Saturday, August 31, 2019

To What Extent Are Democracy and Dictatorship Different?

To what extent are democracy and dictatorship different? In order to answer this question we must first examine the generic basis of both democracy and dictatorship separately. The term democracy originates from the Greeks, and is defined as â€Å"rule of the people† coming from the words â€Å"demos† (people) and â€Å"kratos† (power). It was coined around 400 BCE, to denote the political systems then existing in Greek city-states, notably Athens. Commonly, two forms of democracy are recognised, these being direct democracy and representative democracy.Direct democracy was used in Athenian democracy, and is a system in which people vote on policy initiatives directly. Many US states and Switzerland still use this system often. Representative democracy refers to the system which is in place in Britain today. It is a variation of democracy founded on the principle of elected people representing a group of people. The term dictatorship is defined as an autocratic f orm of government in which the government is rules by an individual. For some scholars, a dictatorship is a form of government that has power to govern without consent of those being governed.As is the case with democracy, there are different kinds of dictatorship. An authoritarian dictatorship is one kind whereby the power the govern is held by a small group of elite politicians. A military dictatorship is a form of government wherein the political power resides with the military. We can start to answer this question by looking at the way in which governments are formed in democracy and in dictatorship. We, in Britain live in a democracy whereby every five years we hold in general election in which everyone over 18 years of age can vote for who they would like to be their local MP.Whichever party wins more than 50% of the MPs in the House of Commons can then go on to form a government. We, therefore as citizens of this country, have handed over our sovereignty and elected the peopl e who will go on to govern us for the next five years until we retake out sovereignty to hold another election. We have therefore given the government the right to govern via consent. In a dictatorship however, in many cases the people haven’t given those in power, the right to be there. Figures such s Lenin, who believed in a ‘dictatorship of the proletariat' in Marxist terms, seized power of their government rather than being elected by the people. In the case of Lenin this was after a revolution and due to the failings of the Provisional Government the Bolsheviks were able to take advantage of their weaknesses and, through violent means, take control the the country. However, we must not make the assumption that all dictators have come to power via the means of force and violence. An example of a notorious dictator's rise to power without the use of an overthrow of the then government, is Hitler.He was democratically elected to become Chancellor of Germany, and then used his power in that role to change the laws surrounding the limits on his power, thus securing him as a dictator. From this we can see that the means in which a governments in democracy and dictatorships are formed are different, and can in some situations be the complete opposite of each other. The means in which a government maintains authority in a democracy and in a dictatorship, show one of the many differences between these two forms of governing. Traditionally, in a democracy, a government would use rational and proportional means of policing and punishment.For example, in Britain as a democracy we do not have situations where people are persecuted for expressing their religious views and beliefs. However, across the world, particularly in the Middle East, there are dictatorships where you may be persecuted for your beliefs, whether they be religious, political or cultural. These places have regimes often known as â€Å"police states†, whereby people are constantly under the surveillance of the authorities, and the government controls the police and whole ‘justice' system, making these countries less democratic.Although we can clearly identify stark differences between democracy and dictatorship, there are certain groups of thinkers who believe that the two are actually not as different as it would appear on paper. There are those who follow Karl Marx's thoughts and beliefs that actually democracy, in particular capitalist democracies are simply bourgeois dictatorships, whereby the middle classes are exploiting the working lasses, who he refers to as the proletariat. There is also the question of the ‘tyranny of the majority', an issue raised by many philosophers, from Aristotle in Ancient Greece, to Alexis de Tocqueville and Friedrich Nietzsche. This issue envisions a scenario in which decisions made by a majority place its interests so far above those of an individual or minority group as to constitute active oppression, comparab le to that of tyrants and despots.In many cases a disliked ethnic, religious or racial group is deliberately penalized by the majority element acting through the democratic process. Thus, from this theory, it can be suggested that there are elements of democracy which actually allow dictatorships amongst groups of people, to be formed. It would most certainly be unwise to compare previous Birtish Primeministers like Margeret Thatcher to notorious dictators such as Chairman Mao or Adolf Hitler, but we must also consider the theory of an elective dictatoship.It would most certainly be unwise to compare previous British prime ministers like Margaret Thatcher to notorious dictators such as Chairman Mao or Adolf Hitler, but we must also consider the theory of an elective dictatorship This term coined by Lord Hailsham refers to the way in which some governments can be dominated, or dictated by the executive body within them, thus making them less democratic as less views of the people are being put forward for law making, instead, a small body of elite politicians are running effectively running the government.This along with a large majority in the House of Commons, such as the 1983 Conservative majority of ___? , means that the MPs in the Commons can no longer fulfil their role of representing their constituents effectively as a dictatorship of the governing party may mean that any law proposed by the executive is very likely to be passed due to the huge majority.On paper, and in theory, democracy and dictatorship may seem worlds apart in their basis of power, how authority is maintained and how government is created, but in actual fact, when taking into account the thoughts of leading philosophers and academics, we can clearly draw some parallels between these two forms of governing.Elements of one can often be found in the other, although fundamentally the main aims of democracy are often not met in dictatorship. The freedoms and liberties of the individual are often not emphasised in a dictatorship. However, after studying the different elements of democracies around the world, I don’t think it would be accurate to say that these freedoms and liberties of the people are even being fulfilled in democracies.

Friday, August 30, 2019

Cosi Lewis Nowra Essay

Lewis Nowra’s semi autobiographical play ‘Cosi’ is a touching yet biting portrayal of human relationships in a Melbourne mental institute, where the patients are astracised by society. Throughout the play Lewis Nowra illustrates each and every character that suffers with a mental illness as normal people with a desire to do or think things different to others from the society of the 1970s. Throughout the play Nowra poses a question, can anybody be classified as insane? When there is insanity all around us. The play they are to perform ‘Cosi fan Tutte’ is a play about love and fidelity which becomes a topic of disagreement of the cast. Act 1 Scene 3 addresses love and fidelity & Confusion with reality & illusion With Nowra’s intelligent use of dramatic techniques such as Characterization, Dialogue & Symbolism to present his central ideas within ‘Cosi’. ‘Cosi’ is a dramatic play written by Lewis Nowra, which is set in the early 1970s in the midst of the Vietnam War. The inmates in the asylum are to performance of Mozart’s opera ‘Cosi fan Tutte’ as a therapeutic technique to the patients and is directed by an insecure university graduate Lewis, who brings the patients together and becomes as involved into the play as every other member of the cast and gets labelled as ‘one of them’ by society outside the asylum. In act 1 scene 3 moments after the toilets in the theatre have been a result of Doug’s pyromaniac problem. The cast re assemble and continue on with the play, during the play Ruth is confused between reality & illusion and the number of steps she needs to take in each scene â€Å"I was wondering where you wanted me to walk and how many steps? † Nowra canvases Ruth’s confusion between reality and illusion through to the audience with the use of characterization, amplifying Ruth’s obsessive disorder through to us the audience in a way where we get a sense of understanding on the obsessive-ness in Ruth’s character and her disorder. The theme of love and fidelity demonstrates individual’s ideas throughout the play ‘Cosi’. Notably we see Nowra canvas the idea of love & fidelity through dramatic techniques within each characters dialogue & characterization such as Lewis, Lucy, Julie, Nick & Roy. Lewis’s changing attitude towards love throughout the play becomes a pivotal turning point for Lewis & Lucy’s relationship. As time goes on we definitely see Lewis becoming more compassionate and warm and Lucy showing her true colours towards their relationship. Lucy without a doubt becomes somewhat shallow and expresses that she sees love as out dated and unimportant in modern day society. Julie questions Lewis on his relationship with Lucy â€Å"You two are into free love? † â€Å"Does she play around? † â€Å"You trust her? †, Julie thinks against love & fidelity and thinks men are useless referring to her knowledge learnt from studying Mozart’s ‘Cosi fan Tutte’. Lewis’s thoughts of love and fidelity are antithetical of his actions with Julie later in the play, to have love we must trust. Throughout Act 1 scene 3 in ‘Cosi’ Lewis Nowra canvases symbols within many factors. A large factor produced as a symbol through the whole play is the burnt out theatre which they rehearse in. This theatre is a symbol of them escaping the reality in which the patients & Lewis are as equal to each other. Society outside the asylum portrays Lewis as ‘insane’ for working with ‘mad people’. The burnt texture of the theatre is also a symbol for the patient’s reality as being excluded from reality as being excluded from reality outside the asylum â€Å"Cosi allows you a chance to do something successful at least once in your dismal life† Roy ironically says to Henry whose life if not much different to his own, but society still labels them as ‘insane’. The coffee mugs in which Ruth and Julie are to use as props in the play is a symbolic technique Nowra applied, â€Å"I can live with illusion as long as I know its illusion, but this coffee is not real, is it? † Ruth’s confusion and reality is illustrated within the coffee as being coffee cups with no coffee is also a metaphor for the patients in the mental asylum, â€Å"An illusion of reality†. Lewis Nowra not only wrote a play containing aspects such as love & fidelity & illusion vs. eality but through the use of dramatic techniques like characterization, dialogue & symbolism throughout characters such as Lewis, Julie, Roy, Lucy & Nick in act 1 scene 3 and the rest of the play, but to give the audience a broader understanding on the plays meaning, but we also question although the play was set in the 70s, this era was experimental with ‘free love’ the reality is without fidelity, love is anything but a meaning. We still hold old fashioned values about love. The aspect the audience gain from another message from Nowra’s ideas expressed throughout the text & dramatic techniques is the frequently noticeable question, are the people in the asylum really mad? When there is insanity all around us. Society labels these people as ‘insane’ when they are no different to each and every one of us, only with different desires to some. The only people who should be classified â€Å"insane† are those who classify insaneness in another.

