Thursday, December 26, 2019

Agricultural Credit - 3628 Words

An Assessment of Agriculture Credit at PNB Introduction Agriculture plays a crucial role in the development of the Indian economy. It accounts for about 15.7 per cent of GDP and 52.1 per cent of the total workforce of the population is dependent on the sector, and despite a steady decline of its share in the GDP, is still the largest economic sector and a significant piece of the overall socio-economic development of India. The importance of farm credit as a critical input to agriculture is reinforced by the unique role of Indian agriculture in the macroeconomic framework and its role in poverty alleviation. Recognising the importance of agriculture sector in India’s development, the Government and the Reserve Bank of India (RBI) have†¦show more content†¦Indirect finance denotes to finance provided by banks to farmers indirectly, i.e., through other agencies. Important items included under indirect finance to agriculture are as under : (i) Credit for financing the distribution of fertilisers, pesticides, seeds, etc. (ii) Loans upto Rs. 25 lakhs granted for financing distribution of inputs for the allied activities such as, cattle feed, poultry feed, etc. (iii) Loans to Electricity Boards for reimbursing the expenditure already incurred by them for providing low tension connection from step-down point to individual farmers for energising their wells. (iv) Loans to State Electricity Boards for Systems Improvement Scheme under Special Project Agriculture (SI-SPA). (v) Deposits held by the banks in Rural Infrastructure Development Fund (RIDF) maintained with NABARD. (vi) Subscription to bonds issued by Rural Electrification Corporation (REC) exclusively for financing pump-set energisation programme in rural and semi-urban areas and also for financing System Improvement Programme (SI-SPA). (vii) Subscriptions to bonds issued by NABARD with the objective of financing agriculture/allied activities. (viii)Finance extended to dealers in drip irrigation/sprinkler irrigation system/agricultural machinery, subject to the following conditions: (a) The dealer should be located in the rural/semi-urban areas. (b) He should be dealing exclusively in such items or if dealing inShow MoreRelatedGovernment Of Indi The Four Distributional Aspects Of Agricultural Credit Essay1487 Words   |  6 Pagesinstitutional credit. It is true that there have been some improvements in flow of farm credit in recent years. However, the Government has to be sensitive to the four distributional aspects of agricultural credit. These are: (a) not much improvement in the share of small and marginal farmers . (b) decline in credit-deposit (CD) ratios of rural and semi-urban branches. (c) increase in the share of indirect credit in total agricultural credit and. (d) significant regional inequalities in credit. (PoliciesRead MoreThe Demand Side Issues Of Agricultural Credit Essay1283 Words   |  6 Pages Sriram (2007) has stressed that the policy intervention in agriculture has been credit driven only, which becomes more pronounced in the recent interventions made by the government through the policy of doubling of agricultural credit, providing subvention and putting an upper cap on interest-rates for agricultural loans, revival of co-operative credit structure through the package recommendation by the Vaidyanathan Committee and policy responses to farmers suicides butRead MoreAgricultural Machinery Market : A Case Study Essay1590 Words   |  7 Pages Agricultural Machinery Market A Case Study Department of mechanical Assistant Professor and Industrial Engineering Department of mechanical and Industrial Indian Institute of Engineering Technology Roorkee Indian institute Of Technology Roorkee Table of Contents I. Introduction Problem Highlights Topic Justification scope and limitations II Policy III Tractor sales IV Growth in different segment IV Indian agricultural machineryRead MoreEssay On Agricultural Subsidies808 Words   |  4 Pagesdevelopment of export subsidies are extending to other regions.According to Kimberly Amadeo an M.S. in Management from the Sloan School of Business, â€Å"The Export Credit Guarantee Programs provides commercial financing to enable the exports of U.S. farm products. Specifically, the USDA guarantees the credit of foreign buyers when they cant get credit approval locally. The Dairy Export Incentive Program (DEIP) pays cash subsidies to dairy exporters to help them meet the subsidized prices of foreign dairyRead MoreCases of Multiple Providers of Agricultural Extension Service in Bangladesh833 Words   |  3 Pages1.2 Agricultural Extension System: the Bangladesh case In Bangladesh a multitude of agencies from private and public origin offer extension support to the farmers (ASIRP, 2006). Although recent years witness a noticeable change in agricultural extension service providers, the public institutions still remain the dominant. The new entrants to the field include non-governmental organizations (NGOs), the private sector agribusiness enterprises and grass-root institutions eg. Self-Help and micro-creditRead MoreAgricultural Adjustment Program : The Price Loss Coverage ( ARC )734 Words   |  3 Pagesyears the Agricultural Act has allowed the federal government to award billions of dollars to farmers, that determines the foods grown and the foods we eat. The Agricultural Adjustment Act of 1938 mandated the government to pay grant subsidies for corn, wheat and cotton, to maintain adequate supplies of these staple goods during low production times (Orden Zulauf, 2015). The farm bill is revisited every five years, encompassing farm commodity p rices and programs, income, farm credit, trade, agriculturalRead MoreEssay on Problems with Agricultural Subsidies in the United States1645 Words   |  7 PagesIn the 1920s, farmers were encouraged to increase food production to keep up with the demand for food caused by World War I. After the war ended, production stayed at a high level, which led to a large surplus in agricultural products. The large surplus caused a steep drop in the price for the products. The drop in prices caused the market value for crops to go down and made things tougher on the economy. The United States government decided that the best way to correct the market was to put a limitRead MoreThe Educational Institution Approach : Planning1186 Words   |  5 Pagescontrolled by those determining the curriculum of the educational institution. Implementation is through formal or nonformal instruction in groups or individuals through a college or university. Attendance and the extent of participation by farmers in agricultural extension activities are the measures of success. Ideally, researchers learn from extension personnel who, in turn, learn from farmers. However, this rarely occurs in practice. The advantage of this approach is the relationship of specialized scientistsRead Moreexecutive Summary-John Deere3676 Words   |  12 Pagesof agricultural machinery headquartered in Moline, Illinois. What started as a small business operation has sprung into a multibillion-dollar global operation. In 2013 alone, the company boasted sales of $37.80 billion. Founded in 1837 by a blacksmith, the company originally only built plows, and did not assemble their first tractor until they purchased a small tractor company, Waterloo Boy, in 1918. Now the green and yellow machinery is recognized around the world. Although agricultural equipmentRead More American Agriculture Needs a Free-Market System Essay2034 Words   |  9 PagesE...I...E...I...Ohhhhhhh..... The United States Government and agriculture have had a working relationship for most of the twentieth century. In 1916, Congress established the Federal Land Bank to provide farmers with easier access to credit. Then, during the Great Depression, many New Deal programs came to the aid of the farmer (Rapp, 1988). A system of price supports and production quotas was established to ensure price stability. For the first time, farmers were being told not to grow

Wednesday, December 18, 2019

Characteristics Of A Small Town - 1313 Words

Have you ever gone on a road trip and you re driving through a loud, hectic city and then, BAM! You reach a quiet countryside surrounded by charming houses, and it seems so serene? You have just stepped foot in a small town. I personally prefer living in a small town rather than a big city because I am more comfortable with a smaller area. I come from a small town of about 6,000 people, and I have to say it is so much better than living in a big city (AreaVibes Inc.). Unique characteristics of a small town, a relaxed pace of life, and a safer environment are all reasons to live in a small town. The small town is home. Small towns have their own special characteristics. Not only are they surrounded by beautiful outdoor nature, but they also have a great small town hospitality. You will find people to be more welcoming and will take the time to say hi to you. The environment is much cleaner. You can get to know your neighbors better and makes lots of friends in a small town. It is easi er to get involved in the community. The best thing about small towns is their low cost of living compared to a big city. It is far better to live in a small town where people can take a break to smell the roses and make connections with the people around them. The air is fresh because there is lower population, less vehicles, and less traffic jam. Also, there are lots of trees, forests, or lakes in small town that gives people fresher air. Furthermore, people in rural areas have moreShow MoreRelatedThe Lost Continent as an Epic1143 Words   |  5 Pagestraveling Bill Bryson is in search of a perfect small town. The Lost Continent is a journey traveling across North America with Bill Bryson as the hero and New England as the underworld and Bryson is trying to find his perfect small town to make his story a true epic. Bill Bryson takes on his journey while traveling across North America to find his perfect small town that preserves, restores, rich, and white. Bill Bryson was in search of a perfect small town which he thought he could find somewhere inRead MoreThe Sweet Hereafter and The Pied Piper of Hamelin Essay670 Words   |  3 Pagesthe painful effects disaster can have on a small town. While the people of Hamlin had the Piper to directly blame for their miseries, the people of Sam Dent did not. Both stories are based on the loss of the children in a small town. In The Pied Piper the towns children are lost forever when the Pied Piper leads the majority of them into a cave and seals it off, leading them away from their families, never to return. This occurs due to the towns peoples greed and dishonesty to hold anRead MoreWhere My World Began Essay598 Words   |  3 PagesCharles Maclean Mrs. Burton ENG 3U March 18th 2013 A Small Prairie Town Margaret Laurence describes the basis of her views on the world in her autobiographical essay â€Å"Where the World Began† to represent Canada. She states that her small prairie town constitutes the way she has formed her views. She uses the microcosm of her small town to show Canadas growth as a country through her childhood memories , the seasons of her small town, and where you are raised affects your perspective on theRead MoreSnow Lake Is A Town Of Eastern Arkansas Near The Mississippi River1419 Words   |  6 PagesSnow Lake Snow Lake is a town in eastern Arkansas near the Mississippi River. Calling this area is a town, though, is a stretch for this â€Å"town† only has around 50 people. The area also lacks many other town characteristics. The closest gas station is sixteen miles away from Snow Lake and the restaurant is twenty-six miles away at the town of Elaine. To get any supplies other than what is carried at a gas station Snow Lakers must travel fifty miles to Helena-West Helena which is also the closestRead MoreReflection Of My Personal Culture753 Words   |  4 Pagesand how they interact with the world. Many different characteristics have really shaped me to become who I am today. My personal culture has shaped my own thinking and perception of the world considering that I grew up in a small town, my family’s careers, and having divorced parents. In the conservative small town of Mont Belvieu, Texas with a whopping 5,500 population, there is little room for outside opinions. It is just another southern town that revolves around football and church on SundaysRead MoreEssay on Matewan and Norma Rae922 Words   |  4 Pagesselling their time and energy. However, the town of Matewan, governed by the Stone Mountain Coal Companies monopoly on the land and businesses, and isolated by distance and limited technology, as fallen into a feudalistic condition. Despite the fact that Norma Raes small hometown of Alabama bears a great resemblance to the town of Matewan, their economic situation remains a form of capitalism. Though the Henely Mill is a dominating force in the small town, with a strong financial hold over the citizensRead MoreEthical Issues Of Walmart s Corporate Social Responsibility Using The Four Part Csr Model1052 Words   |  5 PagesIs Walmart socially responsible while it has a devastating impact on small merchants? Walmart knows how it is seen to the public has either an angel or a demon so they are conscious of their social responsibility but more as a whole them to the small merchants they impact when they come into a community. Figure 2-5 in our text lists the top 20 activities and characteristics of social responsible companies, the characteristics used by Walmart are, promotes energy conservation program: renewableRead MoreAnalysis Of Louise Erdrichs The Branch829 Words   |  4 Pagesnew town to live with their aunt and exhibit contrasting reactions to the new environment. Erdrich uses vivid imagery about the town, contrasting diction, and anaphora to portray the stark contrast between the two children on their reaction to the new environment, one being a realist and another being a romantic, and to foreshadow the ending of the passage where the children grasp the harsh reality of the environment in different ways. The author uses plentiful imagery to describe the town andRead MoreSymbolism In The Fat Boy By Owen Marshall807 Words   |  4 PagesAnalyse how the author uses symbolism to communicate an important idea for a particular purpose in a written text. ‘The Fat Boy’ is a short story written by Owen Marshall. The important idea explored in the short story is that small communities in New Zealand can be very judgemental. Instead of admitting they have a problem in their community, residents often choose to blame outsiders and minorities, which means that the real cause of the problem is never solved. In this short story, Marshall usesRead MoreThe Monster By Stephen Crane967 Words   |  4 Pagesand early 20th century. The characters seemed true to the roles that were usual for certain races during this time period. African Americans were typically hired as the help, and often were the spectacles of the town, and Caucasians were typically the leaders, doctors, and judges of the town. In this paper, we are going to look closely at the characters of this complex story, and also how race played a huge role in this story. Many factors played a role in the story, but the effects of race was the

