Tuesday, December 31, 2019

Sample Standard Deviation Example Problem

This is a simple example of how to calculate sample variance and sample standard deviation. First, lets review the steps for calculating the sample standard deviation: Calculate the mean (simple average of the numbers).For each number: subtract the mean. Square the result.Add up all of the squared results.Divide this sum by one less than the number of data points (N - 1). This gives you the sample variance.Take the square root of this value to obtain the sample standard deviation. Example Problem You grow 20 crystals from a solution and measure the length of each crystal in millimeters. Here is your data: 9, 2, 5, 4, 12, 7, 8, 11, 9, 3, 7, 4, 12, 5, 4, 10, 9, 6, 9, 4 Calculate the sample standard deviation of the length of the crystals. Calculate the mean of the data. Add up all the numbers and divide by the total number of data points.(925412781193741254109694) / 20 140/20 7Subtract the mean from each data point (or the other way around, if you prefer... you will be squaring this number, so it does not matter if it is positive or negative).(9 - 7)2 (2)2 4(2 - 7)2 (-5)2 25(5 - 7)2 (-2)2 4(4 - 7)2 (-3)2 9(12 - 7)2 (5)2 25(7 - 7)2 (0)2 0(8 - 7)2 (1)2 1(11 - 7)2 (4)22 16(9 - 7)2 (2)2 4(3 - 7)2 (-4)22 16(7 - 7)2 (0)2 0(4 - 7)2 (-3)2 9(12 - 7)2 (5)2 25(5 - 7)2 (-2)2 4(4 - 7)2 (-3)2 9(10 - 7)2 (3)2 9(9 - 7)2 (2)2 4(6 - 7)2 (-1)2 1(9 - 7)2 (2)2 4(4 - 7)2 (-3)22 9Calculate the mean of the squared differences.(4254925011641609254994149) / 19 178/19 9.368This value is the sample variance. The sample variance is 9.368The population standard deviation is the square root of the variance. Use a calculator to obtain this number.(9.368)1/2 3.061The population standard deviation is 3.061 Compare this with the variance and population standard deviation for the same data.

Monday, December 23, 2019

Essay about Greek Politics - 5547 Words

Greek Politics At the foundation of the widely differing systems devised by democratic peoples, there is one essential conviction, expressed in the word democracy itself: that power should be in the hands of the people. Although democracy today has been slightly inefficient in this idea, with the wealthy, elite class challenging this right, â€Å"it nevertheless claims for itself a fundamental validity that no other kind of society shares†¦.† To completely understand the structure of democracy, one must return to the roots of the practice itself, and examine the origins in ancient Greece, the expansion in the Roman Empire, and how these practices combined make what we recognize as today’s democratic government. Democracy†¦show more content†¦The polis encompassed a group of men deemed to be equal. In contrast to tribal or feudal societies, ancient Athens boasted no priestly class. The males who made up the citizen body participated in the face-to-face, directl y democratic politics of the city-state, not merely by voting but also by speaking in the assembly and by serving themselves through active and intimate interaction with others. The experience of being a member of a self-governing citizen body was a process of â€Å"individuation,† of reflection on the connection between social order and social demands and the aims of individuals. It prompted reflection about the means of reconciling the conflict between private and public avenues. Participation in the politics of democratic Greece was an extenuation of the menial status of the people. This held true because the polis expressed not merely the material interests of those who ruled and were ruled, but also their freedom and their nobility. The realization of one’s purposes within the polis demanded that one be an active citizen. Man’s awareness and understanding of himself as an agent is shaped through interaction with the world. Membership of the political community was not merely essential for survival, but also greatly extended the range of ends of which it was possible to pursue. A self-governing community enabled men to act to secure the ends they desired, to express their autonomy, and by its very operation ensured that theShow MoreRelatedThe Importance Of Politics In Ancient Greek And Roman Society859 Words   |  4 Pages Ancient Greek and Roman societies saw the emergence of many modern-day practices such as open-air markets and politics. These societies placed a high value on public lifestyles, with bathhouses and close quarter living spaces. The Greeks held many different jobs and many of the great scholars came out of Greece. While the Roman empire was very focused on its military might, but saw the emergence of a Republican form of government. 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Sunday, December 15, 2019

Macbeth †Notes on Elements of the Gothic in the play Free Essays

* An Elizabethan audience would have been genuinely terrified by the events on stage as they believed that witches did exist, murder by witchcraft was made punishable in 1563 thus demonstrating that people during this era believed witches were real and had magical powers. * The theme of equivocation is used by Shakespeare to highlight the witch’s evil nature; they use words with double meanings to confuse and disorientate Macbeth’s thoughts and cause a conflict in his mind (between good and evil). * â€Å"the weird sisters† – whilst also meaning strange the word weird is derived from the old English ‘wyrd’ which means fate or destiny, fate is often characterised as 3 old women. We will write a custom essay sample on Macbeth – Notes on Elements of the Gothic in the play or any similar topic only for you Order Now * Transformation * Macbeth is promoted to Thane of Cawdor by King Duncan, the audience have yet to meet Macbeth when Duncan makes this decision thus an impression of Macbeth as an honourable man is formed. The significance of this promotion is that Macbeth goes through a transformation from a brave soldier to a higher ranking, and more noble, position. * Macbeth’s dramatic change in character is amplified in act 3 scene one as he attempts to annihilate Banquo, his close friend who he held in high respect at the start of the play. As the play progresses there is a steady breakdown of Macbeth’s identity, causing him to be â€Å"not himself† by the end. A blurring of fantasy and reality * The line between fantasy and reality becomes blurred; the pinnacle point of this is in act two scene two after Macbeth enters from the murder. His piece of mind has been shattered as he feels that he has â€Å"murdered sleep†, there is no escape from his evil deeds as he has now become trapped in a living nightmare. To Macbeth (who comes over almost trance-like) he is just as vulnerable awake as asleep and to sleep would be too difficult because his mind has become corrupt with evil thoughts. (Macbeth becomes slightly hysterical during this scene as he struggles to make sense of what is happening to him, this is also an aspect of disorder) * â€Å"Is this a dagger which I see before me† – Macbeth appears tormented by his violent actions, which induce his tragic fall, it is after the murder of the king that he slowly evolves into a mad man who feels out of control with his mental state, it is corrupted thoughts that lead him to become power obsessed and thus a murderous, villainous man, his many delusions add to mounting suspense. (This also has links to transformation – transformation of the mind) Significant use of setting * Act one scene one opens with â€Å"Thunder and lightning† suggesting that the witches, who have gathered to talk about Macbeth, are somewhere outside. * The play is introduced as dark and dangerous, evil is introduced through the stormy weather that symbolises the disorder to come. * In act two scene four Ross and an old man talk about the stormy night, symbolising disruption in the kingdom, there is definite mystery as the location of the conversation is unclear, conversation takes place somewhere â€Å"outside the castle†. * â€Å"A camp near the battlefield† is the setting in act one scene two; a battlefield is a place where many people die, later in the play Macbeth becomes a murderer killing several people for un-just reasons. The king discusses the bravery shown by Macbeth and decides to reward him with the title Thane of Cawdor, he is being rewarded for killing here which could be a slight element of foreshadowing of his ability to kill for his own ends (merciless man). How to cite Macbeth – Notes on Elements of the Gothic in the play, Papers

