Saturday, August 31, 2019

Learning Review Essay

Introduction Learning Logs are more or less like personal diaries which helps you to record, structure, think about and reflect upon the evidence of your own learning. The difference between a learning log and personal diaries is that a learning log contains your conclusions about how what you have learnt is relevant to you and how you will use the new information or knowledge in the future. Development I used the Learning Log to record the courses I went on, Internet sites I had looked at, and television programmes I watched. My first experience I had when I was writing the first learning log was quite interesting and very difficult, being that I have never done anything like that before. I would say it is sometimes hard for someone to talk about oneself and feelings about something. Before I started writing the log, I asked myself a couple of questions like (What I did? , my thoughts and feelings? , what I learnt? , and What I will do differently next time? ). At first it seemed difficult to critically reflect upon my own learning’s, but over a period of time after much practising, it became a little easier and understandable. The more often I practiced the skill of self-reflection, the easier it became. Most of my learning logs were more or less focused on my personal life as it seemed easier to reflect on my personal life than reflecting on my academic life. Although talking about my personal life can get difficult as I sometimes did not know how to express my feeling toward what I was writing on. I encountered many difficulties and questions in writing my third log. At first, I thought I knew how well to write learning log, but later, I realised I was not so good. I asked myself, do I need to write every learning log referring to all my previous lecture or tutors? I cannot apply them so quick and see if they work for me. Then I realised it is easier to write about my daily life although it is harder to reflect on personal life. The content of one of my lectures (principles of marketing) was quite hard for me to write about and apply in my daily life. Apart from the above mentioned problem, I also have a question of what I learnt from an online marketing intelligent tutor program. At that tutor session, it was focused on the main issues of marketing. Evaluating the lecturers tone and works, the choice of evidence, the validity of the evidence, I think these points can be tried only when I read more commentary or article about the topic. The third lecture from my economics class was on critical reading. In the part of defining critical reading, I found myself always reading books passively and recklessly. When I have to read textbooks, this will happen easily. Some contents of those textbooks are quite long and boring. Just as now I am studying Microeconomics, I should read the whole chapter to get more information and concepts about this subject. But I don’t think it is easy to read. The sentences are long and hard to understand. When I read this textbook, I often cannot get concise concept and write summaries to be able to reflect on them One of the interesting logs I wrote was on a book I read titled â€Å"Good Decisions†. This particular log gave me a better idea on how to perfect my log writing skills because I was able to reflect on it. This book made me understand the different ways to approach ethical problems. I learnt that I have two core values, upholding harmony between people and doing the right thing, and this makes my decision-making difficult. I think I am not alone though, most people probably have similar problems and the reason why we cannot agree on some ethical issues is based on the fact that we approach them from different perspectives, rather than that we disagree on the fundamental values we have. I realised that if we share these values, our decision will depend on how we define caring for others and what things are the right things in different situations. I would also assume there might be a gender difference, with women being more likely to prioritise well-being of others and men finding it more important to uphold the rules. I decided that when next I am faced with any ethical dilemma with someone, I will try to identify what methods they are using to make the decision and see if that extra insight would help us solve the problem at hand quicker. Conclusion Overall I believe that the learning logs have helped me understand the importance of self-reflection. After I completed the amount of logs required weekly, I was able to achieve certain goals. Learning logs have made me tolerant, Analytical, Diplomatic, Become more open to learning, reflective in all I do and Self-Aware.

Friday, August 30, 2019

Helicopter Parents Essay

I am writing in response to the article â€Å"Interfering parents ‘damaging children’†. This article said that some parents are far too conscious about their children and they try to monitor their every single action. These parents may force them to ‘friend’ them on facebook account, or even checking their text messages. They are called ‘helicopter parents as they keep on tracking their children. I understand that parents care about their children. They do not want their children to get hurt and they try to keep them away from danger. However, these monitoring actions may cause their children to feel trapped with no freedom. Their children will eventually become secretive and they may try to hide themselves in front of their parents. In this case, their parents will try harder to track their children’s actions, which will turn out to be a vicious cycle. Therefore, parents should learn how cope with their children’s problem. Parents can discuss issues that they concern with children but they should still give their children spaces as well as privacy. Children may have their own friends and social life. They may not want their parents to intrude in their social life and make friends with every friend they know. Parents should try to chat with their children as a friend instead of forcing them to report every detail about their school life. If you are willing to give your child more freedom and not over-reacted, your children will be more willing to tell you things happened around them,  Ã¢â‚¬ËœHelicopter parents’ has become a social problem in recent years. We must understand the reason behind and try to cope with the problem. In conclusion, communication between parents and children are important. If parents and children are willing to communicate with each other, they can be clear about each other’s feelings. Thereby making suitable adjustment on the attitude they take on each other.

