Saturday, August 22, 2020

Big Businesses and Monopolies of the 1800's Essay

Large Businesses and Monopolies of the 1800's - Essay Example The fundamental businesses, steel, mining, sugar, transportation, horticulture, transport building, wine and so on., were under restraining infrastructure control in all states before the new activity which came toward the start of the twentieth century. Under conditions approximating unadulterated rivalry, cost was set in the commercial center. Value would in general be only enough above expenses to keep minimal makers in business. In this way, from the perspective of the value setter, the most significant factor was costs. On the off chance that a maker's cost floor was underneath the overall market value, the item would be created and sold. Since the maker in such a market had little tact over value, the estimating issue was basically whether to sell at the market cost. Restraining infrastructure steel industry and sugar creation was firmly associated with nature of rivalry and powerlessness of contenders to acquaint new serious items with the market. While expenses and request co nditions outline the value floor and roof, serious conditions assisted with figuring out where inside the two limits the genuine cost ought to be set. Response of contenders was the significant thought forcing useful restrictions on estimating choices (Slichter 1948). During the 1800's, 'common restraining infrastructures' existed in certain businesses. ... All the more explicitly, a cartel was a deliberate relationship of makers of a ware or item composed with the end goal of facilitated showcasing that was planned for settling or expanding the individuals' benefits. A cartel was participate in value fixing, limitation of creation or shipments, division of showcasing regions, centralization of deals. Numerous little organizations had the privilege and commitment to make a move that secured and cultivated the flourishing of the organizations, however they adhered to 'quiet market and moral standards' which helped them to contend (Witzel, 2003). While expenses and request conditions surrounded the value floor and roof, serious conditions made by imposing business models assisted with figuring out where inside the two boundaries the real cost ought to be set. For example, if go with set significant expense response of contenders and purchasers was regularly the urgent thought forcing viable impediments on estimating. Such conduct thought about deceptive and was disheartened by accomplices and purchasers (Hansen, 1957). There were times when an organization in such a serious structure disregarded serious costs. Such exercises were additionally debilitated and killed which opened new open doors for rivals. Furthermore, poor market execution was likewise considered as a limitation on rivalry and the fundamental driver of imposing business models (Witzel, 2003). The vehicle division carried with it a wide range of challenges, not least the exceptionally regionalized nature of arrangement, the a lot of cash put resources into existing framework frameworks and the commitment of neighborhood specialists to make sure about vehicle arrangement. Financed creation of coal and mineral, overcapacity and modest

Thursday, July 16, 2020

Magical Attic Flower Bouquet Coloring Page

Magical Attic Flower Bouquet Coloring Page A purrrr-fectly challenging coloring page for blooming young artists! Help children develop fine-motor skills with this fun but intricate coloring page from The Magical Attic. Decorating Crystal Cat's large bouquet requires some time, patience, and attention to detail - but the results will look amazing when tacked on a bulletin board or refrigerator! BCP Imagines BCP Imagines BCP Imagines designs and develops unique multimedia that brings children and their families creative, fun, shared experiences. Our award-winning cross-platform content encourages creative learning, expression and play while helping kids of ALL ages open their imaginations and look at their world in a new way. BCP Imagines' multi-award winning series Drawing with Mark brings the joy of learning to draw to all ages. The Magical Attic?, where anything is possible,? was created to help foster imagination and creative play while encouraging positive attitudes emphasizing the important lessons of kindness, friendship and helping others. Visit the Magical Attic store or purchase the Drawing with Mark collection!

Thursday, May 21, 2020

An Issue Of Gulf War Rhetoric - Free Essay Example

Sample details Pages: 6 Words: 1885 Downloads: 7 Date added: 2019/10/31 Category History Essay Level High school Tags: Gulf War Essay Did you like this example? Strategic misrepresentation through war rhetoric is typically subject to change, meaning a presidents rhetoric will often modify throughout the course of the war if it means gaining more support and swift action, as showcased in Bushs war rhetoric. Strategic misrepresentation gives the president the upper hand in war rhetoric due to their access of privileged information that is not readily available to anyone who might challenge their claims such as Congress (Campbell and Jamieson, 2013). Within war rhetoric multiple themes typically arise as discussed previously. A trending theme found frequently in presidential war speeches is the demonization of the opposition. This theme can fit within the characteristic of narratives or strategic misrepresentation. Two other themes that tend to arise within war rhetoric and fit within these characterizations are human rights concerns and defeating aggression. Synonymous with these themes is a unique facet of war rhetoric the rhetoric of atrocities (Ben-Porath, 2007). According to Ben-Porath, this dynamic of rhetoric builds on presidential crisis rhetoric and enemy construction described in narratives of specific atrocities, building the case for imminent war. It is important to note that when presidents use this rhetorical theme of atrocities, they turn to narrative form rather than factual description (Ben-Porath, 2007). Don’t waste time! Our writers will create an original "An Issue Of Gulf War Rhetoric" essay for you Create order Themes within presidential war rhetoric emerge from the idea of America being humane and the other being savage. Presidents that desire support for a war will often use rhetoric of atrocities due to the empathetic reaction to the suffering of the helpless it produces, that consequently garners support (Ben-Porath, 2007). This is typically successful through the demonization of an individual or group of people as illustrated within Bushs speeches that surround The Gulf War. The two themes, human rights concerns and defeating aggression, can be umbrellaed underneath the rhetoric of atrocities, too. Both themes evoke empathy by shining a light on Americas values as a moral contrast to the oppositions barbarity.   The rhetoric of atrocities is marked by emphasis on the experiential component and the personalization of horror (Ben-Porath, 2007). Critical Analysis   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   President George H. W. Bush conveyed a strong narrative and strategic misrepresentation using supporting themes within his rhetoric to publicly influence The Gulf War or Operation Desert Storm. Its important to note this rhetoric differed from the past due to the pervasive presence of an international media able to provide both real-time coverage and instant analysis of both his actions and their consequences (Stuckey, 1992). Preceding allied military action in the gulf Bush delivered a speech titled Address on Iraqs Invasion of Kuwait on August 8, 1990. In this speech, Bush satisfies all five of the characteristics Campbell and Jamieson discuss. This speech is merely constructed as an argument to gain support for war sited in a narrative that indicates the best interest of humanity. Following this speech was the announcement of war against Iraq titled Address to the Nation Announcing Allied Military Action in the Persian Gulf and was delivered January 16 , 1991. While both speeches satisfy the five war rhetoric characteristics that were previously described, they slightly differ in theme emphasis. While Bush began his rhetorical justifications of The Gulf War by expressing his economic concerns in reference to the oil in the middle east (Hurst, 2004), the rhetoric shifted ultimately toward the themes and characteristics that have been discussed throughout this paper- arguments that carried more weight than the prior. Bush heavily played on fear appeals when striving for support of the war within his rhetoric, demonizing Saddam Hussein and Iraqis in the process. Bush painted a picture of Saddam Hussein and Iraq as being a hub of mass destruction weaponry, inhumanity and savagery. Bush called Iraqs invasion the rape of Kuwait and looked forward to a new world order where the rule of law supplants the role of the jungle (Ben-Porath, 2007). Throughout Bushs rhetoric in 1990, prior to the American invasion of the gulf, Hussein is demonized by being compared to Hitler: Saddam Hussein must pay for the pain and the hardship that he has caused. The world will hold him accountable, just as it held Hitler accountable in the wake of the destruction of World War II (Stuckey, 1992). Bush also said, theres a direct parallel between what Hitler did to Poland and what Saddam Hussein has done to Kuwait and theyve tried to silence Kuwaiti dissent and courage with firing squads, much as Hitler did when he invaded Poland (Hurst, 2004). This Hitler analogy was successful in gaining support in respect to the mass of the American public knowing very little about the context of events in the Gulf (Hurst, 2004). Bushs rhetoric through stereotypes and comparisons demonizes not only Hussein but also the entirety of Iraq and its people and implies the need for elimination. Iraq is often not regarded as a nation of human beings with a social str ucture supporting theme. So obsessed are our media and governments with Saddam Hussein that one gets the impression that no one else inhabits Iraq. The dehumanized men, women, and children of Iraq thus appear as blank spaces characterized by ontological emptiness (Muscati, 2002). Bush carried over the rhetoric of demonizing the nation of Iraq to focus on the demonization of Hussein, making it an easier pill for the public to swallow that we were at war with one individual rather than an entire [far-away] country: Hussein is the archetypal evil Arab/Muslim so it is now a fight against Hussein, and all that his persona represents (Muscati, 2002). This narrative shift was successful, gaining Bush more support for Operation Desert Storm. Bush took advantage of the use of narratives and demonization by framing Iraq as a brutal aggressor for twice invading its neighbors in the past ten years (Muscati, 2002). The demonization of Hussein was furthered when discussing his nuclear weapon intent. The use of narrative through demonization is demonstrated when Bush argues that every day that passes brings Saddam Hussein one step closer to realizing his goal of a nuclear weapons arsenal (Hurst, 2004). Bush dramatizes the notion of Hussein desiring more nuclear power by concluding if we dont take action now then Hussein will reach his nuclear goal. Another unambiguous demonization example is showcased through exhortation to unified action when Bush discusses the horrible nature of Hussein and his peoples violent acts as defying the values of human rights and freedom: While the world waited, Saddam Hussein systematically raped, pillaged, and plundered a tiny nation, no threat to his own. He subjected the people of Kuwait to unspeakable atrocitiesand among those maimed and murdered innocent children. The terrible crimes and tortures committed by Saddams henchmen against the innocent people of Kuwait are an affront to mankind and a challenge to the freedom of all (Bush, 1991). Bushs appeal to human rights concerns is magnified when noting his comment that the reports out of Kuwait tell a sordid tale of Brutality (Bush, 1990) and furthered when telling what became the medias favorite s tory: Bush claimed that Iraqi soldiers unplugged the oxygen to incubators supporting twenty-two premature babies and shot the hospital employees (Hurst, 2004). In addition, Bush claimed that dialysis patients were ripped from their machines and that two children handing out leaflets had been shot in front of their parents (Hurst, 2004). Bush rhetorically implied that human rights concerns in Iraq meant war was necessary and that it was necessary now. As discussed previously, defeating aggression was another common theme found within Bushs speeches in regard to The Gulf War. According to Hurst (2004), Bush made reference to aggression on 113 occasions. This tendency to use aggression as an alibi for war falls within the rhetoric of atrocities. Bush asserted that there is no place for this sort of naked aggression in todays world and that what Iraq has done violates every norm of international law (Hurst, 2004). By using this rhetorical strategy Bush is emphasizing the transcendent values that are being threatened, such as freedom, focusing on this being a violation of people rather than the international law (Hurst, 2004): Protecting freedom means standing up to aggression. You know the brutally inflicted on the people of Kuwait and innocent citizens of every country must not be rewarded (Bush, 1990). Bush incited wa r through his rhetoric by strategically misrepresenting multiple elements of Iraq in regard to the situation at hand. Bush accused the Iraqi regime of being separated from the civilized world . by centuries (1990), implying that Iraq belongs in a pre-civilized world. (Muscati, 2002). This strategic misrepresentation allows for more public support due to the conceptualization of Iraq being distance spatially, temporally, and morally from the West taking on the narrative of defending an entire worldview of humaneness and moral righteousness (Muscati, 2002). Due to the dramatic narrative Bush illustrated throughout his Gulf War rhetoric it was implied that being in support of the war was supporting the values of an American patriotism. This led to anti-war protests being perceived as anti-patriotic (Reese and Buckalew, 1995), framing the Gulf War as an indisputable patriotic decision. Bush narrates the necessity of The Gulf War as good vs evil America vs Saddam Hussein. Pearce and Fadely illuminate this conception: Bush found it easy to represent himself as a liberator and protector in comparison: a champion of values and beliefs of the United Nations; a harmonizer whose goodwill was tried and pushed to the threshold by a renegade bully who ruled his own nation wi th terror and coercion (1992). Bush cabinets the characteristic of thoughtful deliberation by testifying Now the 28 countries with forces in the Gulf area have exhausted all reasonable efforts to reach a peaceful resolutionhave no choice but to drive Saddam from Kuwait by force. We will not fail. (Bush, 1990) and by expressing that This military action, taken in accord with United Nations resolutions and with the consent of the United States Congress follows months of constant and virtually endless diplomatic activity on the part of the United Nations, the United States, and many, many other countries (Bush, 1990) (Pearce and Fadely, 1992). Bush repeatedly alludes to values within his speeches inciting the war is driven by those values, commonly characterized as unified action. Bush exhorts to unified action when literally stating I am convinced not only that we will prevail but out of the horror of combat will come the recognition that no nation can stand against a world united. (Bush, 1990) and by identifying wi th the American Audience asserting that No president can easily commit our sons and daughters to war. They are the nations finest. (Pearce and Fadely, 1992). Ultimately, Bush rationalizes his role as commander in chief by the intent to protect values and to unify by serving as a patriotic diplomat. Conclusion   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Presidential war rhetoric strongly influences the support of war especially through the implementation of characteristics and themes, as exhibited in this paper. George H. W. Bush employs common war rhetoric themes and characteristics throughout his rhetoric in effort to gain support for The Gulf War. Bush used the rhetoric of demonization, atrocities, human rights concerns, and defeating aggression to shape the narrative of disparity and hopelessness of Kuwait inciting the inevitability of American assertion in Iraq Operation Desert Storm. Bushs rhetoric shifted from the original intent behind the war (economical oil concerns) to rhetoric that emphasizes American values like unification and patriotism. The support for The Gulf War continued to increase as Bushs rhetoric further intensified the characteristics and themes.   Bushs war rhetoric exemplifies the pivotal role that rhetoric plays in influencing the support for a war.