Saturday, December 7, 2019

Strategic Planning Netflixs Current Generic Strategy

Question: Discuss about theStrategic Planning for Netflixs Current Generic Strategy. Answer: Introduction Strategic planning is the process that is systematic in envisioning a desired future and converting this vision into widely outlined goals or objectives and a series of steps meant to accomplish them (Doyle, 2011). It involves decision making in allocating its available resources to pursue their set strategy (Simerson, 2011). This paper will focus on identifying Netflix's current strategy and spot the current approach zone of Netflix and Sky TV and explain the reasons for the choice using a strategy clock. It will also compare and contrast the two rivals' strategies and elucidate the various methods in which there can be more along the strategy clock to gain a competitive advantage over each other. Netflixs Current Generic Strategy The major generic business strategy used by the firm is low cost or simply the overall cost leadership. The company provides its services at a price that is less than what any of the rivalries can offer at that moment. It is important to note that Netflix joined the market with the objective aimed at providing services at the lowest cost possible and enhanced efficiency. The company services are regarded as unique and innovative in the marketplace. They include enabled download of movies by consumers directly at home which eradicates any wait time at all and the creation of the market that suit the customers' needs. Illustration of the Current Strategy Zone of Netflix And Sky TV Using Bowmans Strategy Clock Strategy clock refers to a model that is used in marketing to analyze and evaluate the competitive state of a company by comparing the efforts given by competitors (Twyford, 2012). Bowman's strategy clock is in a better position to illustrate the approach zone of the two firms because it provides a comprehensive diagrammatic representation of the various strategic options used by business to navigate the customer value map (Thomas, 2009). Netflix Strategies New content acquisition (6): it is expected to raise its spending on the content acquisition and to invest in real estate to build their studios. Technology advancement (5): the company is strengthening its tech infrastructure to allow for massive streaming. Data analytics (7): the data is used to create predictability into a similar content arrangement. It is done based on the final pricing of timeframe and exclusivity of the content which is also determined. Line extensions (8): Netflix is partnering with global companies especially hotels to provide high-speed content free from interruptions on hotel televisions. Differentiation (4): its services are perceived to be unique and innovative because of its frequent upgrading of the store and online rental services among others. Overall leadership cost (1): they provide their services at a relatively lower price compared to their competitors (Jacobsen, 2009). Large entry barriers (3): Netflix has introduced shipping facilities to enable them to reach the customers in just one business day. Sky TV Strategies High content (2): have invested in delivering the best variety of content across the portfolio of services. Market leading innovation (3): they harness modern technology for the purpose of offering consumers the best viewing experience regardless of their location. A customer focus (5): Sky TV are led by consumers on what they require by use of expertise in service delivery. Driving efficiency (1): focuses on operating efficiencies thus consistently lowering costs. Scaling nearby businesses (6): aims at opportunities in other sectors to grow revenue. Selling more to customers (4): aims at expanding the variety of services and products to promote sales Increasing pay TV penetration (8): they use the headroom for pay for growth to satisfy customer needs. Investing for the long term (7): helps to create a business which is long-lasting. Comparison of Netflix and Sky TV Strategies Both the two firms have used the strategies which focus on customer needs in ensuring that they are adequately addressed. For instance, Sky TV use their expertise in service delivery. On the other hand, Netflix uses data analytics to determine the most desirable content for customers. They also engage in investments to increase their capital base. The Sky TV is investing in long-term projects to establish strong businesses while Netflix is working on developing its studios. Driving efficiency and overall leadership cost compare as well. The Sky TV aims at consistently reducing costs to improve customers welfare. Netflix uses the strategy of low costs to offer services at relatively low prices than its competitors (Ogbonna, 2006) Sky TV strategy of markets leading innovation compares to Netflix's technological advancement plan. They aim at enhancing the viewing experience and massive streaming for customers. The Contrast of the Strategies Netflix uses significant entry barriers by introducing shipping facilities for the purpose of attending to customers conveniently in a single day. On the other hand, Sky TV uses growing pay TV penetration to ensure maximum access by clients in a day using a combination of cable and satellites. Netflix is focusing on the production of differentiation by providing unique products and services while Sky TV strategy of selling to more customers aims at increasing sales to their current portfolio of clients. How the Two Firms Can Gain Competitive Advantage over Each Other Either of the company may choose to move to the west by reducing price levels thus placing its products in a high position because it is above the old value (Roosa, 2016) Moving North by increasing customer value perceptions through more efficient market signaling and communication (Steiner, 2014) Moving North West also increases value and lowers price hence the only move that guarantees significant market share. Bibliography Doyle, C. (2011). A dictionary of marketing. New York: Oxford University Press. Jacobsen, M.-L. (2009). The art of retail buying: An insider's guide to the best practices of the industry. Singapore: John Wiley Sons. Ogbonna, E. (2006). Strategic Direction. Iniating strategic planning, 22(5). Roosa, S. (2016). Strategic Planning For Energy And The Environment. From the Editor: Strategic Planning, 5-7. Simerson, B. (2011). Strategic planning: A practical guide to strategy formulation and execution. Santa Barbara, Calif: Praeger. Simerson, B. (2011). Strategic planning: A practical guide to strategy formulation and execution. Santa Barbara, Calif: Praeger. Steiner, G. (2014). Strategic Planning. Free Pree. Twyford, L. (2012). Strategic planning (1 ed.). Adelaide: Law Society of South Australia.

Friday, November 29, 2019

What Factors Distinguish criminological positivism from classicism Essay Example For Students

What Factors Distinguish criminological positivism from classicism Essay View of justice system, positivist, scientific treatment to cure pathologies and rehabilitate offenders. Classicalist, social contracts exist to protect society; due process and concern with civil rights; restriction on system. We see the positivist trying deal with criminality with science and treat whilst the classicalist from a legal prospective. Managing the crime, positivist, therapy, drug treatment, behavioural regimes. Classicalist, emphasis that punishment for deterrence; sentencing are fixed lengths going back to their policy that punishment should be proportionate to the crime committed. We will write a custom essay on What Factors Distinguish criminological positivism from classicism specifically for you for only $16.38 $13.9/page Order now Positivism says treat the criminal with therapy and other scientific means and the classicalist says one has to be punished with a fixed sentence, again we see one school looks at a scientific means to reduce social disorder and the other one trys to find a legal process to deal with the problem. Criminological experts: the experts who hold the positive view are mainly scientist and treatment experts. The experts who hold a classicalist view are mainly philosophers and social reformers. Positivist, are mainly scientist and treatment works because they believe that due to the advancement in science they can explain things and treat individual. The classicalist, are mainly philosophers and social reformers because they already have the opinion that all human are autonomous beings and everyone is equal and if one assumes that then one has to take into consideration that naturally people make rational choices, classicalism has a political element where it says about a social contract with the government and when breached you will be punished because the government is there to protect citizen rights. I have finished explaining the two theories and the major points in each one also I have explained and distinguished the factors that make each theory different from each other. Now I will summaries everything in my conclusion. Conclusion I have distinguished and contrasted the two theories and found the factors that contrast them and make the two schools different from one another. I must say that none of the theories are wrong nor does any evidence suggest that they are full of flaws but it is open to debate. Positivist approach may be seen by some as an ideal way to deal with social disorder some may disagree and say classicalism is far more better in dealing with social disorder, my opinion is that in modern times id rather approach social disorder from a positivist perspective. Bibliography Roger Hopkins Burke 2001, an introduction to criminological theory, Devon: Willan publishing. Frank P. Williams III, Marilyn D. Mc Shane 1999 third edition, criminological theory, New Jersey: Prentice hall Lecture 3 notes handouts.

Monday, November 25, 2019

Classical Decomposition Model essays

Classical Decomposition Model essays Classical Decomposition Method for Calloway Golf (1995-1999) For this paper I have gathered quarterly data on the sales of Calloway Golf Company from 1995 to the third quarter of 1999,and will attempt to fit a time series model using the Classical Decomposition Method, which uses a multifactor model shown below: Yt = actual value of the time series at time t The trend component (T) in a time series is the long-run general movement caused by long-term economic, demographic, weather and technological movements. The cyclical component (C) is an influence of about three to nine years caused by economic, demographic, weather, and technological changes in an industry or economy. The seasonal variations (S) are the result of weather and man-made conventions such as holidays. These can occur every year, month week, or 24 hours. The error term (e) is simply the residual component of a time series that is not explained by T, C, and S. There are two general types of decomposition models that can be used. They are the additive and multiplicative decomposition models. Multiplicative: Y = T * C * S * e As you can see above the type of seasonality can be determined by looking at the plot of the data. The determination of whether seasonal influences are additive or multiplicative is usually evident from the plot of the data, but this is not the case with the data for Calloway as you can see from the first graph of the quarterly sales. While it is my pretension that the seasonal influences for Calloway are multiplicative, I will use both methods and compare the two models to determine which is a better fit for the quarterly data for Calloway Golf. In the multiplicative decomposition model, which is the most frequently used model, Y is a product of the four components, T, C, S, and e. C and S are indexes that are proportions centered on 1. Only the trend, T, is measured in the same ...

Friday, November 22, 2019

Nothing Gold Can Stay by Robert Frost and Where the Sidewalk Ends by Assignment

Nothing Gold Can Stay by Robert Frost and Where the Sidewalk Ends by Shel Silverstein - Assignment Example According to the research findings, it can, therefore, be said that the second half of the poem Nothing Gold Can Stay by Robert Frost talks about the consequences of having a good thing in a society. The part is viewed as an observation of the natural world. The poem describes identical moments in a life cycle. They are the daily, mythic and yearly. The poem uses each cycle to describe how something deemed to be perfect turns out to be the opposite of what is expected. Spring, down and Eden is used to describing situations where people are at the peak of their lives like being a young child and progressing with time to be an old man. In sum, Nothing Gold Can Stay by Robert Frost has a meaning that things or individuals who are highly upheld or successful are the same ones that are easily corrupted by times. The description is given by the speaker or poet of Where the Sidewalk Ends by Shel Silverstein reveals that the poet is conversant with the place. However, the through his words à ¢â‚¬Å"rest from his flight† reveals that the speaker is not comfortable with the present situation in the mentioned place. In the second stanza, it is clear that the speaker yearns for freedom in a different place other than the one they currently are in. However, despite the place â€Å"Where the Sidewalk Ends† is the challenge, the speaker is positive to come out victorious and this might represent a life situation which is threatening, but one comes out of it victorious. The arrows, however, represent a slim chance of hope as they are drawn using chalk. Chalks are easily washable and this can only mean that the speaker’s hopes of finding a way out were slim. The problem in â€Å"Where the Sidewalk Ends† is however solved when the speaker states that the children who drew the arrows knew the directions and would draw them once again in the eventuality of the arrows being washed down by rain. This could only mean that there are no impossible situations an d to even those that seemed impossible, a solution was just lying within waiting to be discovered.