Thursday, August 29, 2019

Children learn Essay

The Guidance for the Foundation Stage Curriculum (2001) suggests that an appropriate curriculum for young children is a play-based curriculum, offering children a choice of play based activities and experiences. Siraj-Blatchford and Clarke (2000) agree that play has been well documented as a means by which young children learn.  Ã¢â‚¬Å"Play is highly valued in the Early Years for its ability to stimulate and integrate a wide range of children’s intellectual, physical, cultural, social and creative abilities.† (Siraj-Blatchford and Clarke 2000, p.76) However, unstructured play, in its’ purest sense, may cause a number of problems when providing suitable provision for children demonstrating hyperactive, impulsive or inattentive behaviour due to lack of structure and continual distraction. Kewley (1999,p.151) would agree when stating,  Ã¢â‚¬  Unstructured situations such as playtime often cause problems for children with ADHD†¦because of the over-reaction to the stimulus and their impulsive behaviour.† Ballard (1997) defines an inclusive setting as one where â€Å"differentness† is an ordinary part of human experience. Indeed, differentiation is the key to effective teaching and learning. However, problems arise when the whole structure of the curriculum is inappropriate for the needs of a particular child. Cooper (1999) would agree that it is invaluable for the practitioner to be aware of the specific circumstances in which individual children perform best in order to plan for the learning needs of these children and suggests that some aspects of an Early Years curriculum may aggravate symptoms of ADHD when stating, â€Å"Children with ADHD can become overwhelmed by the massive over stimulation they experience in a group situation and through free-play activity.† (Cooper 1999, p.144)  In addition,  Barrow (in: Merton 1998) and Toothhill and Spalding (in: Sefton 2000) also found that children with ADHD responded better in highly structured lessons than less organised ones.  Ã¢â‚¬Å"Children with ADHD are often hypersensitive to distraction. It is important, therefore, to ensure that they are seated in a place that is relatively free from distraction.† (Cooper 1999, p.146) Thus, making the task of suitable inclusive provision difficult for practitioners in Early Years settings. However, many opportunities for structured, adult-directed play do exist within the Early Years. (Siraj-Blatchford and Clarke 2000) Games such as those with rules, card games, matching games, and outdoor games with balls all provide opportunities for adult-directed play and provide the child with instructions and guidance for playing the game, rules of turn taking and developing new information. In addition a play-based curriculum offers opportunities for high levels of adult support and encouragement and a kinaesthetic based approach to learning, which is a preferred style of learning for many children with ADHD. Kewley (1999,p.146) concurs, stating, â€Å"Children with ADHD tend to be intuitive and need a practical approach to learning rather than a highly theoretical approach.†Ã‚  Research suggests however, that a high number of children with ADHD are not acknowledged as having SEN and instead their inappropriate behaviour highlighted as unsuitable candidates for mainstream settings. Hayden (1997) suggests that this attitude does not improve as the children enter formal education. Hayden researched children who had been excluded from primary school and found that children with ADHD are more likely that most to be excluded from school for behavioural reasons. This does appear at first glance to be surprising, when considering the evidence to suggest that a structured environment is more appropriate for a child with ADHD. Cooper (2005) offers an explanation for this however, and suggests that when considering the constructions of ADHD that, it is influenced by both biology and the social environment. Cooper infers that â€Å"school† plays a major part in the process of social constructions and indicates that children with ADHD are expected to conform to an unsuitable and ridged social framework and inappropriate curriculum when stating, â€Å"Pupils from an early age are expected to internalise and behave in accordance with a set of rules that derive from constraints imposed by a teacher-centred, curriculum-focused method of teaching pupils in age related groups.† (Cooper 2005,p.128)  Cooper also suggests that inappropriate teacher/child ratios may create social disorder problems that are met by a set of lineal rules, designed to regulate peer interaction and movement around school. Concluding that the majority of problems arise from an externally imposed age determined curricula as apposed to a negotiated curriculum. These findings are alarming when considering recent developments, legislation and guidance relating to children with SEN and may indicate that the behaviour aspect of children with ADHD is being used as a scapegoat strategy for settings who are not meeting the needs of these children.  When examining the issues surrounding ADHD it is clear that successful inclusion both in the Early Years and Primary school settings is problematic. On the one hand a play-based curriculum is the most suitable form of learning for the majority of young children and is endorsed in Early Years Settings, whilst on the other the symptoms that children with ADHD display suggest that such a curriculum would exasperate these symptoms. However, as previously discussed, some aspects of a play-based curriculum are preferable to the more formal approach of primary school. The PLA (2001) suggest once children have been admitted to the setting, an environment that is created should be one that encourages all children to flourish. Furthermore, Kewley (2001, p6) states the inclusion of children with ADHD is a â€Å"moral imperative†, however, Farrell and Polat (2003) argue that the inclusion of children with EBD has the potential to cause barriers to the government implementation of their policy of social inclusion. This would suggest that although differing levels of ability can be quiet easily catered for, behavioural and emotional differences are not as easily accommodated in educational settings. Visser and Stokes (2003) found that many people agreed with the inclusion of children with SEN, however when it came to children with EBD they were often denied inclusion due to their SEN. This supports the research undertaken by Hayden (mentioned previously) that children with ADHD are excluded from primary school due to behavioural reasons. The DfES (2006, p.1) suggest that children with ADHD can have an overwhelming affect in the setting when stating, â€Å"pupils with ADHD present challenges for teachers, both in effective behaviour management and in keeping them focused on the task in hand.† [online]  Teachers may feel threatened by having to deal with a child with ADHD, particularly if they have no training in the area and lack confidence, in addition to having to give instruction to a further 30 children or more. The parents of other children may feel that the attention has been drawn away from their children as more time needs to be spent dealing with disruptive outbursts and one to one tuition. All these factors effect the successful inclusion of children with ADHD. Swinson, Wolf and Meling however, disagree that these children’s needs would be addressed more effectively in special schools and conclude that there is much evidence of mainstream schools successfully including children with EBD and there was no evidence to suggest children with EBD benefit from special school. Rose (2002) found that teachers felt they could successfully include children with EBD, but only with additional classroom support. This may suggest a lack of confidence in their ability to meet the needs of children with ADHD in their care. Swinson, Wolf and Meling (2002) suggest that this view is not uncommon, they found that many teachers felt they were not sufficiently trained to meet the needs of inclusion. Another reason that teachers insist on additional classroom support may be due to the time and attention children with ADHD need. Newelle (2001) agree that children with EBD take up a lot of time and resources. All of the barriers above are not isolated to ADHD or indeed EBD they are general inclusion issues that have been successfully addressed throughout a majority of mainstream settings, particularly Early years settings. Albeit ADHD may manifest itself in differing ways and appear to centre around continuous, disruptive behaviour, for some leading to exclusion, however, all children with SEN should have their needs met and advice given by the DfES (2000) should apply to all children when stating,  Ã¢â‚¬Å"Children with special educational needs all have learning difficulties that make it harder for them to learn than most children at the same age. These children may need extra or different help from that given to children of the same age† [online] According to the National Institute of Mental Health (NIMH) [online], ADHD can have long term effects on the child’s ability to make friends and over time these children may develop emotional problems such as poor self-esteem and depression if the child’s needs are not met. McEwan (1998) identifies emotional reactivity and conduct problems, which include symptoms such as a shot fuse due to getting easily frustrated, overreacting to things that happen, defiant behaviour, verbal hostility and angry outbursts. Fletcher-Campbell (2001) looks at the problems of children with EBD and suggests that these children alienate themselves from their peers, due to their behaviour. Thus, â€Å"Some manifestations of the disorder tend to isolate children with ADHD from their peers, who will sometimes react with hostility to impulsive and hyperactive behaviour. This can result in long term difficulties in relation to other individuals and developing and sustaining relationships – and the emotional problems that follow often exacerbate the struggle to learn.† (Question Publishing 2003) [online] Effects of inattention and impulsivity causes children problems with turn taking and this suggests they often interrupt when others are talking or playing. (Cooper and O’Regan (2001) In addition McEwan (1998) argues that children with ADHD can often be selfish and self-centred, which means they are likely to find it hard to make friends and build relationships. They are often unaware of social cues and do not worry about the consequences of their behaviour.

Trying to rehabilitate offenders is a waste of time and money Essay

Trying to rehabilitate offenders is a waste of time and money - Essay Example These high rates of behaviour of falling back into crime have driven the prison population to rapidly increase and have caused a widespread overcrowding, slowing down a number of opportunities for rehabilitation and education, and have lowered the level of motivation for both the staff and the prisoners. To address this issue, the government of the United Kingdom has been spending on new prison places which have been merely designed for control security instead of being focused on the education and rehabilitation that their increasing number of prisoners need. Most of these British prisoners are young men under 30 who do not have proper education; therefore without the correct education and skills, only a small number of these prisoners will be capable of building meaningful lives that will turn away from crime, regardless of how long or how often they have been in prison (Ogloff 1999). Community sentences are also handled by the probation service and staff who work with the prisoners, their victims and partners who closely work with criminal justice agencies such as the police and the prisons. These three agencies are required by the law to work together in managing and supervising the community. The primary goals of the penal system as well as the individuals who facilitate it are to protect the public and implement the proper punishment for the offenders of the community. This system of punishment is also used to make sure that the offenders are aware of their crimes and its effects on their victims and communities; therefore, these individuals should undergo proper analysis and rehabilitation. Rehabilitation programmes have been created as part of the penal system to implement transformation on prisoners for them to change and become better and productive citizens. However, this will entail support from concerned agencies and more importantly, the

Wednesday, August 28, 2019

Biography of Kurt Vonnegut Essay Example | Topics and Well Written Essays - 1250 words

Biography of Kurt Vonnegut - Essay Example After the war, Vonnegut attended the University of Chicago as a graduate student in anthropology and also worked at the City News Bureau of Chicago. He described his work there in the late 1940s in terms that could have been used by almost any other City Press reporter of any era: "Well, the Chicago City News Bureau was a tripwire for all the newspapers in town when I was there, and there were five papers, I think. We were out all the time around the clock and every time we came across a really juicy murder or scandal or whatever, they’d send the big time reporters and photographers, otherwise, they’d run our stories. So that’s what I was doing, and I was going to university at the same time." Vonnegut admitted that he was a poor anthropology student, with one professor remarking that some of the students were going to be professional anthropologists and he was not one of them. According to Vonnegut in Bagombo Snuff Box, the university rejected his first thesis o n the necessity of accounting for the similarities between Cubist painters and the leaders of late 19th Century Native American uprisings, saying it was unprofessional. He left Chicago to work in Schenectady, New York, in public relations for General Electric, where his brother Bernard worked in the research department. Vonnegut was a technical writer but was also known for writing well past his typical hours while working. While in Schenectady, Vonnegut lived in the tiny hamlet of Alplaus, just across the Mohawk River from the city of Schenectady.

