Tuesday, December 31, 2019

Canad A Beneficial Thing - 1693 Words

Canada in the early stages was not how it was today, especially in the area of multiculturalism. Multiculturalism in Canada during the 1900’s was rare and not spoken of. In fact, the British people in Canada were against it. They came up with laws like the â€Å"Chinese Head Tax†, the â€Å"Continuous Journey Regulation† and residential schools in order to make it hard for foreigners to come and live in Canada. After awhile, Canada decided to become an independent country and separated from the British rule . With this change Canada had a different way of seeing immigrants. They started to see that immigrants’ coming to Canada was a beneficial thing. Canada was the first country in the world to adopt multiculturalism as an official policy. By doing†¦show more content†¦Back then, Canada was an extension of the British rule and was ruled by the whites. Britain being as powerful as they were in the 1900’s, had a vision of Canada being â€Å" Home away from home†. In other words, the British wanted Canada to be for just the whites. With this mentality put in their heads the Canadians started to enforce laws to try and â€Å"keep Canada as white as possible’’. One of them was the ‘Chinese Head Tax’ which was a tax that was put on every Chinese person that wanted to enter Canada. At the beginning, when the law was first put in place, it only cost fifty dollars for every Chinese immigrant. However, as time went on the price multiplied, as it rose to an astonishing five hundred dollars . This was a huge problem for the Chinese as they did not make a lot of money, they found it very difficult paying for the head taxes. This resulted in fewer Chinese immigrants coming to Canada, which was what the Canadians and British wanted to happen. Another law Canada enforced was, the â€Å"Continuous Journey† regulation which was introduced in the early 1900’s. â€Å"This law only allo wed entry to Asian passengers that had sailed on a â€Å"continuous journey† from their home land to Canada. † Enforcing this law the government knew that not many Asians would stay on a cramped ship for several months due to the spread of sicknesses and diseases, so they were satisfied with this law and were still motivated to keep Canada’s immigration levels low. Another act

Monday, December 23, 2019

Management Accounting, Financial Accounting and Cost Accounting for th Coursework

Essays on Management Accounting, Financial Accounting and Cost Accounting for the Optimal Decision-Making in Business Coursework The paper â€Å"Management Accounting, Financial Accounting and Cost Accounting for the Optimal Decision-Making in Business" is an outstanding example of coursework on finance accounting. Accounting systems take economic events and transactions, such as sales and materials purchases, and process the data into information helpful to managers, sales representatives, production supervisors, and others.Managers often need the information presented through accounting that can be used according to their purposes and uses. For example, a sales manager may require to know the total amount of revenues that can be used to determine the commission to be paid to the sales team. A distribution manager as against may require to know the sales order quantities from different geographic locations to ensure timely delivery. Similarly, a manufacturing manager may be interested in knowing the quantities of various products and their expected demands and delivery dates to produce them accordingly.Thre e important accounting systems have been used by managers and other stakeholders of the company for their decision making choices namely Management accounting, financial accounting and cost accounting (Horngren et al. 2006).While Financial Accounting deals with reporting to external stakeholders, Management Accounting measures analyzes and reports financial and non-financial information that helps managers make decisions to achieve the goals of an organization (Horngren et al. 2006). Much management accounting information is financial in nature but has been organized in a manner relating directly to the decision on hand (Institute of Management Accountants, Inc, 2008).Cost Accounting provides information about the costs related to acquiring and using resources which is useful in financial and management accounting.  Limitations of Financial Accounting:Financial accounting is concerned with the preparation of final accounts. The business has become so complex that mere final accoun ts are not sufficient in meeting financial needs. Financial accounting is like a post-mortem report. At the most, it can reveal what has happened so far, but it can not exercise any control over the past happenings. The limitations of financial accounting are as follows:It records only quantitative information.It records only the historical cost. The impact of future uncertainties has no place in financial accounting (Decoster et al. 2007).It does not take into account price level changes.It provides information about the whole concern. Product-wise, process-wise, department-wise or information of any other line of activity cannot be obtained separately from financial accounting.As there is no technique for comparing the actual performance with that of the budgeted targets, it is not possible to evaluate the performance of the business (Decoster et al. 2007).It does not tell about the optimum or otherwise of the quantum of profit made and does not provide the ways and means to incre ase the profits.In case of loss, whether loss can be reduced or converted into profit by means of cost control and cost reduction? Financial accounting does not answer this question (Decoster et al. 2007).It does not reveal which departments are performing well? Which ones are incurring losses and how much is the loss in each case?It is not helpful to the management in taking strategic decisions like a replacement of assets, the introduction of new products, discontinuation of an existing line, expansion of capacity, etc.It provides ample scope for manipulation like overvaluation or undervaluation. This possibility of manipulation reduces reliability.

Sunday, December 15, 2019

Analyzing “Deculturization” Free Essays

Deculturalization refers to the â€Å"stripping away of a people’s culture and replacing it with a new culture† (Spring 1). Deculturalization is one of the most inhumane acts one can partake in. A person’s culture is his/her main defining feature. We will write a custom essay sample on Analyzing â€Å"Deculturization† or any similar topic only for you Order Now Culture is the medium through which people communicate their beliefs, values, and morals. Inserting one’s own culture in place of someone’s pre-existing culture is the basis of ethnocentrism. People have repeatedly become victims of deculturalization, especially in the United States, and by analyzing this ethnocentrism one learns the importance of sustaining different cultures in society. There are many methods of deculturalization, such as segregation, isolation, and forced change of language. When the content of curriculum reflects culture of dominant group, it is deculturalization. Also, dominated groups are not allowed to express their culture and religion, which is deculturalization. Use of teachers from the dominant group to teach those that are dominated is another form of deculturalization (Spring 49).†The problem was the assumption that U.S. institutions, customs, and beliefs were the best in the world and they should be imposed† (Spring 42). Throughout much of the past century, the United States sought to stamp its cultural ideal upon almost all peoples who existed within its realm of influence. It is only through the relatively modern ideology of multiculturalism and the celebration of diversity that the United States has begun to make amends for the injustices it has committed on other cultures. Today, with multiculturalism entering into the classrooms and other realms, different cultures are finally getting the attention they deserve. The American idea of cultural and racial superiority began in the seventeenth and eighteenth centuries with the colonization of northeast America by predominantly Anglo Saxon colonists. Ironically, the colonists came to America to escape persecution for their religious beliefs. The Anglo Saxon attitude of cultural superiority was a largely Protestant value that remained prevalent for much of the twentieth century (Spring 2-4). The educational impact of this elitist attitude was far-reaching. The most immediate effects were seen in the destruction of Native American culture and peoples. Efforts to ‘civilize’ the Native Americans through the use of schooling began in 1819 and continued until the late 1920’s. The first schools were the result of Christian missionaries’ efforts to gain converts. English was the only language spoken in these schools, and the Native American culture was looked upon poorly. Some earlier efforts were made to adapt to Native American culture, including the development of a written Cherokee language. This knowledge, however, was used to impart Anglo-Protestant values and religion (Spring 18-21). Out of almost all of the other cultures, Native Americans are the most exploited. Not only was their culture subverted and their people forced to move, but also the Native Americans still today are trying to regain their cultural identity. It was only during the late 20’s that the effects of this cultural genocide became apparent. With the Meriam Report, published in 1928, the inhumane treatment of Native Americans was brought to the public eye, and this made way for the establishment of progressive day schools where Native Americans could integrate their culture. Ever since, Native Americans have struggled to regain an identity of their culture. Along with Native Americans, some of the same injustices were inflicted upon Puerto Rico where the same rules of deculturalization applied to the education systems. Puerto Rico became a colony of the United States in the 1890’s as a result of the Spanish-American War. The apparent Americanization of Puerto Rico centered in the schools where patriotic exercises emphasized American allegiance. English became the official language of the schools, and English proficiency became a qualification to obtain a Puerto Rican teaching license. The Puerto Ricans resisted this deculturalization, causing strong tension in the 1920’s, while they struggled to declare independence. Eventually, attempts at deculturalization fell beneath global civil rights movements in the 1950’s and 1960’s. Despite this, the educational system of Puerto Rico was severely limited for many years. During the same time that the Puerto Ricans were struggling to regain their national culture and heritage, African Americans were struggling to overcome centuries of racial discrimination. Early in the 20th century, most African Americans seemed helplessly mired in a class system that sought to keep them poorly educated to provide a supply of cheap labor. W.E.B. DuBois, founder of the National Association for the Advancement of Colored People, wanted to provide a different type of education for African Americans that would focus on encouraging leadership and protection of the legal and social rights of their communities. These schools would also create a constant awareness of their position within the white majority. DuBois saw great potential in the education of teachers because, once educated, they could impart their learning to countless others (Spring 67). DuBois’ dream seemed to be achieved in the 1930’s when common schools for African American children were finally erected. Although a large part of the funding was donated, black parents contributed the majority of the funds. While this was a great step forward for African American children, these schools later provided the rationale for segregation outside of the often better-funded white schools. Asian Americans were the largest group affected b the Naturalization Act of 1790, where non-white immigrants were excluded from American citizenship. A ‘white person’ was an immigrant from Western Europe; no other groups were considered ‘white.’ With the Anglo-Americans feeling threatened by the Chinese Americans, they sought to limit immigration through legislation. Congress passed the Chinese Exclusion Act of 1882, prohibiting Chinese immigration. The Chinese Americans were sent to segregated schools because they were not classified as a ‘white’ person. This policy of segregation broke down by the early 1900’s, when the board of education had to let Chinese youths attend the regular city high school. After the United States conquest of Mexico, the attitude of racial, religious, and cultural superiority was reflected on both the treatment of Mexicans who remained in American after the conquest and later Mexican immigrants. Segregated schools, housing, and discrimination in employment became the Mexican American heritage. President James Polk sent an army to protect the Texas border, causing a military reaction by Mexico which resulted in the U.S. declaring war on Mexico. The war allowed former Mexican citizens to obtain U.S. citizenship, but did nothing to resolve problems of the Anglo Americans feelings of superiority. One of the important consequences of this negative action against Mexicans was to make it easier for American settlers to gain land in the area. Racism served as a justification for economic exploitation. These racist attitudes permeated the life of the cattle ranches established in southern Texas during what is referred to as the â€Å"cowboy era† (Spring 80). This deculturalization of the Mexican Americans is yet another example of the ethnocentrism that engulfed Anglo Americans. Deculturalization has been a very sad occurrence since the beginning of America, and only recently has this problem started to be alleviated. The impacts of deculturalization have been very negative on society, but mostly on the education system. Today, teacher education revolves around multiculturalism and valuing the differences in cultures. Until this idea reaches all realms of society, however, the United States will not be completely free from the negative aspects of deculturalization, which swept through the country for many years. Knowledge is half the battle, though, and the more people are educated on other cultures, the more people will begin to appreciate other cultures. How to cite Analyzing â€Å"Deculturization†, Papers