Thursday, August 29, 2019

Case Study on Calculous Cholecystitis Essay

I.Introduction A. Concepts in nutrition, medical nutrition therapy, and organ systems concerned Nutrition is the study of food in relation to health. The Food and Nutrition Council of the American Medical Association defined nutrition as the â€Å"science of food, the nutrients and other substances therein, their action, interaction and balance in relation to health and disease, and the processes by which the organism ingests, digests, absorbs, transports, utilizes and excrete food substances.† Nutrition is also concerned with the physiologic needs of the body in terms of specific nutrients, the means of supplying these nutrients through adequate diets, and the effects of failure to meet nutrient needs. In this similar viewpoint, nutrition is also concerned with the social, economic, cultural, and psychological implications of food and eating. Nutrition follows the four basics concepts, namely: 1.) Adequate nutrition is essential for health. 2.) Food items are classified according to content in terms of majority of nutrients, broadly classified as carbohydrates, proteins, fats, minerals, vitamins and water and are needed daily in the diet of humans. 3.) An adequate diet is the foundation of good nutrition, and it should consist of a wide variety of natural foods. 4.) Nutrients should be provided preformed in food, whereas a few may be synthesized within the body. 5.) Nutrients are interrelated and there should be metabolic balance in the body. 6.) The body constituents are in a dynamic state of equilibrium. 7.) Human requirements for certain nutrients are known quantitatively within certain limits. 8.) The effects of nutritional inadequacy are more than physical; behavioral patterns and mental performance are also compromised, and; 10.) Proper education, technical expertise in addition to the use of all resources available in the practice of nutrition will help upgrade the nutritional status of people. (Lagua, Claudio and Ruiz, 2004) Race has been a predisposing factor in developing gallstones. Westerners usually develop cholesterol stones, while Asians tend to have pigment or mixed stones. There has been an increasing prevalence of calculous cholecystitis in the Philippines. Whatever the type, size or origin of these stones, they can present with a variety of signs and symptoms. Stones develop in a sluggish, diseased gallbladder. Formation of stones may be due to infection, stagnation of the bile or changes in the chemical composition of the bile, overeating or poor eating habits. Obesity is highly associated with prevalence of gallstones. Prevalence increases with age, history of diabetes mellitus and elevated serum triglycerides ( Lagua, Claudio, 2011) The gallbladder may contain one large stone or many small ones. Infection accompanied by formation of gallstones is referred as calculous cholecystitis. Often times, people with gallstones must have their gallbladder removed through a process called cholecystectomy. Transition diets are given accordingly after surgery and if the patient advances to an oral diet post-surgery, intake of fat is allowed as tolerated. As an accessory organ, the gallbladder is fairly easy to live without. Once it is removed, bile travels from the liver directly into the small intestine. B. IMPORTANCE/ SIGNIFICANCE OF THE STUDY Disorder of the accessory organs present a significant impact on the absorption and nutritional status of an individual. Failure to give immediate treatment could bring about complications which are more difficult to manage. These complications may or may not possibly lead to death of an individual. This study was conducted to enable the students to practice his/ her skills on Diet Therapy I. It may help the students to understand better the disease condition, the actions and interactions of food and medications to the body and the rationale for the diet prescription for the case patient. Moreover, it would help the students, as well as the readers to draft a nutritional care plan for patients with calculous cholecystitis upon acquiring information about the disease through data collection. C. Objectives (General and Specific) The study generally aims to analyze, assess and give proper recommendations to a patient diagnosed with calculous cholecystitis. This study was also conducted to allow students to apply the knowledge gained in the lecture and laboratory class of Diet Therapy I. The study specifically aims to: 1) Gather all the necessary information from the patient’s medical records and the interview 2) Assess the patient’s nutritional status and disease condition base from the information obtained 3) Know the causes, signs and symptoms of the disease condition and its complications 4) Determine and relate the factors and causality for the formation of the patient’s disease 5) Interpret and relate the findings to the patient’s disease condition 6) Formulate a nutritional care plan for the patient 7) Provide a diet prescription appropriate for the condition of the patient 8) Provide short and long term intervention for the patient and other recommendation that could help the prevent disease condition of the patient. D. Limitations of the Study The case study is only limited to the disease condition of the patient with calculous cholecystitis and its possible complications if not given immediate intervention. Due to time constraints, the attending physician and nurse were not interviewed for further understanding of the disease. There was also no diet prescription written on the patient’s medical chart, thus, the hospital’s cycle menu was used as a basis for some computations and analysis. II. Methodology Students of Diet Therapy I were grouped into pairs and were asked to get a patient for the case study. Approved letters provided by instructors of Diet Therapy II, requesting for a case patient with infections, burns, surgery, allergies and diseases of the gastro-intestinal tract were personally submitted to different hospitals in Laguna. Laguna Provincial Hospital in Sta. Cruz Laguna accommodated the request, with the approval of the medical director and assistance of the attending physician, nurse and head nutritionist-dietitian. In the nurses’ station, the necessary information was gathered on the selected case patient and the medical records were copied as data for the study. An interview with the case patient followed afterwards. The patient, together with her aunt, was interviewed to collect necessary data such as personal information, nutritional and dietary history and the 24hr. food recall. Before the said interview, a questionnaire was formulated to systematically and completely obtain all the essential information for a better further analysis. Questions include the 24-hour food recall of the patient food intake (prior to admission and during confinement), personal data, signs and symptoms experienced, patient’s tolerance and acceptance to the food given in the hospital, and some other information that would be beneficial to the study. After data gathering, the case was analyzed and a case study was then formulated. This was done through evaluation of the disease condition of the patient and correlating the symptoms experienced by the patient with the clinical manifestation of the disease. The dietary and the medical intervention given to the patient were also analyzed. This included correlating the principle and rationale of the diet with the patients’ actual illness. The possible nutrient-drug interaction that can happen due to the prescribed medication to the patient was also analyzed. The result of the laboratory and biochemical findings of the patient was also interpreted. After this, the diet of the patient PTA and DC were analyzed quantitatively and qualitatively. The diet was evaluated quantitatively by computing the CPF of the patient’s food intake and computing the adequacy of that diet. Qualitative evaluation, on the other hand, was used using RDA. After analyzing the recommendations given to the patient, short-term and long-term diet plan was prepared for the patient. In computing the desirable body weight (DBW), the Tanhausser’s Method. The WHO standards for body mass index served as the basis in determining whether the client’s nutritional status. Method I was used to determine the patient’s total energy requirement (TER) for long term intervention and the carbohydrates-protein-fat distribution was distributed using the non-protein calorie method. III. Theoretical Considerations A. Disease Condition Calculous cholecystitis or cholecystolithiasis, is caused by the precipitation of the substances contained in the bile, mainly cholesterol and bilirubin with accompanying inflammation. The bile is consisted of bile salts, cholesterol, bilirubin, lecithin, fatty acids, electrolytes and water usually found in the plasma. The cholesterol formed in the bile has no function; it is only a by-product of bile salt formation and the presence is only linked in the excretion of bile. Cholesterol is normally insoluble in water and this is where lecithin and bile salts combine with it to form micelles. Inside the gallbladder, water and electrolytes are absorbed in the liver bile, causing it to be more concentrated. Lecithin and bile salts are not absorbed in the gallbladder, their concentrations increases alongside cholesterol’s. This is the mechanism of maintaining the solubility of cholesterol. B. Definitions and Classifications Cholecystitis – inflammation of the gallbladder. There has been an association of cholecystitis with cholelithiasis. There is almost always a close association with complete or partial obstruction of the stones formed inside the gallbladder. Cholelithiasis – gallstones that precipitated from bile, cholesterol or bilirubin due to impaired gallbladder function or excessive production of by-products from fat digestion. C. Etiology Gallstone formation is due to bile salt, pigments and cholesterol salt accumulation. The stones rub off on the walls of the gallbladder, causing pain and inflammation in the subsequent internal structures. There is also a link between elevated or abnormal estrogen levels with gallstone formation. D. Incidence/ Prevalence There is a 10% incidence of adults getting gallstones. Approximately, there are twice as many women who develop this disease and it increases with age: after 60 years old, there is a 10-15% prevalence in men while a 20-40% prevalence in women was noted. E. Pathology Gallstones obstruct bile flow and causes reflux and subsequent inflammation in the gallbladder. The inflammation is caused by chemical irritation from the concentrated bile, along with the swelling of the mucosal area and ischemia from venous congestion and stasis. Bacterial infections may be a complication and this could account for the infection and could reach the adjacent gallbladder through the circulation. Staphylococci and enterococci are the most common pathogens. Perforation of the gallbladder could lead to gangrene. F. Clinical Manifestations and Underlying Mechanisms Pain is evident in early cholecystolithiasis. There is similarity in the pain experienced with biliary colic and is usually felt after a fatty meal. Pain is experienced in the right upper quadrant and there is spasm in the right, subcostal region. There is elevation in total serum bilirubin, amino transferase and alkaline phosphatase. G. Prognosis After cholecystectomy, patients can return to work in a span of 1-6 weeks. IV. The Patient A. Personal Data The patient is Chastine Salazar, 28 years old, female admitted on January 3, 2013 at Laguna Provincial Hospital in Sta Cruz, Laguna. Her physician is Dr. Flores. B. Socio-Economic History The patient works as a registrar in the Head Office of AMA in Quezon City, Philippines. Due to her sedentary lifestyle, she and her husband jogs for 2 hours every weekend. Her middle-class income allows her to select food items of higher market value, thus chocolate is always present after every meal. The patient does not smoke nor drink but based on the interview, it was found out that she uses laxatives due to constipation problems. C. Present illness and chief complaint Patient has cholecystolithiasis with cholecystectomy as the surgical procedure of which 8 marble-sized gallstones were removed. Pain and vomiting was experienced by the patient and was immediately rushed to the hospital on January 3, 2013. D. Past Illnesses and surgery, allergies, hospitalization There were no family history of predisposing risk factors to cholecystolithiasis but it was found out from the interview that the patient has allergic reaction to sea foods and patient has allergic rhinitis of which she has treated before with steroids. E. Physical State of Health Patient has allergy to sea foods and has allergic rhinitis. Patient also has constipation of which she self-medicates with laxatives. G. Nutritional and Dietary History It was observed from the 24-hr food recall that the patient has frequent consumption of chocolates and carbonated beverages. There was also a high intake of fatty and fried food and dishes every day. Snacking patterns are also noted as the patient tends to overeat every 3 hours.

