [] They also studied the putative residues essential to this activity and found that in their model, the mutation of the Asp at residue 124 to Ala (D124A) resulted in a significant increase in the rate of ATP hydrolysis, while the mutation of Arg 55 to Ala caused a partial loss of function. ATPase activity of 14-3-3 ÃŽ ³ As a part of the same study, Ramteke et. al. decided to test whether the other 14-3-3 isoforms also displayed similar properties; and they found that with the exception of 14-3-3 ÏÆ', all the other isoforms, including 14-3-3 ÃŽ ³, showed intrinsic ATPase activity. [] Interestingly, it was found that in case of the ÃŽ ³ isoform, the mutation of the conserved Asp, found at position 129 to Ala (D129A) led to an over two-fold gain in ATPase function, reflecting that the binding of this mutant to ATP is probably either more energetically or sterically favourable. [] The authors of this paper were however unable to comment on the functional relevance of the ATPase activity of 14-3-3 proteins. These results however provide an impetus to further studies on physiological significance of ATP hydrolysis, with respect to individual 14-3-3 isoforms.

Quantitative research

Quantitative research Introduction (150) Quantitative research is the investigation of phenomena that give themselves to exact measurement and quantification, which attached a rigorous and controlled design (Polit Beck 2008). Its has main purpose is to measure concept or variables objectively in numerical and statistical process, also relationship between variables (Parahoo 2006). The research methods are obtained from research design and generally include sample, intervention (if applicable), instruments, data collection, and data analysis (eds. Joyce Meredith 2006). In many instances, the quantitative research needs such as questionnaires or interview, computers and large sample sizes. This article is to explore of a quantitative research by Kalij and William (2009) the view of its data objectivity, sample size and selection, process data collection, data presentation and analysis, using the relevant references to support this discussion. The objectives are to prove with evidences if the Khalij and Williams study (2009) fulfills the requirements of quantitative research. Objectivity (150) Objectivity is amount of involvement of the researcher relates during the collection and analysis of the data (Marcella n.d.a). Polit and Beck (2008) argued objectivity meant researcher tend to stay away any impression of subjectivity or impersonal during study process. Parahoo (2006) explained the data which collected and analyzed are expected to be free from bias between researcher and participants. It means the researcher is detached or does not active participate from practice and there is no intervention between researcher and participant. Also the participants use the same actual measurements for data collection. Further the bias of research can be minimized and the objectivity of the study can be maximized. In The Kalish and Williams study (2009) showed that they did not participate and used measurements to collect the data. It showed in their study that during data collection, they involved staff nurses in four hospitals and used psychometric testing tool. Hard data (148) Hard data is characteristic of quantitative study. Polit and Beck (2008) said that quantitative data are the information obtained during process of study course in a quantified (numeric value). (Janet Houser 2008) argued the other numerical data specific patients symptoms put in rank order the scales which contained intervals, comparisons between subjects. Other instance the researchers with rigorously designed tools should be able to grasp the reality (Parahoo 2006). For example scale of depression and pain in numeric value. That means the data can be measured and quantified in some way. In the nursing practice we always face with the hard data. For instance are physical (height, weight, gender), physiological (vital signs, laboratory results, visual acuity), past medical histories, psychological and social or behavior. This data are shown in Kalish and Williams study (2009) during their study while collected data: sample size, genders, experience, education degree, and work location in quantified data. Statistic (142) Statistic is very important aspect in the quantitative research. After data are collected can be analyzed using statistic and presented in numerical form. Polit and Beck (2008) said that statistic is an estimate of a parameter, calculated from sample data. They emphasized statistics are used to test hypotheses and evaluate the believability of the finding. Researchers usually use statistical computer to expedite calculation and ensure accuracy (ed. Joyce and Meredith 2006). They mentioned statistic methods are used in every process include in the final report to search the correlations, comparisons of means, trend and significance of finding to refute hypothesis. Its reinforce that statistic is one of characteristic in quantitative research. Its applied in Kalishs study process while selecting data sampling and analyzing data which showed in the tables and the data was analyzed by statistical computer, descriptive statistic and inferential statistic. Sample selection (269) Janet Holt (2009, p. 235) said that sampling is the process to select a small group of participant for study with the goal of making generalization from large population based on findings. Polit and Beck (2008) argued that sampling is the process of selecting portion of the population to represent from the entire population element. There are differentiation ways in sample selection; sampling designs, sample size and sampling steps. Polit and Beck (2008) mentioned that there are two sampling designs; probability sampling and non probability sampling. Probability sampling contents; simple random, stratified random, cluster and systemic sampling. The non probability sampling has contents; convenience, quota and purposive sampling. Janet Houser (2008) explained sample size in quantitative research to determine sample in adequacy is power. Its an analysis to indicate the large of sample which needed to adequately detect a difference in result variable. Polit and Beck (2008) suggested the steps in this research sampling as follow; the population identify, the specific eligibility criteria, the specific sampling plan and sample recruitment. They emphasized researcher during sample recruitment to gain the participant cooperation use means of courtesy, persistence, incentives, research benefits, sharing results, convenience, and endorsement. This study sample collection was implemented in the kalishstudy. They used random sampling to collect the participant data from four hospitals in different unit. The study used N symbol which designed for the total number, and n symbol is designed for number of subject. They took large sample size with total samples (N=1098). They applied ratio of