Wednesday, November 20, 2019

Conflict of Religion and Slavery in the Frederick Douglass Narrative Essay

Conflict of Religion and Slavery in the Frederick Douglass Narrative - Essay Example Religion is not the domain of the dermatologist. The arguments of the whites to view religion from the perspective of color needs to be dismissed without further arguments, as only lunatics can forward such a point of view. Those who justify slavery quoting scriptures are like Satan quoting the Bible. They just do not possess an elementary knowledge about the revelation. Douglass encounters with the so-called Christians, who treat slaves in the most inhuman style, shake his belief in religion. Mr. Severe, overseer in charge at Colonel Lloyd’s plantation, is one of such individuals. As the divinity intervenes he dies as soon as Douglass arrives there. The gullible and innocent slaves take it as a blessing from God. The replacement for his place, Mr. Hopkins, is a good person. The love-hate tussles as for religion in his mind continue, and he thinks that it is a good fortune that he is not one of the slavery victims when he is selected and shifted to the Great House Farm, where life is comfortable. The cruel strokes of destiny fallen on his grandmother who is left to die alone shake his faith in God, and he puts his judgment to test by asking questions about His style of functioning. What deeply pains Douglass is the hypocrites donning the garb of preachers as guardians of religion. Some of them are Master Thomas, the Methodist who holds the sla ves on the plea that he takes care of them, but in reality he does not spare even a crippled girl named Henny from his practices of cruelty. At St. Michael’s, a Sabbath school for slaves established by Whiteman is closed under the violent threats by white religious zealots. Religion, as it is practiced, never helps the cause of blacks, and Douglass mentions Mr. Rigby Hopkins, one of the sterling religious hypocrites, who derives sadistic pleasure in beating his slave on silly pretexts. Such religious leaders quote from the Bible selectively, and their assertions are out of the context. Douglass writes, â€Å"I have said my master found religious sanction for his cruelty. I have seen him tie up a lame young woman, and whip her with a heavy cow skin upon her naked shoulders, causing the warm red blood to drip; and, in justification of the bloody deed, he would quote this passage of Scripture ? ‘He that knoweth his master’s will and doeth it, not shall be beaten wi th many stripes.’ † (Douglass 52). This is the highest form of insult to Christianity. Thus, in the mid-1800s, religion is used as the tool to destroy the emotional world of the slaves and break their psyche. Severe whipping is normal which often causes bodily harm to the slaves. Their working hours are long, from the sun-rise to the sun-set in the open farms, in all kinds of weather. With no educational facilities and no scope for personal empowerment possible for the slaves, the doors to the knowledge world remain shut for them from the cradle to the grave and from the womb to the tomb! In Douglass’ time, slavery is being practiced at its worst. The majority of the religious clusters in America barring the Society of Friends support slavery. That is the period when the North and South are vertically divided by the issue of slavery. The Christians of the North favor the abolition of slavery, but the Southerners are adamant about retaining it and thoroughly convi nced that it has the religious sanctity. The worst part is the condemnation and appreciation of slavery is done in the name of Christianity. So, the politics of religion dominates the issue of slavery. Douglass does not condemn Christianity as such, but his strong resentment is

Monday, November 18, 2019

Strategic Management In International Business Essay

Strategic Management In International Business - Essay Example Marks and Spencer (M&S) is a leading UK-based company specialized in clothing, homeware, food, furniture, beauty, financial service and, energy products (M&S Home Page 2009). The country selected for penetration is the Slovak Republic. The choice was not accidental: with the development of European Union new markets represent unlimited opportunities for M&S to expend their activities. Slovak Republic is one of the potential geographical regions for M&S to expand its activities and gain larger market share. This location was selected because the Slogan Republic is an attractive tourist destination for many European tourists, so it would help M&S to attract wider target audiences in summer and in winter (Dobson and Starkey 43). There are many challenges associated with opening a business in the Slovak Republic. The analysis of the whole issue shows that retail businesses are more likely to develop new markets. According to the recent research, foreign companies are likely to build a business around new emerging technology. The general situation can be regarded as rather positive. An increasing role of unions forces M&S to spend much cost on labor resources increasing wages and social provisions. High labor cost can result in decreasing revenues and profitability of the industry. On the other hand, new technologies and automation allow retailers to decrease prices and improve service quality. The Slovak Republic can be seen as an outpost for further expansion in this region. The country is known for importing a wide range of products. The company strongly recommends many states will have to cope with mandatory standards and private sector voluntary standards. The Slovak Republic is an active participant of the EU-led operation, so it will be easy for M&S to conduct its financial operations and meet trade regulations.

Saturday, November 16, 2019

Sexuality and Religion: A Source of Conflict in Egyptian Life

Sexuality and Religion: A Source of Conflict in Egyptian Life Sexuality and Religion: A Source of Conflict in Egyptian Life Egypt is one of the oldest cultures on earth. Part of that culture is the religion of Islam. The practices of Egypts modern society, including sexuality, are deeply rooted in both its religious and secular history. Yet, like any modern society, the Egyptian people are exposed to the influences of the rest of the world. It is a world with much different values and practices than those of the Prophet Mohammed and previous generations. Regarding sexuality, the combination of duty to tradition and desire for liberation represents a serious struggle in daily Egyptian life. The Quran and Islamic law heavily influence civil law and social practices in Egypt. This influence started in the middle of the seventh century A.D., when the Arabs conquered Egypt. At the time, Egypt was ruled by the Byzantine Empire and was suffering religious persecution under them. The Egyptians welcomed the Arab invaders and, over the next several centuries, gradually converted to Islam. This eventually led to the current religious makeup in Egypt today of about 90% Muslim and 10% other, mostly Coptic Christians (US Central Intelligence Agency). The Islamic law or sharia practiced today is not just a restatement of the Quran. Rather, it is a mix of those verses, observations of the behaviors of Mohammed (sunnah) and interpretations of Mohammeds teachings developed over the centuries by Islamic legal scholars. But, how many of these laws does the average Egyptian citizen know? As in most societies with numerous and complicated laws, the average persons legal knowledge comes mostly from verbal instruction and hearsay. This leaves compliance with the law open to misunderstandings and manipulation. For the individual, this causes uncertainty and anxiety. In compliance with Islamic beliefs, sexual relations in Egyptian society are only allowed between a legally married couple. A high value is placed on virginity at the time of marriage. However, lifelong celibacy is discouraged. Extraordinary measures, by Western standards, are taken to uphold the societys moral standards. These measures fall generally into the categories of avoiding unsupervised contact between genders and avoiding arousal of sexual urges. Since Egypt is a male dominated society, the responsibility for avoiding premarital relations rests predominately with the female. Egyptian society assigns stereotypical roles to men and women. The men are the breadwinners and protectors, while women are expected to maintain the household and raise the children. Since the men need to move about freely to fulfill their role, women are required to curtail their travels to avoid arousing the men. Ideally, when leaving the house, a responsible male from her family, typically a brother or her father, should accompany an unmarried woman. However, in modern Egypt many young women attend college or have jobs where constant family supervision is impractical. Also, when outside the house, a woman is expected to wear modest clothing and cover all exposed skin except face and hands. Again, the purpose of this is to avoid the sexual arousal of the males who may see her. Egyptian womens efforts to avoid attracting male attention are not working well. Sexual harassment is prevalent in Egypt. In an interview with the Washington Post, one Egyptian woman commented, â€Å"The more women veil the less men learn to behave as decent and civilized members of society and the more women are harassed, the more they veil thinking it will protect them (Knickmeyer). In a travel advisory, the US Department of State says that a 2008 survey of Egyptian men determined that 78% had sexually harassed women. Harassment experiences create anxiety and internal conflict in Egyptian women. They are making a sincere effort to avoid the problem by covering up. Yet, they are unsuccessful and have been raised to believe that such problems are their fault. The practice of avoiding encounters between genders for unmarried people creates a huge problem. Courtship as known in Western culture, including hand holding, hugging and kissing, is prohibited. Thus, it is difficult for a couple to fall in love and get to know each other well enough to consider marriage. The historical answer has been for the family to assist their children in finding suitable mates. Families identify perspective mates for their children and arrange meetings in the presence of the womans family. However, this environment limits the extent to which the couple can get to know each other and results in less certainty in compatibility than would be expected in societies that permit unsupervised courtship. It also contributes to internal conflict in the individuals involved. That is, personal uncertainties about the potential mate conflict with family expectations for young people to marry by a certain age. In recent years, the high cost of getting married and economic conditions in modern Egypt have made it difficult for Egyptian men to afford marriage. In Egypt, the groom and his father pay for the wedding and must give a dowry or mahr to the bride. For the typical wedding, this cost amounts to several years wages of both the groom and his father (Singerman, 21-22). This is forcing young Egyptians to put off marriage until they can save the required money. For people living by the Islamic rules and avoiding premarital sexual relations, this waiting increases sexual frustration and can lead to depression. The impact of high marriage costs on a young couples finances and a weak courtship procedure contribute to a high failure rate for Egyptian marriages. Egyptian government statistics show that 34.5% of marriages fail in their first year (Al Khamissi). For comparison, in the US approximately 70% of couples married between 1990 and 1994 were still married ten years later (US Census Bureau). An alternative to the high cost traditional marriage is an urfi (secret) marriage. In this form of marriage, the couple draws up a marriage contract and verbally declares that they are married. Typically the contract is not registered with the government and the couples families are not informed. While this type of marriage is inexpensive and allows them to have sexual relations, it can create other problems for the couple. If the sexual relations result in a pregnancy, it becomes difficult to keep the marriage secret. The couple must either disclose their marriage or get an illegal abortion. Also, the couple must still deal with the stress and anxiety associated with keeping the marriage secret. They must find places to meet and justify the time spent apart from their families. People who arent able to get married may look for alternative outlets for their sexual needs. Typical possibilities include Internet pornography, masturbation and prostitution. None of these are looked upon favorably in Egyptian society. Thus, the person is faced with another conflict; endure the sexual frustration or the guilt and risk associated with these other sexual outlets. According to Google Trends, Egyptians are among the world leaders in seaching for the word â€Å"sex† on the Internet. However, viewing pornography violates Islamic law set forth in the Quran. â€Å"Lo! Allah enjoineth justice and kindness, and giving to kinsfolk, and forbiddeth lewdness and abomination and wickedness. He exhorteth you in order that ye may take heed (Pickthall: Quran 16:90).† Therefore, by choosing this behavior the person is choosing one banned act over another (sex outside of marriage). Conclusions Past generations of Egyptians accepted the sexual restrictions imposed by law and tradition because they were raised in that environment, learned that concept of self and had little opportunity for comparison to practices in other cultures. However, improved communications through the Internet and other media have raised questions in the minds of Egyptian youth about these customs. They see premarital sex and publicly expressed sexuality in Western media and desire those freedoms and pleasures for themselves. For now, the conflict between individual sexual desires and societys restrictions on sexual activity occurs mostly within the individuals in Egyptian society. However, as Western culture and values influence more and more young Egyptians, it is likely that a more visible struggle for increased sexual latitude will develop between them and the fundamentalists, who demand to retain the old customs.