Major differences between domestic business operations and Assignment

Major differences between domestic business operations and international business operations - Assignment Example Sanderson Farms, Inc. refers to an American national company that specializes in the production, processing, distribution, and marketing of poultry and other related food items. Started in 1955, the company has grown to become among the leading American companies that specialize in the food and supply industry (Sanderson Farms ®, n.d). the company competitive advantage is the ability to supply in all states in America. It has a huge local network due to the provision of natural products. The advantage of its operational scope is that domestic currency used for business operation. The local business regulations are clearly stipulated therefore no barrier to entry. However, global network distribution enhances the profitability, larger customer database and enhances the adaptation to technology to improve management of business. Shell refers to a multinational petroleum company formed in 1907. It has expanded its network of operation worldwide. Forbes has considered it as 11th ranked market influencer in performance (Shell ©, 2015). The scope of operation worldwide market therefore enhanced political affiliation with its Dutch for business consistency. Consequently, the market popularity and demand has enabled easier entry to global market. However, the currency fluctuation may affect the business profitability due to the volatility factors. Nevertheless, the large consumer network, economic productivity and technology advancement gives competitive advantage to the firm (Dunning,

Wednesday, August 28, 2019

Greeks Interaction with other Nations Essay Example | Topics and Well Written Essays - 1250 words

Greeks Interaction with other Nations - Essay Example He did not have enough written document to assist him in his investigations of the Greek aspects of the War. In ancient Greece history was transmitted orally. He was therefore reduced to gather oral testimony from survivors and descendants of survivors of an era. He was too young to have experienced, but Herodotus had overcome those difficulties." He weighed and carefully sifted the oral accounts of his witnesses, making clear to his audience which among them contained evidence that was probable, Possible".(A. Robertson) The history of the Persian Wars was written with purpose of passion. To him men are only puppets in an all powerful fate. He thus tried to find out the universal truth through human beings. Although he was an Ionian Greek, Herodotus yet believed that Athenian vigor, liberty and democracy. He explained Athens's instrumental role in the defeat of the Persians. "The Athenians were saviors of Greece" and later justified her domination of Greek affairs through her Empire. The Persian Wars lasted for nearly five years (500BC- 479 BC) Herodotus provides information among many other things of the rise of the Persian Empire under Cyrus, the humiliating defeat of proud Croesus and two invasions of Greece by the Persians, the first under Darius turned back at Marathon (490B.C.) With the destruction of the Persian fleet at Salamis, Greece was saved from destruction. Her golden age began. He wanted to preserve the moral lesson embodied in what he saw the victory of Greek liberation from the clutches of Persian autocracy. The Persian Wars provided him the golden opportunity to construct this epic. Herodotus was the first historian to understand the need for a purpose in historical study. He was a true researcher who truly laid his hands on discovering the truth for example, the causes of the Persian War. He tried his best in putting together a long involved historical narrative in which the main theme never been lost. His comparative and constructive study of Greeks and Barbarians led a few scholars to consider him as a friend of the Barbarians. In the opinion of H.E. Barnes, "the frame of Herodotus will endure as the first constructive artist in the field of historical writing as the author of the earliest comprehensive historical work, as the first to imply that the task of the historian is to reconstruct the whole past life of man ... in the entire course of historical writing. He won for history a distinct place in the arts and sciences of mankind for all times." Aeschylus (525-456BC), Greek dramatist born in Eleusis, near Athens, he was the earliest of city's tragic poets. As the predecessor of Sophocles and Euripi dies, he is the founder of Greek Tragedy. "The Persians", presented in 472 BC, is a historical tragedy about the Battle of Salamis, the scene being set in Persia at the court of the mother of King Xerxes I. In the Play it is written that the Greek prevented an invasion by the superior forces of the Persians. More precisely, the play focus is the Persian reaction to their defeat. The Greek's belief on ghost can be seen when Darius appears, and blames his son Oxeyes arrogant pride which had

Tuesday, August 27, 2019

Power point presentation PowerPoint Example | Topics and Well Written Essays - 500 words

Power point - PowerPoint Presentation Example According to Havaldar (76), CRM is usually important to every business enterprise in the contemporary world because of many reasons. First, it results into low operation cost if properly implemented. Customer relationship management also ensures increased profitability for the firm. CRM has high potential to increase the efficiency communication within the firm and promote team work within sales department as well as the entire organization. Implementation of CRM ensures that the company is capable of adapting to the emerging customer needs as the clients of the organization undergo customer life cycle. It equips the company with essential tools to counter changes in buying pattern and consumption behavior of customers. Sales force automation (SFA) is a CRM approach that streamlines all the stages of sales process, which ensures that sales representatives spend the lowest time possible in each sales phase. The software permits the organization to utilize the lowest possible number of sales representatives to manage clients and customers as well as attracting new lot of customers to the existing customer base of the organization. Contact management system incorporated in the software allows the system to follow and document all the phases of sales process for every customer of the company from the first interaction to present engagement. SFA also enables the company to discover opportunities, make sales prediction, and determine suitable market niches as well as establish workflow mechanization. CRM technology enables the company to develop, delegate and manage the needs of customers. Creating call centre software ensures that customers get the best support service from customer care agents of the company at the right time and hence increases customer satisfaction, which is a key pillar for creating customer loyalty. In order to retain old customers and

Monday, August 26, 2019

Re-Educating Healthcare Providers On Hand Hygiene Practice Essay

Re-Educating Healthcare Providers On Hand Hygiene Practice - Essay Example Resistance to change may originate from the organizational level as well as the local level (Anderson & Ackerman-Anderson, 2010). In the organization, the employees may not accept change because of the implications the change process may have on them. Locally, the change process may have effects that are likely to compromise the normal life of the individuals. To effect such a change, proper education is necessary for both the parties that will be affected by the change. Poor sponsorship of change may also affect the implementation and the sustainability of change. It may originate from the organizational or national practicum. The executives are necessary for the support of the change. Lack of the involvement of the executive may lead to poor resource allocation and support towards the change program (Cameron & Green, 2012). In response to the lack of sponsorship, the change will lack support as well as resources to implement it. Communication failures may arise from the organizatio nal setup. Poor communication of a given change may lead to ineffective reception and implementation of change (Anderson & Ackerman-Anderson, 2010). In an organizational setup, poor communication with employees, the executives, and the other stakeholders may hinder change. In response to the poor communication, the stakeholders may ignore the change or develop politics towards it.If the change is not well implemented, the organization entanglements will increase. This may result in organization, politics, and frictions

Sunday, August 25, 2019

Graphs for Dirt Bikes sales history from 2008 to 2012 Assignment

Graphs for Dirt Bikes sales history from 2008 to 2012 - Assignment Example Have international sales grown relative to domestic sales? There is not growth in international sales with respect to domestic sales. Are sales (revenues) growing steadily, and if so, at what rate? PERIOD 2010/2011 2011/2012 Year I sales 64063 60144 Year II sales 61529 64063 Sales Growth rate 1.0412 0.9388 There is not steady growth rate. For example, in the period 2010/2011 there was a growth rate of 1.0412 whereas in the period 2011/2012, there was a decline in sales. What is the cost of goods sold compared to revenue? Cost of Goods sold vs. Sales (in ‘000) Cost of goods sold compared to revenue = Cost of Goods Sold Sales YEAR 2010 2011 2012 Cost of goods sold 41072 43155 45835 Sales 61529 64063 60144 Cost of goods sold/sales 0.6675 0.6736 0.7621 Is the cost of goods sold compared to revenue (sales) increasing or decreasing? The cost of goods sold compared to revenues is increasing across the years. Are the firm’s operating expens es increasing or decreasing? Both the gross and net margins for the firm are decreasing across the years. Total Assets vs. Total Liabilities (in ‘000) Is the firm heavily in debt? No! The company is not in heavy debt as total assets throughout the years are more than total liabilities. Does the firm have assets to pay for expenses and to finance the development of new products and information systems? Total Current Assets vs. Current Liabilities (in ‘000) Yes! The company has assets capable of paying expenses as well as financing the development of new products and information system. This is so because current assets are more than current liabilities throughout the years. Work Cited Parr, Danny. Dirt Bikes. Minnetonka: Capstone High Interest [Imprint], 2001. Print.

Saturday, August 24, 2019

Access to Higher Education Research Paper Example | Topics and Well Written Essays - 1500 words

Access to Higher Education - Research Paper Example This paper stresses that access to higher education has tremendously improved since independence. This is well highlighted in this excerpt. The level of access has been greatly underscored by the provision of loans to learners, the aids that have been given to the institutions of higher learning by that state as well as individuals. This has been coupled by investment in education sector. The federal government has equally been supportive of guaranteeing that there is greater access to higher education. The provision of academic infrastructure too, cannot be ignored when it comes to bolstering access to higher education too. The author declares that student loan debt levels have been on the rise, this has been coupled with an increase number of student defaulters. These challenges pose a great burden in society. This report makes a conclusion that noble policies, programs and processes in education have contributed largely to the upsurge in attainment of higher education. The pursuit of fulfillment in the rank and file of academic ladder has also pushed most learners to acquire higher education in spite of the challenges that come with it. Opportunities that are in most cases seriously envied by most members of the society are attained by merit founded on degrees obtained from higher institutions of learning. These in general have led to a consistent increase in the number of enrollment in the universities. In summation, a number of factors and modalities have been in place to speed up the realization of higher education access as one of the rationales of education

Friday, August 23, 2019

Civil War in Georgia Essay Example | Topics and Well Written Essays - 500 words

Civil War in Georgia - Essay Example There were reduced start-up costs for the civil war due to the accessibility of weapons from the Soviet and a ample number of volunteer fighters. In March 1992 and Kitovani was made the Minister of Defence- with this authority, Kitovani then organized the Abkhazia war in order to establish control over the transportation networks and valuable tourism industry of the province. In the end though, there was a total collapse of the informal and formal economy in 1993 which made it impossible to supply the troops effectively and that led to poor organization of military campaigns. Finally, Mkhedrioni and the National Guard were defeated whereas there was destruction of the economic assets they were fighting for. Due to the wars, Georgia lost control over a considerable part of its territory which remained an important difficulty for the nation's state building process as the government is not capable of controlling the smuggling business originating from the two regions. Georgia thus faces a dilemma- if it sets up customs points behind the lines of control, it would advance to identifying them as a border, which is politically unacceptable. On the other hand, if it would not do this, goods will continue to enter tax free into the nation and thus help crime networks and tainted state officials who are proving to be an obstacle in the state building process.