sample size during sample collection. They gained the participant cooperation which provided incentives (jumbo-sized candy and bar a pizza party). Data collection (285) Parahoo (2006) said data collection is methods to measure the data sampling which utilized the instrument tools: questionnaires, observation schedule and other measuring tools. He emphasized that the methods should be predetermined, structured and standardized. Polit and Beck (2003) developed data collection plan include identifying data needs, selecting types of measures, selecting and developing instruments, pre testing the data collection package, and developing data collection forms and procedures. They stressed Important aspects should be considered while implementing the data collection plans are the selecting research personal and personal and the training data collector. Nancy and Susan (2007) explained data collection is the process of obtaining the subject and collecting the data for the research. They explained five tasks during data collection process: recruiting subjects, maintaining consistency, maintaining controls, protecting study integrity, and solving the problem. Structure, quantifiability, obstrusiveness, and objectivity are important elements when selecting data collection instruments (Marcella n.d.a). We have to understand and maintain the important dimension the data collection methods when applied in the data collection plan, and implementing. The obtained data should be accurate, valid, and meaningful to respond the questions. Kalish and William implemented the data collection process in their study. They applied the approaching methods to maintain the important dimensions in data collection such as a tool of missed nursing care and reason for missed care. The Data collection plan used to identify data needs for instance in the describing sample characteristic of participants (table 2.). They construct the tool in their survey to gain the quantify data. While implementing data collection, they selected research personal is staff nurse experts. The training data collector was done which distributed a copy of tool, informed consent form and a letter explaining the study. Data analysis and presentation (299) Joyce and Meredith (ed. 2006) said data analysis is a systematic method of examining data gathered for any research investigation to support hypothesis. This system implements in the data analysis process: the data analysis preparation, the sample description, reliability of measurement test, exploratory analysis conduction, exploratory analysis, confirmatory analysis and posthoc analysis conduction (Nancy Susan 2007). Parahoo (2006) stated analysis data can be obtained from measurement level, and then analyzed with statistical level. He mentioned two statistic levels those are descriptive statistic and inferential statistic. There are several statistical computer programs (SPSS, SAS, LISREL, EQS, etc) which help the researcher to calculate these test statistics and their sampling distribution (eds. Joyce Meredith 2006). Marcella (n.d.b) explained there are two types of inferential statistics are parametric (t-test, ANOVA, Multiple regressions) and non parametric (Chi-square, Rank Correlation, Mann-Whitney U, Kruskal-Wallis). Quantitative research result may be presented in the tables, charts and graphs (Michael, Patricia Frances, 2007, cited Russell, 2005). In conclusion that data analysis is systemic method of examination data started from data collection which used measurement level then data were analyzed by statistical level and presented in the tables, charts and graphs to support hypothesis. Kalish and Williams study (2009) implemented the data analysis process which utilized measurement level and statistical level which completed using SPSS in their study. First step is checking of data accuracy using ordinal scale. The second is describing sample, they use central tendency and dispersion to test the contrast validity. The third is testing the reliability of measurement, they applied cronbach alpha coefficient. Fourth they conducted exploratory analysis as the extraction technique and varimax as orthogonal rotation method, also analyzed using oblique rotation. Fifth they conducted the confirmatory analysis used AMOS version 16. Last step they used analysis of variance (ANOVA) to conduct posthoc analysis. Result study was presented in the table presentation. Conclusion (118) This essay has tried to explore the Kalish and Williams study (2009) about the development and psychometric testing of a tool to measure missed nursing care. Their study has approached and fulfilled the major requirement of quantitative research characteristics that include objectivity, hard data and statistic. They applied quantitative study process which consists of conceptual, design and planning, empirical, analytic and dissemination phase as suggested by Polit and Beck (2004). They also utilized data analysis process of Nancy and Susan (2008). In general view of Kalish and Williams study (2009) has applied the quantitative research systematically. Improvement progress monitoring was done, but effectiveness overview the tool is still recommended to apply in the base practice for long period. References: 1. Carol L. Macnee Susan Mc. Cabe (2008) Understanding nursing research: using research in evidence-base practice, 2nd ed. Philadelphia: Lippincott and William a Wolter Kluwer Business. 2. Denise F, Polit Cheryl Tatano Beck (2010) Essentials of nursing research: appraising evidence for nursing practice, 7th ed. Philadelphia: Lippincot William Wilkins. 3. Denise F, Polit Cheryl Tatano Beck (2008) Nursing research: generating and assessing evidence for nursing practice, 8th ed. Philadelphia: Lippincot William Wilkins. 4. Denise F, Polit Cheryl Tatano Beck (2003) Nursing research: principle and methods, 7th ed. Philadelphia: Lippincot William Wilkins. 5. Kader Parahoo (2006) Nursing research principles, process and issues, 2nd ed. Hamspire: Palgrave Macmillan. 6. Janet Holt (2009) Reading research series quantitative research: an overview, British Journal of Cardiac Nursing, Vol. 4(5), pp. 234-236. 7. Janet Houser (2008) Nursing research: reading, using and creating evidence, Jones and Bartlett Publisher, Sudbury. 8. Joyce J.F. Meredith W. (eds) 2006, Encyclopedia of nursing, 2nd ed. New York: Springer Publishing. 9. Marcella Hart (n.d.a) Birthing a research project: data collection, International Journal of Childbirth Education, Vol. 22(3) pp. 27-31. 10. Marcella Hart (n.d.b) Birthing a research project: data analysis, International Journal of Childbirth Education, Vol. 22(4), pp. 24-28. 11. Michael Coughlan, Patricia Cronin Frances Ryan (2007) Step-by-step guide to critiquing research. part 1: quantitative research, British Journal of Nursing, Vol. 16(11), pp. 658-663. 12. Nancy Burns Susan K. Grove (2007) Understanding nursing research: building an evidence-base practice, 4th ed. Missouri, Saunders an Imprint of Elsevier.

