Thursday, October 31, 2019

Hypothesis Tests for Means and Proportions Research Paper

Hypothesis Tests for Means and Proportions - Research Paper Example Type I error is defined as the error of rejecting a null hypothesis when it is true. In this case type error would be the error of inferring that the bags are less than 12.0 ounces (less than claimed value) but in reality its weight is either 12.0 ounces or even greater. Level of significance refers to the probability of type I error, that means a fixed probability, in statistical hypothesis testing, of wrongly rejecting a null hypothesis Ho, when it is true. It is represented by . As evident from the given problem, the investigator had a doubt that the claimed weight of the potato bags is greater than the actual weight. To verify the authenticity of this claim, he collected some 30 bags and found the mean of those bags, which came out to be 11.9 ounces. Although the mean weight came out to be lesser than the claimed one. But the real question or logic behind hypothesis testing is that we want to ascertain that whether it would be appropriate to consider the difference of 0.1 ounces from observing 30 bags with the standard deviation of 0.4 a 'significant' one and infer this difference as on the entire population.

Tuesday, October 29, 2019

Diagnosis and treatment of male genitourinary Essay Example for Free

Diagnosis and treatment of male genitourinary Essay 1. What is a physician that specializes in the diagnosis and treatment of male genitourinary conditions called? Urologist 2. What disease causes the kidneys to overcompensate by straining within the remaining nephrons? Chronic Renal Failure 3. What are most kidney stones composed of? calcium-containing crystals 4. What are three types of bladder stones? Calcium, Uric acid, Struvite, and Cystine stones 5. A constriction of the perputial orifice that does not allow for the foreskin to fold back over the glans is called? paraphimosis 6. What is the term for the surgical removal of the uterus? Hysterectomy 7. What is the medical term for an examination/biopsy of the vagina and cervical areas? colposcopy 8. What disease or condition can lead to DUB (Dysfunctional Uterine Bleeding)? Menorrhagia, Metrorrhagia, and Polymenorrhea 9. How many days are used to calculate the EDD? The due date may be estimated by adding 280 days 10.What are the terms that describe the surgical removal of a fetus through an abdominal incision? caesarean section II. Go to http://www.aapc.com and answer the following questions: Q: For the CPCÂ ® certification, what are the specific eligibility requirements We recommend having an associate’s degree. Pay examination fee at the time of application submission. Maintain current membership with the AAPC. New members must submit membership payment with examination application. Renewing members must have a current membership at the time of submission and when exam results are released. All exams will be reported with exact scores and areas of study (65% or less).A CPC must have at least two years medical coding experience (members with an apprentice designation are not required to have two years medical coding experience.) Membership is required to be renewed annually and 36 Continuing Education Units (CEUs) must be submitted every two years for verification and authentication of expertise.

Saturday, October 26, 2019

Relational Model Defined By Codds Twelve Rules Computer Science Essay

Relational Model Defined By Codds Twelve Rules Computer Science Essay This report tries to explain what Codds Twelve Rules means. And by comparing MySQL with relational model as defined by Codds Twelve Rules, this report also gives an abstract view on how MySQL comply with Codds Twelve Rules. This report is based on MySQL 5 InnoDB engine. Edgar F.Codd is famous for his contribution to relational model of database in 1970s. However, in 1980s the term relational was used by many database vendors to describe their database products which may not comply with the model that Edgar F.Codd has proposed. In order to clarify his model of relational database, and provide people a simple standard that can indicate to what extent a database software conforms to his model, the Codds Twelve Rules were propose. There are 13 rules in Codds Twelve Rules. Our textbook omits the first one,rule 0, so this report will start from the second one in Codds rules, rule 1. Rule 1: The Information Rule This rule requires all data in relational database management system(RDBMS) should be stored as values in tables at logical level. Some DBMS use Key-Value to store data, Redis for example, which contradict the Information Rule, so these DBMS will not be regarded as relational DBMS. MySQL dose store all data in the form of tables with values in columns of rows. Users can only access to values that are stored in tables. Even the data descript the database itself is store in tables, i.e. table tables in Information schema stores the description of all the tables that have been created. So, MySQL meets the requirement of rule 1. Rule 2: The Guaranteed Access Rule Users must be able to access to values by providing table name, the value of primary key and the name of the columns. In another word, the DBMS should support primary key in tables and enforce each tables contains primary key in order to prevent data duplication. MySQL does support to define primary key in tables. Yet, users can also create tables that dont have it. For example, create one table has columns a and b without primary key. In that circumstance, there may be several rows that has the same value in column a , preventing users to access to the value of column b in the row he want. So, MySQL does not fulfill the requirement of Rule2 and it gives user more flexibility by accepting tables without primary key. Rule 3: Systematic Treatment of NULL Values: The database must support NULL as a value other than 0 or empty string, as a representation of data missing or inapplicable. And the database can provide systematic way to manipulate NULL value. MySQL fulfill this requirement by supporting NULL value and treat it in a systematic way. In MySQL, NULL is supported and is regarded as missing data following ANSI/ODBC SQL standard. MySQL implements ternary logic. Users can not compare values with NULL, even NULL with NULL by using =, because NULL is missing data. The results of those compares are unknown. MySQL provides IS NULL and IS NOT NULL statement in order to treat the compares with value NULL. Rule 4: Active online catalog based on the relational model Data dictionary of one DBMS should be stored as ordinary data in the form of tables. Authorized users must be able to using the query language (SQL for example) that they used to query ordinary data to access to database catalog or structure. MySQL stores database catalog data using tables the same way it store ordinary data. These tables are in system database such as Information_schema. For example, table tables in Information_schema contains information about all tables in MySQL, like TABLE_NAME, TABLE_TYPE. Authorized users can use SQL to query this table in order to access to data catalog of current tables. So, MySQL well implements this Rule. Rule 5: Comprehensive data language The DBMS must support at least one language that can be used directly by users or within application queries. This language must also supports all aspects of database use including data (view) definition, data manipulations, integrity constraints, securities and transaction managements. SQL is a language that is comprehensive enough to support all these requirements. So, any DBMS that implements ANSI/ODBC SQL will comply with this rule. MySQL follows the ANSI/ODBC SQL standard, yet there are several differences between them in several cases. The difference can be seen in documents of MySQL. All these differences are just about statement syntax, i.e MySQL doesnt support select à ¢Ã¢â€š ¬Ã‚ ¦ into table, users should using Insert into à ¢Ã¢â€š ¬Ã‚ ¦ select to do the same works. But after all, all database use in MySQL can be implemented by using SQL regardless of whether the syntax is different from standard SQL. So, MySQL fulfills Rule 5. Rule 6: View Updating This rule means that the alteration that user makes in a view will result in the alteration of tables from which the view is created, if this view is theoretically updatable. In MySQL, many theoretically updatable views can be updated, yet, there are many limits. For example, due to the documentation of MySQL, delete and update cannot be used to update a view that has more than one underlying table. So, MySQL does not fulfill this rule. Rule 7: The RDBMS may handle individual records but it must primarily handle sets of records This rule means users can use one single command to query, insert, delete and update sets of values in multiple rows or multiple tables. MySQL can handle operation of multiple rows in one table. Because it uses SQL, that has commands that can handle operation of sets of records, as its data language. For example, MySQL can insert multiple records with this statement, INSERT INTO table_name (a,b,c) VALUES (3,4,5), (6,7,8)à ¢Ã¢â€š ¬Ã‚ ¦Ãƒ ¢Ã¢â€š ¬Ã‚ ¦. But MySQL cannot handle operation of sets of records that are from different tables in one command. But users can also handle this issue by using transaction that containing a series of SQL commands. So, MySQL implements this rule by allowing user to operate command on multiple rows in one table, while does not support operation of multiple tables in single command. Rule 8: Physical Data Independence This rule means that alterations that have been made to database in physical level, for example, export one database, and open it in another computer will not result in the changes in logical level. And users can still access to the data without altering their commands. MySQL can export one database by creating back up file. This file can be restore by MySQL in another computer. The physical underlying of this database has changed while the table structure will not be changed and users can access to this restored one without any adjustment on their queries. So, MySQL does provide some extent of physical data independence in InnoDB engine. However, if users want to change the store engine of a table from transactional one to non-transactional, the logical level will also change. In sum, MySQL provide physical data independence in InnoDB engine, but changing the store engine may result in change in database logic. Rule 9: Logical Data Independence This rule means that the changes of logical level in the database will not lead to changes of queries that based on former structure. For example, users can split one table into two, while use the same query as before. In MySQL, adding columns to a table will not require changes in application or queries that are base on the structure of this table. However, other changes of logical level, such as combine two tables into one, may call for an alteration of the application based on the structure. So, MySQL does not comply with this Logical Data Independence rule. Rule 10: Integrity Independence This means that integrity definition of data in one DBMS should be regarded as one part of data dictionary, and be stored in the same form as ordinary data. This also requires that this integrity definition can be access by users using language, SQL for example, to query, define or alter the integrity independence. MySQL fulfills this rule. It stores data dictionary in tables in information schema. For example, the column COLUMN_KEY in the table COLUMNS defines whether this column is primary key or has other constraints. And KEY_COLUMN_USAGE table defines which key columns have constrains. Users can access to integrity definition data by query these tables using ordinary SQL statement. Rule 11:Distribution Independence Today, many DBMS introduce the function to using distribute data in different locations. However, due to this rule, where this data be distributed and how DBMS manage them should not be visible to users. Users can use the data in the same way as they use data that been stored in one place. The InnoDB engine does not provide the ability to store data in different locations. MySQL has a distributed engine called MySQL Cluster. In InnoDB engine, MySQL introduce XA Transaction which is based on X/Open XA specification since 5.0.3. This specification provides users the ability to employ multiple resources in one transaction. However, users must know the underlying works, and if the structure of the distributed DBMS changes, the XA Transaction statement may also need to be adjusted. So, MySQL does not comply with the rule 11. Rule 12: The Nonsubversion Rule Sometime the DBMS provide API or other low-level interface for users to handle complicated transactions. However, those interfaces must not break all the rule above and bypassing integrity constraints and security. MySQL provides APIs for different applications or programming languages as low-level interface. There are back doors in them, custom command SHOW for example. However, these backdoors are only maintained for the compatibility with the former edition. Summary In Sum, due to the comparison between MySQl and Codds rules, MySQL implement most of these rules, though there are still some limitations. It can be regarded as a DBMS that is relational.

Friday, October 25, 2019

Jumping Off a Cliff Essays -- Personal Narrative, Essay About Myself

Jumping Off a Cliff As I inched my way toward the cliff, my legs were shaking uncontrollably. I could feel the coldness of the rock beneath my feet when my toes curled around the edge in one last futile attempt at survival. My heart was racing like a trapped bird, desperate to escape. Gazing down the sheer drop, I nearly fainted; my entire life flashed before my eyes. I could hear stones breaking free and fiercely tumbling down the hillside, plummeting into the dark abyss of the forbidding black water. The trees began to rapidly close in around me in a suffocating clench, and the piercing screams from my friends did little to ease the pain. The cool breeze felt like needles upon my bare skin, leaving a trail of goose bumps. The threatening mountains surrounding me seemed to grow more sinister with each passing moment, I felt myself fighting for air. The hot summer sun began to blacken while misty clouds loomed overhead. Trembling with anxiety, I shut my eyes, murmuring one last pathetic prayer. I gather ed my last breath, hoping it would last a lifetime, took a step back and plun...

