Sunday, December 29, 2019

Are There Any Undiscovered Elements

Elements are the basic identifiable forms of matter. Have you ever wondered if there are any undiscovered elements or how scientists find new elements? Are There Any Undiscovered Elements? Although there are elements we have not yet created or found in nature, scientists already know what they will be and can predict their properties. For example, element 125 has not been observed, but when it is, it will appear in a new row of the periodic table as a transition metal. Its location and properties can be predicted because the periodic table organizes elements according to increasing atomic number. Thus, there are no true holes in the periodic table. Contrast this with Mendeleevs original periodic table, which organized elements according to increasing atomic weight. At that time, the structure of the atom was not as well-understood. There were true holes in the table  since elements werent defined as clearly as they are now. When elements of higher atomic number (more protons) are observed, its often not the element itself that is seen, but rather a decay product. Superheavy elements tend to be highly unstable. In that respect, even new elements arent always directly discovered. In some cases, insufficient amounts of the elements have been synthesized for us to know what the element looks like. Yet, the elements are considered to be known, are named, and are listed on the periodic table. There will be new elements added to the periodic table, but where they will be placed on the table is already known. For example, there wont be any new elements between hydrogen and helium or seaborgium and bohrium.

Saturday, December 21, 2019

International and Global Trade Essay - 1168 Words

As Ron Wyden states, â€Å"Trade wars are not started by countries appealing to respected, independent trade authorities. Rather, trade wars begin when one country decides to violate international trade rules to undercut another country’s industries.† International trade comes from when one country is needy and another country can provide something another country needs. Global Trade, during the recession, fell 20 percent in 2009. In a study conducted after the recession the trade collapse was caused by the representatives of each household that can populate the individual countries. When trading it allows you to specialize in a limited number of goods. When specializing in these goods it can cause a change in any nation’s employment patterns†¦show more content†¦These happen when a devaluation of currency ends an attack in the foreign exchange market resulting in a deficit or market speculation. For example, the financial crisis in 2008, which we know today as The Global Financial Crisis, was very big for the United States. This crisis played a big part in the declines of consumer wealth, the downfall of high-end businesses and a downfall in economic activity. As seen in a chart on Wikipedia the TED spread, also known as the differences between interest rates for months, increasing the credit risk in the financial crisis. A currency crisis forces the authorities to raise interest rates and sell exchange reserves to resist an attack made on the currency. If the currency crisis diminishes in value over a time period an attack could be unsuccessful and leave the exchange rate unaltered. Reinhart and Rogoff once stated â€Å"Financial crisis are an equal opportunity to menace. The 2009 financial crisis is a reminder of the nature of all crises. A financial crisis can be seen as a credit volume and asset price. Financial crises are events that can be hard to characterize. It remains a challenge to defer the identity of financial cris es into deeper causes. Examples of these are spillovers among financial markets, the diseases given to one another by close contact and sudden runs of banks. In an article I read in the late 1990s the people witnessed several cases of currency turmoil because of the ExchangeShow MoreRelatedThe Global Economy and International Trade1357 Words   |  6 Pagesï » ¿The Global Economy and International Trade What Is International Trade International trade is the exchange of capital, goods, and services across international borders or territories. In most countries, such trade represents a significant share of gross domestic product (GDP). While international trade has been present throughout much of history, its economic, social, and political importance has been on the rise in recent centuries. Increasing international trade is crucial to the continuanceRead MoreInternational Trade And The Global Marketplace1428 Words   |  6 Pagescountries are engaged to international trade in order to achieve economic growth, free trade agreement and financial liberalization has contributed to the opening up of world economies and resulted in more international trade. Countries use their comparative advantages to gain a positon in the global marketplace and achieve economic growth (Seyoum 2007). International trade is a critical resource of revenue earning for developing countries. However, the benefits realized from free tra de are mostly enjoyedRead MoreInternational Trade and The Global Economy1018 Words   |  5 PagesFree Trade International trade links countries to the global economy (Vollrath, 1991). The global economy needs free trade. Countries need free trade. Trade with other countries occurs at some level in every country globally. 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Accordingly, it has been argued that WTO is not well placed to make substantive judgement on WTO Members’ moral choice as the purpose is to regulate inter-state trade instead of internal political structures of its member. This paper will examine the validity of this statement by looking into key treaty provision – GATT, relevant caseRead MoreInternational Trade Theory Of Comparative Advantage, Global Operations, Free Trade And Porter s Diamond1673 Words   |  7 Pagescase using theories of international business such as the theory of comparative advantage, global operations, free trade and Porter’s diamond that will be based on the cross-border trade and investment in the world, These theories can be incorporated in the company Logitech, which has made them into one of the world’s leading provider of person al peripherals. This analysis allows the team to develop the knowledge and identify the important implications in which international trade theory can be linkedRead MoreGlobal governance institutions, from the International Monetary Fund to the World Trade900 Words   |  4 PagesGlobal governance institutions, from the International Monetary Fund to the World Trade Organization, are little loved. They are often perceived as bastions of sclerotic mediocrity at best and outright corruption at worst. In the wake of the 2008 financial crash, Daniel W. Drezner, like so many others, observed the smoking ruins of the global economy and wondered the extent to which global governance institutions have affected the post-recession, international system. In The System Worked, DreznerRead MoreInternational Investment And Trade Plays A Big Role As A Nation s Economy And The Global Economy1820 Words   |  8 Pages International investment and trade plays a big role in a nation’s economy and the global economy. More so in recent years, has the global economy experienced a massive increase of international movements of goods with the international trade growing much more rapidly than output (Zhang, 2008). The fact that globalization is bringing the world together in the consumption of products, knowledge, services and brand names shows that international investment and trade is a very important subjectRead MoreBusiness Environment Economic Systems, Fiscal Monetary Policies, Cc Regulatory Bodies, International Trade British Economy, Global Factors Impact on British Organisations, Analysis Implications Joining Eu5548 Words   |  23 Pagesnot used in the most efficient way †¢ Possibility of large inequalities amongst consumers resulting in certain goods and services only available to those who can pay †¢ Profit maximisation might be achieved through lack of concern for society and the global environment Mixed Economy A Mixed economy employs features of both government/planned economy and a free market enterprise, where some important production is undertaken by the state, directly or through its nationalised industries and some is left

Friday, December 13, 2019

Process of judging Free Essays

Software estimation is the first phase of project planning and it is the process of judging a software product and solving the problem associated with the software project. We follow some important steps to achieve reliable cost and effort estimates. Explain the different estimation models and estimation techniques. We will write a custom essay sample on Process of judging or any similar topic only for you Order Now [a. Explaining different estimation models b. Explaining estimation techniques] 3. A. You are a SCM manager in a software company. How will you establish a software configuration management process in a company? B. You are appointed as a software developer in a software company and you have been asked by your project manager to check details of the bugs from the previous version. How will you gather details associated with the various bugs in the previous version? [a. Definition and explaining 4 procedures in software configuration management process b. Definition and explaining typical work cycle] 4. A. If you are a software engineer you must be expert in the field of software, hardware and also database. It has been listed by the industry professionals that time and effort are the most important factors in the system analysis stage. Suppose the employee name, employee id, designation, salary, attendance and address of any employee has to be stored in a database. You can store these data in sequential address book or it can be stored on a hard disk, using a computer and software like Microsoft Excel. Using this example define a database. List and explain the various procedures carried on in a DB’S with a detailed example of the database. [defining a database Listing the 3 procedures Explanation One examples for each of them] 2. Level 2 cache has got higher latency than Level 1 by 2 times to 10 times in 512 JIB or more. Normally you can draw a diagram and show the relation. These diagrams are called entity-relationship diagram in which book is one entity, author is one entity, and the relationship that exists between the two entities is written. Likewise explain the various notations used to represent the ERE diagram. [listing the notations with diagrams explaining each one of them in one line with example each 5. Consider any database of your choice (may be simple banking database/ forecasting database/project management database). Show the deduction of the tables in your database to the different types of normal forms [Choosing a proper database Explaining the 5 normal forms with respect to the database chosen] 6. Read the following case study thoroughly and answer the following questions: Laxly bank is one of the largest private sector banks of India. It has an extensive network of more than 200 branches. It offers banking services to retail as well as corporate clients. The bank faced a challenge in integrating multi-pronged database management system into a centralized system. The IT department of the bank also realized that the computing capabilities of its PC’s and servers were not proportionately distributed among all its branches. Each branch had its database management system stored in a traditional way on the disk. The total cost of operating and maintaining the current IT infrastructure was very high and the fundamental shortcomings added to the costs. Moreover, there were also recurrent problems due to the malfunctioning of the currently operational database management system. Therefore, the banks top management decided to fix the problem and operational a robust database management system. The bank hired an external database technology consulting firm called SAPPY Info systems Limited. SAPPY divided the entire IT infrastructure of the bank around two verticals. The retail banking vertical and the corporate banking vertical. All the individual database servers from the individual branches were removed. The entire database system was made virtual such that the managers and he staff can access only the required information (related to retail banking or corporate banking) from the respective centralized data centers. There were only two such centralized data centers (one for retail banking and another for corporate banking) that were managed centrally. Staff and managers could access the information through their PC’s and laptops. Centralized database management system complemented the security system by bringing in authentication through a unified ID management server. Managers and officers of the bank were able to process half a million transactions per month in real time after the new implementation. There were significant savings in the cost and also in the consumption of power. How to cite Process of judging, Essays

Thursday, December 5, 2019

The New Face of Poverty free essay sample

Most people describe poverty as a lack of essential items, such as food, clothing, and shelter. When individuals are not able to afford nutritious meals, attend school regularly, or have access to health care, regardless of their income, they can be considered to be in poverty. The new face of poverty involves many people who are homeless because problems that arose, or unforeseen circumstances occurred, forcing them into these situations. In the essay, â€Å"The Untouchables,† Kozol wrote about the struggles and hardships Richard Lazarus and others encountered because of homelessness.Jo Goodwin Parker wrote a vivid first hand description about living in poverty in the essay, â€Å"What is Poverty? †. Lazarus lived on the street struggling to survive, where as, Parker lived in a house struggling to support her family. In New York, Lazarus either slept in a park or in a dilapidated hotel operated by a shelter organization. Other homeless people, unable to find room in a shelter or afraid of something within the shelter, seeked sanctuary in public transportation bu ildings, subway tunnels, or church doorways. We will write a custom essay sample on The New Face of Poverty or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Parker struggled to provide anything but the bare essentials for her family.She lived without hot water, soap, shampoo, hand cream for cracked red hands, or materials to do any repairs on the unkempt, decrepit house. Each night, she washed all the clothes her school aged children possessed, in cold water, hoping they would be dry for the next school day. Lazarus felt the American public looked at homelessness as â€Å"the rejected waste of society†(263). He feels the homeless were useful when performing menial tasks or donating blood. He thinks people living in regular homes may not complain about their current situation if they see homeless people and fear they could be in the same state of affairs.In the same way, Parker said, â€Å"Poverty is looking into a black future†. She feared for her children’s future imaging them being behind bars because they could steal for things they wanted. She also feared her children could turn to drugs and alcohol to escape the grip of poverty. She also feared her daughter may end up in the same poverty lifestyle. Parker also felt poverty eroded away one’s pride and honor. Both Parker and Lazarus landed in these situations because of circumstances beyond their control. Parker married young and moved to another town with her new husband.Losing his job forced them to move into a small rundown house in her old hometown. Parker’s husband worked a few odd jobs, but most of their money went toward food. After three years, and three babies, he left, leaving her to support the family. Lazarus received an education from a private military school, and then held a job in data processing for seven years. Lazarus then lost his job, his wife, his children, his home, and then became homeless. These two people exemplifies the new face of poverty. The attitudes of the American public toward helping Lazarus and the homelessness, and people like Parker living in poverty, have eroded.Kozol writes, â€Å"So from pity we graduate to weariness; from weariness to impatience; from impatience to annoyance; from annoyance to dislike and sometimes to contempt† (265). Treatment of the homeless in most cities have became harsh. An anti-homeless activist in Phoenix stated he was â€Å"tired of feeling guilty about the homeless†(Kozol 262). A columnist from a major magazine wanted the homeless evicted from the streets. When Parker asked for help, she received seventy-eight dollars a month to clothe, feed, and provide shelter for herself and three children.Attitudes toward the poor have evolved into indifference, or worse, hatred. In contrast, these essays are about the asperities of a man and a woman. The essay about Lazarus recounted the plight of a homeless man and the public negativity toward homelessness. Although this story portrayed one of misfortune, compassion for the fellow man was buried by those holding bias toward homelessness. The essay about Parker summarized the misfortunes of the life of a woman. This woman struggled to provide for her three children. Most of the people living in poverty are currently in this situation due to unfortunate circumstances.

