Wednesday, July 31, 2019

Walt Disney World Co. vs Aloysia Wood

515 So. 2d 198 (1987) WALT DISNEY WORLD CO. , et al. , Petitioners, v. Aloysia WOOD, et al. , Respondents. Supreme Court of Florida. (with professor edits) Aloysia Wood was injured in November 1971 at the grand prix attraction at Walt Disney World (Disney), when her fiance, Daniel Wood, rammed from the rear the vehicle which she was driving. Aloysia Wood filed suit against Disney, and Disney sought contribution from Daniel Wood After trial, the jury returned a verdict finding Aloysia Wood 14% at fault, Daniel Wood 85% at fault, and Disney 1% at fault.The jury assessed Wood's damages at $75,000. The court entered judgment against Disney for 86% of the damages. Disney subsequently moved to alter the judgment to reflect the jury's finding that Disney was only 1% at fault. The court denied the motion. On appeal, the fourth district affirmed the judgment **** In Hoffman v. Jones, 280 So. 2d 431 (Fla. 1973), this Court discarded the rule of contributory negligence, which Florida had follow ed since at least 1886, and adopted the pure comparative negligence standard. *** In adopting comparative negligence, this Court expressly declared two purposes for the change in judicial policy: (1) To allow a jury to apportion fault as it sees fit between negligent parties whose negligence was part of the legal and proximate cause of any loss or injury; and (2) To apportion the total damages resulting from the loss or injury according to the proportionate fault of each party. ***** The real issue before us is whether we should now replace the doctrine of joint and several liability with one in which the liability of codefendants to the plaintiff is apportioned according to each defendant's respective fault.According to Disney, this Court in Hoffman set for itself the goal of creating a tort system that fairly and equitably allocated damages according to the degrees of fault. Therefore, a defendant should only be held responsible to the extent of his fault in the same way as a plai ntiff under comparative negligence. Joint and several liability is a judicially created doctrine. Louisville ; N. R. R. v. Allen, 67 Fla. 257, 65 So. 8 (1914). This Court may alter a rule of law where great social upheaval dictates its necessity. Hoffman, 280 So. 2d 435. The â€Å"social pheaval† which is said to have occurred here is the fundamental alteration of Florida tort law encompassed by the adoption of comparative negligence. Following the adoption of comparative negligence, some states have passed laws eliminating joint and several liability, and the courts of several others have judicially abolished the doctrine. E. g. , Brown v. Keill, 224 Kan. 195, 580 P. 2d 867 (1978); Bartlett v. New Mexico Welding Supply, Inc. , 98 N. M. 152, 646 P. 2d 579 (Ct. App. ), cert. denied, 98 N. M. 336, 648 P. 2d 794 (1982); Laubach v. Morgan, 588 P. 2d 1071 (Okla. 1978). The Kansas Supreme Court in Brown v.Keill reasoned: There is nothing inherently fair about a defendant who is 10% at fault paying 100% of the loss, and there is no social policy that should compel defendants to pay more than their fair share of the loss. Plaintiffs now take the parties as they find them. If one of the parties at fault happens to be a spouse or a governmental agency and if by reason of some competing social policy the plaintiff cannot receive payment for his injuries from the spouse or agency, there is no compelling social policy which requires the codefendant to pay more than his fair share of the loss.The same is true if one of the defendants is wealthy and the other is not. Brown, 224 Kan. at 203, 580 P. 2d at 874. On the other hand, the majority of courts which have faced the issue in jurisdictions with comparative negligence have ruled that joint and several liability should be retained. E. g. , Arctic Structures, Inc. v. Wedmore, 605 P. 2d 426 (Alaska 1979); American Motorcycle Ass'n v. Superior Court, 20 Cal. 3d 578, 578 P. 2d 899, 146 Cal. Rptr. 182 (1978); Tucker v. Un ion Oil Co. , 100 Idaho 590, 603 P. 2d 156 (1979); Coney v. J. L. G. Industries, Inc. 97 Ill. 2d 104, 73 Ill. Dec. 337, 454 N. E. 2d 197 (1983); Kirby Bldg. Sys. v. Mineral Explorations, 704 P. 2d 1266 (Wyo. 1985). The Illinois Supreme Court in Coney v. J. L. G. Industries, Inc. gave four reasons justifying the retention of joint and several liability: (1) The feasibility of apportioning fault on a comparative basis does not render an indivisible injury â€Å"divisible† for purposes of the joint and several liability rule. A concurrent tortfeasor is liable for the whole of an indivisible injury when his negligence is a proximate cause of that damage.In many instances, the negligence of a concurrent tortfeasor may be sufficient by itself to cause the entire loss. The mere fact that it may be possible to assign some percentage figure to the relative culpability of one negligent defendant as compared to another does not in any way suggest that each defendant's negligence is not a proximate cause of the entire indivisible injury. (2) In those instances where the plaintiff is not guilty of negligence, he would be forced to bear a portion of the loss should one of the tortfeasors prove financially unable to satisfy his share of the damages. 3) Even in cases where a plaintiff is partially at fault, his culpability is not equivalent to that of a defendant. The plaintiff's negligence relates only to a lack of due care for his own safety while the defendant's negligence relates to a lack of due care for the safety of others; the latter is tortious, but the former is not. (4) Elimination of joint and several liability would work a serious and unwarranted deleterious effect on the ability of an injured plaintiff to obtain adequate compensation for his injuries. Coney, 97 Ill. 2d at 121-22, 73 Ill.Dec. at 345, 454 N. E. 2d at 205 (citations omitted). ***** While recognizing the logic in Disney's position, we cannot say with certainty that joint and several liability is an unjust doctrine or that it should necessarily be eliminated upon the adoption of comparative negligence. In view of the public policy considerations bearing on the issue, this Court believes that the viability of the doctrine is a matter which should best be decided by the legislature. Consequently, we approve the decision of the district court of appeal. It is so ordered.

Genetically Modified Food Should Be Limited Essay

Cigarettes and alcohol belong to the products with unhealthy substances which annually kill thousands people over the world. Many countries try to solve this global problem through the various campaigns or controversial advertisements. Governments attempt to make people conscious of all negatives of these products. However, this is not a case of genetically modified food. A lot of people are unaware of the content of genetically modified food, which they have been buying and eating every day for several years. New kinds of allergies or various types of diseases star spreading in some countries and a lot of people can not find any reason for getting them. Genetically modified food should belimited because of negative effects on environment, economy, people and society. Lack of information about genetically modified food causes that people do not have any possibility to make the same informed choice; therefore, this nontraditional food should have some limits. There are still a lot of people who have no idea about products which they buy and consume. When people go shopping to supermarkets, they can find great looking fruit, vegetable or meat; however, they can not see a label of GMF. For example, the US is one of the countries which do not require labeling. According to Britanny Shoot (2009), â€Å"the governmental and industry opposition to mandatory labeling has long been rooted in several arguments:† that production cost would be rapidly raised by labeling because of other monitoring of facilities; â€Å"that GM labels will signal safety or nutritional problems for consumers only accustomed to seeing nutritional information on labels and should therefore not be included† and that other labels â€Å"GM† and â€Å"GM-free† would be required. Therefore, production of genetically modified food should have some boundars if there are still countries in which people are not informed about this harmful food. Another point is that, genetically modified food could trigger a lot of different kind of diseases. When scientists have discovered GMF, it was progress in not only science but also sociaty. However, the first illnesses have appeared, since selling of genetically modified food spread over the world. For example, different kinds of allergies or cancers are the most dangerous diseases which could be caused by genetically modified food. According to Myron Stagman, PhD (2006), genetic modification avoid Evolution`s safeguard and can lead to growth of pathogens which often cause recorded, but unpublicized fatal disease epidemics. So people can suffer from some disease without consciousness that it could be caused by GMF. There is an untested virus gene in some GMF that could be toxic and harmful to not only people but also animals. (cited in Virus in GMF, 2013). Therefore, people could not be sure of effects of genetically modified food which they eat. In summary, this nontraditional food should not be without limits. It is also remarkable that genetically modified food could have negative effects on economy. There is a decrease in United State maize exports to the European Union from the beginning of production of GM crops. â€Å"Experts went a high of 2.8 million tons in 1995-96 to virtually nothing during 2000-01. That is a dramatic economic impact on U.S. farmers.† This is information from the source (C. Frompovich 2010). So production of genetically modified food could be slack and incapable to bring yield in some countries. GE crops, which are used commercially, do not support growth of the yield potential of a variety. They might even decline. â€Å"Perhaps the biggest issue raised by these results is how to explain the rapid adoption of GE crops when farm financial impacts appear to be mixed or even negative.† This is information from the source (GMF – renewed, 2008). Thus, genetically modified food should disappear from the market or be limited. Another claim is that genetically modified food may cause environmental dangerous changes. These shifts are related to not only people but also other organisms. An increased level of estrogen is caused by glyphosate, which is used in crops as resistance to weed. It could have harmful and long term effects on all mammals, including people which are very sensitive to the raised rate of estrogen. This is information from the source (Top 10 dangers of GMF, 2009). So, this nontraditional food can contain toxic substances which could cause to some animals harmful effects or deaf. According to Deborah B. Withman (2002), a lot of butterfly caterpillars die because of pollen from b.t. corn. The problem is that butterfly caterpillars which do not eat corn, but milkweed plants, could die because â€Å"pollen from b.t. corn is blown by the wind onto milkweed plants in neighboring fields.† Thus, genetically modified food and his production should be limited. However, the low cost of production and lower selling prices for more food stimulate a lot of people to consider this nontraditional food as the potential solution to the lack of food or even hunger. Therefore, there are still a lot of exponents, who believe that genetically modified food is very beneficial for human beings. While they can be right, there are still a lot of negatives of this controversial food. Some studies have shown that this nontraditional food can cause problems with human digestive system. The incorporation of some substances can interact badly with one another in food. In addition, GMF could cause poisoning, because the modification of certain genes could produce plant substances whichare difficult to digest at all. It is true that genetically modified food could be a solution of hunger and can help in case of the lack of food, but actually this nontraditional food could have several negative effects. Therefore, it should be limited because of negative impacts on humans, their health, environment and economy. It is usually good to invent something new but an advance for scientists do not have to be an advance for all humans. Reference Brittany Shoot (2009, November 25). GMO or No: Problematic Intersections of Religion, Biotechnology, and Food. Retrieved February 16, 2013, from Religiondispatches: http://www.religiondispatches.org/books/2018/gmo_or_no__problematic_intersections_of_religion__biotechnology__and_food__/ Stagman, M. Phd. (2006). GMO Disease Epidemics: Bt-cotton Fiber Disease. Retrieved February 16, 2013, from Portland: http://portland.indymedia.org/en/2006/08/344305.shtml Virus in GM food could be dangerous. (2013, February 8). Retrieved February 12, 2013, from Unknowncountry: http://www.unknowncountry.com/news/virus-gm-foods-could-be-dangerous Catherine J Frompovich. (2010, June 23). Economic Issues Surrounding Genetically Modified Foods. Retrieved February 15, 2013, from Infowars: http://www.infowars.com/economic-issues-surrounding-genetically-modified-foods/ Genetically modified (GM) foods – renewed threat to Europe. (2008, December). Retrieved February 16, 2013, from Bangmfood:http://www.bangmfood.org/publications/4-short-leaflets/1-10-reasons-why-we-dont-need-gm-foods Top 10 dangers of genetically modified food. (2009, April). Retrieved February 15, 2013, from Invigorate306: http://www.invigorate360.com/reviews/top-10-dangers-of-genetically-modified-food/ Deborah B. Withman. (2000, April). Genetically Modified Foods: Harmful or Helpful? Retrieved February 15, 2013, from CSA: http://www.csa.com/discoveryguides/gmfood/overview.php.