Tuesday, August 27, 2019

Business financial system analyst Essay Example | Topics and Well Written Essays - 2000 words

Business financial system analyst - Essay Example The aim of this essay is to outline the business model that the business analyst develops in an effort to determine the projects potential success or failure or whether the risk free rate should be used as the alternative of the financial model. The investment sector chosen is the financial sector. Choice of Investment Financial sector can be defined as the stock category that contains the firms whose main job is the provision of services relating to finance to the commercial, as well as the retail customers. The sector comprises of entities ranging from banks, insurance companies, and investment funds to the real estate. As a business analyst, the choice to invest the 100 million United States dollars in the real estate and the investment funds was inevitable (Kolb, 2010). When making an investment choice, a number of items are considered to ensure that the investment will be profitable. The investor has to analyze the extent of risk that he or she can handle. For instance in choosi ng to buy bonds or shares, the risk is high since the funds are not insured. The investor has to choose the best investment mix or portfolio. Considering an investment mix is beneficial especially when the investor is protecting or guarding against unanticipated losses. The assets allocation should be carried out in a way that the risk is spread and high to ensure higher returns. The investor has to consider diversifying the investments to ensure that the risk of losses is not extreme. For instance, it is advised that the investor should not make hug investments in one sector of the economy. Otherwise should the sector fail, all his or her investment s would be submerged. With this knowledge, the investor decided to make the following decision. Money's 60 % was invested in the building of a prominent rental building in the outskirts of Chicago while the remaining 40 million dollars were invested in purchases of bonds of the Microsoft and the Unilever companies (Lockie, 2013). Having chosen the investment portfolio, it is significant to note that financial stability is therefore, crucial when it comes to sustaining economic growth. Economic growth in this case refers to the growth of the investment. In an effort to detect the vulnerability that exists in the financial system, macroprudential analysis model is recommended to be the best in analyzing the situation of a financial system. The analysis involves the identification of the financial soundness indicators and some of the methods that are used in their analysis (Robert, 2006). Macroprudential Analysis This is defined as the analysis of the economy that seeks to evaluate and examine the soundness of the financial system while taking into consideration the vulnerability and of a given financial system. The analysis involves the use of quantitative information mostly involving FSIs. The use of other indicators of the economy that give a broader picture in matters of financial and the economy is also recommen ded. Using this model I shall establish and investigate the linkages that exist between the real economic sector and the financial system (Mesonnier, 2012). The model will also assist in the scenario analysis and also in the testing of the stresses that may occur in this business investment field. Through the model, I will be able to note the system's sensitivity to the various economic shocks together with the resilience to the shocks. In a broader perspective, macroprudential

Monday, August 26, 2019

Air Crash Investigation Essay Example | Topics and Well Written Essays - 3750 words

Air Crash Investigation - Essay Example This report also aims in making recommendations for improving the system and reducing the failure rates. Table of Contents ABSTRACT 1 1.0 Introduction 4 2.0 Description of the Accident 5 3.0 Narrative of Events 5 4.0 Structure of Investigation Report 6 4.1 Executive Summary 7 4.2 Factual Information 7 4.2.1 Mission 7 4.2.2. Sequence of Events or Narrative of Events 7 4.2.3 Sequence of Crash or Response of Accident 7 4.2.4 Description of Damage and Injuries 8 4.2.5 Wreckage Report 8 4.2.6 Operational History 8 4.2.7 Compliance with Directives 8 4.2.8 Training, Qualifications and Certifications 8 4.2.9 Management of Record 9 4.2.10 Opportunities for Prevention of Accident 9 4.2.11 Mission Risk Factors 9 4.2.12 Emphasis on Safety 9 4.3 Analysis 9 4.4 Findings 10 4.5 Recommendations 10 5.0 Major Points and Findings of Investigation Report 10 6.0 Evaluation of Recommendations 12 7.0 Changes to Global Civil Aviation Regulations 15 8.0 System Operation 16 Conclusions 1 Recommendations 1 Lis t of Figures Figure 1 : Percentage of Causes for Air Accidents 5 Figure 2 : Leading Edge Horizontal Sabilizer Separation from Embraer 120 11 Figure 3 : Function of Horizontal Stabilizer 17 Figure 4 : Aircraft Pitch Movement 18 Figure 5 : Effect of Airfoil Shapes on Lift 19 Figure 6 : Horizontal Stabilizer of Embraer 120 19 Figure 7 : Loss of Leading Edge of Horizontal Stabilizer 21 Figure 8 : Fault Tree Analysis of Continental Express Flight 2574 1 Air Crash Investigation Continental Express Flight 2574 Details of Accident 1.0 Introduction According to Annesure 13 of Convention on International Civil Aviation (2010), also known as Chicago Convention, an aviation accident is â€Å"an occurrence associated with the operation of an aircraft, which takes place between the time any person boards the aircraft with the intention of flight until such time as all such persons have disembarked, where a person is fatally or seriously injured, the aircraft sustains damage or structural failure or the aircraft is missing or is completely inaccessible†. The purpose of air crash investigations is to determine the reasons for accident and make safety recommendations to avoid recurrences and if possible preserve life. Its aim is not to apportion blame and liability if any on an individual or organization. Safety Boards are assigned the mandate to carry out these investigations; however, these are not regulatory bodies since approval and implementation of regulation is within the domain of Federal Aviation Authority (FAA) and Civil Aviation Authority (CAA). According to Boeing (2010), majority of the aircraft accidents were causes by pilot or flight crew error indicating a high percentage of human factor, followed by defective equipment or component that made up 14% of the total while less than one-third the human factor as shown in figure below: Figure 1 : Percentage of Causes for Air Accidents 2.0 Description of the Accident Continental Express Flight 2574, a domestic flight, was scheduled from Laredo International Airport in Laredo, Texas to Bush Intercontinental Airport in Houston, Texas on 11 September 1991 with 12 passengers and two crew members on board. Nearly at the end of their 55 minutes flight to destination, aircraft crashed in a corn field near Eagle Lake, Texas due to structural failure. Texas