Wednesday, October 23, 2019

Gender Development

Gender shapes the lives of all people in all societies. The term ‘gender’ refers to the social construction of female and male identity. It can be defined as more than biological differences between men and women. It includes the ways which those differences, whether real or perceived, have been valued, used and relied upon to classify women and men and to assign roles and expectations to them (http://en. wikipedia. org/wiki/Gender_and_development). Gender influences our lives, the schooling we receive, the social roles we play, and the power and the authority we command. Population processes – where women and men live, how they bear and rear children, and how they die – are shaped by gender as well (Riley, 1997). Several theories of gender development have generated most of the research during the past ten years: social learning theory, cognitive-development theory, and gender schema theory. Proponents of social learning theory believe that parents, as distributors of reinforcement, reinforce appropriate gender role behaviors. By their choice of toys, by urging boy or girl behavior, parents encourage their children to engage in appropriate gender-related behavior. Thus children are reinforced or punished for different kinds of behavior. They also learn appropriate gender behavior from other male or female models such as those in television shows. A second explanation, quite popular today, is found in cognitive-development theory, which derives from Kohlberg’s speculations about gender development. It is known that from Piaget’s work that children engage in symbolic thinking by about 2 years of age. Using this ability, Kohlberg believes, they begin the process of acquiring gender-appropriate behavior. A newer, and different, cognitive explanation is called gender schema theory. A schema is a mental blueprint for organizing information, and children develop gender identity and formulate an appropriate gender role. Consequently, children develop an integrated schema or picture, of what gender is and should be (Elliott et al. , 1996). Gender and Power Gender refers to the different ways men and women play society, and to the relative power they wield. While gender is expressed differently in different societies, in no society do men and women perform equal roles or hold equal positions of power. Power is basic fabric of society and is possessed in varying degrees by social actors in diverse social categories. Power becomes abusive and exploitive only when independence and individuality of a person or group of people becomes so dominant that freedom for the other is compromised. Women and children have open been on the abusive sides of power. Some causes that are often referred to are: the greater the physical strength that men tend to have creates the imbalance of power between men and women resulting from social structures and historical practices in regard to finances, education, roles of authority and decision making; the abuse of power by men and the failure of cultural pressures to prevent such abuse; and distorted view the sexuality and the objectification of the female. Max Weber in his ‘Essays in Sociology’ defined power as the likelihood a person may achieve personal ends despite possible resistance from others. Since this definition views power as coercive, Weber also considered ways in which power can be achieved through justice. Authority, he contented, is power which people determine to be legitimate rather than coercive. As a group, women are at a distinct advantage when considering both power and authority. Several factors act as determinants of the amount of power a person holds or can use in his/her relations with others: status resources, experience, and self-confidence. Males and females traditionally have had differing amounts of power at their disposal. By virtue of t6he male’s greater ascribed status in society, men have more legitimate power based on rank or position than do women. The serious social issue today is the relative inequities in social power between men and women. The issue of women’s power, relative to men, is not merely academic. Gender differences in power have real consequences for women. For example, although women have made significant gains in the workplace, with more women working than in the past and women possessing approximately a third of all management positions, women continue to experience wage discrimination, be excluded from the most powerful executive positions, advance more slowly in their careers, and experience fewer benefits from obtaining education or work experience, and are included in fewer networks and exert less authority (Colwill; Lyness and Thompson, 1997) than men in similar positions. A number of researchers have linked career advancement and access to benefits and resources within organizations to an effective use of power. An understanding of women’s power, relative to men, is therefore essential to overcoming women’s disadvantage in the workplace and other domains (http://www. find articles. com/p/articles/mi m0341/ is 1 55/ai 54831711). Gender and Education The past decade has witnessed a significant increase in the importance accorded to education, with both instrumental as well as intrinsic arguments made for increasing financial investment and policy attention to education provision. Investing in education is seen as one of the fundamental ways in which nation states and their citizens can move toward long-term development goals and improve both social and economic standards of living. The education of women is seen as providing the key to securing intergenerational transfers of knowledge, and providing the substance of long-term gender equality and social change. Although significant gains have been made in women’s education as a result of global advocacy, more often than not the gains are fragile, vulnerable to changes in economic and social environments, and lagging behind in male rates of enrolment and achievement. Achievements are particularly visible in the primary education sector, whereas gaps are still large in the secondary and tertiary sectors (unrsid. org/inrisd/website/nsf). Schools also reinforce gendered social roles. Researchers have documented the differential treatment accorded males and females in the classrooms that reinforces a sense of inferiority and lack of initiative among female students (Sadker and Sadker, 1988). Boys are far more likely to be given specific information that guides improvement of their performance (Boggiano and Barrett, 1991).

Tuesday, October 22, 2019

Founding of the Republican Party

Founding of the Republican Party The Republican Party was founded in the mid-1850s following the fracturing of other political parties over the issue of slavery. The party, which was based on stopping the spread of slavery to new territories and states, arose out of protest meetings which took place in a number of northern states. The catalyst for the founding of the party was the passage of the Kansas-Nebraska Act in the spring of 1854. The law was a major change from the Missouri Compromise of three decades earlier and made it seem possible that new states in the West would come into the Union as slave states. The change splintered both major parties of the era, the Democrats and the Whigs. Each party contained factions that either endorsed or opposed the spread of slavery into western territories. Before the Kansas-Nebraska Act was even signed into law by President Franklin Pierce, protest meetings had been called in a number of locations.   With meetings and conventions happening in a number of northern states, it is impossible to pinpoint one particular place and time where the party was founded.  One meeting, at a schoolhouse  in Ripon, Wisconsin, on March 1, 1854, is often credited as being where the Republican Party was founded. According to a number of accounts published in the 19th century, a convention of disaffected Whigs and members of the fading Free Soil Party assembled at Jackson, Michigan on July 6, 1854. A Michigan congressman, Jacob Merritt Howard, was credited with drawing up the first platform of the party and giving it the name Republican Party. It is often stated that Abraham Lincoln was the founder of the Republican Party. While the passage of the Kansas-Nebraska Act did motivate Lincoln to return to an active role in politics, he was not part of the group which actually founded the new political party. Lincoln did, however, quickly become a member of the Republican Party and in the election of 1860 he would become its second nominee for president. Formation of a New Political Party Forming the new political party was no easy accomplishment. The American political system in the early 1850s was complicated, and members of a number of factions and minor parties had widely varying degrees of enthusiasm about migrating to a new party. In fact, during the congressional elections of 1854, it seemed that most of the opponents to the spread of slavery concluded their most practical approach would be the formation of fusion tickets. For example, members of the Whigs and the Free Soil Party formed tickets in some states to run in local and Congressional elections. The fusion movement was not very successful, and was ridiculed with the slogan Fusion and Confusion. Following the 1854 elections momentum grew to call meetings and begin to seriously organize the new party. Throughout 1855 various state conventions brought together Whigs, Free Soilers, and others. In New York State, the powerful political boss Thurlow Weed joined the Republican Party, as did the states anti-slavery senator William Seward, and the influential newspaper editor Horace Greeley. Early Campaigns of the Republican Party It seemed obvious that the Whig Party was finished, and couldnt run a candidate for the presidency in 1856. As the controversy over Kansas escalated (and would eventually turn into a small-scale conflict dubbed Bleeding Kansas), the Republicans gained traction as they presented a united front against the pro-slavery elements dominating the Democratic Party. As former Whigs and Free Soilers coalesced around the Republican banner, the party held its first national convention in Philadelphia, Pennsylvania, from June 17-19, 1856. Approximately 600 delegates gathered, mainly from the northern states but also including the border slave states of Virginia, Maryland, Delaware, Kentucky, and the District of Columbia. The territory of Kansas was treated as a full state, which carried considerable symbolism given the unfolding conflict there. At that first convention, the Republicans nominated explorer and adventurer John C. Frà ©mont as their presidential candidate. A former Whig congressman from Illinois who had come over to the Republicans, Abraham Lincoln, was nearly nominated as the vice presidential candidate but lost to William L. Dayton, a former senator from New Jersey. The first national platform of the Republican Party called for a transcontinental railroad and improvements of harbors and river transportation. But the most pressing issue, of course, was slavery and the platform called for prohibiting the spread of slavery to new states and territories. It also called for the prompt admission of Kansas as a free state. The Election of 1856 James Buchanan, the Democratic candidate, and a man with an uncommonly long record in American politics won the presidency in 1856 in a three-way race with Frà ©mont and former president Millard Fillmore, who ran a disastrous campaign as the candidate of the Know-Nothing Party. Yet the newly formed Republican Party did surprisingly well. Frà ©mont received about a third of the popular vote and carried 11 states in the electoral college. All the Frà ©mont states were in the North and included New York, Ohio, and Massachusetts. Given that Frà ©mont was a novice at politics, and the party had not even existed at the time of the previous presidential election, it was a very encouraging result. At the same time, the House of Representatives began to turn Republican. By the late 1850s, the House was dominated by Republicans. The Republican Party had become a major force in American politics. And the election of 1860, in which the Republican candidate, Abraham Lincoln, won the presidency, led to the slave states seceding from the Union.

Monday, October 21, 2019

Free Essays on Stegner

â€Å"We simply need th[e] wild country available to us, even if we never do more than drive to its edge and look in. For it can be a means of reassuring ourselves of our sanity as creatures, a part of the geography of hope (153).† Wallace Stegner makes this statement at the end of â€Å"Coda†, a letter included in his book The Sound of Mountain Water. In this letter Stegner asks David Pesonen, who was working on the Outdoor Recreation Resources Review Commission, to work to preserve what wilderness is left in the United States. In publishing the letter in this book, Stegner is arguing not only to Pesonen but to the American people that wilderness is a necessary part not just of the physical American landscape, but the emotional and social landscapes as well. Throughout The Sound of Mountain Water Stegner relates his experiences traveling in the western United States, and in the second part reflects upon the ties of the western writer to history. This paper is mostly concerned with the first part of this book in which Stegner writes directly about his experiences with landscape. The book is a collection of writings that come from many different points in Stegner’s life, and therefore, throughout Part I of the book the reader is able to see the authors views change regarding certain environmental issues pertaining to the west. In the Introduction, Stegner writes, â€Å"†¦I am dismayed to find myself, in ‘The Rediscovery of America’, speaking admiringly of Hoover Dam and Lake Mead. I know better now†¦ But I have not changed the essay, or any of the essays†¦ They represent the way I felt when I wrote them (10).† Because of this, The Sound of Mountain Water reads somewhat like a literary time capsule , capturing Stegner’s views and responses to the landscapes he encounters, from the carefree â€Å"Rediscovery†¦Ã¢â‚¬  to the more philosophical and concerned â€Å"Coda†. The main points of this essay will relate the authors views and ... Free Essays on Stegner Free Essays on Stegner â€Å"We simply need th[e] wild country available to us, even if we never do more than drive to its edge and look in. For it can be a means of reassuring ourselves of our sanity as creatures, a part of the geography of hope (153).† Wallace Stegner makes this statement at the end of â€Å"Coda†, a letter included in his book The Sound of Mountain Water. In this letter Stegner asks David Pesonen, who was working on the Outdoor Recreation Resources Review Commission, to work to preserve what wilderness is left in the United States. In publishing the letter in this book, Stegner is arguing not only to Pesonen but to the American people that wilderness is a necessary part not just of the physical American landscape, but the emotional and social landscapes as well. Throughout The Sound of Mountain Water Stegner relates his experiences traveling in the western United States, and in the second part reflects upon the ties of the western writer to history. This paper is mostly concerned with the first part of this book in which Stegner writes directly about his experiences with landscape. The book is a collection of writings that come from many different points in Stegner’s life, and therefore, throughout Part I of the book the reader is able to see the authors views change regarding certain environmental issues pertaining to the west. In the Introduction, Stegner writes, â€Å"†¦I am dismayed to find myself, in ‘The Rediscovery of America’, speaking admiringly of Hoover Dam and Lake Mead. I know better now†¦ But I have not changed the essay, or any of the essays†¦ They represent the way I felt when I wrote them (10).† Because of this, The Sound of Mountain Water reads somewhat like a literary time capsule , capturing Stegner’s views and responses to the landscapes he encounters, from the carefree â€Å"Rediscovery†¦Ã¢â‚¬  to the more philosophical and concerned â€Å"Coda†. The main points of this essay will relate the authors views and ...