Tuesday, December 10, 2019

Retail Grocery Store Marketing Strategies †MyAssignmenthelp.com

Question: Discuss about the Retail Grocery Store Marketing Strategies. Answer: Introduction: The first P is defined as Product. A product can be a good or service which fulfills customers expectations. A product is the requirement of consumer. The XYZ supermarkets offer products such as fresh fruits and vegetables. It provides various kinds of fruits and vegetables at attractive offers. The supermarket also makes available organic fruits and vegetables. Plastic bags are totally banned by the supermarket for carrying fruits and vegetables, jute bags are given .Some decisions are supposed to be taken while launching a product and these are: Name, quality, quantity, lifecycle, guarantee, precautions, packaging, repair, profitability, differentiation and many more. Price is what a consumer is supposed to pay for a product. Price has important role in profit margins, demand and supply. The prices offered by XYZ supermarkets in Johor Bahru are fixed. The variation in the price are based on the quantity and quality of the product .The variation in price is also based on the type and quality of the product (Chrysochou, 2010).Consumers have various options for making payment such as- plastic money, coins, debit card, credit card. Some examples of pricing decisions are discounts management, offers, price gain, price discrimination and many more important areas. Place is where a customer can get a product. Distribution channel is the main element of Place. A businessman faces its competitors at Place. A customer gets different kind of products at a place. If a transaction does not happen at place then it occurs online. XYZ Supermarkets can be established at any place like-railway station, airports, local area market as these are highly populated. Decisions taken in case of place are orders, warehousing, transportation, channels and competitors. Promotion includes various terms such as advertisement, sales promotions, publicity, direct selling, public relations and so on. Promotion is the way to communicate with customers. After getting price and place we have to promote the product. The XYZ supermarkets can make use of promotion tools as per their suitability and funds reserved. Boarding and banners are widely used at the prime locations for the awareness in Johor Bahru (Glanz, Bader Iyer, 2012). Television is also one of the effective tool for the promotion however its quite expensive method. Decisions required in promotions are marketing strategy, type of media, direct selling, advertisement, publicity and many more ways. Market segmentation means segregation of customers into groups who have common needs, interest and taste. Market segmentation gives identification to customers based on their priorities. In Johor Bahru market segmentation is done by XYZ supermarket on the basis of following variables- In Market segmentation, Demographic variables are done on the basis of the occupation of the people. The different segment of people includes students, laborers, working people, and senior citizens. Segment is also done on the basis of income, age and gender of customers. In the psychographic variable segment is done on the basis of lifestyle, preference and choice of customers management. Behavior variables are identified as attitude of the consumer. Consumers prefer to eat green and organic vegetables. For this the owner maintains more stock of these for consumption. References Chrysochou, P., 2010. Food health branding: The role of marketing mix elements and public discourse in conveying a healthy brand image.Journal of Marketing Communications,16(1-2), pp.69-85. Glanz, K., Bader, M.D. and Iyer, S., 2012. Retail grocery store marketing strategies and obesity: an integrative review.American journal of preventive medicine,42(5), pp.503-512.

Monday, December 2, 2019

The Population Bomb Essays - Population Ecology,

The Population Bomb By Paul Erhlich The book The Population Bomb, Paul Erhlich describes the impending problem of human overpopulation. Eventhough this book was written in the 1960's, Erhlich still brings up many points which are still valid in today's society. Environmental science often is not thought of by the public or the government, let alone the problem of human overpopulation, so this book served as one of the first looks into the issue. Environmental activists are often shunned as being too leftist or straight out insane. By making many logistical arguments, Mr. Erhlich shows us that environmental problems aren't so farfetched. Erhlich speaks of several problems which are intertwined with the one of population. The first problem which Erhlich delves into, is that of the depleted food source. As the population grows larger, the food supply diminishes. He claims that there are 2 natural solutions to this problem; one being the death rate solution, and the other, the birth rate solution. The death rate solution would be the increase in the death rate and the birth rate solution would be a decrease in the birth rate, respectively. Erhlich also warns that the doubling times of populations are becoming more frequent and that exponential growth will start occurring, and from studies done on animal populations, we know that exponential growth leads to near extinction. Another problem Erhlich speaks of is the environmental erosion due to human exploitation. Humans also always turn to pesticides to take care of their problems, however they do not realize that what they are doing is slowly killing themselves and everything on the Earth, along with the pests the poison is intended for. As a cause of the overuse of pesticides, the agricultural worth of the farmland is also decreasing. Erhlich warns that pesticides only create resistant pests and aid in the formation of cancer. Some pesticides seem to have no apparent effects, but they actually are building up in the body, by being stored in the fatty tissue, such as DDT. Erhlich also speaks of the arising problems created by the use of monoculture for farming and of the simple ecosystems we are creating to make things easier for ourselves. By implementing monoculture, we are facilitating the destruction of the crops. Crops are more susceptible to disease and pests by not having any variety. Pesticides also cause pollution. They pollute not only our air, but our land, water and bodies. Pesticides run off from the land into rivers, then are carried into the ocean where they contaminate our food and water supplies, leading in some cases to death. For instance, Lake Erie is now "dead" because of pollution. It is horrible that we are killing the very thing which supports us. The only time when the government will take action to help the environment is when there is massive death tolls. Erhlich claims that we are playing "environmental roulette" by ignoring the preservation of the environment. Lead pollution, over reliance on fossil fuels, and pesticides are ruining the Earth. We have too many cars, too many people, too little water and not enough food. Erhlich says that if we do not stop what we are doing, then nature will remedy itself of this problem by way of a death solution. We have unknowingly begun self-extermination. Overpopulation causes diseases to be more readily spread. There will not be enough doctors to take care of the sick, sanitation will go down, and vectors will be able to survive and spread diseases. Viruses will be spread by our rapid transportation systems and biological warfare may take place. (How right he was about that!) Erhlich explains that we need to begin using contraception, need to begin caring and environmentalists need to be allowed to take action. We also should increase food production and let farmland rest to regain lost nutrients. To my knowledge the novel did not have much direct effect on the way environmental science is approached. What this book did accomplish is to alert people to the problem. No one ever thinks that human population could be a problem. According to humans, humans are never the source of a problem, so then why concern yourself with something such as human population?

Wednesday, November 27, 2019

Free Essays on Kranzbergs Laws

Mel Kranzberg, a leading historian of technology, postulated several â€Å"Laws† in regards to his field of expertise. These â€Å"Laws† regarding the history of technology are both well known and well respected. The objective of this paper is to explain the meaning behind two of these â€Å"Laws†, and to site examples of why they may be considered truths. The first â€Å"Law† to be discussed states that, â€Å"Invention is the mother of necessity.† This may sound very familiar to many people, but don’t be fooled. There is a common saying that states, â€Å"Necessity is the mother of invention†, but these are not the same. Many people know the latter saying and its meaning. It quite simply states that if an individual or society needs something, they will come up with a solution to perform the desired task. In most cases this involves inventing a new device or technique. However, saying the reverse, â€Å"Invention is the mother of necessity†, is not as simple to understand, and requires a deeper of a thought process to comprehend its meaning. In 1879, Thomas Edison invented the light bulb. This was a practical invention, however it was not a necessity in 1879 to have light bulbs. Society would have maintained its functionality at the same rate if the light bulb were not invented. It is true this invention made a large impact, and it made everyday life simpler, and pushed society forward. The goal is not to take these attributes are not being taken away from the light bulb. The point being made is that the light bulb was not invented due to the fact that it was necessary to have electrical lighting, however if one were to take away the idea of a light bulb in today’s society imagine the consequences. For over one hundred years people have used light bulbs to make their lives easier. If this great invention of Mr. Edison were taken away it would have a huge impact on society. Everything would be affected. It would... Free Essays on Kranzberg's Laws Free Essays on Kranzberg's Laws Mel Kranzberg, a leading historian of technology, postulated several â€Å"Laws† in regards to his field of expertise. These â€Å"Laws† regarding the history of technology are both well known and well respected. The objective of this paper is to explain the meaning behind two of these â€Å"Laws†, and to site examples of why they may be considered truths. The first â€Å"Law† to be discussed states that, â€Å"Invention is the mother of necessity.† This may sound very familiar to many people, but don’t be fooled. There is a common saying that states, â€Å"Necessity is the mother of invention†, but these are not the same. Many people know the latter saying and its meaning. It quite simply states that if an individual or society needs something, they will come up with a solution to perform the desired task. In most cases this involves inventing a new device or technique. However, saying the reverse, â€Å"Invention is the mother of necessity†, is not as simple to understand, and requires a deeper of a thought process to comprehend its meaning. In 1879, Thomas Edison invented the light bulb. This was a practical invention, however it was not a necessity in 1879 to have light bulbs. Society would have maintained its functionality at the same rate if the light bulb were not invented. It is true this invention made a large impact, and it made everyday life simpler, and pushed society forward. The goal is not to take these attributes are not being taken away from the light bulb. The point being made is that the light bulb was not invented due to the fact that it was necessary to have electrical lighting, however if one were to take away the idea of a light bulb in today’s society imagine the consequences. For over one hundred years people have used light bulbs to make their lives easier. If this great invention of Mr. Edison were taken away it would have a huge impact on society. Everything would be affected. It would...