Saturday, December 7, 2019

Anorexia Athletica free essay sample

In the United States today, as many as 10 million females and 1 million males are fighting a life and death battle with an eating disorder (Collins). The two most commonly known eating disorders in America are anorexia nervosa, an eating disorder characterized by extremely low body weight, distorted body image and an obsessive fear of gaining weight and bulimia nervosa, an eating disorder characterized by recurrent binge eating, followed by purging. While eleven million is a startling number, eating disorders are even more prevalent among athletes, particularly those involved in types of sports that place great importance on the athlete’s weight and the need to be thin. The reasons for this higher percentage of eating disorders among athletes in comparison to non-athletes had been explained in several studies. However, there are several conflicting models of how athletic participation might be related to eating problems (Smolak). Some studies have posited that there is no difference between anorexia in non-athletes and anorexia athletica, the common term for eating disorders frequent among athletes. While there are similar psychological factors at play in both cases, there are several unique features to athletes’ eating disorders that earn anorexia athletica a distinction from other disorders. Some studies suggest that the link between athletics and eating problems is nothing more than a greater frequency of common problems evidenced in non-athletes. Certainly there are similarities in athletes and non-athletes suffering from eating disorders; in fact, there are many personality characteristics and attributes associated with eating problems that might also be descriptive of athletes: competitiveness, concern with performance, compulsive concern with body shape, and perfectionism (Brownell). The same competitive, perfectionist attitude that all elite athletes share can lead to distorted body image and ultimately lead to serious eating disorders. While there is some credence to this theory, some studies go so far as to discount the label â€Å"anorexia athletica† completely which I believe to be an oversimplification of a serious disorder. The fact of the matter is eating disorders extremely high prevalence of eating disorders in athletes, especially female athletes, cannot be explained away by oversimplifications and generalizations. While the eating disorders in athletes and non-athletes have the same result: eduction in body fat mass, the reasons behind the changes are different. In anorexia athletica, the reduction in body mass is based on performance and accomplishment above all and not unwarranted distress about body shape and appearance (Sudi). When it comes down to it, athletes worry about weight to enhance their athletic performance, not to to fit into the latest fall fashions. There’s also a huge difference in the expectations of both groups – the athletes and non athletes. While the expectations of non-athletes may be vague (â€Å"I’ll feel better† or â€Å"I look so hot in a bikini†), the athletes have a set of rewards and achievements they believes they’ll get if they lose weight whether it be lowering their 100 meter time or finally landing that triple axle (ANRED). The importance of thinness and demands for self-discipline invite the female athlete to believe that she is being good when she limits her food. It causes the belief that if she is good for a long enough period of time, she will improve her performance, win more often, and achieve more glory. She associates weight loss with becoming quicker, faster, and stronger (Smolak). Another factor is that some athletes can perform well for a considerably long period despite the disorder. That influences their merit system and causes a belief that the eating disorder is required for the success and accomplishment. When their performance is begins to suffer, that in turn causes a belief the athletes need to cut back even more drastically than before to get the desired results (Mirror-Mirror). Athletes often have better excuses for not eating than non-athletes. For example, on of the most common excuses for uncontrollable weight loss in athletes is that they simply don’t have time to eat because of competitions, training schedules, practice sessions, and traveling. Eating before practice or competition is impossible because the athlete is nervous, because it will make her feel heavy and slow, because it will leave her bloated, because it will make her sick to her stomach. Afterwards, she can’t eat because she would feel nauseated and hopefully she is to busy celebrating for anyone to think about food (ANRED). Another difference between the two situations is that athletes can hide eating disorders more easily than non-athletic patients. The emphasis in athletics on low body fat and thinness, the stress, and the devotion and discipline required to comply, make it relatively easy for a female athlete to hide an eating disorder. It is quite easy to mistake weight loss due to not eating for weight loss due to eating right and exercising. Indeed, athletes may even receive praise and admiration from unwitting coaches and teammates for their self-control and denial of appetite (Mirror-Mirror). Even within the group of athletes there are marked differences based on both gender and type of sport. Eating problems are more common amid female athletes than male athletes. A lot of female athletes descend into eating disorders in a desperate effort to be thin in order to gratify trainers (who may not be even educated enough abut eating disorders) and judges (Turk). Many trainers are responsible of compelling these athletes to become thinner by passing judgment on their weight or criticizing them. Those remarks could bring an athlete to choose hazardous means of weight control and can cause serious emotional damage to the athlete (ANRED). Ninety-three percent of athletes who reported eating disorders according to one research were in womens sports (Smolak). The sports that had the highest number of participants with eating disorders, in descending order, were womens cross country, womens gymnastics, womens swimming, and womens track and field events. The male sports with the highest number of participants with eating disorders were wrestling and cross-country (Collins). The female athlete is twice as at risk for the development of an eating disorder. She is influenced by relentless sociall strain to be lean that affects all females in westernized countries. However, unlike non-athletes, she also part of a sports environment that may overvalue performance, low body fat, and an idealized, unrealistic body shape, size, and weight. Persistent exposure to the burden of the athletic subculture added to the shower of media and cultural images in the daily life may make her particularly susceptible to the trap of weight loss and unhealthy ways of achieving that loss. Males also develop eating disorders but at a much reduced incidence (90-95% female; 5-10% male). Males may be protected somewhat by their basic biology (Brownell ). Many fields of sports require low percentages of body fat. As a general rule, men have more lean muscle tissue and less fatty tissue than women do. In addition, males tend to have higher metabolic rates than females for the reason that muscle burns more calories faster than fat does. Consequently, women, who overall carry more body fat than men, with slower metabolisms and smaller frames, require fewer calories than men do (ANRED). Several studies imply that those active in sports that underline appearance and a lean body are at higher risk for developing an eating disorder than those who are non-athletes or those involved in sports that require muscle mass and bulk (ANRED). Eating disorders are more common in sports such as gymnastics, figure skating, dancing and synchronized swimming. It is also a problem in types of sport that require lean body, but do not stress â€Å"appearance†, like running, rowing, horse racing, and riding. Wrestlers, usually thought of as strong and massive, may binge eat before a match to carbohydrate load and then purge to make weight in a lower class (Sudi). According to an American College of Sports Medicine study, eating disorders affected 62 percent of females in sports like figure skating and gymnastics. On the other hand, sports such as basketball, skiing and volleyball have noticeably lower rates of eating disorders (American College of Sports Medicine). In sports like cheerleading, figure skating and dance so much emphasis is placed on appearance and expression that athletes in those sports feel a great deal of pressure not only to compete well but to look good doing it. While anorexia athletica is not the same disorder as anorexia nervosa, it can have some of the same long-term effects if it goes on for an extended amount of time. For some female athletes, the pressure to achieve and maintain a low body weight leads to potentially harmful patterns of restrictive eating or long-term dieting. The health status of athletes is therefore must be closely monitored because the energy and nutritional inadequacies combined with the use of purging methods often found in young athletes have negative long-term effect (Sudi). Long-term dieting affects body composition, increases the risk for cardiovascular disease, and leads to endocrine abnormalities associated with reproductive function In female athletes, delayed onset of menarche, menstrual irregularities, decreased bone formation (also recognized as the Female Athlete Triad), and a high frequency of injuries have been reported. Skeletal abnormalities, notably scoliosis, decreased bone density, failure to reach peak bone mass, and stress fractures, may be the result of prolonged hypoestrogenism- lower than normal estrogen levels which can result from continuing dieting. Long-term energy restriction can lead to endocrine abnormalities, and the long-term adherence to low-energy diets leads to multiple changes and adaptations at the metabolic and neuroendocrine levels. Energy restriction is associated with a substantial loss in body fat mass, and hormones related to fat mass are not only part of the endocrine system but important for the regulation of energy intake and energy expenditure. Low energy availability has been shown to disrupt the hypothalamic pituitary axis, leading to irregular menstrual cycles and possibly amenorrhea, thereby shutting down a function not necessary for survival. The disruption of the luteinizing hormone pulsatility can be restored by refeeding, however, at a much slower rate. Changes in these variables may be manifested in enhanced energy efficiency, as the body seeks to protect and replenish its energy stores. This may explain the surprisingly low caloric intakes of some athletes still competing at a high level with great success, although studies on energy balance in athletes may also be biased due to undereating and/or under-recording, because restrained eaters are more prone to under-report daily food intake. Although some studies discount the difference between anorexia athletica and anorexia nervosa, the differences in motivation and expectation of anorexia athletica and common eating disorders among non-athletes warrant a separate category for anorexia athletica. This distinction is vitally important so that doctors and therapists can recognize the differences between the disorders and correctly diagnose both anorexia nervousa and anorexia athletica. Young athletes must be carefully monitored to guarantee that they maintain adequate energy intake which is crucial to maintain growth and development of tissues and to support energy requirements of competitive sports. Hopefully, this will ensure that athletes receive the proper treatment before they suffer any harmful long-term effects of their disorder.