Wednesday, November 13, 2019

Drugs Essay -- Pharmacokinetics, Lasix, Water Pill

Lasix Pharmacokinetics Lasix is known as the â€Å"water pill† it’s a diuretic administrated orally.(1) The active ingredient of Lasix is furosemide, but also includes a number of inactive ingredients including lactose monohydrate NF, magnesium stearate NF, starch NF, talc USP, and colloidal silicon dioxide NF. (1) The peak effects of furosemide are typically seen within the first hour of two after a dose of the medication. (1). Lasix is prescribed for individuals to treat edema that may arise from congestive heart failure, liver cirrhosis or renal disease. (1) In adults, furosemide may also be taken to treat hypertension itself.(1) Furosemide comes in 20, 40, and 80mg tablets as well as oral suspensions.(2) Furosemide is absorbed rapidly from oral suspension at 50 minutes, and from tablets at 87 minutes.(2) Food may slow down the absorption of the drug and alter the bioavalibitly.(1) Furosemide binds to plasma proteins, albumin being the main plasma protein that furosemide binds to, at 91-99%, and peak plasma concentrations increase with the increase of a single dose.(2) Furosemide is excreted through the urine and the remainder is excreted in the feces. (2) The half-life for furosemide is approximately 2 hours but the diuretic effects last 6-8 hours. (2) Dosage Schedules and Routes of Administration Furosemide is available in tablets, sublingual tablets, oral suspension, and intravenously. (2) The recommended schedule dose for adults for an initial dose is 20 to 80mg. (3) The same dose as well as higher doses may be administered 6 to 8 hours following the previous dose if needed. (2) When titrating doses it may be raised by 20 to 40mg but not within 6 to 8 hours after the initial dose, and this may continue until the desi... ...hat makes the length of time the the medication is active much longer. (1) After opiates bind opiates are bound to the receptor a messanger such as cyclic AMP express the symptoms that are shown.(1) Mechanism of Toxicity Buprenorphine is contraindicated in patients with patients who opiate agnoist hypersensitivity.(1) It has been shown that CNS and repiratory depression macy occur with therapeutic doses of buprenorphine and can increase with ethanol intoxication.(1) Buprenorphine increass the tone and decreases the contractions of smooth muscles of the gastrointestinal tract resulting in constipation.(1) The metabolism of buprenorphine is directed by CYP3A4 isozyme, when administer with protease inhibitors it may decrease the clearance of buprenorphine.(1) This will increase the the levels of the medication in the plasma and can experience toxic effects(1)

Monday, November 11, 2019

Philippine Independent Cinema Essay

Independent films, more commonly known as indie films, are films not made by mainstream production houses or movie studios. They are independent of the influences, authority, and control of the mainstream industry (Makuha, 2010). The emergence of new and highly-advanced cameras in the market and the advancement of technology have spawned the growth of indie films. This allowed anyone to create his or her own film in accordance to his or her own style without the influences of mainstream movies, which indeed have good effects on the film industry, especially in the Philippines. These films became more noticed and more important and they have saved the slowly dying film industry (Makuha, 2010). Read more:Â  Essay About Philippine Independent Cinema In the brief history of film, advances in technology have from time to time challenged and changed industry models. These advances have wrought their most significant changes on independent sectors of the movie business. In the glory days of the studio system, a parallel or serious rival to that system coming from the independent industry would be unthinkable; the cost and challenge of production and post-production was prohibitive, difficulties of promotion insurmountable. The Internet and many new digital distribution technologies are now starting to remove barriers for the makers and distributors of independent films (Landers, 2006). The development of the 16mm camera and advances in sound technology made it possible, though still difficult, for individuals or small groups of filmmakers to make their vision clear – something rarely possible in the days of the Edison monopoly on technology, or the prohibitive cost of 35mm cameras and professional lighting setups. The challenges of film making were still large in number, but the development of an independent sector of the industry forced the majors to take notice, though the development of subsidiaries specifically tasked to take note of and distribute promising independent films failed to materialize. Independent film had a confined audience, generally limited to subcultures of underground or experimental film. (Such audiences were often primarily composed of fellow filmmakers – though it bears noting that in many cases, these self-selecting individuals were not those who would turn out to view a majority of the studio efforts.) (Tioseco, 2005) Within the last several decades, advances in digital cinema have furthered a similar and all the more powerful renaissance. High-resolution digital video offers an image quality that rivals that of film stock, while video camcorders, and relatively affordable professional-quality editing software capable of being run on inexpensive PCs have made the production and post-production process possible, reasonable and accessible for a substantial number of individuals. With the resulting increase in the number and quality of such films being made, a resulting cultural scene emerged alongside, but not quite outside, the mainstream (Landers, 2006).

Saturday, November 9, 2019

Driving Safety and Distractions

Research question: driving safety and types of distractions Hypothesis: Driving safe and trying to avoid distractions can prevent thousands of accidents each year. People tend to let things like music, phones, makeup, and other things distract their driving. Acting more safely can prevent alot. The null hypothesis would be that it really doesn't matter about the distractions it is up to the person to drive safe. The number of participants that i will use for this research is thirty. The inclusion characteristics will be age, gender, and three different types of distractions. I on't think there will be no exclusion characteristics considering the study is using age and gender as well as different distraction characteristics. Yes the sample nedds to be diverse because we are studying driving between male and females. We are also studying the adult and teenager age groups against the different distractions that we intend to use. The type of sampling method that I will be using is strati sfied random sampling. This sampling is appropiate because i will be randomly selecting participants from each group so that their presentation in the sample is proportional to the epresentation in te population. I will generalize my sample to the male and female population. I will also use the teenage and adult groups. I will also generalize between the different types of distractions and there affect. The independent variables in my study will be men versues women. The dependent variable would the types of distractions that causes a person not to drive safely. I will be using the one-way annova test. This test is appropiate to use with the number of distractions being tested which will be three or more caterogories to compare against. The reliablity of this study is based off of the participants and how they react to the types of distractions. The validity would be how valid the distractions are to get a reaction out of the participants. For this study I will be using observational research in determing driving and types of distractions. I would set up a car simulation. Each participant would be driving and I would add a distraction to the experiment to observe the reaction of the person. I will also use data from different driving accidents to see what caused it and the age and gender of the person. Descriptive research si the deisgn being used. This research is good because I am using observational research and some archival data. The basic procedure that I will go through is to randomly pick male and females some that are teens and some adults. I will set upa car simulation and have each one drive and then present different distractions to see how they react. I can also see what was the one distractions that had the greatest effect and the one that had the least effect. Some ethical issues could be the race of the subjects, the area in which they live, health and mental issues. References: Occupational driver safety: Conceptualising a leadership-based intervention to improve safe driving performance[->0] Newnam, Sharon; Lewis, Ioni; Watson, Barry. Accident Analysis & Prevention (0001-4575) March 2012. Iss. Volume 45;p. 29-38 Source: Science Direct[->1] Teens Receive Grant to Develop Safe Driving Campaigns. [->2] Professional Safety (0099-0027) Oct2011. Vol. 56,Iss. 10;p. 29-29 Source: Academic Search Elite[->3] Protext Mobility Releases DriveAlert Safe Driving Solution for Android to Combat Distracted Driving[->4] Anonymous. Wireless News 2011-08-04. Source: Telecommunications (ProQuest)[->5] .Automotive; Safe Driving Starts with Safe Thinking[->6] Anonymous. Transportation Business Journal (1945-8436) 2011-07-03. Source: Military Collection[->7] Road safe seniors: Screening for age-related driving disorders in inpatient and outpatient settings[->8] Hill, Linda; Rybar, Jill; Baird, Sara; Concha-Garcia, Susanna; Coimbra, Raul; Patrick, Kevin. Journal of Safety Research (0022-4375) 2011-06-01. Vol. 42,Iss. 3;p. 165 Source: Research Library Complete (ProQuest)[->9] Older and Younger Drivers' Beliefs about Motor Vehicle Features to Benefit Their Safe Driving[-;10] Soyun Kim ; Michael S. Wogalter ; Christopher B. Mayhorn. Proceedings of the Human Factors and Ergonomics Society Annual Meeting September 2010. Vol. 54,Iss. 2;p. 160 – 164 Source: SAGE Journals Online[-;11] .Safe Driving Systems, LLC; Texting While Driving: Danger Eliminated with New Technology[-;12] Anonymous. Computer Business Week (1944-1541) 2010-04-08. Source: Science Journals[-;13] Age and gender differences in risky driving: The roles of positive affect and risk perception. Rhodes, Nancy; Pivik, Kelly Accident Analysis & Prevention (0001-4575) May 2011. Vol. 43, Iss. 3; p. 923-931 Source: Science Direct Age, skill, and Hazard perception in driving Borowsky, Avinoam; Shinar, David; Oron-Gilad, Tal Accident Analysis & Prevention (0001-4575) July 2010. Vol. 42, Iss. 4; p. 1240-1249 Source: Science Direct Mixed Signals on cellphone bans; Safety group seeks more data as states limit driving distractions Larry Copeland, USA Today 07 Jul 2011 Source: eLibrary Road Safety Program geared to students/ Driving distractions stressed at schools Magee, Maureen The San Diego Union- Tribune(1063-102x) 2009-10-22 Source: Newsstand Safety Campaign highlights Danger of Driving Distractions US FED NEWS Service, Including US State News 2009-06-03 Source: Research Library Complete Soglesby_M3:Assignment 2 [-;0] – http://www. sciencedirect. com. libproxy. edmc. edu/science? _ob=GatewayURL=citationSearch=4=SERIALSCENT=1=S0001-4575%2811%2900306-X=f657769fe706b77650817f650bfd1ffe [-;1] – http://www. sciencedirect. com. libproxy. edmc. edu/college [-;2] – http://search. ebscohost. com. ibproxy. edmc. edu/login. aspx? direct=true=afh=ehost-live=67047843 [-;3] – http://search. ebscohost. com. libproxy. edmc. edu/login. aspx? authtype=ip,uid=ehost=afh [-;4] – http://search. proquest. com. libproxy. edmc. edu/docview/880973357/citation/embedded/67K6C70KVQ8HHTJI? source=fedsrch [-;5] – http://search. proquest. com. libproxy. edmc. edu/telecomms [-;6] – http://search. proquest. com. libproxy. edmc. edu/docview /873326956/abstract/embedded/05S33OPH125WJ575? source=fedsrch [-;7] – http://search. proquest. com. libproxy. dmc. edu/military/ [-;8] – http://search. proquest. com. libproxy. edmc. edu/docview/886697220/abstract/embedded/YEPZ7R2PIKHVRMP5? source=fedsrch [-;9] – http://search. proquest. com. libproxy. edmc. edu/pqrl [-;10] – http://pro. sagepub. com. libproxy. edmc. edu/cgi/content/abstract/54/2/160 [-;11] – http://online. sagepub. com. libproxy. edmc. edu/ [-;12] – http://search. proquest. com. libproxy. edmc. edu/docview/198002167/abstract/embedded/67K6C70KVQ8HHTJI? source=fedsrch [-;13] – http://search. proquest. com. libproxy. edmc. edu/sciencejournals