Saturday, July 20, 2019

How Priestly Uses the Characters to Represent His Own Views on Society :: An Inspector Calls Edwardian Society Essays

How Priestly Uses the Characters to Represent His Own Views on Society The play "An Inspector Calls" is set in 1912 but was written in 1945. Edwardian society at that time (1912) was strictly divided into social classes and over two-thirds of the nation's wealth was in the hands of less than 1% of the population. Below the very rich were the middle classes (doctors and merchants, shop workers and clerks), after that came the craftsmen and skilled workers. At the very bottom of the social ladder was the largest class of all - the ordinary workers and the poor, many of whom lived below the poverty level. The men of industry treated the workers very badly and they were paid pittance. This caused workers to become better organised and strikes were becoming more frequent as they demanded better conditions and higher pay. J.B. Priestley was writing the play for a middle class audience and was trying to speak up for the working class by showing how the Birlings and Gerald Croft were all involved in making a young working class girl's life a misery. Priestley wants to show us that we have a responsibility to others to act fairly and without prejudice and that we do not live in isolation. Our actions affect others. This is the concept of collective responsibility. Priestley says, 'things could really improve if only people were to become more socially responsible for the welfare of others'. We have to confront our mistakes and learn from them. The play starts off with the Birling family celebrating their daughter's engagement to Gerald Croft. The family included Mr Birling, Mrs Birling, Eric Birling, Sheila Birling and Gerald Croft. Arthur Birling is glad because Gerald is the son of his business competitor and it will be a merger of businesses. Through the middle of the dinner there is a knock at the door. This is where we meet inspector Goole. He tells the family that a girl has committed suicide and that in one way or another they are responsible. Mr Birling was responsible for sacking the girl from his factory. Sheila Birling was responsible because she got the girl sacked from a shop where she works. Eric Birling was seeing her but the broke it off, and Gerald Croft was having an affair with her but he also broke it off. All of their morals are tested and they are all put to the test because none of them really know the truth about what they have done until the inspector brings it out of them. After the inspector goes the family finds out that he was a fake and that no girl had died.

Friday, July 19, 2019

Hockey vs. Football Essay -- Sports Compare Contrast Hockey Football E

Hockey vs. Football Football and hockey are two sports, which are similar in objective, but very different in their rules and guidelines. In each of these major sports there are rules and guidelines that the players must follow. The topics that will be covered are the weight differences between the players in football and hockey, the use of Creatine Monohydrate, and last the equipment restrictions. This first paragraph will discuss the weight difference between the players in the NFL (football) and the NHL (hockey). Although there is no written rule as to how much a player can weigh in either of the sports, there is the unwritten rule that the players and coaches follow. The average hockey player weighs about 185 pounds. The average weight of a full NHL hockey team consisting of 24 players is about 4,500 lbs. Coaches in the NHL do not want their players too weigh more than 200 though because as Mike Milbury the coach of the New York Islanders put it â€Å" when a player is as big as a football player (approx. 250 lbs.). It is harder for a player to move quickly and elude an upcoming check†. In the NFL, it is the opposite of the NHL. The coaches don’t want their players too weigh less than 200 pounds. The Punter/Kicker is the only position that it doesn’t really matter what the weight of player is. On average the weight of a NFL player is 250 lbs. The averag e team consisting of 48 players weighs about 12,000 lbs. This paragraph talks about a very controversial substanc...

Thursday, July 18, 2019

Napoleon Essay -- essays research papers

Napoleon was an opportunistic leader who’s military genius was unmatched and his political prowess very solid, but his goal of overtaking Europe ended his power. Napoleon was a powerful military leader who was able to gain the respect and admiration of France through his military victories. He saw the opportunity to be the French leader and jumped at it, but his goal of a unified Europe hurt him. His ego also played a part in his fall from power in his ill-advised decision to have his brother rule Spain. Napoleon’s military power was so great that he came close to ruling Europe in its entirety before meeting the end. His rule over France was very successful and he was able to run a country very effectively. He was even able to rule over three or four countries at the same time very effect...