Sunday, August 25, 2019

Value of philosophy Essay Example | Topics and Well Written Essays - 750 words

Value of philosophy - Essay Example According to this author, a true philosophical contemplation finds its meaning in the enlargement of not self in everything in the universe. The mind Russell believes that although philosophy does not enhance our physical wellbeing, it has a major role in human kind of enriching our mental lives mainly through the mind, which determines the way we relate with the immediate environment. However, the enrichment that Russell refers to does not provide all the answers to all the philosophical questions but instead offers a variety of suggestions on how to tackle these problems (Bertrand Pg 26). Russell insists that the mind that views philosophy as a conformation of freedom and impartiality will always strive to protect and preserve these values. This kind of mind will view its purpose and desires as path of the whole. This kind of mind in reference is a free mind that fights for justice and freedom hence the analogy and linkage of many philosophers with histories of freedom fighting and involvement in fighting for human rights. Russell believes that the enlargement of human mind enlarges objects and human mind that is responsible for freedom and liberation. According to Russell, philosophy gives a wider range of suggestions on how to deal with feelings of uncertainty and fear. For example, through philosophy it is easy to make unfamiliar things to look familiar (Bertrand Pg 27). According to Russell, unless we enlarge our mind to include other perspectives of the outer world, we remain like garrison in a blue guard fortress with no freedom. Such life has no peace and is involved with constant strives between desires and powerlessness of will. Philosophic contemplation does not divide the universe into sections but instead join it into one single camp. Russell insists that we must continue to seek brain enlargement by operating on the desires of our mind (Bertrand Pg 27). However, we cannot find this enlargement if we take the mind as it is but must make our minds open and free from alien impossibilities. Self-assertion is an example of philosophic speculation and this hinders mind enlargement. Russell also argues about the separation of the study of human mind from the field of philosophy. He disagrees with those scientists who have included the study of human mind as psychology. However, he still maintains that philosophy is still embedded in sciences and more so in the study of human mind. Although human mind plays a greater role in defining philosophy, religion is important in conceptualizing the meaning of philosophy. Russell questions the value of good and evil in the planet and wonders if good and evil is only important to humans or to the whole universe. Philosophy is therefore very valuable and whoever lives a life without a tincture of philosophy undergoes duress and a life of imprisonment. Such individuals are also affected by prejudices of common sense. Such people views the world as a definite, finite, obvious, common and with no reason unfamiliar. The view of philosophy has many wrong conceptions therefore philosophy strives to search for knowledge. The knowledge sought gives the unity of system and body. This knowledge is helpful in examining the grounds of convictions, prejudices, and beliefs. According to Russell, the quest for philosophical knowledge continues to face many challenges due to broken units and sciences that have derived their sense

Saturday, August 24, 2019

Evaluate returns predictability Coursework Example | Topics and Well Written Essays - 1500 words

Evaluate returns predictability - Coursework Example This paper has two sections; in the first section it discusses empirical evidence on the predictability of excess of returns by the technical analysis method, the second section is devoted to evaluating whether return predictability is a good test for market efficiency. Gustafsson (2012) conducted a research on how the stock market performed relatively to the predictions by the technical analysis method in the Swedish stock market. According to technical analysis assumed that successive returns were related. In other words, positive returns in a given time period would be followed by equally positive returns in the same period of the subsequent year. On the basis of the above assumption, Gustafsson (2012) wanted to test the hypothesis that successes in the stock market were independent. Among other tests, the research summarized results from various trading rules to test whether a technical analysis would have been used to accurately predict recurring price patterns and hence returns. The research found out that the comparison between 2001-12-28 and 2011-12-30, the average daily return was 0.0184% for the buy and hold strategy, with a standard deviation of 0.016 and the total number of trading days was 2517. With this statistic, the t-statistic for the buy and hold strategy was 0.58. This study made reached some interesting conclusions from the data. Interestingly, it found out that the introduction of RSI and the RSIstoch that indicates the directional strength of price changes had an impact on the return predictability. Further, the findings lend to the support of the assumption that technical analysis can be used to predict future price movements. This is because; average daily buy-day returns were significantly larger than average daily-sell returns. As such, it meant that the technical trading rules also had a

Friday, August 23, 2019

Successful Marketing in Japan Essay Example | Topics and Well Written Essays - 2000 words

Successful Marketing in Japan - Essay Example This piece of paper addresses major factors that are to be considered by foreign businesses that intend to launch their lucrative business in Japan and explain what they should do to respond to the cultural myopia that prevails in Japan. Mastering the marketing in Japan Japan, being the second largest economy of the world, occupies a significant position in almost all industries and business activities worldwide. From the 1940s onwards, the country has been able to build a dominant, modern and internationally-oriented industrial economy which was based on innovative product designs, high quality production, advanced services, increased domestic consumption etc (Genzberger, 1994, p. 1). Japan is not only a strong economy in terms of production, exports, innovation, advanced services etc, but also a powerful market that large numbers of businesses from other countries seek opportunities in Japan. But, administering and mastering the marketing in Japan is considered to be a difficult ta sk. There are different barriers to marketing in Japan. Some of the major barriers to selling to Japan are import barriers, obstructive bureaucrats, non-transparent regulations, huge language barrier, conglomerate monopolies etc (Genzberger, 1994, p. 175). For any businessman from other countries to launch, run, operate and succeed in Japan’s market is therefore a difficult task, but there are many lucrative businesses that have strategically approached the market and found success in its path. As Reid (1999, p. 41) observed, even though Japanese market has long been considered to be obstructive to penetrate, experts on business in Japan have found that this is quite misleading. Various business strategies have been found to have helped foreign businesses in Japan’s market. Goodnow and Kosenko (1993) identified key strategies that North American companies used for marketing in Japan. Management philosophy, high technological capability, acceptance of Japanese subsidiar y etc are some of such effective strategies. Reid (1999, p. 41) pointed that foreign companies have not only succeeded in marketing in Japan, but also established leadership positions mainly in Japanese consumer products market. Many foreign players have turned to be established leaders in the Japanese market. For instance, Coca-Cola generates around 30 percent of its total profits from Japan, 70 percent of Dunhill’s sales are from Japanese people and IBM employs around 20,000 Japanese people. Factors to be considered by foreign corporations to conduct business in Japan Cost element While comparing the relative costs that may incur in marketing in different countries, it can be found that marketing in Japan is more costly than marketing in many other countries (Genzberger, 1994, p. 175). When it comes to various business expenditures, almost every thing including rent, salary, transportation, advertising, banking etc are highly expensive than that of other countries. Cost has been accounted to be 50 percent of all the reasons behind the failure of companies in marketing in Japan. For those corporate who have a quality product, advanced technology, innovations and more importantly those who are willing to undertake the high initial costs for market entry in the