Wednesday, November 6, 2019

The Election of Byron Looper and Tommy Burks essays

The Election of Byron Looper and Tommy Burks essays In 1998, an election for state Senate ended up being the worst election that Tennessee had ever witnessed. Throughout the years, this election is the one that everyone will remember for a long time. Going through an election can be very stressful and hard, but nothing could give someone a reason to murder another person, to win an election. In 1998, there were many candidates running for election in October. One of the most popular elections that were going on at this time was the state senate. Two men by the names of Tommy Burks and Byron Looper were both in the race. Byron Looper was forty-seven years old with a wife and two kids. This was the first election he had ever run for, dealing with the state senate. At the age of fifty-eight, Tommy Burks served four terms in the state House of Representatives before being elected to the Senate in 1978 (Thompson 2). He was running for re-election to the Senate in the 1998 election. Senator Burks was respected for his honesty and hard wor k, both in his farming operation and his work in the state legislature. He was a 1963 graduate of Tennessee Technological University and had been honored by the University with awards. Tommy Burks also served as a director of the TTU Agriculture Foundation (Thompson 2). On October 19, 1998 State Senator Tommy Burks was murdered on a road on his farm just east of Monterey, TN., preparing to take a local school children on a field trip to his pumpkin patch (Fleming 1). Thus showing Tennessee how he cared about kids in the community and his love for his occupation. Tommy Burks, a longtime state legislator, was a farmer and was on his way to his barn, traveling along a road near the section of the large farm Where his daughter, Kim Blaylock, lives when he was shot to death. Senator Tommy Burks was found sitting in his Pickup truck on the road to the barn (Fleming 1). News agencies were reporting that Burks was shot twice, one in the chest, the other, i...

Monday, November 4, 2019

Skip navigation links BFS 3460-08B-2 FIRE PROTECTION SYSTEMS Essay - 5

Skip navigation links BFS 3460-08B-2 FIRE PROTECTION SYSTEMS (BFS3460-08B-2) - Essay Example The supply fans of the upper and lower ventilation zones would then be actuated, while the exhaust fans are turned off. These actions would consequently produce a multi-floor sandwich effect in the edifice, and the net effect would be the generation of a pressure variance sandwiched between the hub and boundaries within the Heating Ventilation & Air-Conditioning (HVAC) zone of the fire origin (Brannigan & Corbett , 2008). Fire alarm plays a very significant role in sandwich pressurization. In exhausting the air from the origin of the fire, the fire floor is likely to drag the fire with it and consequently cause a further spread of the fire before it can be quenched. This is where the fire alarm becomes relevant; it is the fire alarm that assists in actuating the smoke control mode in the event of an inferno. The system then activates the pressurization fans and the fans continue running until the smoke detector supply channel is activated by the fire alarm. It is the fire alarm that aid the initiation of the pressurization system as the process begins when the system receives an actuating signal from the fire alarm in the stairs of the building affected by the fire. Hence fire alarm helps accomplish pressure

Saturday, November 2, 2019

Unit #7 Assignment Example | Topics and Well Written Essays - 250 words

Unit #7 - Assignment Example Most disabled children are easily subjected to ungovernability and truancy charges. According to Miller (2008, P. 113, C.2, Para. 1), there were97 deaf inmates at the Texas State Prison with 61% of them being convicted of violent offenses, 19% illegal drug violations, and 11% were convicted of other petty crimes like indecent exposure. Various schools are obligated to single out students with special needs like deafness and give them specialized treatment (Tulman, & Weck, 2010, P. 878, Para. 2). Failure to efficiently adopt this, deaf students will be more vulnerable to committing various crimes. Additionally, deaf students are likely to commit status offences which are, by classification, a particular category of non-criminal misbehaviors, (Tulman, & Weck, 2010, P. 879, Para. 2). Despite the fact that the Juvenile Justice and Delinquency Act (JJDPA) has advocated for the deinstitutionalization of status offences, several deaf offenders have ended up in correctional facilities. Due to their perceived naivety and disabilities, deaf inmates are highly vulnerable to sexual assaults and other discriminations in prisons, Vernon (2010, P.311, C.2, Para. 2). Additionally, some are subjected to forced treatments against their will in the correctional facilities. Subsequently, most prisons even do not know their deaf inmates are making it hard for them to get access to parole services. Moreover, it is uncommon for the jury to incarcerate deaf defendants experiencing linguistic incompetence, Miller (2008, P. 117, C.2, Para. 2). For instance, the case of Mr. J, who was deafened by meningitis, aged 3. Mr. J was treated harshly by a policewoman after he accidentally scratched a Corvette at a dinner. After being assaulted by more policemen, he was jailed without treatment. Additionally, he was tried without an interpreter. About 40% of deaf defenders experience communication

Thursday, October 31, 2019

Policy memo Assignment Example | Topics and Well Written Essays - 1000 words

Policy memo - Assignment Example The people affected are those who practice other religious elements apart from the Islamic practices. These elements moved to the extent of affecting the government such that Gadhafi’s regime during then resulted to favoring Arabs excessively than other citizens that existed in Libya. These actions caused war and rebellions in Libya. There was a movement for democracy and equality among the citizens of Libya whereby to date religious freedom is not easily that easy attainable. This calls for a democratic strategy that would enhance proper redress to these issues geared at enhancing equality among the people of Libya. Background Aspects of inequality and disparities in the operation of the government of Libya are increasingly taking place without any proper redress. One of the most outstanding factors that insinuate a high level of discrimination in the country is the aspect of religion. The Muslim society is continuously taking over the religious aspects of the country. Additi onally, this affects the form of governance that the Libyan people experience today. A continuous trend in this element of the societal setting will result to an intensified identity division based on religious factors. Unfortunately, such factors may also lead to deterioration of peaceful coexistence in the nation if respective authorities fail to rectify them. This has prompted to the call for a democratic framework that would result to an all-round equality among citizens of the Libyan republic. Discussion The religious and ethnic groups in Libya Libya is one of the countries with extremely diversified ethnic and religious bases. Although the Libyan population has around 97% of Islamic religion, other religious groups like Catholics, Romans, Coptic and Anglicans also exist within the state. This prompts the entire state be a diversified base of religious groups. All these religious groups deserve freedom to worship and engage in various activities based on their creeds. However, the Libyan religious groups have received numerous oppressive practices resulting from the al Gadhafi regime. During this regime, there was a close monitoring of religious activities in the Libyan society. This went to an extent the regime dictated ways in which sermons ought to be. These acts affected the distribution of churches within in Libya. Only Christians had the opportunity to have the limitation of having one church in every city throughout the state. This was also under the condition that they do not engage in political issues. These factors lead to total discrimination among the people of Libya. This happened to an extent that the government received influence from the Islamic laws and religion. Even after the Gadhafi regime, such elements still seem traceable (Van Genugten, 2011). Elements of oppression still exist and it becomes difficult to freedom of religion in Libya. As a result, discrimination has led to disparities even in the political systems. These actions cal l democratic ideas that would favor the religious equality and ethnic recognition. Women in Libya also experienced devastation due to discriminatory practices under Gadhafi’s regime. Bothe sexes in the entire state have enjoy similar privileges under the law. However, women were still experiencing some extent of discrimination in given biological aspects of the society. The family law was one of the effects that influenced women actions in the society. These factors affected the operation of