Thursday, August 22, 2019

Revolution Politically Considered Essay Example for Free

Revolution Politically Considered Essay The word Maccabean comes from Judas Maccabeus, the leader of the Jewish revolt against Syria which took place from 167 – 160 B. C. E. In 2nd Maccabees 15 v 30 he is described as â€Å"The perfect champion of his fellow citizens. † The story is recorded in the Apocryphal Biblical Books Ist and 2nd Maccabees, the sources written closest in time to the events and to a lesser extent by the Jewish 1st century C. E. historian Flavius Josephus in his Antiquities ( Books XII and XIII) who wrote some 200 years later. Martin Cohen ( The Hasmonean Revolution Politically Considered,1975, page 21) describes all three of authors, those of the Maccabean books and Josephus, as being overly partisan and seems to be saying that the so called sinners weren’t as black as they are painted. Some might say however that his article is in danger of going too far the other way in parts. The name means ‘hammer’ and was used to describe Judas’ immense strength. It was then taken as a name by his brothers, two of whom succeeded him, and other followers. The conflict had been stirred when, after a period of increasing Hellenisation, Syrian ruler Antiochus IV Epiphanes gave orders forbidding certain Jewish customs and practices and turned the Temple into a shrine for the pagan god Zeus – the idol the Jews refer to as ‘the abomination of desecration’ mentioned in Daniel 11. Judas Maccabeus and his followers incited a revolt. In 164 B. C. E they were able to regain control of the Temple, which was then cleansed and rededicating to the God of Israel. To this day Jews celebrate the feast of Hanukkah to recall these events. The story ends with the death of Nicanor in 2 Maccabeans 15 and also the idea of dedicating a special day to its remembrance- the thirtieth day of the twelfth month. The use of the menorah, the seven branched candlestick, is a reminder of the same events. Members of Judas’ family, the Hasmoneans, continued to rule in Israel until the Romans arrived in force in 63 B. C. E. Ist Maccabees was originally written in Hebrew, but that version is now lost and the text used is taken from the Greek Septuagint. The book is set in the period of Greek rule and covers the period of revolt from 175 to 134 B. C. However it also describes how many Hebrews actually welcomed the coming of Greek customs, even to the extent of trying to pass themselves off as Greeks. In 1st Maccabees 1 v 15 the writer tells how some were trying to hide the marks of circumcism i. e. the very mark of their Jewishness. In 2nd Maccabees the events are again related, but this time seemingly with the intention of showing God’s continued care for his people. It begins by urging Alexandrian Jews to keep the feast of Hanukkah and looks back at the events that led up to the first celebration. At the same time it castigates several people – the Hellenistic Jewish priests, in particular including High Priest Jason who was said to have sent money for statue of Herakles, something Martin Cohen ( Page 15 ) sees as a bribe rather than as a genuine donation because of faith.. Robert Doran ( 2006, The revolt of the Maccabees) looked for historic similarities and likened it to the modern day insurgency in Iraq. He tells how for the first years of Seleucid rule there were no major problems between the two groups. He describes the main problem as being about Jewish identity and who controls that definition. He makes the point that some would not have considered Jason to be a Jew at all, whereas he, as Jewish high priest, presumably did. He cites 20th century Jewish scholars Elias Bickermann and Victor Tchenikover who put the blame not on the Seleucids, but upon the Jewish leaders of the time. While I Maccabees blames the Seleucid leader, it has been pointed out by scholars such as Otto Morkholm (Antiochus IV of Syria, 1966) that in general he supported local cultures. The writer of 2nd Maccabees blames the institution of Greek education, even though there were a number of years between the opening of the Greek school and the revolt. The truth seems to be that when a villager from Modein, the Hasmonean home town, went to make sacrifices, Mattathias, the father of Judas, struck him with his sword. The family then fled, but also began a campaign of throwing down the pagan alters that they found and killing those who opposed what they felt was right. By the opening of 2nd Maccabees the father had died and it is Judas who is leading the revolutionaries. There are other major differences between the accounts, namely with regard to fighting on the Sabbath. This happens in the first book, but not in the second. According to Doran, in what seems to be a quite objective account ( page 107), upon the death of Antiochus his successor seems, to have let the matter stand, with the Hasmoneans in charge in Jerusalem. However the revolution was spreading to other areas. Jerusalem became the center for a general revolt against Seleucid rule. In 162 B. C. E. Judas finally lost control of the Temple area and was killed. Josephus describes in the opening words of his second book about the period, (Antiquities of the Jews, Book 13) how, after the death of Judus Maccabeus ‘all the wicked, and those that transgressed the laws of their forefathers, sprang up again in Judea. ’ And so the battles continued under new leadership. However soon after this the Seleucid Empire began to crumble because of its own internal divisiveness and Simon, brother of Judas, was able to expel the Seleucids. He was recognized as high priest of Judea in 140 B. C. E. So what had begun as a religious protest ended up as the basis for an independent kingdom – at last for a while. Martin Cohen took a new look at the events portrayed in the scriptures. He sees it as much as an internal fight among Jews as a revolt against foreign rule. He states (page 26) that Antiochus believed that no Jewish group was capable of holding the peace. He had trouble elsewhere and this is why he came down hard, turning Jerusalem into a fortress and he also removed the power of the Jewish constitution. This turned many into revolutionaries. If they had no Jewish law how could they be Jewish? Cohen describes how the revolt has often been viewed as a class struggle between the Hellenistic rulers and the ordinary people, despite the fact that there seems to have been grass roots support of Hellenisation. The Maccabees were not just non Hellenistic however, they were totally anti – Hellenistic, not just for themselves, but for Judaism as such. Cohen points out that the two accounts are both conflicting and inadequate and that the facts cited by Jewish historian Josephus don’t add a great deal to historic knowledge. He also describes how the Jewish Hellenistic aristocracy were very small in number. If they had not had popular support then the Selucid would have had to come down hard. Right from the beginning. The priests concerned are condemned in passages such as 2nd Maccabees 4 v 11 and 14. In the former passage they are accused of adding to the Pentateuch. The Pentateuch was scripture, but it was also the basis for all Jewish life. At the time of the revolution religion and politics, as far as the Jewish people were concerned were one and the same thing. But the Hellenistic Jews did not deny Judaism and the priests amongst them continued with their sacrificial roles, which they do not seem to have considered as being in opposition to their Hellenistic practices. Conclusion Whatever the truth of the matter regarding the origins of the revolt and wherever the true blame should lie, essentially this was about preserving Judaism as it had been for hundred of years and was about defining what is a Jew an argument that can still be seen to be going on, even if sometimes in silence, in the differences to be observed daily in the 21st century between those who call themselves Orthodox Jews and others of the same faith and race, believers and otherwise. Works Cited Bible, King James, â€Å"2nd Maccabees†, Electronic Text Center, University of Virginia 12th May 2010, Libraryhttp://etext. virginia. edu/toc/modeng/public/Kjv2Mac. html Bible, Revised Standard Version, â€Å"Ist Maccabees†, National Council of Churches of Christ in America 12th May 2010, http://quod. lib. umich. edu/cgi/r/rsv/rsv-idx? type=DIV1byte=4219672 Cohen Martin, â€Å"The Hasmonean Revolution Politically Considered: Outline of a New Interpretation,† The Journal of the Central Conference of American Rabbis , (Fall 1975 ): 13-34 Doran , Robert, â€Å"The Revolt of the Maccabees â€Å" The National Interest ( September –October 2006):99, 100 Josephus , â€Å"Antiquities of the Jews† , Book XII ,12th May 2010, http://www. ccel. org/j/josephus/works/ant-12. htm Josephus , â€Å"Antiquities of the Jews† , Book XIII 12th May 2010 http://www. ccel. org/j/josephus/works/ant-13. htm Morkholm, Otto,† Antiochus IV of Syria†, Classica et Mediaevalia Dissertationes VIII, Copenhagen. 1966