Friday, November 29, 2019

Writing Environment Essays - DraftCarson Hill,

Writing Environment Writing Environment My room is my own little world to dream and write what I feel and what I know about the world. The way its set up, its like to let anybody get inspired in their writing here in my room. Most of my things in my room are here to help me with my writing, and have all the tools needed to write a good paper. I also use my room to hang out and have fun when my friends come over. My writing environment is set up to help me get inspired. My room is set up to accommodate my writing. When somebody walks into my room the first thing they will see is a sign on the door thats black and white, it says authorized personnel only, ask Elmer First or die, I printed it on my computer. The sign is there to keep unwanted people out, mostly my family. When people come in my room the thing they notice the most are the colors of my room, which are black, gray and white. The gray is a stripe about five inches wide around my room in the middle, the black is on the bottom from the gray, and the white is on the top. On the wall were the door is located, my closet is next to it, in between the closet and the door I have a poster of Jim Morrison and on my door from the inside I have a black and white hangers where I put my towel and my hats. On the next wall I have my desk right underneath a small window thats high on the wall. On one side of this window I have a picture of James Dean and on the other side a poster black and white with the Jack Daniels logo. Right underneath Brambila 2 I have my 27 TV, which sits on a black TV stand were I also have magazines, movies, books, cds and my VCR, right next to my desk. On my desk I have a telephone, alarm clock, paper, computer software, a computer and a picture frame with no picture yet, which is black and gray. On the other wall I have a bigger window and on the sides of this window I have a poster of Jim Morrison with a poem called Rock is not dead, and on the other side a poster of The Beatles with all the covers of the records they released, and the date they released it. Underneath this window sits my drawers were I put my t-shirts, my underwear and my shorts, I also use it to eat or put stuff on top, it has little wheels so its easy to move around. On the other wall I have another poster of The Beatles on that one theyre standing next to a burned car, the poster is black and white. Underneath this poster is my bed thats black and white with gray covers most of the time. This bed folds into a sofa facing the desk and the TV. Know that you have a complete description of my room, I should tell you that the most important place for my writing is my desk, were I have my computer software, pencils, paper and all the material needed to write. My desk is big, with all the space needed to write comfortably and put all the paper and books needed to write a research paper. When I sit on my desk, I sit to write, talk on the phone, play games on the computer and do all my homework. The advantage of my writing environment is that I love it, I put so much heart and effort to make my room the way it is. I would call it a good thing because I write in a place that I love. Its always good to be in a comfortable place, to be able to write and get inspired by what surrounds you. I have Jim Morrison, John Lennon, Paul McCartney, Brambila 3 George Harrison and Ringo Starr on my walls there all writers; its an advantage because I like there work and admire them as writers. The computer is a strong advantage

Monday, November 25, 2019

the original assassins essays

the original assassins essays Assassin is a word that we relate to cold-blooded killings and murders today, but where did this idea originate and what does it really mean? In this report I am going to discuss a wide scope of topics that relate to the word Assassin. I will include a discussion of the origin and history of the word Assassin. I am also going to give a brief overview of Shiism, and then show how assassins relate to the Shiite religion (more specifically the Fatmid sect of Shiism). I am also going to cover a brief account of the assassins reign of terror in Syria, and what happened to the assassins, and their significance then and how is reflected in todays culture. At the end of this report I hope to have given a broad scope of the history of the infamous assassins of the Fatmids. The word Assassin was introduced into the English language from crusaders, who adapted it from the Arabic word Hashshashin, which is interpreted into hashish smokers. The explorer Marco Polo told stories of the great gardens of paradise where the Shiite Fatmid assassins would smoke hashish and bask in the gardens, having a taste of eternal bliss. None of these stories where ever confirmed by any known Isamilite source, but they still live on today (Assassin 2002). The beginning of the Shia movement dates back to the death of Muhammad. Muhammads followers were looking for a new caliph (or spiritual leader) and a small group called the Shiites who centered on Ali (a kinsman of Muhammad) and Muhammads daughter Fatima, but the Sunni being the majority overlooked the Shiites and choose Abu Bakr as the successor(Murata the Sunni and the Shiites. From the Shiites came a sect called the Fatmids ...

Friday, November 22, 2019

Eisenhower and U.S. Policy in Southeast Asia Essay - 1

Eisenhower and U.S. Policy in Southeast Asia - Essay Example An entire generation of anti-war protestors had emerged in response to the years of bloody fighting that had, for the first time in the nation’s history, been broadcast into living rooms across the country through the nightly news. Both civilians and military servicemen alike asked themselves this simple question: how did we get into such a mess? How was America, and France before her, defeated by a peasant army of Vietnamese Communists? It seems that in the wake of defeat, it is most important that blame be properly assessed. And most oftentimes, it is the presiding Administration at the time of the defeat that takes the lion’s share of the blame. Is that always where the blame lies, however? Based on the policies regarding Vietnam that President Nixon inherited from Johnson, who inherited it from Kennedy, was it even possible for America to win? No. The failure of America in Vietnam was rooted in decades of flawed policy. In fact, the roots of America’s failure in Vietnam can actually be drawn all the way back to Truman, but more significantly, to Eisenhower. It is important to study the Eisenhower era because American policy in Vietnam was strongly shaped during this time, even though the actual combat occurred under Kennedy, Johnson and Nixon. Indeed, it was because Eisenhower pursued a policy of containment in Vietnam that the war finally erupted.

Wednesday, November 20, 2019

Human resources management Staffing Assignment Example | Topics and Well Written Essays - 500 words

Human resources management Staffing - Assignment Example o the initiation of disengagement includes: employee not being considered for promotion, the real job is different from the original job description, a very close colleague has been fired from his position, a great job opportunity from another organization and conflict with other employees of the employer (Branham 12). Other reasons due to which employees disengage includes: loss of trust, less training and less career advancement opportunities and lack of appreciation. Organizations do not meet some of the promises they have made to the employees due to which employees lose trust in their employers and tend to leave. Employees do not want to remain in the same position of the organization for years they want to excel in their careers To get a better career they need training and if training is not provided by organizations, employees forfeit their position. These are some of the several reasons that may trigger the event of disengagement. 3. The competition and workload on managers is increasing day by day and they have ignored various signs of disengagement expressed by employees. High rate of absenteeism, unacceptable behavior, negativity towards work are some of the early signs of disengagement and these signs can help employers identify that an employee is going to disengage. 4. If employers or managers determine that a particular employee is going to disengage from the organization, the manager should take measures to counter the problem. One of the reasons of disengagement is loss of trust; the managers can re-establish the trust factor with the employee by providing benefits that have been promised to the employee. Another reason of disengagement is lack of training; managers can provide training and career advancements to motivate them. The managers can stop the disengagement process by rewarding employees for their achievements and making them feel that they are very important to the organization. Another factor of disengagement is that employees feel

Monday, November 18, 2019

The Franklin Fund and Tiffany & Co Research Paper

The Franklin Fund and Tiffany & Co - Research Paper Example Tiffany & Co. is a company with holdings that mainly operates through its subsidiary companies. The company mainly engages in jewelry manufacturing, product designing and retailing activities. However, the major portion of the sales is earned from its jewelry and specialty retailer, Tiffany and Company which operates primarily in North and South America and has stores in United States, Canada, Brazil and Mexico. Apart from these nations, a substantial amount of sale for the company products comes from Asia-Pacific and European countries. A brief history of the company Established first in New York in the year 1830, Tiffany & Co. during its initial years saw great growth prospect in the fancy and stationery goods market. With an advance of $1,000 from Tiffany’s father, 25 years old Charles Lewis Tiffany and John B. Young opened their first store at New York City. Inspired by the natural world, their products bore the mark of harmony, simplicity and clarity, which went on to bec ome the hallmark of the company’s designs ranging from their silver hollowware and flatware to jewelry at later stages. It was in 1867, that Tiffany and Co got international recognition, when a foreign jury at Paris Exposition Universelle handed over the grand prize for silver craftsmanship. As it went on to spread its wings, Tiffany & Co. went on to establish the first American school of design, The Silver Studio. In 1886 the company created another benchmark when it launched the engagement ring Tiffany ® Setting which went on to become a new symbol in the jewelry industry. Tiffany won the greatest of honors and awards and held the leading position in thee world of designer jewelry creation. Tiffany boasted of being one of the most trusted and appreciated jewelry brand for many distinguished personalities of the American society; who preferred Tiffany & Co. over any other jewelry brand. The company continually changed and updated its designs to keep pace with the changing taste of the modern customers. One can get hold of all the legendary design patterns of Tiffany in the annual Blue Book Collection. Published for the first time in 1845 this book catalogues the best of all glamorous and spectacular jewelry created by Tiffany. Today’s version of the catalogue showcases the elite range of diamonds and colored gems that have been encrusted in wide range of precious metals For its elegant style and rich heritage over the past two centuries, Tiffany has gained the reputation of being the ultimate source of gifts for most cherished occasions of life. (Tiffany & Co., 2011). A brief biography of the current CEO Michael J. Kowalski, the chairman and CEO of Tiffany & Co. is a renowned jeweler who was appointed as the president of the company back in January 1996.