Thursday, November 28, 2019

apple inc. essays

apple inc. essays President Apple was founded in April 1976 by Steve Wozniak, 26 years old, and Steve Jobs, 21, both college dropouts. In 1976 Wozniak was working on the Apple I computer, without keyboard or power supply, for a computer hobbyist club. Later that summer, Wozniak began work on the Apple II, designed to appeal to a greater market than computer hobbyists. Apple's professional marketing team placed the Apple II in retail stores, and by June 1977, annual sales reached $1 million. In 1979 Apple introduced the Apple II+, with far more memory than the Apple II and an easier startup system. By the end of the year sales were up 400% from 1978, at over 35,000 computers. In December 1980, Apple went public. Its offering of 4.6 million shares at $22 each sold out within minutes. A second offering of 2.6 million shares quickly sold out in May 1981. The Apple III was well received when it was released in September 1980 at $3,495 but the Apple III never sold as well as the Apple II. It was discontin ued in April 1984. Unfortunately, the Lisa did not sell as well as Apple had hoped. With the failure of the Lisa, the Macintosh was seen as the future of the company. It was launched with a television commercial in January 1984. The Macintosh computer finally moved Apple into the business office. Corporations saw its ease of use as a distinct advantage. By 1988, over one million Macintoshs had been sold. Now, Apple designs, develops, produces, markets and services microprocessor-based personal computers, related software and peripheral products, including laser printers, scanners, compact disk read-only memory drives and other related products; and manufactures communications products that connect Apple systems to local area networks, connect the Macintosh to other computers and integrate the Macintosh into various computing environments. The stock prices, sales and market share were shown in Exhibit 1, 2 an...

Sunday, November 24, 2019

Aircraft Winglets Essays

Aircraft Winglets Essays Aircraft Winglets Paper Aircraft Winglets Paper Aircraft  Winglets Many of us who fly regularly have most probably seen a so-called winglet or wingtip device at the end of the wing of an airliner at least once. It is showing up more and more often on more and more types of aircraft, thus we felt it’s time to give an overview to our readers about these sometimes funny, sometimes cool and stylish looking aircraft parts. History, Reason and Benefits The initial theoretical concept goes back to times before even the Wright Brothers first took to the skies in 1905, but it was picked up and developed by Richard T. Whitcomb of NASA after the 1973 oil crisis – in order to reduce fuel consumption. The first tests were carried out in 1979/80 in cooperation with the U. S. Air Force. At almost the same time, but independent of any U. S. military organization, a private jet producer, LearJet exhibited a prototype in 1977: the LearJet 28 that featured the first winglets on a jet and a production aircraft. Flight tests made with and without winglets showed that the winglets increased range by about 6. 5 percent and also improved directional stability for the LearJet- these two factors are the major reasons behind using this facility at any fixed wing aircraft ever since. A winglet is a (near) vertical extension of the wing tips. The upward angle of the winglet, its inward angle as well as its size and shape are critical for correct performance – this is why they can look quite different. Air rotating around the wing strikes the surface of the winglet that directs it in another direction – thus creating an extra force, basically converting otherwise wasted energy to thrust. This is a small contribution but can save a lot for an operator in an aircraft’s lifetime. Another potential benefit of winglets is that they reduce the strength of wingtip vortices, which trail behind the plane. When other aircraft pass through these vortices, the turbulent air can cause loss of control, possibly resulting in an accident. Winglet Types In general any wingtips that not end the wing simply horizontally are considered as some kind of a winglet. Even though in strictly technical terms Wingtip Fences are not real extensions of the wing, and Raked Wingtips do not have a vertical part, they are still widely considered as winglet variants. WINGTIP FENCES are a special variant of winglets, that extend both upward and downward from the tip of the wing. Preferred by European plane-maker Airbus, it is featured on their full product range (except the A330/340 family and the future A350). The Airbus A300 was actually the first jet airliner to feature this kind of solution by default, but it was a very small version of the tool. Provided that most of the Airbus planes (including all A320 family jets) feature such wingtip fences, this may be the most seen and most produced winglet type. Even the new Airbus A380 double-decker features wingtip fences. Airbus Winglets as seen from the outside Airbus Winglets as seen from onboard BLENDED WINGLETS (the real â€Å"Winglets†) are the most popular winglet type, leveraged by Airbus, Boeing, Embraer, Bombardier but also by Russian Tupolev and Iljushin. Blended winglets were first introduced on the McDonnel Douglas MD-11 aircraft in 1990 with launch customer Finnair (it also features a smaller winglet at the bottom side of the wing). In contrast to Airbus who applies the wingtip fences by default on most of their aircraft (and the winglets on the A330/340 family), lended winglets are considered by Boeing for example as an optional extra feature on their products, except for the Boeing 747-400. For some of the older Boeing jets (737 and 757) such blended winglets have been offered as an aftermarket retrofit, these are the newer, tall designs and do not connect to the tip of the wing with a sharp angle, but with a curve instead. These winglets are popular among airlines that fly these aircraft on medium/long haul routes as m ost of the real fuel savings materialize while cruising. Longer flights  mean longer cruising, thus larger fuel savings. And they also server as marketing surface for airline logos or web addresses usually. Just recently the Boeing 767-300ER has received 3. 4 m high (! ) winglets produced by Aviation Partners Inc. with American Airlines as the launch-customer with Air New Zealand and Hawaiian Airlines following with orders of 5  and 8 aircrafts respectively. 141 shipsets have been pre-sold  already as the forecasted fuel savings  range  around  4%-6% for medium/long-range flights. Airbus earlier tested similar blended winglets designed by Winglet Technology for the A320 series, but determined that their benefits did not warrant further development and they stayed with the wingtip fences instead. Aviation Partners Boeing  claims that winglets on 737s and 757s have saved a collective 1. 2 billion gal. of fuel since they were introduced and 11. 5 million tonnes of CO2 while reducing those types’ noise footprint by 6. 5%. It has sold winglets to 140 airlines and 95% of all 737NGs are fitted with them. It is working on four winglet concepts for the 777 and hopes to finalize a design for that aircraft type by December, 2008. Blended Winglets on Several Aircraft Types RAKED WINGTIPS are the most recent winglet variants (they are probably better classified as special wings, though),  where the tip of the wing has a higher degree of sweep than the rest of the wing. They are widely referred to as winglets, but they are better described as integrated wingtip extensions as they are (horizontal) additions to the existing wing, rather than the previously described (near) vertical solutions. The stated purpose of this additional feature is to improve fuel economy, climb performance and to shorten takeoff field length. It does this in much the same way  as â€Å"traditional† winglets do. In testing by Boeing and NASA, raked wingtips have been shown to reduce drag by as much as 5. 5%, as opposed to improvements of 3. 5% to 4. 5% from conventional winglets. Airliners to use raked wingtips: Boeing 747-8, Boeing 767-400ER, Boeing 777(-200LR; -300ER; and freighter versions) plus the new Boeing 787 Dreamliner and the Airbus A350. The 747-8, the 787 and the A350 will have special, new kind of wings, which do not have a separate winglet, but have raked, and blended wingtips integrated   without a sharp angle between the wing and the winglet. Raked Wingtips on the new Boeing 787 and Airbus A350 As you can see, wingtips/winglets have developed and changed very much over the last 30 years, but are becoming the standard, which is not proven better by anything else than the wing designs of future aircraft by the largest airplane-makers that feature a built-in winglet at the tip of their new, evolutionary wings. Raked wingtip Boeing 787 Dreamliner rollout showing raked wingtip Raked wingtips are a feature on some Boeing airliners, where the tip of the wing has a higher degree of sweep than the rest of the wing. The stated purpose of this additional feature is to improve fuel efficiency and climb performance, and to shorten takeoff field length. It does this in much the same way that winglets do, by increasing the e ffective aspect ratio of the wing and interrupting harmful wingtip vortices. This decreases the amount of lift-induced drag experienced by the aircraft. In testing by Boeing and NASA, raked wingtips have been shown to reduce drag by as much as 5. 5%, as opposed to improvements of 3. 5% to 4. 5% from conventional winglets. [16] While an equivalent increase in wingspan would be more effective than a winglet of the same length, the bending force becomes a greater factor. A three-foot winglet has the same bending force as a one-foot increase in span, yet gives the same performance gain as a two-foot wing span increase. [27] For this reason, the short-range Boeing 787-3 design called for winglets instead of the raked wingtips featured on all other 787 variants. Raked wingtips are installed on, or are planned to be installed on: * Boeing P-8 Poseidon * Boeing 747-8 Freighter * Boeing 747-8 Intercontinental * Boeing 767-400ER * Boeing 777-200LR * Boeing 777-300ER * Boeing 777 Freighter * Boeing 787-8 Boeing 787-9 Anyway The performance of a commercial transport airplane is typically measured in terms of mission capability and operating costs. Mission capability can be improved by reducing airplane drag during takeoff climb and cruise, and by utilizing designs that minimize structural weight. Operating costs can be reduced by reducing airplane cruise drag (hence, resulting in less fuel burn and less fuel costs) and by utilizing designs that are inexpensive to manufacture and maintain. Further, for commercial operators, higher profits can be achieved by being able to transport more customers and/or goods for a given flight. Because the additional payload increases takeoff weight, it is even more desirable to reduce takeoff drag for takeoff-climb-limited missions. nothing new here right ? The objectives of reducing drag, reducing weight, and reducing complexity (hence manufacturing and maintenance costs) are often in conflict. Adding a wingtip extension member can reduce the drag of a given airplane, but this will usually require increasing structural weight IE winglets bend the hell out of wing roots because of the increased moment arm therefore you need to beef up the wing judiciously on shitty wing designs the weight increase can washout the efficiency increase by additing a winglet in the first place.. Sooooooo Weight increases are due to the weight of the wingtip extension member and also due to strengthening required of the existing wing structure in order to support the increased bending moments exerted by the wingtip extension member. Additional weight penalties can also occur if the extension exacerbates flutter. IE if you fiddle with ANY WING design after flight test you change its natural resonance IE it becomes a new tuning fork heaven forbid it will like to resonate at cruise mach IE flutter.. 747 has a speed advantage over the A340 because of flutter the old crusty 747 hauls ass the A340 could haul ass if it didnt like to shake itself apart at VMO.. ( my personal opinion based on 2nd hand info .. This conflict between the benefits of reduced drag and the disadvantages of increased weight has motivated designers to find an optimal balance between the two when designing a wingtip extension member. One such attempt is described in U. S. Pat. No. 5,039,032, incorporated herein by reference. The 032 patent describes a number of wingspan extensions termed High Taper Wing Tip Extensions. These are also known as raked wingtips. Raked wingtips are generally characterized by leading-edge sweep angles that are g reater than the main wing sweep angles and are significantly tapered (i. . , the chord length decreases in the spanwise direction. ) Raked wingtips offer several advantages, some of which are outlined in the 032 patent. These advantages include the aerodynamic benefit of drag reduction due to increased wingspan, and a number of weight-reduction advantages (relative to simply extending the wingspan of an existing conventional main wing. ) Two weight advantages are attributed to the wingtip taper. At high-load-factor structural design conditions, the smaller chords are subjected to less load and they result in less induced loading on the outboard main wing. These are both factors that reduce the bending moment that the inboard wing must support. Two more weight advantages are attributed to leading-edge sweep. The leading-edge sweep of a raked wingtip results in the center of pressure being located further aft than for a simple extension of an existing conventional main wing. At the high load-factor structural design conditions, this relative aft-movement of the center of pressure causes the sections of the main wing adjacent to the raked wingtip to be twisted more leading-edge-down, thus reducing the loading on these sections and the bending moment that the inboard wing must support. The relative aft-movement of the center of pressure also acts to attenuate flutter. The raked wingtips described in patent 032 range from moderate span extensions (e. g. , 6% increase in span) to large span extensions (e. g. , 12% increase in span). It is the large span extensions that offer the greatest benefits. Regardless of these benefits, there are challenges in implementing raked wingtips on some aircraft. For example, on aircraft designed to operate at high subsonic Mach numbers (i. e. , at or greater than about 0. 0) there is a tendency for the boundary layer on the upper surface of each raked wingtip to separate under high-lift conditions (such as during takeoff climb or landing). This boundary-layer separation has the potential to increase drag and to generate premature buffet. The primary motivation for adding a wingspan extension is to increase the lift-to-drag ratio (primarily by decreasing drag), both during cruise and takeoff climb. If there is a significant drag incre ase due to large-scale boundary-layer separation under takeoff climb conditions, part or all of the takeoff-climb improvement is lost. When the raked wingtip boundary layer separates, there is also a possibility of unsteady aerodynamic forces strong enough to vibrate the airplane structure and to be perceived by the airplane pilot as buffet indicating the onset of aerodynamic wing stall. If this form of buffet occurs prematurely (that is, within what would normally be the operating envelope), stall speed must be declared at a speed significantly higher than the aerodynamic wing stall, thus degrading airplane performance. The 032 patent acknowledges the tendency of the boundary layers on raked wingtips to separate under high-lift conditions. In the 032 patent, raked wingtips are categorized into two groups, one group with leading-edge sweep angles between 40 and 50 degrees and another with leading-edge sweep angles between 50 and 60 degrees. For the first group, the 032 patent indicates that some form of a mechanical leading-edge high-lift device (such as a slat) is required in order to avoid premature low-speed buffet. The addition of a mechanical leading-edge high-lift device avoids premature boundary-layer separation, alleviating the buffet problem, but it adds profile drag, weight, complexity, and cost. Under some circumstances, these disadvantages may outweigh the benefits of the raked wingtip. For the second group, the 032 patent indicates that the wingtip leading-edge sweep is great enough to trigger the formation of a stable leading-edge vortex, and that therefore premature buffet will not occur and no high-lift mechanisms are required. The inventors herein have discovered that under some circumstances, leading-edge sweep angles of 50 to 60 degrees may not be adequate to ensure the formation of a stable leading-edge vortex when conventional transonic airfoils are used for the raked wingtip geometry. As used herein, transonic airfoils are those designed to operate at high subsonic freestream Mach numbers, with significant regions of locally supersonic flow. Additionally, even if the presence of a stable leading-edge vortex prevents premature buffet, such a vortex may result in higher drag than if the majority of the raked wingtip boundary layer could be kept attached over the range of typical operating conditions. Further, the technical viability of any raked wingtip would be improved greatly if there was no requirement for a leading-edge high-lift mechanism. Thus, the evolution of the improved raked wingtip, particularly for use with aircraft that operate at high subsonic Mach numbers. The ideal raked wingtip would provide the aerodynamic benefits of an increase in wing span, while avoiding premature boundary-layer separation under high-lift conditions. Further, the optimal arrangement would not add significantly to wing weight or wing complexity. Both the raked wingtip ; the blunt raked wingtip are Boeing inventions. Airbus A330/A340 uses the 747-400 winglet. The A320 family of airplanes uses the AIRBUS ( opps BAE UK developed ) delta winglet that has an opposite plan-form camber on the upper ; lower half of the winglet to gracefully control the direction of the vortices comming off the top ; bottom of the wings to kinda mesh them together non distructively a clever design by a company with a fine British aircraft heritage .. god save the queen .. All that being said winglets on business jets regardless of eficiency increases are for sex- appeal ..