Wednesday, August 21, 2019

Classical Political Economy Essay Example for Free

Classical Political Economy Essay Publication of Adam Smiths The Wealth of Nations in 1776, has been described as the effective birth of economics as a separate discipline.[108] The book identified land, labor, and capital as the three factors of production and the major contributors to a nations wealth, as distinct from the Physiocratic idea that only agriculture was productive. Smith discusses potential benefits of specialization by division of labour, including increased labour productivity and gains from trade, whether between town and country or across countries. [109] His theorem that the division of labor is limited by the extent of the market has been described as the core of a theory of the functions of firm and industry and a fundamental principle of economic organization.[110] To Smith has also been ascribed the most important substantive proposition in all of economics and foundation of resource-allocation theory – that, under competition, resource owners (of labour, land, and capital) seek their most profitable uses, resulting in an equal rate of return for all uses in equilibrium (adjusted for apparent differences arising from such factors as training and unemployment).[111] In an argument that includes one of the most famous passages in all economics,[112] Smith represents every individual as trying to employ any capital they might command for their own advantage, not that of the society,[113] and for the sake of profit, which is necessary at some level for employing capital in domestic industry, and positively related to the value of produce.[114] In this: He generally, indeed, neither intends to promote the public interest, nor knows how much he is promoting it. By preferring the support of domestic to that of foreign industry, he intends only his own security; and by directing that industry in such a manner as its produce may be of the greatest value, he intends only his own gain, and he is in this, as in many other cases, led by an invisible hand to promote an end which was no part of his intention. Nor is it always the worse for the society that it was no part of it. By pursuing his own interest he frequently promotes that of the society more effec tually than when he really intends to promote it.[115] Economists have linked Smiths invisible-hand concept to his concern for the common man and woman through economic growth and development,[116] enabling higher levels of consumption, which Smith describes as the sole end and purpose of all production.[117][118] He embeds the invisible hand in a framework that includes limiting restrictions on competition and foreign trade by government and industry in the same chapter[119] and elsewhere regulation of banking and the interest rate,[120] provision of a natural system of liberty — national defence, an egalitarian justice and legal system, and certain institutions and public works with general benefits to the whole society that might otherwise be unprofitable to produce, such as education[121] and roads, canals, and the like.[122][123] An influential introductory textbook includes parallel discussion and this assessment: Above all, it is Adam Smiths vision of a self-regulating invisible hand that is his enduring contribution to modern economics.[124] The Rev. Thomas Robert Malthus (1798) used the idea of diminishing returns to explain low living standards. Human population, he argued, tended to increase geometrically, outstripping the production of food, which increased arithmetically. The force of a rapidly growing population against a limited amount of land meant diminishing returns to labour. The result, he claimed, was chronically low wages, which prevented the standard of living for most of the population from rising above the subsistence level.[125] Malthus also questioned the automatic tendency of a market economy to produce full employment. He blamed unemployment upon the economys tendency to limit its spending by saving too much, a theme that lay forgotten until John Maynard Keynes revived it in the 1930s. While Adam Smith emphasized the production of income, David Ricardo (1817) focused on the distribution of income among landowners, workers, and capitalists. Ricardo saw an inherent conflict between landowners on the one hand and labour and capital on the other. He posited that the growth of population and capital, pressing against a fixed supply of land, pushes up rents and holds down wages and profits. Ricardo was the first to state and prove the principle of comparative advantage, according to which each country should specialize in producing and exporting goods in that it has a lower relative cost of production, rather relying only on its own production.[126] It has been termed a fundamental analytical explanation for gains from trade.[127] Coming at the end of the Classical tradition, John Stuart Mill (1848) parted company with the earlier classical economists on the inevitability of the distribution of income produced by the market system. Mill pointed to a distinct difference between the markets two roles: allocation of resources and distribution of income. The market might be efficient in allocating resources but not in distributing income, he wrote, making it necessary for society to intervene.[128] Value theory was important in classical theory. Smith wrote that the real price of every thing is the toil and trouble of acquiring it as influenced by its scarcity. Smith maintained that, with rent and profit, other costs besides wages also enter the price of a commodity.[129] Other classical economists presented variations on Smith, termed the labour theory of value. Classical economics focused on the tendency of markets to move to long-run equilibrium.

Old common law rule

Old common law rule Introduction The old common law rule of The demise of nemo dat quod non habet that a person cannot convey a greater title than that person already has and a person holding a licence cannot convey the superior title of a lease. This old comman law rule had been followed for many years, until the House of Lords decision in Bruton. The House of Lords in Bruton held that someone with no interest in land can grant a lease provided that the exclusive possession is given in the agreement. I will explain and critically evaluate the House of Lords decision in the followings. House of Lords Decision The House of Lords took the opposite view with the Court of Appeal and held that the agreement between the Trust and Mr.Bruton was a lease. I will explain the decision below. Applying Street v Mountford The House of Lord decision in Street had been strictly applied.[1] According to Street, the agreement between the Trust and Mr.Bruton could be a lease/ tenancy if the three elements of 1) exclusive possession; 2) term and 3) rent are satisfied. The agreement permitted Mr.Bruton to occupy a flat in the block on a short-term basis for a weekly sum of ?18. The elements of term and rent are thus satisfied. Whether Bruton had exclusive possession Whether the requirement in Street can be satisfied depends on whether Mr.Bruton had exclusive possession. Although the agreement expressively referred it as a licence, it is irrelevant. Lord Hoffmann said that the language used, such as licence, is irrelevant. It is the true construction that identifies it as a lease.[2] Exclusive possession is a question of law that depends on the characteristic of the terms agreed. Lord Hoffmann said that the Trust plainly gave Mr.Bruton a right to exclusive possession and there was no suggestion on shared possession.[3] Effect of the reservation clause Although the Trust reserved limited right of entry for the purpose of inspection and repair, still exclusive possession was given to Mr. Bruton. Lord Hoffmann used the case of Westminster City Council [1992] as reference .In Westminster City, the only rights which it reserved were for itself and the council to enter at certain times for limited purposes. He further relied on the judgment of Lord Templeman in Street, and deduced that such an express reservation only further reinforced the entitlement of Mr. Bruton to exclusive possession.[4] Special Circumstances Charitable objective Could the charitable objective and the lack of interest in land of the Trust be considered to be special circumstances? Lord Hoffmann stated that the character of the landlord is irrelevant. He said that Although the Rent Acts and other Landlord and Tenant Acts do make distinctions between different kinds of landlords, it is not by saying that what would be a tenancy if granted by one landlord will be something else if granted by another.[5] Therefore, the charitable objective of the Trust did not constitute to a special circumstance. Could a landlord with no interest in land grant a lease/ tenancy The general rule is that if the landlord has no interest in land, he is in lack of capacity to grant a lease. The House of Lords relied on Family Housing Association to justify that there was no special circumstance existed for making an exception to the principle in Street. The House of Lord considered that Family Housing Association v. Jones was wrongly distinguished in the Court of Appeal. Lord Hoffmann regarded the fact in this case was very similar to that in Bruton. The crucial element is that in Family Housing Association, the grantor have no legal title, nonetheless, Slade L.J. concluded that the grantor have no legal title was not constitute an exception to the principle in Street. Therefore, the Housing Trust could grant Bruton a tenancy despite that the Trust had no interest in land. Tenancy by Estoppel MillettL.J. in the Court of Appeal said that an agreement could not be a lease unless it created a legal estate in the land which binds the whole world. He said that the only exception in this case that the grantor could grant a lease was by tenancy by estoppel. Lord Hoffmann thought that MilletL.J. was misled by the term of tenancy by estoppel that an agreement which could not otherwise be a lease or tenancy but which was treated as being one by virtue of an estoppel.[6] Lord Hoffmann and Lord Hobhouse thought that tenancy by estoppel was not a correct analysis. In this case, estoppel arises from the agreement, not the other way round. Critical Evaluation Contrary to the intention of legislation/ Parliament According to section 32(3) of the Housing Act 1985, the Council had no power to grant the Housing Trust a tenancy. Therefore the intention of the legislation was that the trust could only have the capacity to grant licence to homeless people on a temporary basis. The House of Lords decision totally ignored the intention of the legislation. The duty of a Judge is not to make law, but to interpret the intention of the Parliament. In this case, I think that the intention of the Parliament in section 32(3) is to provide temporary accommodation for homeless people through the Housing Trust by granting licence. The intention of Parliament should be supreme and should be strictly followed by the Judges. Street v Mountford should be distinguished Although the agreement expressly stated that it is in the form of a licence. The House of Lords still found that the agreement was a tenancy because the agreement grants exclusive possession to Mr.Bruton. Charitable objective of the Trust should be constituted as a special circumstance that constructs the agreement as a licence despite the rule in Street. Lord Hoffmann regarded that the charitable objective of the Trust is irrelevant and there was no distinction among other landlords. Again, Lord Hoffmann did not follow the intention of the Legislation/ Parliament. The Rent Acts and other Landlord and Tenant Acts do make distinctions between different kinds of landlords. In my opinion, the characteristic of charity does prohibit the Trust from granting a tenancy, since providing a temporary accommodation for people in need required a high degree of flexibility. Therefore a charitable trust should only grant licence rather than tenancy. The decision in Street should be distinguished due to these special circumstances. No exclusive possession I think that exclusivity of possession should be judged in an objective basis. All the terms in the agreement and the intention of the parties should be taken into account. Therefore the reservation clause should be interpreted objectively. As it was an express clause, there was strong evidence showing that the Trust intended not to give exclusive possession to Mr. Bruton. Moreover, with the right of entry is reserved by the Trust, it could hardly be concluded that exclusive possession was given to Mr. Bruton. Floodgate After Bruton, a new type of tenancy called personal tenancy is created. In Bruton, the grantor with no interest in land can still grant a lease. This decision totally departed from the old rule that a person holding a licence cannot convey a lease. After Bruton, Kay v Lambeth [2004] and London Borough of Islington v Green and OShea [2005] both confirmed that a personal tenancy could be granted by someone with no interest in land. [7] The nature of personal tenancy seems to be similar to that of a contractual licence. Unfortunately, the House of Lords did not distinguish personal tenancy from contractual licence. The result would be potentially dangerous since a licence granted by the landlord maybe eventually interpreted as a personal tenancy by court according to Bruton. A floodgate situation would be resulted, since every licensee would argue that a personal tenancy should be granted instead of a licence. Registration The personal tenancy creates no interest in land and the nature of a personal tenancy is similar to that of a contractual licence. A contracts or leases (but not oral lease) are registrable under LRO s.2 but a contractual licence is not registrable under L.R.O, s. 2.. Therefore it is doubtful whether a personal tenancy created in Bruton is registrable. Conclusion After the above analysis, I do not think that the decision of the House of Lord in Bruton is a good decision. It created uncertainty in whether someone with no interest in land can grant a lease or not. Although in Bruton, and the latter case of Kay [2004] and Green [2005] confirmed that a grantor with no interest in land can grant a personal tenancy. But the old common law rule of The demise of nemo dat quod non habet still needed to be considered. And Lord Hoffmann did not give a concrete reason on not applying the old common law rule. It also blurred the requirement of satisfying an exclusive possession. In Bruton, the tenant of the personal tenancy has enforceable rights against the landlord and against strangers,'[8] except the original grantor (the council), which has a superior title.[9] As the tenant cannot enforce his right against someone who has the superior title, the element of exclusive possession in the personal tenancy is in doubt. The House of Lords created an uncertainty in determining whether exclusive possession had been given in the assignment. Lastly, certainty in law and the intention of the Parliament should be strictly observed. And the decision of the House of Lord in Bruton disrupted the legal certainty and contravened the intention of Parliament. Therefore, it cannot be a correct decision. Per Lord Templeman in Street v Mountford, supra at p.818 Per Lord Hoffmann in Bruton v London Quadrant Housing Trust, supra at p.413 Per Lord Hoffmann in Bruton v London Quadrant Housing Trust, supra at p.414 Per Lord Hoffmann in Bruton v London Quadrant Housing Trust, supra at p.414 Per Lord Hoffmann in Bruton v London Quadrant Housing Trust, supra at p.414 Per Lord Hoffmann in Bruton v London Quadrant Housing Trust, supra at p.414 Mark Pawlowski, James Brown, Case Comment Bruton: A new species of tenancy?, Landlord Tenant Review 2000 M. Harwood, Lease: Are They Still not Really Real? (2000) 20 Legal Studies 503 at p.513 John-Paul Hinojosa, On Property, Lease, Licences, Horses and Carts: Revising Bruton v London Quadrant Housing Trust, Conveyancer and Property Lawyer 2005