Stock Exchange

What is Stock Exchange? A stock exchange is the market place for the purchase and sale of second hand securities. It provides â€Å"trading† facilities for stock brokers and traders, to trade shares of the listed companies and other financial instruments such as Term Finance Certificates and Derivatives. Stock exchanges also provide facilities for the issue (listing), redemption (delisting) of securities and other capital events including the payment of income and dividends. It is a key institution for smooth functioning and steady growth of the corporate sector and can be seen as a key to the economic life of a nation.Stock exchange is the home of the capital and pivot of the money market, providing proper mobility for capital. The securities of joint-stock companies, government securities and securities issued by semi-government organization are dealt with on a stock exchange. History of Stock Exchange The history of stock exchanges can be traced to 12th century France, when the first brokers (the role of an individual or a firm when it acts as an agent for a customer and charges the customer a commission for its services) are believed to have developed, trading in debt and government securities.Unofficial share markets existed across Europe through the 1600s, where brokers would meet outside or in coffee houses to make trades. The Amsterdam Stock Exchange, created in 1602, became the first official stock exchange when it began trading shares of the Dutch East India Company. These were the first company shares ever issued. By the early 1700s there were fully operational stock exchanges in France and England, and America followed in the later part of the century. Share exchanges became an important way for companies to raise capital for investment, while also offering investors the opportunity to share in company profits.The early days of the stock exchange experienced many scandals and share crashes, as there was little to no regulation and almost anyo ne was allowed to participate in the exchange. Today, stock exchanges operate around the world, and they have become highly regulated institutions. Investors wanting to buy and sell shares must do so through a share broker, who pays to own a seat on the exchange. Companies with shares traded on an exchange are said to be ‘listed' and they must meet specific criteria, which varies across exchanges.Most stock exchanges began as floor exchanges, where traders made deals face-to-face. The largest stock exchange in the world, the New York Stock Exchange, continues to operate this way, but most of the world's exchanges have now become fully electronic. Functions of Stock Market ? Ready Market Stock exchange is a continuous market for the resale of existing securities. It is a centre where buyers and sellers assemble to deal in securities at any time during the business hours. It enables investors to realize quickly their shares and debentures.This facility encourages people to inves t in business enterprise by means of buying industrial securities. It helps new investors to obtain securities at any time at market price. ? Protection to investors Protection of the interest of the investors is another function of stock exchange. This it does by ensuring safety and fair dealing to the average investors through strict enforcement of its rules and regulations. Without the cover of a stock exchange there may be unfair competition between different brokers. The investors may be deceived by clever and dishonest brokers.In a stock exchange any malpractice by a broker carries a severe penalty. ? Profitable use of funds Another major function of the stock exchange is the mobilization of surplus funds of individuals firms and companies for investment in industrial securities. Without the stock exchange, these funds would have remained idle. It directs the surplus funds into the most profitable channel and thereby secures their effective utilization. People invest their sav ings in companies yielding good returns. Stock exchange in Pakistan In Pakistan there are three stock exchanges, ? Karachi stock exchange (KSE) Lahore stock exchange (LSE) ? Islamabad stock exchange (ISE) Karachi Stock Exchange The KSE is the first stock exchange of Pakistan established in September 18, 1947 and incorporated in March 10, 1949. KSE start with 5 companies with a paid-up capital of RS 37 million. The first index was the KSE 100 index. KSE Indices Family ? KSE 100 The KSE100 index is a benchmark by which the stock price performance can be compared to over a period of time. In particular, the KSE 100 is designed to provide investors with a sense of how the Pakistan equity market is performing.Thus, the KSE100 is similar to other indicators that track various sectors of the Pakistan economic activity such as the gross national product, consumer price index, etc. The KSE-100 Index was introduced in November 1991 with base value of 1,000 points. The Index comprises of 100 c ompanies selected on the basis of sector representation and highest market capitalization, which tracks over 85% of the total market capitalization of the companies listed on the Exchange. ? KSE-30 Index The Karachi Stock Exchange has launched the KSE-30 Index with base value of 10,000 points, formally implemented from Friday, September 1, 2006.The main feature of this index that makes it different from other indices is: ? Based on the â€Å"Free Float Methodology† ? It includes only the top 30 most liquid companies listed on the KSE. ? KMI-30 ? Index introduced in September, 2008 ? Tracks the 30 most liquid Shariah-compliant companies listed at KSE weighted by free float adjusted market capitalization. ? Shariah Screening performed by Shariah Supervisory Board of Meezan Bank (chaired by Justice (Retd. ) Mufti Muhammad Taqi Usmani). ? KSE All Share Index ? It consists of all the companies listed on the KSE. ? KSE-GTOiOil & Gas Sector plays vital roles in Pakistan’s eco nomy and therefore KSE has developed a Tradable Oil & Gas Index which tracks at least 80% free-float market capitalization of the Oil & Gas Sector. This index provides Investors and Market Intermediaries with an appropriate benchmark that captures the performance of each segment of the economy. KSE-100 Composition Basis The selection criteria for stock inclusion in the existing KSE-100 Index is based on three main filters, namely Sector rule, Capitalization rule and Default rule. The top sector companies may also qualify for inclusion on the basis of their market capitalization. Sector Rule Largest market capitalization in each Karachi Stock Exchange sectors excluding Open-end Mutual Fund Sector ? The Largest Capitalization Rule The remaining index places are taken up by the largest market capitalization companies in descending order. ? The Default Counter and Non Tradable Rule Company which is on the Defaulters’ Counter and/or its trading is suspended; declare Non-Tradable ( i. e. NT) in preceding 6 months from the date of re-composition shall not be considered in the re-composition of KSE-100 Index . How many stocks are registered and categories? The total number of companies listed in KSE is 572 with a listed capital of RS. 1103072. 