Tuesday, July 30, 2019

Cultural Awareness Essay

Culture and the environment affect a business in many ways. Culture is not simply a different language, a different shade of skin, or different styles of food. Culture, and the environment in which you are a part of, affect the running of day to day business operations of all companies’ day in and day out. This paper will assess how Linda Myers, from the article, â€Å"The would-be pioneer,† (Green, S. , 2011) was affected by the huge culture shock of working for a global conglomerate from Seoul, South Korea. We will discuss what went wrong with Ms. Myers approach to business, Hofstede’s five dimensions of culture as it pertains to the article, and make some recommendations based on the author’s thoughts. Let’s first start by discussing how culture and environment affect management in an institution. A culture and its environment affect the operations of a business because that culture generates practices based on its environment. To clarify, how a business sets its policies is based on cultural exceptions, like politics, points of view, whatever is considered the â€Å"norm† for that environment. In many cultures, it is also safe to assume that women do not have the same pull as a man in charge. An example of how women are belittled can be women in Middle Eastern countries that are forced to wear veils to cover their faces and walk behind their husbands, not hand in hand like in Western cultures. Politics plays a huge part in how a company runs as well. If a country is firm in the belief that men are the only way to accomplish goals and run the government, then companies under that government will more than likely have the same approach. Many countries still believe that men are superior and don’t quite believe that women should be in the workplace. We have seen American culture change to where women successfully run businesses. These gender based assumptions are inadequate to reality, however, some countries still hold on to those beliefs. For Ms. Myers, being successful in America, did not translate to being successful in South Korea. Although she was an executive, she had many barriers that hindered her from adequately helping the company in the ways that she wanted. Hofstede’s Five Dimensions of Culture  Dr. Geert Hofstede created the first four dimensions of culture in the 1970’s after analyzing statistical data from IBM over the course of many years. In the 1990’s he created the fifth dimension after noticing specific cultural differences in Asian countries and their ties to Confucian philosophy. (www. mindtools. com) The five dimensions are as follows: Power/Distance (PD), Individualism (IDV), Masculinity (MAS), Uncertainty/Avoidance Index (UAI), and Long Term Orientation (LTO). I will only discuss a few of these as they seem more prominent to this case. First, let’s talk about the Power/Distance (PD) dimension as it pertains to Ms. Myers in South Korea. Power/Distance (PD), â€Å"refers to the degree of inequality that exists- and is accepted- among people with and without power. A high PD score indicates that society accepts an unequal distribution of power, and that people understand â€Å"their place† in the system. Low PD means that power is shared and well dispersed. † (www. mindtools. com) As an example from the article, Myers goes on to say, â€Å"there were basically four levels: VP, director, manager, and worker bee. You only talked to people at your level. SK Telecom boasted that they were one of the first Korean cultures to rid themselves of a strictly hierarchal form of running. However, Myers saw that although they said that, they did not embrace that to the fullest. Merely putting something on paper does not constitute practicing the said task. In order for the company to have abolished the hierarchal form of leadership, they would have needed to instill better practices and allow more input from all levels of the company. Masculinity (MAS) refers to how a society views/values the traditional aspects of male versus female roles. This dimension ascertains that men are in the positions of power and women are to be in the home, or hold less valuable roles in the workplace. This example is considered a workplace with high MAS. A workplace with low MAS is considered to have male and female positions; however, those positions work closely together and do not get in the way of the work environment. This traditional view was another obstacle in Ms. Myers’ venture in Korea. The company brought her in to fix their issues with cultural growth, but did not utilize her to the best of her ability. She failed to recognize that the Eastern culture she was working for, did not allow her to have a longer â€Å"leash† like the American/Western companies she had worked for in the past. Uncertainty/Avoidance Index shows how anxiety of workers affects the workplace. High UAI is considered looking for rules and regulations for all situations. There is no â€Å"grey† area and everyone is to operate exactly the same. Low UAI refers to there being less rule writing and more personal growth and interpretation of the conflict or decision. In this article, I would say that SK Telecom had a high UAI however; Ms.  Myers herself was a person working with low UAI. Her anxiety and how she approached situations was not in-tune with the policies and procedures of the company. There were cultural boundaries such as language and expectations that she did not know how to confront. Although she was qualified for the position, she really was not prepared well enough to meet the tasks and policies of the company based on her experiences. The last dimension that really applies to this case is Long Term Orientation or LTO. This refers to how a company values a member’s loyalty/seniority in the company. Men and long time employees have more pull in the workplace. I feel as though SK Telecom valued the opinions of those members who had been with the company for a substantial amount of time. Bringing an outsider in to work, did not work with how the company operated internally. SK Telecom had high LTO and again Myers’ internal operation was with low LTO, a promotion of equality, creativity and individualism. Conclusion In this paper I discussed, The Would-Be Pioneer by Green. We discussed how the cultural differences affected Ms. Myers and how different South Korea is compared to Western culture. We also covered the four of five Hofstede’s Cultural Dimensions that applied to the article. We discussed Power/Distance, Masculinity, Uncertainty/Avoidance Index, and Long Term Orientation, all of the factors that played a part in Myers’ failure as a consultant with SK Telecom. In the future, for those who look to work abroad, we should study as much about the culture as possible. We need to understand as much as possible about the work environment in which we work, if we wish to succeed in a foreign government.

Monday, July 29, 2019

Purpose of Criminal Laws Essay Example | Topics and Well Written Essays - 750 words

Purpose of Criminal Laws - Essay Example For example, a child that fails to clean their room would receive â€Å"punishment† in the form of extra chores or loss of other things they normally enjoy. For criminal law, it is no different, except that the consequences of their actions involve a loss of privilege on a greater scale, such as by imprisonment or fines (Banks, 2009). Again, if there were no punishments, there would be no reason not to commit crimes; therefore, some type of consequences must be handed out. Criminal laws seek to set consequences for and punish those that have carried out a crime by means of deterrence, as well as incapacitation, incarceration, restitution, and retribution. People are â€Å"deterred† from actions when they refrain from carrying them out because they fear or do not want the consequences that come with the action (Banks, 2009). Criminal laws aids in this because they not only define what the laws are that cannot be broken but also set out the punishment that each law brings with it. In a state with a death penalty, for example, if someone does not wish to be punished by death, they will not commit a crime that leads them down that path. Thus, the criminal laws have done their job both in setting out the action and the punishment for it, because it has kept people from committing crimes due to the consequences imposed. Though some question the validity of deterrence and call for stiffer penalties in certain laws (Banks, 2009), the fact remains that deterrence is a reason that criminal laws exist. Another reason that criminal laws exist is retribution. Simply put, retribution means that whoever has gone against the laws of society deserves to be punished, and it will bring a measure of peace, if not pleasure, to those that were wronged to see punishment happen. Systems of retribution for crime have long existed, with the best known being the Biblical proverb of â€Å"an eye for an eye† (Banks, 2009). While retribution is known to be confused with revenge, it has been pointed out in law and in argument that the difference between the two is very defined: retribution involves limits set according to the seriousness of the wrongs done to society, whereas there is no limit to revenge (Banks, 2009). Take again the case of the criminal who chooses to murder and take a life in a state that has the death penalty. If convicted, they will pay with their own life through execution. One cannot argue that this is, in fact, an example of â€Å"an eye for an eye† logic in punishing someone who has done wrong. Criminal laws also exist to provide incapacitation and incarceration measures for those that choose to go against the laws of society. Incapacitation is a theory of â€Å"incarceration†, arguing that some criminals need to be separated from society not only for what they might have done but also to protect those who have not done wrong from this individual. It is seen as a good punishment for those that commit crimes be cause while they are incapacitated, or incarcerated

Sunday, July 28, 2019

Louis XIV Essay Example | Topics and Well Written Essays - 1500 words

Louis XIV - Essay Example Also important was his concept of himself which enabled him to rule by Divine right, and the philosophies of the time that supported his notions. Louis was five years old when he sat on the throne with the regency of Cardinal Jules Mazarin, against whom the nobles and the Paris Parlement (a powerful law court), rose in 1648 at the beginning of the long civil war known as the Fronde.In the course of this war, Louis suffered humiliation,poverty, misfortune, fear, cold, and hunger, because he had to often leave his place in Paris and go into hiding for his own safety.These early experiences led him to have a lifelong mistrust in the nobility, they taught him that the nobility was one of the greatest threats to a French king and inspired him to set about implementing his absolutist concepts. Being a devout Catholic, he had no trouble in imagining that he was an agent ordained by God himself to rule the kingdom and made great efforts to cultivate an image for himself that was based on myth and legend, as well as on reason and political legitimacy. Louis chose the sun as his personal emblem, signifying that he was the source of all benevolence in the kingdom and that the entire world, including the nobles, revolved around him, and he soon came to be known across all Europe as the "Sun King". "On June 5th, 1662, a procession of monkeys, bears, nobles, and slaves, spiralled through the streets of Paris in celebration of the glory of Louis XIV. ......the king was represented as the serene and uncontested master of the world; each noble carried a shield bearing a device which affirmed his absolute subjugation to Louis Dieu-donne figured as the sun." (Lynn, 1998) Louis' concept received further legitimacy in his status as agent of God in the work of those like Thomas Hobbes and Jacques-Bnigne Bossuet, who argued that monarchy was the most natural and ancient form of government , and since kings receive their power and sanction from God, their authority was absolute and unchallenged. "The power of God makes itself felt in a moment from one extremity of the earth to another. Royal power works at the same time throughout all the realm. It holds all the realm in position, as God holds the earth. Should God withdraw his hand, the earth would fall to pieces; should the king's authority cease in the realm, all would be in confusion." (Bossuet, 1679) This belief in absolute authority, a megalomania of sorts, reinforced the monarch's stance on the nobility, as they represented a threat to his power and security on the throne.Nobles before Louis' reign were feudal lords, and had the means to raise private armies. This was because the lesser nobles acted as the king's agents and in his name collected taxes, posted edicts and dispensed justice. They and their overlords, the higher nobility, provided armies to the king in times of war as the kings before Louis did not possess a standing army of their own. The higher nobles could also build their own fortifications, which gave them the power to hold their ground if they rose against the king.Louis realized that if the nobility continued to hold so much influence, not only will they tend to rebel and create disorder, he himself would be accorded the status of first among equals, and this he found totally