Thursday, August 22, 2019

The Backscatter X-Ray Essay Example for Free

The Backscatter X-Ray Essay The backscatter X-ray is the right choice when compared to traditional X-rays or metal detectors. On December 27, 2006, the author, Thomas Frank,whom is the aviation security correspondant for USA Today, wrote, X-ray Tests Both Security, Privacy, and made valid points concerning the fear of radiation, how easily it finds metal guns and knives, and the provacy issue that surrounds X-ray technology (5). Throughout this essay Thomas Frank was able to write about the facts surrounding X-rays and keep hs opinion out of the article therefore giving his readers the chance to form their own belief. This essay was written to analyze which belief to choose. Should the public be against the backscatter X-ray because of radiation exposure or is safety against terrorists the better option? The fear of over-exposure to radiation is laughable at best. Its like being out in the sun for 15 to 20 minutes (5). Being out in the sun can in reality be a good thing. Through sunlight the body absorbs vitamin D which is needed for strong bones and teeth. Everyone gets sun exposure on an everyday basis. Its not a bad thing to have a little sun. Take people whom use artificial light to tan. A waiver must be signed before exposing the body to the light. This waiver states that skin cancer may occur with use; eye damage is possible with exposure. Tanners sign this form without another thought because artificial light is the same as being out in the sun. A waiver is not availabe for people to sign at the airport. Why is this? Is it because radiation damage is higher with artificial light thereby being higher with sunlight versus the backscatter X-ray? If so, should the public stay inside their house and avoid sunlight at all cost? They are foolproof when it comes to finding metal guns and metal knives (6). Clark Kent Ervin whom is the former Homeland Security Department inspector said during the interview. He stated, screeners repeatedly missed hidden weapons (6). If screeners are missing hidden weapons wouldnt the obvious choice be to use the backscatter X-ray? Isnt the publics safety more important? Our airport security has already been compromised once with September 11 . If there is anything that can prevent that from happening again then it should be done. Our safety is top priority. Backscatter X-rays dont show anything on the body deemed indecent. It only shows whats carried on the body. People really need to understand that the Transportation Security Administration (TSA) is putting in place technologythat does in fact do a digital strip search and stores those images at least temporarily, said Marc Rotenberg of the Electronic Privacy Information Center (5). Temporarily is the key. Whom cares about a picture being taken as long as its temporary? Its not as if the image is going to be stored forever and displayed worldwide. The TSA, however, says the images are cartoonlike sketches that show only outlines of each passenger and are never stored (5). The images arent stored so the public doesnt need to worry about the images being released. Cartoonlike sketches means that its not even a real human body. It doesnt look like a person at all. Its just an outline that looks cartoonlike at that. Theres nothing wrong with cartoons. I grew up watching them as a child as did many others. $100,000 backscatter machine finds many weapons missed by screeners and metal detectors (6). Finding weapons as soon as possible can be the difference between life and death. A machine that finds weapons more often than not should be used in place of a machine that is likely to miss. Although the backscatter X-ray is not going to catch everything that it scans it will make it harder for terrorists to sneak weapons on a plane. The object is not to prevent everything that can conceivably happen, he said, the object is to make it difficult (6). The fact claim the author is making is supported by the examples given in the article. Some examples include quotes from Marc Rotenberg and Frank Cerra. The warrant that connects the fact claim and support are digital strip search (5) and being out in thesun for 15 to 20 minutes (5). It seems these details were said to persuade the interviewer and readers of this article. Someone would need 2,500 backscatter scans a year before reaching the limits of safe radiation exposure (5). These guidelines are provided by the National Council on Radiation Protection and Measurements so therefore even frequent flyers will be protected from over-exposure to radiation. In closing, the authors fact claim of backscatter X-ry versus regular X-ray and metal detectors have been clearly stated. He went into detail giving both sides concerning radiation, worth, and privacy. Overall the essay was an effective argument that gave information from both sides equally. With public safety a concern the conflicts that arise concerning this matter should be of no importance. The public has a right to be protected no matter what it takes.

Wednesday, August 21, 2019

Tropical Cyclone and Small Circles Essay Example for Free

Tropical Cyclone and Small Circles Essay A cyclone is a very violent storm. It never comes alone. Heavy showers of rain, thunder and lightning are its companions. When a cyclone blows, it moves round and round in the form of small circles. It always changes its course when it blows. It does not move in the same direction like an ordinary storm. It occurs mostly in the warm parts of the world. India is in this region of the world. Hence cyclones often blow over her. In cold countries there is no cyclone. The signs of a cyclone There are some signs of the blowing of a cyclone. A low pressure is created in the sea. The weather becomes very hot. There is not a breath of wind. Patches of dark clouds gradually spread in the sky. At last, the sky become dark. A storm sets in. The wind then begins to blow violently. From these we can understand that a cyclone will begin. The actual cyclone Then it rains very heavily. Flashes of lightning are seen. Thunders begin to peal loudly. The wind begins to blow furiously. It blows forward forming circles. There is a roaring noise. The wind continues to blow for some hours. Sometimes it continues for a day or two. Such terrible cyclones happened in September 1918 before the Pujas and in November 1988. Its effect The effect of the blowing of a cyclone is terrible. Big trees fall down. Roofs of houses are blown away. Many a house is destroyed. Many a man is killed. The water of the river rises. There are huge waves in the river. Many boats sink down. Many men are drowned. Sometimes steamers are also sunk. Everywhere dead bodies of men and beasts are found. Crops are destroyed. People suffer much. They become homeless and helpless. There is scarcity of food. Famine breaks out. This miserable condition of the people cannot be fully described. Other people then try to help them with money, food, medicine and clothes. Conclusion The cyclone is a terrible evil. Man has no power to prevent it. But people may be warned beforehand that there will be a cyclone.