Thursday, November 21, 2019

Reflection on my nursing experience Essay Example | Topics and Well Written Essays - 1250 words

Reflection on my nursing experience - Essay Example The first stage of the Gibbs Reflective Cycle makes an individual describe the whole situation so that he/she may be able to analyze the consequential feelings in the second stage. In the third stage, the individual evaluates his/her experience, and organizes his/her analysis in the fourth stage so as to have a logical interpretation of it. In the fifth stage, the individual works out alternative solutions to the problem, and chooses the most viable option for use in the future. In the sixth stage, which is the last stage of the Gibbs Reflective Cycle, the individual makes action plan according to which he/she would work in the future in similar circumstances (Jasper). To reflect upon one’s experiences is an extremely useful and beneficial practice if one wants to rationalize one’s approach in the future matters. In the capacity of being a human, everybody commits mistakes. To do mistakes is not a mistake, though if one does not learn from one’s mistakes, it is i n itself the biggest mistake! Reflection upon past experiences provides one with an opportunity to see where one went wrong so that the unfavorable consequences would not have to be faced ever again (Lewis). For professionals, this practice adds to their knowledge, and enables them to adjust to unusual situations in life with least inconvenience. This practice also inculcates self esteem in an individual so that he/she is able to deliver his/her best in the profession. Besides, this is a process of self education. The self analysis an individual does while reflecting upon the past experiences allows him/her to have an interview of the self. It is essentially introspection (Cyprus). It enhances a nurse’s practice competence (Lenburg). â€Å"The goal of any therapeutic alliance †¦ is to facilitate the emergence of the authentic self† (Freshwater 4). This practice is conducive for making one a better human being both for one’s self and for the society. The goa l of conducting this reflection for me is to improve my therapeutic relationship with patients being a nurse. Therapeutic relationship with patients is controlled by a nurse’s interpersonal skills. Both verbal and body language play a role in it. I hereby choose to reflect upon my experience with Mr. X who suffers from brain tumor. In those days, I was placed in the surgical ward for two weeks in the third semester. One day, all patients moved towards the cafeteria for lunch except for Mr. X. He was lost in some thoughts. I approached him, and asked his permission to help him. He could not understand my language because he had a different language. I wanted to feed him. I used eating gestures to deliver my message. According to Hill and Howlett (69), an individual should work out the most rational option which is consistent with the desired result in order to be successful as a nurse. Understanding my body language, he nodded. I checked his diet schedule and fed him according ly. Cherry and Jacob (400) consider body language a strong means of conveyance of messages to the patients. While feeding him, I looked him in the eyes so that he would know that I am doing my job whole heartedly. Eye contact with the patient conveys a nurse’s sincerity, honesty and truth of emotions to the patient that is conducive for the building up of sound rapport between the two (Faulkner 92). However, it is important to break eye contact sensibly and with careful judgment so as to keep it from

Wednesday, November 20, 2019

Extended Definition Essay Example | Topics and Well Written Essays - 750 words

Extended Definition - Essay Example The carburetors perform the same basic objectives as the fuel injectors. The difference however is how the two work. The carburetors supply fuel to the engine through a process of suction where the system sucks in air to allow fuel to enter. Once air is in, a vacuum will be created in the pipes connecting the fuel tank and the engine. The pressure gradient that exists between the chambers of the fuel tank and the engine is what forces the fuel to rush into the engine. The fuel injectors on the other hand avail fuel to the engine through a pumping mechanism (Cramer and Hoffmann 210). The system will pump in the fuel under pressure straight to the engine upon acceleration. This mode of fuel transfer is more effective than the former done by the carburetors. This explains why carburetors are being faced out in modern assemblies to pave the way for the more efficient injectors. The injection process also has another benefit in that it allows the driver to regulate the volume of fuel getting to the engine from his/her seat. This is unlike the former case where the amount of fuel getting to the engine depended on the speed limit gained earlier while driving and gained gradually. The injection system benefits the driver in so many ways that the carburetor could not. This include the ability to control fuel burns during high speeds and the ability to carry out quick throttle transitions such as change of gears and braking work (Cramer and Hoffmann 20). The driver is also able to regulate the fuel consumption in the car. There is also the advantage of smoother transitions such as smooth change of gears. Normally when the vehicle engine is cold in the morning for instance, there is need to perform a choke process in order to start the car. The presence of the fuel injector will eliminate this disturbing process from the driver’s task making it easier to quickly warm and start the engine. The

Monday, November 18, 2019

Case Study Essay Example | Topics and Well Written Essays - 1500 words - 13

Case Study - Essay Example On the other hand, Ralph has low energy but he has significant experience and he is a potential candidate because of his experience and expertise in the industry. The third candidate Yingzi is a very talented woman and she can bring new innovative managerial practices in the company and retaining her in the organization is very important. The first solution is to promote Carmen because for being an ethical organization, company has to show concern towards employees especially the women and minority. Carmen is one of those who is both an African American and she is also qualified for the position. However, following is the SWOT analysis of making this decision. Image of company â€Å"concerns towards employees† will further improve. From maternal ethics concept, the consideration given towards mother-child relationship can improve the nature and quality of workplace interactions (Frederick, 2002). Company will be able to improve its public relations through this decision. Actually in business world activities which appear as a result of generosity are the attempts of companies to make public relations (Flynn, 2008). The promotion of Carmen can appear as a strong example of it, if she is promoted. No doubt Carmen and Yingzi are the suitable candidates for the managerial position however, Ralph should be promoted because he has worked twenty years with the company and he is the most experienced as compared to other two. What should be the criteria of the company while promoting people? Most of the policies of organizations promote employees based on seniority bases; however, even the ethical nature of policy is sometimes challenged. The promotions which are based on seniority alone seem mindless whereas, the decisions which are based on qualification seem heartless, therefore, companies should take it as a challenge to merge the dual responsibilities of qualification