Tuesday, August 20, 2019

The Beatles :: Essay on The Beatles

The world's number one rock group consisted of John Winston (Ono) Lennon (born 10/09/40 - died 12/08/80), whose middle name came from his parent's admiration of Winston Churchill, and which John changed to Ono in later years; James Paul McCartney (born 06/18/42); George Harold Harrison (born 02/25/43 - died 11/29/01); and Ringo Starr (born Richard Starkey 07/07/40). During the Beatles recording career from 1962 to 1970, they would release twenty-two singles (45rpm) in the United Kingdom, and thirty-three in the United States. Their first UK single was Love Me Do/P.S. I Love You, released October 5, 1962, on EMI/Parlophone Records. The first USA single would be Please Please Me/Ask Me Why, which they released on February 25, 1963 on Vee Jay Records. Although the Beatles were big in England, they had not yet caught on in the United States. Following their first USA single, came From Me To You/Thank YouGirl, which was released May 27, 1963 on Vee Jay, followed by She Loves You/I'll Get You on Swan Records. Finally on December 26, 1963, Capitol Records decided to release I Want To Hold Your Hand/I Saw Her Standing There, which went to number 1 on the Billboard Charts on January 18, 1964, and stayed there for seven weeks. As luck would have it, the Beatles first US visit planned for February 1964 with their appearance on The Ed Sullivan Show had been booked almost six months earlier. Only by accident did the Beatles I Want To Hold Your Hand happen to be at #1 the same time as their first US visit. One could not have asked for better timing. On January 30, 1964, following the success of I Want To Hold Your Hand, Vee Jay Records re released Please Please Me, only this time with From Me To You as the B-Side. In the United Kingdom, the Beatles released twelve albums (33 rpm/LP's), however released nineteen in the USA. There were several reasons for this. One is that UK albums had fourteen songs, whereby USA had only twelve. The second, and really the most important reason is that Capitol Records decided that they wanted to create their own albums, different from the UK, using titles taken from UK singles and EP (extended play) singles. Such US albums as Meet The Beatles, The Beatles Second Album, Something New, Beatles '65, The Early Beatles, Beatles VI, Help!, and Yesterday and Today, were never issued in the UK in this form.

Monday, August 19, 2019

Euthanasia Essay -- Death Research Papers

Euthanasia Euthanasia, as defined by the Encarta Encyclopedia, is the â€Å"practice of mercifully ending a person’s life in order to release the person from incurable disease, intolerable suffering, or undignified death† (Encarta, 2004). Euthanasia is a Greek word, which means â€Å"good death.† As humans, we understand death is something we cannot avoid but having some control over death is empowering and reassuring to us. If someone is suffering from a terminal illness, intolerable pain, or in a long-term coma, euthanasia is an acceptable option for someone to end his or her life. With the consent of their doctor(s) these people should be able to have the law on their side supporting their decisions. Euthanasia began in 1906 when Ohio drafted the first bill supporting the acceptance of euthanasia. Unfortunately, the bill did not succeed. About thirty years later, Reverend Charles Potter founded the Euthanasia Society of America in New York (Humphry, 1999). Since its beginnings, euthanasia or mercy killing as it is also called, has experienced many highs and lows, legal wins and set backs. Most noteworthy is the 1976 Natural Death Act passed by California with 10 states quickly following in California’s footsteps (Humphry, 1999). In 1980, euthanasia made a small gain against its largest opposition, the Catholic Church (Humphry, 1999). Pope John Paul II refuses accepting any â€Å"right to die† ideologies although he permits greater use of painkillers and the right to refuse any means to extend life unnaturally. Today, most states have some laws that allow patients to make informed decisions about how they wish to die. Almost every state allows one to have a living will. This simply states that if one is surviving via ... ...e that is breathing for them, or allowing someone to be in coma with no brain waves and simply existing is counterproductive to technology. We need to have a human say in when technology is simply enabling us to exist as machines. In those times, we need the right to say it is time to die. Euthanasia is at best a complicated subject. However, we a free people in a free society should be permitted one of the biggest freedoms of human life- deciding when to die. Doctors like Dr. Kevorkian should be hailed as heroes for human life not labeled doctors of death. Although this decision should never be made quickly or without counseling and much thought; if someone is terminally ill and in much pain he or she should be able to decide when her or she will die. It should be our last right as a person of this world to decide when it is time to move into the next one. Euthanasia Essay -- Death Research Papers Euthanasia Euthanasia, as defined by the Encarta Encyclopedia, is the â€Å"practice of mercifully ending a person’s life in order to release the person from incurable disease, intolerable suffering, or undignified death† (Encarta, 2004). Euthanasia is a Greek word, which means â€Å"good death.† As humans, we understand death is something we cannot avoid but having some control over death is empowering and reassuring to us. If someone is suffering from a terminal illness, intolerable pain, or in a long-term coma, euthanasia is an acceptable option for someone to end his or her life. With the consent of their doctor(s) these people should be able to have the law on their side supporting their decisions. Euthanasia began in 1906 when Ohio drafted the first bill supporting the acceptance of euthanasia. Unfortunately, the bill did not succeed. About thirty years later, Reverend Charles Potter founded the Euthanasia Society of America in New York (Humphry, 1999). Since its beginnings, euthanasia or mercy killing as it is also called, has experienced many highs and lows, legal wins and set backs. Most noteworthy is the 1976 Natural Death Act passed by California with 10 states quickly following in California’s footsteps (Humphry, 1999). In 1980, euthanasia made a small gain against its largest opposition, the Catholic Church (Humphry, 1999). Pope John Paul II refuses accepting any â€Å"right to die† ideologies although he permits greater use of painkillers and the right to refuse any means to extend life unnaturally. Today, most states have some laws that allow patients to make informed decisions about how they wish to die. Almost every state allows one to have a living will. This simply states that if one is surviving via ... ...e that is breathing for them, or allowing someone to be in coma with no brain waves and simply existing is counterproductive to technology. We need to have a human say in when technology is simply enabling us to exist as machines. In those times, we need the right to say it is time to die. Euthanasia is at best a complicated subject. However, we a free people in a free society should be permitted one of the biggest freedoms of human life- deciding when to die. Doctors like Dr. Kevorkian should be hailed as heroes for human life not labeled doctors of death. Although this decision should never be made quickly or without counseling and much thought; if someone is terminally ill and in much pain he or she should be able to decide when her or she will die. It should be our last right as a person of this world to decide when it is time to move into the next one.

Sunday, August 18, 2019

Georges Seurat - Hi Painting Essay -- essays research papers

Georges Seurat used the pointillism approach and the use of color to make his painting, A Sunday Afternoon on the Island of La Grande Jatte, be as lifelike as possible. Seurat worked two years on this painting, preparing it woth at least twenty drawings and forty color sketched. In these preliminary drawings he analyzed, in detail every color relationship and every aspect of pictorial space. La Grande Jatte was like an experiment that involved perspective depth, the broad landscape planes of color and light, and the way shadows were used. Everything tends to come back to the surface of the picture, to emphasize and reiterate the two dimensional plane of which it was painted on. Also important worth mentioning is the way Seurat used and created the figures in the painting.   Ã‚  Ã‚  Ã‚  Ã‚  The famous painting A Sunday Afternoon on the Island of La Grande Jatte was painted between 1885-1886. The subject is an island newly adopted by the Parisian middle class as a place for quiet Sunday gatherings. The painting looks very realistic. The figures and the way they are dressed look lifelike as does the beautiful landscape in the background. The colors and the painting style, pointillism, make this painting very realistic. The question is, how does Seurat go about making the painting look so lifelike?   Ã‚  Ã‚  Ã‚  Ã‚  Pointillism was a major reason in why Seurats painting looks so lifelike. During the painting of La Grande Jatte, Seurat simplified his brushwork to such an extent that his painting seems to be composed of nothing but tiny, more or less circular dots. Seurat’s experiments with color led him to paint in small dots of color which are arranged in such combinations that they seem to vibrate. Individual colors tend to interact with those around them and fuse in the eye of the viewer. This approach is not unlike the dots or pixels in a computer image. If you magnify any computer image sufficently, you will see individual colors that, when set together, produce an image. Seurat was interested in the way colors came about. With the enhancement of the luminousity of colors made possible by the investigation of scientific optics, he saw positive merit in a method in which the movement of the brush no longer demanded the slightest skill: ‘Here the hand is, in eff ect, useless, deceit impossible; no room for bravura i... ... study for the overall concept they appear rather as abstract patterns. The shadows of the figures were very carefully modeled. The light- dark contrasts of the shadows make them seem actually real. The spatial quality is only established through the relations between the sizes of the objects. The painting is not based on a geometrical, box like space. The perspective centre is on the right, despite the fact that the composition is laid in rows parallel to the picture frame. At the same time a paradoxical foreshortening from right to left is evident. The girl fishing with the orange dress and her mother are on the same level, that is, actually at equal distance. In its spatial contruction, the painting is also a successful construction, the groups of people sitting in the shade, and who should really be seen from above, are all shown directly from the side. The ideal eye level would actually be on different horizontal lines; first at head height of the standing figures, then of t hose seated. Seurats methods of combing observations which he collected over two years, corresponds, in its self invented techniques, to a modern lifelike painting rather than an academic history painting.