Saturday, July 27, 2019

To What extent was the Cold War global Essay Example | Topics and Well Written Essays - 2500 words

To What extent was the Cold War global - Essay Example Proxy wars, economic confrontation, spy networks, alliance formation, arms race and technological competition were at their peak during this time. Russia found itself isolated in the world after the revolution of 1917 as most other nations did not concur with the ideological change that had occurred there. The revolutionary leader Vladimir Lenin asserted that Russia was encompassed by a ‘hostile capitalist encirclement’ (Gaddis, 1997). This laid the groundwork for what was to follow, i.e. years of hostility and isolation between differing ideological camps. The arms race that supplemented the cold war resulted in dire consequences for several nations after the dissemination of the USSR. The weapons are still used by terrorist and rebel movements all across the world as both the USA and USSR aim to liquidate their excess artillery in the search of economic returns. Globalization of the War:- The arms race between the Soviet Union and the United States resulted in a stockp ile of nuclear and non nuclear weapons at both ends which cost both parties significant portion of their economy (McNeill and Unger, 2010). Throughout the years of the cold war, both camps continued to pursue alliances with states all across the world. ... Americans and Soviets funded, trained, armed and fought alongside local militaries and forces against others in regional and civil wars that spread across several states including Korea, Vietnam, Afghanistan, Guatemala and Angola. What led to Cold War’s Globalization:- Both camps saw themselves as the embodiments of progress and modernity. The United States had a history of intervention into the affairs of non white people (Westad, 2005). By the eve of World War I, the United States had become a protector and balancer of a capitalist world system, by virtue of its economic might. This meant that it considered intervention its responsibility when it saw the laws of capitalism being ‘violated’. Similarly, the Soviet Union continued to pursue its ideology of expansion of the Russian empire and the modernizing and universalistic claims of Marxism. Soviet leaders sought to spread communism into the third world as a means to successfully confront the United States. (Gud erzo and Bagnato, 2010). Both sides saw themselves as the torchbearers of a global progression and ideological revolution. This is one of the reasons why the intensity of conflict between the two countries was so high (Westad, 2005). Decolonization of the world also provided both sides room for manipulation with newly independent states. These new states saw the cold war as an opportunity to gauge money for their own country to pursue development plans. They also saw economic and ideological models which they could follow (Guderzo and Bagnato, 2010). Both countries tried extensively to align countries towards their respective ideologies however, by remaining non aligned

Friday, July 26, 2019

TCP - People Resourcing and Development Essay Example | Topics and Well Written Essays - 1000 words - 1

TCP - People Resourcing and Development - Essay Example HRM of public sector may be out of control of the costs spent on this and can offer only those rewards that are alternative to the commercial ones. Overell (2003) observes that in such fields as health and education, both push and pull factors are significant, while in governance, extensive use of the agency workforce is mainly caused by internal functional mismanagement, or â€Å"functional turnover† (Torrington et.al. 2008, p. 197). One more factor is merely mentioned with only superficial description: it is systematic change that could have balancing impact on public health sector (Overell 2003). In fact this means that an entire culture of service should be changed. Redman and Wilkinson (2009) are more specific about this situation in public sector (which may also apply to education): â€Å"a healthcare provision has changed from being a citizen’s right to a customer service †¦Ã¢â‚¬  (p.5). Accordingly, health care specialists show less orientation toward work ethics and more self-evaluation in terms of market than they did before. This tendency may be the main factor that forced the authors of the article to unite so different public sector careers as health care and governance in one â€Å"problem†. A 2008 review of the agency working in the UK by EMAR (Employment Market Analysis and Research) reveals that the wages of agency workers tend to be the same or lower than those of full time employees (p.7); that, furthermore, 63% of all agency workers chose this type of occupation because there were no other employment opportunities, and it was only below a third of them that actually did not want a permanent job (p. 13); and that 50% of agency workers â€Å"would accept their temporary job on a permanent basis† (p. 16). This means that working for agencies is actually not a privilege, as suggested by the article, but rather a necessity for good many workers. At the same time, according to the EMAR report,

Thursday, July 25, 2019

Reflective Analysis Essay Example | Topics and Well Written Essays - 1000 words

Reflective Analysis - Essay Example I succeeded in hanging the infusion and had it working properly with no hitches or messes. When I was preparing to leave the patient’s bedside, my instructor asked if I had forgotten something. I panicked silently in my head and mentally reenacted all the steps 4 more times. I paused before answering in the negative. The instructor asked me for a second time, and again I replied in the negative. The dialogue was repeated 2 more times before the patient finally turned to me and politely (and jokingly) quipped , â€Å"She’s obviously trying to tell you something†. I still couldn’t put my finger on it. My instructor said, â€Å"Well, great work on the IV, but if Mr. Green wants to get out of bed to use the restroom or anything else she will have to jump (and maybe fall).† I stared at the bed, and it was still at waist-height! I had become so engrossed in my task that I forgot that the instructor had raised his bed for the IV troubleshoot. I knew that something was amiss somewhere, but the dots wouldn’t connect. My instructor was not the type that corrected students just for the sake, so I immediately felt that I had made a mistake somewhere. The issue at hand was ethical because it was covered in the nursing handbook/code of ethics. As such, I had broken an ethical rule which required that a patient’s bed be lowered to its lowest or most appropriate setting. My values and beliefs in relation to this event are all related to my practice as a nurse. I believe that a nurse must observe the nursing code of ethics at all times. It is the guiding principle of the practice. The issue was a very serious one because it is clearly stipulated in the nursing code of ethics that the nurse must always make the patient feel safe and ensure the patient’s safety by doing things like lowering and raising the bed height as is required. In my case, the bed height had been temporarily raised by the instructor and I

Health Threats From Environmental Pollutants Research Paper

Health Threats From Environmental Pollutants - Research Paper Example Evaporation of seawater has increased and this has resulted in droughts in some regions, and increased rains in other areas. Such unpredictable climatic changes have posed a threat to the economic well being of the developing countries. The rapid nature of these climatic changes has generally caught mankind on the wrong foot (Victor). Food production has been adversely affected, and the sudden and unpredictable changes in the climate have increased the mortality rate amongst those who dwell in coastal areas. It is the principal objective of the Kyoto agreement to countenance these challenges. This agreement endeavors to engender better cooperation between countries, in order to reduce global warming. Nevertheless, the fact remains that the Kyoto agreement is just an initial, though significant, step in this direction and several such agreements have to be implemented (Victor). There are several factors that contribute to water pollution. There are direct and indirect contamination sources, which act as contributory causes for water contamination. For instance, the effluents from industries and factories directly contribute to water contamination. Chemical treatment plants and chemical production units are major water pollutants. These are termed as direct contamination sources. In urban areas, such direct sources contaminate drinking water. Therefore, many countries have taken stringent measures to prevent drinking water pollution. The governments of developed nations have enacted several legislations to prevent industries and factories from discharging their chemical effluents into water sources. Despite these steps, water contamination still continues in most countries (Rubin). Water is chiefly contaminated by the activities of humans.

Wednesday, July 24, 2019

MGT 3250 Essay Example | Topics and Well Written Essays - 500 words

MGT 3250 - Essay Example She told me that the company has one person dedicated to human resource who also performs the accounting duties of the firm. The HR representative cares a lot about the employees. He has weekly meetings with the staff to discuss any problems the employees might be facing. During the meeting the weekly schedule is created by the HR representative. If any employees need a change in schedule or a day off they must notify it to the HR representative during the meeting. The opinion of Don regarding the HR department was different. He said that in his company the HR department is a waste of money. According to Don they did not do anything to benefit the company. He once went to the HR department to discuss a family problem, and instead of getting help from them the HR people did not take his request seriously and they did not let Don take two days off to accompany his wife to another state hospital for an operation. The HR resource function is very important in all business organizations. The human resource department performs critical functions including recruiting employees, training and development, employee evaluations, scheduling, conflict management, protecting the rights of the workers, and improving the organizational culture (Youngmanager). The HR department can help develop the human capital of a firm. Companies that have ineffective human resource departments will not perform as well as firms that effectively use the HR function to obtain a competitive advantage. HR policies free managers from having to make decisions in areas which they have less competence or on matters with which they do not wish to become involved (Ivancevich). Personally I am interested in the recruiting aspect of human resources. The reason this topic is interesting to me is because recruiting is a critical function that can help a company attract talented employees that can make a difference in the performance of the company. If I worked in human resources I

Tuesday, July 23, 2019

Comparison of Marge Piercy and Kate Chopin articles on Women's Essay

Comparison of Marge Piercy and Kate Chopin articles on Women's Oppression - Essay Example As the essay states the work by Piercy presents the women's oppression by use of symbolism. The woman in the context is as the Bonsai tree which is and not allowed to grow and attain maximum height. The desired height of the tree by the gardener is nine inches, which represent absolute oppression when elaborated by the tree height. The height of the tree is a metaphor to represent the nature and the level of oppression meted at the women by male world. Despite limiting the growth of the woman, the gardener reasons in the concluding instance of the story, that the woman is lucky to have him because he considers the woman as domestic and weak. According to the report it is clear that compared to A story of the hour by Kate Chopin, the poem represents oppression using absolute symbolism, but both stories elaborate the role of men in the oppression and struggle for liberation. The failure in women's liberation is by the trust and love they profess to have. The difference between the poem and the story is based on the actions taken by women in the story. In both cases, they do not take any action to overcome the situation. The Kate Chopin story reveals oppression using a marriage setup. The marriage of Louise Mallard to Brently and perceived death of Brently is the focus of the story. The perceived death in a rail accident helps to build the women's oppression. In the story, after learning of the death, Louise uses the word â€Å"free† to illustrate the oppression in her marriage.