80 million ? In KSE companies are listed under following categories according to the nature of their industry. |Sector Wise Categories of Companies | |Oil and Gas |Pharma and Bio Tech | |Chemicals |Media |Forestry |Travel & leisure | |Industrial metals and mining |Fixed line Telecommunication | |General industries |Electricity | |Electronic and electrical Goods |Multiutilities | |Engineering |Commercial Banks | |Industrial Transportation |Non Life Insurance | |Support services |Life insurance | |Automobile and Parts |Real estate investment and services | |Beverages |financial services | |Food Producers |Equity Investment Instruments | |Household Goods |Software and computer services | |Leisure Goods. |Technology Hard ware and Equipment | |Personal Goods | | |Personal Goods | | |Tobacco | |Advance /Decline: If there is increasing trend in the prices of share then we said that the market gains the index or points and vice versa. Points: Points shows the Overall worth of the market. There are many factors that influence the market points and due to these factors market’s point increases or increases. These factors consist of formulae of capital structure and other related things. In Pakistan value of 1 point is approximately equal to 5 crores and it changes due to inflation and other economic factors. When an individual invest an amount equal to 5 Crores then 1 point increases and when he/she pull back his investment then 1 point decreases 1 point = 5 Crores Stock Exchange A stock market or equity market is a public (a loose network of economic transactions, not a physical facility or discrete) entity for the trading of company stock (shares) and derivatives at an agreed price; these are securities listed on a stock exchange as well as those only traded privately. The size of the world stock market was estimated at about $36. 6 trillion at the start of October 2008. The total world derivatives market has been estimated at about $791 trillion face or nominal value,[2] 11 times the size of the entire world economy. The stocks are listed and traded on stock exchanges which are entities of a corporation or mutual organization specialized in the business of bringing buyers and sellers of the organizations to a listing of stocks and securities together. The largest stock market in the United States, by market capitalization, is the New York Stock Exchange (NYSE). In Canada, the largest stock market is the Toronto Stock Exchange. Major European examples of stock exchanges include the Amsterdam Stock Exchange, London Stock Exchange, Paris Bourse, and the Deutsche Borse (Frankfurt Stock Exchange). In Africa, examples include Nigerian Stock Exchange, JSE Limited, etc. Asian examples include the Singapore Exchange, the Tokyo Stock Exchange, the Hong Kong Stock Exchange, the Shanghai Stock Exchange, and the Bombay Stock Exchange. In Latin America, there are such exchanges as the BM&F Bovespa and the BMV. A few decades ago, worldwide, buyers and sellers were individual investors, such as wealthy businessmen, usually with long family histories to particular corporations. Over time, markets have become more â€Å"institutionalized†; buyers and sellers are largely institutions (e. g. , pension funds, insurance companies, mutual funds, index funds, exchange-traded funds, hedge funds, investor groups, banks and various other financial institutions). The rise of the institutional investor has brought with it some improvements in market operations. Thus, the government was responsible for â€Å"fixed† (and exorbitant) fees being markedly reduced for the ‘small' investor, but only after the large institutions had managed to break the brokers' solid front on fees. (They then went to ‘negotiated' fees, but only for large institutions. History : Established in 1875, the Bombay Stock Exchange is Asia's first stock exchange. In 12th century France the courratiers de change were concerned with managing and regulating the debts of agricultural communities on behalf of the banks. Because these men also traded with debts, they could be called the first brokers. A common misbelief is that in late 13th century Bruges commodity traders gathered inside the house of a man called Van der Beurze, and in 1309 they became the â€Å"Brugse Beurse†, institutionalizing what had been, until then, an informal meeting, but actually, the family Van der Beurze had a building in Antwerp where those gatherings occurred; the Van der Beurze had Antwerp, as most of the merchants of that period, as their primary place for trading. The idea quickly spread around Flanders and neighboring counties and â€Å"Beurzen† soon opened in Ghent and Amsterdam. In the middle of the 13th century, Venetian bankers began to trade in government securities. In 1351 the Venetian government outlawed spreading rumors intended to lower the price of government funds. Bankers in Pisa, Verona, Genoa and Florence also began trading in government securities during the 14th century. This was only possible because these were independent city states not ruled by a duke but a council of influential citizens. Italian companies were also the first to issue shares. Companies in England and the Low Countries followed in the 16th century. The Dutch East India Company (founded in 1602) was the first joint-stock company to get a fixed capital stock and as a result, continuous trade in company stock emerged on the Amsterdam Exchange. Soon thereafter, a lively trade in various derivatives, among which options and repos, emerged on the Amsterdam market. Dutch traders also pioneered short selling – a practice which was banned by the Dutch authorities as early as 1610. 7] There are now stock markets in virtually every developed and most developing economies, with the world's biggest market being in the United States, United Kingdom, Japan, India, China, Canada, Germany's (Frankfurt Stock Exchange), France, South Korea and the Netherlands. Importance of stock market : The stock market is one of the most important sources for companies to raise money. This allows businesses to be publicly trade d, or raise additional financial capital for expansion by selling shares of ownership of the company in a public market. The liquidity that an exchange provides affords investors the ability to quickly and easily sell securities. This is an attractive feature of investing in stocks, compared to other less liquid investments such as real estate. History has shown that the price of shares and other assets is an important part of the dynamics of economic activity, and can influence or be an indicator of social mood. An economy where the stock market is on the rise is considered to be an up-and-coming economy. In fact, the stock market is often considered the primary indicator of a country's economic strength and development. Rising share prices, for instance, tend to be associated with increased business investment and vice versa. Share prices also affect the wealth of households and their consumption. Therefore, central banks tend to keep an eye on the control and behavior of the stock market and, in general, on the smooth operation of financial system functions. Financial stability is the raison d'etre of central banks. Exchanges also act as the clearinghouse for each transaction, meaning that they collect and deliver the shares, and guarantee payment to the seller of a security. This eliminates the risk to an individual buyer or seller that the counterparty could default on the transaction. The smooth functioning of all these activities facilitates economic growth in that lower costs and enterprise risks promote the production of goods and services as well as employment. In this way the financial system contributes to increased prosperity. Stock market index : The movements of the prices in a market or section of a market are captured in price indices called stock market indices, of which there are many, e. g. , the S&P, the FTSE and the Euronext indices. Such indices are usually market capitalization weighted, with the weights reflecting the contribution