Saturday, November 16, 2019

Microprocessor Based Water Level Controller Communications Essay

Microprocessor Based Water Level Controller Communications Essay A microprocessor incorporates almost all of the functions of a CPU on a single integrated circuit .The first of the microprocessors emerged in the early 1970 since then they are being used for electronic calculators. Computer were for a long period constructed out of small and medium-scale Integrated circuits containing the equivalent of a few to a few hundred transistors. The integration of the whole CPU onto a single chip helped a lot and therefore greatly reduced the cost of processing capacity. Other embedded uses of 4 Bit 8-bit microprocessors, such as printers, various kinds of automation etc, followed rather quickly. Affordable 8-bit microprocessors with 16-bit addressing also led to the first general purpose microcomputers in the mid-70s. From their humble beginnings continued increases in microprocessor capacity have rendered other forms of computers almost completely obsolete with one or more microprocessor as processing element in everything from the smallest embedded systems and handheld devices to the largest mainframes and supercomputers. Since the early 1970, the capacity of microprocessors have increased which suggests that the complexity of an integrated circuit, with respect to minimum component cost, doubles every two years. In the late 1990s, and in the high-performance microprocessor segment, heat generation due to switching losses, static current leakage. What is a Water Level Controller? It ia a Product which makes you tension free. It Avoids wastage of water, microprocessor based water level controller is technically advanced and simple to use, It switches ON when the water in the over tank drops down below level and puts OFF the pump when the water level rises above level. When the sump reaches valve level the system switch OF the pump automatically and switches ON the pump when the water reaches full level, BASIC INTRODUCTION: The circuit described here control the water level inside a tank. There are two different modes of operation.. The first is empty mode and it will take the water out of the tank, the pump will be used to suck the water until the water level drop below the lower level. The second is fill mode. Here the pump will be used to fill the tank, the pump will be activated until the water level reach the upper limit. Here is the schematic diagram of the water level controller circuit: The circuit uses NOR logic gates, only one integrated circuits package and one transistor is needed for the active components, very simple design. The default position of SW1 is empty mode, just switch to other position to make the water level controller works in fill mode operation. The relay can be used to control almost any type of water pump motors. Please be aware that this circuit works only with water or other electrically conductive liquids. MICROPROCESSOR BASED WATER LEVEL CONTROLLER: The water level Controller is a trustworthy circuit. it takes over the task of checking and Controlling the level of the water in the water tanks. The water level is displayed in the LED graph. The cu probes are used to detect the water level, These are inserted into the tank which is to be monitored. This water-level Controller-cum-alarm circuit is configured around the 8 bit Microprocessor 8085, It continuously monitors the overhead water level and display it and it will automatically switch On and off. All the input and output functions are done through the Programmable Peripheral Interface IC 8255. Basic block Diagram: Features very stable. Easily adjusted for operating requirements. Instant reversion to emergency. microprocessor basePID/Fuzzy controller. Principle The Autonics Water Level Modulating controlsystem is a single element Electro-pneumatic control with a pneumatic Positioner and PID/Fuzzysystem, The system comprises a Transmitter, converter module float chamber, a feedline modulating control valve and an electronicmicroprocessor based PID/FUZZY controllers. LEVEL TRANSMITTER Description The Autonic Water Level Modulating control system is a single element Electro-pneumatic control with a positioner and PID auto tuning system. A Level Transmitter with double-float chamber mounted on the boiler shell, fitted with a coil which can be make according to the requirement. A flanged mount fully stainless steel Control valve, fitted with a positioner and pneumatic actuator, which is mounted in the boiler feedline. A microprocessor-based PID/FUZZY Level controller is mounted on the control panel. An electronic Converter module is also mounted on the control panel. Operation A positive change of water level in the boiler alters the level transmitter inductance value of coil causing an imbalance in the system; This signal is transmitted through the electronic control box and connected to PID controller. Then the microprocessor-based PID level controller transmitted an electrical signal to the pneumatic positioner to position and adjusts the position of control valve. A additional low/high water level alarm or burner cut out contact are also provided in the microprocessor-based level controller with the adjustable setting position. Control valve The V control valve has many different inserts for precision throttling control. The inserts are pinned to the END CAPS and are used in conjunction with any of our standard seats. They are designed to change the flow characteristics of the valve and are offered in different shapes to meet a variety of modulating application. For very low C v applications. a specially designed â€Å"Soft† V insert incorporate both the flow element and the ball seal into one component, and maintains continuous contact with the ball. This arrangement provides excellent low end accuracy (EQ%) and repeatability ADVANTAGES OF WATER LEVEL CONTROLLER: Saves electricity Can be used any type of pumps Protection to the pump, LED Indication to monitor the water level in the over had tank and sump Low voltage and High voltage cut off (Working Range: 160v to 260v) Motor control: Direct switching up to 1 HP, through starters for ranges above. Application of water level controller: Residential buildings, Apartments, Hospitals, Educational Institutions, Hostels, Hotels, etc. In maximum homes water is first stored in an underground tank and from there it is pumped up to the tank located at the roof. People normally switch on the pump when their taps go dry and switch off the pump when the tank starts overflowing, which results in the unnecessary wastage and sometimes non-availability of water in the case of emergency which is to be controlled and corrected. The author used a piece of non-metallic conduit pipe (generally used for domestic wiring) slightly longer than the depth of the overhead tank. The common wire C goes up to the end of the pipe through the conduit. The wire for probes L and H goes along with the conduit from the outside and enters the conduit through two small holes bored into it as shown in Fig. 2. Care has to be taken to ensure that probes H and L do not touch wire C directly. Insulation of wires is to be removed from the points shown. The same arrangement can be followed for the underground tank also. To avoid any false triggering due to in terference, a shielded wire may be used. This water level sensor is good or appropriatefor liquids that have a conductivity of equal to or more than 25m Siemens,not only this It is your best choice for a water level switch. The system is economical. The level probe and the evaluation unit can be connected using a long cable. Two point sensors for independent switching and automatic control of pump TECHNICALLY Housing :aluminium, Weather-proof enamel painted suitable for back panel Cable Entries :3 Nos. of  ½ BSP Mains 110 or 230 Volts AC (-15 to + 10%) 50 Hz. Relay Output 50Hz for non-inductive load Power Consumption 5 VA . Fail-Safe Mode High or Low field selectable Response Time 0.5 secs Switching Delay 0.5 to 20 seconds Indication Red LED for Alarm, Green LED for Normal Operating Temp. : -20 ° C to + 60 ° C Weight ~2 Kg.

Wednesday, November 13, 2019

The Solomon Islands and the Problem of Sustainability :: Environment Resources Essays

The Solomon Islands and the Problem of Sustainability Introduction In the South Pacific near Australia and Fiji lies another potential tale of natural resources lost, ecosystems destroyed, and species becoming extinct all due to man. The Solomon Islands are at the core of this story. These islands are in danger of losing some of their capital (social, economic, and natural). This potential loss of capital comes from mans short term thinking. In todays world of an everything quick and fast, mentality, lies one heart of the Solomon Islands problem. Nature and all of its many resources do not mix well with profits and greed in terms of long term sustainability. In order to sustain nature, serious management from its users is required. Unfortunately this management is not used or does not create profits for the many companies investing in the Solomon Islands. The Solomon Islands are threatened because of their limited natural resources they have to offer for revenue. The Solomon Islands receive one half of their gross domestic product from agriculture, fisheries, and forestry, and over 55% of the islands exports were wood (web page Solomon Islands). The Solomon Islands sell this wood to companies for a profit. However, this resource is not infinite. The trees have to be allowed to regenerate or else the product will disappear along with the revenue. The common sense approach allows for re-growth of the trees, but this is exactly what is not happening in the Solomon Islands. As written by Nicola Baird in her article "Unwisdom of the Solomons", Baird says that the sustainable rate of harvest of wood is 325,000 cubic meters per year. However Baird continues that the government of the islands has given logging permits to cut 4 million cubic meters per year. The Solomons are taking downtrees faster than they can regrow. Profits are continuing, but only for a few more years. The future of the islands wood supply is forecasted to be depleted in the next 15 years (web page Solomon Islands). In the meantime, the tropical forest disappears at an alarming rate which fattens the pocket book with money but steals money form mother natures pocket book. Loss of trees causes a chain reaction of destr uction in the Islands. Taking trees takes homes of many species, which in turn causes their death.