Monday, July 22, 2019

Perspectives on conflicts and disputes Essay Example for Free

Perspectives on conflicts and disputes Essay Legal positivists postulate that individuals are intrinsically greedy, which is the main root of conflicts among them. Thomas Hobbes posits that beings are doomed to dispute because of their primeval nature, which is deduced to selfishness that causes them to struggle to maintain their social status. In this milieu, Charles Darwin furthered this stance by conjecturing that species’ selfish ways are embedded to their genes because life is nothing but a struggle for survival. To curtail this selfishness, law is of necessity because only it provides rules and restrictions to protect the interest and upholds the rights of each individual. The advancement on the epistemological aspect of conflict starts at the ontogenetic condition of the specie and continues in its phylogenetic condition. Ontogenetic state means that the being develops from the conception of its genes up to the end of its life cycle. Conversely, phylogenetic event transpires in between of the beings conception and death, meaning the individual develops throughout the time it exists. Therefore, Homo sapiens understanding of conflict’s anatomy begins at phylogenetic level and its full comprehension happens when Homo sapiens reaches the end of ontogenetic level. The epistemic acquisition of conflicts thrives in human playground or to events and settings that necessitates human actions and interactions. Conflicts undergo a succession that perpetually exists within the life-world of beings such as their surroundings, environment, politics, business, science, etc. Having drawn this conclusion, we can infer that in existing innumerable of conflicts there is a myriad of ways of resolving it. Conflict is impossible to annihilate because of the following reasons: first, it thrives at the very heart of human volition, which is the source of human selfishness, and second, it has been part of human psyche to transfer it from one generation to the other, which resulted to a vicious cycle within the epistemic system of conflict. And throughout history, individuals have learned the art of conflict, and some even mastered the usage of conflict in their everyday lives. Handling conflict is very vital to human existence because it can totally change the landscape of one’s own existence. The coming of twentieth century proved that beings are becoming more and more aware of how to comprehend the nitty-gritty details of conflict, and what are the effective means of handling conflicts. There is no panacea that will medicate continuous existence of conflict, but humans strive to find a better solution to satisfy the needs of a prominent conflict because they are challenged by the difficulty it embodies. It must be noted that conflict is getting more complicated as time passes by, which means that better solution must be concocted to counter-attack more severe problem. The vastness of the universe implies a far more serious condition because the contingency of the world can necessitate an unknown conflict, which greatly needs a novel constructs or to put it simply, man has to go out of the box to resolve a new or unknown prevailing issue. This kind of conflict serves a greater challenge to human reason because it is something that our very reason has not yet encountered. The enigmatic characteristic of such new issues demands transcendence in our rationality. Using Karl Marx philosophical stance, we can infer that conflict has a crisis-response blueprint or a thesis-antithesis pattern. Multiplicity of conflicts has evolved into a more complex manner within the continuum of time, as well as the individual effort to manage and to elucidate it. In order for a human specie to understand the mechanism of conflict, he/she must know its intrinsic values, and in doing so, he/she can decipher appropriate solution for different conflicts. The epicentre of conflict lies on the innate nature of man and its solution lies on the rules that have been drawn to curb the natural operation of human volition. Development is the life-source of conflict, ironically speaking, the more we formulate means to make life easier the more we recognize new conflicts. In the primeval condition of humanity the only existing problem is the source of food, and then it further develops into the issue of territory, and finally when men resolved these issues another conflict sprouted when they realized the significance of property. The birth of science and technology intensified the man’s struggle to annihilate conflicts. Science and technology successfully medicated the prevailing conflicts of our society but it also paved for the birth of novel conflicts, and in some condition aggravated an existing issue. As of this modern day period, science and technology provides a myriad of solutions in human crises in the field of poverty, education and medicine. But it also exacerbates war between nations because technology brings forth weaponry of mass destruction. Man by Nature is Selfish According to Richard Dawkins introduction in his book The Selfish Gene, man’s attitude is greatly affected and designed by our genetic composition. Our genes made us. We animals exist for their preservation and are nothing more than their throwaway survival machines. The world of the selfish gene is one of savage competition, ruthless exploitation, and deceit. But what of the acts of apparent altruism found in nature the bees who commit suicide when they sting to protect the hive, or the birds who warn the flock of an approaching hawk? Do they contravene the fundamental law of gene selfishness? At the onset of Dawkins book, he clearly stipulated that all species either man or animals are machines fashioned by their genetic design. As mentioned earlier, Hobbes believes that men are naturally born selfish, and it is the same in Dawkins case. According to him, the selfishness of man is deeply embedded in our genes, and due to this we must learn the virtue of generosity and altruism because if we failed to do so, men will perpetually live on catastrophic state. Dawkins stance must not be misconstrued as an ethical justification of human behaviour or a moral treatise that must be followed since his insight is loud and clear; that men are selfish because of their genes, no more, no less. Having said this, it is a challenge for us to control it if not exterminate it because we are the only species who can desired to do it. In the furtherance of man’s selfish genes, Dawkins incorporated Darwin’s biological conjecture that man is doomed for the battle of its own survival. However, the former believes that survival is not controlled by man; rather man is machinated by genes to strive for its own survival. The genes are the building blocks of human existence, it is the one that created us, and these genes even dictates how we should reason out. Men are innately selfish for the sole reason of life preservation or prolongation. They are willing to do everything just to ensure that their interests are satisfied. Satisfaction of interest is tantamount to the validation of one existence. This is the embodiment of human existence, chaotic and full of struggle. The machination of individual is further elucidated by Dawkins through his explanation of gene mechanism. Dawkins adopted G. C. Williams’ definition of genes, which stated that gene any portion of chromosomal material that potentially last for enough generations to serve as a unit of natural selection . The deoxyribonucleic acid (DNA) of man thrives within our body. It must be noted that DNA is not contained in a particular body parts rather it is widely disseminated within our cells. Approximately speaking, a human body is made of a thousand million cells, and each of these cells contains an exact blueprint of all DNA in our body. The significance of the ontogenetic control of genes is its capability of self-continuation and self-propagation, meaning, genes can preserve itself under the condition of numerous struggles. The survival of genes lies on the efficiency and power of our corporeal body, which they inhabit for its own development. The existence of each human species is not everlasting, it is ephemeral. Dawkins uses an analogy wherein each card in a deck represents the genes. According to him, when a deck of card are being shuffled they undergo a process of survival. And this process of survival is exactly the mechanism of genes wherein every time they are shuffled a gene only assumes the position of another gene, instead of being destroyed, and after the shuffling process genes are still genes that continue to march on. Dawkins draws a conclusion from this analogy, which stated that genes are basically the replicators and we are their machinery for survival. And when we have fulfilled our function we are automatically became useless, but gene will perpetuate its existence because it is a denizen of geological time . In view of that, Dawkins also posits that gene is the basic unit of survival because it competes for its own preservation against their alleles for a slot in the chromosome. With this picture, we can infer that genes struggle for survival of future generation in the gene pool in the expense of its own alleles. Therefore, selfishness is indeed the fundamental foundation of selfishness. The genes are the master programmers, and they are programming for their lives. They are judged according to the success of their programs in copying with all the hazards that life throws at their survival machines, and the judge is the ruthless judge of the court of survival . This phrase only strengthened Dawkins claims that man is nothing but a machinery of genes for its own survival. As pointed earlier, man is different from other specie because a human being has a will power and reason, meaning man can go against the dictate of its gene i. e. a person can choose not to reproduce. In addition, reason has its own domain wherein it has the capability to manipulate habitual operation of gene machine, to envisage what lies beyond its own future, and most significantly, to act according to its own course of nature. Because of rationality, gene machinery is able to be in command of outlining what direction individuals must follow. Rationality can curtail the dictate of gene, meaning, a person can transcend his/her selfishness and reach the condition of being generous and altruistic. The emancipation of man from his selfish nature is only possible if and only if he succumb himself to an agreement. Being established that human beings to be innately selfish also indicate that they are self-regulating. But generosity and altruism can only be actualized if the self-regulating beings surrender their self-regulating prowess. Selfishness is the anti-thesis of the said virtues but because of rationality human beings will submit to an agreement to satisfy the insufficiency of self-regulation. The universal antidote for this insufficiency is the construction of law through its rules. In the vein of Hobbes social contract theory, man must give in to an agreement to restrain his natural tendencies, but he must only surrender to a contract if and only if others will surrender to it in equal footing. But in the provision of rules it is a prerequisite to understand the intricate schema of conflict. The Role of Rules In Using Conflict Theory, Otomar Bartos and Paul Wehr claim that in the wide range of epistemic knowledge regarding conflicts there are two guiding principles that must be comprehended: one, to concentrate on general theories, and second, to carry out these theories on a simplified fashion. The former necessitate an application of theories to innumerable types of conflicts. While the latter focuses on the specific arguments or application of the former. One good example of general theories is elucidation of poverty in the third world countries using the framework of dialectical materialism by Marx. If we convert this general theory into a simplified manner, one must look at the specific causes of poverty such as shortage of natural resources, lack of capital, misallocation of funds, graft and corruption, and the likes. If one is successful in outlining the appropriate general theories in an existing conflict, then he/she translates these theories in its simplified form. And if this will be the case, then concoction of rules will be easier. Rules must embody the principle of the entire society and it must cater to the needs of its citizenry. Rules can be perceived in two ways: Kantian or Utilitarian. Immanuel Kant posits that rules must be made in the context of universal imperative, meaning it must not be used as means of advancing one’s interest rather it must be created for its own sake and for the goodness and betterment of humanity. In lieu to this, Utilitarian advocates such as J. S. Mill argues that rules must be conceptualized in the essence of achieving the goodness of the majority and resulting to the production of best consequences. Kant postulates that a rule must be encompassing and must not reside on the band wagon of majority votes because it contradicts the reason of man, and because number of votes does not imply truth. For example, killing another being is morally unjustified is a universal rule because it affirms the importance of life, which is true to all beings. Conversely, J. S. Mill believes that rules are justified if and only if the â€Å"greatest happiness for the greatest number of people† is reached. But it must be noted that utilitarian theory also entails a qualitative measurement through the intensity and duration of happiness, meaning, it must have greater impact to the society and its intensity must last for the longest time if not forever. For example, death penalty can be either permissible or impermissible depending on the context of society, but the point is, morally justifiability of death penalty lies on majority votes since it can serve the interest of more people. There are voluminous conflicting issues regarding these theories because both of them are in extreme opposition. Kant rejects utilitarianism because it does not uphold a consensual quest for universal truth and it only served the interests of the majority of population in a given social context. On the other hand, utilitarian advocates refute the Kantian theories because of its impossibility or tedious system in knowing the universal truth. But in the modern day period, utilitarian theories are more adopted than Kantian theory because it is more feasible in creating rules for present conflicts and for future conflicts. In most cases, before a rule can be ratified it must undergo an election and must meet certain number of votes to quantify its validity i. e. three-fourths of the voting population or majority votes. But it must be noted that most rules fashioned in utilitarian perspective must follow a universal precept so that it will not contradict the constitution of a specific nation. For example, murder is universally not accepted, which one of the reason why death penalty is not easy to endorse because it contradicts a universal precept, though some countries provided an reasonable exemption on the matter, killing will still be universal precept that they must consider. Rules main goal is to promote the interest of every individual as possible as it can, and to restrict the selfish ways of human beings, in order to maintain an ordered society. Because of this guideline, law has delineated the scope of public and private sphere to guarantee the possibility of generosity and altruism. Public sphere is far more superior to the private sphere because the former promotes national interest and the welfare of the entire populace. Law provides countless rules to reinforce the supremacy of public sphere, which is the apparent implication on the significance of reason. Rules are the product of our reason to rebel against the dictate of our selfish genes. In the furtherance of rules, justice must be encapsulated in its formulation to ensure an effective implementation of it.