Wednesday, May 6, 2020

Personal Values And Beliefs And Values - 872 Words

Personal values and beliefs My personal beliefs and values are on par with the present health care policy in the United States (U.S.). I value and believe in compassion, empathy and respect. People have the right to access basic medical care when they are sick. So, there should be universal healthcare for the people at a cost that is affordable to them. The health care charge must be on the basis of income with a cap. The people who are under the poverty line should receive health care at free of cost. As the income level increases, there should be a reasonable increase in the cost. I have learned and believe in trying to save all lives, using the necessary resources. All lives are valuable to me. Nursing, being the care of people sick or well in all settings values the concepts of promotion of health, prevention of illness, caring the ill, disabled and the dying. Hence, the nurses believe in advocacy, promotion of a safe environment, research and health policy-making (International Council of Nurses [ICN], 20 15). Beliefs and Opinions about the Health Care Policy The Affordable Care Act (ACA) helps provide the health care at an affordable price to everyone based on their income. Those who are in a certain range of income under the poverty line are eligible to have access to free health care. ACA has enabled more than 100 million Americans to have insurance and it helps reduce the rate of uninsured (Obamacare Facts, n.d.). Thereby, health promotion is possible throughShow MoreRelatedHealth Policy Values : Personal Values And Beliefs884 Words   |  4 PagesHealth Policy Values Personal Values and Beliefs As human beings, we all have our morals, beliefs, and mindsets that have developed throughout the direction of everyone’s lives. 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The Purpose Of Barium Swallow Health And Social Care Essay Free Essays