Skeletal Specimens for Scientific Studies

Skeletal Specimens for Scientific Studies This report is about the proper techniques for preparing, cleaning, whitening and articulation of skeletal specimens for osteological, biological, veterinary or zoological study. It will explain the three usual techniques used to clean the bones of soft tissue and a few of the more uncommon ways to do so. It will go slightly in depth in each category and then move onto the proper ways and improper ways that the bones themselves are whitened and all lipids are removed from the bones, than it will discuss how to seal the bones to protect them from the elements. Then it will discuss actual articulation and go into detail on the types of articulation commonly used. Lastly it will go over common uses for prepared articulated skeletons. Skeletal articulations have been going on since museums first started displaying taxidermied animals. Many times the animals bones didnt want to be wasted so either the skulls or entire skeletons would be saved in archives to help accurately catalog specimens kept in the museum. Eventually the idea was had to reconstruct these skeletons into lifelike poses and display them in the museum as well, this is where skeletal articulation found its roots. In the picture below is an example of an articulated skeleton of a Potto, a species of primate There are multiple ways to clean the specimens that are used for articulations. There are three common ways that it is done with satisfactory results, the first and most common method is with the use of the beetle Dermestes maculatus, otherwise known as the dermestid, or skin, beetle. These beetles start their life as a small microscopic egg typically laid near dried animal material, which than hatch out as small furry larvae which are black to brown in color. The eggs typically take a day to hatch and the larvae go through multiple stages, or instars, before finally pupating and emerging as an adult. Post, L (n.d) Bone Builders notebook. Pg. 21 Homer, AK, Author published. The male beetle attracts the female with pheromones, which is a common method in the insect world. There is no intermale aggression or territorial aggression. These beetles are useful not only in skeletal articulation but also in the field of human forensics. The main way these beetles assist in the cleaning of bones for articulation is they eat the flesh fairly quickly, the larger the colony the faster the job gets done. With a colony of one thousand beetles an animal the size of a weasel could be cleaned overnight, as opposed to some of the other methods which take considerably longer. An example of a small colony cleaning a deer skull can be seen in the below picture The beetles are also extremely delicate and thorough in the job that they do, being able to clean even the skeletons of young animals without fully formed bones while doing little to no damage. B. Shaver P.E Kaufman (2009). They also allow articulators to perform ligamentary articulations. A drawback to using beetles for cleaning is they often leave a lot of fat in the bones, making for a longer whitening and degreasing process. Beetles usually live for around 6 months in their adult form, however they breed very quickly. I have personally raised a colony of these beetles from just eighteen beetles to well over five thousand in a little over a year. A second common method for cleaning bones for use is maceration, which requires less maintenance than a beetle colony but also takes a lot more time to fully clean the bones. Maceration is the submersion of the specimen in water to decompose fully. This is further broken down into two categories, cold water maceration and warm water maceration. Cold water maceration typically takes a longer period of time to completely decompose the specimen, however it is easier maintenance and is typically used in warmer climates. Warm water maceration usually uses some form of heating element in the water to speed up the process of decomposition. It also has the added benefit of helping to melt some of the lipids left in the bones, helping to degrease the bones while cleaning them at the same time. Maceration when used properly results in much cleaner bones than the other methods of cleaning, however it takes a considerable amount of time to complete. Times can vary from a week or two for a small animal like a mouse to a few years for larger animals such as horses and cattle. Generally the water temperature is kept at or above 80 degrees for warm water maceration. This dramatically lowers the degreasing time by melting and liquefying the lipids in the bones, making it easier for the bacteria to consume and for physical removal of the fat. This techniques major drawback is mostly the smell it produces, which if never smelled before has been known to produce ill responses. Most of the time maceration is done in small containers with separate bone groups separated from each other, for example the arm bones separated, the leg bones separated, and the ribs and spine separated. This makes it much easier to rearrange the bones after the cleaning process is done. These sections are often placed in mesh bags made of some form of plastic, as if it were a form of cloth it could potentially also be digested and consumed by the bacteria in the water. Other times specimens may be placed in wire cages and placed in streams, rivers, or ponds to macerate, which also allows natural scavengers to help do the work, however there is a far greater potential to lose bones this way, or have it tampered with. A third common technique for cleaning bones is boiling. This technique involves actually cooking the specimen for multiple hours until the soft tissues become soft enough to come away from the bones. There are several problems with this method and the main one being that people tend to actually boil the bones, damaging them with the heat and making them soft and flaky. It is best to simmer the bones on low heat for a long period of time to help avoid from damaging the bones. Often times the heat tends to leech the fat directly into the bones, making for a terribly long degreasing process. This technique is commonly employed by taxidermists for European mounts, which is keeping the skull and horns of game animals such as deer or antelope. A European mount may be seen in the below picture Some people will also add baking powder to help strip the soft tissue from the bones, this is highly damaging to the bones and though initial results may look alright, without proper sealing the bones will soon turn dusty and deteriorate overtime, until you are left with nothing more than dust. This process is also usually done in pieces so as to make organization of the skeleton a simpler process. Times can vary from a few hours for smaller sections of bone to well over twenty four hours for larger animals or sections of bones. Often times the spine of the animal will present a problem as there is much cartilage, nervous tissue and muscle tissue holding them together. Manuel removal of flesh is required for this technique, often involving fine scalpel blades and knives, as well as stiff wire brushes. Overall this technique is the least efficient of the three common techniques and has the most potential for damaging the specimen, therefore it is often not recommended to be tried by those first starting skeletal articulations, as they are more prone to make careless errors and mistakes. The most efficient and time efficient method of the three common methods is using dermested beetles. There are many more ways to clean the bones of specimens for display however now I will discuss just two of the more uncommon ways of doing this. The first less uncommon way of cleaning bones is simply burying the specimen in the ground and allowing nature to do the work. Often times the specimen is placed in a cloth bag and buried so as to not lose bones, however the cloth bag can also be effected by decay, and be eaten away in the soil by invertebrates and bacteria naturally present there. Bones are commonly lost using this method and it may take several years for the soft tissue to effectively be decomposed even in small specimens. A large problem with using this method is the fact that minerals are naturally found in the soil and often will leave orange or rusty red stains on the bones due to the presence of iron in the soil. These stains can be removed but not always thoroughly using strong chemicals which also damage the bone; this is not an optimal situation. Sometimes after removing the bones from the ground it will be discovered that the soft tissues have mummified to the bones, making it very hard to remove. This happens frequently in warmer dryer climates. The dried tissue than has to be removed manually with tools and than most of the time needs to be boiled or put into a dermested colony, defeating the purpose of putting the specimen in the ground to begin with. A second uncommon technique used for cleaning is using chemicals to remove the soft tissues. L. Post (n.d) Bone Builders notebook. Pg 24. Homer, AK, self published. Commonly household drain cleaner is used for this process, as it eats away at the soft tissue by either being strongly acidic or basic. Other times fifteen percent or higher hydrogen peroxide is used as it oxidizes the flesh. A drawback to this technique is the obvious danger of using strong chemicals which may severely burn the user. These chemicals if not used in proper percentages can completely eat away a small specimen in just a few hours, so a close eye has to be kept on the entire process. Often times the ligaments are the last parts to be dissolved and with proper timing can be used to make a ligamentary articulation. The benefit of these techniques are they are fairly hands off, however there are often multiple things that can go wrong and ruin a specimen or possibly even harm the articulator. Some of these techniques are still new to practice and must be tuned a bit more to get proper results. Often times it is best just to use those techniques which are proven safe and effective as they are the ones that have most likely been around the longest. Those who wish to start skeletal articulations are often suggested to ask the area museum of natural history what their opinion is or which technique they employ for their own skeletal displays, they will often be more than happy to help you. After proper cleaning of the specimen has been achieved it is necessary to remove all fat from the bones and make them as white as possible for a clean looking display. By removing the fat not only are you making the skeleton look better but also you are removing a possible source of bacterial growth and unsanitary conditions. This also helps to lessen the risk of possibly having the skeleton have any off odors of decay, not what is wanted for proper display of specimens. Often the first step to degreasing is doing a preliminary soak in hydrogen peroxide, three percent for smaller skeletons or up to thirty percent for larger bones or skeletons, though thirty percent hydrogen peroxide can be an extremely dangerous chemical, and all proper precautions must be taken. Hydrogen peroxide works on the principal of oxidization, which is the removal of one or more electrons from a chemical composition. Basically oxidization is what causes rust to occur on certain metals. By removing an electron, the chemical composition of the substance is changed. In this instance it makes bones turn from a natural color to a brighter white. This first preliminary soak in hydrogen peroxide whitens the bone in areas where less natural fat deposits are occurring, typically at the ends of the bones away from the marrow in the center of most long bones. By whitening these areas first it reveals the areas with the most fat present, thus making an area to target for the actual degreasing process. Without doing this first preliminary soak it would make the process of degreasing longer and require more water changes than what might truly be necessary. There are a few different ways to go about degreasing the bones of specimens used for articulation. The two most common methods are using ammonia and using some form of detergent in warm water, both being an effective means of degreasing bones, however the detergent method is a bit more complicated. When using ammonia to remove lipids from bones it is usually done using uncut household ammonia, though this is not the strongest form of ammonia that can be used, it does the job and is the safest to use. It does not need to be warmed to be effective, however the warmer it is the faster it acts on the fat molecules in the bone. When using the detergent method for degreasing it is common to use one cup of detergent per five to ten gallons of water. Using straight detergent has been done before but often leaves less than desirable effects, such as discoloration of bone. An aquarium heater or other form of water heater can be used to warm the water in the container, making the detergent act upon removing the fat a bit faster. With small skeletons this method may take a few weeks to a month, but with larger bones and skeletons it may take several months and several water changes to reach the desired effects. With the ammonia method it usually takes a shorter period of time than if you were using the detergent method, from a few days for small bones to a month or two for larger skeletons. It is very important to protect the bones and skeletons that are being worked on from the elements and the natural passage of time. There is more than one way to do this and most are effective. The first and most common way to seal bones is using a dipping technique using a mixture of Elmers glue and water. The glue tends to be soluble in water and it is a very natural and non-harsh way to treat bones. The whole skeleton or bone is dipped into the mixture and allowed to dry, the glue naturally forms a clear protective layer over the skeleton however if it needs to be removed all that need be done is for it to be re-dipped in hot water and the glue will melt off. Reasons why the glue, or any sealant, might need to be removed range from grease coming to the surface of the bone or skeleton after it was thought it was all removed, which can be a frustrating and disheartening occurrence, to the skeletons position needing to be changed, for any number of reasons. Sometimes the sealant might need to be removed because a new, more reliable sealant has been found, with the first being used temporarily to protect the bone from harm. Sometimes damaged skeletons can be salvaged if using the correct sealant. If the bone was compromised during cleaning, often from harsh chemicals or too much heat being applied, the sealant will keep the bones from coming apart or further cracking. The teeth of large carnivorous mammals have a tendency to crack over time due to moisture in the teeth slowly evaporating, and when a liquid evaporates into a solid it takes up more room, cracking the tooth. This can be avoided by placing the tooth in a drying material such as rice or cotton, and letting it sit for a few weeks to a few months. The tooth is than covered in a clear strong sealant, clear nail polish being a good example of this. Several coats are applied to make the tooth very strong and stable. The same procedure can be applied to the keratin sheath on the claws of animals. Another method of sealing bones or skeletons involves buying a clear spray paint from a reputable brand that is known to not yellow over time. The skeleton or bone is laid out in a ventilated area and sprayed in several coats of the spray paint and allowed to dry. Depending on the type of paint used the sealant will either appear dull and non-reflective, keeping the natural properties of the bone, or it will appear to be shiny and reflective, which often times may be applied to teeth and claws for those who keep private collections of skeletons for their own research. Typically in a museum quality specimen a flat coat is used to keep the bones looking as natural as possible. Other times no sealant is used at all on bones which have been professionally cleaned, and the bones or skeletons are simply kept under glass or in a display case, to protect them from dust and the oils found on human fingers and skin. Several types of articulations exist and are used in different manners for different institutions or research. Articulations and collections can be broken down into personal collections, museum or educational collections, or veterinary models, though often times in recent years replicas and reproductions are used for this purpose as they are often cheaper and far less fragile. Articulations and collections for personal use can be found in the homes of hunters, taxidermists, medical and veterinary students or just those people who are interested in natural history, anatomy or biology. Skull collections are often a simple and less complicated means of having an inventory of collections for certain species without having to do full skeletal articulations, these are fairly common in the homes of hunters and taxidermists. Those who keep full skeletal articulations often times have them on bases or in a natural habitat type setup. Often, those who are more interested in the general anatomy of the skeletons themselves have free standing skeletal articulations or those without bases, These are simpler to complete and may sometimes require bars to keep the articulation stable and from falling and possibly becoming damaged. Free standing articulations of smaller animals may be done through the use of ligament articulations. This involves letting a dermested beetle colony clean the skeleton, and watching the process very carefully so as to know the precise time to take the skeleton out of the colony. This takes practice to do, but when done right can make articulations much easier to complete. Essentially the beetles eat away all soft tissues except those ligaments which are holding the skeleton together. Often one or two bones may break away from the main skeleton but can easily be reattached at the time of the actual articulation. Than the entire skeleton goes through the degreasing process and during this time the ligaments are kept hydrated, making the skeleton very flexible and easy to manipulate. A stand may be built and pins used to put the skeleton into the position that you want it to dry in, though as ligaments dry they begin to contract and become hard, and on small enough animals such as mice, may not be visible at all. It is often necessary to re-align bones that shift during the drying process, as contraction of the ligaments causes them to move around, but if it dries in a position not right, all that need be done is for the skeleton to be re-hydrated and posed again. Once the skeleton is dried in an acceptable pose the pins and remove the support frame and often times the skeleton may be free standing. With larger skeletons, more tools and work may be involved. Common tools used for articulation of larger skeletons include drills, pins, eye screws, and metal pars or wiring. Where ligaments would normally hold bone to bone, metal pins sunk into the joints may be necessary, and these are often siliconed into place so as not to come apart again. An example of a cougar skeleton on a base may be found below A bar is often ran up the neural canal of the spine and reshaped to form the natural arch and support found in the spinal column of most vertebrates. The rod terminates after entering the foramen magnum of the skull, and may then be epoxied into place to keep from coming apart. There is naturally cartilage which attaches from the ventral end of the ribs to the sternum, to be as accurate as possible this cartilage must be rebuilt. The cartilage is often rebuilt be using thin wires which come from the sterna end of the ribs and attach to each other and to the sternum, and are than covered in layers of clear silicone to replicate cartilage. Another interesting articulation which is rarely seen is known as the Beauchene skull, which was first developed for human skeletal articulations by a French anatomist named Claude Beauchene in the mid eighteen hundreds. Cult of weird staff (n.d) Beauchene skull, retrieved from Cult Of Weird website http://www.cultofweird.com/medical/beauchene-skull/. This type of articulation is where the individual bones of the skull on one side of the skull are removed from each other in an exploded manner, so that the internal anatomy and the individual bones may be studied. This is a very infrequently seen articulation in animal skeleton articulations. Young animals may also be used in skeletal articulations, and though it may be sad to think that a young animal lost its life before it could grow into an adult, they are also an important research for the continuation of Osteological study. The bones of young animals are often much softer and not fully connected which makes for a more difficult articulation. Young animals also usually contain more bones than adults, as the individual bones grow they form together to make larger bones. These skeletons may be used in comparative anatomy with the skeleton of an adult of the same species of the animal. Young animals require a much finer touch and can usually only be cleaned through the use of beetles, as other cleaning techniques that were previously discussed will most likely be too harsh on the young bones, resulting in damage or complete disintegration of the bones. Skeletal articulations may also be used in area nature centers in parks, to help demonstrate the local wildlife in that particular area. They are found in taxidermist shops to help promote business and show the skill of the taxidermist who owns the company. Often times larger universities have a colony of dermested beetles to help demonstrate to students the natural life cycle of the beetle for entomology students while also having an inventory of bones or skeletons for other majors of the college, such as anatomy biology or zoology. Skeletal articulations are a necessary component of anatomical and other fields of study. Without the use of skeletons for research we would never know how bones connect to each other, how different teeth of animals are used for different food that the animals ingest and how certain animals from certain families have unique evolutionary adaptations, such as the cat family, with their retractable claws, or the pinniped family, whos limbs have evolved into flippers, but are still able to haul out on land to escape predators from the ocean. Skeletal anatomy is important to most if not all biological sciences, and without skeletal articulators there would be far less to look at in your favorite natural history museum, and we may never have known what dinosaurs skeletons may have looked like properly articulated. The next time you take a look at a skeleton in a museum, think about the hard work and patience that went into putting that skeleton together.