Sunday, October 20, 2019

Glossary definition of tourist behavior

Glossary definition of tourist behavior Introduction Tourism is among the world’s leading industry. Tourism is the short term movement of individuals to places that are outside their residences or places of work (Burkart and Medik, 1981). Who is a tourist?Advertising We will write a custom essay sample on Glossary definition of tourist behavior specifically for you for only $16.05 $11/page Learn More A tourist is not the international person who has used air means of transport for a vacation, but a domestic or international person, irrespective of the means of transport, who has visited a place with certain reasons, such as health related, active sport, educational, cultural or business related trips. Today’s competitive economy, prosperity in tourism is greatly determined by understanding tourist behavior and integrating them to marketing strategy. This enables reduction of negative impacts during their tour, stay and interactions between the tourist and hosts. Tourist behavior emer ges from the social, cultural and environmental systems. Balanced Critique The essay lacks an introduction that would define tourism, numerous grammatical errors, lack in consistency of citation styles, and the brilliant ideas are either repeated over and over and lacks flow in his/her presentation. Although the first paragraph provides misconception of information, the author explains on the different reasons for travelling varying from education, trade and pleasure. He/she outlines the benefits of tourism to include improvement of infrastructure, creation of employment, and social interaction among many others. He/she is also right to say that every traveler has expectations and always share their experiences with their loved ones. This implies that they play a great role in promoting tourism industry. Therefore tourist’s satisfaction should be the first priority o every marketer and hence all their suggestions, comments and recommendation should be put into consideration. Second paragraph categorizes tourist based on their behavior. Those tourists who visit environmental related –nature biased-, they visit beaches, waterfalls, forest, (Swarbrookes, 1999). Critique supported by examples What attracts tourists who are nature biased are aspects such as greenery and beeches (Andrew, Bigne Cooper, 2000). Ego –tourist travel to show how sophisticated and wealthy they are, popular stars would fall under this category, they only travel to popular destination, Ethical based tourists (Butcher, 2003), responsible tourist (Lea, 1993) and spiritual tourist.Advertising Looking for essay on communications media? Let's see if we can help you! Get your first paper with 15% OFF Learn More Research in tourism marketing has improved dramatically in quality and depth, to reflect the growth of the field. Academics and marketers have grouped tourists together according to the characteristics they share. The importance of the grouping (typologies) embrace prediction of tourism trends, aid in product development and pricing of commodities (Swarbrooke Horner, 2007, p5). These typologies reflect individual’s interests. Four Typologies are identified, two of non institutionalized roles; grafter and explorer and two institutionalized namely; organized mass tourist and individual tourist. (Cohen, 1972). Typologies also describe market niches to promote and advertise the market accordingly. Conclusion To conclude, it is important to note that tourists’ behaviors are based on individual preferences and goals. These may include influences from families and friends, perceived risks and the environment. Their behavior could also be associated with the unpleasant challenges such as global inequity, distribute justice, poverty alleviation, fuel shortage and climate change. Therefore, the status, role and behavior of tourists are being interrogated, that is their roles to the problems and their solution. Moreove r, tourism should be sustained so that tourists can enjoy their vacation and respect the environment and culture. The main aim of tourism should be in bringing a positive impact to the society, industry, nation and the tourist themselves. References Andreu. L, Bigne.E Cooper.C (2000). Projected and Perceived image of Spain as a tourist destination for British Travellers. Journal of Travel and Tourism Marketing 9(4), 47-67. Cohen, E. (1972) Toward a sociology of international tourism, Social Research 39:164- 82. (1979) A phenomenology of tourist experiences, Sociology 13: 179- 202. Butcher, J. (2003). The moralization of tourism; sun sand and saving the world. New York: Routledge Publishers.Advertising We will write a custom essay sample on Glossary definition of tourist behavior specifically for you for only $16.05 $11/page Learn More Burkart and Medik, (1981). The journal of European history, volume 35, Issue 1 Lea, J.P (1993).Tourism development ethics in the Third World. Annals of Tourism Research 20 (4), 701-715. Pizam, A., Sussman, S. (1995). Does nationality affect tourist behavior? Annals of Tourism research 22(4), 901-917 Swarbrooke, J. (1999). Sustainable Tourism Management. Wallingford: CABI Swarbrooke, J., and Horner, S. (2007) Consumer behavior in tourism. Oxford: Elsevier.

Saturday, October 19, 2019

Extracts from camera Lucida Lab Report Example | Topics and Well Written Essays - 500 words

Extracts from camera Lucida - Lab Report Example In this photograph, Barthes sees his mother's true essence speak through the photo paper. Barthes has a passion for photography that is marked by an extreme idolization of the transcendence of photography. Barthes states, "Such a desire really meant that beyond the evidence provided by technology and usage, and despite its tremendous contemporary expansion, I wasn't sure that Photography existed, that it had a 'genius' of its own" (1). All of the technical and analytical books Barthes read on photography could not satisfy the feeling he had for the art/religion of photography. Barthes goes on to define the photograph as: "the object of three practices: [] to do, to undergo, to look" (3). The respect that Barthes shows to photography is so evident throughout Camera Lucida that he even states the photographer is not merely a photographer, but an operator: An operator who not only manipulates the camera, but an operator who manipulates the referent or subject, the environment and the spectator. Barthes muses on the subject of being the referent. His hope that the camera will make him look stunning is a hope that many people can relate to. His fear that the camera will not capture his true essence is also a fear that many people can relate to. Upon seeing the result of the photo Barthes states, "the Photomat always turns you into a criminal type, wanted by the police" (4).

Friday, October 18, 2019

Fluid management in dialysis patient Essay Example | Topics and Well Written Essays - 6000 words

Fluid management in dialysis patient - Essay Example When a patient is on dialysis, circulation of the blood is on one side of a semipermeable membrane, while, on the other side, a special dialysis fluid is circulated. Blood composition must be closely matched by the dialysis fluid. Urea and creatinin, metabolic waste products, are diffused through the dialysis fluid membrane and discarded, while necessary substance diffusion is prevented by its presence in the dialysis fluid. (Answers.com). Dialysis treatment is demanding for the patient, as they must spend four hours during thrice weekly sessions hooked up to these machines. (Sonnier, 2000, p. 5). Because patients must observe strict dietary and fluid restrictions, there is a great mortality rate that is directly related to non-adherence with the dietary and fluid restriction protocol. Patients must self-care when they are on dialysis, and must comply with their prescribed regimen that is assigned to them when they start dialysis for the first time. Self-care and compliance are different, yet related, terms. There are reasons why patients do not self-care or comply correctly with their prescribed health regimen, and there are solutions that have been put forth. The solutions include increased education about the necessity of self-care, empowerment through education regarding how to self-care and behavioural modification. Self-care is defined as é  he patients deliberate actions regulating his/her functioning and development for health and well-being.(Ricka, et al., 2002, p. 329). Self-care is pertinent to the patients survival and well-being. Compliance is a related term, what that focuses mainly on the correlation between medically prescribed therapeutic regimen compliance and the outcome behaviours. (Ricka, et al., 2002, p. 331). Dietary factors that require compliance include regulating protein intake; limiting electrolytes, such as potassium and sodium; taking vitamin supplements; and lowering fluid

The use of Algae in the Mediterranean Research Paper

The use of Algae in the Mediterranean - Research Paper Example Biodiesel is produced from oils and fats of animals and vegetables such as sunflower oil, palm oil, jatropha as well as algae. Sustainability of feedstock could be ensured in the case of algae fuel due to fast growth of algae. Development of technology for manufacturing biofuel using algae at lower cost and higher productivity assumes importance in this backdrop. High initial investment is an important barrier to the growth in this industry. This is expected to come down in the future through R&D efforts in the industry with the active support of governments and research institutions. Climate in Mediterranean and other sub-tropical countries is suitable for growing algae for producing algae based biofuels. Since the country of Cyprus is surrounded by sea with good port facilities, growing marine algae for producing biodiesel and the by-products based on this type of algae is considered. Also, increase in demand and good prices for the by-products and can reduce the overall cost of pr oduction of algae biofuels to make it more competitive in the markets. Conservation of natural resources Depleting fossil fuel sources of energy and growth in energy consumption over years cause serious threat to energy security of the world in the future. According to Scot et al. (277) â€Å"Microalgae offer great potential for exploitation, including the production of biodiesel, but the process is still some way from being carbon neutral or commercially viable. Part of the problem is that there is little established background knowledge in the area.† For achieving the desired progress in this area for the purpose of conservation of fossil fuels and for mitigating the effects of climate change, concerted efforts for the development of this industry on international scale is very important. McDonald (2012) stated that Biologists at US San Diego have made researches to establish that marine algae can be just as capable as fresh water algae in producing biodiesel. According to Kothari and Gujral (272) biofuels derived from algae and microalgae or genetically modified algae and genetically modified co-cultures of Shewanella and Synechococcus have been commercialized. It is further pointed out that algae fuel yields considerably more energy than fossil fuels and biofuels under development include Cellulosic ethanol, Algae fuel, BioDME, Fischer-Tropsch diesel, DMF, bio-hydrogen and biohydrogen diesel. The superior fuel efficiency of algae fuel compared to fossil fuel has been proved in driving Algaeus, a modified Toyota Prius car. "It got 147 miles per gallon in the city," says  Fuel  director Josh Tickell of the converted to plug-in  Prius hybrid  that he drove on a mix of battery power and algae fuel blended with conventional gasoline. (Biello) Project profile In a project for producing algae fuel several factors have to be taken into account such as capital investment involved, availability of suitable space for growing algae for the project, envi ronmental clearances by the local bodies and the governments, infrastructural facilities available, growth, research and development in the industry, marketability of the products and availability of managerial skills and skilled labor. The country of Cyprus is considered ideal for the project to grow marine algae for various reasons. The government of Cyprus has taken initiatives for development of microalgae as an alternative fuel by partnering with leading institution in the region. â€Å"To foster the development

Critically discuss what is meant with open innovation With reference Essay - 1

Critically discuss what is meant with open innovation With reference to a specific firm, discuss the extent to which open innovation plays a role in this firms innovation process - Essay Example ges, entrepreneurs and investors are seeking to restructure and adopt new strategies that can overcome barriers to entrance into a marketplace for their products/services. Prior to acceptance of open innovation, companies were focused on self-reliance and methods of internalized research and development (R&D), which characterize the idea of closed innovation. This centralized approach in the current era has proved challenging for most businesses who need to meet consumers need and thrive in the market. It is the current strategy that SMEs and LSC/MC have adopted to stay abreast and competitive in the market. According to Chesbrough, Vanhaverbeke and West, open innovation is â€Å"the use of purposive inflows and outflows of knowledge to accelerate internal innovation, and expand the markets for external use of innovation, respectively† (2014, p. 4). It emphasizes that useful ideas and knowledge are not limited within an organization, but distributed across other organization as well as in the market labour force. Clearly, it’s true there exist smarter people who are not the organization’s employees, but with innovative ideas that give a firm its competitive advantage. Similarly, a company’s internal R&D expertise may be insufficient and may require to be harnessed through external knowledge if the organization needs to be successful. The concept stresses on the need for individuals firms to appreciate and leverage external knowledge and incorporate it w ith their internal capability. Open innovation (OI) is concerned with creation of knowledge through pooling of ideas and information that create value and give superiority to organizations. One, an organization’s R&D discoveries is fundamental to each organizations, hence cannot be disregarded. It is part of the knowledge/idea that an organization own. Second, other sources of knowledge/idea are in the labour force (some of who are sole proprietors or in partnership) or external firms with smart employees.