Saturday, August 17, 2019

Calyx & Corolla

Calyx & Corolla formula 1. What are the strengths and weaknesses of the Calyx & Corolla formula? Strengths ?Through working closely with the supplier or grower Calyx & Corolla provides a much fresher product to the customer than their competitors. Through Federal Express Calyx & Corolla have an excellent relationship with the growers. Calyx & Corolla uses 30 quality growers to supply their flowers. The top eight of these growers supply close to 80% of their orders, however no one grower supplies more than 25% of its products to Calyx & Corolla (Wylie and Salmon, 1999).Calyx & Corolla has exclusivity agreements with all growers they do business with. The management of Calyx & Corolla works very closely with the growers on a continual basis to ensure that quality arrangements and packaging are achieved. Growers are paid wholesale prices and an extra surcharge to provide the extra services of arranging and packaging the flowers. To accomplish these extra services or retail responsibilit ies, the growers employ additional people.Calyx & Corolla senior managers stay in close contact with representatives from each grower they do business with to collaborate on availability of flowers, arrangements, schedules, accessories and packaging supplies. Calyx & Corolla's relationship with their shipper, Federal Express, is just as strong and critical as their relationship with the suppliers. They have a special contract with Federal Express that includes special handling of the packaged flowers. During peak periods, Federal Express provides trailers to the growers to expedite the shipping process. During adverse onditions, such as extreme weather, Federal Express provides extra delivery services by not leaving packages in situations where the flowers could be damaged or ruined. To help track shipments and provide better customer service, Federal Express provides computer terminals to both Calyx ; Corolla and the suppliers. Because the majority of their business is realized dur ing peak periods, around holidays, Calyx ; Corolla is working to help alleviate the peaks. By offering continuity programs, promotional tie-ins and corporate client business, they can offset slow periods and lessen the mpact of sudden demand during peak periods. The management team at Calyx ; Corolla works very closely with their own staff. Realizing the importance of a high quality sales and customer service staff, they hire serviceoriented people with a genuine interest in flowers and plants. Senior managers are personally involved in the training and daily working environment of their employees. Calyx ; Corolla had nearly an 80% margin of flower sales (Wylie and Salmon, 1991), and possessed an experienced and dedicated management team and a sophisticated information system and customer database to analyze sales.Calyx ; Corolla appears to have a strong potential for a bright future, but the company also had some apparent weaknesses in their business. Weaknesses 1. Why has Calyx ; Corolla been successful? 2. What are the potential sources of channel conflict in the Calyx ; Corolla system? 3. What steps should Ms. Owades and her associates take next to more fully develop Calyx ; Corolla? 4. How would you determine the life-time value of a customer? 5. Visit their website. How has this helped Calyx ; Corolla? It can effectively target potential buyers who patronize florists and other retailers versus mail order.

Friday, August 16, 2019

New Industries and Administration

The Meiji government during the 1880's created both an institutional and constitution structure that allowed Japan in the coming decades to be a stabile and industrializing country. Two major policies and strategies that reinforced stability and economic modernization in Japan were the creation of a national public education system and the ratification of the Meiji constitution. Both these aided in stability and thus economic growth. The creation of a national education system aided in creating stability because it indoctrinated youth in the ideas of loyalty, atriotism, and obedience. Japan's education system at first stressed free thought and the ideas of individual's exploration of knowledge but by 1890 the education system of Japan became a tool for indoctrination into what Peter Duus calls â€Å"a kind of civil religion† with the Imperial Rescript on Education. This Rescript stressed two things. First, it stressed loyalty to the emperor and to a lesser extant to the state. In every classroom a picture of the emperor was placed. Second, the education system stressed self sacrifice to the tate and family. Filial piety was taught in schools and applied not only to the family but also to the national family which included father, teacher, official and employer. The Japanese education system also created a system of technical schools and universities both public and private that educated a growing class of Japanese on how to use new western machinery, administrate government and run private industries. The Japanese education system following the Rescript on Education served primarily to teach people what to think nd not how to think; and as Edwin Reischauer stated, â€Å"Japan pioneered in the modern totalitarian technique of using the educational system for indoctrination and was in fact decades ahead of countries like Germany in perfecting these techniques. Japan's education system was a tool in creating for Japan a reliable citizenry who respected the government and had the knowledge to act as â€Å"technically efficient clogs† in the new industries and administration that an The ratification of the Meiji constitution drafted in the ummer of 1887 and signed into law in 1889 helped create a stable constitutional order in Japan. The constitution was a gift of the emperor to the people and was made up of a complicated set of checks and balances between the emperor, his cabinet, and the Diet. The constitution although it granted voting rights to only one percent of the population in Japan was well received by the people and played a critical role in lending legitimacy to the oligarchy (Genro) who ran the government. Before the constitution the Genro had little basis in heory for their continued rule other then they spoke for the emperor. But the constitution with its elections and bicameral diet lender legitimacy to the rule of the oligarchy. The constitution also brought Japan at least in the minds of the oligarchy to parity with western political institutions. Indeed, the ruling group in Japan passed the constitution through not because of popular pressure but because they thought a constitution and parliamentary government was a necessary part of the political machinery that helped make western powers trong. In the long term the parliamentary government of Japan and its constitution provided a stable government with its mix of oligarchy, monarchy, and a little democracy for the wealthy. It ensured investors and the Zaibutsu a say in government and promoted growth by creating a stabile government that was critical to ensuring investors will put capital in businesses. Both the new education and governmental structure of Japan passed in the 1880's and 1890's was essential to Japanese stability and economic and industrial growth.

Maritime Hull and Machinery Book report Essay

Introduction This book about the elements of shipping Emphasis is also placed on professionalism and the need to have the latest technology and professionally qualified personnel to operate a shipping service today. It remains essential reading for the shipping executive along with students and academics with an interest in the shipping industry. Hull and Machinery includes studies about cutting by a wedge of longitudinally stiffened plates for application to the grounding resistance of single hull and double hull ships. Two types of ship hull design were used as prototypes for the development of small scale models. A conventional longitudinally stiffened Single Hull (SH) and the Undirectionally Stiffened Double Hull (USDH) design. To model the cutting experiments the complex deformation patterns observed in the damaged specimens were simplified to obtain a closed-form upper bound for the steady state cutting force required for the USDH specimen. An existing closed-form upper bound solution for the wedge cutting initiation force of a single plate was applied to the longitudinally stiffened single hull specimens by smearing the geometry to obtain an equivalent thickness single plate. A total of eleven cutting experiments were conducted using six different wedge geometries. Early work in grounding prediction has been to perform plate cutting experiments which produced empirical formulas for the work to cut a flat plate. The main purpose of Hull and Machinery is to provide the ship owner with an expectation of status quo regarding a vessel’s operational ability during a maritime enterprise. Since marine perils are a risk that the ship owner assumes each venture. Improper design and the improper selection and use of materials is the primary cause of most non-damage related structural failures. Contrary to common belief, actual manufacturing defects only rarely figure into structural failures. It should come as no surprise to any surveyor that the ship building industry, much like the automotive industry which, after more than 70 years of mass production, backed up with their enormous financial resources, is still fraught with frequent design defects. Body Efforts have been quite significant in quantifying the force required to cut a single plate, but do not account for the effects of stiffeners and inner hull that exist in the actual geometry of ships. In order to adequately predict the lift and drag forces in a ship undergoing a grounding accident and the subsequent extent of damage. Global lifting of the ship against gravitational forces is done. There are Friction forces between the bottom hull plating and the grounding surface, plastic deformation of the hull girder, and forces required to fracture the hull structure. In grounding, the ship initially lifts and rides over the rock causing only hull indentation. Once the force due to the weight of the ship overcomes the plating membrane strength,   the hull plating ruptures. Kinetic energy of the ship is given up to friction forces, plastic deformation, and fracture as tearing over a length of the hull plating ensues. The work in this book report it does not account for the lifting and subsequent rupture of the ship, but assumes that the tearing of the hull plating is well progressed. The indentation and rupture of a ship hull is the structural design of a ship typically starts by determining the loading conditions that the ship will be experiencing during its service life. Normal operation includes loading conditions such as bending of the hull girder (hogging, sagging, and still water), cargo live loads, structural dead loads, liquid loads, cyclic fatigue, and exterior hydrostatic loads. The ship is also subjected to infrequent loads such as flooding and dry docking, and in the case of naval vessels, combat loads such as underwater explosions. The structure is designed, analyzed, and optimized to withstand the normal loads to some allowable stress level, and to remain intact under extreme loads subjected to a vertical load is considered a separate mechanism. Mission characteristics such as payload capacity and endurance determine the size of the ship. This establishes the length, beam, and depth of the ship, and, hence, the structural dimensions. Modern ships make use of this principle of construction. The said construction is the sum of its many parts while a fiberglass boat hull is essentially one component. The combination of molded hull and deck joined together creates a unified whole that is much stronger than the sum of its parts. But ships are proportionately far heavier and are subjected to different stresses. While the bottoms of hulls take the major brunt of stresses, and must be designed to withstand them, the construction still plays a major role in providing strength to the overall structure. In actual operation under heavy conditions, the hull sides of most boats will deflect to greater or lesser degrees depending on how well it is designed. This is the result of impact loading, bending and torsional loading on the hull caused by high velocity over waves, porpoising and so on. If you’ve ever wondered why there are ships have rub rails falling off and weak and damaged hull/deck joints, you probably thought that this was primarily due to hitting up against dock pilings. But the real reason is that there are ships who have poorly designed hull/deck joints that are simply lap joints screwed together. It is the stress transferred from the hull bottom to the hull sides and thence to hull/deck join that causes the screws that join these parts together to break loose. Putting screws into fiberglass is a terrible means of making connections. Screw joins are simply too weak to work effectively. Partial bulkheads are really nothing more than frames and do not serve any greater function than frames. It is a mistake to call a hull partition with two doors in it a bulkhead, for it is really only a partition or a partial bulkhead at best. Surveyors often mistake partitions for bulkheads. Remember that to be classified as such, a bulkhead must be serving the purpose of tying the four sides of the hull together (bottom, deck and sides). If the shot full of holes and openings, it’s not achieving that purpose. Conclusion It is important to be aware of the nuances and exclusions from Hull and Machinery cover as well as to be aware of cover options and requirements. For instance, although the ship, equipment and spare parts are covered by the Hull and Machinery insurance, loose items that accompany the ship in its trade, but which cannot be deemed to be a part of it, e.g. stores and supplies are covered under the ITCH, but not under the Plan. As a result, the ship owner may consider purchasing additional insurance cover for items falling outside of the Plan’s cover provisions. However, many times, the loss and/or damage of such items fall well below the deductive. Another important consideration is cover of items that are not normally on board the ship for an indefinite or prolonged period of time. The Plan’s prerequisite for covering equipment and spare parts under the Hull and Machinery cover is that they are normally on board. Therefore, an individual assessment should be made. Even less did I anticipate the effect on how the hull would handle with a 41% overall weight reduction. Scale model testing revealed the boat to be so light that it would pitch and roll so violently that it would be uninhabitable to human beings. It developed a whip-snap roll in a 3†² sea that would literally throw people off the deck. Or when pitching, launch them like a trampoline. However, there has been some extension into production building mainly so-called niche markets such as race boats, both power and sail. And to the extent that it is clear that the production boat building industry does not possess the necessary capital resources, nor the profit margins to sustain them, their incorporation of this technology into production building is very likely to continue along the lines of trial and error. What this portends for the surveyor are the risks of failing to locate design failures during surveys, failures involving design, materials and construction techniques that fall into the realm of the experimental. Make no mistake about it experimentation with new materials directly into a product is the norm, not the exception. With this basis understanding of the principles of good hull design, we can now begin to study the effects of what happens when these principles are violated. References Branch, Alan E. Elements of Shipping 7th Ed. Routledge Publication. N.Y. ISBN 0748760393 US Cost Guard Guide to Regulations for Passenger Vessels. (2001). http://www.uscg.mi/ng/9-m/nvic/301/n3-01.pdf Kahloism. (1971). Ship Construction. http://www.freepatentsonline.com/3625174.html Shipping Container. (1974). http://www.freepatentsonline.com/3782619.html