Tuesday, August 20, 2019

Codes :: essays research papers

CALIFORNIA CODES HEALTH AND SAFETY CODE 13113.8. (a) On and after January 1, 1986, every single-family dwelling and factory-built housing, as defined in Section 19971, which is sold shall have an operable smoke detector. The detector shall be approved and listed by the State Fire Marshal and installed in accordance with the State Fire Marshal's regulations. Unless prohibited by local rules, regulations, or ordinances, a battery-operated smoke detector shall be deemed to satisfy the requirements of this section. (b) On and after January 1, 1986, the transferor of any real property containing a single-family dwelling, as described in subdivision (a), whether the transfer is made by sale, exchange, or real property sales contract, as defined in Section 2985 of the Civil Code, shall deliver to the transferee a written statement indicating that the transferor is in compliance with this section. The disclosure statement shall be either included in the receipt for deposit in a real estate transaction, an addendum attached thereto , or a separate document. (c) The transferor shall deliver the statement referred to in subdivision (b) as soon as practicable before the transfer of title in the case of a sale or exchange, or prior to execution of the contract where the transfer is by a real property sales contract, as defined in Section 2985. For purposes of this subdivision, "delivery" means delivery in person or by mail to the transferee or transferor, or to any person authorized to act for him or her in the transaction, or to additional transferees who have requested delivery from the transferor in writing. Delivery to the spouse of a transferee or transferor shall be deemed delivery to a transferee or transferor, unless the contract states otherwise. (d) This section does not apply to any of the following: (1) Transfers which are required to be preceded by the furnishing to a prospective transferee of a copy of a public report pursuant to Section 11018.1 of the Business and Professions Code. (2) Tra nsfers pursuant to court order, including, but not limited to, transfers ordered by a probate court in the administration of an estate, transfers pursuant to a writ of execution, transfers by a trustee in bankruptcy, transfers by eminent domain, or transfers resulting from a decree for specific performance. (3) Transfers to a mortgagee by a mortgagor in default, transfers to a beneficiary of a deed of trust by a