Thursday, October 17, 2019

Mock Interview of a Prospective Staff Member by Employer Essay

Mock Interview of a Prospective Staff Member by Employer - Essay Example The four main elements of interview practice applicable to all disciplines including nursing, include the acquiring of â€Å"background information of the candidate, interview analysis, protocol creation and revision, and self-reflective interviewing†, states Dilley (2000, p.131). The Appropriate Lines of Questioning to be Employed in Mock Interviews Fulton, Lyon, and Goudreau (2010) state that the best technique should be selected for a given situation, and practice is key to achieving higher levels of efficiency and performance outcomes. Thus, interview process strategies include the 80/20 Rule, Sequence Themes, Behavior-based Interviewing, Closed-ended, Open-ended, and Multilayered questions (Fulton et al., 2010). The 80/20 Rule is based on the concept of 20% of an interview to be devoted to asking questions, and 80% in listening to the interviewee’s answers, to find out to what extent the candidate was suitable for the position. Commenting on every answer is unnecessary, while â€Å"the interviewer controls the pace and emphasis areas of the interview† (Fulton et al., 2010, p.307).... The Themes that will be explored by the interviewer should be considered and practised during the mock interview. The preferable sequence for the themes has to be determined before the questions for each theme are decided on. For example, an interviewer may wish to question the candidate on goal orientation before finding out about their analytic ability. It may be ideal for an interviewee to sequence items about nursing staff project readiness, before answering questions on multidisciplinary commitment. In the technique of Behavior-based Interviewing, the interviewer’s approach bases the interview questions on behaviors rather than on beliefs. However, because â€Å"past behavior is often the best predictor of future actions, emphasis on behavior-oriented questions is important† (Fulton et al., 2010, p.307). Other appropriate lines of questioning by the interviewer include the use of closed-ended questions which Yale (2006) suggests should be used only to pose question s about a commitment, or to seek clarification about any factual matters. The open-ended questions compel the interviewee to give more details on their approach or their experience regarding a particular situation. The multilayered approach may not be successful, because it is possible that because of the various issues within the same question, the interviewer may receive an incomplete answer (Fulton et al., 2010). Interview Questions to Avoid in Mock Interviews Mock interviews should not include questions based on the candidates’ race, age, gender, nationality, marital status, religious beliefs, disability, or sexual orientation. These issues are best

Primark supplying consumers with ethically sourced garments Essay

Primark supplying consumers with ethically sourced garments - Essay Example Its main objective is to have a profitable as well as sustainable business (Goworek, 2011). Hence, the company always seeks growth opportunities in order to have a profitable growth within the organization. The company works closely with the suppliers as well as the factories which produces the goods for the company (BBC, 2015b). However, the role played by the Primark buyers is essential to support the ethical business practices. The company goes through a selection process in order to choose the new suppliers and factory in order to enhance their production process. The company while choosing new factories ensures regarding the fire safety measures and hires trained employees and also makes sure regarding the wages and benefits that they are supposed to receive (Goworek, 2011). Thus, the company focuses on the various ethical aspects that are to be followed in order to run a smooth business. The research has been carried out on various aspects of the business set up by Primark in the international markets. It comprises of a detailed analysis of the demand, supply as well as the price mechanism within the economy. A study is carried out on the overall demand of the customers for the products manufactured by the company. It also involves the number of customers purchasing the products of the company (Carrigan and De Pelsmacker, 2009). The research involves collecting secondary data related to the annual sales of the company and the total production of garments by the company. The data is mainly collected from authentic sources such as the newspaper articles from the well known news papers like Financial Times, Economist and also from the BBC news articles. The data on the annual sales of the company are also collected from the annual reports published by the company every year. The secondary data in turn helps to determine a conclusion regarding the overall

Wednesday, October 16, 2019

Critically discuss what is meant with open innovation With reference Essay - 1

Critically discuss what is meant with open innovation With reference to a specific firm, discuss the extent to which open innovation plays a role in this firms innovation process - Essay Example ges, entrepreneurs and investors are seeking to restructure and adopt new strategies that can overcome barriers to entrance into a marketplace for their products/services. Prior to acceptance of open innovation, companies were focused on self-reliance and methods of internalized research and development (R&D), which characterize the idea of closed innovation. This centralized approach in the current era has proved challenging for most businesses who need to meet consumers need and thrive in the market. It is the current strategy that SMEs and LSC/MC have adopted to stay abreast and competitive in the market. According to Chesbrough, Vanhaverbeke and West, open innovation is â€Å"the use of purposive inflows and outflows of knowledge to accelerate internal innovation, and expand the markets for external use of innovation, respectively† (2014, p. 4). It emphasizes that useful ideas and knowledge are not limited within an organization, but distributed across other organization as well as in the market labour force. Clearly, it’s true there exist smarter people who are not the organization’s employees, but with innovative ideas that give a firm its competitive advantage. Similarly, a company’s internal R&D expertise may be insufficient and may require to be harnessed through external knowledge if the organization needs to be successful. The concept stresses on the need for individuals firms to appreciate and leverage external knowledge and incorporate it w ith their internal capability. Open innovation (OI) is concerned with creation of knowledge through pooling of ideas and information that create value and give superiority to organizations. One, an organization’s R&D discoveries is fundamental to each organizations, hence cannot be disregarded. It is part of the knowledge/idea that an organization own. Second, other sources of knowledge/idea are in the labour force (some of who are sole proprietors or in partnership) or external firms with smart employees.

Tuesday, October 15, 2019

Primark supplying consumers with ethically sourced garments Essay

Primark supplying consumers with ethically sourced garments - Essay Example Its main objective is to have a profitable as well as sustainable business (Goworek, 2011). Hence, the company always seeks growth opportunities in order to have a profitable growth within the organization. The company works closely with the suppliers as well as the factories which produces the goods for the company (BBC, 2015b). However, the role played by the Primark buyers is essential to support the ethical business practices. The company goes through a selection process in order to choose the new suppliers and factory in order to enhance their production process. The company while choosing new factories ensures regarding the fire safety measures and hires trained employees and also makes sure regarding the wages and benefits that they are supposed to receive (Goworek, 2011). Thus, the company focuses on the various ethical aspects that are to be followed in order to run a smooth business. The research has been carried out on various aspects of the business set up by Primark in the international markets. It comprises of a detailed analysis of the demand, supply as well as the price mechanism within the economy. A study is carried out on the overall demand of the customers for the products manufactured by the company. It also involves the number of customers purchasing the products of the company (Carrigan and De Pelsmacker, 2009). The research involves collecting secondary data related to the annual sales of the company and the total production of garments by the company. The data is mainly collected from authentic sources such as the newspaper articles from the well known news papers like Financial Times, Economist and also from the BBC news articles. The data on the annual sales of the company are also collected from the annual reports published by the company every year. The secondary data in turn helps to determine a conclusion regarding the overall