Tuesday, October 29, 2019

Research Paper on Americans with Disabilities Act Essay Example for Free

Research Paper on Americans with Disabilities Act Essay Before starting this class and especially the research paper, I knew very little about the ADA. During the period of research and writing the paper I hope to obtain a better grasp on the ADA in general. But I also hope to learn some things that my current place of employment can improve our standards when it comes to those with disabilities. The ADA was signed into law on July 26, 1990 by then President George H. W. Bush. It prohibits discrimination based on disability and only disability. It is fairly similar to the Civil Rights Act of 1964. Implementing the Americans with Disabilities Act. Blackwell Publishing. General Discussion Analysis The Americans with Disabilities Act of 1990 (ADA) is a civil-rights law that was passed on July 26, 1990 (Acemoglu). Kathryn Moss suggests that the ADA is arguably the most important civil rights law for people with disabilities and the most significant since the Civil Rights Act of 1964. The ADA is a federal legislation that forbids discrimination of various sorts and allows the 43 million Americans with disabilities an equal opportunity for employment and services. It provides fairly similar protections against discrimination to Americans with disabilities as the Civil Rights Act of 1964, which made discrimination based on race, religion, sex, national origin, and other characteristics illegal. The Merriam-Webster dictionary defines being disabled as â€Å"incapacitated by illness or injury; also physically or mentally impaired in a way that substantially limits activity especially in relation to employment or education. The law was written enable people with disabilities to not only enter the job market but to also remain employed. In the late 1980’s, a House of Representatives report came to a conclusion that more than 8. 2 million disabled individuals were unemployed despite their desire to work. Also, those disabled individuals earned 36 to 38 percent less than their counterparts (Faillace). According to Gary Dessler, â€Å"employers with 15 or more workers are prohibited from discriminating against qualified individuals with disabilities with regard to applications, hiring, discharge, compensation, advancement, training, or other terms, conditions, or privileges of employment. It also says that employers must make ‘reasonable accommodations’ for physical or mental limitations unless doing so imposes an ‘undue hardship’ on the business. † It not only prohibits discrimination in employment but also outlaws most physical barriers in public accommodations, transportation, telecommunications, and government services. Although the ADA does not specifically list any disabilities, the Equal Employment Opportunity Commission’s (EEOC) guidelines state that when an individual has a physical or mental impairment that substantially limits one or more major life activity then the individual is in fact disabled. It goes on to state that impairments can include any physiological disorder or condition, cosmetic disfigurement, or anatomical loss affecting one or more of several body systems, or any mental or psychological disorder (Dessler). Among the protected classes are persons with AIDS and substance abusers who are in treatment. Some 50 million current or potential workers are estimated to be covered by the laws provisions (Columbia Encyclopedia). However, the act does list some conditions that are not to be considered as disabilities. These include â€Å"homosexuality, bisexuality, voyeurism, compulsive gambling, pyromania, and certain disorders resulting from the current illegal use of drugs† (Dessler). The act has already been much litigated. In 1999, for instance, the U. S. Supreme Court ruled that correctable conditions like eyesight requiring the use of glasses do not qualify as disabilities under the act, and a 2002 decision established that a disability must limit a persons ability to perform tasks of central importance not just in the workplace but in daily life (Fielder). Studies suggest that the number of disabled persons entering the workforce has not improved significantly, and that a contributing factor may be their reluctance to lose other benefits available to them on the basis of their disabilities (DeLiere). Although the President’s Committee on Employment of People with Disabilities reports that the cost of making an accommodation for an employee with a disability averages around $200 per employee with many costing less than $50. But espite this relatively small cost, many employers are still stereotyping disabled individuals and fear that the accommodations may disrupt the workplace (Blanck). Dale Brown states there are several myths regarding the Americans with Disabilities Act. He says the â€Å"ADA does not give you the right to a job because you have a disability. You must be qualified and compete and you may be rejected from a job just like anyone else. It does not give extra points in getting a job, the ADA is not an affirmativ e action statute. That is, its not intended to make up for past discrimination by requiring the employers hire a certain number of people with disabilities or giving them incentives to do so. It also does not allow any special privileges on the job. Although sometimes reasonable accommodation might look like special privileges to other people, you have the same responsibilities and challenges as your fellow employees. † In essence, you still must be as qualified or more qualified than a fellow prospective job applicant in order to receive the position. There will be no punishment for the employer if the disabled applicant is not hired because of the two applicant’s qualifications. TITLE I-Employment Title I of the ADA contains the law’s employment provisions. This is where the law states that private employers (the exact term in the law is covered entity) with 15 or more employees must not discriminate against qualified individuals with disabilities. A qualified individual is a person that can perform the essential duties and functions of a job or position with reasonable accommodations. One may see a potential loophole with the act based on those two words â€Å"reasonable accommodations. † The definition of reasonable accommodations along with any other possible complaint against a company is taking on a case by case basis. But such accommodations are required only if making them does not place an undue hardship on the employer (Moss). Title I applies to all aspects of one’s job including application procedures, hiring, promotion and discharge, worker’s compensation, job training, and more (Blanck). Another aspect of the job that is covered under the ADA is if a prospective job applicant is related o or associated with a person who has a disability. For example, if an employer will not hire someone because they may think the prospective applicant would be too consumed with taking care of the disabled person, it would be illegal for the employer to not hire the applicant for that reason (Brown). Cases filed against employers regarding Title I te nd to be not cases about fact but rather about personal and social attitudes because they tend to involve the â€Å"states of mind of the various players in the story† (Krieger). Krieger goes on to state that juries and judges are asked to imagine the state of mind of an employer who was faced with hiring an applicant or not hiring an applicant that is, for example, obese. Or to fire an employee who has â€Å"nonsymptomatic AIDS. † In many cases it comes down to the personality and presentation of the person or persons under trial rather than the facts, because there may not be any facts, just allegations. An employee must perform the essential functions, those activities that are intrinsic to a job. The essential functions are determined individually for each job. However, an employee is still considered as a qualified candidate or employee if it only takes reasonable accommodation to meet the functions of the job. According to Dale Brown, making reasonable accommodations usually means â€Å"removing obstacles from the job, the workplace, or the terms and conditions of employment that would otherwise prevent an otherwise qualified person with a disability from doing the job. † He goes on to give an example of what reasonable accommodation may be. He states that computers and calculators are reasonable accommodations that may help many people whom have learning disabilities or dyslexia with routine arithmetic and proofreading functions. Also, in order for an employer to make these reasonable accommodations to the workplace, they must have knowledge of the disability of the applicant or employee. If the employer is not made aware of the disability they may not be held responsible for any discrimination. The discrimination can not take place until the disability is actually disclosed. Even then, the employer is legally allowed to ask for medical documentation and evaluate it before they determine whether or not the request is appropriate (West). Meaning, the burden of proof that the disability substantially limits a major life role lies on the applicant or employee along with their health provider. Not only must the health care provider and applicant or employee prove that a disability is present, but must also prove that the requested accommodation is a necessity to perform their job. If the employer will not make the accommodations, the applicant or employee can pay for the accommodation out of their own pocket. Ruth Colker states that if an applicant or employee offers to pay for the accommodation, the employer can not say no unless it is disruptive. So again, it is up to the jury or judge to determine what is and what is not disruptive. This is again why each ADA case or complaint is handled differently and there is no real precedent in these cases. TITLE II-Public Services Title II has two different sections. One that covers public entities and the other is specific to public transportation provided by public entities. The section that covers public agencies includes local, county, state government and their departments and agencies. Title II covers all activities, services, and programs of the public entities (Americans). The first section includes entities like schools, city governments, and fire stations. Accessibility means that each program is readily accessible to and usable by individuals with disabilities. Program accessibility is necessary not only for individuals with mobility impairments, but also for individuals with vision and hearing impairments (Americans). Meaning leaders of the entities need to consider not only physical obstructions such as doors and restrooms but also visual and hearing barriers such as accessible building signage, public telephones and alarms with visible signals. The second section, which covers the public transportation of the aforementioned public entities, includes services operated by state and local government by regulations of the Department of Transportation. It also includes facilities used for the public transportation systems such as bus stations, railway stations and airports along with vehicles used in public transportation (Americans). Again, the basis for this title is that no qualified individual with a disability will be subjected to any sort of discrimination by a public entity. It also states that the individual not be deprived of any benefits of services or activities of the public entity due to the disability as well. Any sort of accessibility or service that is lacking from any of the public entities can be considered discrimination regardless of who it actually affects. TITLE III- Public Accommodations Title III of the ADA is the title that applies to private entities such as hotels, stores, gas stations, etc. It is very similar to Title II just in regards to the different type of business entity that it covers. It prohibits discrimination on the basis of disability by public accommodations and also in commercial facilities (Brown). It also prohibits the discrimination on the basis of disability by any person who owns or operates a place of public accommodation. However, entities that are controlled by religious organizations, including places of worship, and private clubs are both not covered by Title III. Although private clubs are not covered, their facilities are made available to customers of a place of public accommodation (West). The public accommodations must also provide auxiliary aids and services when they are necessary to ensure effective communication with those with hearing, vision, speech, or similar impairments. TITLE IV- Telecommunications Title IV of the ADA requires that all United States based local or long distance telephone services must provide a relay service for those individuals that are deaf or hard of hearing along with those with speech impediments. Also, people with TDD’s (Telecommunications Device for the Deaf ) and TTY’s (Teletypewriter) who are calling those with out TDD’s or TTY’s and vice versa can make a call through a relay service. The relay service will transmit the call using TDD/TTY or voice depending on the need (Joffee). Today, there are multiple sources of TDD’s and TTY’s available through the internet using broadband connections. TITLE V-Miscellaneous Provisions Title V includes miscellaneous provisions that relate to the application of the ADA. Some of the more notable provisions are: †¢Ã¢â‚¬Å"The ADA shall not be construed to apply a lesser standard than that already in existence under Section 504 of the Rehabilitation Act of 1973 or to invalidate any state or local laws which have stricter provisions. †¢The ADA will not prohibit an insurance company from using sound actuarial data to administer risks, even if the effect is that people with disabilities will be charged more or denied coverage, but it must not be used as a subterfuge to deny coverage. †¢The ADA shall not be construed to require a person to accept an accommodation† (Acemoglu). Conclusion The ADA was instituted to help even the playing field for those with disabilities. But in some ways it has actually discouraged employers from hiring candidates with disabilities due to the perceived extra cost and effort it would take to hire a disabled person. Another reason for criticism is that many lawyers have made a living out of suing non-compliant businesses. There has also been research that concludes the number of disabled employed has actually declined significantly since the passage of the ADA. So while the ADA was instituted for all the right reasons, maybe the plan hasn’t been perfected and it is lacking some effectiveness to date.