Monday, November 11, 2019

Canadas First Past the Post System

In Canada Federal and Provincial First-Past-The-Post (FPTP) elections are based on single member districts or ridings. Each riding chooses one candidate to elect into parliament. In order to win a candidate must obtain the highest number of votes but not necessarily the majority of votes. The party that wins the most ridings is named the official government of Canada with the second place party becoming the official opposition. The (FPTP) system is also known as the ‘winner-take-all' system, in which the candidate with the most votes gets elected. FPTP voting methods can be used for single and multiple member elections.In a single member election the candidate with the highest number, not necessarily a majority, of votes is elected. This system is used in Canada, UK, US, and India. Many Canadians are not happy with the current First Past the Post system currently in place for electing parliamentary officials provincially and federally. I think that Canada’s First Past th e Post parliamentary electoral system should be changed because it favors tactical voting; it has a negative effect on smaller parties; and opens up the possibility of gerrymandering constituencies.A new electoral system that is more proportional is needed in order to address these problems. There are a few problems that arise out of the FPTP system. One of the most important problems is the tendency for FPTP to favor tactical voting. Tactical voting happens when voters cast their votes for one of the two candidates that are most likely to win. This is done because it is perceived by the voter that their vote will be wasted if they were to choose to vote for a smaller party, which they would more prefer. This is an understandable feeling by the voter because only votes for the winning candidate actually count (Blais, 2008).The position is sometimes summed up, in an extreme form, as â€Å"All votes for anyone other than the second place are votes for the winner†(Rosenbaum 2004 ), because by voting for other candidates, they have denied those votes to the second place candidate who could have won had they received them. Following the 2000 U. S. presidential election, some supporters of Democratic candidate Al Gore believed he lost the extremely close election to Republican George W. Bush because a portion of the electorate (2. 7%) voted for Ralph Nader of the Green Party.Exit polls indicated that more of these voters would have preferred Gore (45%) to Bush (27%), with the rest not voting in Nader's absence (Rosenbaum 2004). The people, who voted for Ralph Nader despite of his staggering inability to win, effectively voted for Bush by depriving Gore of their votes even though they would have preferred Gore. With tactical voting, voters, have to predict in advance who the top two candidates will be. This can distort results significantly. One factor that influences tactical voting is the Media. Substantial power is given to the media.Some voters will tend to believe the media's assertions as to who the leading contenders are likely to be in the election. Even voters who distrust the media will know that other voters do believe the media, and therefore that those candidates who receive the most media attention will probably be the most popular and thus most likely to be the top two. The media can also play an important role in persuading voters to use tactical voting. This is exemplified through the use of attack advertisements in television; radio and print media. This happens in the UK. The system may promote votes against as opposed to votes for.In the UK, entire campaigns have been organized with the aim of voting against the Conservative party by voting either Labour or Liberal Democrat. For example, in a constituency held by the Conservatives, with the Liberal Democrats as the second-place party and the Labour Party in third, Labour supporters might be urged to vote for the Liberal Democrat candidate (who has a smaller shortfall o f votes to make up and more support in the constituency) rather than their own candidate, on the basis that Labour supporters would prefer an MP from a competing left/liberal party to a Conservative one (Drogus 2008).The media holds an important role in informing and influencing the public about political candidates. This causes the FPTP system to turn into run-off voting, which is a two round voting system where voters elect two forerunners for the constituency and select one to be winner. The â€Å"first round† of the election is done within the court of public opinion, the â€Å"second round† happens with the official election. This can be seen in the example of the 1997 Winchester by-election: â€Å"Gerry Malone the former Conservative MP who had lost his seat in the general election, was criticized as a â€Å"poor loser† by the media.The Labour Party obtained their worst ever results in a parliamentary election, in part because they hardly campaigned at al l and instead focused their priorities on the by-election in Beckenham held on the same day. It is presumed that most of the Labour supporters decided to vote Liberal Democrat knowing how unlikely they were to win. † (Farrell 1998). The Labour Party voters used their votes tactically because they knew they couldn’t win and were turned off by the Conservative candidates negative image in the press.Another important reason that Canada should select a different election system is that the FPTP system has a large impact on smaller parties. According to Political Scientist Maurice Duverger’s Law, given enough time FPTP systems will eventually become a two party system (Duverger 1972). The FPTP system only gives the winner in each district a seat, a party that consistently comes third in every district will not gain any seats in the legislature, even if it receives a significant proportion of the vote.This puts a heavy strain on parties that are spread geographically t hin, such as the Green party of Canada who received approximately 5% of the popular vote from 2004-2011, but had only won a single riding during that time (Elections Canada). The second problem facing smaller parties in FPTP systems is related to tactical voting. Duverger suggested an election in which 100,000 moderate voters and 80,000 radical voters are voting for a single official.If two moderate parties ran candidates and one radical candidate were to run, the radical candidate would win unless one of the moderate candidates gathered fewer than 20,000 votes. Observing this, moderate voters would be more likely to vote for the candidate most likely to gain more votes, with the goal of defeating the radical candidate. Either the two parties must merge, or one moderate party must fail, as the voters gravitate to the two strong parties, a trend Duverger called polarization (Duverger 1972).Smaller parties will never have a fair amount of representation in proportion to their size. FP TP tends to reduce the number of viable political parties to a greater extent than other methods. This makes it more likely that a single party will hold a majority of legislative seats. Canada has had 33 majority governments out of 41 elections (Parliament of Canada) FPTP's tendency toward fewer parties and more frequent one-party rule can potentially produce a government that may not consider a wide a range of perspectives and concerns.It is entirely possible that a voter will find that both major parties agree on a particular issue. In this case, the voter will not have any meaningful way of expressing a dissenting opinion through their vote. These voters will have to resort to tactical voting and vote for a candidate that they mostly disagree with in order to oppose a candidate they disagree with even more. This is a compromise that the voter should not have to make in order to express them selves politically. The third problem with the FPTP system is that it is especially vulne rable to gerrymandering.Gerrymandering is the process of setting electoral districts in order to establish a political advantage for a particular party or group by manipulating geographic boundaries to create partisan or incumbent-protected districts. The resulting district is known as a gerrymander (Martis 2008). This process is very controversial in Canada and is viewed negatively when attempted. Governments in power to solidify their dominance at the federal and provincial level can use gerrymandering to increase voters in a riding where they do not have as many voters, giving them an unfair advantage upon re-election.The examples of gerrymandering and its effects can be seen in Canada today. The current federal electoral district boundaries in Saskatchewan have been labeled as evidence of gerrymandering, The province's two major cities, Saskatoon and Regina, are both â€Å"cracked† into four districts each, when the populations of the cities proper would justify about thr ee and two and a half of all-urban (or mostly urban) districts respectively; the map instead groups parts of the New Democratic Party-friendly cities with large Conservative-leaning rural areas (Elections Canada)In 2006, a controversy arose on Prince Edward Island over the provincial government's decision to throw out an electoral map drawn by an independent commission. Instead the government created two new maps. The government adopted the second of these, designed by the caucus of the governing party. Opposition parties and the media attacked Premier Pat Binns for what they saw as gerrymandering of districts. Among other things, the government adopted a map that ensured that every current Member of the Legislative Assembly from the premier's party had a district to run in for re-election, whereas in the original map, several had been redistricted.Despite this, in the 2007 provincial election only 7 of 20 incumbent Members of the Legislative Assembly were re-elected and the governm ent was defeated. Pat Binns’ attempt at gerrymandering and loss of the election showed that the Canadian people do not support gerrymandering by politicians (CBC) Even though the FPTP system has many criticisms it does have some qualities that are found attractive. Firstly FPTP systems are generally good at creating majority governments because of their winner take all attitudes.Majority governments are viewed as being more efficient because of their ability to swiftly pass laws through Parliament. However, majority governments increase their efficiency at the price of sacrificing a broader range of political views. Secondly, FPTP is a good way of discouraging extremist parties that seek to bring radical change to the government. This is because larger parties are favored to win seats so unless the party has a very concentrated electoral support the will generally never win any ridings.FPTP has many criticisms and flaws that are easily exploited. These flaws can only be addre ssed by selecting a new electoral system. The FPTP’s key flaw that underlies its criticisms is that it discounts or ignores minority parties and their voters. This effectively causes only voters of the major parties to be able to accurately express them selves politically. In a democracy every vote should count not just the votes cast for the winning party. This is why FPTP is not an adequate system for Canada. The FPTP system fails Canadian voters because it favors tactical voting orcing voters to make unnecessary compromises with their political beliefs. It perpetuates dominance of one or two main parties and discourages growth of newer, smaller parties. FPTP opens up the door for gerrymandering Politicians to take an unfair advantage to solidify their dominance in the government. In conclusion I think that Canada’s First Past the Post parliamentary electoral system should be changed because it favors tactical voting; it has a negative effect on smaller parties; and opens up the possibility of gerrymandering constituencies. Canadas First Past the Post System In Canada Federal and Provincial First-Past-The-Post (FPTP) elections are based on single member districts or ridings. Each riding chooses one candidate to elect into parliament. In order to win a candidate must obtain the highest number of votes but not necessarily the majority of votes. The party that wins the most ridings is named the official government of Canada with the second place party becoming the official opposition. The (FPTP) system is also known as the ‘winner-take-all' system, in which the candidate with the most votes gets elected. FPTP voting methods can be used for single and multiple member elections.In a single member election the candidate with the highest number, not necessarily a majority, of votes is elected. This system is used in Canada, UK, US, and India. Many Canadians are not happy with the current First Past the Post system currently in place for electing parliamentary officials provincially and federally. I think that Canada’s First Past th e Post parliamentary electoral system should be changed because it favors tactical voting; it has a negative effect on smaller parties; and opens up the possibility of gerrymandering constituencies.A new electoral system that is more proportional is needed in order to address these problems. There are a few problems that arise out of the FPTP system. One of the most important problems is the tendency for FPTP to favor tactical voting. Tactical voting happens when voters cast their votes for one of the two candidates that are most likely to win. This is done because it is perceived by the voter that their vote will be wasted if they were to choose to vote for a smaller party, which they would more prefer. This is an understandable feeling by the voter because only votes for the winning candidate actually count (Blais, 2008).The position is sometimes summed up, in an extreme form, as â€Å"All votes for anyone other than the second place are votes for the winner†(Rosenbaum 2004 ), because by voting for other candidates, they have denied those votes to the second place candidate who could have won had they received them. Following the 2000 U. S. presidential election, some supporters of Democratic candidate Al Gore believed he lost the extremely close election to Republican George W. Bush because a portion of the electorate (2. 7%) voted for Ralph Nader of the Green Party.Exit polls indicated that more of these voters would have preferred Gore (45%) to Bush (27%), with the rest not voting in Nader's absence (Rosenbaum 2004). The people, who voted for Ralph Nader despite of his staggering inability to win, effectively voted for Bush by depriving Gore of their votes even though they would have preferred Gore. With tactical voting, voters, have to predict in advance who the top two candidates will be. This can distort results significantly. One factor that influences tactical voting is the Media. Substantial power is given to the media.Some voters will tend to believe the media's assertions as to who the leading contenders are likely to be in the election. Even voters who distrust the media will know that other voters do believe the media, and therefore that those candidates who receive the most media attention will probably be the most popular and thus most likely to be the top two. The media can also play an important role in persuading voters to use tactical voting. This is exemplified through the use of attack advertisements in television; radio and print media. This happens in the UK. The system may promote votes against as opposed to votes for.In the UK, entire campaigns have been organized with the aim of voting against the Conservative party by voting either Labour or Liberal Democrat. For example, in a constituency held by the Conservatives, with the Liberal Democrats as the second-place party and the Labour Party in third, Labour supporters might be urged to vote for the Liberal Democrat candidate (who has a smaller shortfall o f votes to make up and more support in the constituency) rather than their own candidate, on the basis that Labour supporters would prefer an MP from a competing left/liberal party to a Conservative one (Drogus 2008).The media holds an important role in informing and influencing the public about political candidates. This causes the FPTP system to turn into run-off voting, which is a two round voting system where voters elect two forerunners for the constituency and select one to be winner. The â€Å"first round† of the election is done within the court of public opinion, the â€Å"second round† happens with the official election. This can be seen in the example of the 1997 Winchester by-election: â€Å"Gerry Malone the former Conservative MP who had lost his seat in the general election, was criticized as a â€Å"poor loser† by the media.The Labour Party obtained their worst ever results in a parliamentary election, in part because they hardly campaigned at al l and instead focused their priorities on the by-election in Beckenham held on the same day. It is presumed that most of the Labour supporters decided to vote Liberal Democrat knowing how unlikely they were to win. † (Farrell 1998). The Labour Party voters used their votes tactically because they knew they couldn’t win and were turned off by the Conservative candidates negative image in the press.Another important reason that Canada should select a different election system is that the FPTP system has a large impact on smaller parties. According to Political Scientist Maurice Duverger’s Law, given enough time FPTP systems will eventually become a two party system (Duverger 1972). The FPTP system only gives the winner in each district a seat, a party that consistently comes third in every district will not gain any seats in the legislature, even if it receives a significant proportion of the vote.This puts a heavy strain on parties that are spread geographically t hin, such as the Green party of Canada who received approximately 5% of the popular vote from 2004-2011, but had only won a single riding during that time (Elections Canada). The second problem facing smaller parties in FPTP systems is related to tactical voting. Duverger suggested an election in which 100,000 moderate voters and 80,000 radical voters are voting for a single official.If two moderate parties ran candidates and one radical candidate were to run, the radical candidate would win unless one of the moderate candidates gathered fewer than 20,000 votes. Observing this, moderate voters would be more likely to vote for the candidate most likely to gain more votes, with the goal of defeating the radical candidate. Either the two parties must merge, or one moderate party must fail, as the voters gravitate to the two strong parties, a trend Duverger called polarization (Duverger 1972).Smaller parties will never have a fair amount of representation in proportion to their size. FP TP tends to reduce the number of viable political parties to a greater extent than other methods. This makes it more likely that a single party will hold a majority of legislative seats. Canada has had 33 majority governments out of 41 elections (Parliament of Canada) FPTP's tendency toward fewer parties and more frequent one-party rule can potentially produce a government that may not consider a wide a range of perspectives and concerns.It is entirely possible that a voter will find that both major parties agree on a particular issue. In this case, the voter will not have any meaningful way of expressing a dissenting opinion through their vote. These voters will have to resort to tactical voting and vote for a candidate that they mostly disagree with in order to oppose a candidate they disagree with even more. This is a compromise that the voter should not have to make in order to express them selves politically. The third problem with the FPTP system is that it is especially vulne rable to gerrymandering.Gerrymandering is the process of setting electoral districts in order to establish a political advantage for a particular party or group by manipulating geographic boundaries to create partisan or incumbent-protected districts. The resulting district is known as a gerrymander (Martis 2008). This process is very controversial in Canada and is viewed negatively when attempted. Governments in power to solidify their dominance at the federal and provincial level can use gerrymandering to increase voters in a riding where they do not have as many voters, giving them an unfair advantage upon re-election.The examples of gerrymandering and its effects can be seen in Canada today. The current federal electoral district boundaries in Saskatchewan have been labeled as evidence of gerrymandering, The province's two major cities, Saskatoon and Regina, are both â€Å"cracked† into four districts each, when the populations of the cities proper would justify about thr ee and two and a half of all-urban (or mostly urban) districts respectively; the map instead groups parts of the New Democratic Party-friendly cities with large Conservative-leaning rural areas (Elections Canada)In 2006, a controversy arose on Prince Edward Island over the provincial government's decision to throw out an electoral map drawn by an independent commission. Instead the government created two new maps. The government adopted the second of these, designed by the caucus of the governing party. Opposition parties and the media attacked Premier Pat Binns for what they saw as gerrymandering of districts. Among other things, the government adopted a map that ensured that every current Member of the Legislative Assembly from the premier's party had a district to run in for re-election, whereas in the original map, several had been redistricted.Despite this, in the 2007 provincial election only 7 of 20 incumbent Members of the Legislative Assembly were re-elected and the governm ent was defeated. Pat Binns’ attempt at gerrymandering and loss of the election showed that the Canadian people do not support gerrymandering by politicians (CBC) Even though the FPTP system has many criticisms it does have some qualities that are found attractive. Firstly FPTP systems are generally good at creating majority governments because of their winner take all attitudes.Majority governments are viewed as being more efficient because of their ability to swiftly pass laws through Parliament. However, majority governments increase their efficiency at the price of sacrificing a broader range of political views. Secondly, FPTP is a good way of discouraging extremist parties that seek to bring radical change to the government. This is because larger parties are favored to win seats so unless the party has a very concentrated electoral support the will generally never win any ridings.FPTP has many criticisms and flaws that are easily exploited. These flaws can only be addre ssed by selecting a new electoral system. The FPTP’s key flaw that underlies its criticisms is that it discounts or ignores minority parties and their voters. This effectively causes only voters of the major parties to be able to accurately express them selves politically. In a democracy every vote should count not just the votes cast for the winning party. This is why FPTP is not an adequate system for Canada. The FPTP system fails Canadian voters because it favors tactical voting orcing voters to make unnecessary compromises with their political beliefs. It perpetuates dominance of one or two main parties and discourages growth of newer, smaller parties. FPTP opens up the door for gerrymandering Politicians to take an unfair advantage to solidify their dominance in the government. In conclusion I think that Canada’s First Past the Post parliamentary electoral system should be changed because it favors tactical voting; it has a negative effect on smaller parties; and opens up the possibility of gerrymandering constituencies.