International Trade and Nepal Essay Example for Free

International Trade and Nepal Essay An isolated, agrarian society until the mid-20th century, Nepal entered the modern era in 1951 without schools, hospitals, roads, telecommunications, electric power, industry, or civil service. The country has, however, made progress toward sustainable economic growth since the 1950s and is committed to a program of economic liberalization. Nepal has used a series of five-year plans in an attempt to make progress in economic development. It completed its ninth economic development plan in 2002; its currency has been made convertible, and 17 state enterprises have been privatized. Foreign aid accounts for more than half of the development budget. Government priorities over the years have been the development of transportation and communication facilities, agriculture, and industry. Since 1975, improved government administration and rural development efforts have been emphasized. Agriculture remains Nepals principal economic activity, employing 80% of the population and providing 37% of GDP. Only about 20% of the total area is cultivable; another 33% is forested; most of the rest is mountainous. Rice and wheat are the main food crops. The lowland Terai region produces an agricultural surplus, part of which supplies the food-deficient hill areas. Economic development in social services and infrastructure has not made dramatic progress due to GDP dependency on India. A countrywide primary education system is under development, and Tribhuvan University has several campuses. Please see Education in Nepal for further details. Although eradication efforts continue, malaria had been controlled in the fertile but previously uninhabitable Terai region in the south. Kathmandu is linked to India and nearby hill regions by road and an expanding highway network. The capital was almost out of fuel and transport of supplies caused by a crippling general strike in southern Nepal on February 17, 2008. Major towns are connected to the capital by telephone and domestic air services. The export-oriented carpet and garment industries have grown rapidly in recent years and together now account for approximately 70% of merchandise exports. Nepal was ranked 54th worst of 81 ranked countries (those with GHI 5.0) on the Global Hunger Index in 2011, between Cambodia and Togo. Nepals current score of 19.9 is better than in 2010 (20.0) and much improved than its score of 27.5 in 1990 Relations between India and Nepal are close yet fraught with difficulties stemming from geographical location, economics, the problems inherent in big power-small power relations, and common ethnic, linguistic and cultural identities that overlap the two countries borders. New Delhi and Kathmandu initiated their intertwined relationship with the 1950 Indo-Nepal Treaty of Peace and Friendship and accompanying letters that defined security relations between the two countries, and an agreement governing both bilateral trade and trade transiting Indian soil. The 1950 treaty and letters stated that neither government shall tolerate any threat to the security of the other by a foreign aggressor and obligated both sides to inform each other of any serious friction or misunderstanding with any neighboring state likely to cause any breach in the friendly relations subsisting between the two governments. These accords cemented a special relationship between India and Nepal that granted Nepal preferential economic treatment and provided Nepalese in India the same economic and educational opportunities as Indian citizens. Jayant Prasad is Indias ambassador to Nepal. Nepal is developing county with an agricultural economy. In recent years, the countrys efforts to expand into manufacturing industries and other technological sectors have achieved much progress. Farming is the main economic activity followed by manufacturing, trade and tourism. The chief sources of foreign currency earnings are merchandise export, services, tourism and Gurkha remittances. The annual Gross Domestic Product (GDP) is about US$ 4.3 Billion. Agriculture : Eight out of 10 Nepalese are engaged in farming and it accounts for more than 40% of the GDP. Rolling fields and neat terraces can be seen all over the Terai flatlands and the hills of Nepal. Even in the highly urbanized Kathmandu Valley, large tracts of land outside the city areas are devoted to farming. Rice is the staple diet in Nepal and around three million tons are produced annually. Other major crops are maize, wheat, millet and barley. Besides food grains, Cash crops Like Sugarcane, oil seeds, tobacco, jute and tea are also cultivated in large quantities, Manufacturing : Manufacturing is still at the developmental stage and it represents less than 10% of the GDP. Major industries are woolen carpets, garments, textiles, leather products, paper and cement. Other products made in Nepal are steel utensils, cigarettes, beverages and sugar. There are many modern large-scale factories but the majority are cottage or small scale operations. Most of Nepals industries are based in the Kathmandu Valley and a string of Small towns in the southern Terai Plains. Trade : Commerce has been a major occupation in Nepal since early times. Being situated at the crossroads of the ancient Trans-Himalayan trade route, trading is second nature to the Nepalese people. Foreign trade is characterized mainly by import of manufactured products and export of agricultural raw materials. Nepal imports manufactured goods and petroleum products worth about US$ 1 billion annually. The value of exports is about US$ 315 million. Woolen carpets are Nepals largest export, earning the country over US$ 135 million per year. Garment exports account for more than US$ 74 million and handicraft goods bring in about US$ 1 million. Other important exports are pulses, hides and skins, jute and medicinal herbs. Tourism : In 1998, a total of 463,684 tourists visited Nepal, making tourism one of the largest industries in the Kingdom. This sector has been expanding rapidly since its inception in the 1950. Thanks to Nepals natural beauty, rich cultural heritage and the diversity of sight-seeing and adventure opportunities available. At one time, tourism used to be the biggest foreign currency earner for the country. Nepal earned over US$ 152 million from tourism in 1998. INDEPENDENT POLITICAL HISTORY 1950–1970 In the 1950s, Nepal welcomed close relations with India, but as the number of Nepalese living and working in India increased and the involvement of India in Nepals economy deepened in the 1960s and after, so too did Nepalese discomfort with the special relationship. Tensions came to a head in the mid-1970s, when Nepal pressed for substantial amendments in its favor in the trade and transit treaty and openly criticized Indias 1975 annexation of Sikkim which was considered as part of Greater Nepal. In 1975 King Birendra Bir Bikram Shah Dev proposed that Nepal be recognized internationally as a zone of peace; he received support from China and Pakistan. In New Delhis view, if the kings proposal did not contradict the 1950 treaty an extension of nonalignment, it was unnecessary; if it was a repudiation of the special relationship, it represented a possible threat to Indias security and could not be endorsed. In 1984 Nepal repeated the proposal, but there was no reaction from India. Nepal continually promoted the proposal in international forums and by 1990 it had won the support of 112 countries. 1970–1980 In 1978 India agreed to separate trade and transit treaties, satisfying a long-term Nepalese demand. In 1988, when the two treaties were up for renewal, Nepals refusal to accommodate Indias wishes on the transit treaty caused India to call for a single trade and transit treaty. Thereafter, Nepal took a hard-line position that led to a serious crisis in India–Nepal relations. After two extensions, the two treaties expired on March 23, 1989, resulting in a virtual Indian economic blockade of Nepal that lasted until late April 1990. Although economic issues were a major factor in the two countries confrontation, Indian dissatisfaction with Nepals 1988 acquisition of Chinese weaponry played an important role. Treaties and letters exchanged in 1959 and 1965, which included Nepal in Indias security zone and precluded arms purchases without Indias approval. India linked security with economic relations and insisted on reviewing India–Nepal relations as a whole. Nepal had to back down after worsening economic conditions led to a change in Nepals political system, in which the king was forced to institute a parliamentary democracy. The new government sought quick restoration of amicable relations with India. 1990s The special security relationship between New Delhi and Kathmandu was reestablished during the June 1990 New Delhi meeting of Nepals prime minister Krishna Prasad Bhattarai and Indian prime minister V.P. Singh. During the December 1991 visit to India by Nepalese prime minister Girija Prasad Koirala, the two countries signed new, separate trade and transit treaties and other economic agreements designed to accord Nepal additional economic benefits. Indian-Nepali relations appeared to be undergoing still more reassessment when Nepals prime minister Man Mohan Adhikary visited New Delhi in April 1995 and insisted on a major review of the 1950 peace and friendship treaty. In the face of benign statements by his Indian hosts relating to the treaty, Adhikary sought greater economic independence for his landlocked nation while simultaneously striving to improve ties with China. India sponsored Nepals admission to the U.N.O. in 1990. 21st century Nepal remains poor and deprived in 21st century while India has acquired a central place in the world with a very high development rate. In 2005, after King Gyanendra took over, Nepalese relations with India soured. However, after the restoration of democracy, in 2008, Prachanda, the Prime Minister of Nepal, visited India, in September 2008. He spoke about a new dawn, in the bilateral relations, between the two countries. He said, I am going back to Nepal as a satisfied person. I will tell Nepali citizens back home that a new era has dawned. Time has come to effect a revolutionary change in bilateral relations. On behalf of the new government, I assure you that we are committed to make a fresh start. He met Indian Prime minister, Manmohan Singh, and Foreign Minister, Pranab Mukherjee. He asked India to help Nepal frame a new constitution, and to invest in Nepals infrastructure, and its tourism industry. In 2008, Indo-Nepali ties got a further boost with an agreement to resume water talks after a 4 year hiatus. The Nepalese Water Resources Secretary Shanker Prasad Koirala said the Nepal-India Joint Committee on Water Resources meet decided to start the reconstruction of breached Kosi embankment after the water level goes down. During the Nepal PMs visit to New Delhi in September the two Prime Ministers expressed satisfaction at the age-old close, cordial and extensive relationships between their states and expressed their support and cooperation to further consolidate the relationship. The two issued a 22-point statement highlighting the need to review, adjust and update the 1950 Treaty of Peace and Friendship, amongst other agreements. India would also provide a credit line of up to 150 crore rupees to Nepal to ensure uninterrupted supplies of petroleum products, as well as lift bans on the export of rice, wheat, maize, sugar and sucrose for quantities agreed to with Nepal. India would also provide 20 crore as immediate flood relief. In return, Nepal will take measures for the promotion of investor friendly, enabling business environment to encourage Indian investments in Nepal. In 2010 India extended Line of credit worth $ 250 million 80,000 tones of foodgrains.Furthermore, a three-tier mechanism at the level of ministerial, secretary and technical levels will be built to push forward discussions on the development of water resources between the two sides. Politically, India acknowledged a willingness to promote efforts towards peace in Nepal. Indian External affairs minister Pranab Mukherjee promised the Nepali Prime Minister Prachanda that he would extend all possible help for peace and development. In 2008, the Bollywood film Chandni Chowk to China was banned in Nepal, because of a scene suggesting the Gautama Buddha was born in India. Some protesters called for commercial boycott of all Indian films. BORDER DISPUTES So far as the Indo-Nepal border demarcation is concerned, Nepal-India Joint Technical Level Boundary Committee is working for the last 21 years (since 15 November 1981). But the boundary business is not yet completed. There may be so many reasons the boundary business not to be completed in due time, though it has the target to complete it by 2003. However, this type of target had been fixed many times in the past as in 1993, 1998 and 2001. But the target was not materialized. The main reasons and issues of the boundary business with India is the border encroachments, disputes on certain segments, divergence of opinion on basic materials such as maps and old documents for demarcation, slackness in joint survey field teams and so on and so forth. Nepal and India has two broad issues concerning border business: Border Demarcation Border Management BORDER DEMARCATION The Treaty of Sugauli of 4 March 1816, Supplementary Treaty of 11 December 1816 and Boundary Treaty of 1 November 1860 delineate the boundary of Nepal with India. British East India Company made treaty of Sugauli on 2 December 1815 and it was provided to Nepal to make the counter signature by fifteen days. But Nepal did not make the signature in due time, because of unwillingness. It was finally ratified after 92 days under pressure and compulsion enforced by the British regime that they will invade Kathmandu, the capital city of Nepal. Eventually, it was not signed by the King or Prime Minister/Maharaja but by only the courtier Chandra Shekhar Upadhaya. So there were disputes and conflicts and controversy on the borderline even after the ratification of the Treaty. Historical Border Disputes : There were so many issues of disputes just after the Sugauli Treaty. Some of the disputed areas are cited as examples as follows: Disputes on Siwalik Range : whether the borderline runs from the crest (ridge) of the Siwalik Range or northern or southern foot-hill of the range! Origin of the river Mechi : whether it is originated from north-east of Antoo Hill or from north-west! Dunduwa Range : India had claimed that the border line should be followed on the northern foot from Arrahnala to Talbagauda, whereas Nepal denied it. Dispute on ownership of the village and settlements of Ramnagar Zamindari area. Dispute on the lands adjoined with the districts of Tirahoot and Sarun. Land area of Sharada Barrage constructed by India on the river Mahakali. Disputes on the borderline of the river and rivulets, whether it has to be taken on the old course or the new channel. Disputes on the demarcation of borderlines in agricultural land, forest area and village areas, where there are not conspicuous features. Some of the above mentioned disputes were settled with mutual discussions. For example, identification of the origin of the river Mechi was solved by Campbell, taken as the origination from north-east, though Captain Lloyd had judged in 1827 that the area falls under the jurisdiction of Sikkim. Similarly, the dispute of Dunduwa range was solved jointly by Lieutenant Col. Mac Andrew and Siddhiman Singh Rajbhandari on 7 January 1875 that the borderline shall be demarcated on the southern foot-hill of Dunduwa Range from where the plain area begins. Regarding the disputes of Ramnagar Zamindari area, it was settled on 2 January 1841 with an Ikararnama of 95 people of village-heads, gentlemen, Chautaria and Guru Gharana. As far as the matter of the exchange of lands of Sharada Barrage is concerned, Nepal has not yet received 36.67 Acre of land from India. These are some of the examples of the then border issues between Nepal and East India Company. The main problem lies that Nepal’s southern borderline on the Indo-Gangetic plain with India does not run from the prominent natural features such as mountain peaks, passes, crests etc. NEPAL IS ONE OF THE POOREST COUNTRIES in the world and was listed as the eleventh poorest among 121 countries in 1989. Estimates of its per capita income for 1988 ranged from US$158 to US$180. Various factors contributed to the economic underdevelopmentincluding terrain, lack of resource endowment, landlocked position, lack of institutions for modernization, weak infrastructure, and a lack of policies conducive to development. Until 1951 Nepal had very little contact with countries other than India, Tibet, and Britain. Movement of goods or people from one part of the country to another usually required passage through India, making Nepal dependent on trade with or via India. The mountains to the north and the lack of economic growth in Tibet (Chinas Xizang Autonomous Region after 1959) meant very little trade was possible with Nepals northern neighbor. Prior to 1951, there were few all-weather roads, and the transportation of goods was difficult. Goods were able to reach Kathmandu by railroad, trucks, and ropeways, but for other parts of the country such facilities remained almost non-existent. This lack of infrastructure made it hard to expand markets and pursue economic growth. Since 1951 Nepal has tried to expand its contacts with other countries and to improve its infrastructure, although the lack of significant progress was still evident in the early 1990s. The effects of being landlocked and of having to transit goods through India continued to be reflected in the early 1990s. As a result of the lapse of the trade and transit treaties with India in March 1989, Nepal faced shortages of certain consumer goods, raw materials, and other industrial inputs, a situation that led to a decline in industrial production. Nepal-India Joint Technical Level Boundary Committee : Nepal-India Joint Technical Level Boundary Committee is working for the last twenty-one years. It is going to relocate the missing pillars, reconstruction of the damaged and dilapidated pillars, clear ten-yard width no-man’s land and preparation of strip-maps of both the sides of borderline. But it has not resolved the issues, such as Kalapani-Limpiyadhura, identification of the source or river Kali, Susta dispute, Mechi controversy etc. These are the major issues and problems of demarcations of border between two nations, which should be settled in higher level (most probably in head of the government level) with diplomatic and political level talks. The issues climb slowly up to the ministerial level but it is instantly pushed back to the technical level, which has its limitations as the nature of the problem. In such a fashion, major issues have not yet given yield by the higher level decision making authorities. BORDER MANAGEMENT There is an open border system between Nepal and India, whereas Nepal has its controlled border system with China. It needs passport and visa to go to China and recently Hong Kong, after China regained it from Britain. If we have a look back on the border management system between Nepal and India, anyone entering into Nepal particularly to the Kathmandu valley and towns of Tarai in general, had to get Rahadani or visa from the district administrations. It was prior to the restoration of Naya Muluk by Nepal in 1860, as the controlled border system was prevalent during that period. Afterwards, it was started slowly to keep the border open for recruiting the Nepalese hill and sturdy boys in British Gurkha regiment. The second factor was to have easy and free access of British and Indian goods and material into Nepal and Tibet (via Nepal). Next was to secure raw materials from Nepal to India such as timber, forest products, herbs and medicinal plants, hides and skins etc. Open Border System : Nepal-India Peace and Friendship Treaty of 31 July 1950 motivated for the openness of border between two countries. After the installation of democracy in Nepal in February 1951, it became major turning point in reinforcing the Nepal-India border open with the accelerated movement of Indian nationals into Nepal. Indians used to come to Kathmandu as politicians as advisors to the Nepalese ministers, overseers as technical experts, unemployed citizens as teachers, retailers as whole seller businessmen etc. Similarly, Nepalese were also free to go to Indian cities in search of jobs and works as guards, domestic workers and restaurant waiters. All these phenomena can be cited as Nepal India open border as it is unique in the world in the sense that people of both countries could cross the international borderline from any point / any time. Single citizen could cross the frontier of both the sides without any record running to and fro so many times a day. Impact of Open Border System : Every object has its two aspects as every coin bears two faces. And every item has its negative and positive impacts. Similarly, Nepal-India open border system has its negative and positive impacts for both the nations. But Nepal has experienced a large percentage of negative impacts in many cases, as compared to India. If we make an inventory, negative impact outnumbers the positive one for Nepal. Followings are the impacts of open border system : Positive Impact: As we make a list of positive impacts, it may be the followings: Easy access: The most positive aspect of open border system is the easy movement of people of both the countries. Strengthens relationship: People to people relation on the frontiers of both sides has been maintained and strengthened due to free movement of people on either side of the border. Rescue operation: Prompt services have been offered and provided on either side during calamities and disasters. Health service: When there is an epidemic, health services can be offered from both the sides. Instant supply of labour: When there is a shortage of local labour in one side it can be supplied instantly from other side. Competitive Market: There is always a competition between the businessmen of the cross-frontier towns to be benefited to the consumers.. Prompt Supply of food grains and daily stuff: Unrestricted border has made comfortable for the prompt supply of food grains and daily foodstuffs from either side of the territory, where there are shortages. Open border has economically benefited the inhabitants of both sides of the border from the sell and purchase of livestock products, vegetables and daily kitchen stuff in Hat Bazars (open-roof markets) taking place regularly in various days a week in different parts on either side. An Overview of Nepalese Economy There is nothing much to talk about when it comes to Nepalese economy. The data doesnt paint a rosy picture at all. In fact the picture looks grim. Nepal is among the poorest and least developed countries in the world. In fact Nepal doesnt stand anywhere to its otherwise developing neighbors such as India, Pakistan and Bangladesh. Thanks to the Sub-Sahara African countries, it is not considered the poorest economy now. Nevertheless, with almost 45% of its population living below the poverty line, Nepal has to do much catching before being termed a Developing Economy. Agriculture is the mainstay of the economy, providing a livelihood for three-fourths of the population and accounting for 38% of GDP. Most of the agriculture activities take place in the Tarai region. The sub-standard equipments and pesticides along with the medieval mode of agriculture make it a tough affair. The industrial sector is in a dismal condition. Industrial activity mainly involves the processing of agricultural products including jute, sugarcane, tobacco, and grain. These things are hardly considered industrial activities by New-school economists. Due to its long stint with monarchy and feudalism, Nepal has one of the most uneven distributions of resources and wealth in the Asia. This has led to the birth of counter initiative movements such as Maoism. Security concerns relating to the Maoist conflict and counter insurgency initiatives have led to a decrease in tourism, a key source of foreign exchange. Nepal has considerable scope for exploiting its potential in hydropower and tourism. These are considered the up coming hot cakes in New-wave economy. Prospects for foreign trade or investment in other sectors will remain poor, however. There are lots of reasons for this such as the small size of the economy, technological backwardness, landlocked geographic location, civil strife and its susceptibility to natural disaster.