Thursday, August 15, 2019

Position/Competition/Branding of Apple Iphone

LIBERTY UNIVERSITY MMPG: Position/Competition/Branding of Apple iPhone OLAMIDE O. BELLO 11/20/2012 STRATEGIC MARKETING MANAGEMENT (BUSINESS 520) PROFESSOR: DR. ANDREW HONEYCUTT Smart Phone Market Samsung, the Korean tech giant, is the leader in the Smartphone following the third quarter, extending its lead over Apple (Gartner's report released on Wednesday this week). The Android-based Galaxy smart phones have a very strong sales compare to Apple which makes android the lead in the global Smartphone market accounting for 32. percent of the worldwide market share (UCStrategies Staff). Google acquired Android Inc. in 2005, after 2years, Google declare android distribution public in late 2007. Today Android is leading the smart phone market(UCStrategies Staff). The strengths: Decentralized Distribution: Android found strength in mass distribution, pleased companies such as HTC, Samsung and Motorola by offering them competitive platform for free, this help reduce the production cost and pass the savings to the consumer.With such competitive platform at a reduced price, consumer can easily change to android phone cheaply with no contract and android works on any mobile operator(The Next Web). The weaknesses: Mixed Results: Since different carrier and manufacturers do have freedom to used android, this brings no standard and control to android usage. Crappy hardware can depreciate the value of the android and lead to terrible experience. With different manufacturer customize android with no universal standard create consumer confusion.So decentralized distribution is also the android weakness(The Next Web). Product Branding Branding as been defined as â€Å"a name, term, sign, symbol, or design, or a combination of them, intended to identify the goods or services of one seller or group of sellers and to differentiate them from those competitors†(Kotler). Apply is great at branding compare to other competitor, it takes less than a second to identify apple iPhon e just by the look and the logo unlike other competitors. Apple OS only runs on apple phone and there is not third manufacturer involved. Also Case Study will describe why Apple Inc. is a very successful company.Apple brands brings intense, active loyalty, positive, accessible reaction, point-of-parity ; difference, deep and broad brand awareness to iPhones (Kotler p. 249). With Apple branding, iphone design and functionality become difficult to compromise. References The Next Web Retrieved from http://thenextweb. com/mobile/2011/11/14/androids-strength-is-also-its-weakness-decentralization/ Unified Communication Strategies: Samsung Leads Global Smartphone Market Retrive from http://www. ucstrategies. com/unified-communications-newsroom/samsung-leads-global-smartphone-market. aspx Marketing Management by Kotler Keller

Wednesday, August 14, 2019

Tide Pods

My written assignment will focus on Proctor and Gambles most recent success in the market Tide Pods. The Pods current market situation turns out to be better than P&G could have dreamed of. Considering the trials and tribulations it endured before ever making it to market. In a recent online article written by Jack Neff, for adage. com it notes, â€Å"Pods came to market six months later than planned and without the originally scheduled retail promotions because of supply shortages. † (Neff, 2012). In addition, one of its competitors, Sun marketer of All Mighty Pacs, sued P&G for patent infringement.Perhaps most devastating, the Pods came under direct scrutiny from Senator Chuck Schumer, due to children accidentally eating them, which reportedly happened nearly 500 times according to The Center for Disease Control and Prevention. These things would likely be the death of a product, but P&G overcame adversity, persevered, and have since reaped the benefits. The Pods are expecte d to gross $500 million in first year sales. P&G predicts Tide Pods will account for 30% of the laundry market in the next 10 years. I would say the number in sales and the product demand speak volumes to the Pods potential.Customer interest seems to be high. In a recent report from http://www. consumernews. com(para. 3) Tide Pods were the only single use product that cleaned well enough to make their recommended list. The â€Å"SWOT ANALYSIS† for my product I kind of touched basis on in the beginning of my paper. I think the biggest strength is the reputable brand it is a part of. Tide has been a proven and trusted brand for many years. Consumers can depend on the quality and dependability of the Tide brand.Second to that is market share. P&G has claimed 68% market share in the laundry pods category, a growing segment representing 7. % of the $7 billion U. S. laundry market. Weaknesses I found were consumers not being familiar with the product, negative connotations due to s ome of the scrutiny it came under from the Pods being accidentally eaten by children, and lastly because of launch delays, many competitors were able to release their single use product before P&G. The threats I think are minimal for this product. I say that because most of the threats that had the potential to do harm have already been taken care of. Its innovative design has given it an edge over the competitor.The Pod has a whitening component that the other single use laundry products don’t have. The specific industry targeted for Tide Pods is the laundry industry. In Dan Monk’s recent CincyBizBlog (www. bizjournals. com) he writes, P&G hails it as its biggest laundry innovation in more than a decade according to (Monk, 2013) the article also notes P&G as saying, â€Å"many of its new customers switched from bargain brands†. After conducting some secondary market research on the Pods I found the targeted demographic market to be young people (i. e. , college students, young adults moving out on their own for the first time).I don’t think it is gender specific, men and women could appreciate the convenience and unique compact design of the product. I don’t think it is geared towards the single family home with multiple children either. The young person living in the apartment would be a better fit for the Pods. Lastly, the on the go, early adapter/innovator would also be the ideal consumer for the Pods. The consumer purchasing process for the Tide Pods starts with the Buyer Decision Process (Kotler & Armstrong, 2012) (pp152-156) need recognition. Every household in America needs laundry detergent to wash their clothes.The question is do they need the Pod instead of traditional liquid or powder laundry detergent. The next step in the process is information research. Once the need is there now you are aware and must search for information about the product you intend to purchase. How the Pod is compared to its competitor the All Mighty Pacs? Is more cost effective for me to use the pod as opposed to my regular powder detergent? The next step is evaluation of alternatives. Normally this step consists of comparing the alternative brand to see if it will give you the same result. Will my clothes get as white using the Mighty Pac as does with the Pods?The next step is the purchase decision. More often than not I and other consumers tend to buy the preferred or trending brand. Pods are a Tide brand. As previously stated this alone gives the Pod selling power and the advantage simply because of the reputation of the brand alone. The last stage of the process is post purchase behavior. This is the â€Å"did it me my expectations phase? † In this part of the process, the most important part of the process. The consumer determines if the Pod is worthy of leaving the other brand and continuing to use and purchase Tide Pods or it didn’t meet the expectations and I’ll never buy another Pod in life.In closing the Tide Pod has proven to be a great product launch for Proctor and Gamble. They were innovative, took a risk, invested a lot of money in this product, and it paid off. The two ways in which it could improve are safety development and design. The addition of fragrances would definitely be a plus, coupled with better packaging designs to safeguard against future accidental kid poisoning incidents. The expected growth, potential, earnings, and overall success for the Pods are endless.