Friday, November 15, 2019

Stakeholders in Health and Safety Duties at Work

Stakeholders in Health and Safety Duties at Work Client The client has responsibilities on a work site. The client is responsible for checking the competence of all the appointees and their resources. They must make sure that the facilities for all of the workers are suitable for their welfare. They must allow sufficient resources and time for each stage in the project and not rush any of the project. They must also provide information to the designer and contactors before the construction. The client is also responsible for hiring a CDM co-ordinator and a principle contractor. They must also make sure that the construction doesnt start unless the construction phase is complete and all of the welfare facilities for the workers are on site, provide a health and safety information file for the CDM co-ordinator and retain and provide access to the health and safety file. CDM Co-ordinator A CDM co-ordinators main duties are to advise and assist the client with their duties, to keep the HSE notified of the project details. Cooperate with everyone involved in the design and coordinate all of the health and safety aspects of the design. Facilitate good communication between the designer, contractor and client. Communicate and meet with the principle contractor regarding the design work. Analyse, gather and convey pre-construction information. And to prepare and keep the health and safety file up to date. Architect The architect is responsible for making sure that there will be no risks or hazards whilst still in the design stage of the build. After that is done they must provide information on all the other risks that there could still be and that cannot be completely prevented. The architect must make sure that the client is aware of their roles and responsibilities during the design stage and the construction phase of the whole process; they are also responsible for making sure that the client has hired a CDM coordinator. They must also provide information for the health and safety file and also keep the file updated. Workers Workers have health and safety responsibilities on site, as they are the most likely to be involved in an accident they also have dutys to health and safety. The workers must be competent and know what they are doing at all times. They must report any obvious risks that they see in a site so that accidents can be avoided. Coordinating their work and cooperating with all of the workers to ensure you own and everyone elses health and safety. They must also follow the health and safety rules and procedures and be aware of any hazards there could be on a site. P2 Outline the legal duties of employees and employers in relation to three pieces of health, safety and welfare legislation relevant to the construction and built environment sector Legislation in health and safety are very important as they can help protect people from accidents and keep them safe in the working environment. This also covers people who arent part of the building companys employment. There are many different legislation which all protect different areas of work. Legislations like the Health and Safety at Work Act 1974 (HASAWA), Working at Heights 2007 (WAH), Control of Substances Hazardous to Health 2002 (COSHH). The HASAWA is a very important legislation that was introduced in 1974 and many other pieces of legislation have been developed from this act. The HASAWA covers the duty of care that is on a construction site. There has been a large amount of health and safety legislation that has been created since HASAWA. It covers the occupational health and safety in Great Britain. Health and safety executives and other enforcing bodies are responsible for the administration of the legislation. The employer has responsibilities that they must follow out so that employees are safe. The employer must ensure health, safety and welfare at work to all of their employees. The employer must prepare a written statement of their general health and safety policy. They are also responsible for the enforcing of safety and reduce the risk to health involved in all the employees areas. The employee also has duties that they must follow out. The employees must take reasonable care in their safety and the safety of those around them who may be affected by their actions. They must also cooperate with the employer so that requirements can be met. COSHH is another important piece of legislation that is used in construction. This legislation helps to protect then workers from handling substances that could be fatal. The legislation ensures that the harmful substances will be supressed so that it is less of a risk to the employees. The legislation also states that employees must be informed about the substance and should have their health monitored if work with hazardous substances. Many businesses use substances that can be harmful to workers and these businesses should inform and train employees so that the substances can be handled. The employee has duties that they must carry out whilst enforcing the COSHH act. They must make sure that the substance has had a proper assessment identifying the risks that this substance may have on the heath of anyone involved, the assessments must also be updated if they become invalid or out dated. Substances that have a COSHH warning label must be stated in the inventory and material safety data sheets. The employees must also be train, supervised and instructed on the risk that the substance could have on the health of the employees and the precautions that must be taken. The employees also have duties that they must follow according to the COSHH act. Employees must know the hazards substances that are present and read the signs that are present at the work site and should handle the substances safely and follow the instructions given. They must ensure that the warning labels are left on the containers and inform management of and situation involving the substances that could be dangerous. The final legislation is the WAH. This act is a law. This legislation ensures that before workers start working at a height the working must be planned and organized, the workers must be competent. The work must be assessed before the workers go up and the equipment that they are using must be the correct equipment. The risk of surfaces that may be fragile should be controlled and supported and the equipment that is used must be properly inspected and maintained. The duty holder must be responsible for the legislation being put into practice. The employer must ensure that all of the work is planned and organized and is carried out by a competent employee. The employees must receive information, training and instruction on how to safely use the equipment and how to spot defects in the equipment. They must follow the hierarchy of controls and they must do as much as they can that is practical to stop workers from falling. Employees must report and possible hazards or faulty equipment t o the employer and they must use the equipment supplied and follow instructions correctly and safely.

Wednesday, November 13, 2019

The Native Son-Blacks And Whites :: essays research papers

In the Native Son Wright lets us see how blacks and whites have so many problems because of racial issues. We see how blacks and whites do not see eye to eye. We also see how being black in the 1930’s was something you couldn’t control but still was looked at as being something â€Å"bad†. Color was what it was all about. Being black was seen as being lower class and also less- human than other Caucasians. We also see the fear that black families and communities had. These facts separate in details how two types of race had such an effect on each other but still did not know how much damaged they caused to each other during many, many years.  Ã‚  Ã‚  Ã‚  Ã‚   White people in this book felt blacks were bad people who just had bad ways of doing things. Stereo type was a big issue as we see when Bigger gets caught for the murder, newspapers stated that there was a â€Å"Mass Rapist on the loose†. Since he was black they thought right away he was raped her. White people also showed that they didn’t really care about what happened to black people. Since Mary Dalton was white, Caucasians were screaming at Bigger that he was a gorilla, that he should be killed, and many other bad racist comments. There were other white people who thought equality was for every one in the world. Jan is a prime example of how some white people felt blacks were treated wrong. Blacks feared whites. Many of them had so much fear that they accepted the way they were being treated. They took it as a problem where there was no answer. When Bigger was driving back to the Dalton’s house we see how many black people were just standing in the corner. Bigger was different though. He feared whites, but he sometimes tried to find the solution. Blacks also felt that the whites should be treated with more respect. The way Bigger answers his mother and the way he answers Mr. Dalton are two different tones of voices. One is respect out of fear and the other is disrespect out of revenge.   Ã‚  Ã‚  Ã‚  Ã‚  Many of Bigger’s actions suggest a huge response to fear, which comes from his exposure to a harsh social climate in which a clear line between acceptable behavior for whites and blacks exists. His anger and his destructive impulses come from that fear and is seen clear in the opening scene when he attacks a huge rat.

Sunday, November 10, 2019

Frankenstein and his creature are in fact the same person

When considering this question one must first take note of the discrepancy between the literal presentation of the relationship between Frankenstein and his creature, and the figurative presentation of that. Are Shelley's intentions predominantly to bring our attention to the fixed sequence of events – to perceive the story in a literal manner – or to a more implicit message; an analogy of bodily union between the two antagonists? Of course, today, when one utters the name ‘Frankenstein' the first image thought up is that of a detestable, monstrous, green entity with bolts through the neck. This is indeed erroneous when taking Shelley's novel into account, yet it still offers us an allusion to the idea of the double. It has frequently been suggested that the creature assumes the role of a doppelginger – or alter-ego – to Frankenstein. That he is merely an extension, or reflection of his creator (indeed ‘creature' implies ‘creator'). They both assume various synonymous roles throughout the novel; for example, their corresponding isolation, the omission of female influence in their matters, their juxtaposed intentions to take revenge, and of course the simple fact that Victor is presented as a solitary ‘parent' to the creature – the only person with whom the creature has an emotional bond. So, let us first look at this issue of Victor's and the creature's ‘father-son' relationship. Of course, the common interpretation of this matter is that Frankenstein manages to usurp the roles of both God and the female.What is the difference between a figurative and a literal analogy? Indeed, ‘like father like son' has a profound meaning here, and the creature is, in effect Victor's â€Å"own vampire† – his child. The most indicative portrayal of this usurping of the female (the mother) follows immediately after the creature's ‘awakening', with Frankenstein's horrifically symbolic dream of Elizabeth – his potential and prearranged partner – being degraded into the corpse of his dead mother. This does seem to provide an implicit metaphor for sexual depravity – that Victor's exploits lead him to isolate himself from both the world's populace and, in turn, any form of carnal satisfaction. Let us, then, look further into this issue of isolation. The reasons for both Victor's and the creature's solitude differ markedly, but are nevertheless explicably connected. Victor is essentially isolated by his ‘Promethean' strive for knowledge: â€Å"†¦ how dangerous is the acquirement of knowledge, and how much happier that man is who believes his native town to be the world, than he who aspires to become greater than his nature will allow† This – Victor's own claim – provides us with an allusion to a man ‘punching above his weight' (to put it facetiously). As with Prometheus – the Greek Titan – Victor, in the early parts of the novel, contemplates the power of fire (this trek into the unknown – when taking into account Walton's ominous expedition to the Arctic – has also led critics to propose a Frankenstein-Walton double). This knowledge is then utilised by him in the creation of his creature – in parallel with Prometheus, striking discontent with godly authority. As the 1931 film version of Frankenstein adequately made out, â€Å"†¦ Now I know what it's like to be God†. Frankenstein is an introvert – departing the archetypal family life to take up his place at Ingolstadt. He concedes vast quantities of his own life to create life – the monster being his Adam. It is therefore rather ironic that this concession of life is seemingly deemed worthless – and a waste – after Victor abandons his creature. The reason for this abandonment is essentially predicated on the creature's repulsive physical appearance – his ominous manifestations striking fear into his creator. This now brings us onto the creature's reasons for isolation. He is an outcast from the world to the extent that even those he thought to be well-natured and understanding – the De Lacey family – callously repel him. He is excluded from domestic life, albeit involuntarily, i la his creator. Looking at one interpretation, we might view this rebuttal of oddities as an attack by Shelley on societal conditioning (displayed effectively by the young, innocent William's preconceptions of the monster as an â€Å"ogre† and a â€Å"fiend†) and the corrupt narrow-minded outlook of society towards what, on the surface, appears to be evil, but is in fact benevolent (the creature being a ‘noble savage'). The monster's situation arouses a poignant sense of pity in the reader. His solitude – a common theme throughout Gothic literature – forces him into â€Å"malignity† (this word having been repeated frequently throughout the novel by Victor as narrator). The creature is, therefore, not just a reflection of Adam, but also of Satan – an outcast from heaven (of course, the monster's ‘heaven' can possibly be interpreted to be the respect and understanding of man towards him). Furthermore, the creature strikes similarities with John Milton's representation of Satan in Paradise Lost (â€Å"Better to rule in Hell than to serve in Heaven†). The monster's murderous exploits cast an ominous light over him – he is now the villain. What we can see, then, is a complex matrix of doubles – the creature and Adam, the creature and Satan, Frankenstein and God, Frankenstein as the parental dichotomy and, of course, the creature and Frankenstein. Another pointer to there being a bodily union between the two antagonists comes in the form of their intentions – namely, that of revenge. The creature intends to take revenge on his creator and conversely the creator intends to take revenge on his creature. One interpretation is that this is an embodied symbol of one man – Frankenstein (this introvert) – attempting to suppress the ugly, odious side of his nature. One can draw parallels with Robert Louis Stephenson's 1886 novella The Strange Case of Dr Jekyll and Mr Hyde – the split personality indicating a doppelginger motif holding weight throughout the Gothic genre. The creature's and the creator's intentions, their natures and, of course, their purpose are all intertwined. The monster is Victor's â€Å"own spirit let loose from the grave, and forced to destroy all that was dear to [him]†. Indeed, Frankenstein feels equally culpable for the deaths of William, Justine, Elizabeth and Clerval. Like the monster, Victor: â€Å"†¦ had begun life with benevolent intentions and thirsted for the moment when [he] should put them in practice and make myself useful to my fellow beings† But progressively they both – as an interrelation – decline into being feeble, ‘malignant' characters. These intentions and emotional attachments do continue to intricately link both the creator and his creature (God and Adam, father and son). Other literally presented occurrences in the novel, for example, the arrest of Frankenstein in Ireland for the murder of Henry continue to supply evidence of Shelley's overriding intention. This detainment was no mistake. It was simply a figurative portrayal of Victor's arrest at the expense of his darker side – both he and the creature are equally culpable and both are one and the same. Also, Aya Yatsugi offers the notion of a ‘mirror stage'. Frankenstein and the creature's perception of each other through the window in the Orkneys comparable to a ‘reflection'. This being supplemented by Victor's destruction of the creature's mate and the subsequent murder of Elizabeth by the creature – again, the sequence of events is too intricate and precise for us to rule out the possibility for Shelley's intentions to have been for that of the double (this dichotomous murder of partners also continues to support the omission of the female). To summarise, then, it is of great import that there is nothing to rule out the possibility of Shelley delivering this work as a purposeful analogy; pointing to a bodily union of Frankenstein with his monster. Of course, we must understand that if one is to perceive the novel in this manner it will always be subjective and never constant. Yet, the evidence is there, as a supplement, for those who harbour this view. The creature and creator are spiritually one and the same. Their positions in the narrative and corresponding actions are crucially paralleled. Victor is the creature's father, Victor is the creature's God, Victor is the creature's focus of vengeance, and Victor is the only entity with which (possibly with the exception of the De Laceys) the creature has a poignantly governed relationship. Yet, to say that these two characters are ‘the same person' is possibly stretching this idea to an unaccountable degree. Indeed, they may just be separate characters with strong parallels – Shelley's narrative simply outlining their synonymy and corresponding situations. Maybe Shelley's message is essentially bringing our attention to the fact that these two characters, despite being at each other's throats throughout, still maintain such a powerful understanding and spiritual bond. Nevertheless, this issue will forever be open to argument.