The most common positive or radiopaque, contrast medium used to visualise the GI system in Ba sulfate which normally merely referred as Ba merely. There is contraindication to barium sulfate. These mixtures are contraindicated and might hold possible opportunity to get away into the peritoneal pit. We will write a custom essay sample on The Purpose Of Barium Swallow Health And Social Care Essay or any similar topic only for you Order Now If big sum of Ba sulphate flight into the peritoneal pit, this can take to enteric infarcts or peritoneal inflammation. This flight may happen through a pierced syrupy or during surgery that follow the radiographic process. Pathologic indicant for Ba sups This process is done to bespeak when the patient have anemia, mechanical hurting on swallowing, reflux, Preoperative anatomical presentation, appraisal of trachea-esophageal fistulous withers and besides the appraisal of the side of perforation and besides indigestion. The diseased indicant for the Ba swallow scrutiny is achalasia, anatomic anomalousnesss, barrette ‘s gorge, carcinoma gorge, dyspigia and esophageal varices. Achalasia is a motor upset of the gorge in which vermiculation is reduced along the gorge. Next is anatomic anomalousnesss which caused by disease, such as malignant neoplastic disease of the gorge or possibly. Patients who suffer a shot frequently develop impaired get downing mechanism. Certain nutrients and contrast agents are administrated during the scrutiny for rating of the swelling forms. Dysphagia is trouble in get downing this may due to a congenital or acquired status, a at bay bolus of nutrient or redness. Narrowing and enlarged, flaccid visual aspect of the gorge may be seen during the Ba sup, depending on the cause of the dysphagia. The other indicant for Ba sup is, to bespeak carcinoma of the gorge includes one of the most common malignant of the gorge is ardeno carcinoma. The one of the symptoms of this pathology include dysphagia ( trouble in get downing ) . Last, foreign organic structure are besides can be detect by utilizing this process to the patient that ingest assortment of nutrient including a bolus of nutrient, metallic object and other stuff that will lodge the gorge. Contraindications Nonspecific, nevertheless low solar H2O soluble contrast agents are best used in probes where aspiration may happen. Preparation Patient readying. Before Patient readying No readying for Ba swallow scrutiny needed because gorge is empty most of the clip unless an upper GI series is to follow. If the patient is have oning anything metallic from the most to the waist must be removed. Ask the patient to alter to hospital gown. Before the fluoroscopic process is perform, a patients history should be taken and the scrutiny carefully explained to the patient. After readying When the process is done, the patient can go on their regular diet as usual. Take orally administered medicines unless the physician asks non to make so. In 48 to 72 hours after the process, patient stool possibly in grey or white coloring material. Patient may see irregularity and normally been treated by eating laxative. Ask the patient to imbibe a batch of H2O for several yearss to avoid irregularity excessively. If the patient experienced any unable intestine motion or undergo important alterations after the process, inquire them to reach their doctor. Equipment readying Before making this process, the radiographer should fix some equipment such as fluoroscopy table with 90/20 jousts, rapid consecutive skiagraphy ( to border per second ) or video entering possibly required for appraisal if the laryngopharynx and upper gorge during swallow. Some extra equipment besides should necessitate such as disposable cup, little cup for sparkling agent, tissue and besides a straw possibly required for consumption of Ba when the tabular array is horizontal and besides injection disposal equipment. Contrast agent readying In this process, 250 % w/v Ba sulfate suspensions of 100 milliliters are required. Gastrografin ( should non be used for the probe of a trachea-esophageal fistulous withers or when aspiration is possible ) . An sparkling agent will be required for illustration a combination of Na hydrogen carbonate and citric acid, to bring forth C dioxide to dilate the tummy. This will besides move as dual contrast agent against the Ba to heighten the visual image of the mucous membrane. Last, LOCM for about around 350mg I/ml is besides required in this process. Procedure The patient will be place behind the roentgenoscope equipment for the x beam exposure. The process begins with the patient in the vertical or vertical place and the cup of thin Ba is placed in the patients left manus closed to the left shoulder. Then, the patient is asked to get down the liquid in the cup utilizing a straw. The patient is so inquiring to take the effervescent granules ( either dry or assorted with a little sum of H2O if dry granule is excessively hard ) or other effervescent assistance, followed by citric acid. It is of import to affect on the patient that this will bring forth gas in the tummy and may give them the make fulling that they need to burp. To avoid this, the best manner is to state them to maintain swallowing. The enteric piece of land of the next gorge, tummy and duodenum are seeable when the Ba fills and coated it. The radiotherapist observes the flow of the Ba with the roentgenoscope. Swallowing of the thin Ba is observed with the patients in assorted places. The patient will inquire to revolve true 360o at their ain topographic point. This will guarantee all the surfacing facet of the stomachic mucous membrane is ready for the appraisal of the tummy. The patient is inquiring to turn to their left ( LPO ) where a topographic point image is taken. Then, patient will turn their organic structure back to the supine ( AP ) place and bend to their right ( RPO ) . Last, the patient is return to the vertical place, turn somewhat to their left and erect ( LPO ) . Film is taken to demo the distal gorge and the fundus of the tummy. The similar place will be used when the patient get down the thick Ba. The used of the thick Ba allows better visual image of mucosal forms and any lesions within the gorge. The type of Ba used is determined by the radiotherapist. After the vertical survey has been complete, horizontal and trendeleburg places with midst and thin Ba may follow. The x beam radiation is directing by the ten beam machine ( fluoroscopy ) through the patient ‘s tissue organic structure and to a movie on the opposite side of the patient ‘s organic structure. Different organic structure tissue will absorbed different sum of radiation that penetrates the organic structure tissue. The abnormalcies, different organ, and some conditions all become seeable on the x beam movie due to difference in the composing since the incursion of the x beam beam is block by them. Radiation Protection Radiation protection is used to except clinically unhelpful scrutinies. They are many ways to cut down unserviceable radiation like minimise the fluoroscopy clip and current so that merely the exact radiation is given to the patient. Use collimation during the process to minimise the field size. Give screening to the sensitive organ of the patient when possible. Introduce QA coder to optimise staff and equipment public presentation and to do regular cheques on. Use video recording equipment alternatively of utilizing cine camera during fluoroscopy. Install modern image intensives with digital image processing possible and sensitive ( e.g. CsI ) photocathodes. Use modern image intensive and topographic point movie photofluoroscopy with 100mm camera alternatively of skiagraphy whenever appropriate. Benefit Upper GI piece of land scrutiny is really safe and noninvasive process. This scrutiny besides leads to an accurate analysis of the gorge, tummy and duodenum. This is because, Ba is non absorbed by the blood the organic structure and allergic reaction due this scrutiny is really rare. No radiation will stay in patient ‘s organic structure after the process is done n X beam has really less side consequence in the diagnostic scope. Hazards Some patient may see allergic to the flavorer that is added in the Ba. The patient must state the physician if they are allergic to chocolate, citrus fruit or certain berries before the process. There is merely little opportunity that some Ba will stay in the organic structure, taking to a obstruction of the digestive system. So, patient who have an obstructor in the GI piece of land they are non allow undergoing this scrutiny. The effectual radiation dosage for this process is 6mSv which is the same as the mean individual receives from the background radiation in two old ages. Precaution Barium is non be used if perforation is suspected. Pregnant adult females are advised to avoid this process because the radiation exposure may impact the foetus. Role of radiographer Before Arrange the assignment and state the patient about the clip, the day of the month and the topographic point where the scrutiny will be held. As the radiographer, gave the radiation protection to the patient is really of import. Give the patient a shielding to protect them from the radiation that can harm them. The room must be set up decently before the scrutiny took topographic point. Make certain the room is clean and ready to be used. All the equipment ‘s like cassette 24Ãâ€"30 centimeter, little cup and straw and contrast media ( Ba sulfate/gastrografi ) must be prepared before the scrutiny started. Make certain that fluoroscopy unit is in good status. State the patient what they should make and do certain they are all prepared. When the radiographer fix the list for the scrutiny, do certain that the diabetic patient is on the first list. This is because, they have to take their medicine on clip and if the diabetic patient are being ignored, this will do injury to them. During Patient placement Focus oning Collimation Radiologists penchant Adequate supply of cassettes Identity of exposed and unexposed cassettes Exposure factor choice Table position- patient comfort and safety Hand clasps, pes remainder, pillow, reassuarance Drip if any Drumhead How to cite The Purpose Of Barium Swallow Health And Social Care Essay, Essay examples