of the stock to the index. The constituents of the index are reviewed frequently to include/exclude stocks in order to reflect the changing business environment. Derivative instruments : Financial innovation has brought many new financial instruments whose pay-offs or values depend on the prices of stocks. Some examples are exchange-traded funds (ETFs), stock index and stock options, equity swaps, single-stock futures, and stock index futures. These last two may be traded on futures exchanges (which are distinct from stock exchanges—their history traces back to commodities futures exchanges), or traded over-the-counter. As all of these products are only derived from stocks, they are sometimes considered to be traded in a (hypothetical) derivatives market, rather than the (hypothetical) stock market. Leveraged strategies : Stock that a trader does not actually own may be traded using short selling; margin buying may be used to purchase stock with borrowed funds; or, derivatives may be used to control large blocks of stocks for a much smaller amount of money than would be required by outright purchase or sales. Short selling : In short selling, the trader borrows stock (usually from his brokerage which holds its clients' shares or its own shares on account to lend to short sellers) then sells it on the market, hoping for the price to fall. The trader eventually buys back the stock, making money if the price fell in the meantime and losing money if it rose. Exiting a short position by buying back the stock is called â€Å"covering a short position. † This strategy may also be used by unscrupulous traders in illiquid or thinly traded markets to artificially lower the price of a stock. Hence most markets either prevent short selling or place restrictions on when and how a short sale can occur. The practice of naked shorting is illegal in most (but not all) stock markets. Margin buying : In margin buying, the trader borrows money (at interest) to buy a stock and hopes for it to rise. Most industrialized countries have regulations that require that if the borrowing is based on collateral from other stocks the trader owns outright, it can be a maximum of a certain percentage of those other stocks' value. In the United States, the margin requirements have been 50 %% for many years (that is, if you want to make a $1000 investment, you need to put up $500, and there is often a maintenance margin below the $500). A margin call is made if the total value of the investor's account cannot support the loss of the trade. (Upon a decline in the value of the margined securities additional funds may be required to maintain the account's equity, and with or without notice the margined security or any others within the account may be sold by the brokerage to protect its loan position. The investor is responsible for any shortfall following such forced sales. ) Regulation of margin requirements (by the Federal Reserve) was implemented after the Crash of 1929. Before that, speculators typically only needed to put up as little as 10 percent (or even less) of the total investment represented by the stocks purchased. Other rules may include the prohibition of free-riding: putting in an order to buy stocks without paying initially (there is normally a three-day grace period for delivery of the stock), but then selling them (before the three-days are up) and using part of the proceeds to make the original payment (assuming that the value of the stocks has not declined in the In margin buying, the trader borrows money (at interest) to buy a stock and hopes for it to rise. Most industrialized countries have regulations that require that if the borrowing is based on collateral from other stocks the trader owns outright, it can be a maximum of a certain percentage of those other stocks' value. In the United States, the margin requirements have been 50 %% for many years (that is, if you want to make a $1000 investment, you need to put up $500, and there is often a maintenance margin below the $500). A margin call is made if the total value of the investor's account cannot support the loss of the trade. (Upon a decline in the value of the margined securities additional funds may be required to maintain the account's equity, and with or without notice the margined security or any others within the account may be sold by the brokerage to protect its loan position. The investor is responsible for any shortfall following such forced sales. ) Regulation of margin requirements (by the Federal Reserve) was implemented after the Crash of 1929. Before that, speculators typically only needed to put up as little as 10 percent (or even less) of the total investment represented by the stocks purchased. Other rules may include the prohibition of free-riding: putting in an order to buy stocks without paying initially (there is normally a three-day grace period for delivery of the stock), but then selling them (before the three-days are up) and using part of the proceeds to make the original payment (assuming that the value of the stocks has not declined in the In margin buying, the trader borrows money (at interest) to buy a stock and hopes for it to rise. Most industrialized countries have regulations that require that if the borrowing is based on collateral from other stocks the trader owns outright, it can be a maximum of a certain percentage of those other stocks' value. In the United States, the margin requirements have been 50 %% for many years (that is, if you want to make a $1000 investment, you need to put up $500, and there is often a maintenance margin below the $500). A margin call is made if the total value of the investor's account cannot support the loss of the trade. (Upon a decline in the value of the margined securities additional funds may be required to maintain the account's equity, and with or without notice the margined security or any others within the account may be sold by the brokerage to protect its loan position. The investor is responsible for any shortfall following such forced sales. ) Regulation of margin requirements (by the Federal Reserve) was implemented after the Crash of 1929. Before that, speculators typically only needed to put up as little as 10 percent (or even less) of the total investment represented by the stocks purchased. Other rules may include the prohibition of free-riding: putting in an order to buy stocks without paying initially (there is normally a three-day grace period for delivery of the stock), but then selling them (before the three-days are up) and using part of the proceeds to make the original payment (assuming that the value of the stocks has not declined in the New issuance : Global issuance of equity and equity-related instruments totaled $505 billion in 2004, a 29. 8 %% increase over the $389 billion raised in 2003. Initial public offerings (IPOs) by US issuers increased 221 %% with 233 offerings that raised $45 billion, and IPOs in Europe, Middle East and Africa (EMEA) increased by 333 %%, from $ 9 billion to $39 billion. Taxation : According to much national or state legislation, a large array of fiscal obligations are taxed for capital gains. Taxes are charged by the state over the transactions, dividends and capital gains on the stock market, in particular in the stock exchanges. However, these fiscal obligations may vary from jurisdictions to jurisdictions because, among other reasons, it could be assumed that taxation is already incorporated into the stock price through the different taxes companies pay to the state, or that tax free stock market operations are useful to boost economic growth.