Friday, November 8, 2019

Free Essays on The Eternal Conflict

The Eternal Conflict Bram Stoker’s Dracula focuses on the oldest conflict known to literature: good versus evil. The beliefs of Harker and his allies are firmly rooted in Christianity, whereas Dracula haunts them and hopes to bring them over to the dark side. Although the battle between good and evil is prominent throughout the text, chapter 21 provides a stellar example of the conflict. When Van Helsing and Seward confront Dracula in the Harker’s bedroom, there are many elements that reveal the theme of good versus evil, most often with Biblical references. Early in the chapter, Stoker goes to great lengths to show the nobleness of Dr. Van Helsing and Seward. After Renfield is attacked, Seward and Dr. Van Helsing are immediately at the injured man’s side. In fact, Dr. Van Helsing is able to bring Renfield back to consciousness just long enough for him to explain what happened. Dr. Van Helsing’s miraculous medical operation mirrors Jesus’ revival of Lazarus. The selfless actions of Seward and Dr. Van Helsing establish them as righteous characters. Renfield’s story of his dealings with Count Dracula reinforces the fact that Dracula is an evil, disloyal creature. Dracula had come to Renfield’s cell a few days earlier. The Count made an offer to Renfield: â€Å"All these lives I will give you, ay, and many more and greater, through countless ages, if you will fall down and worship me!† Dracula’s visit to Renfield recalls the Devil’s temptation of Jesus in the desert. However, Renfield is unable to resist Dracula’s offer, and he agrees to serve the Count. However, Dracula fails to make good on his promises, and instead mortally wounds Renfield. Since Dracula takes advantage of the mentally weak Renfield, then betrays him, Dracula is shown to be evil and treacherous. The theme of good versus evil is most prominent when Seward and Dr. Van Helsing confront Dracula in the Harker’s bedroom. Armed wit... Free Essays on The Eternal Conflict Free Essays on The Eternal Conflict The Eternal Conflict Bram Stoker’s Dracula focuses on the oldest conflict known to literature: good versus evil. The beliefs of Harker and his allies are firmly rooted in Christianity, whereas Dracula haunts them and hopes to bring them over to the dark side. Although the battle between good and evil is prominent throughout the text, chapter 21 provides a stellar example of the conflict. When Van Helsing and Seward confront Dracula in the Harker’s bedroom, there are many elements that reveal the theme of good versus evil, most often with Biblical references. Early in the chapter, Stoker goes to great lengths to show the nobleness of Dr. Van Helsing and Seward. After Renfield is attacked, Seward and Dr. Van Helsing are immediately at the injured man’s side. In fact, Dr. Van Helsing is able to bring Renfield back to consciousness just long enough for him to explain what happened. Dr. Van Helsing’s miraculous medical operation mirrors Jesus’ revival of Lazarus. The selfless actions of Seward and Dr. Van Helsing establish them as righteous characters. Renfield’s story of his dealings with Count Dracula reinforces the fact that Dracula is an evil, disloyal creature. Dracula had come to Renfield’s cell a few days earlier. The Count made an offer to Renfield: â€Å"All these lives I will give you, ay, and many more and greater, through countless ages, if you will fall down and worship me!† Dracula’s visit to Renfield recalls the Devil’s temptation of Jesus in the desert. However, Renfield is unable to resist Dracula’s offer, and he agrees to serve the Count. However, Dracula fails to make good on his promises, and instead mortally wounds Renfield. Since Dracula takes advantage of the mentally weak Renfield, then betrays him, Dracula is shown to be evil and treacherous. The theme of good versus evil is most prominent when Seward and Dr. Van Helsing confront Dracula in the Harker’s bedroom. Armed wit...

Wednesday, November 6, 2019

Free Essays on What Is The Marketing Concept

II. SWOT Analysis This SWOT analysis provides the strengths and weaknesses in our community, and describes the opportunities and threats that face the move your feet program. Strengths The Thibodaux community has an approach to fitness that can show positive results and maintain the health of the community. A well-planned and structured health wellness program can be established. This wellness program is designed to improve the overall health of the individuals in the community over a long period of time. The move your feet program will have a capable staff which will implement its policies. Weaknesses The cost of providing the community with a wellness program may be expensive and hard to provide continuous support for. The Thibodaux area may not be large enough to support a wellness program like Move Your Feet. The cost of attracting people into a wellness program like this one may be greater than the funds made available. The timing of the fitness carnival may also be a weakness because the summer months may slow the start of the program. Parents may be reluctant to allow their children to walk in the summer heat. Opportunities The Thibodaux market is a growing one which may have more and more people open to a health wellness program like Move Your Feet. The wellness program itself could make the Thibodaux a more attractive place to live which would make the market grow even more. There is an opportunity to prove that a health wellness program could increase the overall health of the area, and could possibly be linked to a more productive economy. A chance to change the attitude of an unhealthy society is possible. Threats The overall laziness of the state of Louisiana and the Thibodaux community will be a threat to the wellness program. The attitude that food and drink are the most important hobbies will hinder the program. The number of fast food restaurants in the Thibodaux are... Free Essays on What Is The Marketing Concept Free Essays on What Is The Marketing Concept II. SWOT Analysis This SWOT analysis provides the strengths and weaknesses in our community, and describes the opportunities and threats that face the move your feet program. Strengths The Thibodaux community has an approach to fitness that can show positive results and maintain the health of the community. A well-planned and structured health wellness program can be established. This wellness program is designed to improve the overall health of the individuals in the community over a long period of time. The move your feet program will have a capable staff which will implement its policies. Weaknesses The cost of providing the community with a wellness program may be expensive and hard to provide continuous support for. The Thibodaux area may not be large enough to support a wellness program like Move Your Feet. The cost of attracting people into a wellness program like this one may be greater than the funds made available. The timing of the fitness carnival may also be a weakness because the summer months may slow the start of the program. Parents may be reluctant to allow their children to walk in the summer heat. Opportunities The Thibodaux market is a growing one which may have more and more people open to a health wellness program like Move Your Feet. The wellness program itself could make the Thibodaux a more attractive place to live which would make the market grow even more. There is an opportunity to prove that a health wellness program could increase the overall health of the area, and could possibly be linked to a more productive economy. A chance to change the attitude of an unhealthy society is possible. Threats The overall laziness of the state of Louisiana and the Thibodaux community will be a threat to the wellness program. The attitude that food and drink are the most important hobbies will hinder the program. The number of fast food restaurants in the Thibodaux are...

Monday, November 4, 2019

Domestic and international HRM policies and practices Essay

Domestic and international HRM policies and practices - Essay Example historical development of SHRM, originated in succession with the paternalist view point, personnel, human relations, industrial relations & personnel management, HRM, SHRM and was succeeded by IHRM (Ryan, 2005; Hall & Hitch, 1939). However, Dickman goes on to state that "it is necessary to go beyond strategy and structure to focus on processes to begin to understand how sophisticated international HRM may contribute to increased efficiency, responsiveness and innovativeness." (2001: 1) Ryan (2005) states that the HRM mantra achieves five key variables these being: flatter structures, cohesive cultures, strong leadership, productivity through people and customer focus. In practice HRM is largely third position on the managerial agenda (Ryan, 2005:5). In short, HRM is concerned with the management of people, the employer-employee relationship or labour regulation which has existed since the first form of formal organisation (Kamoche, 2001). HRM is also seen as the differentiating factor between successful and unsuccessful organisations, more important than technology or finance in achieving a competitive advantage. This is more so in the service sector throughout the UK (Marchington & Wilkinson, 2005). HRM is predominately undertaken by an organisation to operate its human resources successfully and includes: planning, staffing, performance management training and development, compensation and industrial relations. However, there is much heated debate and scepticism put forward on whether HRM is differentiated from personnel management and industrial relations, as some claim HRM makes apparent the contemporary reality of today's competitive environment (Beardwell et al. 2004). Regardless of the continuing debate, it is generally accepted that the functional... HRM is predominately undertaken by an organization to operate its human resources successfully and includes: planning, staffing, performance management training and development, compensation and industrial relations. However, there is much-heated debate and skepticism put forward on whether HRM is differentiated from personnel management and industrial relations, as some claim HRM makes apparent the contemporary reality of today’s competitive environment (Beardwell et al. 2004). Regardless of the continuing debate, it is generally accepted that the functional responsibility traditionally falls under the HRM umbrella. It also involves the integration of goals throughout the firm, with the employer committed to the value of human labor (Guest, 1987). One must recognize that HRM practices are used in every organization to manage employee issues, but the degree of use varies. Nonetheless, HRM originated as a US based concept with the ‘Michigan model’ being the first o f its kind (Warner & Joynt, 2002).The economic growth of the 1990’s was associated with multinational companies (MNCs) and FDI expansion as 53,000 MNC’s controlled 450,000 subsidiaries, accounting for 25% of world output in developed economies and now the figures have risen extraordinarily. The organization of economic cooperation and development (OECD) concede that FDI has exonerated and achieved record levels of inflow and outflows as capital movement is not restricted (Beardwell et al. 2004).