Saturday, April 25, 2020

Organizational communication

Introduction Communication, either formal or informal is the most important tool in all businesses and other related organization. It is of great essence to take into consideration the actual act of communication when studying the hierarchies, channels and processes associable with communication.Advertising We will write a custom term paper sample on Organizational communication specifically for you for only $16.05 $11/page Learn More It is thus important to take into consideration that communication is human, and thus it comes with all the flaws and strengths of humanity. Organizations are especially held together by cooperation that is strengthened by communication. In such kinds of relationships and networks, information is a key aspect of the network. This is where communication gets its strength from since there is normally demand for properly relayed information between and among relevant parties. Information exchange, a key aspect of operational e fficiency in organizations is thus highly valued by organizations to the extent that organizations devise ways of making their communications effective. Good business communication skills both with fellow staff members and with customers are important for business prosperity. The success of a business is identified by the achievements of the business which depends on the relationship between the business stakeholders and can be achieved effectively through quality of communication (May and Mumby, 2005, p. 234). Communication enables a business to address its market availability in identifying and analyzing its competitive position in the market. It is only through communication that a business can establish its performance in the market from which it can realize and determine new and effective marketing strategies. This paper looks at the different channels and ways of communicating in business organizations as well as showing the importance of maintaining good communication skills in a business set up. Communication networks Communication networks are patterns through which information flows in an organization. Communication networks have been groups into two major divisions, centralized and decentralized networks. There are three centralized networks which are: The wheel network where information must be passed through a central figure in the organization that is considered to be at the centre of the wheel. An organization practicing wheel network for communication can be said to be an autocratic organization. The second network is the Y network. In this network, one of the members belonging to the network eventually becomes the epicenter of the network. Lastly, there is the Chain network. In this network, there is minimal control between members of the same network. An example of an organization in which this kind of network can be found is the military. Generally, this network is used in institutions where the flow of communication is top-bottom.Advertisin g Looking for term paper on business communication? Let's see if we can help you! Get your first paper with 15% OFF Learn More The second division which is the decentralized division consists of two networks namely: Star network which represents the usual basic patterns of communication in most organizations. Circle network which is a little similar to the star network where each member can communicate with another from both sides of the organization (Redding 1985, p. 465). Some basic differences between the decentralized and centralized networks depend on the performance and group morals of the networks. Centralized networks are mainly used efficiently in the simple tasks since its efficiency is much more in these tasks. On the other hand, the decentralized network is much more efficient in speed and accuracy in complex tasks. Decentralized networks normally promote higher levels of morals than their centralized counterparts. Communication channels in organizations Communication channels are means of through which information is passes within and between organizations. The most common channels of communication among organizations include; Formal communication which employs the use of hierarchy in an organization to pass over information. Thus, information is passed from the top organization directives to the bottom. This then means that subordinates receive information relating to the organization such as policy changes form their immediate supervisors. Similarly, for low level management to pass formal information to the top of the management, it has to go through the middle level management and up to the top superiors (Cheney et al 2004, p. 198). Formal channels of communication can therefore be divided further into the following sub-divisions: Downward formal movement which involves passing information from the top management down to the bottom. This channels ensure passage of information verbally which is much efficient than non verbal me thods. However, there is possibility of information delays due to the long channels involved. Upward formal communicating which involves passage of feedback to the top management from the subordinate staff. This channel uses tools such as reports and may not be effective due to possible lack of disclosure. Horizontal formal communication channel defines communication between organization members who have same hierarchical status. It is very significant in passing information within departments. Informal channel of communication which entails communication within an organization but not in the hierarchical manner. In this channel, any member of an organization can communicate directly with another regardless of their hierarchy. Informal communication channels are advantageous in accelerating the speed at which information is passed. However, its misuse may challenge the management organization. Unofficial communication channel is defined by spread of rumors and gossip within an organ ization. This channel mostly involves only peers of an organization and thus not everyone gets involved (Hekmat 2005, p. 1). Barriers to communication Whether or not barriers exist in communication depends on the characters of the communicating parties. The beliefs and values that shape people’s character and that come from their nature therefore become the source of the key barriers to communication between people. For instance, people tend to defend their dignity during conversations, and thus this may become a great barrier to communication. It however depends with an individual. This is because the need for a given defense, be it self-esteem or otherwise, may arise as a conversation continues or a person may have a long-term issues. For instance, a person may have the view that he/she is somehow inadequate, he/she may raise some defenses verbally to cover up for those inadequacies. â€Å"Employees, for example, whose egos cannot tolerate criticism, will simply not share information that exposes them to personal critique†. (Redding 1985, p. 47). This lack of self-confident causes such people to hold back from giving personal opinions such as suggestions or even unable to take initiatives with the fear of failing. Such people will not be able to communicate effectively in any business set up especially if they end up holding managerial roles. They tend to communicate in ways that do not provoke questions or any verbal directives which sometimes may not be as effective as face to face communication.Advertising We will write a custom term paper sample on Organizational communication specifically for you for only $16.05 $11/page Learn More A close factor to lack of self-confidence is the lack of defensiveness where one is unable to communicate or pass certain information because of the outcome that may be associated with it. For instance, middle or low level employees may hold back information due to the fear that su ch information may bring some complications or other problems such as questionable vocabulary and employee vulnerability. However, an organization may face serious consequences because of that piece of information that was held back (Carpenter 1998, p. 1). For effective passage of information within and among organizations, members should learn ways in they can act against such barriers in order to promote openness and honesty, both of which are significant tools of communicating effectively. However, for employees to be open especially with their superiors, the management also needs to create an environment which makes the employee confortable and able to share views and opinions. Physical barriers may as well interfere with effective communication where some areas have restrictive rules which do not allow certain groups of people to enter. Physical separation of working areas also hinders communication between the staff members. Cultural barriers have continued to prevent effectiv e communication within organizations especially where team members have different cultural backgrounds. Due to the different perceptions of life associated with many of the cultural groups, such team members may have different interests which would drift them much far apart and lead to lack of open communication. Language barriers are similarly one of the greatest barriers to effective communication because in order for a group of people to communicate effectively, there must be understanding which comes along with familiarity of the language being used. For instance, in a business set up, the only way that the business can achieve marketing success is by using a language that is familiar with the market being targeted during promotions and advertisements (Carpenter 1998, p. 1). Despite much efforts to promote gender equality, there has been great barriers to communication as a result of gender identification where in most cases, women feel less obliged to give their views and expre ssions, a position that is traditionally viewed as a man’s responsibility only.Advertising Looking for term paper on business communication? Let's see if we can help you! Get your first paper with 15% OFF Learn More Conclusion Effective communication in business organizations is very important as it helps create a favorable environment which is significant in promoting employee performance. It allows all stakeholders to take part in decision making which is equally important in growth of a business. However, open communication in businesses does not entirely lie on the management efforts to involve employees in participation of business maters but also calls for the members’ confidence from a personal level. An open communication channel requires courage as there is the need to communicate directly/verbally in order to pass information in a much more effective way rather than communicating indirectly through reports and the like. This is because verbal communication gives room for immediate feedback through questioning. â€Å"This is because open communicators have to articulate their positions in meetings, public arenas, and in print, they must be secure individuals, confident in their own positions, ability, and authority† (Carpenter 1998, p. 1). Despite the fact that open communication may create certain demands especially on the employees, the rewords associated with it is far much greater to both the employees and the organization. Similarly, honesty helps create an environment where everyone feels part of the organization through honest passage of information and this is basically what leads to the success of the organization. Reference List Carpenter, M. (1998). Communication barriers. Retrieved from https://catalog.flatworldknowledge.com/ Cheney, G. et al., (2004). Organizational communication in an age of globalization: Issues, reflections, practices. Long grove, IL Waveland press. Hekmat, S. (2005). Communication networks. Retrieved from http://www.pragsoft.com/books/CommNetwork.pdf May, S and Mumby, D. (2005). Engaging organizational communication theory and  research. Thousand oaks, CA: sage. Redding, C. (1985). Stumbling toward identity: the e mergence of organizational communication as a field of study. Mcphee and Tompkins, organizational communication: traditional themes and new directions. Thousand oaks’, CA: sage. This term paper on Organizational communication was written and submitted by user Faith Acosta to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Wednesday, March 18, 2020