Saturday, November 9, 2019

Discrimination in Virtual Organizations

The International Labor Organization’s (ILO) Convention 111 (Employment and Occupation) prohibits â€Å"any distinction, exclusion or preference made on the basis of race, color, sex, religion, political opinion, national extraction, or social origin, which has the effect of nullifying or impairing equality of opportunity or treatment in employment or occupation†. Title VII of the Civil Rights Act of 1964 was enacted to eliminate discriminations on the following protected classes: (1) Race , (2) Color, (3) Religion, (4) Sex, or (5) National Origin (Henry R. Cheeseman, 2004, p. 802).A firm like Riordan Manufacturing, which is a virtual organization with multiple locations in different countries, has to grapple with issues related to discrimination constantly. Henry R. Cheeseman (2004) explains the categories that constitute the various types of employment discrimination, Race refers to broad categories with common characteristics such as Black, Caucasian, Asian, and Nati ve American. Color refers to the color of a person's skin like light-skinned, dark-skinned, etc. National origin refers to the country of a person's ancestors or cultural characteristics like Hispanic, Italian, etc (p.803). In addition to these, discrimination is possible on the basis of gender (sex) and religion. Gender Discrimination Though the prohibition against sex discrimination is applicable to both men and women, a majority of the sex discrimination cases are brought by women (Henry R. Cheeseman, 2004, p. 805). Discrimination 2 Religious Discrimination Title VII of the Civil Rights Act prohibits employment discrimination based on traditional religions, other religions that recognize a supreme being and religions based on ethical or spiritual tenets (Henry R.Cheeseman, 2004, p. 810). Riordan’s employee demographics reveal a healthy mix of race, color, origin, sex and religion. In such a demographic diversity, there is always a possibility of biased employee treatment. The different forms of discriminatory treatment are: 1. Disparate Treatment Discrimination: This occurs when a specific individual is subjected to discriminatory treatment based on his race, color, religion, sex or national origin. 2. Disparate Impact Discrimination: This occurs when the employer discriminates against an entire protected class. (Henry R.Cheeseman, 2004, p. 803) For a company operating out of multiple locations with diverse work cultures and societal practices, the occurrence of these two forms of discrimination cannot be ruled out. Riordan Manufacturing has prime work locations in the US and China. â€Å"Many racial and ethnic groups in the United States, including blacks, Hispanics, Asians, American Indians, and others, have historically faced severe discrimination- pervasive and open denial of †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦. economic opportunities† (Rebecca M. Blank, Constance Forbes Citro Discrimination 3 & Marilyn Dabady, 2004, p.1). In China, there has been an ob servation of marked gender discrimination, with women being disadvantaged quite often (Zhu Jingde, 2005, n. p). Discrimination based on national origin, race and color is also rife in China. Discriminatory practices in employment are not limited to a few countries. With multiple operation centers in all parts of the globe, Virtual Organizations need to be prepared to face issues of discrimination that might crop up. The role of a manager is critical in ensuring that there is no discrimination occurring inside the organization.His legal and ethical duties pertaining to discrimination start with personal abstinence from acts of harassment and biased behavior. The manager needs to follow a moral code of conduct and act ethically while promoting people since ‘merit’ can be offered as a defense to a charge of discrimination (Henry R. Cheeseman, 2004, p. 810). He has to ensure that there is no occurrence of disparate treatment in the team he is handling. He might come across instances of members of the staff indulging in verbal slurs against other members of a different race, religion, origin, sex or color.In such instances, he should abide by Business Ethics to safeguard the feelings and interests of a protected class. Over the years, there has been a dramatic rise in the number of lawsuits against discrimination on various grounds. Legal action can be detrimental to the reputation and growth of an organization. It is, therefore, the duty of a manager to prevent discriminatory acts to make sure that the company is not at the wrong end of the law. He has to ensure that the staff is aware of the laws against discrimination and instruct them toDiscrimination 4 refrain from harassment of fellow workers on the basis of their race, color, sex, religion or origin. Cultural practices play a huge role in discriminatory issues. For example, in most of the countries in the Middle East, it is not a common practice to employ women. And in a few countries in Asia, r eligion is a major criterion for the recruitment of a candidate. Unlike a democratic set-up, where people have the right to speak-up against discrimination, these countries do not encourage legal action for discrimination.In such cases, Business Ethics play a crucial role in preventing acts of discrimination. Since a virtual organization does not operate out of a single location, it is but natural that its workforce is a mix of different races, colors, religions and origins. A company’s strength is its workforce and when it is diverse like in the case of a Virtual Organization like Riordan Manufacturing, it is all the more important to focus on treating employees equally. This would ensure a healthy work-environment. References Henry R. Cheeseman, Business Law: Legal, E-Commerce, Ethical and International Environments, Fifth Edition, 2004, Ch.41 Rebecca M. Blank, Constance Forbes Citro & Marilyn Dabady, Measuring Racial Discrimination, 2004 Zhu Jingde (2005), The Discrimination against Women in Employment in Contemporary China, Retrieved June 7, 2007, from http://www.womenofchina.cn/research/papers/3026.jsp