Sunday, July 21, 2019

The Organisational Culture At Enron Corporation Commerce Essay

The Organisational Culture At Enron Corporation Commerce Essay This paper analyses the Enron organisation culture and the key issues that eventually led to the Enron Corporate debacle and why it is so vital that top level management is the main proponent of this culture shaping lower level employees behaviour of moral reasoning. Moreover, as there is a need to understand how the different types of cultures may effortlessly help business to perform, this essay will identify the type of Enrons corporate culture through applying the assessment instruments developed by Cameron and Quinn (1998). In todays business environment the culture has huge impact on organizations performance. It is widely recognized by the managers, that the adoption of organisational culture as an effective control tool, gives the opportunity to affect on what people think, believe and value (Ray, 1986). It is commonly known that different organisations have typical cultures. The culture of a group can be defined as: A pattern of shared basic assumptions that the group learned as it solved its problems of external adaptation and internal integration, that has worked well enough to be considered valid and therefore, to be taught to new members as the correct way to perceive, think, and feel in relation to those problems ( Schein, 1993: pp373-374). Organisations develop their own culture through history and structure that gives a sense of identity. Therefore, every culture possesses its own traditions, knowledge, art, moral issues, law, customs, and any other capabilities and habits acquired by individual as a member of society (Tylor, 1970).It ascertains, through the beliefs, values and norms the way how things are done around here (Mullins, 2002: p802). Organization theory scholars distinguish that organizational cultures associate to the concept of an organization. However, Huczynsk i Buchanan (2001: p627) argue that the facade symptom of culture are its most visible and most accessible forms, which are the visible and audible behaviour patterns and objects. In the case of Enron, the analysis for the companys downfall moved well beyond financial and economic debate as the corporate culture was shown to be a main reason and contributing issue (Rapoport Dharan, 2004). The society got a shockwave when it came to that Enron was seen to be an example of corporate citizenship and ethics previous to its fall down (Sims Brinkmann, 2003) while in reality the company was cheering a culture for back-biting management possessed with exhibiting short-term profits and inflating the companys stock value. Sims and Brinkmann (2003) point out that this difference between the culture shown to the public and investors and the values being enacted within the organisation is an example of the conflict that can be found between levels of culture within an organisation as suggested by Schein (1985). Conducting the further analysis of the Enrons downfall it is vital to identify the organizational culture that the company could be identified with. Hence, in accordance to Cameron and Quinn (1998) and their developed marking criteria, there are four types of organisational cultures identified which include collaborate (clan), create (adhocracy), control (hierarchy) and compete (market) cultures. After close research and analyse of the types of organisational cultures and relating the criteria to the case study it shows that Enron applied a compete culture, which to some extent, brought the company to downfall.  Compete (market) organizations are focused on relationships- in particular, transactions-with suppliers, customers, contractors, legislators, consultants, regulators, etc. Through efficient external dealings they feel that they can best achieve suc ­cess. Compete (market) organizations are concerned about competitiveness and efficiency through accent o n partnerships and positioning (Cameron and Quinn, 1998). Enron executives spent more time distressing about reputation and getting ahead than trading with the everyday business processes needed to prolong the company.  The top managers believed Enron had to be the best at everything it did. When there existed failures and losses in their business performance, what they did was covering up their losses in order to protect their reputations instead of trying to do something to make it correct. In the case of Enron, the mutual goal of winning that is frequently anxious in compete culture organizations, did not translate past rough business deals and unethical business practices. In Enrons case, its corporate culture played an important role of its collapse. It was culture of greed and moneymaking In Enron, greed was good and money was God. There was a little regard for ethics or the law. Such attitudes infused the whole company from the top down to individual workers. Organisational culture supported unethical practises- corruption, cheating, and fake practices were widespread. Many executives and managers knew that the company was following some illegal and unethical practices, but the executives and the board of directors did not know how to make the ethical decisions and corporate ethical culture. Creative accounting and misleading profit reports were a matter of everyday procedure. Denial and reputation management enabled them carry on their unethical and often illegal activities. In addition, if the company makes huge profits in unethical way then individual who joins the organisation would also have to practice unethical things to survive in the compa ny. The management was blinded by greed and ambition, their decisions became seriously flawed. Thus company fell back and managers had to pay in the form of fines and imprisonment. Thus, disregard to organisational culture and mismanagement in huge proportions and, mainly, greed is among the key factors that brought the Enron the most innovative company to downfall. Enron was looking into the ways of getting bigger, greater and more progressive than the other companies at that time. And it seemed to be really well on the way to that target. However, the analysis of Enrons organisational structure reveals that top managers of any organisation at all times must be responsible of everything that happens in their company. Hence, the Enrons top manager (Kenneth Lay) did not have his objectives, right interest and mission in the organisation. But the success of the business depends on the executives abilities to leadership, influence on others and how the real interests and goals are foll owed by. K. Lays position as a chairman was just a title for the company and as evidence of that is the action of passing along the responsibilities to the Jeff Skilling. That could be seen as the countdown of the organisational structure breakdown which is related as the key issue to all the businesses. A wise decision-making abilities and achievement of organisational objectives truly correlates with the companys organisational structure. In Enron case, people responsible for making such wise and important decisions were obviously those from the top of the management; however they did not really possess any of the productive objectives in their minds. The final decision-making was left for the chief financial and chief operating officers whose ability, in the other hand, excluded any sense of any kind of the responsibility for the consequences could occurred. The basic interest, as it seems from the case study analysis, was the financial profit- money. Thus, decision-making was easily blinded with the quantity of the business deals made and money seen, without any of the consideration of the future problems of the organisation, such behaviour could cause. According to Reh (2002), It is the leaders job to provide the vision for the group. A good executive must have a dream and the ability to get the company to support that dream. But it is not enough to merely have the dream. The leader must also provide the framework by which the people in that organization can help achieve the dream. This is called company culture (p.1). Generally, corporate culture refers to the prevailing implicit values, attitudes and ways of doing things in a company. It often reflects the personality, philosophy and the ethnic-cultural background of the founder or the leader. Corporate culture dictates how the company is run and how people are promoted (Wong, 2005, p.185). The leadership of the Enron could not cope with providing the guidance to help the business to survive. Hence, that is the clear evidence that Jeff Skilling proclaimed the Enrons corporate culture- the culture of greed, corruption and deception. He wanted profits at all cost, in addition the hiring practices became obsessed with finding aggressive, greedy, unethical employees who could deliver on the organisations demand for short term profits. There is a direct connection between the way a business and its people conduct themselves and the leadership within it. There was no respect or responsible decision-making in the Enron. The management of the organization was totally broken down by the companys executives, who displaced their responsibilities to unprofessional staff and there was no rigorous standart of the performance for their business. The senior management failed to maintain a relationship of openness and trust with employees. Staff members who questioned the wisdom of some of Enrons decisions and practices were either ignored or silenced. Senior management cared more about self-enrichment than the needs of employees. They showed little regard for meaning and ethics beyond the bottom line (Wong, 2005, p.185).And when the top managers turned a blind eye on the legal aspects when performing financial operations, the clear message of the tolerance of the illegal practices was sent. After analysing the case study I suggest that the most important lesson is that corporate culture matters it can either bring prosperity or disaster to the organization. A company needs to promote an organisational culture with moral way of thinking as Peters Waterman (1982: p75) points out that without exception, the dominance and coherence of culture proved to be an essential quality of the excellent companies. This culture should be top level management as they are key figures, which employees will follow. If executives of a company consider the short term bottom line to be the most important factor to success then lower level employees will soon get the message and acquire the game rules. This environment is exposed to the actions such as intentionally breaking the rules, if results cannot be achieved within the legal framework. From studying the Enron case it is seen that collapse was brought on by a lack of respect, lack of concern of management and real goals. To point out that the enormous amount of losses of the company destroyed the lives of the Enrons employees and the investors who trusted and heavily invested in the business. After all taking on to account that organisational culture is able to bring an enormous difference and guide the organisation to success and prolong reasonable rewards (Hoecklin, 1995) by possessing effective management (Miroshnik, 2002), the Enrons example demonstrates that when there is unhealthy corporate culture in the company which lacks the true leadership, true interests, true goals, wise decision-making and the main issue is greed for money, then such a business is exposed to become the bankrupt.