Wednesday, July 17, 2019

Introduction To Aircraft Manufacturing Industry Engineering Essay

The worldwide pedigreecraft meeting place diligence can be disjunct into two cardinal sections. Military and illimitable application and civil or coin devi chant(prenominal) lookcraft. Commercial circularisecraft comprises of little and life- surface get offler advertisecrafts and even the lading actionivatecrafts. The big sendcraft deceitfulness is chiefly done by Boeing caller of the get together provinces of America and Airbus company of the European brotherhood. In the yesteryear, Boeing has been achieved success in fetching over Martin Marietta and McDonnell Douglas, both had as well as been in the exertion of line of merchandisecraft deceit. Presently, the big origincraft imposition industry is an oligopoly, dominated by Airbus and Boeing, which be in a ferocious ambition against from from each one one other. There argon other big makers besides, for illustration there is one in Russia but its upshots were irrelevant beca utilize its clients we re limited to standard atmosphere hosierys from Vietnam, Russia and other states of the former Soviet articulation.The cosmos get offcraft industry has gone under a authentically steady growing. Boeing estimates that the worldwide origincraft securities industry place would be be 5.4 trillion US dollars by 2024 to counterbalance a 5.2 % growth in world-wide air travel. It is estimated that 12,000 to 15,000 leave behind be needed by 2020 to run into the spell charter.PESTLE AnalysisPoliticalLiberalization of travels between the European Union and the linked States has resulted in requirement of more(prenominal) aircrafts.The Aircraft Industry is a duopoly industry compri let the cat out of the bag of Airbus ( EU ) and Boeing ( US ) . If there be to be viewed from governmental consensus they be bipartisan political system. Anthony Downs proposed a authoritative theoretical circular in the political scientific theatre that suits the state of affairs in the complete( a) carriage. His proposal reversed the conservative contact between party political orientations and elections. He said that alternatively of parties accomplishing triumph in the elections on the footing of the rightness of their docket, his findings deem elections pre-eminence, with innuendo that all actions taken by the party argon aimed at maximizing ballots. Harmonizing to Downes, both parties provide seek to match each other every oddball much as possible. Both parties pull up stakes maintain their policies modestly different from each other. Besides bulk of electors merely take to see minor changes in government activity functionality. The Market of big and mid size aircrafts works on the same political orientation. There is an huge consensus among food market participants to what an attractive merchandise comprises, that is, an scotchally efficient and galosh aircraft. But there are besides some involvement cabals that deliver wagered in merchandise design, mer ely as there are much possible groups at bottom a democratic system.A The giving medication of the linked States and its Federal Aviation b of age(predicate)ness ( FAA ) are considered to be influential as they look upon the broadst air conveyance market in the universe. Regulations laid by the European and United states administration entrust resign out to be a major drive lastingness for reads of bare-assed aircraft in the coming old ages. In the akin manner, the deregulating of European air hoses, which begun in 1990 s, promises to spread out the markets for smaller regional jets. Trade of big commercial jetliners has been obligation free under the dread of oecumenic Agreement on Tariffs and Trade ( GATT ) .The highschool grade of political intercession has consequence on the grease ones palms of aircraft. The determination of purchasers to purchase which aircraft depends on the political grounds because the buzz off got and intervention from the authorities could consequence the future of purchasers. For Example, soon Boeing s biggest market is china and is estimated to be for following twenty old ages. As a consequence mainland china s purchase of boeing aircrafts has led to band of political influence in the United States.EconomicAir traffic in US and UK is presumable to increase as they occupy merely recovered from the recession. The commercial aircraft is estimated to lift deserving US $ 2 trillion in the approaching 20 old ages, which impart heed into demand of 16,600 virgin aircrafts ( estimated ) . The largest demand is pass judgment to come from air hoses from mainland China, US and India. Huge sum of growing is evaluate from the Middle East states. It is expected that China entirely will necessitate 2,200 parvenu aircrafts to run into its travel demands. Besides, international clog sector is estimated to turn by 253 % in the following 20 old ages.China being the biggest emerging market and sing its population size, the growing in air riders is likely to hit up which would ensue in increasing demand for crude aircrafts.High Oil monetary determine looming embrocate monetary values have elevated the operating apostrophize of air hoses. In the twelvemonth 2007, the world-wide air hose industry had to wages 136 billion US dollars for go offs, its a 300 % accompaniment compared to what they had to pay in 2003. Even in 2008, when oil color oil monetary values barbarous dramatically, it still accounted for 32 % of the operating disbursals. globose GDP- the primary factors in finding the demand of aircraft and growing in the industry is the GDP, which is expected to turn by 3.2 % by 2030The planetary recession The recession which impelled a theatrical bead in hinderance factors in the center of 2008. In response, air hoses have been seting aircrafts out of service and rethinking programs to order replacing for the bing aircrafts. In the 3rd after part of 2008 24 air hoses went bankrupt. The loses during this period were estimated to the highest degree 4-8 billion US dollars.The information densification The acknowledgment crunch in combining with the above mentioned factors, has made it difficult to bargain for new aircrafts, air hoses are calamity troubles to finance new aircrafts. Despite of the recognition