Financial Statement Analysis Essays

Financial Statement Analysis Essays Financial Statement Analysis Essay Financial Statement Analysis Essay Financial Statement Analysis is an analysis which highlights important relationships in the financial statements. It focuses on evaluation of past operations as revealed by the analysis of basic statements. Financial Statement analysis embraces the methods used in assessing and interpreting the results of past performance and current financial position as they related to particular factors of interest in investment decisions. It is an important means of assessing past performance and in forecasting and planning future performance. Techniques of Financial Analysis: Various techniques can be used in the analysis of financial data to emphasise the comparative and relative importance of data presented and to evaluate the position of the firm. These techniques of financial analysis are intended to show relationships and changes. Among the widely can be used of these techniques are the following: 1. Horizontal Analysis 2. Vertical Analysis 3. Trend Analysis 4. Ratio Analysis Introduction to Finance: FINANCE HAS MANY DICTIONARY MEANING SUCH AS MANAGEMENT OF MONEY, PROVIDE WITH MONEY, FIND CAPITAL ETC. FINANCE PLAYS AN IMPORTANT ROLE IN ANY ORGANIZATION. FINANCE HAS NOW DAYS BECOME A SPECIALIZED FUNCTION. IT REQUIRE s overall knowledge of the environment in which it is needed. Finance includes money, banking or credit of different types and classes. Finance is viewed differently by different people depending upon their interests. Management’s promoters, shareholders, lenders (creditors), customers and other have all participated in financing the organization or business enterprise. MEANING DEFINATION: Finance is the process of conversion of accumulated funds to productive use. Finance helps to direct the flow of economic activity and facilitates its smooth operation. : Finances are the agent that produces the result. There are many definitions of Finance. Of all the best was of Howard and Upturn as â€Å"that administrative area of set of administrative functions in an organization which has to do with the management of the flow of cash so that the organization will have the means to carry out its objectives as satisfactorily as possible and at the same time meets its obligations as they become due. Finance is concerned with task of providing funds need by the enterprise on the forms that are most favorable towards the attainment of the organizational goals and objectives. The functions of finance are not merely furnishing funds to the organization. Finance has a broader meaning as it covers financial planning, forecasting of cash receipts and disbursements, rising of funds, use and allocation of funds and financial cash. The area of operation of finance management varies from one company to another, industry-to-industry etc. USERS OF FINANCIAL ANALYSIS: Financial analysis is the process of identifying the financial strengths and weaknesses of the firm by properly establishing relationships between the items of the Balance sheet and the profit and Loss account. Financial analysis can be undertaken by the management of the firm, or by parties outside the firm, viz.. , owners, creditors, investors and others. The nature of analysis will differ depending on the purpose of the analyst. Trade creditors are interested in firm’s ability to meet their claims over a very short period of time. Their analysis will, therefore. Confine to the evaluation of he firm’s liquidity position. Suppliers of long-term debt, on the other hand, are concerned with the firm’s long-term solvency and survival. They analyse the firm’s profitability over time, its ability to generate cash to be able to pay interest and repay principal and the relationship between various sources of finds (capital structure relationships). Long-term creditors do analyse the historical financial statements, but they place more emphasis on the firm’s projected, or proforma, financial statements to make analysis about its future solvency and profitability Investors, who have invested their money in the firm’s shares, are most concerned about the firm’s earnings. They restore more confidence in those firms that show steady growth in earnings. As such, they concentrate on the analysis lf the firm’s present and future profitability. They are also interested in the firm’s financial structure to the extent it influences the firm’s earnings ability and risk. Management of the firm would be interested in every aspect of the financial analysis. It is their overall responsibility to see that the resources of the firm are used most effectively and efficiently, and that the firm’s financial condition is sound. The different techniques for financial statement analysis are: i) Ratio Analysis ii) Trend Series Analysis ii) Common size statement analysis iv) Comparative statement analysis NEED FOR THE STUDY: The major objectives of financial statement analysis are to provide decision makers information about a business enterprise for use in decision-making. Users of financial statement information are the decision makers concerned with evaluating the economic situation of the firm and predicting its future co urse. This study may intended to know the requisition of financial analysis to communicate data to concerned users and their influence on decision making by users. Hypothesis of the Study: This study is to be conducted with a hypothesis that use of ratio analysis as a financial analysis technique is a very effective device to communicate financial data to users. And it can be done with an intention of communicating financial information and to assist decision making process. OBJECTIVES OF THE STUDY: This study is to be conducted with the following objectives- To know about financial statements and their interpretation To study about ratio analysis as a technique of financial analysis To explain the financial analysis process by way of analysing financial data of sample company i. . Maha Cement. SCOPE OF THE STUDY Scope of the study is to study on financial Statement Analysis on Maha Cement. INDUSTRY PROFILE HISTORY OF CEMENT: It must interest to know how cement is made today visa the historical background. Ever since civilizations stepping in the earth, people sought a material that would bind stones into a solid, formed mass. The Assyrians and Babylonians used cl ay for this purpose, and the Egyptians advanced to the discovery of lime and gypsum mortar as a binding agent fro building such structures as the Pyramids. The Greeks made further improvements and finally the Romans developed cement that produced structures of remarkable durability. The secret of Roma success in making cement was traced to the mixing of slaked lime with pozzolana, a volcanic ash from Mount Vensuvius. This process produced cement capable of hardening under water. During the Middle Ages this art was lost and it was not until the scientific spirit of inquiry revived that the rediscovered the secret of hydraulic cement – cement that will harden under water. Most of the building foundations in the Roman forum were constructed of form of concrete, placed in some locations to a depth of 12 feet. The great Roman baths built about 27 B. C. , the Coliseum, and the huge Basilica of Constantine are examples of early Roman architecture in which cement mortar was used. Portland cement today, as in Aspdin’s day, is a predetermined and carefully proportioned chemical combination of calcium, silicon, iron, and aluminum. Natural cement gave way to Portland cement, which is a predictable, known product of consistently high quality. Aspdin established a plant in Wakefield to manufacture Portland cement, some of which was used in 1828 in the construction of the Thames River Tunnel. But it was almost 20years later when J. D. White and Sons set up a prosperous factory in Kent that the Portland cement industry saw its greatest period of early expansion, not only in England, but also in Belgium and Germany. Portland cement was used to build the London sewer system in 1859-1867. Thomas A. Edison was a pioneer in the further development of the rotary kiln. In 1902, in his Edison Portland Portland_Cement Works in New Village, NJ, he introduced the first long kilns used in the industry 150 feel long in contrast to the customary 60 to 80 feet. Today, some kilns are more that 500 feet long. Parallel improvements in crushing and grinding equipment also influenced the rapid increase in production. Since grinding process consumes most of the energy various grinding systems like ball mill/vertical roller mill/roller presses has been the result of technological developments. Blending takes place in silos with air blown in from the bottom to aerate the contents. Various new designs were also developed to increase the efficiency of mixing. HOW CEMENT IS MADE? :- Two main methods of cement manufacturing were prominent, the Dry process and the Wet process. Dry process now has almost replaced the wet process since wet process consumes high thermal energy for drying the moisture. When rock is the principal raw material, the first step after quarrying in both processes is the primary crushing. Mountains of rock are fed through crushers capable of handling pieces as large as and oil drum. The first crushing reduces the rock to a maximum size of about 6 inches. The rock then goes to secondary crushers or hammer mills for reduction to about 3 inches or smaller. It is then ground in ball mill to fine powder with other ingredients like clay/iron ore/bauxite to create a combination of values for silica/alumina/lime etc in the mixture. If the process is wet, the grinding goes on in with water so that slurry is resulted after grinding. This slurry is further mixed in mixers and pumped to kiln. For a dry process kiln, the ground powder is sending to blending silos for uniform mixing of components added during the grinding stage. This blended material is feed to the preheater/calciner. The preheated is a group of cyclones placed over one another where in material comes down and hot gases goes up heating the material and calcining it in the process. Calcinations means liberating carbon dioxide and converting calcium carbonate to Calcium oxide. Calciner is nothing but a duct added to give more residence time to material for calcinations. This partially calcined material then comes to the kiln, which is refractory lined rotating tube having burner fitted in the other end. This burner fires coal/oil/natural gas to create a temperature of 1600 Deg cent at the discharge end. As the material in the kiln rolls down towards the discharge end, various reactions takes place amongst the components resulting in a mass known as clinker. This clinker is then cooled in coolers. The coolers are either planetary type or grate type. Grate coolers of modern time are much efficient resulting in better heat recuperation and allows reusing this heat in the kiln. The cooled clinker then either goes to storage silo or clinker yard. From the clinker yard it is taken for grinding. In case ordinary Portland cement is made only gypsum(4-6%) is added before grinding. In case of Portland pozzolona cement additives like Flyash/brick etc are added. Grinding again is same like for raw material grinding with ball mill or with latest technologies like vertical mill/Roller press etc. The cement powders then taken to packing plant or discharged from silo to a bulk loader directly. COMPANY PROFILE MAHA CEMENT PROFILE Establishment: The Organization â€Å"My Home Cement Industries Limited† is a fast growing and leading Indian industrial group having its head office at Hyderabad and works at Meelacheruvu in Nalgonda district in Andhra Pradesh. It belongs to the groups of my home constructions limited, a leading construction company in South India. The company is new entrant in the field of cement manufacturing where already leading brankds like Priyadarshini, Ramco, Raasi and Kakatiya have got deep penetration into the market. The brand name of the cement produced by the company is â€Å"Maha Cement† which is expected to have an image of Mahashakti and Mahavalue. M/s My Home Cement Industries Limited is a public limited company, which is incorporated in 1955. The company commenced its commercial products from 1st july 2000. The cement conforms to the ISI standards and is being marketed under the name of Maha Cement. Maha Cement Industries, a leading cement manufacturing company in Andhra Pradesh having an installed capacity of 6 Million Tonns per annum for immediate placement at their 3 plants located in Andhra Pradesh. Location of plant The factory is situated at Mellaceruvu, Nalgonda district . The pricipal raw material for the plant is limestone and is available in abundant quantities near the plan. Location of the plant at Meelacheruvu has the following advantages. 1. Cheap availability of the required land 2. Abundant water resources 3. Proximity of raw materials 4. Proximity of market 5. Availability of financial subsidiary 6. Plant is nearer to head quarter 7. Wearer to railway siding 8. Well connected road and rail transport 9. Availability of labors Salient features of Maha Cement High strength and great durability A very susceptible saving in cost (up to 20-25%) due to low setting time Superior quality of cement resulting in a better overall finish Stronger bonding with aggregates. Till now the company has not faced much difficulty in marketing its products. As the quality of cement produced by the company has been proved to very good. It has been well accepted by the markets in Andhra Pradesh and Tamilnadu. The company has established wide dealer network throughout the Andhra Pradesh and Chennai and at some places of Tamilnadu (north). In additions the group companies my home construction projects on hand would by cement from the company. The marketing department is aptly directed by AVP (marketing). The dealers are carefully selected after making a through analysis of the same. The company has marketing officers placed at strategic places to maintain the sales. RESEARCH METHODOLOGY Data: Both primary data and secondary data will be used but much stress may give to primary data in the form of financial reports of the company. Primary data with regards to financial data of MAHA CEMENT will be collected from the concerned authorities. Secondary data has to be collected by way of review of existing literature, reference books and articles in accounting and financial journals. This data can be used for gaining an insight into understanding how to interpret financial data and the result thereto. Sample: The sample for this particular study was MAHA CEMENT. Statistical Techniques: Ratios will be used as statistical techniques to analyse the data collected. CHAPTERIZATION I will divide the Total study into five Chapters and I will follow this plan of the study for the better outcome of the Project. 1st Chapter is allotted for the study about Introduction to the Topic, Objectives of the present study, Need, scope, Methodology and Limitations of the Study. 2nd Chapter is allotted for the study about Company and Organization Profile. 3rd Chapter deals with Theoretical background that supports the study. 4th Chapter Mainly emphasizes the Data analysis and interpretation. 5th Chapter is allotted for conclusion and suggestions.