An Overview Of Peptic Ulcer Disease Health Essay

An Overview Of Peptic Ulcer Disease Health Essay Peptic ulcers are one of the most common gastrointestinal tract disorders. The recent past few decades have witnessed an increase in the rate of peptic ulcers occurrence in our human community (Thompson, 1996). It has evidently been shown from available statistics that an approximated over 10 percent of the human population are extremely at risk of suffering from the disease at some point in their lifetime (Cohen, 2007). Such statistics have also identified that peptic ulcers is more common in men than in women. This is attributed by many to the higher numbers of men engaged in alcohol drinking and cigarette smoking in the society compared to women (NDDIC, 2004). A peptic ulcer is a sore wound or red erosion area on the coating lining of the stomach called (gastric ulcer) or the small intestine called (duodenal ulcer). Duodenal ulcers tend to occur between the ages of 25 75, while gastric ulcers peak between the ages of 55 and 65. Other causes which have been associated with the dis ease include infections by helicobacter pylori. This is a bacterium which is known to attack the gastrointestinal tract thus leading to ulcers. However, it should be noted that genetic factors have also been claimed to cause peptic ulcer. There are many effects of peptic ulcer in the human body. Such include recurrent pains along the gastrointestinal tract, vomiting heartburns poor appetite and weight loss among others (The American College of Gastroenterology, 2009). It should however be realized that with our modern advancements in the medical field the treatment of peptic ulcers is now effective and sufficiently reliable. Such treatments might involve medication, dictated lifestyle, dietary supplements and undergoing surgical operation depending on the severity of the condition. Peptic Ulcer Disease Peptic ulcer disease had a great effect on morbidity and mortality until the last decades of the 20th century, when epidemiological trends started to point to a remarkable fall in its incidence. In addition, two important developments are associated with the decrease in rates of peptic ulcer disease: the discovery of effective and strong acid suppressants, and of Helicobacter pylori. The treatments of peptic ulcer disease have been changed with the discovery of the causes of peptic ulcer (Malfertheiner, P. Chan, F. McColl, K. 2009). Although significant advances in sciences, this disease remains an important medical problem, because the large use of non-steroidal anti-inflammatory drugs (NSAIDs), excessive smoking, increase alcohol consumption, and life style that increase the risk of the disease. Therefore, this explains the reason for choosing this topic in order to promote healthy behavior and improve health outcomes throughout lifespan by giving attention to the preventive measures. This paper is written as a critical analysis and discussion of peptic ulcers disease. It gives a discussion on the causes and effects of peptic ulcers in the human body. Still discussed are the signs and symptoms, diagnosis, treatment and prevention of the disease as well the common types of peptic ulcers that are found in the society. Peptic Ulcers Overview First is a definition of peptic ulcer and its types. An ulcer can be defined as; an area in digestive system where the tissue has been damaged or destroyed by stomach acid and other digestive enzyme. Peptic ulcer disease is a common term for ulcers that occur either in the stomach or upper part of the small intestine. A peptic ulcer is a lesion or open sore in the wall of the gastrointestinal tract. The digestive enzyme which is acidic and is secreted by the stomach cells oxidized the lining of the stomach or upper part of the small intestine (duodenum) causing ulcer. Therefore, eroding can be seen in the mucous membrane which is lining the digestive tract. Moreover, this will lead to cause a gradual breakdown of tissue. This breakdown causes a concerning or burning pain in the upper middle part of the abdomen (Stratemeier, 2009). Even though most of peptic ulcers are small in size, ulcers average between one-quarter and one-half inch in diameter they can cause a significant amount o f symptoms and discomforts. It is to be noted here that the pain caused by peptic ulcers is recurrent and may come and go for a few days or weeks but mainly goes after eating. In addition, there are two different types of peptic ulcers namely; duodenal ulcers and gastric ulcers. Stomach or gastric ulcers is the type of peptic ulcers which mainly affects the stomach while duodenal ulcers affect the upper most part of the small intestine near the stomach. Ulcers can happen at any age, although they are rare in children and teenagers. Duodenal ulcers usually occur twice as common in men more than women. On the other hand, stomach or gastric ulcers usually occur in people older than 60 years and are more common in women (Stratemeier, 2009). It is difficult to estimate exactly how common peptic ulcers are because so many people they will not suffer from any symptoms. However, a study that tested 1,000 adults at random found that four per cent of them had a peptic ulcer (NHS Choices, 2009 ). Causes Second is a discussion on the causes of peptic ulcers. To start with, in the normal lining of the stomach and small intestines there are a protective process from auto digestion by the gastric mucosal barrier, this gastric mucosal barrier will prevent the irritating acids from diffusing back to the underlying tissue. This defensive process can stop working properly, and the lining of the stomach or intestine breaks down for different reasons. Scientific evidence has sufficiently proved that peptic ulcers are caused by the malfunctioning of the stomachs natural lining protection mechanisms against the damage effects of digestive juices (NDDIC, 2004). Such malfunctioning have been claimed to be caused by a number of factors, like is the helicobacter pylorus, a bacterial organism which is the most frequent cause of peptic ulcers. This bacterium mainly eats the protective lining of the gastrointestinal tract. This allows the digestive juice produced by the human body to damage the inner and sensitive part of the stomach or duodenum lining thus causing pain. Just to be stated here is the evidence that though helicobacter pylori is the most common cause of peptic ulcers, there are many people in our population living with the bacteria but do not exhibit signs of the disease (Thompson, 1996). Still clear is that H. pylori is believed to be transmitted through oral to oral contact, so those living in crowed areas increases ones chances of contracting the infection. Another common cause of peptic ulcers is the continuous use of painkiller drugs such as, aspirin, ibuprofen, naproxen or other non-steroidal anti-inflammatory drugs. Scientific evidence has clearly shown that such drugs are highly acidic and thus can easily lead to the wearing out of the digestive system lining (NDDIC, 2004). Still evident is the fact that this type of drugs blocks the flow of prostaglandins in the human body. It should be understood that this is the substance which is responsible for helpin g the flow of blood in the stomach and thus it helps in protecting the stomach from injury. This means that such drugs can compromise the stomach lining protection mechanism of the body and thus risking the occurrence of peptic ulcers in the body (Lanza, Chan, Quigley, 2009). Other causes of peptic ulcers include Zollinger-Ellison syndrome. This is commonly said to be a condition in which the pancreas and duodenum which are responsible for the production of gastric acid have a tumor. Such leads to the excessive production of gastric acid which is responsible for digestion of food in the stomach, a factor which might risk causing ulcers (Dugdale, D. Zieve, D. 2008). In adding together, it has been evidently noted that peptic ulcers are genetic. Therefore, if you have a family history of ulcers or the blood type O, you are more likely to get a duodenal ulcer (Shayne Miller, 2009). Still established is the fact that cigarette smoking and excessive intake of alcohol are not only a ca use of peptic ulcers but also a great threat to the efficient treatment of ulcers. Apart from the many causes of peptic ulcers, are any thing that leads to the direct damage of the digestive wall lining. Such might include physical injury or even radiation therapy. Likewise, a very sick patient who is on a ventilator support is at high risk for a condition called stress ulceration. It is here to be noted that unlike many belief, diet has not been scientifically proven to cause peptic ulcers (Dugdale, D. Zieve, D. 2008). The last and most common factor to peptic ulcers is living in chronic stress or depression (Shayne Miller, 2009). This has been claimed to lead to the excess production of digestive acids thus eating out the stomach lining. Sign and Symptoms Thirdly is a discussion on the signs and symptoms of peptic ulcers. The most common symptom of peptic ulcers is having recurrent abdominal pains which are marked with a burning sensation. Such pains are located in the upper middle part of the abdomen. Also it can be felt like burning or gnawing and it may radiate to the back. It can be aggravated when the stomach is empty, and can worse at night and early morning. Another sign is the constant experiencing of heartburns and indigestion. It is to be noted that though peptic ulcers are more painful when the stomach is empty, such are a leading cause of lack of appetite and vomiting on the individual. Peptic ulcers are also attributed to the sudden loss of body weight in (gastric ulcer) because eating does not relieve the pain and could still worsen it. Yet (duodenal ulcers) will lead to gain weight because the patient eats to relieve pain (Lanza, Chan, Quigley, 2009). Other symptoms of peptic ulcers include the following: discomfort, B loating, and feelings of fullness. Added more symptoms are, feeling of an empty in the stomach, regurgitation (feeling of acid backing up into the throat), and belching. Still to be noted is that peptic ulcers have been closely associated with chest pains and feelings of fatigue. It should however be noted that some symptoms like sudden increase in abdominal pains, vomiting of blood and blood in stool are considered as critical signs of chronic peptic ulcers. All this signs are symbolic of the possibility that ulcers have either broken a blood vessel or perforated the stomach or duodenum walls. Such could also be as a result of the blockage of food from moving from stomach into the duodenum and thus causing vomiting (The American College of Gastroenterology, 2009). Effects of Peptic ulcer Peptic ulcers have many effects in the victims life. The most common is the fact that ulcers in most cases can not be full treated. They are usually recurrent particular to alcohol abusers and smokers. Just to be stated is that the majority of people with chronic ulcers experience considerable pain and sleeplessness; this can have a remarkable and adverse impact on their quality of life (Thompson, 1996). Another effect of peptic ulcers in the body is that they can lead internal bleeding especially when they perforate the stomach lining or break a blood vessel. Peptic ulcers can cause the ultimate obstruction of the gastric outlet, stomach and intestines as well as leading to the inflammation of tissues lining the abdomen. This leads to a serious health complication which might call for a surgical operation or even death (Cohen, 2007). Peptic ulcers if not treated early enough can penetrate into other internal body parts like liver as well as the pancreas and cause severe back pain. I t has also been found out that peptic ulcers can lead to perforation of the wall of the digestive system thus leading to the spilling of digestive system contents into the abdominal cavity. Such are very catastrophic to the patients life as can lead to acute peritonitis (The American College of Gastroenterology, 2009). It should also be noted that peptic ulcer can lead to the swelling of the abdominal wall thus compromising the free flow of food in the digestion system. Lastly, it has been established that peptic ulcers are a great contributing factor in causing peptic cancer. Such could mean a lifetime health complication on the person. This is because even after undergoing surgery operation for treating the problem, it is rarely possible for the individual to fully assume his or her normal lifestyle (NDDIC, 2004). Diagnosis Owing to our modern advancements in technology and medical research, the diagnosis, treatment and prevention of peptic ulcers has been made easier and more reliable. The diagnosis of peptic ulcers mainly involves an interview by the doctor to identify the presence of the many symptoms and signs of the condition. Such include recurrent abdominal pains, vomiting and blood in the patients stool (Cohen, 2007). It should however be noted that for a doctor to qualify a patient to be suffering from peptic ulcer requires for a number of medical tests. The first is the esophagogastroduodenoscopy which involves the insertion of a thin tube attached to a camera through the patients mouth into the digestive system. This helps the doctor to see the presence of sore in the stomach and small intestine walls. It should be noted here that helicobacter pylori is the most common cause of peptic ulcers (NDDIC, 2004). It is due to this reason that the doctor might take a biopsy from the patients stomach walls to test for the presence of the bacterium. Another test which is conducted is the upper G1 test. This involves a series of x-rays on the patients abdomen and is usually conducted after the patient has taken barium (Shayne Miller, 2009). It should be understood that the doctor might also request for a laboratory test of both blood and stool. The stool test seeks to establish the presence of blood in the patients stool while the hemoglobin test checks for anemia. All this tests are conducted as a way of ascertaining the level of the condition which helps in deciding the type of medication to be used. Treatment Treating of peptic ulcers has been greatly improved not only due to our medical advancements but due to the identification of the two major causes of disease among other risk factors. The treatment of peptic ulcers is mainly conducted as a concern for eliminating the underlying causes of the disease. This is because such an approach prevents any further damage and thus reducing chances of reoccurrence of the condition. Therefore, medication is mainly given for eliminating the helicobacter pylori bacteria as well as helping the body overcoming the symptoms of peptic ulcers. Many antacids are available without a prescription, since they are the first drugs suggested to alleviate heartburn and mild digestive disorders. Antacids are not useful to prevent or heal the ulcers; however they are able to assist in the neutralizing stomach acid. When the cause for the ulcer is H. pylori infection, a three-drug course of therapy for two weeks is the standard therapy for curing. This three-drug c ourse of therapy consists of two antibiotics and a proton pump inhibitor (PPI). The most common antibiotics usually used to treat H. pylori infections are amoxicillin, or metronidazone. Proton pumps inhibitor (PPI) therapy (such as omeprazole or lansoprazole) these are drugs that reduce acid secretion by inhibiting the gastric acid pump. Other medications may include one or more of the following: Acid blockers (such as cimetidine or ranitidine) (NDDIC, 2004). However, if a peptic ulcer bleeds severely, an Endoscopy might be needed to stop the bleeding. Otherwise if the bleeding cannot be stopped with an Endoscopy, surgery might be essential. This involves the physical removal of the sores in the stomach or duodenum through endoscopy. A further surgical procedure is vagotomy which is cutting one or more branches of the vagus nerve to reduce hydrochloric acid secretion (Dugdale, D. Zieve, D. 2008). Apart from medication and surgery as ways of treating peptic ulcers, doctors usually a dvice on self-control from risk factors by the patient. These mainly include alcohol abuse and cigarette smoking as well as changes in diets. It has been evidently proved that taking of foods rich in fibers greatly reduces chances of sustaining peptic ulcers Prevention It should be noted that prevention is better than cure. It is therefore mainly advised that people avoid risk factors which can lead to peptic ulcers. In the past, it was broad way to tell people with peptic ulcers to change the way of eating habits by consuming small amount of meals, and frequent amounts of bland foods. Also people can stay away from peptic ulcers by avoiding things that increase stomach acid secretion and break down the stomachs protective barrier. These things include alcohol consumption, cigarette smoking, and non steroidal anti-inflammatory drugs along with aspirin. For preventing H. pylori caused peptic ulcers, people are advised to avoid living in crowded places, avoid contaminated water or food, and stick to strict principles of precautions as well as personal hygiene (NDDIC, 2004). Furthermore some evidence suggests that exercise may help reduce the risk for ulcers in some people. Other than, stress relief programs have not been shown to promote ulcer healin g, but they may have other health benefits (Stratemeier, 2009). In conclusion, it has been evidently established that peptic ulcers is becoming a common disease across the globe. Which can affect quite a lot of people especially Cigarette smokers and alcohol consumers. In addition the main causes of this disease are helicobacter pylori and non-steroidal anti-inflammatory drugs. It has however been clear recognized that there are many risk factor to the disease. Men are more victims to the disease as opposed to women (NDDIC, 2004). Such have been mainly attributed to genetic and hormonal composition of men as well as to the high prone rate of men to risk factors as compared to women. It was also clear that the ulcer caused by numerous reasons, and these reasons leading to several effects such as bleeding, perforation, and obstruction. However, peptic ulcers can be cured and even prevented if the patients are ready to modify their lifestyle and stick to their drug remedy. At last, the need for health educational activities is compulsory to increase the perception and awareness about the disease in the society. References Cohen, S. (2007). Peptic Ulcer Disease. Retrieved December 25, 2009, from http://www.merck.com/mmpe/sec02/ch013/ch013e.html Dugdale, D. Zieve, D. (2008). Peptic Ulcer. Retrieved November 25, 2009. from http://www.healthline.com/adamcontent/peptic-ulcer Lanza, F., Chan, F. Quigley, E. (2009). Practice Parameters Committee of the American College of Gastroenterology. Guidelines for prevention of NSAID-related ulcer complications. Am J Gastroenterol, 104, 728-738. Malfertheiner, P. Chan, F. McColl, K. (2009) Peptic Ulcer Disease. Retrieved November 25, 2009. from http://www.thelancet.com/journals/lancet/article/PIIS0140-6736(09)60938-7/abstract National Digestive Disease Information Clearinghouse. (2004). H. Pylori and Peptic Ulcer. Retrieved November 30, 2009, from http://digestive.niddk.nih.gov/ddiseases/pubs/hpylori/hpylori.pdf NHS Choices. (2009). Peptic Ulcer. Retrieved November 25, 2009, from http://www.nhs.uk/conditions/peptic-ulcer/Pages/Introduction.aspx Shayne, P., Miller, W. (2009). Gastritis and Peptic Ulcer Disease. Retrieved December 25, 2009, from http://emedicine.medscape.com/article/776460-overview Stratemeier, M. (2009) Peptic Ulcers. Retrieved November 28, 2009. from http://www.emedicinehealth.com/peptic_ulcers/article_em.htm The American College of Gastroenterology. (2009). Peptic Ulcer Disease. Retrieved November 30, 2009, from http://www.gi.org/patients/gihealth/peptic.asp Thompson, W. (1996). The Ulcer Story: The Authoritative Guide to Ulcers, Dyspepsia, and Heartburn. New York: Plenum.