Friday, November 1, 2019

Recognize how group and social factors affect learning Essay

Recognize how group and social factors affect learning - Essay Example People who are under these conditions are often considered to be poor, impoverished, in low income, or broke (Wikipedia, 2006). Though in general poverty is defined as the lack of money, in a holistic definition of poverty it is the continuous denial of the resources, capabilities, choices, security and power essential for fulfillment of an adequate standard of living and other civil, cultural, economic, political and social rights. Poverty is a subjective experience and a structural deficit. There are several factors that influence education and one of the main reasons for it is poverty. There is a connection between poverty and the impact this has on childrens education. When a family is in poverty and fighting for its survival their childs education is not looked at as a high priority. Survival is the first priority. This doesn’t mean that parents did not care about their childs education, but they are not in a position to manage it. There is a spectacular change in the behavior of students as poverty level grows in school system. This behavior is brought on by the lack of parental commitment in their childs daily activities. Most parents may be working multiple jobs to get by and hence rarely see their children, but for some parents do not care to know what their children are doing on a daily basis. This leads to more pessimistic behaviors and also to poor grades. Poor parents may not have enough education to help students, when they are at home. Many students come to school with various worries about their lives, and learning is not at the top of the list. The living environment of these students has a lot to do with learning (WikEd, 2006). Despite these challenges education at all levels is promoted as a powerful resource to raise awareness, motivation and social responsibility for contributing to a more democratic society (Preece, N.D.). Education departments should not throw up their hands in failure. There should be additional

Wednesday, October 30, 2019

Why is promotion decision making so difficult Essay

Why is promotion decision making so difficult - Essay Example Among the most important considerations when deciding who to promote into a position is which candidate possesses the highest level of hard skills to do the job. It usually does not make much sense to promote someone into a finance management position who does not have a background in finance. This is often the first step in identifying qualified candidates, and usually comes as part of the resume review and screening process. The hiring manager must assess the educational and professional experience of the candidates to help determine who would likely be capable of doing the work that would be required. That being said, there are times when all of the other qualities of a prospective candidate are so strong that a decision might be made to promote that person even though he/she lacks the requisite level of hard skills to do the job effectively. However, this will only be the case when a persons ability and willingness to learn the requisite skills is evident. That may mean choosing someone with a background of high educational achievement who displays a propensity to engage in professional development activities. Another important characteristic to consider when deciding whom to promote is leadership ability. ... All of these responsibilities require effective leadership. When assessing a person's leadership potential, a hiring manager should inquire into the candidates' experiences that may have evidenced leadership qualities. Behavioral based interviewing can be an effective tool in this regard. Using this method, the hiring manager will ask the candidates to recall a particular event in their personal or professional experience in which they actually demonstrated the desired characteristic. This requires the interviewee to demonstrate a sharp mind in quickly recalling an appropriate event. It also precludes the candidate from talking hypothetically about what they would do in a given scenario. Rather, they are required to explain what they actually have done in a scenario. The theory is that past behavior is the best predictor of future behavior. For example, the hiring manager might ask the candidates to recall a time when they had to delegate responsibility in order to achieve an objective. Or she might ask them to recall a time when they had to influence others to behave in a way that helped them to achieve their goals. Either of these questions would elicit valuable information about whether and how the candidates have demonstrated an ability to lead. This information can then be added to the overall formula in determining which candidate has the greatest preponderance of desirable characteristics for the position. Personality Personality fit is a huge consideration for any hiring decision, particularly when deciding whom to promote. This is also arguably one of the most difficult factors to evaluate in prospective candidates. To be sure, people generally act somewhat different in an interview than they would in a

Monday, October 28, 2019

Bronchodilator Essay Example for Free

Bronchodilator Essay By definition, a bronchodilator is a drug used for the treatment of chronic breathing complications such as emphysema, asthma, and chronic obstructive pulmonary disease also known as COPD. Bronchodilators are used to reverse the effect of obstructed airways acting as decompressor and mucus removers that cause breathing complications. There is short term or short acting bronchodilators that act as â€Å"rescue medications† (Webmd. com). These rescue medications are used in more emergency instances as with asthma. Long-acting bronchodilators are used for the maintance of such diseases as COPD which is more chronic. Each bronchodilator type â€Å"opens bronchial tubes so that air can move through†¦. And help clear mucus from lungs (webmd. com). Bronchodilators such as uniphyl and Phyllocontin come in the form of a pill or tablet and are a sustained release formulation of another drug called Theophylline which opens constricted lung passages. These are more long term treatments. Short term or more frequent usage as with advair, symbicort, serevent, Foradil, are inhaled and last between two and four hours while long term tablets use lasts upwards of 12 hours. Although bronchodilators provide control over congested airways, they also act as stimulants and have an array of side effects. These side effects include: nervousness, hyperactivity, heart palpations, upset stomach, trouble sleeping, and muscle aches. Bronchodilators are approved by the FDA and originated in emergency room settings, where the necessity was abundant for chronic asthma attack patients. Albuterol, commonly used for the maintenance of asthma in an inhaler form is often however more effective than most other long acting bronchodilators. Albuterol is considered an anticholinergic bronchodilator. As previously mentioned, theophylline, an inexpensive bronchodilator acts as a stimulant similar to caffeine. Theophylline stimulants the heart and nervous system, relaxing airway muscles. Some side effects of its use include nausea, diarrhea, stomach ache, headache, and irregular heartbeat. Some bronchodilators contain adrenaline so mixing with other stimulating drugs for the treatment of high blood pressure, diabetes; thyroid, hyperactivity, and heart disease are discouraged from the use of bronchodilators. Inhaled bronchodilators â€Å"enable the drug to reach into the lungs for maximum benefits† (medicine. net). It is a possibility to overdose on inhaled bronchodilators. Some signs of overdose include seizures, headaches, fainting and dizziness, and chest pains. If one is experiencing symptoms similar while using inhaled bronchodilators it is advised to visit a local emergency room or primary care physician. Alternate treatment conducive to bronchodilators includes pulmonary rehab and therapy. Excessive use of bronchodilators makes the treatments less effective and increases the probability of side effects. It is uncommon to have allergic reactions to bronchodilators but in the event, rash, itching, swelling and further complications occur, further use is discouraged. Some conditions treatable with bronchodilators are commonly COPD or chronic obstructive pulmonary disease. COPD is â€Å"an irreversible disease associated with air flow obstruction†. (purdue. ca/products/products-asthma-asb) COPD umbrellas a category of other conditions such as emphysema, (irreversible lung damage/over inflation/weaking of air sacs) and chronic bronchitis (inflammation and scarring of airways tubes. Common symptoms of these conditions include: chronic chough, wheezing increased mucus, shortness of breath, and tiresome minimal activity. COPD is more predominantly caused by cigarette smoking however; other causes may include genetics, air pollution, cystic fibrosis, and childhood infections. Another condition treatable with bronchodilators is asthma. Asthma is also a chronic lung disease that causes swelling of the airways which creates complications with breathing. Causes of asthma are less solid than those of COPD but implicate being due to an† immune-mediated processing which inflammatory cells and inflammatory mediators enter airway tissues to cause disease† (purdue. ca/products/products-asthma. asp). One who is diagnosed with asthma often becomes sensitive to hair sprays, cosmetics, cleaners, paints, pollens, animals and cock roaches, chemicals, temperature, and even some foods, An asthma attack is experienced with shortness of breath, wheezing, chest tightening, persistent coughed and dyspnea. Bronchodilators are most effectively used while avoiding things that further complicate breathing. This is especially true with cigarette smoke which should be avoided first and second hand. Bronchodilators work most when used according to prescription and consistency. One should always educate self when or before exposing the body to such drugs as bronchodilators which are often stimulants and cause brief and sudden body changes.

Saturday, October 26, 2019

Kurdistan Essay -- essays research papers fc

Kurdistan is a region that has existed in turmoil and is the â€Å"never was† country. The Kurds are the fourth largest ethnic group of the Middle East, numbering between 20 and 25 million. Approximately 15 million live in the regions of Turkey, Iraq, Iran, and Syria, an area they called Kurdistan, yet they do not have a country of their own. Formal attempts to establish such a state were crushed by the larger and more powerful countries in the region after both world wars. When the Ottoman Empire collapsed after World War I, the Kurds were promised their own independent nation under the Treaty of Sevres. In 1923 however, the treaty was broken allowing Turkey to maintain its status and not allowing the Kurdish people to have a nation to call their own. The end of the Gulf war, Iran-Iraq war, the collapse of the Soviet Union, and the end of the cold war has reinvigorated a Kurdish Nationalist movement. The movement is a powder keg ready to explode. With the majority of Kurds living within its boundaries, no country faces this threat more than Turkey. Because of Turkey’s concept of unified, cohesive nationhood-in which the existence of minorities are not acknowledged- these tensions in Turkey are more difficult to handle than else where. In southeastern Turkey, extreme fighting and guerilla tactics are used by the Kurds in support of their political parties. The Turkish military is actively stationed in this area now. There are several political parties that represent the needs of the Kurdish people. They are the Kurdistan’s Workers Party (PKK) who represent the needs of Turkish Kurds and are the most violent terrorist like group, the Kurdish Democratic Party of Iran (KDPI) who is active politically but not militarily, the Kurdistan Democratic Party (KDP) composed of Iraqi Kurds, and the Patriotic Union of Kurdistan (PUK) who is also representing the Iraqi Kurds. The PKK was created in 1974 as a Marxist-Leninist insurgent group primarily composed of Turkish Kurds searching for an independence movement. Its first and only leader, Abdullah Ocalan, or Apo as he came to be called, was at that time a student of political science at Ankara University. From the late 1970s, Ocalan worked closely with both the then Soviet Union and with Syria, whose governments were attempting to generate a political breakdown in Turkey. In 1977, the PKK published a series of "com... ...for years. In 1980, Ocalan actually moved to Syria and used Syrian facilities as well as training grounds in the Bekaa Valley to drill terrorist groups for cross-border attacks against targets in Turkey. Greece, a NATO ally, backs the PKK and its affiliates by every means at its disposal. The PKK is a very malicious and radical group in their search for their independence. They believe that their human rights are being oppressed by The Turkish peoples and that they deserve what land is theirs, no matter the cost. The only forces that stand in their way are Turkey, the PUK, and the KDP. If these organizations fail to stop the PKK, a new nation will be formed in the name of Marxism. And other countries may soon follow, changing what we know as the Middle East. Bibliography http://burn.ucsd.edu/~ats/PKK/pkk5-3.html http://www.fas.org/irp/world/para/pkk.htm http://www.fas.org/irp/world/para/docs/mfa-t-pkk-s.htm http://web.nps.navy.mil/~library/tgp/kurds.htm http://www.turkey.org/apo-pkk/apo1.htm http://www.comebackalive.com/df/dplaces/kurdista/ The Kurdish Nationalist Movement in the 1990’s ; Robert Olsen, editor; The University Press of Kentucky, 1996