Sunday, October 27, 2019

Consumer Preferences In The Indian Banking Industry Marketing Essay

Consumer Preferences In The Indian Banking Industry Marketing Essay The Indian banking industry has witnessed a robust growth during the last decade. There are various public, private and multi-national players operating in the industry. Though the importance of better customer service quality is understood in the sector, there exist various other factors that customers consider while evaluating banks. In this paper, the customer preferences in the Indian banking industry are studied using conjoint analysis as a statistical tool. The three product attributes that are analyzed are bank timings, ATM network and customer service reputation. The results show that customers pay a lot of attention to the customer service reputation of the bank. The facilities of the bank regarding branch timings are also looked up by the customers. Adequate recommendations towards gaining competitive advantage are presented at the end of the paper. Key words: Conjoint Analysis, Indian Banks, Consumer Service Introduction Product selection is a complex decision making process involving resolving various trade-offs. For example, a basic trade-off might involve striking balance between better product features and right price. Since an ideal product consisting of the best possible product features is not always feasible, it is important to learn the customer preference for various product attributes. This information can be used by organizations in an industry during product design and improvements in the current product offering. Conjoint analysis is an advanced marketing research tool that finds applications in developing an effective product design. It helps the researcher narrow down the product attributes that matter to the customer and quantify the importance attached to various product attributes. Hence, we can answer which attributes are the most important and which are the least important, as discussed in IBM SPSS (2012). The analysis requires the development of an appropriate questionnaire where in a respondent is required to highlight their preference towards various product attributes combinations. Recently, the technique found applications in various industries to assist product developers and established players towards effective product design. For illustration, Conjoint Analysis is used in Measuring Consumer Preferences for Sales Promotion Schemes in FMCG Sector in Vyas (2005). Hence, any study that contributes in understanding customer preference in an industry is critical towards the development of detailed customer profiles and effective product design. In this paper, we explore the application of Conjoint Analysis in understanding the customer preferences in Indian banking industry. The application of Conjoint Analysis in the banking industry can help us better understand the industry in the following ways: Understanding product attributes relevant to customer- the study helps us understand the attributes that are at top of the priority list of the customers. By analyzing the weights attached to various product attributes, organizations can design their finance products in a better way. Actionable recommendations- The recommendations of the analysis are actionable. For example, issues like interest rate and basic loan terms that are not under the control of bank are not included as a part of actionable and feasible recommendations. However, banks can work towards improving customer service location, attractive location of ATM and comfortable timings of the branches. Applications- The applications of the study could be used in benchmarking Indian customers against their global counterparts in understanding and predicting the next evolution in the Indian banking industry. The results could be used together with Multidimensional Scaling for organizations seeking entrance in the industry or for existing players in understanding brand positioning. Hence, the aim of this analysis is to study the Indian banking customers and find out the utilities of all the product attribute levels and their relative importance. This is done by applying Conjoint Analysis. Due to paucity of time, the study is limited to the bank customers based out of Delhi region. The respondent set is the FMS MBA students. The study aims to find the customer preferences that are important to the customers while evaluating banks. This study is an exploratory research that can be used for future larger studies. Section 1 of the study provides a short introduction of the subject matter along with a brief background. Section 2 delves into the existing literature in the area, which has focused on the same subject matter. Section 3 describes the methodology adopted for the study, including the data collection and analysis. Section 4 discusses the results and findings of the analysis. Literature Review There have been various studies in the past that explore customer preference attributes in various sectors, in India and abroad. We discuss those studies where Conjoint Analysis has been used. ÃÆ'Ã…â€Å"lengi (1998) explored the customer preference in the Turkish Banking industry. They concluded that among other factors, facilities like extended loyalty programs, off-site ATMs, maximum 5-minutes waiting time in the branches are most preferred by the customers. With respect to higher order decision constructs, they also concluded that delivery channels and customer relations have the strongest influence on the respondentà ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ãƒ ¢Ã¢â‚¬Å¾Ã‚ ¢s preferences. Another study in this domain by Trchrome (2008) also explored the customer preferences in the banking industry. They concluded that customers give importance to type of bank, minimum balance requirements, online banking facilities, customer service quality, and ATM network while evaluating bank options. Of these options, customers give highest importance to balance/fees requirement at the bank (34 %), online banking facilities (24 %) and the type of bank (11 %). In line with this publication, Auruskeviciene, Salciuviene and Virvilaite (2005) explored the banking industry to quantify the marketing image of financial services. There results were as following: service quality (41%), prices of services (26%), convenience and availability (17%), variety of services (13%) as well as bank exterior and interior (3%). As we observe from these studies, customers see a lot of factors while evaluating banks. Of these, branch timings, customer service quality and ATM positioning were explored in the present study. There have been other studies in the sub-segments of the banking industry. Cai and June (2001) analyzed the Internet banking industry to study the change in customer preferences in this sub-segment of the industry. They found out that customer service reputation, banking service products and online systems quality matter the most to the customers in online banking. Kubica (2011) used conjoint analysis to segment young clients in the banking industry. They concluded that profiling young customers is a complex process. Png (2003) explored the specific problem of the amount that could be charged to customers for waiting time. While it can be seen that conjoint analysis has been applied in the global banking industry, its applications in the Indian context is limited. Conjoint analysis application in Indian sectors such as tourism, private label brands (apparel), air freshener and automobile sectors is present. There have been a few studies that explore the consumer preferences in the Indian banking sector. Ananth, Ramesh and Prabaharan (2011) analyze the service quality gap analysis (structured questionnaire) for Indian private banks. They conclude that there are some dimensions in the service quality that are lacking (empathy and accessibility). Komal and Rani (2012) also explore the customer preferences in the domain. The key results are that ATM service quality, internet banking services, credit cards portfolio are important factors considered while evaluating banks. Ananth and Arulraj (2011) measure the banking service quality in Tamil Nadu. They concluded that credit facility (interest rate), Corporate Social Responsibility initiatives and deposit schemes are the most appealing to the Indian consumer. As we see, there is no significant study in the application of conjoint analysis in the Indian banking sector. Hence, the motivation behind this study to explore the consumer preferences in the Indian banking industry through Conjoint Analysis. We intend to understand the product attributes that a prospective bank customer considers while evaluating an Indian bank. Methodology This is an exploratory study. Hence, no hypothesis is formulated. After the results of the analysis are obtained, hypothesis can be developed. Convenience sampling is used for the study. The sample size for the study is 51 respondents. The respondents are from the Full Time and Part Time course of the MBA program at FMS Delhi. The respondents were provided with the questionnaire that requires them to rate the various product-attribute combinations on a scale of 0 to 10. The average age of the respondent set is 29.9 years (standard deviation: 6.98 years) and the average work experience of the respondents is 6.53 years. After carefully reviewing the contemporary literature, the following factors were found relevant to our study: Branch Hours: The time duration for which the branch is open ATM Network: The location of the ATM network with respect to positioning near the branch or at other places Customer Service Reputation: The customer perception of the quality of services offered to customers. The level of these product attributes are as following: Factor Description Levels 1 Branch Hours Weekdays 9-4 The branch timings are from 9 AM to 4 PM Weekdays 9-7 The branch timings are from 9 AM to 7 PM Weekends also The branch is open on weekdays as well as weekends 2 ATM Network At branches The ATM is available only at branches At branches others The ATM is available at branches as well as at other locations 3 Consumer Service Reputation Good The consumer perception of the consumer services is good Average The consumer perception of the consumer services is average Poor The consumer perception of the consumer services is poor Table 1: Product Attributes and Levels As we observe, there are 18 possible combinations out of these product attributes and levels. The 18 combinations or profiles are presented to the respondents in a survey. Beside the responses, other information like respondentà ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ãƒ ¢Ã¢â‚¬Å¾Ã‚ ¢s age, work experience, sex and absence/presence of a bank account is also collected. Based on the collected responses, conjoint analysis is applied to find out the part worth estimates of the various product attributes. Since the number of attributes is 3, traditional full-profile methodology of conjoint analysis is used. Based on the responses, dummy variable regression is used to find the respective part-worth functions for each respondent. These results are then aggregated to find an overall result. Findings The data from the 51 respondents is analyzed to find out individual, unique part worth functions. The utilities of the various product attributes are as follows: Attribute Level Aggregate Utility Standard Deviation Branch Hours Weekdays 9-4 -1.01 1.18 Weekdays 9-7 0.96 1.02 Weekends also 0.05 0.53 ATM Network At branches -0.38 0.44 At branches others 0.75 0.88 Consumer Service Reputation Good 1.59 0.86 Average -1.62 1.10 Poor 0.03 0.65 Table 2: Aggregate Utilities of Product Attributes and Levels As we observe, the utilities have comparable standard deviations to the aggregate value. The importance of the various product attributes are as follows: Product Attribute Part Worth (%) Branch Hours 34.2 ATM Network 17.1 Customer Service Reputation 48.7 Table 3: Part Worth of Product Attributes As we observe, the customer service reputation (48.7 %) is the most important product attribute among the three product attributes. This reinforces the pre-existing perception that customer service reputation is a key factor that is evaluated by the prospective customers. Second, branch hours (34.2 %) as a product attribute is another important attribute that is evaluated by the customers. Positioning of ATMs is the third parameter that is used during customer evaluation (17.1 %). These results highlight the importance of customer service reputation in the Indian banking industry. Indian banks must attempt to improve the customer perception to gain a competitive advantage. An improved service reputation assists the bank in improving the competitive position of the brand. For a new player that is seeking entry in the industry, investments must be directed to improving the customer experience and customer perception about the same. Next important parameter is the timings of the branches. As seen, usual timings from 9-4 PM are the least preferred. Customers look forward to some sort of facility in this regard. It can either be related to longer branch timings like 9-7 PM or branches being open on weekends. Since the respondent set had people with and without work experience, option of branch hours extending after the usual 4 PM is useful to the working professional. Finally, the positioning of ATM is another important parameter evaluated by the customers. ATM location at the branches and at other places is an attractive preposition. Since it is an exploratory study, there is a further need for a study with a bigger respondent set and product attributes that would throw deeper insights into the importance of other product attributes to the Indian consumers.