Saturday, July 20, 2019

Essay example --

Hey Teacher, leave recess alone! In her Huffington Post blog article titled Here’s One Way to Wreck a Child’s Education: Take Away Recess, Haley Krischer takes an emboldened stand against the practice of eliminating recess; which is often done as a punishment or to make more time for instructional learning. I stand in agreement with Krischer. I do not agree with schools taking away recess for any reason with the exception of dangerous weather or environmental circumstances. Yet, research indicates how common the 86-ing of recess is occurring in schools. A study by the Robert Wood Johnson Foundation (2010) revealed 77% of school Principals reported taking away recess as a punishment, and 81.5% of schools allow students to be excluded from recess. Krischer begins the article by introducing her 9 year old son and his affinity for recess: â€Å"the only subject he will talk about†. She gives examples of how recess benefits her son such as other students who help him troubleshoot technology issues and challenging him to improve his sports skills. Indeed, the unstructured playtime allows children to explore their environment and develop new ideas and understandings of it and those within it (American Pediatric Association, 2013). Kischer also expressed that children need active play to combat restlessness and that this is especially important for children who may suffer from ADHD, noting that taking away recess as a punishment for misbehavior may be counterproductive and result in increased behavioral problems. A longitudinal study that followed over 10,000 students between the ages of 8 and 9 concluded that student recess of at least 15 minutes resulted in better behavior as rated by teachers (Samuels, 2009). Case studies of boys with at... ...er, H. Here's One Way to Wreck a Child's Education: Take Away Recess . 2013. Retrieved from http://www.huffingtonpost.com/hayley-krischer/heres-one-way-to-wreck-a-childs-education-take-away-recess_b_4149596.html National Organization for Sport and Physical Education (2006). POSITION STATEMENT. Retrieved from http://www.aahperd.org/naspe/standards/upload/recess-for-elementary-school-students-2006.pdf Ridgeway,A., Northup, J., Pellegrin, A.,LaRue, R., & Hightshoe, A. (2003). Effects of Recess on the Classroom Behavior of Children With and Without Attention-Deficit Hyperactivity Disorder. School Psychology Quarterly, 18(3), 253. Robert Johnson Wood Foundation (2010). State of Play. Retrieved from FENTON communications website: http://www.playworks.org/sites/default/files/d6/StateOfPlayFeb2010.pdf Samuels, C. A. (2009). RECESS AND BEHAVIOR. Education Week, 28(20), 4.

Friday, July 19, 2019

Tom Sawyer :: essays research papers

Tom Sawyer Tom Sawyer is a boy who is full of adventures. In his world there is an adventure around every corner. Some of his adventures have lead him into some bad situations but with his good heart and bright mind he has gotten out of them. Tom lives with his aunt Polly, his cousin Mary and his bother Sid. One of the first things to happen in the book is a memorable one, the painting of the fence.   Tom's aunt Polly made Tom paint her fence on a Saturday as a punishment.   Tom just hated the idea of having to work on a Saturday while all of the neighborhood could make fun of and harass him.   After Tom tried to trade some of his possessions for a few hours of freedom he had a stroke of genius, instead of him paying people to work for him, he made people pay him to paint.   Tom managed this by telling people that it isn't every day that you get a chance to paint a fence and he thought it was fun.   He had people begging him to paint by the time that he was finished his story. He would have taken every boy in the town's wealth if he had not run out of paint. On June 17th about the hour of midnight, Tom and his best friend Huck were out in the grave yard trying to get rid of warts, when they witnessed a murder by Injun Joe. At the time Muff Potter was drunk and asleep so Injun Joe blamed the murder him (Muff Potter). They knew if crazy Injun Joe found out they knew, he would for sure kill them.   Tom wrote on a   wooden board "Huck Finn and Tom Sawyer swear to keep mum about this and they wish they may drop down dead in their tracks if they ever tell and rot", then in their own blood they signed their initials TS and HF. A few days after that incident Tom, Huck and Joe decided to go and become pirates because no one cared for their company anymore.   They stole some food and supplies and then they stole a raft and paddled to an island in the middle of the Mississippi River.   They stayed and pirated for several days, then they all became so home sick that they could not bear it anymore.   The next day Tom, Huck, and Joe showed up for their own funerals and there was much thanks and praise. The next big event in the town was the trial of Muff Potter for the