Sunday, March 1, 2020

The History of Domestication for Broomcorn Millet

The History of Domestication for Broomcorn Millet Broomcorn or broomcorn millet (Panicum miliaceum), also known as proso millet, panic millet, and wild millet, is today primarily considered a weed suitable for bird seed. But it contains more protein than most other grains, is high in minerals and easily digested, and has a pleasant nutty taste. Millet can be ground up into flour for bread or used as a grain in recipes as a replacement for buckwheat, quinoa or rice. Broomcorn History Broomcorn was a seed grain used by hunter-gatherers in China at least as long ago as 10,000 years. It was first domesticated in China, probably in the Yellow River valley, about 8000 BP, and spread outward from there into Asia, Europe, and Africa. Although the ancestral form of the plant has not been identified, a weedy form native to the region called P. m. subspecies ruderale) is still found throughout Eurasia. Broomcorn domestication is believed to have taken place about 8000 BP. Stable isotope studies of human remains at sites such as Jiahu, Banpo, Xinglongwa, Dadiwan, and Xiaojingshan suggest that while millet agriculture was present ca 8000 BP, it did not become a dominant crop until about a thousand years later, during the Middle Neolithic (Yangshao). Evidence for Broomcorn Broomcorn remains which suggest a highly developed millet-based agriculture have been found at several sites associated with Middle Neolithic (7500-5000 BP) cultures including the Peiligang culture in Henan province, the Dadiwan culture of Gansu province and the Xinle culture in Liaoning province. The Cishan site, in particular, had more than 80 storage pits filled with millet husk ashes, totaling an estimated 50 tons of millet. Stone tools associated with millet agriculture include tongue-shaped stone shovels, chisel-edged sickles and stone grinders. A stone millstone and grinder was recovered from the early Neolithic Nanzhuangtou site dated to 9000 BP. By 5000 BC, broomcorn millet was flourishing west of the Black Sea, where there are at least 20 published sites with archaeological evidence for the crop, such as the Gomolava site in the Balkans. The earliest evidence in central Eurasia is from the site of Begash in Kazakhstan, where direct-dated millet seeds date to ca 2200 cal BC. Recent Archaeology Studies of Broomcorn Recent studies comparing the differences of grains a broomcorn millet from archaeological sites often vary a great deal, making them difficult to identify in some contexts. Motuzaite-Matuzeviciute and colleagues reported in 2012 that millet seeds are smaller in response to environmental factors, but relative size also can reflect immaturity of the grain. depending on charring temperature, immature grains can be preserved, and such size variation should not rule out identification as broomcorn. Broomcorn millet seeds were recently found at the central Eurasian site of Begash, Kazakhstan, and Spengler et al. (2014) argue that this represents evidence for the transmission of broomcorn outside of China and into the broader world. See also Lightfoot, Liu and Jones for an interesting article on the isotopic evidence for millet across Eurasia. Sources and Further Information Bettinger RL, Barton L, and Morgan C. 2010. The origins of food production in north China: A different kind of agricultural revolution. Evolutionary Anthropology: Issues, News, and Reviews 19(1):9-21.Bumgarner, Marlene Anne. 1997. Millet. Pp. 179-192 in The New Book of Whole Grains. Macmillan, New York.Frachetti MD, Spengler RN, Fritz GJ, and Maryashev AN. 2010. Earliest direct evidence for broomcorn millet and wheat in the central Eurasian steppe region. Antiquity 84(326):993–1010.Hu, Yaowu, et al. 2008 Stable isotope analysis of humans from Xiaojingshan site: implications for understanding the origin of millet agriculture in China. Journal of Archaeological Science 35(11):2960-2965.Jacob J, Disnar J-R, Arnaud F, Chapron E, Debret M, Lallier-Vergà ¨s E, Desmet M, and Revel-Rolland M. 2008. Millet cultivation history in the French Alps as evidenced by a sedimentary molecule. Journal of Archaeological Science 35(3):814-820.Jones, Martin K. and Xinli Liu 2009 Origins of Agricul ture in East Asia. Science 324:730-731. Lightfoot E, Liu X, and Jones MK. 2013. Why move starchy cereals? A review of the isotopic evidence for prehistoric millet consumption across Eurasia. World Archaeology 45(4):574-623. doi: 10.1080/00438243.2013.852070Lu, Tracey L.-D. 2007 Mid-Holocene climate and cultural dynamics in eastern Central China. Pp. 297-329 in Climate Change and Cultural Dynamics: A Global Perspective on Mid-Holocene Transitions, edited by D. G. Anderson, K.A. Maasch and D.H. Sandweiss. Elsevier: London.Motuzaite-Matuzeviciute G, Hunt H, and Jones M. 2012. Experimental approaches to understanding variation in grain size in Panicum miliaceum (broomcorn millet) and its relevance for interpreting archaeobotanical assemblages. Vegetation History and Archaeobotany 21(1):69-77.Pearsall, Deborah M.2008 Plant domestication. Pp. 1822-1842 In Encyclopedia of Archaeology. Edited by D. M. Pearsall. Elsevier, Inc., London.Song J, Zhao Z, and Fuller DQ. 2013. The archaeobotanical significance of immature millet grains: an experimental case study of Chinese millet crop processing. Vegetation History and Archaeobotany 22(2):141-152. Spengler III RN, Frachetti M, Doumani P, Rouse L, Cerasetti B, Bullion E, and Maryashev A. 2014. Early agriculture and crop transmission among Bronze Age mobile pastoralists of Central Eurasia. Proceedings of the Royal Society B: Biological Sciences 281(1783). doi: 10.1098/rspb.2013.3382USDA. Panicum millaceum (broomcorn millet) Accessed 05/08/2009.Yan, Wenming. 2004. The Cradle of Eastern Civilization. pp 49-75 In Yang, Xiaoneng. 2004. Chinese Archaeology in the Twentieth Century: New Perspectives on Chinas Past (vol 1). Yale University Press, New Haven Foxtail millet (Setaria italica L.) is an important grain crop in the world today, thought to have been domesticated from the wild species green foxtail (S. viridis) at least 11,000 calendar years ago (cal BP) in northern China. Grown world-wide, foxtail millet is cultivated as a dietary staple in arid and semiarid regions of China and India. Nearly 1,000 diverse foxtail millet varieties exist in the world today, including both traditional landraces and modern cultivars. Unfortunately, its smaller size, relative to rice and broomcorn millet, may have led to a lower chance of preservation in the archaeological record, and it wasnt until modern flotation methods were used in excavations that foxtail seeds were regularly recovered. Data for the origin sites is still limited, and ongoing research is studying the points of origin as well as foxtails fairly rapid spread. Domestication of Foxtail Scholars agree that incipient, low-level millet agriculture began about 8,700 cal BP in the upland foothill sandy deserts along the upper Yellow Rivera recent identification of millet starch grains has pushed the likely date back to 11,000 cal BP (see Yang et al. 2012). The theory is that specialized hunter-gatherers experiencing increasing climatic instability began tending plants to provide a stable food source. Why Foxtail? Foxtail millet has a short growing season and an innate ability to tolerate cold and arid climates. These characteristics lend themselves to adaptation in different and difficult environments, and in Neolithic contexts, foxtail is often found as a package with paddy rice. Researchers argue that by the 6000 cal BP, foxtail was been planted either alongside rice during the summer seasons, or planted in the fall as a late season supplement after the rice harvests were collected. Either way, foxtail would have acted as a hedge for the riskier but more nutritious rice crops. Flotation-supported studies (such as Lee et al) have shown that the arid- and cool-adapted foxtail was dominant in the Yellow River valley beginning about 8,000 years ago (Peiligang culture) and remained dominant throughout the Neolithic into the early Shang Dynasty (Erligang, 1600-1435 BC), roughly 4,000 years. Agricultural systems based entirely on millet were present in the foothills of western Sichuan province and the Tibetan Plateau by 3500 BC, and evidence from central Thailand suggests that the millet moved in first before rice: the terrain in these places is quite steep, and the terraced paddies seen there today are much more recent. Archaeological Evidence Early sites with evidence for foxtail millet include Nanzhuangtou (starch grains, 11,500 cal BP), Donghulin (starch grains, 11.0-9,500 cal BP), Cishan (8,700 cal BP), Xinglonggou (8,000-7,500 cal BP), in Inner Mongolia; Yeuzhuang in the lower Yellow River (7870 cal BP), and Chengtoushan in the Yangtze River (ca. 6000 cal BP). The best data concerning foxtail millet comes from Dadiwan, where over the next 1,000 years (a very brief gestation stage for agriculture), foxtail millet, broomcorn millet and rice developed into intensive agriculture. Called the Laoguantai food production system, this hunter-gatherer adaptation required the reduction of mobility, and the fragmenting into small groups adapted to plant use, storage and tending. Eventually, at the start of the Banpo period (6800-5700 cal BP), millet agriculture developed into an intensive pattern with settled, larger populations. Millet spread into the southwestern China highlands as a package with rice, both plants having the characteristics of versatility and capacity for intensification. Sources Bettinger R, Barton L, and Morgan C. 2010. The origins of food production in north China: A different kind of agricultural revolution. Evolutionary Anthropology: Issues, News, and Reviews 19(1):9-21.d’Alpoim Guedes J. 2011. Millets, Rice, Social Complexity, and the Spread of Agriculture to the Chengdu Plain and Southwest China. Rice 4(3):104-113.d’Alpoim Guedes J, Jiang M, He K, Wu X, and Jiang Z. 2013. Site of Baodun yields earliest evidence for the spread of rice and foxtail millet agriculture to south-west China. Antiquity 87(337):758-771.Jia G, Huang X, Zhi H, Zhao Y, Zhao Q, Li W, Chai Y, Yang L, Liu K, Lu H et al. 2013. A haplotype map of genomic variations and genome-wide association studies of agronomic traits in foxtail millet (Setaria italica). Nature Genetics 45(8):957-961.Jones MK, and Liu X. 2009. Origins of Agriculture in East Asia. Science 324:730-731.Lee G-A, Crawford GW, Liu L, and Chen X. 2007. Plants and people from the Early Neolithic to Shang period s in North China. Proceedings of the National Academy of Sciences 104(3):1087-1092. Nasu H, Gu H-B, Momohara A, and Yasuda Y. 2012. Land-use change for rice and foxtail millet cultivation in the Chengtoushan site, central China, reconstructed from weed seed assemblages. Archaeological and Anthropological Sciences 4(1):1-14.Song J, Zhao Z, and Fuller DQ. 2013. The archaeobotanical significance of immature millet grains: an experimental case study of Chinese millet crop processing. Vegetation History and Archaeobotany 22(2):141-152.Wang C, Jia G, Zhi H, Niu Z, Chai Y, Li W, Wang Y, Li H, Lu P, Zhao B et al.   2012. Genetic Diversity and Population Structure of Chinese Foxtail Millet [Setaria italica (L.) Beauv.] Landraces. G3: Genes|Genomes|Genetics 2(7):769-777.Yang X, Wan Z, Perry L, Lu H, Wang Q, Zhao C, Li J, Xie F, Yu J, Cui T et al. 2012. Early millet use in northern China. Proceedings of the National Academy of Sciences 109(10):3726-3730.Zhang G, Liu X, Quan Z, Cheng S, Xu X, Pan S, Xie M, Zeng P, Yue Z, Wang W et al. 2012. Genome sequence of foxtail millet ( Setaria italica) provides insights into grass evolution and biofuel potential. Nature Biotechnology 30(6):549-554. Zhao Z. 2011. New Archaeobotanic Data for the Study of the Origins of Agriculture in China. Current Anthropology 52(S4):S295-S306.