Thursday, November 7, 2019

Wuthering Heights comparitive essays

Wuthering Heights comparitive essays The theme of romance was present in the short story Skating Party and Wuthering Heights. In these stories the love the main characters experience a passion for one another that exist entirely outside social and moral conventions. In each case, the main characters act on their passions without full knowledge of the power their passions hold on them. Later on they make an important discovery about the power their passions has on them. The power of passion is progressively exposed in both Skating Party and Wuthering Heights by a series of involuntary and voluntary choices made by the main In both Skating Party and Wuthering Heights the main characters experiences a powerful attraction to another person. In Wuthering Heights, Heathcliff and Cathy experience a passion so intense that it takes over their lives and blurs their sense of reality. This type of passion is shown in the risk Heathcliff took when he visited Cathy at the Grange while she was dying. Cathy so desperately loves Heathcliff that she doesnt want him to leave, even though Edgar is coming back. When Nelly try to persuade Heathcliff to leave he refuses and stays until Edgar comes back. This is a risk since Edgar hates Heathcliff and doesnt want him in his house. In Skating Party Nathan loves Delia, but the reader isnt sure if Delia feels the same way towards him. We can see the passion that Nathan feels towards Delia when he saves her after falling through the ice instead of Eunice. We can see that Nathans passion for Delia caused the death of his fiance at the end because he reached for the hand that didnt have rabbit fur around the cuffs, which was Delias. Through these experiences, we can see that the love that main characters feel for one anoth ...

Monday, November 4, 2019

Writing two responses Essay Example | Topics and Well Written Essays - 250 words

Writing two responses - Essay Example The fact that the blog has focused on informing the people on solutions to modern problems attracted me to the blog. This is because it can help both the teachers and students who have been hard hit by the entry of social media and the internet which is making the students to waste a lot of their time. The current generation of young people needs to be introduced into the online platform at a very tender age. Initially, the learning process was monotonous because there were no creative ways of ensuring that the students remained motivated. The future of the current generation lies on the internet. It will dictate how people communicate, interact, transact, etc. Therefore, introducing new ways of learning through enabling the students to blog at a very tender age motivates them to learn more. However, a lot of care must be taken when taking up such interventions in order to avoid exposing the students to contents that might divert their attention from the studies. Nevertheless, if appropriate measures are taken to protect the young minds, internet can be used as a very effective tool for teaching the

Saturday, November 2, 2019

Marketing and PR Essay Example | Topics and Well Written Essays - 2500 words

Marketing and PR - Essay Example These marketing strategies include differentiation strategy as a suitable generic strategy, and operational strategies such as pricing, promotion, distribution, and the environment. Other strategies adopted were push strategy for distribution of the products and services, and direct sales for the pricing of the commodities. The expected outcomes of the implementation of the marketing plan for the company were; (a) to reach 60 percent of the target population, (b) improve the brand image within four months, and (c) adopt and implement the most appropriate and efficient marketing strategies to reach the targeted consumer. Marketing Plan for the Unsigned Band ‘Yung Mur’ Publicity for the music artist means everything. Proper publicity ensures that the artist or music band are well known and received among the target audience. Gone are the days when musicians and music bands used to rely on record labels for publicity (Griffin, 2010). The world of music and media promotion h as shifted to online promotion. This has leveled the playing field as artists can now compete at the same level. Everyone has a fair chance at success, as long as they make good use of the new promotional opportunities available on the internet. Unsigned bands such as Yung Mur, with the right marketing strategy, can gain even more recognition than their counterparts who are signed by big record labels (Business Resource Software, 2011). The marketing plan should aim to increase the band’s fan base. To do this, the band’s publicity strategy should be targeted at the right audience. The image and brand of the band should be unique and authentic. Authenticity is vital for musicians planning to run publicity campaigns on the internet or using any other new media for promotion. The most important aspect of online marketing for unsigned bands is having a website. A customized website that has been designed professionally is vital to success in the business of music. The webs ite should be about content marketing, and the content needs to be original. The best music promotion websites not look anything like marketing, but they actually function like marketing (Luther, 2011). This is how the Yung Mur website should be like. The website should enable the band to build its own unique platform, find its own fans and sell its music to them directly. Other new media forms that the band can make use of in their promotion include social networking sites and video-sharing websites such as youtube. These two are powerful marketing tools since they have the capacity to form a bulk of the band’s target market. Although internet PR is a wise marketing strategy for musicians and music bands not yet signed to record labels, there remains the issue of competition from these conglomerates. Their influence is still significant because they also make use of the internet as a promotional tool for their work. However, there is also the option of collaborating with the m for the purpose of online music marketing (Business Resource Software, 2011). As an unsigned band, Yung Mur can gain much exposure by collaborating with a music marketing conglomerate which is likely to use its established platform to sell the band’s music. General Overview This marketing plan aims to popularize the name Yung Mur, not only in Britain, but in the rest of the western world. The

Thursday, October 31, 2019

The study in economic factors affecting on the value of Stock Exchange Literature review

The study in economic factors affecting on the value of Stock Exchange of Thailand Index (SET index) - Literature review Example Ross states that the theory predicts the returns on assets and the other risk factors. The theory allows determining the relationship between return of a portfolio and return of an asset. The theory has been applied to determine macroeconomic factors to determine stock through examining seven macroeconomic variables that are risk premium, industrial production, inflation, market return, consumption, and oil prices. The results depict a positive relation between macroeconomic variables and stock return. The fundamental concept in arbitrage pricing theory is the ‘law of one price’ that is, that the two assets cannot be sold  at different prices. The theory determines simpler version than the Capital Asset pricing model in which one operating system affects the returns. Arbitrage pricing theory determines investor’s preference towards risks. Azzez & Yonezawa (2006) study investigates the empirical evidence for the pricing of macroeconomic factors in the Japanese St ock market using APT model. The model determines pre- and post- bubble period of the stock market and determine the relationship between the macroeconomic factors and stock returns (Azeez & Yonezawa, 2006). The study of Zhu (2012) illustrates the impacts of macroeconomic factor (returns of the energy sector in Shanghai. The main objective of the study id to determine the influence of macroeconomic factors on the stock market, it focuses on the exchange rate, industrial production, bonds, exports, imports foreign reserve and the unemployment rate (Zhu, 2012). Quantitative methodology was adopted to conduct a study, and the data was gathered from secondary sources such as, National Bureau of Statistic of China, People’s Bank of China for a consecutive period of 2005-2011. Arbitrage Pricing Theory has been applied to determine the returns of assets and risks. The finding of the study reveals that the exchange rate, export, foreign reserves and the unemployment rate

Tuesday, October 29, 2019

Extreme Ice Essay Example for Free

Extreme Ice Essay In this documentary film, â€Å"Extreme Ice,† produced by PBS TV, 2009, James and scientists shows how glacier ice is melting. James Balog, a photographer, wanted to document and help scientists to understand mountain monumental changes. So he surveyed the ice and went to the places such as Alaska, Green land, etc. The project team which called â€Å"Extreme ice† discovered that there were very serious problems. The sun was the most reason of ice melting. But now, such as Industrial revolution and fossil fuels output green house gases alter the planet. For example, Columbia bay where is the fastest melting ice in the world, the ice is going to be collapsed faster than before. Scientists eventually discover about the mystery of the fast-melting ice at Columbia Bay. They announced that high temperature create more water and the water is melting ice because high pressure water cracked ice open and collapse. So Dr. Tad Pfeffer who is the one of the researchers suspected that if mountain glaciers are continuous melting, then people like living in Asia could not drink water. Frozen ice core record also support the reason. They have periodical ice in National Ice Core Lab in Colorado and it can distinguish between bubbles and pack of air. Late 1990s, Greenland is the hardest so far. But when they visited there, they figured out so many water drained out and it goes booming ice. Approximately 100million people will see to exist the melting ice on coastal countries such as Florida, Bangladesh, and Vietnam. Thats because the film Extreme Ice might mean quickly disappearing the ice and land increasingly.