Saturday, November 23, 2019

Number of McDonalds Restaurants Worldwide

Number of McDonalds Restaurants Worldwide According to the McDonalds Corporation website (as of January 2018), McDonalds has locations in 101 countries. More than 36,000 restaurants around the world serve 69 million people every day. However, some of those locations listed as countries are not independent countries at all, such as Puerto Rico and the Virgin Islands, which are United States territories, and Hong Kong, which at the time of establishment was under British control, before its handoff to China. On the flipside, there is a McDonalds on the island of Cuba, though its technically not on Cuban soil - its on the American base at Guantanamo, so it qualifies as an American location. Regardless of country definition, 80 percent of the locations are owned and operated by franchisees, and 1.9 million people work for McDonalds. In 2017, revenue for the fast-food restaurant amounted to $22.8 billion. In 1955 Ray Kroc opened his first location in Illinois (the original restaurant being in California); by 1965 the company had 700 locations. Just two years later the company officially went international, opening in Canada (Richmond, British Columbia)  and Puerto Rico in 1967. Now, Canada has 1,400 McDonalds restaurants, and Puerto Rico boasts 104. Canadas McDonalds locations are the biggest restaurant buyer of Canadian beef in the country. Different McMenus Worldwide Besides buying their ingredients where they operate, around the world the restaurants also adapt the McDonalds menu to local tastes, such as Japan serving a pork patty teriyaki  burger and Seaweed Shaker or chocolate-drizzled fries, Germany serving shrimp cocktail, Italys burger being topped with  Parmigiano-Reggiano  cheese, Australia offering a guac salsa or a bacon cheese sauce as a topping for fries, and French customers being able to order a caramel banana shake. Available only in Switzerland is the McRaclette, a sandwich of beef that includes slices of raclette cheese, gherkin pickles, onions, and a special raclette sauce. But forget the beef in India. There the menu includes vegetarian options, and they specialize the cooks in the kitchen - people cooking meats, such as chicken, dont cook the vegetarian dishes.   Historically Significant Worldwide Locations During the Cold War, some of openings of the countries McDonalds restaurants were seen as historic events, such as the first ones in East Germany shortly after the Berlin Wall fell in late 1989, or in Russia (then the U.S.S.R.) in 1990 (thanks to prerestroika and glastnost) or other Eastern Bloc nations and China during the early 1990s as well.   Is McDonalds the Largest Fast-Food Chain in the World? McDonalds is a huge and mighty fast-food chain but is not the largest. Subway is the largest, with 43,985 stores in 112 countries  as of early 2018. Again, many of these countries are not independent and are merely territories. And Subways restaurant count certainly includes all those that are part of other buildings (as half of a convenience store, for example) rather than counting only standalone restaurant locations. The third runner-up is KFC (formerly Kentucky Fried Chicken), with 20,500 locations in 125 countries, according to its official website. Other widely spread worldwide food brands that the United States has exported include Pizza Hut (14,000 locations, 120 countries), and Starbucks (24,000 locations, 75 markets).

Thursday, November 21, 2019

How to use the knowledge the effective business communication Effect Essay

How to use the knowledge the effective business communication Effect the future injobs and colleges - Essay Example E-mails that are sent out in an organization need to be written and sent in a manner which could easily be read and understood by the right mix of audiences that work within an organization. This means that the language used should be readable and easy to interpret. (Jackson, 2007) Any organization would dearly want to have employees who could make out from a variety of different Internet languages, which also brings to light the notion of understanding and comprehending the ‘net lingo’ – the mix of informal Internet language and the common, daily use terms like ‘hey’, ‘u’, ‘f9’ and so on. Different persuasions come across within business communication tenets. One is based on the direct persuasive abilities while others are more sedate and passive in nature. Similarly, messages might range from a formal nature to one of an informal one. Job search mechanisms within an organization might become significant when there is a need to hire new employees. For this process, cover letters and resumes are checked upon so that aspiring candidates could be called upon and given a chance to express their strengths in the interview sessions. A successful communication system is achieved by training and assistance for the employees within their offices and work places. Be a company in Calcutta, Brisbane or Hong Kong, it is necessary for the company owners to understand the need for a solid platform for all people within it, the ones interacting with it and all the rest to talk freely and express the ideas and share the thoughts which are so very necessary for the development of ties among different branch outlets of a company and more than that, the people within them. There is a need for a code-breaker within the business, which understands what the other person is saying and what he/she is trying to pass through his/her judgments, more so

Tuesday, November 19, 2019

Nutrition Essay Example | Topics and Well Written Essays - 750 words - 1

Nutrition - Essay Example The overall effect of these factors is however, cell impairment that inhibits the function of insulin to stimulate absorption of sugar into cells. When this resistance occurs, sugar cannot be efficiently absorbed and its levels rise above optimum. One of the major causes of type 2 diabetes is genetics. The disease is hereditary, which means that a parent with the disease before a child’s birth is likely to transfer the complication to his or her child. Similarly, diagnosis of the disease in a sibling is an indicator that a person is likely to be a victim. This is however a reflection of the genetic transfer from a parent (Diabetes, 1). A person’s origin has also been identified as a factor to developing diabetes. This is because some races have shown significantly higher susceptibility to the type II diabetes than others have. An example is the American Indian race. As a result, being an American Indian increases a person’s chances of contracting the disease. â€Å"High blood pressure,† as high as â€Å"140/90† and above is another factor that causes type II diabetes (Diabetes, 1). The basis of the disease, inability to experience efficient absorption of blood sugar into cells, explains the role of blood pressure in causing the disease. This is because transfer of molecules through cell membrane, whether facilitated by insulin or not, is a factor of pressure hence unfavorably high levels of pressure hinders the sugar molecules’ flow into cells. High levels of cholesterol also affect sugar absorption into cells causing type II diabetes. Higher levels such as above â€Å"35mg/dLâ €  have for example been identified to cause the disease (Diabetes, 1). Similarly, factors such as being overweight or being physically inactive also cause the disease and can be associated with effects of excessive accumulation of fats in the body (Diabetes, 1). People with type two diabetes exhibits specific complications that have been

Sunday, November 17, 2019

Miranda warnings Essay Example for Free

Miranda warnings Essay Miranda warnings were created to protect individuals and their rights against coercive or threatening questioning methods by police officers from Miranda Warning.org(2013). Everyone has heard the â€Å"you have the right to remain silent† speech, so on and so forth. These rights do not just apply to adults but juveniles as well. In the case of the young boy who was arrested standing outside someones home there are four issues that need to be addressed. To the new officer I would address the situation as follows. So during your first arrest there were a few things that need to be addressed as to how it went about. When you were dispatched to the home burglary you approached a young boy outside the home. You arrested him. I would not have just arrested him. Asking him if he lived at the residence, his age, name or who his neighbors are could have given you a good idea if he belonged there. As it seems also without speaking to him until you came to the police station realizing he did not speak English. According to E-how (2013), in order to arrest someone you must have probable cause. You had no evidence or probable cause to believe this boy had anything to do with a past, current or future crime to be committed. It was never indicated the boy had any weapons or tools to access the home. Without probable cause or evidence any kind of information or statements from the boy would not be allowed in a prosecution case. The next issue was that you arrested the boy whom you still have no name or age for and took him to the station without clearing the scene. Protocol for these types of situations is that once either an alarm system is set off or even dispatched from a concerned citizen call you always make sure the home is secure. If that means calling for backup then do so. You secure the person in the squad car, wait for backup and check to see if anyone is home. Check the doors, windows or basement access to ensure nothing is, isnt broken or open. If something is accessible you announce yourself, make entry and clear it for any other suspects. If dispatch is able to contact alarm company or homeowners you wait until they arrive from Protection1 (2013). You do not know if that boy was a lookout or the 3 burglar. If he was the lookout, the other accomplice got away. Or the other person could remain in the house continuing to burglarize and could run into the homeowner. This creates a dangerous situation for each person that we do not need for it could cost lives. When the two of you arrived at the station you could see that the boy did not understand English because you tried to question him. You did know and understand to read the rights to him but failed to get any type of help with a translator. According to Fox News Latino (2013), a court ruled that Miranda Rights were to be read in the accused first native language. You could have requested to use an application from a cell or internet source. You also could have asked to try to locate someone who speaks his language (mandarin).Nothing was done to find a way to translate the warning to get an understanding of the situation. The last issue with the Miranda warnings is that once the family member who came for the boy who spoke English no Miranda Rights were read to either of them. Getting the family member to translate, give information such as a name and age of the boy could be crucial also. You did not read either of them rights or asked if they understood what their rights were before speaking to the family member on behalf of the boy. So this comes back to any information given will not be able to be used in court. The case was handed over to a follow up investigator. Supreme Court (2013) ruled that â€Å"Under federal law, a suspect taken into custody must be read his or her Miranda rights by law enforcement. Certain uses of restraint — handcuffs, a prolonged interrogation, certain surroundings — add up to custody.† How do you think the prosecution will be able to use any information given if you didnt read them their rights? These issues could have been resolved by following home burglary protocol. Checking, clearing the scene for safety issues, hazards or other people. Secondly when going to arrest someone you must follow the law that in regards to probable cause. There must be intent or physical evidence of a crime 4 going to be or already committed. Make sure you have this key element and when in doubt ask for advise. Thirdly it is a federal law to read a suspect his rights before any type of questioning. Failing to do so can result in dismissal of the case and all charges dropped. Even if the boy is a juvenile his rights must still be read if in custody. You arrested him and brought him to the station, hes in custody. Lastly when having an issue of translation with someone who doesnt speak English contact a higher up to see what should be done. You could have tried using an application on a cell phone or internet source to translate his words and yours. Using the family member is a risky chance because they could tell them or you wrong to get the issue dropped. It could steer the investigation in the wrong direction. Letting it slide will not help the situation any nor a possible case against the boy. When ever in doubt reach out for help or advise from another officer, investigator or supervis or. 5 References Arrested without Probable Cause Laws (2013). Retrieved from http://www.ehow.com/list_6806016_arrested-probable-cause-laws.html Fox News Latino (2013). Court Rules Miranda Rights Must be given in Correct Spanish. Retrieved from http://latino.foxnews.com/latino/news/2013/07/16/court-rules-miranda-rights-m ust-be- given-in-correct-spanish/ or http://www.us-english.org/view/124 How Do Police Respond to a Burglary (2013). Retrieved from http://homesecurity.protection1.com/police-respond-burglary/ Miranda Warning Facts (2013). Retrieved from http://www.mirandawarning.org/mirandawarningfaq.html Supreme Court Rules Against NC in Juvenile Miranda Rights (2011). Retrieved from http://www.mcclatchydc.com/2011/06/16/115919/supreme-court-rules-against- nc.html#.UjYT9MPD_IU