Friday, February 14, 2020

With reference to the text explain Gilroy's approach to the concepts Essay

With reference to the text explain Gilroy's approach to the concepts of 'race','class' and 'nation' - Essay Example The main source of the problem seems to be the static, non-historical perception of race, class, and nation. As such, some sort of objectivity and timelessness is ascribed to these terms, such that such fossilization results in the freezing of the very problem of racism. To be blind to this root results in not hitting the spot; no matter how hard one tries to be anti-racist, the only result is to ironically preserve racism. To speak of the Black race, Black class, and /or the Black nation aggravates the situation of the Blacks in the UK. Intuitively, we can already sense how this happens: to speak of these terms and to apply them to the Blacks is to set them apart, in a timeless and hence unchanging manner, distinct from the Whites. With this being said, let us now go to what each term refers to. The term class is not a â€Å"long term† category (Gilroy 1987, 35). As we have already stated above, this term should not be ahistorical, static. It cannot be as ahistorical as Karl Marx’s proletariat and bourgeoisie such that the two seem to be eternally divided, and hence, perennially in some clash. Marxists seem to be comfortable assuming such a distinction such they may simplify social dilemmas as that between capital and labor, proletariat and bourgeoisie, without giving room for fuzzying such a divide between the working class and the bourgeoisie. Though the existence of conflict is undeniable, still, Gilroy rightly points out that some of Marx’s seemingly timeless elements are not as timeless, i.e., through time, there are things in the Das Kapital that is already outmoded, and hence, needs to be modernized. For one, it is obvious that such a dialectical and hard distinction between the working class and the bourgeoisie is challenged by the fact that mem bers of the present-day bourgeoisie may even act as the grassroots intellectuals of the working class. Many times, Black teachers, newspaper

Saturday, February 1, 2020

Assignment Example | Topics and Well Written Essays - 1250 words - 4

Assignment Example It also makes them aware of the expectations and challenges that they are likely to meet in a particular job environment and guide them how to tackle the difficult situations on their own. All this has made this field essential for the students and organizations. In this study, the researcher has observed that a positive application of career counseling is in the rehabilitation of the ex-felons. Ex-felons or ex-criminals are the people who are responsible for some murder, theft, fraud or such crimes in the past, and having completed their sentenced period they want to move in the right lawful directions. However, it is noted that, these ex-offenders face problems in re-entering the society, in finding jobs and even in getting settled somewhere easily. The society does not accept them, the employers do not trust them and people do not want to see them around (Patton, & McMahon, 2006). As a result they not only face psychological complications due to frustration and depression, but the y are also forced to cope with the financial problems by themselves. To help such people, halfway houses are established that not only provide them with monitored shelter and support, but also therapy and guidance, including career counseling. These residences act as 24 hours treatment lodgings that keep a complete record about the deeds of each individual, and keep an eye on each of them for further development. The researcher believes that the role of a career counselor in a halfway house is really challenging. He not only has to guide the persons for the right choice of the career, but he will have to assist them in achieving trust of their employers and in maintaining righteous behavior. Therefore the researcher is going to plan a counseling course for the ex-felons at a halfway house. OBJECTIVES The objective of this project is to map out such a course to career counsel the ex-felons at halfway houses that: 1. Is practical and applicable 2. Can ensure that the ex-law-breakers f eel obliged to continue on their righteous path after the sentence and get settled for a normal life 3. Provides the individuals in question with sense of security and satisfaction in their working environments For this purpose the researcher has selected a halfway house that is accommodating 23 ex-cons (all males) whose crimes range from illegal merchandise and fraudulent to murder in anger. LITERATURE REVIEW Career counseling revolves around three basic variables: Work, Worker and Working Environment (Chappell, Di, & Labour, 2000). The disturbance in any of these may cause imbalance in the whole work plan. Therefore the researcher has based his project around these three essential variables. The individual or worker is quite important as he proves to be an important factor in the failure of a particular working deal. According to Frank Parsons’ tripartite model (2008), the worker should know and understand his own self (his aptitude and potential), job requirement, and then he should select a particular career logically. Therefore, the researcher has made it his first priority to counsel the persons about their wants in accordance to their needs. These needs do not include only the basic needs of food, shelter and security, rather he has suggested his personal inclination too, so that to make work an attractive and interesting to do. The interaction between the worker and his working environment also triggers specific behaviors that lead to progress or destruction.

Friday, January 24, 2020

Being A Good Parent :: Parenting

There are many different things that I take into consideration when it comes to parenting. Parents have many different responsibilities but there are three in particular that I think are very important. Being a good role model is important, as well as listening to your children and disciplining them appropriately. If you want to be a good parent you have to put your kids first. The first responsibility that I think is very important is being a good example for your kids. Parents are examples for their kids whether they like it or not. My boys watch and copy everything that I do, and even if I don’t think their listening they are listening. If they see me finishing school and working a good job that’s what they will expect to do themselves because that is all that they know. Children are like sponges. I want to show my kids how to be a good person by being a good person myself. As a parent I want my children to know that they can be anything they want to be, but at the same time I am controlling their physical and moral environment so that they can be good people. I want them to be in an environment where they can develop habits of honesty, generosity, and responsibility. I think that one of the greatest things that I can do for my kids is to take them seriously and listen to them. My five year old is constantly showing me everything that he learns and it’s very easy to tune him out sometimes, but I think its very important not to. It is important to listen because if you don’t give your kids enough attention they might try and seek it in a negative way. It is important to listen to your children when they have learned something new or want to tell you something that they are proud of. Children seek your approval, and that gives them confidence. Lastly discipline is another very important responsibility. The best thing to do is to pick your battles, because if you are constantly saying â€Å"no† your child will tune it out. You also have to be consistent. For example, you can’t let your child eat candy before dinner one night and then tell them not to the next night, you will be sending them mixed signals.