Monday, October 14, 2019

Slavery In The Abrahamic Religions Theology Religion Essay

Slavery In The Abrahamic Religions Theology Religion Essay Today we think of slavery as condemning humans to lifetime bondage, working without wages and maltreated. However, slavery seems to have been a common phenomenon in many ancient civilizations such as Babylon, Egypt, and China. Most slaves were war prisoners, kidnapped or obliged to pay for debts. They were the property of the master, with little or no rights or status. Many of them were treated cruelly even though most ancient civilizations had some laws to regulate slavery, such as the Babylonian Code of Hammurabi. This kind of slavery also existed during the lives of Moses, Jesus and the Prophet Mohammad. Most of the slaves, at that time, were prisoners of wars. They could be killed, raped and sold at any moment. The three Abrahamic religions dealt with the slavery institutions in different ways, they didnt not abolish it, but each one them regulate it in a way that goes with the norms of the society. Slavery in Islam Islam tried to solve the problem of the slaves that were in the Arabian Peninsula by encouraging people in different ways to set their slaves free. The Muslims were ordered that in reparation of some of their sins they should emancipate their slaves. As a start, and because it is harder to change a cultural habit, Islam regulated the institution of slavery and improved the treatments of the masters toward their slaves. In many verses of the Quran, it is clearly stated that all the human are the descended of one ancestor, that no one is superior to the other regardless of the race, ethnicity or the social status. The prophet Muhammed also ordered his Umma (Community) to threat the slaves and the servants as they were their brothers and to give them from what they eat and what they wear. He also ordered that the slave shouldnt be given any work beyond his capacity and if it is necessary the master must help him. This good treatment of the masters had a positive consequence on the attitudes of slaves to their masters. The slaves kept their humanity and moral dignity and become a member of their masters family.  Moreover, the slaves also enjoyed the right to keep their religion and to have a family, to earn money and to own a property. According to Islam teaching, humans are free and were born free. It is the natural and proper condition which must be considered as the norm. Therefore, to liberate a slave is one of the highest virtues. To emancipate a slave is considered equal to save its own life from the wrath in the next world. In Islam people were encouraged to enter into agreements and contracts which enabled slaves to earn or be granted their freedom at the expiry of a certain term or, most typically, on the death of the owner. At that time, there were occasions when groups of wealthy people, acting together, would buy and set free many slaves in order to obtain thereby the favor of God. Islam has commended humanity in the treatment of slaves, and encouraged their liberation. We can see from the history of many different peoples in the Islamic world that slaves quickly integrated into the main society and achieved positions of great status and power, some of them even gained their freedom. Slavery in Christianity In the early Christianity, slavery was considered as natural phenomena. In the Old Testament there is no specific condemnation of slavery. On the contrary, it does approve and regulate it and ensures that the traffic and ownership of human beings proceeds in an acceptable manner. In the New Testament, it is stated that Jesus did not express disapproval of the enslaving of people. However, in spite of some critics against Jesus claiming that he didnt abolish slavery, it undeniable that he explicitly stood against every form of injustice. The mission of Jesus was Furthermore, in the New Testament it is clearly indicated how a good Christian must treat slaves: the Christian masters must call Christian slaves brothers. It also stated that masters must how kindness, justice, and tolerance toward their slaves and that their position, as master, meant responsibility and duty. Paul, in his letters, also reminded Christians to treat their slaves as brothers and sisters. He emphasized on the justice and fairness toward slaves. Paul also asked Christians to consider them as morally responsible human beings who are also a part of the body of the Christ and asked the slaves to obey to their masters. He also explained that spiritual status is more fundamental and important than social status. Paul was not opposed to the freedom of slaves if the opportunity arose but believed that God had called people to different positions in life and they were to live out the Christian life in the position in which they were called. Slavery in Judaism At the time of the Old Testament, there were two types of slavery; the ownership of foreign captives or war prisoners and the type of contractual servitude, where an Israelite is for a certain time a slave to another Israelite, usually because he has become poor and has no other option. An Israelite, in biblical law, is guaranteed certain rights both while a slave and upon liberation. The first possible reference to slavery in the Old Testament is in Genesis where Noah cursed Canaan for the sin of his son Ham and predicted that he would be the servant of his brothers. Both the prophets Abraham and Isaac had servants; however, the first clear example of slavery is in Exodus where the Israelites were made to work as slaves. According the Exodus, the Israelites were slaves in Egypt and their situation was clearly unacceptable to God, judging by their rescue and the regulations regarding slavery in the Mosaic Law. Slavery in the Mosaic Law After the Israelites had left Egypt the acquisition of slaves were organized by the Mosaic Law which permitted them to make slaves of Jews and Non-Jews people. The law states clearly that the Jews must treat their Hebrews slaves as if they were their servants. They must also give them the possibility of their freedom in the 7th year of their service, and provide them the resources to start a new life even though they can remain a slave if they want. In the exodus it is declared that anyone who put a man to slavery against his will must be killed. Furthermore, there were many laws dealing with violence against and the slaves and the ones who ran away from their masters must be protected and not returned. The Israelites were also allowed to buy slaves from other nations and to keep them for an indefinite period as slaves, nevertheless they were included in the commonwealth of Jewish community, and they could participate in festivals and were given the Sabbath rest. In the twenty one century, slavery is considered as a violation of human rights and it is abolished by all the nations and the majority of religions. However, the texts of the Abrahamic religions( Judaism, Christianity, and Islam) refers clearly to the slavery institutions as common one and it is viewed as acceptable at that time. Indeed, all the three religions regulated the slavery, developed laws for it and organized it in a way to preserve the slaves dignity and life. This pushes us to wonder, why the Abrahamic religions that value the life of a human being didnt abolish slavery in their texts. It is clear that the three religions were born at a time where slavery was a common practice and most of the societies were against any reforms that could change their habits and cultural practices. For these reasons and according to some explanations, the three religions didnt abolish slavery at the beginning, however they were against the inhuman treatments and try to regulate in order to improve the life of the slaves and to preserve their human dignity. In Islam, slavery was at first regulated and then abolished by the time of the caliph Omar Ibn Al Khatab, however, it didnt ended the slavery in the Islamic world. In Christianity and Judaism, slavery was justified by the curse of Ham and for some Christians and Jews it is Gods will on earth. In spite of the religious regulation and abolishment, the human rights and worldwide organization, slavery still exists in the twenty-one century but in a modernize form. Some scholars claim it is neither the outcome of cultural practices nor the consequences of a certain religions. According to them, slavery is a part of the human nature that seeks to have power on another human being and to control it in order to satisfy the human ego.