Friday, November 15, 2019

Comparing Loss of Self in Soldiers Home, Pauls Case, and Bartleby Essa

Loss of Self in Hemingway's Soldiers Home, Cather's Paul's Case, and Melville's Bartleby the Scrivener  Ã‚     Ã‚  Ã‚   Hemingway's "Soldiers Home," Cather's "Paul's Case," and Melville's "Bartleby the Scrivener" all present a loss of self. These stories prove that there is a fine line between finding one's self and losing one's self. I believe this loss can occur at any age or station of life. This idea is seen in each story's main character. Hemingway's "Soldier's Home" depicts a young man in his early twenties after his return from World War I. The young man, Krebs, has arrived home too late. Thus, he doesn't receive the adulation of the town as the others did. This first loss was the beginning of a long inward journey for Krebs. His unwillingness, then inability, to discuss his part in the war with others immediately had an effect on Krebs. He was unable to get some form of closure, something which he direly needed. Due to the extravagant stories foretold by others, Krebs was forced to lie in order to fit in. These lies bothered Krebs. They not only went against him morally, but they also started to deteriorate his feelings about the war: "A distaste for everything that had happened to him in the war set in because of the lies he had told. All the times that had been able to make him feel cool and clear inside himself when he thought of them....now lost their cool, valuable quality and then were lost themselves" (224). Earl Rovit explains this even further stating, "if he can't trust in truth of these experiences, he will then have lost everything" (255). These feelings that Krebs has are not unfamiliar. This situation is seen in a handful of other stories of the times, but Hemingway's story "delineates the desperate inc... ...: 189-194. Cather, Willa. "Paul's Case."The American Short Story. Volume II. Ed. Calvin Skaggs. New York: Dell, 1980:160-180. Decker, Timothy. "The Mechanization of a Scrivener." Bartleby the Scrivener by Herman Melville. URL: http://www.en.utexas.edu/~daniel/amlit/bartleby/decker.html Hemingway, Ernest. "Soldier's Home." The American Short Story. Volume I. Ed. Calvin Skaggs. New York: Dell, 1977: 224-231. Hyzack,Greg. "The Mentally Disturbed Scrivener." Bartleby the Scrivener by Herman Melville. URL: http://www.en.utexas.edu/~daniel/amlit/bartleby/hyzakbart.html Melville, Herman. "Bartleby the Scrivener." The Story and Its Writer. Ed. Ann Charters. Boston: St. Martin's, 1995: 513-539. Rovit, Earl. "On Ernest Hemingway and 'Soldier's Home.'" The American Short Story. Volume I. Ed. Calvin Skaggs. New York: Dell, 1977: 251-255.      

Tuesday, November 12, 2019

How to Make a German Chocolate Cake

How to Make a German Chocolate Cake So what is the history of the German Chocolate Cake? The truth is that the cake itself did not come from Germany it is actually originated from America. The name â€Å"German† refers to the type of chocolate used in the cakes. And the chocolate itself is named after a Walter Baker& Company employee, Samuel German, who developed the chocolate in 1852. The chocolate was named German’s Sweet Chocolate and eventually became known as German Sweet Chocolate.It is a semi sweet baking chocolate that has a mild flavor and is much sweeter that other semi sweet chocolates most people but at the local grocery store. A German Chocolate Cake is an impressive looking cake. It is a regular chocolate cake with a sweet and gooey coconut and pecan frosting. A traditional German Chocolate Cake is not a typical layer cake that is covered entirely in frosting. This specific cake leaves its sides bare so you can see both the frosting inside and the three la yers of cake.One could argue that the best German Chocolate Cakes are made from scratch instead of store bought, box cakes, or just plain old messed up. Although there are many different variations of German Chocolate Cake recipes the one mentioned in this essay has been passed down from generation to generation. This particular recipe takes between one and a half to two hours to make. This recipe makes ten to twelve servings of cake depending on one’s reason behind making this cake. The ingredients used in this specific recipe are quite simple and very accessible.Many people already have most of these items already at hand. The ingredients for the cake itself are as followed: †¢Baker’s German Sweet Chocolate †¢Water †¢Cake Flour †¢Baking Soda †¢Salt †¢Softened Butter †¢Sugar †¢Separated Eggs †¢Vanilla †¢Buttermilk When making the cake batter with a mixer or without a mixer it will end up being light and fluffy. Along w ith the cake ingredients, there are also items needed for the coconut pecan icing for decorating the cake. Making the icing for the cake requires these items: †¢Egg Yolks †¢Evaporated Milk †¢Vanilla †¢Sugar Butter †¢Bakers’ Angel Flake Coconut †¢Chopped Pecans The cake making process is very detailed in every step. The first step is to preheat the oven to three hundred and fifty degrees. While the oven is preheating, take a bowl filled with half a cup of water and add a whole package or bar of Baker’s German Sweet Chocolate. Once the chocolate is in the water place it in the microwave on high for one and a half or two minutes or until the chocolate is almost melted. Once the chocolate is completely melted set it aside until later on when it is needed.In another bowl mix all of the dry ingredients together, those ingredients include two cups of cake flour, one teaspoon of baking soda, and one fourth of a teaspoon of salt. Once mixed set asi de until it is needed. Next take an even bigger bowl and a stand or hand mixer, and add one cup or two sticks or softened butter and two cups of sugar. Once these ingredients are added in; mix on medium speed until the mixture is light and fluffy. Next add the four egg yolks, one at a time, beating well after each addition. After this step is successfully complete, take the melted chocolate and blend it into the big bowl.Once blended in add one and a half teaspoons of vanilla. The next step would be to add the dry ingredients that were mixed together earlier and mix in one cup of buttermilk back to back. So add a little flour mix then add a little buttermilk until all of the items are in the bowl. After mixing the batter should be nice and fluffy now. The next step is adding in the egg yolks, one at a time, again beating well after each addition. All of the previous steps are to be mixed on a medium speed. In a separate bowl, mix the egg whites, which were separated previously, on h igh speed until soft peaks form.Using a spoon, gently fold the egg whites into the cake mixture. Once doing this the texture of the batter will be similar to that of a chocolate mousse. The last two steps of this cake making process include one preparing three eight or nine inch cake pans by greasing the sides of the pans and pouring the batter evenly. The second includes baking the cake at three hundred and fifty degrees for thirty minutes or until completely done. While the cake is inside the oven cooking, it is time now to make the coconut pecan frosting.Remember to check on the cake while making the frosting and take it out for it to cool down. The frosting process, like the cake process, is very detailed. But the only difference in the two processes would be that the frosting takes much less time to make unlike the cake. So the steps for making the frosting are as followed: †¢In a medium saucepan, heat off, add in four egg yolks, a can of evaporated milk, one and a half te aspoon of vanilla, and wisk it together until it is well blended †¢Add one and a half cups of sugar and three fourths of a cup or one and a half sticks of butter and put it over medium heat.Make sure to stir the mixture constantly for about twelve minutes or until the mix has thickened †¢While stirring the mix playing a couple of songs can make the time fly by much faster †¢After the previous step add one package of Baker’s Angel Flake Coconut and one and a half cups of chopped pecans. †¢Now that everything is mixed in you can turn everything off and let it cool down. To conclude this how to make a German Chocolate Cake essay, it is finally times to put the cake together. After everything has cooled down, it is now time to put the whole cake together.Once all of the cakes have cooled down, run a spatula around the edges to make sure that it will come out easily. Place the bottom layer cake on the cake stand and take the frosting and frost only the top of t he cake. The next steps are just like the previous step, add a layer, then frost the top, then add the last layer and frost the top. Only frosting the tops of the individual cakes gives the cake that signature â€Å"German Chocolate Cake† look. Now that all of that is done it is time to enjoy this moist, light, and fluffy cake. To make the whole cake experience even more exciting would be to have a cup of milk of coffee to go along with it.

Sunday, November 10, 2019

Compare and Contrast: Byzantine Empire and the Aztecs Essay

The early civilizations of the byzantine and Aztec empires rose to power using a variety of tactics. They were both very successful and very powerful up to a certain point. The byzantine and Aztec empires both used military strategies and advancements in war. Although while the Byzantine Empire used Christianity to unify its people, the Aztecs made people fear them by using human sacrifices. Also the byzantine was a bureaucracy with an emperor who was thought of to be chosen by the gods to rule over the people, however, the Aztecs had a ruler who was seen as an actual god. The Byzantine and Aztec empires had very strong military tactics which led to expansion and advancement. The Byzantine conquered almost all of the land around it and had many skilled warriors. This is much like the Aztecs who had skilled warriors and even though they didn’t necessarily conquer the land, they took control of the people and made them pay tribute. The Aztecs captured people for human sacrifices many times and this was an adapted technique they used, while the Byzantine used the technique of the â€Å"Greek fire† which was an invention similar to a flamethrower. In the Byzantine Empire there was a main religion and in the Aztec empire hey were highly reliant on human sacrifice to scare people into joining the civilization. The Byzantine empire used the newly found religion of Christianity to unify its population and make them a whole. The Aztecs however, believed in multiple gods and used human sacrifices to make other people fear and respect them. This tactic was also used to get them to join and scared them into paying tribute to the Aztecs or the Aztec gods. There was an emperor in the Byzantine Empire who had much influence because people thought he had been chosen by god; this was similar but not exactly the same as the Aztecs who had a leader that was thought of as an actual deity, or god. Because the Byzantine ruler was thought to be chosen by god, he had power and control over his own civilization and also those that he tried to conquer. The Aztec leader had divine power over his people and since everyone viewed him as a god it would be wrong to defy him. For this reason, he had influence and power over other places, as well as his own.