Thursday, October 24, 2019

A Comparison Between Desirees Baby & Stench Of Kerosene Essay -- Engli

A Comparison Between Desirees Baby & Stench Of Kerosene 'Stench Of Kerosene' was written by Amrita Pritam approximately fifty years ago. This emotional short story mainly revolves around the relationships between a woman, her husband and his mother. Another important theme is the significance of cultures and traditions in the protagonists' lives. The main characters are Manak and Guleri, who are husband and wife. Guleri and Manak are a loving couple who live with Manak's mother in a small village in India. Guleri cannot give birth and her mother-in-law desperately wants a grandchild. Once a year, during a special festival, Guleri visits her parents in a nearby village. This year, Manak halfheartedly tries to persuade his wife not to go. Adamant, Guleri pays no heed to her husband's baseless wish, and goes to visit her parents regardless. Upon her departure, Manak's evil mother decides to bring an end her grandchild-less status, and immediately purchases a wife for Manak, in the hope that this new bride could have the baby Guleri could not. When news of her husband's betrayal reaches Guleri, she commits suicide by dousing herself with kerosene, and consequently setting herself alight. 'Desirees Baby,' by Kate Chopin, amongst other themes, also explores the theme of relationships. Desiree, the female protagonist, is an orphan who was found at the front of the Valmonde home, lying asleep in the shadows of a big stone pillar. Madame Valmonde, the owner of the large house cannot have children; hence welcoming the child and treating her as her own. When Desiree grows up, she marries a man from a prestigious family. After a period of marital bliss, they both have a child whom they immensely love.... ...they do not obviously state what was wrong with the women. Desiree is made out to be so sweet and loving - her beauty helping to draw the readers into sympathy for her. It is not blatantly stated that it was stupid of her to commit suicide. Likewise, Guleri should really have had trust in her husband, and listened to what he told her instead of proudly ignoring his pleas. This shows that although their relationship outwardly shows happiness, there were some serious problems that occurred beneath the surface. Hence, I conclude that in 'Desiree's Baby," Armand was wrong to have so much pride, but Desiree's weak character spurned her awful fate. In 'Stench of Kerosine,' Manak was weak and stupid, but the consequences of his marrying again could have been avoided if Guleri trusted her husband. It is simply too easy to blame the men entirely for what happened.

Wednesday, October 23, 2019

Kip Kinkel

Kipland Kinkel a 15 year old teenager killed his parents at their home in Oregon in 1998, and later went to the cafeteria of Springfield Thurston high school and went on a shooting spree, killing two and injuring 25 students. Kinkel was sentenced to spend around 112 years in prison without any option of parole. Kinkel was suspected to be a paranoid schizophrenic, the brain harm in Kinkel’s case was supposed to be due to genetic disorders. Kinkel’s mother’s family was also found to have a history of mental illnesses. After a detailed study of this case, the competencies that are of utmost interest to this case are, The mental state of Kinkel The history of mental illnesses in Kinkel’s family His relationship with his father His interest in guns and bombs High educational expectations form his parents The effect of the anti-depressants he was taking. All the above-mentioned points must have directly or indirectly influenced Kinkel to do what he did. Increased pressure on the brain of any person and especially a teenager is bound to give negative results. This is what made Kinkel go on a shooting spree. Kip Kinkel Juveniles with a history of mental illnesses like schizophrenia and ADHD are more inclined to commit certain offenses like robbery, stealing vehicles, drugs etc. The main features of the case, which will be important in the legal point of view, are Kinkel was a paranoid schizophrenic He had a slow psychological development Was taking medicines for his mental condition ‘Not guilty by reason of insanity’ then he would be sent to a mental hospital Psychological Factors Some of the main psychological conditions which influenced Kinkel, were that he was a schizophrenic, his mother also suspected him of having attention deficit disorder (ADHD).   His family had a history of mental illnesses, it was learned that his mother also used anti-depressants, and at least nine of his other family members have mental illnesses. All this might also show a link to a genetic disorder. As a child he was a slow learner who was emotional and hyperactive. Kinkel had a mental problem, which damaged his brain, and there was also talk about holes in his brain. Kinkel also said he heard voices, which made him do this. Psychological disorders can be due to genetic inheritance, which can be traced back to nearly three generations, and Kinkel’s family on both his parents’ sides had a history of mental disorders. All these psychological factors will definitely have an effect on the behavior and capabilities of Kinkel, and this is what happened to him.   He was mentally depressed and in a psychotic state when he committed the offense. Kip Kinkel Medications To improve the mental state of Kinkel, I think he should be given the necessary medications to control his depression and anger.   If he is not given medicines, there are chances of him to repeat the offense again during his trial on his co-mates.   He should be given a chance to vent out his feelings, so that he can think straight. By not taking medicines, he might be constantly remembering the same incident again and again, which might increase the feelings of depression in him and subsequently result in further brain damage. By taking medicines during his trial, he can slowly improve his mental condition and reduce his anger. And there are chances of him to be totally get rid of his depression, which will give him a new lease of life, and there will be a meaning to his life also. Juveniles are not grown ups and their psychological and mental condition is also not totally developed, they don’t have the maturity that adults have, due to which they are bound to commit offenses. At the same time they have to be given a chance to prove themselves, even if it is when they are under trial.   So taking medicines to improve their condition is definitely advisable for juveniles. Defense Arguments In Kinkel’s case, the main points that the defense should try to highlight are His mental illness His juvenile status The use of medicines for depression Not guilty by reason of insanity Kip Kinkel The defense should handle the case very tactfully by highlighting the aspects that are advantageous to Kinkel. They should stress on the mental condition of the defendant at the time he committed the offense. The cognitive development of a juvenile should also be considered, as children cannot differentiate between what is right and what is wrong, as they are immature. The other point that the defense can argue is the history of mental illnesses in Kinkel’s family, which could have developed a genetic disorder in him, the reason for his mental condition. The two main points that the defense can lobby for are Kinkel’s mental condition and his juvenile status. Conclusion Kipland Kinkel was and is guilty for the murder of his parents and two of his fellow students, and according to the nation he should be severely punished.   But the fact that he is a juvenile should be considered, as children are different from adults, and they are not mature enough to decide what is right. Also considering the fact that he was a paranoid schizophrenic, he should be given a chance to take proper medication for his mental condition and overall well being.   He should be sent to a rehabilitation center, to take proper treatment for his psychological disorders. Everybody does mistakes, after all it is human nature to go wrong at a certain point, but the greatness lies in forgiving a person and giving him a chance to mend his ways. Kip Kinkel committed this offense, but he was not mature enough to understand what he was doing at that time, he had sort of gone blank, and he was not in a state to judge what was right and wrong. He must be given an opportunity to take suitable treatment for his psychological development. References Ellis Swanson, ‘†Killers Start Sad and Crazy† Mental Illness and the Betrayal of Kipland Kinkel’, Oregon Law Review, Retrieved 13 June, 2007, http://www.law.uoregon.edu/org/olr/archives/79/79olr1081.pdf Jeff Barnard, ‘Oregon school shooting suspect describes killing on videotape’, Court TV Online, Retrieved 13 June 2007 Rusty Dornin, ‘Oregon school shooter showed signs of mental disease’, CNN.com, Retrieved 13 June 2007            