Thursday, July 18, 2019

Ford Motor Company Marketing Strategy Essay example -- BTEC Business M

Ford Motor Company Marketing Strategy Ford Motor Company is one of the world’s largest producers of cars and trucks and one of the largest providers of automotive financial services marketing vehicles under the eight brands shown below. The Company is a publicly traded company listed on the New York Stock Exchange. During 2002, the company made 6.7 million vehicles and employed 328,000 people worldwide. Business partners include 25,000 dealers and more than 10,000 suppliers. Ford motor company offers a wealth of variety to the automotive consumer. As they start their second century of business, they are now in a position to appeal to the widest range of potential customers. Each of their automotive brands has a unique personality and holds a distinct place in the ford motor company family. Vehicle Brands   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Ford   Ã‚  Ã‚  Ã‚  Ã‚  Lincoln   Ã‚  Ã‚  Ã‚  Ã‚  Mercury   Ã‚  Ã‚  Ã‚  Ã‚  Mazda   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Volvo   Ã‚  Ã‚  Ã‚  Ã‚  Jaguar   Ã‚  Ã‚  Ã‚  Ã‚  Land Rover   Ã‚  Ã‚  Ã‚  Ã‚  Aston Martin AUTOMOTIVE SERVICE BRANDS Introduction The marketing orientation has become common in companies that make things for individual customers. It remains rare in heavy industry that produces steel, coal, oil, and paper, where the immediate consumers are other businesses. The transition from the production orientation to the marketing orientation is still going on. It is the most important but least understood revolution in human history, marking a decisive power-shift from institutions to individuals. In the production orientation, human enterprise asked first what we could make, and second whether anyone will want it. In the marketing orientation, we ask first what we want, and second how we can invent the means to fill that want. Production made people technology’s servants. Marketing makes us technology’s masters. The marketing revolution promises a golden age when social institutions and markets are systematically organized to maximize human happiness. One of marketing’s strongest features is its empiricism. What science did for perception, marketing does for production. It tests intuition and insight against empirical fact. Henry Ford thought he knew what people wanted from a car: cheap, reliable, and black. Ford sold millions of model-Ts in the 1920s with this mass marketing strategy. Then General Motors came along, segmenting the ma... ...icient/lower cost operator those competitors  Ã‚  Ã‚  Ã‚  Ã‚  12  Ã‚  Ã‚  Ã‚  Ã‚  10 10  Ã‚  Ã‚  Ã‚  Ã‚  Level of investment compared with operators (facilities, databases, technology, advertising, R&D and people developments)  Ã‚  Ã‚  Ã‚  Ã‚  8  Ã‚  Ã‚  Ã‚  Ã‚  8 Total score  Ã‚  Ã‚  Ã‚  Ã‚  100  Ã‚  Ã‚  Ã‚  Ã‚  90 Conclusion Ford Motor Company started the last century with a single man envisioning products that would meet the needs of people in a world on the verge of high-gear industrialization. Today, Ford Motor Company is a family of automotive brands consisting of: Ford, Lincoln, Mercury, Mazda, Jaguar, Land Rover, Aston Martin, and Volvo. The company is beginning its second century of existence with a worldwide organization that retains and expands Henry Ford's heritage by developing products that serve the varying and ever-changing needs of people in the global community. References 1  Ã‚  Ã‚  Ã‚  Ã‚  www. ford .com 2  Ã‚  Ã‚  Ã‚  Ã‚  www.prenhall.com 3  Ã‚  Ã‚  Ã‚  Ã‚  Financial report Ford motor company 2002.2003 and 2004 4  Ã‚  Ã‚  Ã‚  Ã‚  Letter from Bill Ford - Published by Ford Company 5  Ã‚  Ã‚  Ã‚  Ã‚  Marketing management -Philip Kotler 6  Ã‚  Ã‚  Ã‚  Ã‚  Strategic Management - Thompson,Strickland 7  Ã‚  Ã‚  Ã‚  Ã‚  Marketing Management MRKT 601 course notes 8  Ã‚  Ã‚  Ã‚  Ã‚  Marketing Management MRKT 601 course discussions

Challenges Of Minority Groups In Cambodia Education Essay

IntroductionCambodia is a underdeveloped state, which is located in South East Asia, and most of the citizens are Buddhist and Khmer is their female parent lingua. On the one manus, there are diverse states populating together such as: Chinese, Cham, Vietnamese and others including cultural minority groups who are populating in the northeasterly states of Cambodia. ( UNESCO & A ; CARE, 2005 ) . Recently, 34.5 % of instructors in distant countries and 6.4 % in rural countries have non attended higher instruction. Many rural households depend on agribusiness for a life, and instruction costs are the highest disbursal they are confronting. Basically, they are impossible to direct all of their kids to school, particularly misss because of the personal security, and long distance between schools in rural and distant countries ( UNESCO, 2010 ) . This survey besides mentions that kids who do non go to school and who probably bead out are the kids with disablements, misss and kids from rural , distant and boundary line countries ( p. 29 ) . It is truly hard for them to analyze because of their linguistic communications use, finally bilingual instruction is incorporating and accommodating into communities. Teachers from the local communities are trained to run into the educational demands of the kids in the communities, clip tabular array are adapted base on farming seasons, and the schools are run by Community Boards ( UNESCO & A ; CARE, 2005 ) . The intent of this research is concentrating on the undermentioned inquiries: What are the better schemes to better minority groups ‘ instruction to run into MoEYS ‘s aims and vision? Does the bilingual instruction undertaking help minority groups to make higher and better instruction? What can MoEYS, Cambodia Government every bit good as NGOs contribute to develop minority group instruction? Ministry of Education, Youth and Sport of Cambodia As the Ministry of Education, Youth and Sport ‘s vision in the Education Strategic Plan 2009-2013 ( 2010 ) stated that â€Å" in order to develop a knowledge-based society within Cambodia it has to set up and develop human resources with the highest quality and moralss † ( p. 1 ) . To accomplish this vision, MoEYS has the mission of taking, managing and developing the Education, Youth and Sport sector in Cambodia in response to the socio-economic and cultural development demands of its people and the world of regionalization and globalisation. Meanwhile, a long-run aim of the MoEYS is to accomplish the holistic development of Cambodia ‘s immature people for all sectors and an immediate aim is besides to do certain that all Kampuchean kids and young person have equal chance to derive quality of instruction consistent with the Constitution and the Royal Government ‘s committedness to the UN Child Rights Convention, irrespective of societal position, geographics , ethnicity, faith, linguistic communication, gender and physical signifier ( p. 2 ) . To win in accomplishing the above aims and vision, MoEYS has defined three chief policy precedences and two are mentioned as follows: Ensure just entree to educational services by constructing schools every bit near as possible to abodes, diminishing the figure of uncomplete primary schools, increasing operational budgets to schools, increasing the supply of instructors, supplying houses to instructors and edifice residence halls for pupils in deprived countries, particularly misss, disablements and minority groups ( p. 13 ) . In order to accomplish this policy, there many schemes raised in this Education Strategic Plan 2009-2013 by MoEYS and some are showing here. The first scheme is to guarantee entry of all six twelvemonth olds into primary school including kids from hapless households, kid labourers, kids in deprived countries, kids with disablements, kids affected by HIV/AIDS, and cultural minority groups. The 2nd aim is to increase chances for just entree to higher instruction through increasing the figure of scholarships for prioritized pupils from hapless households, females and pupils from distant countrie s ( p. 15 ) . Similarly, the Education Sector Support Program 2006-2010 by MoEYS ( 2005 ) besides stated that â€Å" the secondary schools scholarships plan aims will be to guarantee increased instruction chances for pupils with high academic virtue from the poorest and deprived households, particularly misss and cultural minorities, through a gradual addition in the figure of targeted scholarships for the hapless † ( p. 27 ) To better the quality and efficiency of educational services by increasing the proviso of school instructional stuffs, libraries and research labs, and go oning to further develop the course of study, increasing acquisition hours and supplying scholarships ( hard currency and nutrient ) to hapless pupils, heightening instruction and direction capacities, beef uping the instructors ‘ codification of behavior, bettering schools ‘ environment, spread outing vocational orientation, increasing review of disposal, finance and instruction quality confidence ( MoEYS, 2010, pp.13-15 ) Economic state of affairs of minority groups Peoples who are populating in the rural and distant countries do non hold easy entree to all the possibilities markets, particularly concerns. Their lives are depending on the season, and when the planting clip come most people are working in the Fieldss. They have to pass most of their clip in the Fieldss in order to gain higher income to back up the households and communities. Their incomes come from selling rice, handcrafts and veggies but it is still really low. They can gain about eighty seven thousand riel or under 20 two dollars per month per family. Before acquiring this money they have to go to markets to sell merchandises to Kampuchean bargainers and purchase something that they on a regular basis need such as: baccy, coffin nails, medical specialties, apparels and some nutrients. Therefore, there is really small clip left for them to believe of instruction or directing their kids to schools particularly misss who are non literate at all. Additionally, merely a few work forces are literate ( UNESCO, 2005 ) Basic information of minority groups instruction Duos to the conditions of life are far off from the business districts, minority groups do non hold easy to schools. Harmonizing to UNCESO ( 2005 ) , â€Å" instruction degrees were higher for males than females ; no female aged 15 and over had completed primary school, and merely 8.2 % have had any instruction at all. The bulk of villagers were 77.8 % nonreader in Khmer, and aged 15 and over spoke small or no Khmer 83.5 % † . ( p.22 ) Races and ethnicity groups in Cambodia Recently, Cambodia is developing all sectors particularly education sectors in different finishs including urban and rural countries, which are located far off from towns. Examples include the rural parts of Ratanakiri and Modulkiri which have higher rates of non-enrollment compared to national norms. Childs who are populating within minority groups are non reached because of their poorness state of affairs and rural location. So far, â€Å" there are 36 cultural minority groups in Cambodia accounting for about 4 per centum of the population † ( World Bank as cited in UNICEF, 2007, p.6 ) Bilingual instruction for minority groups To learn bilingual instruction to minority groups is hard because many are illiterate both in speech production and composing in Khmer. As a study from Chap & A ; Thomas, ( 2003 ) mentioned that â€Å" the spread is widening as ethic minority people fail to derive entree to instruction and development enterprises. The lingual barrier is the first challenge to accessing development and instruction as few people particularly adult females and kids from the cultural minority communities speak the national linguistic communication † . Chap and Thomas ( 2003 ) besides stated that about all-ethnic minority females and over 80 % of the males were illiterate and most kids had ne'er attended school. â€Å" The bilingual instruction pilot undertaking uses a theoretical account of direction that begins in the slang and progresses to Khmer so that pupils learn to read and compose both linguistic communications. Base on the undertaking, five minority linguistic communications now have alp habets utilizing the Khmer book, and the Kampuchean authorities has late approved all five alphabets. † ( p.1 ) . In add-on, the same study provinces that current bilingual attempts are concentrated on five linguistic communications in northeasterly Cambodia, with extra lingual research in several other linguistic communications which have populations scattered throughout the county. The Kampuchean governmental ends are to assist local people to function in all sectors in their place small towns and states including an accent on cultural minorities, with particular schemes to run into their specific demands and challenges, many of which differ from those of the lowland Khmer populations. Furthermore, this study states that the bilingual instruction scheme is of import for run intoing Cambodia ‘s national Education For All ( EFA ) ends and fundamentally we know that the effectual manner is to get down from the known and travel to the unknown because Khmer is a foreign lin guistic communication for the cultural minority groups, therefore they need to get down with their ain linguistic communication in order to entree Khmer. Based on this, bilingual instruction helps highland populations prosecute more to the full in development and nation-building and helps them to do development programs appropriate to their communities in order to guarantee a positive hereafter ( p.3 ) Decision Although the instruction of cultural minority kids is really complicated, the plans that address these issues have been implemented with considerable success as the consequence of partnerships between the authorities, NGOs, local communities, and giver bureaus. Meanwhile, bilingual instruction undertakings have been piloted by CARE, ICC, SCN and others in the northern boundary line states ( Mondulkiri, Preah Vihear, Ratanakiri, and Stung Treng ) utilizing the female parent lingua languages including Kawait, Kreung, Phnorng, Pompuon and Kou. Furthermore, bilingual instruction is expected to be developed based on the pilot plans and particular offers have been provided for instructors who are employed to remote and cultural minority countries. The MoEYS is developing Khmer books for the above five cultural minority groups in order to promote them to larn both mother lingua and the national linguistic communication, Khmer, utilizing both formal instruction and life accomplishments curri cula ( UNESCO, 2010, p.30 ) . In add-on, the authorities continues to set up residence halls for female pupils, construct schools at all degrees, particularly in rural and distant countries and they are besides increasing scholarships for hapless pupils. ( p.34 )