Thursday, January 16, 2020

Cross Cultural Ethical Perspectives

Cross-Culture Ethical Perspectives Amanda Bravo, Mary Malone, Doneice Johnson, Jose Robledo, Kanosha Mitchell, Josephine Johnson ETH/316 September 24, 2012 Bette Bellefeuille Cross-Culture Ethical Perspectives Globalization is common in most large organizations as they thrive to maximize revenue and expand customer base by establishing operations in different countries and within different cultures. Consequently, these organizations have to consider cultural perspectives of the country in which that plan to operate.McDonald’s, established in 1954 by Ray Kroc in conjunction with the McDonalds brothers and with over 30,000 restaurants in more than 120 countries, is one of the world’s biggest fast food restaurant chains employing 1. 7 million people† (McDonalds, 2010-2012). This organization is no different and has to face issues resulting from globalization such as dietary preferences or needs from culture to culture or country to country as well as religion as it r elates to its advertising and such..A good example of the aforementioned was faced in India where currently McDonald’s operates 123 restaurants (India Marks, 2011-2012). A large percentage of that population is Hindu or Muslim and Hindus do not eat beef and Muslims do not eat pork. With both types of meat being a large part of their menu, McDonald’s had to reconsider the menu and decided to adapt it by introducing 100% vegetarian burgers and more than half of their menu being vegetarian (India Marks, 2011-2012). This has helped McDonald’s be successful in that country.McDonald’s does takes cross-culture issue serious and in one particular incident maybe too serious. In 2010 McDonald’s had launched a new line of promotional soft toys in Singapore which entailed a 12-character Doraemon set depicting the animals of the Chinese zodiac calendar. Because McDonald’s did not want to offend Muslims, they decided not to include the pig character in th e line of toys and replaced it with a cupid to represent the Valentine’s Day. As a result, many Chinese customers were upset as they were keen on collecting all 12 characters.A flurry of irate emails and demands by collectors and customers followed which made the fast food restaurant reverse its decision and apologized for their insensitivity as it was never their intention to disrespect any religion or culture. Experts say it showed a lack of cross-culture understanding. Daniel Goh, a sociologist, said that McDonald’s did not consult Muslim opinions before making the decision then assumed Muslim sensibilities which amounted to a form of self-censorship. Dr.Syed Muhd Khairudin Aljunied, said, â€Å"Pigs and dogs are not non-halal, except when they are consumed† (Loh, 2010). In any case, clearly McDonald’s takes special cultural considerations and precaution when promoting products into other countries. As per the aforementioned, some of the issues that Mc Donald’s faces as a result from globalization may be different in perspective and in nature. In some countries the fast food chain has to accommodate its menu to the dietary needs or customs as done in India.Had the organization not done so, perhaps the chain would have been unsuccessful. In other countries however, it has to thrive to avoid any cultural insensitivity as was the case in Singapore with the promotional soft toys as it attempted to avoid insulting the Muslim community and unfortunately ended up being less catering to the Chinese community. McDonalds is a common household name in many countries, but has backlash from many cultures as mentioned with those among Chinese and Muslim communities.To cater to international customer McDonald’s has added item to their menu such as the McArbia, the McPepper, and the Mushroom Pinwheel in Chinese and Middle Eastern countries (Old McDonalds has some Smarts in China, 2006). However McDonalds’ has been viewed has having an influence on these countries by taking away from the cuisine and traditional foods that these cultures and accustomed to eating. â€Å"Critics claim that the rapid spread of McDonald’s and its fast-food rivals undermine indigenous cuisines and helps creates a homogenous, global culture† (Watson, 2006).This is viewed by those who value the culture and history of the Korean, Chinese, Middle Eastern culture as taking away from the culture. McDonald’s global operations not only is a threat to international cuisine but also factor into many of the religious beliefs with various types of items that are served on their menu such as beef whereas in many countries are holy among Hindus. Working from within the company, management realized that certain guidelines must be met within different cultural communities.The changing of the menu represented respect for the people that it hoped to become customers. A company must recognize standard cultural changes that i nfluence the local operational area. However, understanding the local culture does not guarantee success of the operation. Just because the company is knowledgeable of the local culture and what to expect, does not reflect what can actually occur. Assuming that certain cultures would be offended by a toy to be given out, shows lack of tact on McDonald’s behalf.However, as organizations such as McDonald’s attempt to increase market share by entering different countries and different cultures, proper research should always be done before automatically assuming anything about those cultures in order to be able to address issues that result from globalization. References India Marks. (2011-2012). What you can and can't get at McDonald's in India. Retrieved from http://www. indiamarks. com/what-you-can-cant-get-mcdonalds-india/ Loh, Larry. (2010). McDonald’s frantic backpedaling: The pig toy fiasco. ttp://www. cnngo. com/singapore/none/mcdonalds-pig-toy-fiasco-371923 McDonald's. (2010-2012). Frequently Asked Questions. Retrieved from http://www. mcdonalds. ca/ca/en/contact_us/faq. html â€Å"Old MacDonald’s has some smarts in China† Chicago Sun-Times. Sun-Times News Group. 2006. Retrieved September 23, 2012 from HighBeam Research: http:/www. highbeam. com/doc/1P2-2791332. html Watson, J. L. (2006) China’s Big Mac attack. In J. Johnson (Ed. ), Global Issues, Local Arguments. Upper Saddle River, NJ: Pearson Education

Wednesday, January 8, 2020

Remembering the Murder of Shanda Sharer

Few crimes in modern times caused more public horror than the grisly torture and murder of 12-year-old Shanda Sharer at the hands of four teenage girls on Jan. 11, 1992 in Madison, Indiana. The callousness and brutality exhibited by the four teenage girls, ages 15 to 17, shocked the public then, and it continues to be a source of fascination and revulsion as the subject of dozens of books, magazine articles, television programs, and psychiatric papers.   The Events Leading to the Murder At the time of her murder, Shanda Renee Sharer was the 12-year old daughter of divorced parents, attending school at  Our  Lady of Perpetual Help Catholic school in New Albany, Indiana, after transferring the previous year from Hazelwood Middle School. While at Hazelwood, Shanda had met Amanda Heavrin. Initially the two girls fought, but eventually became friends and then became entered into a youthful romance.   In October of 1991, Amanda and Shanda were attending a school dance together when they were angrily confronted by Melinda Loveless, an older girl that Amanda Heavrin had also been dating since 1990. As Shanda Sharer and Amanda Heavrin continued to socialize through October, the jealous Melinda Loveless began to discuss killing Shanda and was observed threatening her in public. It was at this point, concerned about their daughters safety, that Shandas parents transferred her to a Catholic school and away from Amanda. The Abduction, Torture, and Murder Despite the fact that Shanda Sharer was no longer in the same school as Amanda Heavrin, Melinda Loveless jealousy continued to fester over the next few months, and on the night of Jan. 10, 1992, Melinda, along with three friends—Toni Lawrence (age 15), Hope Rippey (age 15), and Laurie Tackett (age 17)—drove to where Shanda was spending the weekend with her father. Just after midnight, the older girls convinced Shanda that her friend Amanda Heavrin was waiting for her at a teenage hangout spot known as the Witchs Castle, a ruined stone home in a remote area overlooking the Ohio River. Once in the car, Melinda Loveless began to threaten Shanda with a knife, and once they arrived at Witchs Castle, the threats escalated into an hours-long torture session. It was the details of the savagery that followed, all of which came out later in testimony from one of the girls, that so horrified the public. Over a period of more than six hours, Shanda Sharer was subject to beatings with fists, strangling with a rope, repeated stabbings, and battery and sodomy with a tire iron. Finally, the still living girl was doused with gasoline and set ablaze in the early morning hours of Jan. 11, 1992, in a field alongside a gravel county road.   Immediately after the murder, the four girls had breakfast at McDonalds, where it is reported that they laughingly compared the look of the sausage to that of the corpse they had just abandoned.   The Investigation Uncovering the truth of this crime thankfully did not take long. Shanda Sharers body was discovered later that same morning by hunters driving along the road. When Shandas parents reported her missing in early afternoon, the connection to the discovered body was quickly suspected. That evening, a distraught Toni Lawrence accompanied by her parents arrived at the  Jefferson County Sheriffs office  and began to confess the details of the crime. Dental records quickly confirmed that the remains discovered by the hunters were those of Shanda Sharer. By the next day, all the involved girls had been arrested.   The Criminal Proceedings With compelling evidence provided by Toni Lawrences testimony, the four girls involved were all charged as adults. With a strong likelihood of death penalty sentences, they all accepted guilty pleas in order to avoid such an outcome.   In preparation for sentencing, defense attorneys spent considerable effort assembling arguments of mitigating circumstances for some of the girls, arguing that these facts reduced their culpability. These facts were presented to the judge during the sentencing hearing. Melinda Loveless, the ringleader, had by far the most extensive history of abuse. At the legal hearing, two of her sisters and two cousins testified that her father, Larry Loveless, had forced them to have sex with him, although they could not testify that Melinda, too, had been so abused. His history of physical abuse to his wife and children was well documented, as well as a pattern of sexual misconduct. (Later, Larry Loveless would be charged with 11 counts of child sex abuse.) Laurie Tackett was raised in a strictly religious household where rock music, movies and most other trappings of normal teenage life were strictly forbidden. In rebellion, she shaved her head and engaged in occult practices. It was not entirely surprising to others that she could have participated in such a crime.   Toni Lawrence and Hope Rippey had no such troubled reputations, and experts and public onlookers were somewhat baffled at how relatively normal girls could have participated in such a crime. In the end, it was chalked up to simple peer pressure and a thirst for acceptance, but the case continues to be a source of analysis and discussion to this day.   The Sentences In exchange for her extensive testimony, Toni Lawrence received the lightest sentence—she pleaded guilty to one count of Criminal Confinement and was sentenced to a maximum of 20 years. She was released on December 14, 2000, after serving nine years. She remained on parole until December, 2002. Hope Rippey was sentenced to 60 years, with ten years suspended for mitigating circumstances. Upon later appeal, her sentence was reduced to 35 years. She was released early on April 28, 2002 from Indiana Womens Prison after serving 14 years of her original sentence.   Melinda Loveless and Laurie Tackett were sentenced to 60 years in the Indiana Womens Prison in Indianapolis. Tacket was released on Jan. 11, 2018, exactly 26 years to the day after the murder.   Melinda Loveless, the ringleader of one of the most brutal murders in recent time, is due to be released in 2019.