Friday, November 8, 2019

Profile of Richard Wade Farley, Mass Murderer

Profile of Richard Wade Farley, Mass Murderer Richard Wade Farley is a mass murderer responsible for the 1988 murders of seven co-workers at the Electromagnetic Systems Labs (ESL) in Sunnyvale, California. What sparked the murders was his relentless stalking of a co-worker. Richard Farley - Background Richard Wade Farley was born on July 25, 1948, at Lackland Air Force Base in Texas. His father was an aircraft mechanic in the Air Force, and his mother was a homemaker. They had six children, of whom Richard was the eldest. The family frequently moved before settling in Petaluma, California, when Farley was eight years old. According to Farleys mother, there was much love in the house, but the family displayed little outward affection. During his childhood and teen years, Farley was a quiet, well-behaved boy who required little attention from his parents. In high school, he showed an interest in math and chemistry and took his studies seriously. He did not smoke, drink, or use drugs, and entertained himself with playing table tennis and chess, dabbling in photography, and baking. He graduated 61st out of 520 high school students. According to friends and neighbors, other than occasionally roughhousing with his brothers, he was a non-violent, well-mannered and helpful young man. Farley graduated from high school in 1966 and attended Santa Rosa Community College, but dropped out after one year and joined the US Navy where he stayed for ten years. Navy Career Farley graduated first in his class of six at Naval Submarine School but withdrew voluntarily. After finishing basic training, he was trained to be a cryptologic technician - a person who maintains electronic equipment. The information that he was exposed to was highly classified. He qualified for top-secret security clearance. The investigation into qualifying individuals for this level of security clearance was repeated every five years. Electromagnetic Systems Laboratory After his discharge in 1977, Farley purchased a home in San Jose and began working as a software technician at Electromagnetic Systems Laboratory (ESL), a defense contractor in Sunnyvale, California. ESL was involved in the development of strategic signal processing systems and was a major supplier of tactical reconnaissance systems to the US military. Much of the work that Farley was involved in at ESL was described as being vital to the national defense and highly sensitive. In included his work on equipment that enabled the military to determine the location and strength of enemy forces. Up until 1984, Farley received four ESL performance evaluations for this work. He scores were high - 99 percent, 96 percent, 96.5 percent, and 98 percent. Relationship With Fellow Employees Farley was friends with a few of his co-workers, but some found him to be arrogant, egotistical and boring. He liked to brag about his gun collection and his good marksmanship. But others who worked closely with Farley found him to be conscientious about his work and generally a nice guy. However, all of that changed, starting in 1984. Laura Black In the spring of 1984, Farley was introduced to ESL employee Laura Black. She was 22 years old and had been working as an electrical engineer for just under a year. For Farley, it was love at first sight. For Black, it was beginning of a four-year-long nightmare. For the next four years, Farleys attraction to Laura Black turned into a relentless obsession. At first Black would politely decline his invitations, but when he seemed unable to comprehend or accept her saying no to him, she stopped communicating with him as best she could. Farley began writing letters to her, averaging two a week. He left pastries on her desk. He stalked her and cruised by her home repeatedly. He joined an aerobics class on the same day that she joined. His calls became so annoying that Laura changed to an unlisted number. Because of his stalking, Laura moved three times between July 1985 and February 1988, but Farley found her new address each time and obtained a key to one of her homes after stealing it off of her desk at work. Between the fall of 1984 and February 1988, she received approximately 150 to 200 letters from him, including two letters he sent to her parents home in Virginia where she was visiting in December 1984. She had not provided him with her parents address. Some of Blacks coworkers tried to talk to Farley about his harassment of Black, but he reacted either defiantly or by threatening to commit violent acts. In October 1985, Black turned to the human resources department for help. During the first meeting with human resources, Farley agreed to stop sending letters and gifts to Black, following her home and using her work computer, but in December 1985, he was back to his old habits. Human Resources stepped in again in December 1985 and again in January 1986, each time issuing Farley a written warning. Nothing Else to Live For After the January 1986 meeting, Farley confronted Black at the parking lot outside of her apartment. During the conversation, Black said Farley mentioned guns, told her he no longer was going to ask her what to do, but rather tell her what to do. Over that weekend she received a letter from him, stating he would not kill her, but that he had a whole range of options, each getting worse and worse. He warned her that, I do own guns and Im good with them, and asked her not to push him. He continued on that if neither of them yielded, pretty soon I crack under the pressure and run amok destroying everything in my path until the police catch me and kill me. In mid-February 1986, Farley confronted one of the human resource managers and told her that ESL had no right to control his relationships with other individuals. The manager warned Farley that sexual harassment was illegal and that if he did not leave Black alone, his conduct would lead to his termination. Farley told her that if he were terminated from ESL, he would have nothing else to live for, that he had guns and was not afraid to use them, and that he would take people with him. The manager asked him directly if he was saying that he would kill her, to which Farley answered yes, but he would take others, too. Farley continued to stalk Black, and in May 1986, after nine years with ESL, he was fired. Growing Anger and Aggression Being fired seemed to fuel Farleys obsession. For the next 18 months, he continued to stalk Black, and his communications with her became more aggressive and threatening. He also spent time lurking around the ESL parking lot. In the summer of 1986, Farley began dating a woman named Mei Chang, but he continued to harass Black. He was also having financial problems. He lost his home, his car, and his computer and he owed over $20,000 in back taxes. None of this deterred his harassment of Black, and in July 1987, he wrote to her, warning her not to get a restraining order. He wrote, It might not really occur to you how far Im willing to go to upset you if I decide thats what Im forced to do. Letters along this same line continued over the next several months. In November 1987 Farley wrote, You cost me a job, forty thousand dollars in equity taxes I cant pay, and a foreclosure. Yet I still like you. Why do you want to find out how far Ill go? He ended the letter with, I absolutely will not be pushed around, and Im beginning to get tired of being nice. In another letter, he told her that he did not want to kill her because he wanted her to have to live to regret the consequences of not responding to his romantic gestures. In January, Laura found a note from him on her car, with a copy of her apartment key attached. Frightened and fully aware of her vulnerability she decided to seek the help of an attorney. On February 8, 1988, she was granted a temporary restraining order against Richard Farley, which included that he stay 300 yards away from her and not contact her in any way. Revenge The day after Farley received the restraining order he began to plan his revenge. He bought over $2,000 in guns and ammunition. He contacted his lawyer to have Laura removed from his will. He also sent a package to Lauras attorney claiming that he had proof that he and Laura had a secret relationship. The court date for the restraining order was February 17, 1988. On February 16, Farley drove to ESL in a rented motor home. He was dressed in military fatigues with a loaded bandoleer  slung over his shoulders, black leather gloves, and a scarf around his head and earplugs. Before leaving the motor home, he armed himself with a 12-gauge Benelli Riot semi-automatic shotgun, a Ruger M-77 .22-250 rifle with a scope, a Mossberg 12-gauge pump action shotgun, a Sentinel .22 WMR revolver, a Smith Wesson .357 Magnum revolver, a Browning .380 ACP pistol and a Smith Wesson 9mm pistol. He also tucked a knife in his belt, grabbed a smoke bomb and a gasoline container, and then headed to the entrance of ESL. As Farley made his way across the ESL parking lot, he shot and killed his first victim Larry Kane and continued shooting at others who ducked for cover. He entered the building by blasting through the security glass and kept on shooting at the workers and the equipment. He made his way to Laura Blacks office. She attempted to protect herself by locking the door to her office, but he shot through it. He then shot directly at Black. One bullet missed and the other shattered her shoulder, and she fell unconscious. He left her and moved on through the building, going room to room, shooting at those he found hidden under desks or barricaded behind office doors. When the SWAT team arrived, Farley managed to avoid their snipers by staying on the move inside the building. A hostage negotiator was able to make contact with Farley, and the two talked on and off during a five-hour siege. Farley told the negotiator that he had gone to ESL to shoot up equipment and that there were specific people he had in mind. This later contradicted Farleys lawyer who used the defense that Farley had gone there to kill himself in front of Laura Black, not shoot at people. During his conversations with the negotiator, Farley never expressed any remorse for the seven individuals killed and admitted that he did not know any of the victims except for Laura Black. Hunger is what finally ended the mayhem. Farley was hungry and asked for a sandwich. He surrendered in exchange for the sandwich. Seven people were dead and four injured, including Laura Black. Victims Killed: Lawrence J. Kane, 46Wayne Buddy Williams Jr., 23Donald G. Doney, 36Joseph Lawrence Silva, 43Glenda Moritz, 27Ronald Steven Reed, 26Helen Lamparter, 49 Wounded were Laura Black, Gregory Scott, Richard Townsley, and Patty Marcott. Death Penalty Farley was charged with seven counts of capital murder, assault with a deadly weapon, second-degree burglary, and vandalism. During the trial, it became evident that Farley was still in denial about his non-relationship with Black. He also seemed to lack an understanding of the depth of his crime. He told another prisoner, I think they should be lenient since its my first offense. He added that if he did it again, then they should throw the book at him. A jury found him guilty of all charges, and on January 17, 1992, Farley was sentenced to death. On July 2, 2009, the California Supreme Court denied his death penalty appeal. As of 2013, Farley is on death row in San Quentin Prison.

Tuesday, November 5, 2019

Venomous Sea Snake Facts (Hydrophiinae and Laticaudinae)