crunch, orders for contact and commercial jets have seen addition at the beginning of 2008, but the recognition crises has resulted in holds and recesss and failure to take carry of many aircrafts.SocialRecent alterations in society have led to increase in air travel.Besides alterations in life manner of people and the point of view of air journey being a exe sunburnable option.Demand of air travel is compulsive by convenience. However, the tendency is altering as the consumers travel determinations is chiefly based on monetary value. Rising cost and competition produced by low-priced bearers is impacting bulk of Airlines. dividing line travels, one ti me a stable of income, now is a behavior by corporate travel guidelines. As a effect, air hoses are uniting their webs to use economic systems of graduated table, minimise environmental impact and offer smaller markets with new and improved services.The echo generated and CO2 lift near the airdrome is besides a thing of higher concern as people populating near the airdrome are supercharging governments to alter thier operating manner.TechnologicalIn the commercial air power industry, there are spacious sum of costs connected with look and development for the development of a new aircraft. European Union authoritiess sustain European engineering R & A D sector, merely as the united provinces authorities does, though FAA, NASA, Department of Defence ( defense lawyers ) and plans that reliefs export revenue enhancement. Though United provinces has three times more subscribe to than the European brotherhood.The Aircraft industry is really demanding with really high measure of d o and money dedicated to inventions and R & A D. presently a twenty-four hours s C fibre is used for the building of an Aircraft primitive structure. ( illustration A350 XWB with 50 % C quality organic structure )Concentration on development on doing more fuel efficient engines for longer scopes.Use of flip beginnings of fuel to antagonize raising oil monetary valuesThe development of ultrasonic aircraft is besides a opportunity because it will take to creative activity of all told new market section. Commercial bearers will purchase these aircrafts to run into clients demand of making the finish rapidly and on sever.The largest and cost efficient promotion for commercial aircraft industry is the faster designing of planes. The augmented fabrication clip will salvage aircrafts makers clip on labour and assist them to look into utilize resources. For Example Boeing 777 used deliberation machine to plan a paradigm, this save them the cost of constructing a existent paradigm. In today s competitory universe, automatons are besides considered an effectual tool for the fabrication of aircraft.LegalThere are many limitations when it comes to come ining the market but due to globalization fortunes have changed and besides due to US undetermined skies understanding. Open skies understanding has led to calm flow of national and international flights in and out of US, promoting Tourss and concern activities, bettering productiveness and creative activity of occupation chances and economic growing.United province s unfastened skies form _or_ system of government has been proved really effectual in air hose globalisation. It enabled the air hose bearer s limitless entranceway in the spouses market and right to travel to all center and beyond points. This understanding has offered the most operational flexibleness for air hose alliances. This understanding has been successful in accomplishing over 100 spouses from every flock of the universe and every degree of economic growing.Besides there is IATA ( International Air Transport Association ) . Its part is to stage up aid to air hoses to diminish complexness of their procedure and increase rider convenience, diminish costs and develop efficiency. The open uping simplifying the concern strategy is critical in this country. Furthermore, IATA s primary precedence is safety and its purposes to unendingly better safety criterions via IATA s operable safety audit ( IOSA ) .EnvironmentalEnvironment factors by and large include ecological facet of climate and conditions alteration, which in bend can act upon industries such as insurance, touristry and agriculture. Today, there is an consciousness of clime alteration in the heads of people, which is going a make up ones minding factor on how companies function and what are their offerings, because it can take to formation of a new market or wipeout of the present market.ACARE is an European group of airdromes, eurocontrol, air hoses, mak ers, universities and members of EU and EU committee. Its primary challenges are safety, sensible, quality, environment and security. Some of their aims are to have a go at it down air accidents to 80 % , 15 minute less wait clip on airdromes for small distance finishs and 50 % less clip needed to market. 1 of most popular purpose of ACARE was to cut down specific CO2 shift by 50 % , the discharge of dark by 80 % , and to diminish the out(prenominal) noise of fixed wing aircraft by 10 dubniums per operation. For example- Boeing is a major component part of the commercial air power industry. It is put to deathing some new programs to better its aircrafts environmental public presentation. Compared to show It besides claims that it will cut down its nursery fluff emanations by 25 % by 2020.The function of ACARE clearly springs the demand of society, particularly in the country of security and stableness of environment. Besides, their purpose reflect the demands of aircraft o perators, which are major device driver for invention in engineering.The ACARE aims reflect demands which are demanded by society, peculiarly in the countries of environmental compatibility and security. On the other manus, the ACARE aims besides reflect the demands of aircraft operators, which are an of import driver for scientific betterment. On the other manus, the mounting powerfulness per unit area from society sing emanations, noise around airdromes are impacting air hose operations.In add-on, with increasing force per unit area from society as a whole, every bit pricy as from local communities around airdromes, noise and local emanations have an impact on air hose operations.