Tuesday, October 22, 2019

Company Profile Kia Lim Berhad Essays

Company Profile Kia Lim Berhad Essays Company Profile Kia Lim Berhad Essay Company Profile Kia Lim Berhad Essay Kia Lim Berhad was set up as the holding company of Syarikat Kia Lim Kilang Batu Bata Sdn Bhd (SKL) and Kangkar Raya Batu Bata Sdn Bhd (KRBB) bricks manufacturers, which had been operating since 1973. SKL has set up a fully automated plant employing German technology. It was incorporated in Malaysia on 8 May 1995 as public limited company and listed in the KLSE Main Board (Industrial Products) on 29 May 1996. Commercial production commenced in mid 1999. KRBB installed a second plant in late 1991, which is fully automated and capable of producing common, block and facing bricks. The Group has diversified its range of products to include clay-roofing tiles, facing bricks and pavers. The Groups products are exported to regional markets like Singapore, Japan, Taiwan and Qatar. Kian Joo Can Factory Berhad Kian Joo Can Factory Berhad is manufacturer and distributor of tin cans and 2-piece aluminium beverage cans. They also produced polyethelene terephalate products, corrugated fibreboard cartons, provision of engineering services, letting of property, provision of share registration and provided management services. Kim Hin Industry Berhad The Company (KHI), which is Kuching-based, started operations in 1975 as a small-scale manufacturer of clay bricks. In 1979 it ceased this activity and ventured into the manufacture of mosaic tiles. It changes its name from Kim Hin Industry Sdn Bhd to present form on conversion. From a single production line, the Company now has three factories with 24 production lines. Today, KHI is one of Malaysias largest integrated ceramics manufacturers. The Group is a fully integrated manufacturer of wall, floor and homogeneous tiles, with installed production capacity of 19m sq m p.a. The Group has invested approximately RM266m in state-of-the-art Italian tile manufacturing plant and equipment. Kris Components Berhad Kris Components Bhd was incorporated on 9 September 1975 in Malaysia as a private limited company but converted to a public company on 2 November in year 1995. Its principal activities are manufacturing and stamping of precision metal parts and anodizing high-end cosmetic surface-finishing metal parts. YTL Cement Berhad YTL Cement Berhad listed on KLSE Second Board on September 6, 1993 and transferred to Main Board (Industrial Products) on June 26, 1997. It is incorporated on 29 January 1977 in Malaysia as a private limited company and converted into a public limited company on 4 May 1992. It change its name from Buildcon Sdn Bhd to Buildcon Bhd on conversion and to YTL Cement Bhd on 26, February in year 1997. The Company manufactures and supplies ready-mixed concrete to the construction industry. The Groups operations are located in Westport, Selangor, Bukit Sagu, Pahang and Pasir Gudang, Johor. Body of Contents Company Analysis Kia Lim Berhad Refer to Table 1, common-size analysis of capital structure shows that the liabilities constitute 76% and equity 24% of the companys financing in 2001 compare with 30% of total liabilities and 70% equity in the companys financing in 1996. Debt ratio and total to debt equity ratio increases sharply in 2001 compare to the previous years. In 2001, the company financed its assets approximately 72% of its debt. It was supported when the trend index of long-term liabilities (391.926%) exceeds its current liabilities (308.003%) and shareholders equity (55.331%) ( refer to Table 2). From Table 2, we can see that cash and bank balances decreases sharply from 99.356% to 2.813%. Yet the companys the companys cash flow adequacy ratio is 0.745, which is less than 1. This implies that the internal cash sources in the company were insufficient to maintain its dividend and current operating growth levels. There is a need for the company to seek for external financing in order to fulfill the requirement of the company. Table 3 shows the financial ratios of Kia Lim Berhad, which indicates that the company is facing liquidity needs. The current ratio of the company dropped over the past 5 years and the inventory turnover decreases. Kia Lim Berhads return on invested capital showed unfavorable level, where every unit of invested capital generates less profits to the company from 1998 onwards. The return on common equity also decreases over the past 5 years. The growth rate is decreasing, which the SEGR drop from 0.062% in Year 1997 to 0.185% in Year 2001. This can be seen from Table 1, which total equity capital is 28% in 2001 compare to 70% in 1996. This indicates that when the indebtedness of the company reaches a risky point, the more financial leverage the company has. The company sales show an average declining trend, which it decreases sharply in Year 2000 (-32.084%) and rebound to 100.529% in Year 2001. The forecasted sales for the next year are RM 32062120.43, which the sales are dropping and the companys net profit is forecasted to decline in Year 2003. The dollar of amount earned on behalf of each share decreases from RM 0.08 (1998) to RM 0.04 (1999) and further decreases to nil. This means there is no earning generate for each share of the company. Similar behavior was found in dividends yield, in which it decreases from 3.14 in year 1997 to 1.58 in year 1999. Kian Joo Can Factory Berhad From Table 4, we can conclude that the highest proportion of total liabilities and equity to total equity capital, are recorded in year 1999. As an overall, the average of total liabilities and total equity constitutes 41.6% and 78.37% each year of Kian Joos financing. Besides that, Table 5 reveals the trend of selected accounts, which year 1996 as the base year. The highest record of net income is in year 1997, which is 80.839%. However, the performance of Kian Joo Can Factory in year 1999 is worsening due to the net income earned are decrease for two consecutive years. A tremendous drop in net income in year 2000, which is almost 44.8% less than previous year reflect the company is overcapacity and may attract the new competitors enter into this industry. In year 1998, we can see that the trends of almost all the account selected are downturn because financial crisis occur in that year. Over these five years, the average of sales is 22.18%. Since the inventory growth is more than sales growth over the 5 years period, the company has more funds to invest in inventory. By reviewing Table 6, we find out the return on invested capital is in increasing trend except for year 1997 and 1998. The highest ratio is in year 1997. A large portion variability of the return on common equity of this company is due to changes in return on assets. Notice that the sustainable equity growth ratio, which relative to the prior year is shrink over the four years period except for year 2001. However, the average of this measurement over the five years period is 0.36%. For the debt ratio, there is a sudden drop between year 1998 and 1999 due to 23.6% increase in long term debts. The total debt to equity ratio record the highest amount in year 1998 due to the economic crisis and the company increase their credit line. In year 2000, there is a sudden drop from RM2 dividends yield to RM1.52. After year 1999, earnings per share are decrease for two consecutive years. This is because reducing in net profit over the years. There is an improvement in PE ratio except the year 20 01. Since economic recession in year 1998, the company must sell their stock in higher price, that is RM28.3 in order to get RM1 earnings. The forecasted sales of this company for year 2003 are RM473, 509,169, which is 1.17% less compare with previous year. However, net income is expected increase 5.97%, which is from RM28, 220,000 raise to RM29, 904,528. In summary, the company will performed better in year 2003 since the forecasted net income is higher. Kim Hin Industry Berhad Table 7 shows a common size analysis of capital structure for Kim Hin Industry Berhad. For year 1996, liabilities constitute 16.702% and this percentage decreases to 0.099% in year 2000, which indicates that the obligations of Kim Hin Industry are reducing. However, in year 2001, this amount increases 0.015% to 0.114%. From the table, it shows the shareholders equity of Kim Hin industry Berhad is stable over years. The reserve of this company reaches its peak in year 1998. This may be due to the economic crisis that makes the company to increase their reserve in the bank to face the contingency in the future. From Table 8, we can see that cash and bank balances increase the most in year 2001 (2492.699%) if compared with the other short-term assets. This indicates that Kim Hin Industry Berhads liquidity needs is improving over the year. Although long term asset and long term liability show a downturn from year to year, they are still remained above the level of total long term assets based on year 1996. From here we can see that sales growth are faster than the inventory growth. This is a good sign for Kim Hin Industry Berhad. This may be due to the better inventory system in this company. Net income shows a rising trend over these six consecutive years except in year 1998, the net income decreased 33.954% if compared with year 1996. Besides, account receivables are growing faster than the sales (118.975% versus 110.042%), this is suggestive for a more aggressive credit policy. After doing the time series forecasting of the value of sales and net income in year 2003, we predict that both categories will be in a decreasing trend, which reach an amount of RM 15,561,322.19 for net income and RM 150,277,952 of sales. From Table 9, the value of cash flow adequacy ratio (CFAR), which is 1.01606, indicates that this company is able to cover these cash without a need for external financing. The debt ratio of this company over five years is decreasing from year to year. This implies that the portion of assets that are being financed by the creditors are keep on dropping. Furthermore, the debt to equity is decreasing from year 1997 (0.352044 times) to 2001 (0.161399 times). The highest ROCE over these five business-operating years is in year 1997 which yield an amount of 27.8%. The growth rate is decreasing, which shows by the SEGR, from 25.03% in year 1997 to -5.827% in year 1998. After year 1998, the growth rate increase steadily from year 1999 (7.116%) to 2001(11.35%). Although the companys earning per share decreases from 0.18 in year 1997 to 0.05 in year 2001, the dividend yield increases from 0.53 in year 1997 to 0.98 in year 2001. In year 1998, dividend yield comes to it highest point of 3.23 which designates that the selling price of each share, the company will get RM 3.23 dividend in return. The PE ratios of Kim Hin Industry Berhad fluctuate over time. The highest PE ratio among these five years is in year 2000, which yields that the company should sell its share for RM 27.90 in order to earn RM 1.00. Kris Components Berhad Table 10 shows a common-size analysis of capital structure for Kris Components Berhad. For year 2001, liabilities constitute 52.1% and equity 47.9% of Kriss financing, while long term liabilities equal l2.41%. Total liabilities is increase from 22.44% in year 1997 to 52.1% in year 2001, whereas total equity capital has decreased from 77.56% to 47.9%. This shows that there is a greater likelihood of insolvency in company since the higher the proportion of debt, the larger the interest charges and debt repayment. Table 11 shows the trend index of selected accounts of Kris Components Berhad. The cash and cash balances was decrease dramatically from 864% in year 2000 to 530.3% in year 2001, whereas inventory is increase substantially from 639.3% to 1049.8%. This shows that the company has more funds invested in inventory in year 2001. However, the inventory growth is less than sales growth from year 1998 to year 2001. Net income is in an increasing trend except from year 1999 to 2000. Therefore, we have forecasted the sales and net income using regression model for year 2003. As the result, estimated sales in 2003 is RM 484,523,776.2 while the estimated net income is RM46,118,828.51. Refer to Table 12, the total debt to equity ratio shows an increasing trend during the 5 years period. This indicates the proportion of the companys capital that derived from debt is larger compared to other sources of capital. The total debt to equity ratio in year 2001 (108.475%) shows that the likelihood of insolvency in the company is greater especially during periods of earnings decline. The debt ratio of the company also increases over the 5 years period. It shows the portion of assets that is financed by creditors is increase from year to year. The return on invested capital ratio is fluctuated over the 5 years period. It shows 12.43% in 1999 indicates the company is able to attract financing compare with previous year. Kriss higher return on common shareholders equity as compared to its return on invested capital reflects the favourable effects of financial leverage. That is, Kris is successfully trading on the equity. Kriss cash flow adequacy ratio for the five-year period is 0.364, implying that funds generated from operations are insufficient to maintain dividends and current operating growth levels and there is a need for external financing. Kris sustainable equity growth rate in year 2001 is 12.14% compare with 10.01% in year 2000, markedly improve relative to prior years. This indicates better future growth in sales and earning. The year 2001 net income of RM19.771 million and dividend of RM 3.711 million leave sufficient funds for reinvestment and internally financed growth. While earnings per share increase from RM0.20 in year 1998 to RM0.42 in year 2001, the PE ratio was fluctuate during that period. Dividend yield was decline. Declining in dividend yield is attributable mainly to increase in PE ratio. YTL Cement Berhad Refer to Table 13, the company total liabilities decreased since 1999 with 65.1% compare to 36.36% (2002). Besides that, the overall total shareholders equity fluctuates each year with a moderate high percentage (63.64%) in 2002. The total debt to equity ratio is decreased from year 1999 to 2002. There is a sudden decreased of almost 70% from 186.506% in 1999 to 57.139% in 2002. Table 14 indicates that the sales and the net income of the company was in good condition for 4 consecutive years with an increment from 79% (1999) to 188% (2002) and net income increased from 21% (1999) to 438% (2002). In addition, we have forecasted the sales and net income using regression model for year 2003. As the result, estimated sales for year 2003 slightly decrease with the amount of RM 382,055,745.50 compare to 2002 with the amount of RM 422,639,071 while there is a rise in estimated net income for 2003 with RM7,454,009.69 (refer to Appendix). From the short-term liquidity ratio of YTL Cement Berhad, we analyze the companys inventory turnover. From Table 14, we can see that the companys inventory turnover increased over 4 consecutive years from year 1999 to 2002. We can also see that there is a sudden increased of almost 50% in 2000 due to an increased in YTL Cement Berhads sales from 109% in 2000 to 188% in 2002. This shows that there is effectiveness in managing inventory by YTL Cement Bhd. Besides that, CFAR for YTL Cement Berhad for 5 years period is 2.33 (refer to Table15). This ratio indicates that the company is able to cover cash needs without a need for external financing. The return on invested capital (ROIC) is increased from year 2000 to 2002. This is cause by the increment in the net income of the company over the past 3 years. Similar to ROIC, return on common equity (ROCE) of the company also increased. This is cause by the rise of the net income of the company over the past 3 years from 113% (2000) to 438% (2002) (refer to Table14). Sustainable equity growth rate (SEGR) recognizes the internal growth for YTL Cement Bhd depends on both earnings retention and return earned on earnings retained. There is an improvement on SEGR for 5 consecutive years from 1998 to 2002 after a sudden drop from 13.52% in 1997 to 1.58% in 1998 due to the occurrence of financial crisis (refer to Table15). From the view of financial market measures, YTL Cement Berhad EPS increased for 4 consecutive years from 0.03 in 1999 to 0.479 in 2002. This shows that the company earnings had improved over the periods. The company had lower PE ratio during year 2002, 2001, 2000 compare with the previous 3 years. This is good for the company. The company highest DY (5.12) was in 1998 compare to other years (refer to Table 15).