Venomous Sea Snake Facts (Hydrophiinae and Laticaudinae) Sea snakes include 60 species of marine snakes from the cobra family (Elapidae). These reptiles fall into two groups: true sea snakes (subfamily Hydrophiinae) and sea kraits (subfamily Laticaudinae). The true sea snakes are most closely related to Australian cobras, while kraits are related to Asian cobras. Like their terrestrial relatives, sea snakes are highly venomous. Unlike terrestrial cobras, most sea snakes are not aggressive (with exceptions), have small fangs, and avoid delivering venom when they bite. While similar to cobras in many respects, sea snakes are fascinating, unique creatures, perfectly adapted to life in the sea. Fast Facts: Venomous Sea Snake Scientific Name: Subfamilies Hydrophiinae and LaticaudinaeCommon Names: Sea snake, coral reef snakeBasic Animal Group: ReptileSize: 3-5 feetWeight: 1.7-2.9 poundsLifespan: Estimated 10 yearsDiet: CarnivoreHabitat: Coastal Indian and Pacific OceanPopulation: UnknownConservation Status: Most species are Least Concern Description Yellow-bellied sea snake (Hydrophis platurus), illustrating the body shape of a true sea snake. Nastasic / Getty Images Aside from analyzing its DNA, the best way to identify a sea snake is by its tail. The two types of sea snakes have very different appearances because they have evolved to live different aquatic lives. The true sea snakes have flattened, ribbon-like bodies, with oarlike tails. Their nostrils are on top of their snouts, making it easier for them to breathe when they surface. They have small body scales and may lack belly scales entirely. True sea snake adults range from 1 to 1.5 meters (3.3 to 5 feet) in length, although a length of 3 meters is possible. These snakes crawl awkwardly on land and may become aggressive, although they cannot coil to strike. You can find both true sea snakes and kraits in the sea, but only sea kraits crawl efficiently on land. A sea krait has a flattened tail, but it has a cylindrical body, lateral nostrils, and enlarged belly scales like a terrestrial snake. A typical krait color pattern is black alternating with bands of white, blue, or gray. Sea kraits are somewhat shorter than true sea snakes. An average adult krait is about 1 meter in length, although some specimens reach 1.5 meters. Habitat and Distribution Sea snakes are found throughout the coastal waters of the Indian and Pacific oceans. They do not occur in the Red Sea, Atlantic Ocean, or Caribbean Sea. Most sea snakes live in shallow water less than 30 meters (100 feet) deep because they need to surface to breathe, yet must seek their prey near the sea floor. However, the yellow-bellied sea snake (Pelamis platurus) may be found in the open ocean. The so-called California sea snake is Pelamis platurus. Pelamis, like other sea snakes, cannot live in cool water. Below a certain temperature, the snake is unable to digest food. Snakes may be found washed up on shores in the temperature zone, typically driven by storms. However, they call the tropics and subtropics their home.   The so-called California sea snake is actually the yellow-bellied sea snake. Auscape / UIG / Getty Images Diet and Behavior The true sea snakes are predators that eat small fish, fish eggs, and young octopuses. True sea snakes may be active during the day or at night. Sea kraits are nocturnal feeders that prefer to feed on eels, supplementing their diet with crabs, squid, and fish. While they have not been observed feeding on land, kraits return to it to digest prey. Some sea snakes host the sea snake barnacle (Platylepas ophiophila), which hitches a ride to catch food. Sea snakes (kraits) may also host parasitic ticks. Sea snakes are preyed upon by eels, sharks, large fish, sea eagles, and crocodiles. Should you find yourself stranded at sea, you can eat sea snakes (just avoid getting bitten). You can tell this is a krait because it has nostrils on either side of its snout. Todd Winner/Stocktrek Images / Getty Images Like other snakes, sea snakes need to breathe air. While kraits surface for air regularly, true sea snakes can remain submerged for around 8 hours. These snakes can breathe through their skin, absorbing up to 33 percent of needed oxygen and expelling up to 90 percent of waste carbon dioxide. The left lung of a true sea snake is enlarged, running much of its body length. The lung affects the animals buoyancy and buys it time underwater. The nostrils of a true sea snake close when the animal is underwater. While they live in the oceans, sea snakes cannot extract fresh water from the saline sea. Kraits may drink water from land or the sea surface. True sea snakes must wait for rain so they may drink the relatively fresh water floating on the seas surface. Sea snakes can die of thirst. Reproduction and Offspring Olive sea snake two days old, Reef HQ Aquarium, Townsville, Queensland, Australia. Auscape / UIG / Getty Images The true sea snakes may be oviparous (lay eggs) or ovoviviparous (live birth from fertilized eggs held within the females body). The mating behavior of the reptiles is unknown, but it may be linked to the occasional schooling of large numbers of snakes. The average clutch size is 3 to 4 young, but as many as 34 young may be born. Snakes born in the water may be nearly as large as adults. The genus Laticauda is the only oviparous group of true sea snakes. These snakes lay their eggs on land. All sea kraits mate on land and lay their eggs (oviparous) in rock crevices and caves on shore. A female krait may deposit from 1 to 10 eggs before returning to the water. Sea Snake Senses Olive sea snake, Hydrophiidae, Pacific ocean, Papua New Guinea. Reinhard Dirscherl / Getty Images Like other snakes, sea snakes flick their tongues to gain chemical and thermal information about their environment. Sea snake tongues are shorter than those of regular snakes because its easier to taste molecules in water than in air. Sea snakes ingest salt with prey, so the animal has special sublingual glands under its tongue that allow it to remove excess salt from its blood and expel it with a tongue flick. Scientists dont know much about sea snake vision, but it appears to play a limited role in catching prey and selecting mates. Sea snakes have special mechanoreceptors that help them sense vibration and movement. Some snakes respond to pheromones to identify mates. At least one sea snake, the olive sea snake (Aipysurus laevis), has photoreceptors in its tail that allow it to sense light. Sea snakes may be able to detect electromagnetic fields and pressure, but the cells responsible for these senses have yet to be identified. Sea Snake Venom Sea snakes bear close observation, but may bite if threatened. Joe Dovala / Getty Images Most sea snakes are highly venomous. Some are even more venomous than cobras! The venom is a deadly mixture of neurotoxins and myotoxins. However, humans rarely get bitten, and when they do, the snakes rarely deliver venom. Even when envenomation (venom injection) does occur, the bite may be painless and initially produce no symptoms. Its common for some of the snakes small teeth to remain in the wound. Symptoms of sea snake poisoning occur within 30 minutes to several hours. They include headache, stiffness, and muscle pain throughout the body. Thirst, sweating, vomiting, and a thick-feeling tongue may result. Rhadomyolisis (muscle degradation) and paralysis ensue. Death occurs if the muscles involved in swallowing and respiration are affected. Because bites are so rare, antivenin is next to impossible to obtain. In Australia, a specific sea snake antivenin exists, plus the antivenin for the Ausatralian tiger snake may be used as a substitute. Elsewhere, youre pretty much out of luck. The snakes are not aggressive unless they or their nest are threatened, but its best to leave them alone. The same caution should be applied to snakes washed up on beaches. Snakes may play dead as a defense mechanism. Even a dead or decapitated snake may bite via reflex. Conservation Status Habitat destruction and over-fishing are threats to sea snake survival. Hal Beral / Getty Images Sea snakes, as a whole, are not endangered. However, there are some species on the IUCN Red List. Laticauda crockeri is vulnerable, Aipysurus fuscus is endangered, and Aipysurus foliosquama (leaf-scaled sea snake) and Aipysurus apraefrontalis (short-nose sea snake) are critically endangered. Sea snakes are difficult to keep in captivity, due to their specialized diets and habitat requirements. They need to be housed in rounded tanks to avoid damaging themselves on corners. Some need to be able to exit the water. Pelamis platurus accepts goldfish as food and can survive captivity. Animals That Resemble Sea Snakes Garden eels look a bit like snakes. Mark Newman / Getty Images There are several animals that resemble sea snakes. Some are relatively harmless, while others are venomous and more aggressive than their aquatic cousins. Eels are often mistaken for sea snakes because they live in the water,  have a serpentine appearance, and breathe air. Some species of eels can give a nasty bite. A few are poisonous. Some species can deliver an electric shock. The sea snakes cousin is the cobra. Cobras are excellent swimmers that can deliver a deadly bite. While they are most often found swimming in freshwater, they are at ease in coastal saltwater, too. Other snakes, both on land and water, may be confused with sea snakes. While the true sea snakes may be recognized by their flattened bodies and oar-shaped tails, the only visible trait distinguishing sea kraits from other snakes is a somewhat flattened tail. Sources Coborn, John.  The Atlas of Snakes of the World. New Jersey: T.F.H. Publications, inc. 1991.Cogger, Hal.  Reptiles and Amphibians of Australia. Sydney, NSW: Reed New Holland. p.  722, 2000.Motani, Ryosuke. The Evolution of Marine Reptiles.  Evo Edu Outreach.  2: 224–235, May, 2009.Mehrtens J M. Living Snakes of the World in Color. New York: Sterling Publishers. 480 pp., 1987

Sunday, November 3, 2019

Popular Culture(2-1) Assignment Example | Topics and Well Written Essays - 250 words

Popular Culture(2-1) - Assignment Example According to the 2009documentary film Tyson, the young man frequently engaged in petty crimes and took to street fighting on frequent occasions. However it was under the guidance of D’Amato that Tyson started performing well at amateur boxing matches and was admitted to the 1982 Junior Olympic Games. Although it was the case that Tyson only won a silver medal, according to the 2009 documentary Tyson became a phenomenon after he scored the fastest knockout in an Olympic bout at approximately 8 seconds. It was upon this foundation that Tyson made his professional debut in 1985 where according to Cyber Boxing Zone (2010) Tyson won twenty six of his first twenty eight bouts by either knockout or technical knockout, most of which ended in the first round. The man became a powerhouse the likes of which the boxing community had not seen for a long time and quickly became known to most athletics fans across the world. However this career which brought great heights ended up hitting rock bottom. Tyson stood accused of sexually and physically abusing his wife Robin Givens during his marriage in the late eighties. After the divorce Tyson was accused and convicted of raping a young woman in Indiana and according to Berkow (1995) served three years of a ten year sentence. As pop cultural consumers I think it is natural that we are fascinated with te rise and fall of celebrity. It is the case that during the height of his career, Mike Tyson was an unstoppable force and a near perfect boxing machine. However in his personal life he brought about a type of ruin that the man self described in the 2009 documentary about his life as being â€Å"A tragedy†. As with many pop cultural phenomenon’s we tend to view. As far as my analysis is concerned, very few people remember Tyson for his boxing career anymore and simply focus on his failed personal life which is a trend we have seen spread across many different pop

Friday, November 1, 2019

The Essence Of Miranda Warnings Research Paper Example | Topics and Well Written Essays - 250 words - 1

The Essence Of Miranda Warnings - Research Paper Example For example, this right grants an arrestee to refuse from answering questions which he or she thinks would compel him or her to give incriminating statements which could possibly be taken as admissible evidence and might be used against him. The Fifth Amendment gives right against compelled self-incrimination and the due process of the law. If the arrestee was formally charged with a crime, the Miranda Warnings must be made known to the arrestee. Further, the sixth amendment grants the right to a legal counsel or an attorney during all subsequent questioning process. The sole example that is presented on this study is a domestic violence case and should a police officer perform the interrogation process.  If a person is under custody for interrogation, any police officer called to perform the interrogation process must read to the arrestee the Miranda Rights. If in any case, the respondent did not respond to give an affirmative answer, silence should not be taken as a waiver of the se rights. The interrogation can still proceed but responses from the arrestee are considered void and ineffective during a trial if the statements were made prior to Miranda Rights.  In the case of domestic violence, if the arrestee was formally charged, the police officer must warn the arrestee of his or her constitutional rights. All the responses of the suspect under custody shall be taken as admissible evidence, provided, the rights were made known to her. In addition, the suspect’s 6th amendment protection shall be applied and may not be doubted or questioned relating to subject matter of the offenses being charged to the suspect if there is an absence of a legal counsel or an attorney or anything that waives the right to an attorney.  If the suspected criminal has not been formally charged, it is necessary to determine if Miranda Warnings are needed. If the person is not â€Å"in custody†, Miranda Rights are not necessary and the statements made by the arres tee are admissible.

Wednesday, October 30, 2019

Terrorism in the modern world Essay Example | Topics and Well Written Essays - 1250 words

Terrorism in the modern world - Essay Example The issue is further complicated when governments adopt violent tactics in the pursuit of their interests, provoking accusations of state terrorism. The quotation mentioned above from Giannini Riotta, speaking as the Deputy Editor of the Spanish newspaper Corriera del Sera, was made in the wake of the September 11th terrorist attacks of 2001 in the United States. The force of his statement is to argue that whereas terrorists formerly tried to gain publicity by staging events that the media could report on, they have now begun to specifically target media networks because in this way a terrorist â€Å"understands that that’s the right way to paralyse our world.† (Riotta, 2005) It is important at the outset to be clear about our definition of terrorism, as opposed to other activities which may involve some degree of violence tied to political motives. Wilkinson identifies five key features of terrorism: 1) It is premeditated and designed to create a climate of extreme fea r; 2) It is directed at a wider target than the immediate victims; 3) It inherently involves attacks on random or symbolic targets, including civilians; 4) It is considered by the society in which it occurs as ‘extra-normal’, that is in the literal sense that it violates the norms regulating disputes, protest and dissent; and 5) It is used primarily, though not exclusively, to influence the political behaviour of governments, communities or specific social groups. (Wilkinson, 1997, p.51) It is clear from each of these characteristics that a key distinguishing feature of terrorism is its intention to reach a far greater number of people than those immediately affected by any terrorist act. The media play a crucial role in providing a mechanism for passing on information, fear and all sorts of ideas from the terrorist group to the public at large. Journalists and editors have a responsibility to report the truth, and considerable lee-way in how they frame the facts and co mment on the issues. It is possible, for example, to report both the concerns of the terrorists and the dreadful consequences of their acts on innocent civilians, thus eroding arguments of terrorists by illustrating their disregard for human life. Journalists are not simply being used by terrorists, because they are responsible for what they write. Schmid and de Graaf focus on the modern mass media’s insatiable hunger for specatacle and drama and recommend a system in which journalists should have a voluntary code of conduct in reporting on terrorism and navigating the many moral dilemmas that arise in this field. Using the example of the 1985 hijacking of TWA Flight 847 by Lebanese Shia terrorists, Schmid and de Graf demonstrate the leverage which was gained by the hijackers, thanks to the mass media filming and commentating of the unfolding events. (Schmid and de Graaf, 1982, pp. 539-555) The visual elements of this â€Å"spectacle† ensured that it remained on televi sions and in newspapers throughout the world over several days while governments negotiated with the hijackers. The media sold many copies and filled many hours of airtime with commentary and debate, and this dependence of Western media on commercial income through sales can lead to a tendency to hype up and sensationalise terrorist activities. In the 1970s and 1980s there was an increase in the number of international terrorist activit