Friday, October 25, 2019

Teodoro Moscoso :: Essays Papers

Teodoro Moscoso Teodoro Moscoso and Puerto Rico’s Operation Bootstrap by Alex W. Maldonado tells us about the life of Teodoro Moscoso, the architect of the â€Å"economic miracle† which most experts did not believe could happen in Puerto Rico. Teodoro Moscoso was born in Barcelona on November 26, 1910. His mother, named Alejandrina Mora Fajardo, was a Spaniard from the Balearic island of Majorca. His father, also named Teodoro, was a pharmacist. He wanted to have a son that could help him accomplish, a branch of pharmacies through Puerto Rico. Moscoso attended school in New York and became a good English speaker. He graduated from Ponce High School; soon after this, he was attending the Philadelphia School of Pharmacy. After studying there for 3 years he insisted to his father, to transfer him to the University of Michigan. He wanted to go there because it offered liberal arts courses which he wanted to study. After graduation in 1932 Moscoso returned to Ponce to work at his father’s pharmacy. He married Gloria Sà ¡nchez Vilella, sister of future Puerto Rico governor Roberto Sà ¡nchez Vilella (1965-1969). Pharmacy work bored Moscoso, and in the mid 1930’s when the Ponce Housing Authority (PHA) was about to lose a two million dollar grant, Pedro Juan Rosaly, a PHA board member approached Moscoso’s father and asked if his son could help. Moscoso’s command of the English language was what drew the interest of PHA officials. Moscoso saved the grant and from 1937 to 1941 he build nearly one thousand housing units, clearing many Ponce slums in the process. It was Moscoso’s work at PHA which captured the interest of the newly appointed governor of Puerto Rico, Rexford G. Tugwell. Tugwell was a member President Franklin D. Roosevelt’s brain trust, a group of well educated, committed Americans who went to Washington during the Great Depression to try to lift the nation out of the economic crisis. After a chance meeting when Tugwell visited Moscoso’s pharmacy in Ponce, Teodoro went to work in La Fortaleza as assistant for housing. The title was a formality in order to get Moscoso a salary for his work, but the actual duties were far broader. Another important event in Teodoro Moscoso’s life occurred in the summer of 1940 when Moscoso met Luis Muà ±oz Marà ­n.

Thursday, October 24, 2019

A Wireless Communication

5G is a wireless communication and it is updated version from 4G, but it has higher speed reach to 10Gbps. : 1GThe first generation appeared in the early 1980s. Its data rate is 4.2 kbps. It has a lot of flaws Like :Store and listen to voice calls through a third party[1].: 2GThe second generation emerged in the late 1990s. Its data rate reaches 64 kbps. It has many features such as: long battery life for low-power radio signals and many services such as SMS and e-mail[1].:3GThis generation emerged in late 2000. It transmits data at up to 2 Mbps. It has been improved in an unconventional way to maintain and provide quality services. One of its advantages is that it has many amenities such as global roaming and sound quality but requires more power compared to the second generation[1].3.75G:LTE and the worldwide microwave interface Access (WIMAX) is the future of mobile data services. LTE and WIMAX constant has the ability to providing facilities for a large number of users to access a wide range of high speed services Such as on-demand video, and peer-to-peer file sharing Composite Web Services. It also allows operators to manage their network in a very homogeneous manner and provide better coverage while improving it to perform at a lower cost[1].4G:The fourth generation is generally referred to as the scion of 3G and second generation standards. It transfers amenities such as voice, data, and multimedia to subscribersEverywhere and at higher data rates than in previous generations[1].What is 5G ?5G is a combination or amalgamation of all previous Generations that are 2G, 3G, 4G and Wi-Fi with higher capabilities in terms of coverage and reliability. It converges these technologies to increase number of devices and calls and promises in providing higher coverage, availability and M2M service[2].

Wednesday, October 23, 2019

Introduction to Business: Walmart Essay

1.  Unethical Business Ethics is defined as beliefs about what is right and wrong or good and bad in actions that affect others.( Therefore, unethical behaviour is behaviour that is believed to be bad or wrong actions or decisions. Other definition about ethics is ‘the activity of examining the moral standards of a society, and asking how these standards apply to one’s life and whether these standards are reasonable’ (Velasquez, 1998; pg 11). Ethics are based on personal or social beliefs. Furthermore, these beliefs are our moral standards, and moral standards differ among individuals. Thus, no one can say with certainty that a particular action is right or wrong and good or bad. Business ethics refers to ethical or unethical behaviour of a firm’s employer. Unethical business refer to decision made by employer with getting maximum profit as the main reason and other parties such as employees and customers receives negative effects. For example, a firm advertises their product as the best brand compared to other brands with the same type of product, but the product’s quality is not as good as it purported in the advertisement. 2. Wal-Mart Wal-Mart is the largest American corporation that runs discount department stores. It was found in 1962, Arkansas, USA by Sam Walton. It was incorporated on October 31st, 1969. Furthermore, Wal-Mart is the largest private employer in the world. Wal-Mart owns and operates Sam’s Club(, Wal-Mart Stores Divisions U.S., and Wal-Mart International. Wal-Mart has nine different formats of retail business, which is, supercenters, food and drugs, general merchandise store, small markets, cash and carry stores, membership warehouse clubs, apparel stores, soft discount stores and restaurants. Wal-Mart also offers private label store brands. Private label store brands are products offered by Wal-Mart which usually has the lowest price compared to other brands that offers the same product in the store. These brands are produced by subsidized contracts awarded to the lowest bidder. Wal-Mart’s private label brand includes Sam’s Choice, Great Value and Equate. 3. Discrimination Companies are responsible for any problems in regards to their employee’s welfare. Employees with high position jobs should give proper treatment and avoid discrimination to other employees with less paid jobs. Employees who apply for a position in a firm should not be subjected to discrimination because of their national origin, race, gender, or religion. The Civil Rights Act of 1964 prohibits such forms of discrimination. (Madura, J. 1998) To estimate that a certain company is practicing discrimination against a certain group, is by looking at how that certain group is distributed within the institution. There are three kinds of comparisons that show the practicing of discrimination. They include; comparisons between the average benefits that the discriminated group gets and the average benefits of other workers, comparisons between the level of jobs and comparisons of advantageous positions between the discriminated and the normal labours. However, as an established company, Wal-Mart is not responsible to its workers. In fact, the three kinds of comparisons can be clearly seen in its management. They have been discriminating against women, minorities, and the disabled workers. Furthermore, Wal-Mart’s staff has also been discriminating their customers, racially(. This is very unethical, as the company cannot survive without their clients or customers. By discriminating and making offensive actions racially to customers, customers will switch to the firm’s competitor as the services provided are not satisfying. Moreover, some customers sued Wal-Mart for not being ethically responsible.