Sunday, October 13, 2019

all that begins :: essays research papers

Photographers probably take more pictures of people than any other subject. Whether you prefer carefully posed (and composed) photos or more of a candid style, there are a variety of lenses in the Canon EF system that can produce excellent results. Traditionally, photographers have relied upon moderate telephotos for portraits, lenses such as the 85mm f/1.8 USM or 100mm f/2.0 USM. These lenses allow you to back off a little bit from your subject, and still produce frame-filling shots while minimizing the amount of background distractions. Furthermore, they're extremely sharp and fast — ideal for low-light conditions. Zoom lenses such as the 28-105mm f/3.5-4.5 USM, which include these focal lengths, work well in situations where you have a bit more available light. In situations where you want to interact with and control your subject, and minimize the effect of your background, short-to-moderate telephoto lenses may be the ideal choice. Longer telephoto lenses may be preferable if you are outdoors and can stand farther back from your subject, and are the lenses of choice if you prefer a candid approach. Zooms like the 75-300mm f/4-5.6 (especially the IS version, with its Image Stabilization that permits sharp hand-held shots in lower light levels), or the professional L-series 70-200mm zooms, are versatile choices that allow you to back off and also tend to throw backgrounds out of focus — a useful technique that pros have used to concentrate upon the subject. Fixed focal length telephotos, like the superb 135mm f/2.0L, 200mm f/2.8L, or 300mm f/4L IS, combine these benefits with outstanding sharpness and autofocus speed. Don't forget that sometimes including more background in a photo to lend a sense of "place" and tell the viewer something about the subject can be extremely effective. Wide-angle lenses, often ignored for portraits, can be an excellent way to communicate this if you're willing to move in relatively close to your subject.

Saturday, October 12, 2019

Does th FAA over regulate the aviation industry :: Essays Papers

Does th FAA over regulate the aviation industry The roots of today’s aviation regulations extend back to December 17, 1903 when the Wright Brothers first took to the skies in North Carolina. The Wright Brothers set the stage for aviation regulation. After World War I returning pilots bought some surplus war airplanes and went into business. These pilots were known as the barnstormers. These barnstormers performed acrobatic shows and gave local people rides. During this period of time the public perception of the aviation industry was that of a daredevil or reckless. Aviation took off very slowly because it was too expensive for most consumers. Primarily the wealthy were able to take trips to the East Coast. Uses of aviation included advertising, aerial photography, crop dusting and carrying illegal shipments of alcohol during the prohibition. Growth of commercial aviation was greatly influenced when the U.S. Air Mail Service was created in the early 1920’s. The Post Office was one of the first to impose aviation regulations. It required its pilots to be tested, pass medical exams and have at least 500 hours of flying experience. The Post Office set up aircraft inspection schedules and preventive maintenance programs for the pilots to have a safe airplane to fly. These early regulatory requirements improved air carrier safety. During the infancy of aviation no federal safety program existed. Some states passed legislation that required aircraft licensing and registration. Local governments passed ordinances that regulated flight operations and pilots. What this created was a patchwork of safety related requirements. In 1926 Congress passed the Air Commerce Act, which created the Department of Commerce. Historically the Federal Aviation Administration (FAA) dates from the Air Commerce Act of 1926. This was the first federal legislation of the government in aviation safety. The government finally realized that by regulating aviation a safer aviation industry could be attained. For example the Post Office suffered one fatality for 463,000 hours of flying versus non-regulated flying there was one fatality per 13,500 hours. As seen by regulating aviation safety is vastly increased. The Department of Commerce had the regulatory authority over commercial aviation. They began by regulating aircraft and pilots in interstate and the foreign commerce.

Friday, October 11, 2019

An ethnohistory of the utah paiutes

Dr. Ron Holt is a dignified socio-cultural anthropologist specializing in applied fieldwork and tribal politics. He currently resides in northern Utah as a professor (among many other things) at Weber State University where he educates young minds on the world of anthropology. The collection of information in this text covers every important aspect of the life of the American Indian Paiute tribe with a main emphasis on their introduction to the Anglo-Americans.Throughout the text Dr. Holt emphasizes many occurrences regarding the co-existence of American Indians and Anglo Americans and despite a few positive outcomes, nearly every influential aspect of the whites is to be understood as a negative one. Dr. Holt vividly depicts the introduction of the white man and makes a valid point in designating who the instigator of the degradation of the Paiutes was. A main emphasis on his writing of this book is to display the truth behind the Paiute struggles and reveal what they went through a s a people. Before the publishing date of this text in 1992 the life of the Paiutes had been vaguely documented.Through personal field work, material in the LDS archives, the Smithsonian Institute and many other sources such as journals and university archives, Dr. Holt was able to obtain a topical and chronological collection of information regarding the entire known existence of the Utah Paiutes since the year they were first witnessed in 1776. In 1981 while teaching at Southern Utah College (now Southern Utah University) Dr. Holt was asked by a local Paiute tribesman to research a potential reservation plan for the Utah Paiutes, an American Indian band of that area. This being an opportunity for Dr.Holt to produce a dissertation for his schooling he took the offer and ultimately produced a one-of-a-kind collection of American Indian knowledge. Through extensive field work and research, material was gathered and organized into data pertaining to the lives of the Paiutes. From this collection the text BENEATH THESE RED CLIFFS was produced. The beginning of the first chapter in this text introduces the reader to a specific way of life for a specific kind of people. After obtaining a feeling of understanding and curiosity about the Paiutes, the text throws the reader into an eternal downward spiral of bad news and depression.As documented, within a very short one hundred and fifty year span, the proud native people of southern Utah were greatly reduced in numbers and transformed from successful hunter-gatherers into beggars and seasonal or part-time workers. The main cause of their depression is seriously attributed to the settlement of the Mormons in the southern Utah area. The Paiutes were a dark skinned people that had a historical religious meaning to the Mormons known as Lamanites. From this historical belief the Mormons decided the Paiutes needed to be educated and â€Å"saved† from whatever their previous way of life was.Although the church believ ed they were doing good by taking over control of the Paiutes they conveniently turned a blind eye to the side effects of assimilation and paternalism which ultimately led to the downfall of the Paiute Nation. They were forced to beg for much of what they lived on because their foraging lands were being dominated by grazing cattle and incoming settlers. To add to their list of troubles in the 1800’s the Paiutes had to deal with population declination due to New Mexican and Ute slave trafficking.Targeting mainly female children and women, the reproduction rate of the Paiutes was severely crippled. With ratios of nearly two-to-one for men to women, the Paiutes had limited means of procreation. Without women to gather food and mate with the tribe was staring death in the face. After the catastrophic introduction to whites and slavery pre 1900s, a surviving life style for the Paiutes started to become a little more manageable. Ironically during the Great American Depression in th e 1930’s and 1940’s the Paiutes struggled a little less because the rest of the American nation had it so hard.Through manual labor for the Mormons and seasonal foraging for Pine Nuts and other edibles, the Paiutes survived living one day at a time, but this was to be short lived. In the 1950’s the government decided to â€Å"Terminate† all American tribes deemed capable of surviving on their own. Termination was a swift process that was intended to initiate capable American Indians to the stature of a Citizen of The United States of America; the Paiutes were not prepared for the termination bill, but in 1957 it happened anyway.The bill organized a support system for the new way of life that all terminated American Indians would have to assist them with the transformation. The structure of this ingenious plan consisted of three support organizations: The BIA (Bureau of Indian Affairs) withdrawal office, an educational and vocational training program held by the University of Utah and the BIA relocation program. The Paiutes were now no longer part of a tribe; they were instead â€Å"Citizens of The State,† who were subject to state laws, federal taxes and state taxes. After termination the Paiutes were desperate for a substantial income.Their bands had inhabited over nearly 30 million acres of land in areas including four states: Arizona, California, Utah and Nevada; this was without a doubt their most valuable asset. In 1965, after a long demeaning process, the Paiutes agreed to sell 26. 4 million of these acres for 27. 3 cents per acre. With the sale of tribal lands the Paiutes had their substantial influx of money and were able to become a self sustaining people again. The 1970’s initiated the restoration process which turned the Paiutes back into a recognized American Indian group, but their struggle to recover from termination continues today.