Sunday, October 27, 2019

Does Media Ownership Need To Be Regulated Media Essay

Does Media Ownership Need To Be Regulated Media Essay In this assignment am aiming to address three main reasons the way how media ownership has to be regulated in digital age. The two aims are will focuses on the European Union in terms of media ownership regulation such as; to protect freedom of expression and the fair regulation of media and media ownership to ensure high quality, unbiased broadcasts and finally, a concern to the public is the protection of privacy. Our lives, our everyday choices, our aspirations (goals) our continually changing values, are constantly shaped by the media in all its forms. For the last 40 to 50 years, we have seen TV dominate, and here in the UK, we have gone from a virtual monopoly to a situation where we have access to unlimited amount of TV channels. In the UK, and most countries, the introduction of regulation of media and media ownership has been a requirement which is unavoidable. In a free society, one major aim is to ensure that each media format, radio, TV, newspapers, have lots of players within the market place. A particular media market with lots of players, and not just one or two major players is said to be plural or in a state of plurality. Governments in free societies aim to ensure that regulation of media ownership ensures this plurality. Some governments have such stringent laws which mean that media owners find it hard to operate in a free way, so companies are limited in terms of expansion and growing in a natural way. Governments have to take into consideration that rules of media ownership do not hold back companies in this way, and hence regulation must aim to balance between plurality, and allowing companies to deliver their media without too many laws that slow down free thinking, creativity and quality. Current media regulation within the UK developed from regulation originally aimed at printed form. Earliest regulation was inadequate and included newspapers only adhering to certain laws and not infringing those laws, such as libel etc. Recently the newspaper industry as its own code-of-conduct, and is said to be self-regulated. Some would view self-regulation as only in the interests of media owners, and not necessarily in the interests of the public and private lives of individuals within the public. Media is going through such a rate of change, its been described as a media revolution, or digital revolution and were said to be in the information age. Change is so fast, and continuing that regulation is under strain to keep up with these new formats. For instance, as Doyle (2002:150) describe in her book; broad-band Internet technologies bring about the possibility of not only conventional TV, but also interactive TV, sitting alongside your home computer network. Increasing numbers of devices are now able to stream media into the home through these broadband providers, such as cable or DSL technologies. This change is world-wide, affecting all countries to some degree, even the poorest third world countries have access in places to these technologies, even if its a little slower on the update than elsewhere. When different media types are able to utilise the same medium of transmission (The Internet), we know this sharing of the medium as convergence. Converged Media is both grea t, but is a headache for regulators work-wide. As new forms of media developed over time, such as radio, TV, and more recently the Internet, regulation has had to develop with it. Currently regulation of these new forms of media in the UK is carried out by a body called Ofcom. In Ofcoms own words:- Ofcom is the communications regulator. We regulate TV and radio, fixed line telecoms and mobiles, plus the airwaves over which wireless devices operate. All forms of media allow us as a society to challenge the status quo, challenging the government to do better for its citizens, and fight against corruption. Laws allow governments to censor the printed media easily, but its not so easy to censor newer forms of media such as the Internet. Throughout the world, its been easy to regulate traditional forms of media which include those mentioned, TV, radio, magazines, newspapers books, but governments are faced with the difficulty in regulation new media which is now international, websites, Internet radio. How can one country regulate media ownership in other countries, because the Internet enables anyone to get media created in other nations? Whilst ensuring plurality has been focused on printed media, to ensure citizens get a wide variety of views from media, the nature of the Internet itself is plural, in my view, more emphasis in future has to be put on regulating media ownership on a global scale, but this is a controversial view. Recently we have seen countries such as China put blanket bans on their citizens viewing a large number of sites on the Internet. These are draconian measures, but shows what lengths some countries may go to enforce their own forms of censorship. The European Union has a directive which is a country of origin rule for the provision of on-line services (information society services). This directive ensures that regulation of the Internet is enforced at the country of origin, and not the country that the public may view the content. This has obvious difficulties, because only certain internationally agreed laws such as child porn are enforced globally. The problem arises when one country has different social values and social practices to another. For instance one country can have very open views on adult pornography to anothers, and their laws will be vastly different in this respect. The EUs country of origin direct prevents the country of destination from applying its own laws to the media providers country of origins media owner. Domestic regulators cannot apply their rules to another member states media owner (incoming services). On the other hand regulators must also apply their own rules to domestic media owners who supply media to citizens of another member state (outgoing services). It follows that if regulations brought in to ensure media ownership is plural, then the outputs of the media should likewise also be plural by their very nature. As an example, we can use satellite TV: If a country allows both domestic and international TV broadcasts to be received by its citizens, then this ensures that there are different views, beliefs and cultural values outputted; hence by nature this medium is plural. Stricter governments and regimes mean that tight controls on media ownership means strict and tighter media output. Going back to printed medias in the UK such as newspapers, laws or acts of parliament, are used for control of media ownership. The government used the Fair Trading Act 1973 to regulate how ownership and takeovers are conducted. In addition the Broadcasting Act 1996 was used to regulate cross-media ownership, and prevent the dominance of one company across the spectrum of media. The government has to be involved with ensuring diversity in output, through the control of ownership. I think that its important ensure competition within the market using laws that control ownership in this way, ensuring regulation for plurality can be achieved through control of ownership. A worst case scenario if whereby one company, say Rupert Murdochs newspaper industry gets so strong that it is able to turn say news into a monopoly; this would mean that Murdoch would be able to control who gets voted into government, what we by, wed only tend to go for certain brands. A monopoly would mean that the public interest was not being served, and wed continually be misinformed in the interests of only that company. In history we have seen where the control of all media forms can cause bloodshed on a wide scale, recently in Rwanda, Bosnia, and further back in the Second World War. In order to stop this happening again, its important to ensure that media provides a balanced, view, and regulation though business law through acts of parliament will ensure this is prevented. The European Unions E-Commerce directive seems to ensure that on the European scale, the regulation of media ownership ensures a wide variety of media types and additional internationally agreed laws on privacy, data protection, and child pornography for instance can be utilised to protect citizens where local laws are not adequate in this respect. The European Court of Human Rights (ECHR) has also implemented laws on media ownership, such Article Eight: Freedom of Expression. The complexity of broadcasting laws throughout the world can be seen within the EU, as the EU continues to find new ways of ensuring that cross-border media outlets are regulated in a way that participating countrys all play a part in allowing freedom within a set of guidelines that still stays within the public interest. These laws for cross-border media types such as the Internet and satellite TV do not pertain so much to older media types like newspapers and laws on media ownership is left to individual member states to take care of. Its not all plain sailing within Europe, because there has been stiff opposition to laws that hinder Freedom of Speech and Freedom of the press. The European Union has come up with an EC directive known as Television without Frontiers, which takes the result of the Convention on Trans-frontier Television into current European Law on media ownership. So we have seen that the two aims of the European Union in terms of media ownership regulation are: To protect freedom of expression The fair regulation of media and media ownership to ensure high quality, unbiased broadcasts. The third aim, which recently has come more of a concern to the public is the protection of privacy. People should have some degree of privacy in their lives, and domestically newspapers have been allowed to invade someones privacy on the basis that its in the public interest. Different member states within the EU have different views of what is in the public interest, and where we have new forms of media that have no borders, then how do we tackle news based on peoples private lives, and where do you draw the line on what should be an invasion of privacy and what is in the public interest if different member countries greatly differ on that. The European Union has tended to shy away from this issue, and concentrate more on enforcing laws on media owners concerned with intellectual property rights, and copyrights, with slightly bit more emphasis on privacy only recently. The European Union approach with the television directive has looked more on media content in terms of violence, pornography racial hatred and the right to reply. These paws prevent broadcasters from going over the top in what they broadcast, whilst ensuring that ownership remains broad and international ensuring that freedom of expression is OK in all member states. The EU is not so concerned with individual media moduls like Murdoch taking control of large swathes of the media, and this controlling public opinion without variation, but is more concerned with plurality and diversity of media. In my opinion, this is right, and a balanced view form a wide variety of media owners can be achieved this was right across the European Union though this type of regulation. Rasiah Newell state: Relaxation of ownership regulation might shift attention to content controls. Again, multiplicity of outlets and communications convergence provide arguments against such controls. Scarcity and impact might have justified special statutory controls over broadcasting until now, but such reasons have no relevance to the future information and communications industry. The print media would never accept such statutory interference with freedom of expression. It is vehemently opposed to licensing or pre-vetting and could not accept due impartiality requirements its current self-regulatory code expressly preserves its freedom to be partisan. In the multi-media world there is little danger of information monopoly. Rasiah Newell attempt to describe here how the print media have prevented the government here in the UK from attempting to enforce laws that restrict or interfere with their freedom of expression; it would mean death for any UK government that went up against the print industry. However, by relaxing regulation of ownership means that content is more of an issue, and we have seen that on the European level. I am unsure that a self-regulating press can be totally in the pubic interest, and would like to see more of an effort on the European level to tackle issues such as privacy and what is in the interest of the public on a European level, as the UK papers seem to get away with murder sometimes.