Monday, October 28, 2019

The Impact Of Airline Alliances Tourism Essay

The Impact Of Airline Alliances Tourism Essay At this moment, there are three main airline alliances around the globe. First of all, Star Alliance, which was created in 1997 and currently consisting of 27 member airlines (Star Alliance, 2012). Second, OneWorld, established in 1999 and presently having 12 members. Last, the youngest airline alliance is SkyTeam, formed in 2000 and consists now of 18 member airlines (SkyTeam, 2012). In the first chapter of this paper, the impacts of airline alliances on their members will be discussed. Second, the effects of allied airlines on non-member airlines will be argued. And finally, the influences of airline alliances on the airports they fly at will be explained. In each chapter, both positive and negative influences will be discussed. 1. Impacts on member airlines Positive impacts on member airlines Airline alliances have several positive impacts on their member airlines. In this paragraph, three examples of positive impacts will be explained. A first positive impact can be found in saving the airlines costs on various areas. For instance, when buying aircraft materials for maintenance purposes, member airlines can reduce the total costs by purchasing these resources together and may receive bulk discounts. The same counts for the bulk purchase of aircraft. For example, in 2003, four members of Star Alliance intended to bulk purchase up to 200 standardised regional aircraft (Doganis, 2006, p. 93). According to Doganis (2006), it is estimated that joint purchasing can cut the prices paid by up to seven per cent and eventually reducing the total invoice by up to a billion dollars every year (p. 93). Furthermore, the joint use of other services, for example ground handling or catering facilities, can also help in reducing airline costs (Bissessur Alamdari, 1998, p. 335). A second positive impact on member airlines can be retrieved in the increased passenger traffic. The cause of this increase is generally caused by the extension of the airlines network by using code-sharing (Bissessur Alamdari, 1998). Code sharing is beneficial for both the selling airline and the operating airline. On the one hand, it is advantageous for the selling airline as it is selling a ticket of the operating airline under its own designator code. This means that the selling airline gained access to new markets without having to operate their own aircraft there. On the other hand, the operating airline is likely to carry more passengers on board as the tickets are sold through more distribution channels than rather its own. A third positive impact can be found in the area of labour costs. Nowadays, labour costs represent quite a considerable part of an airlines operating cost. As can be seen in table 1.1, wages and associated costs of labour mostly account for 20 to 35 per cent of the airlines total operating cost Doganis (2006, p. 119). According to Doganis (2001), labour costs differ more between airlines in the same markets, unlike other costs as ground handling, fuel and airport fees. Iatrou (2004) gives two reasons how an airline alliance could help in reducing labour costs. First, the number of sales and ground personnel could be reduced by sharing offices at bases of another member airline, instead of maintaining its own offices across the globe. Second, it is argued that alliances facilitate member airlines to resort to the low-wage structure of its partners, for example cabin and cockpit crew, without saving on employee quality. Table 1 Wages and associated costs of labour as a percentage of total operating cost, 2002 North American European East Asian/Pacific SAS 34.4 Air France 33.5 Iberia 31.6 Delta 31.0 American 30.4 United 29.0 Northwest 28.1 KLM 26.4 Continental 26.1 Cathay Pacific US Airways 25.4 Air Canada 24.7 British Airways 24.3 Lufthansa* 23.4 SIA Japan Airlines Thai All Nippon Korean *Note: Lufthansa excludes maintenance staff Source: Doganis (2006, p. 119) Negative impacts on member airlines Although alliances have several positive effects on member airlines, being in an alliance could also have some negative impact on member airlines. First, it is argued that participating in an alliance could affect an airlines brand image (Kleymann Seristà ¶, 2004). This problem may be triggered by the variety of images within the alliance. The authors suggest that it could be possible that an image for an alliance is created that is unlike the image of any of the affiliated airlines. However, a concession between the images of the most dominant member airlines is considered to be more likely. Especially for smaller airlines it could be considered to be hard to adapt to the created image of the alliance (p. 120). A second negative effect could be conflicting agreements. Iatrou (2004) explains that it is likely that all alliances members use the same supplier. Before an airline accesses to an alliance, it usually has long-standing relationship with different suppliers, such as catering, Central Reservation System (CRS) and so on. The airline may find it difficult to rescind these contracts because of possible penalties as a consequence. Moreover, when an airline agrees on a new supplier, it will very likely have to invest time and money in getting familiarised with the new suppliers and their systems (p. 114). This brings us to a third possible negative effect. Increased costs for an airline could be considered as another probable negative impact on member airlines. Next to the regular subscription fee that a member airline has to pay, Iatrou (2004) mentions the so-called sunk-costs for the airline. These tangible expenses cover all adjustments that have to be made in order to meet the alliances requirements, like the aircraft interior. These investments are to be made to ensure effective alliance operations and to have consistent commitment of the member airlines to the alliance. Especially for relatively small airlines, these costs can be seen as a considerable investment, which might make them more dependent on the alliance (p. 115-116). 2. Impacts on non-member airlines 2.1. Positive impacts on non-member airlines During the last decades, several so called alliances have been formed in the airline industry. According to Stanford-Smith, Chiozza Edin (2002), a strategic alliance can be explained as any form of long-term cooperation between. 2.2. Negative impacts on non-member airlines As for the negative effects on non-member airlines, the tough competition can be considered as the main one. Bjà ¶rk (2002) explains the consequences of competition between allied airlines and non-partner airlines. The author argues that airlines that dominate a hub are likely to receive a greater number of slot allowances at their main hubs, which will probably lead to some anti-competitive concerns. Bjà ¶rk continues by giving the example of a measure initiated by the US Department of Transport (DOT) to reduce this anti-competitive situation. First of all, the US DOT has recognised that where service in the market is constrained by slot availability, a hub carrier with access to a large pool of slots has even greater availability to respond in entry in an anti-competitive way because the entrant will be unable to add capacity on its own. As a consequence, in order to stimulate competition in some markets, the US DOT has granted a restricted number of slot freedoms to new airlines that wish to compete in that particular market. Regrettably, the approach of the US DOT did not increase the competition in these markets. The reason given for this was that new players do not find it economically justified to enter into a market which is dominated by a single hub airline in order to participate (Young, 1999). Bjà ¶rk (2002) argues that this reasoning can be easily relied on the market shares of hub airlines. Figure 1 shows the airline market share at Amsterdam Schiphol Airport over 2011. It can be clearly seen that KLM Royal Dutch Airlines (KL) is by far the largest operator at Schiphol Airport with a market share of nearly 50 per cent. A hub carrier as KLM has created over the years a constant increase share of available slots at their hub airports, which according to the author are called fortress hubs (p. 29). However, congested hubs are not the only causes of anxiety on anti-competition. Figure 1 Airline market share at Amsterdam Schiphol Airport over 2011 based on air transport movements Source: compiled by the author; data source Schiphol (2011, p. 25) As airlines join together in alliances the aviation market will become more concentrated. This will increase the risk of collusion between the remaining market participants. At many of these airports governments have found it necessary to divide runway utilisation into time-defined segments known as slots and allocate them to airlines that wish to operate from the airport. 3. Impacts on airports 3.1. Positive impacts on airports The presence of airline alliances has various positive impacts on airports. As all members in an alliance have an extended destination network, because of the connectivity possibilities of their alliance partners, it can be argued that the number of transfer passengers at airports increases. Figure 2 shows that the number of transfer passengers at Amsterdam Schiphol Airport in the Netherlands has rose steadily from 18 million in 2004 up to 20.3 million in 2008 (Schiphol, 2011). It can be believed that the presence of the SkyTeam alliance, which uses Amsterdam Schiphol as a hub, has contributed to the growth of transfer passengers. As a consequence, this increasing number of transfer passengers has also a positive effect on the purchase of duty-free products in the airport shops. In order to increase the sales at airport shops, an airport can decide on opening speciality stores which may interest international transfer passengers. To come back on the example of Amsterdam Schiphol, in the past years it has opened more luxury duty-free stores as a reply to the increasing demand by especially Russian and Asian transfer passengers. This includes a Finest Spirits Cigars store and a store that focusses on the sale of various chocolate products. (Schiphol, 2011, p. 58). Figure 2 The number of transfer passengers (in millions) at Amsterdam Schiphol Airport (2004-2011) Source: compiled by the author data source: Schiphol (2012) 3.2. Negative impacts on airports In contrast with the various positive effects of airline alliances on airports, there are also some downsides. As airline alliances bring an increased number of additional traffic, congestion at an airport can be considered as a negative effect, particularly at peak times. Especially when there is an ineffective use of the airport infrastructure, it can be hard to harmonise the flights in a short timeframe (Dennis, 2001). At many of this type of airport it has been considered unavoidable to split the use of the runway into time-defined segments commonly known as slots (Bjà ¶rk, 2002, p. 28). According to IATA (2011), slots can be defined as a permission given by a coordinator for a planned operation to use the full range of airport infrastructure necessary to arrive or depart at an [à ¢Ã¢â€š ¬Ã‚ ¦] airport on a specific date and time (p. 11). Besides, most flights at hubs are scheduled in so called waves. In each wave, a large number of arriving flights in a short timeframe is followed by more or less the same number of departures, after allowing some time for reallocation of passengers and luggage. For example, figure 3 shows the wave system of Germanys flag carrier Lufthansa at Munich Airport, which consists of four waves during a regular weekday. Figure 3 Wave-system analysis, Lufthansa, Munich Source: Burghouwt (2007), p. 69 As airports do not have an unrestricted peak capacity, especially during such a wave, airlines are ought to adapt their schedules. Dennis (2001) discusses two main options for rescheduling. First, flights can be added to the borders of the present waves. Second, new waves can be developed to accommodate these additional flights. With regard to the number of connections, the first option is more likely to be chosen. However, while extending the current wave, the connection time will also increase. Figure 4 implies that a wave with approximately 50 aircraft is likely to be the best option. Passing this number could involve extra waiting time for passengers, which could result in an increased peak load on the terminal building (p. 2). A second negative impact on airports is the investment that airports have to make for alliances in order to accommodate seamless transfer connectivity. In order to reduce the Minimum Connecting Time (MCT) for passengers, airports have done some adjustments to their infrastructure. An example is Brussels Airport in Belgium, which upgraded their customs and immigration facilities to create a better flow of passengers transferring from a Schengen origin to a Non-Schengen destination. Some airports are not designed to accommodate traffic from airline alliances. For example, when an airport has multiple terminals that are not located near each other. This might take a passenger a long time to transfer when alliance partners are spread over multiple terminals, affecting the MCT as well (Dennis, 2001). Figure 4 Increase in connections with wave size (based on 60 arrivals/departures per hour and 30 minute minimum connecting time) Source: Dennis (2001, p. 2). Conclusion During the last decades, several so called alliances have been formed in the airline industry. According to Stanford-Smith, Chiozza Edin (2002), a strategic alliance can be explained as any form of long-term cooperation between