Thursday, October 10, 2019

Marketing and Soft Drink Concentrate Essay

The brand Rasna is owned by Pioma Industries that introduced the concept of Soft Drink Concentrate (SDC), a segment that had been created and nurtured by the company in the Indian beverages Market. The brand was originally launched by the name of ‘Jaffe’ in 1976 and marketed with the help of Voltas, but was renamed to ‘Rasna’ in 1979. When the product did not do as well as it was expected, in 1983, the advertising was handed over to an advertising agency named Mudra Communications Ltd. Pioma Industries Limited is perhaps not a familiar name for the average Indian consumer. But Pioma’s brand Rasna is very well known. In fact, the name Rasna is almost a generic name for soft drink concentrates in Indian beverages market. Rasna’s extremely popular advertisements with the tagline â€Å"I love you Rasna† had become an integral part of the Indian advertising folklore. In March, 2002, Pioma announced a radical overhauling of its strategies for the Rasna Brand. This development was rather unexpected, as the brand had been lying dormant since long. Rasna is the market leader in the 250 Crore Indian soft drink concentrate industry. The SDC industry is miniscule compared to the 5000 crore carbonated soft drink industry (CSD). The powdered soft drink concentrate industry is worth around 90 crore. During the ‘80s, Soft Drink Concentrate (SDC) was not a known concept. For the consumers, Soft Drinks were just the aerated drinks which could be purchased in bottles and were usually consumed outdoors. Rasna came, and changed the whole mind set. COMPETITORS IN THE MARKET As the pioneers in Concentrated Soft Drink Industry in India, Rasna, never had to face any threatening from any of its competitors, be it a global player or a small local company. Powder concentrate occupy 85% of the total soft drinks concentrate market. Here, in this study, we are considering both Powder and Syrup CSD as competition for the Brand Rasna. Following are some of the competitors who tried to make their mark in the 250 Crore Indian soft drink concentrate industry: 1. Tang- Kraft Foods. 2. Sunfill- Coca Cola. 3. Fanta Fun Times- Coca Cola. 4. Sugarfree D’lite- Zydus Cadila. 5. Kissan Mr Fruit- Hindustan Unilever. The journey of a brand is not always easy. The market is very dynamic and a brand needs to keep a track of the changes in the market. Rasna had to face such challenges too. But it is the resurrection this brand has shown, through strategic marketing, in all instances that makes it stand out and lead the market. MARKET SHARE Rasna has always been recognised at large for Brand and Company. It ranks No. 1 in the beverages category as â€Å"Most Trusted Brand of India†. It is listed among the top 15 brands in the country. It was awarded as the most preferred brand in the SDC category at the FMCG Most Preferred Awards 2003 and 2004 and Consumer World Award 2004. It has pioneered not only with its strong marketing strategies but also with its proper scaled distribution chain. Rasna has always concentrated on its marketing and brand building and has achieved an expertise in flavour technology. Its efficient management in production and market environments has harnessed to bring to the global consumers, technologically superior products in fruits, vegetables, beverages and confectioneries and to stand as the leader in processed food industry. Rasna has adequate and in-depth knowledge and information on Market sizes and behaviours, Growth prospects, Project Viabilities, Government Policies, Finances etc.and access to more, enabling the company to respond fast to any proposal with suitable recommendation. It believes that there is a huge and emerging market for Rasna’s kind of product range, all over the world. Rasna is capable of managing global sized manufacturing set-ups working on the most advanced technologies to cater to the huge markets, locally and globally. Rasna has managed to dominate the colossal SDC market because of its massive International operations. One of Rasna’s biggest strength is its marketing and sales set-up, through which millions of customers worldwide is experiencing the flavour of satisfaction. It provides a strong and pro-active marketing support to its distributors and importers around the world- just so that their products stand out and apart on the shelves. Timely delivery schedules of its products anywhere in the world are what have helped them to reach a strong position in the global market. Rasna has its offices in the following countries: * USA and Canada * UK and Europe * Saudi Arabia * Russia * Fiji This strong chain of distribution to large number of countries within a stipulated period of time has helped the brand gain a reputation in the market. It has also helped Rasna in creating enormous business relations all over the globe. The countries which imports Rasna products globally are as under: In recent years, the brand has had to face off challenges, though not from its direct competitors. International soft drink giants like Coca-Cola (Sunfill) and Kraft Foods (Tang) have introduced competitor products in the market. PepsiCo India too is gearing to launch a glucose-based ready-to-drink beverage under the Lehar brand that will be sold at price point of Rs. 5 for a 200 ml stock-keeping unit. All of them have deep marketing pockets and standard products to lure customers away from Rasna. Even the profile of Rasna’s target audience is changing. Kids today are a lot more aware, and their parents don’t mind buying more expensive ready-to-drink products, which the MNCs have. But, true to its entrepreneurial spirit, Rasna is not about to give any ground to its rivals. Though some analysts feel that Rasna has been slow to react to the competition, Piruz Khambatta, Chairman, Rasna, still dismisses the challenge saying â€Å"water is our only competition. † According to the 2010 data, Rasna leads the SDC market. The market shares of Rasna and all the competitors are as follows: * Rasna- 97. 2 % * Coca-Cola’s Sunfill – 2% * Sugarfree D’lite- 0. 2% * Kissan Mr Fruit- 0. 1% and * Tang- 0. 5%. COMPARTIVE STUDY ON 4 Ps SCALE The Marketing Mix: Here in this study of the Brand Rasna, we are comparing the brand with its competitors available in the market on the scale of the 4 Ps. The 4 Ps of the marketing mix are: 1. Product. 2. Price. 3. Promotion. 4. Place. Product Line of Rasna: Rasna began with 9 flavours in 1982, and added the 10th in the year 1987. The company was revamped in the year 2002. * In 2002, Rasna changed its look and came up with a new logo. * The tagline of the company was also changed and with a new tagline â€Å"Relish a Gain†, Rasna has tried a deep penetration in the rural and semi-urban market. The recent product line of Rasna is as follows: Name| Pack Size| Flavour| Price ()| Rasna Frootfun| 32 glasses| Orange, Mango, Lemon, Pinaple| 35| Rasna Frootfun| 12 glasses| Orange, Mango, Lemon| 10| Rasna Freshfun| 32 glasses| Shahi Gulab, Keshar Elaichi, Kool Khus, Cola Cola| 35| Rasna Freshfun| 12 glasses| Shahi Gulab, Cola Cola| 10| Rasna 1 ka 2| 2 glasses| Orange, Mango, Lemon| 1|. Rasna FrootPlus Jar| 500 grams| Orange, Mango, Lemon| 85| Rasna FrootPlus Pouch| 750 grams| Orange, Mango, Lemon| 105| Rasna FrootPlus Pouch| 500 grams| Orange, Mango, Lemon| 75| Packing Details: The operating product line of Rasna consists several sku. The company follows different pack size on carton basis. These pack sizes may vary depending on local market demand. The following table will give a general idea of the pack sizes. Sr. No. | Product| Units per Carton| 1| Rasna Instant Drink (powder beverages)| | | Laminate Pouch Packings| | A| 3 gm pouch pack| 50*60|. B| Single Serve pouch pack (12 gm pouch-orange)| 10*12*6| C| 25 gm single serve sachet| 12*2*12| D| 250 gn refill packs| 36| E| 500 gm refill packs| 24| F| 750 gm standby refill packs| 15| G| 1 kg standby refill pack| 15| H| Litro packs 1 ltr| 12*10| | Glass Jar Packings| | A| 250 gm glass jar| 40| B| 500 gm glass jar| 20| C| 750 gm sleek glass jar| 15| | Plastic jar packing 1 kg| 15| | OTS tin Packing| | | 900 gm tin| 15| | 1. 5 kg tin| 6| | 2. 5 kg tin| 6| 2| Litro Pack Instant Drink| | | Pouch suitable to make 1 litre| 12*10| 3| Gofrut Instant Drink (5gm pouch)| 72*10| 4| Shakeup Instant Drink| |. | 25 gm single serve pack | 24*30| | 150 gm standby pouch| 108| 5| Rasna Lite 250 gm jar | 15| 6| Rasna Soft Drink Concentrate| | | 32 glass pack| 200| 7| Rasna Single Serve Iced Tea 9 gm | 14*24*20| Whereas Rasna has so many different varieties of drinks (flavours) and in so many different sized packets its competitors are lacking behind in both flavours and availability of different quantity packs. The Price of Rasna: Accessing all socio-economic class: Rasna’s sole goal has been always to make profit with the volume sale. The pricing strategy has always been the key of Rasna’s success. It targeted the mass rather than the class. * Rasna has always made its products in such a way that it can be accessible to all socio-economic classes. * Its volume sale starts at as low as 1 popular in the name of 1 ka 2. * The added sugar product Rasna Frootplus starts from 2 and goes up to 105 for the family pack. * The box pack has a starting price of 10 which can make 12 glasses of drink and is known popularly as 10 ka 12. * The family box pack is available at 35 which is enough for 32 glasses of water. * Rasna has some skus which are very interesting for regular use. The air tight jar has different pack size with price range starting from Rs. 75. The company is constantly focussing on the rural market of India. So, accurate pricing is very important for the company’s growth. For Rasna, accurate pricing has been the key growth driver. They understood that the Indian market is highly segmented. And making products targeting each segment has helped a lot. Whereas pricing has been the key growth factor for Rasna, the competitors have not been able to enjoy that benefit of pricing. Only Tang is available at a sachet of 2 which is again meant for making 1 glass of drink. Likewise, the other competitors cannot even come close to the pricing strategy of Rasna. Promotion: Adding an Emotional Touch: Rasna has from its inception relied heavily on advertisement. The famous mass media campaign, â€Å"I love you Rasna† was one of India’s longest running TV ad. * The promotion of Rasna always highlighted a strong connection with its customers through brand association. * Rasna has always created a brand value by emotionally attaching the customer to their brand. * Focus of the promotion is always to promote the quality of Rasna. * Rasna spends a lot on Research on the target audience, and promotes there products accordingly. * Rasna has used child characters in their advertising campaigns, and through them the company emphasised on the quality of products which was an effective way of promotion. * Rasna has done a great deal to understand the pain of summer and to deliver a product which will ease the pain. This kind of unique and innovative marketing ideas and campaigns made Rasna the monopoly in the Soft Drink Concentrate industry till the time the competitors entered the market. Even now, no brand has been able to beat the promotional campaigns of Rasna. Going by the set standards of Rasna, we can say that the competitors have spent very less time and money understanding the Indian market and the promotional activities that works in the India. Place: Distribution Channel of Rasna: The distribution channel of Rasna follows 3 to 5 tier architecture. It follows the Super-Sub concept of distribution. The steps are as follows: 1. First the product produced in a factory which is strategically located to minimise the transportation cost. 2. The packed product is sent to various company depots across the country to distribute and meet the respective market demand. 3. From the company depot, the product is delivered to the different super stockists according to their previously placed order. 4. Then the goods are sent to the sub stockists or in some cases to the wholesale store. 5. The secondary sale from the super stockist or the sub stockist is ensured by the constant monitoring by the company personal. Rasna follows different distribution channel model according to local market demand. But for every model the end goal of the company is to deliver a quality product to the end user. With a distribution channel consisting of 35 depots across the country and 1. 8 million retail outlets Rasna is bound to be the leader. Among the competitors the only one that has a good and competitive network of distribution is Sunfill by Coca Cola, but still they are not able to compete as availability with retailers is not as widespread as Rasna. COMPETITIVE ADVANTAGE The competitive advantages of Rasna are listed below: * Being the Pioneer in the market Rasna is well known and very much trusted in the Indian market. * Being in the market for a long time, Rasna knows the Indian taste the best. * Having 7 state of the art production units across the country, the production is never disturbed for any reason. * Because of the widespread distribution network, it is more close to the public. * The marketing strategies used by the company are of superior standard. * Last but not the least, the pricing of the product, which is so low that it is affordable by the lowest segment of the pyramid also. The competitive advantages of Tang are: * Being one of the largest brands of the world, Tang has the sustainability even if it is hit at the beginning. * Tang is available in variety of flavours based on local consumer’s preference. * Tang is fortified with vitamins and minerals. * It is available as powdered and ready to drink bottles. * The powdered Tang is available at low cost. The Competitive advantages of Sunfill are: * Being a brand owned by Coca Cola, the distribution cost is cheaper, so can offer the product at a low and competitive price. * The taste is superior compared to other competitive brands. * Setting up of a production unit close to the target customer segment will help in better marketing. * The company can spend substantial amount on advertising and promotion. The Competitive advantages of Sugarfree D’lite are: * It is a brand owned by a medical company, so people have trust in the product. * It contains no sugar, so it is healthier. * Has medicinal advantages. * Helps in controlling blood sugar level, at the same time gives the pleasures of a soft drink. The Competitive advantages of Kissan Mr.fruit are: * It is there in the market for a long time, so knows the customer taste and preferences. * Tastier than many of the competitor products. * Supply chain is quite strong as it’s a product owned by Hindustan Unilever. SUGGESTIONS FOR GAINING UPPER MARKET SHARE As we conclude the study on the No. 1 Soft Drink Concentrate in India, Rasna, I have the following suggestions to make so that the company can gain more market share and continue to be the leader of the industry: Product- In terms of product, the following can be done: 1. Try to minimise waste in production, so that the cost of production comes down further. 2. Venture into new products, like ready to drink bottled drinks. 3. Try producing sugar free products so that even a diabetic patient can enjoy the drinks. 4. Health drinks and energy drinks is another field where the company can venture into. 5. Backward integration is another option that can be suggested to minimise the cost of production. Price- the Company can be more price effective and in turn can gain more market share if, 1. More products are offered in the lower price category. 2. Price be reduced for the larger quantity cartons or bottles. 3. New and introductory products are sold for lesser price so that people are interested in trying the new things. Promotion- In terms of promotion, the company can follow the following suggestions: 1. Use newer and cheaper modes of advertisement, like the social networking sites. 2. Spend more on Banners, posters, Hoardings. 3. Stop the use of sportspersons and celebrities, as the same doesn’t have a long standing effect on the general public. 4. Remove the time lag between the promotion and the availability of new products in the market. Place- Place plays a vital role in the success of a company or a brand. The following are my recommendations for improving the market share: 1. Go to the newer potential places which have not been tapped earlier. 2. The untimely dispatch of goods from the depot to the super stockist needs to be taken care of as it may lead to cancellation of order bookings. 3. Unavailability of goods at certain periods needs to be taken care of with a proper distribution control. 4. Promotional events along with the distribution of brochures, stickers and leaflets should be done through sub-stockists and retailers which will help in increasing the brand value. References: During the preparation of this project, help and references has been taken from many web sites and blogs and articles. They are mentioned here: -Rasna Pvt Ltd. Official site. -Wikipedia-the free encyclopaedia -Puneet Tandon Blogs -Economic Times -Times of India Articles -4psbusinessand marketing. com.