Friday, October 25, 2019

Exploration Of The Matthew Shepard Event Essay -- Homosexuality Crime

Exploration Of The Matthew Shepard Event The human body is an object in which one lives and the medium through which one experiences oneself and the world. Claims on ideology and space are ultimately vested in the human body, and thus conflicts about belief systems and territory are often contested violently on physical bodies. Gay bodies become entangled in violence when they enter into arenas that combat certain ideas. Gay bashing illustrates incidences all in which bodies experience physical injury. In modern U.S. communities various militant conservatives target homosexuals in "gay bashing." Mathew Shepard's brutal murder in 1998 illustrates a relatively recent incident in which the human body becomes politicized. What is the process by which the pain and death of Shepard's body transform the personal to the political? What does "gay bashing" mean to attackers, victims and their communities? If gay bashing is about violence and being gay is at least partially about sex, then what is the relationship between them? What framework attends to both the sexual and nonsexual activities among contemporary American males? In Between Men, Eve Sedgwick sleds light on the boundaries separating sexual and nonsexual male relationships. According to the author, homosocial and homosexual do not necessarily have to occupy two different, non-overlapping spheres. " 'Homosocial desire', to begin with, is a kind of oxymoron. "Homosocial" is a word . . . [that] describes social bonds between persons of the same sex; it is a neologism, obviously formed with analogy with "homosexual," and just as obviously meant to distinguish from 'homosexual'" (Sedgwick 1985:1). Sedgwick contends that it would be more useful to view homosocial and homosexu... ...riarchy is the right of men to "hit on" women while remaining safe from not being "hit on" by anyone else, especially another man. Patriarchy, imbued with hierarchical meanings, gives heterosexual men something to loose. As practiced in contemporary America, patriarchy uses homophobia as structural support. Gay bashing exemplifies homosocial behavior's contribution to US patriarchy. The human body is both an object in which one lives and a site of political articulation. The struggles within many societies begin and end within the terrain of the human body, which though has no referential meaning becomes embodied by meaning within context that ultimately has a stake in the body. . Works Cited: 1. Kaufman, Moises. 2001. The Laramie Project. New York: First Vintage Books. 2. Sedgwick, Eve Kosofsky. 1985. Between Men. New York: Columbia University Press.

Thursday, October 24, 2019

Felon Disenfranchisement Essay

Disenfranchised felons should be reintegrated into society and recover their right to vote. Disenfranchisement is the harshest civil sanction imposed by a democratic society. Some of the problems involved with disenfranchisement include racism, inaccurate polls, and the massive amount of people affected. If the voice of the entire population does not include all sources and agendas, the polls will not be accurate. In Camilli’s research, it is assumed that the enfranchisement of the population is important for a fair and effective democratic community: those governed by this community must be able to vote. (2-3). Racism, although seemingly not the topic at hand, is indeed a primary contributor to this problem. One such limitation of felon disenfranchisement is the disproportionate impact of felon disenfranchisement on racial minorities in the United States, also the close election vote totals in recent prominent elections which may have been swung by the existence of felon dise nfranchisement. As Joseph Camilli points out, disenfranchisement has a disproportionate impact upon racial minorities. African Americans are affected more and also men are affected more in general. This brings forth the argument that the outcome is racist or even sexist. This is important when looking at recent elections involving racial minorities (3). Even if the desire is not intended to have racist outcomes, sometimes disenfranchisement laws still do. In Elizabeth Hulls research, she explains the number of black juveniles in the penal system, forty percent of whom will be prohibited from voting during some or all of their adult lives is astoundingly high. Many are first-time offenders who readily accept a guilty plea in exchange for probation. In the process, they often forfeit voting rights before they have even had an opportunity to exercise them. Given these consequences, it is hardly surprising that the United States Civil Rights Commission recently concluded that the disenfranchisement of ex-convicts is â€Å"the biggest hindrance to black voting since the poll tax†(Hull 1). In retrospect, maybe disenfranchising the nation’s future is not the best idea. Racism is a large problem of disenfranchisement. Disenfranchisement also affects this nation’s polls because large groups of people are not represented. The sheer number of felons with no right to vote skews the elections, especially those on the local level, and smaller communities. If the amount of felons were not so great, it may not be such an important issue. Since about one out of every forty-four people cannot vote, it implies that the polls are not accurate. Disenfranchisement is crippling in some areas where voting should be important. Small communities are completely underrepresented, and a small group has a larger influence. This has a large impact on certain issues when the entire population is required to make a sound choice. Felons have paid their debt to society; they should be reintegrated into mainstream society as smoothly as possible. It also may be a deterrent to future crime if they were to be able to re-experience a normal life, and include all of the rights they were missing. Perhaps they would even un derstand how important their rights were and serve to discourage fellow members of the community from future crime. Ex-Felons deserve the right to vote and for a strong democratic community should not be disenfranchised. In some cities, more than 50 percent of young African-American men are disenfranchised. A vast majority of prison inmates are African-Americans. Twelve percent of all African-American men in their twenties are incarcerated. This suggests that of the current population, more than a third of the black male community will be disenfranchised. More than a third of the 4.7 million disenfranchised felons are African-Americans. In four of the states with lifetime bans for felons, a quarter (Virginia, Iowa) and a third (Florida, Alabama) of all black men are ineligible to vote. As noted in Guy Stuart’s research, between 1935 and 1970, about 106 out of 100,000 Americans were incarcerated in federal or state prison; by 1980, the rate was 139 per 100,000; and in 2000, it was 478 per 100,000. The increases have not been solely confined to those incarcerated; the jail population and the number on probation and parole have also increased, from 662 per 100,000 in 1980 to 1,878 in 2000. Furthermore, the high incarceration rates disproportionately affect African Americans and Lati nos (5). â€Å"In its 1974 decision in Richardson v. Ramirez, the Supreme Court held that this language in the Fourteenth Amendment (the so-called Penalty Clause) provides an affirmative sanction for at least some forms of felon disenfranchisement,† (Hinchcliff 1). Hinchcliff also points  out that disenfranchisement upon minorities right now is greater than in any other time in history, especially upon African American males (1). The amending law in 1984 specified that if they resulted in racism despite intentions, it would be unconstitutional. About 3.9 million citizens in the U.S. were not able to take part in this year’s election, because of U.S. disenfranchisement laws regarding convicted felons. It is also important to focus on future obstructions such as how much the United States population has increased in the past few decades. Further obstructions that impede felons’ reintegration and lifelong barriers that affect their entire future are difficulties in employment, buying or renting a house, going to college, and other advantages open to the public. These ex-felons are continually punished by society. They must state if they have a felony when attempting to gain a job. The federal government claims that it is the stateà ¢â‚¬â„¢s prerogative. This causes much confusion, and many felons were able to vote in their area but did not know it due to the common misconception that felons could not vote. Some states ban voting by felons on probation or parole or even those who are no longer under any supervision by the criminal-justice system. Felons should be punished but not continually throughout their lives. Once their debt to society has been repaid, why should their rights still be forfeited? If people show criminals that their votes counted after they were released from prison perhaps it would encourage law abiding behavior. Why should these felons be excluded when they are also affected by elected leaders? According to Siegel’s research, Today, there are over 1. 5Million adults currently incarcerated in state or federal facilities, with an additional 700,000 individuals serving time In local jails (Sabol & Couture, 2008). Minorities of color are severely overrepresented within the criminal justice system. (Despite representing 13 percent of the U.S. population, African Americans compose 38 percent of presently incarcerated inmates; similarly, Hispanic total just over 15 percent of the overall population and 20 percent of inmates. (1) According to the research done by Guy Stuart, U.S. incarceration rates have been rising quickly in the past few decades. Most of the country has disenfranchisement laws. Almost forty percent of those disenfranchised are African American men. Slightly over six percent of the African American community has been disenfranchised. â€Å"This level of disfranchisement may have  had a significant impact on electoral outcomes in a number of states over the past twenty years, largely because those disfranchised would more likely have voted for the Democratic Party candidate† (1). Some people suggest a cool down period. They believe the felon should have to wait for years after serving his/her sentence. Sometimes this is so far out of hand that the felon would die of old age before he/she could vote again. They should be given the chance to prove they have been rehabilitated. Another argument against this unjust disenfranchisement is the felon knew the crime called for punishments, including loss of privileges. Some people believe since they already knew the punishments involved, that the ex-felons should not be given a second opportunity. A felony should not call for a lifetime punishment, especially when the crime does not always fit the punishment. Disenfranchisement is immoral, unbeneficial, and illegal. Unless an ex- felon has committed voter fraud, why should their punishment include disenfranchisement? Since it affects largely African American men more than other cultural and ethnic backgrounds, it has perhaps unintended racist outcomes. Felons have already paid their debt to society with the ir prison time and any fines they may have had to pay. A life sentence is an unnecessary addition to their sentence. They may not feel very accepted by people if they cannot vote. Normally people may want an ex-felon to feel very at home in society so as not to alienate them. Polls that are accurate are important to all people, because they do not just affect law-abiding citizens. They also affect felons and ex-felons. Works cited Camilli, Joseph â€Å"Minnesota’s Felon Disenfranchisement: An Historical Legal Relic, Rooted in Racism, That Fails To Satisfy a Legitimate Penological Interest.† Hamline Journal Of Public Law & Policy 33.1 (2011): 235-267. Legal Collection. Web. 23 Apr. 2013. Hinchcliff, Abigail M. â€Å"The ‘Other’ side Of Richardson V. Ramirez: A Textual Challenge To Felon Disenfranchisement.† Yale Law Journal 121.1 (2011): 194-236. Academic Search Elite. Web. 23 Apr. 2013. Hull, Elizabeth. â€Å"Disenfranchising Ex-Felons: What’s the Point?† 1 Mar. 2003. Web. 3 Mar. 2013. Siegel, Jonah A. â€Å"Felon Disenfranchisement and the Fight for Universal Suffrage.† Social Work 56.1 (2011): 89. MasterFILE Premier. Web. 23 Apr. 2013. Stuart, Guy. â€Å"Databases, Felons, and Voting: Bias and Partisanship of the Florida Felons list in the 2000 Elections.† Political Science Quarterly 119.3 (2004): 453-475. Academic Search Elite. Web. 23 Apr. 2013.