Monday, August 19, 2019

Utilitarianism :: Philosophy essays

Utilitarianism    This was written in responce to the following questions:    What is the principle of utility? Do you regard it as an adequate basis for judging the progress of society or the desirability of different social institutions? What are its virtues and limitations? How would a utilitarian aproach to judging society differ from a more traditional moral approach?    The principle of utility was Jeremy Bentham's idea on how society progresses through maintaining the greatest happiness / good for the greatest number of people. The ideology utilitarianism, was later formed by John Mill who offered the phrase and an explanation with regards to its moral implications. It sounds logical for a society to want the greatest happiness or good for itself. In general we regard individuals who are well (cultured) and who do not do (bad things) to be happy and we respect them for it. However, that depends on what we see (cultured) and (bad things) to mean.    We have already seen that the idea of what is morally correct and the notions of what is (more morally correct) are philosophical, sociological and theological problems that almost every philosopher has tried to answer; and all come up with varying responses. Everyone sees murder as being wrong and as being an act that could not bring happiness or good. However, this does not account for those who like to kill. They are part of society, so does their happiness not matter? Now if you had a population of murderers or even people who did not necessarily kill but liked seeing others kill/killed (maybe on TV or the movies), does their happiness still show a society of progress? I would hope not. To this Mill would say that I was probably right, but that people would not choose to live like that. Instead they would opt for a moral happiness. They would look for the (higher) levels of happiness like knowledge and culture. I would then reply that he has either left our human nature or his timeline for people moving towards a (higher) level of happiness is insane.    I do believe that utilitarianism is the means by which we live; in general people do whatever they want as long as it brings them happiness (at least what they think is happiness). The fact is that we cannot truly equate happiness to being (good) so we cannot use it as means of judging progress.

Sunday, August 18, 2019

The People Versus Lady Macbeth :: essays research papers

The People Vs. Macbeth The Macbeth trial broke out in full force today as the entire nation of Scotland paid close attention to the small town court of Grahacknboroughsly, Scotland. The charges are for abuse of power, abuse of wealth, abuse of friendship and misuse of a regal Scottish accent. As the parade of people came into the courthouse, 2/3rds of them were enemies of Macbeth. The motion to dismiss came early on grounds of permanent death on Macbeth’s defense team. The motion was quickly dismissed as Macbeth was being quite lively for a dead King. The motion was not helped by the â€Å"deceased† ordering the judge to â€Å"Lemme free, drop the charges and get a haircut.† The defense motion was further weakened by the comment, â€Å"the judge can kiss my giant, royal behind.†   Ã‚  Ã‚  Ã‚  Ã‚  The trial soon got underway after the court was able to settle Macbeth down. The People’s witness list started off at the top and worked down. The first was Banquo, as he had been victimized by Macbeth early in the tale and his testimony, as well as his casket, was getting stale. After hearing the testimony from Banquo, the Macbeth defense brought out their one and only witness, a stable boy, who looked as though he had been threatened with his life. The boy’s shaky and unseemingly well worded testimony went over very badly on the jury side and the crowds side. The boy brought out the fact that Macbeth was blinded by the possibility of absolute power and wealth, and that he couldn’t control his wife’s demands until it was too late for the both of them. He also stated that the opportunity wouldn’t have been there if it weren’t for the king’s cowardly sons and their flight from Scotland. This did not go over well for the side of the jury that was strongly pro Duncan (even though they were supposed to be non partisan, it was hard to find a soul who didn’t love Duncan so much as to hate Macbeth.)   Ã‚  Ã‚  Ã‚  Ã‚  The People now brought out the Weird sisters and their cauldron to make their testimony. As cryptic as it was, it revealed that they had convinced Macbeth to kill Duncan, even though it was not hard. The jury was heavily swayed by this revelation, the common thought was that it may not have been Macbeth’s fault. The sisters may have convinced him.

Saturday, August 17, 2019

Earl of Warwick in revolt against Edward IV by 1469 Essay

Richard Neville, Earl of Warwick has been labelled by historic tradition, with some justification, as the ‘kingmaker’. It is with his support that Edward IV was able claim the throne from Henry VI, Warwick’s support during the Wars of the Roses, and especially at the Battle of Towton was vital in putting the first Yorkist king on the throne. It is clear that he was instrumental in Edwards rise to the throne, however his contribution has sometimes been overemphasised. Pickering suggests that their alliance in taking the throne was equal, the victories Edwards own and even that Edward seemed more adept in battle than his ally. He says â€Å"Edward was neither ‘made’ by Warwick, nor controlled by him.† Nevertheless, his relationship with Richard, both as an ally and a friend, must have been very good. What lead him then, less than a decade later, to revolt against Richard in support of the exiled Henry VI? The first thing to understand about Warwick was his character and to see that it was pure ambition that drove him. With the romanticism that the epithet â€Å"Kingmaker† implies, one could picture him as the noble-knight. However he seems to have far from the vignette that is perceived from the word â€Å"Kingmaker†. Keen says of him â€Å"Warwick was not a wholly attractive character. His temper was short, and when thwarted he was sullenly unforgiving.† The Old English Chronicle (edited by T.Hearne) describes the unquenched ambition that drove him â€Å"his insatiable mind could not be content†¦there was none in England who was before him or who owned half the possessions that he did†¦yet he desired more†. It is with the possessions and the patronage that Richard Neville’s grievances with the king started to appear. Edward IV, as previously explained, came to the throne very much as Warwick’s protà ¯Ã‚ ¿Ã‚ ½gà ¯Ã‚ ¿Ã‚ ½. He must have thought that with Edward on the throne he would have a controlling influence over the king, and with this influence the obvious power he so desired. Warwick was rewarded handsomely for his continued support, given titles and territories such as Captain of Calais, admiral of England and constable of Dover Castle, all of which were very important (and powerful) posts. He was by far the mightiest of Richards subjects, however he lacked the monopoly of Royal power that he yearned for, as royal patronage was (rightfully) extended to other leading Yorkists. Most prominently was Warwick’s stewardship of the duchy of Lancaster, given to Lord Hastings, and the lieutenancy of Southern Wales which was given to the recently knighted, Sir William Herbert. Despite this set back for Warwick, he still was in full support of Edward, and to some extent had control of Edwards thinking. Edward was still a relatively young king, and Warwick was there for advice, and with help in making decisions. Warwick’s support was also necessary for Edward, as his kingship was still under-threat in the north and west by Margaret of Anjou’s continued attempts to re-instate her husband to the throne. This drove Edward and Warwick together further more during the early years of Edwards reign, and indeed in 1462 Warwick seemed to have won a decisive battle for Edward. He forced the lords in Bramburgh (including Somerset and Sir Ralph Percy) to surrender to Edwards allegiance, on the condition that their lands were re-instated. Although this was not the final problems Edward faced from the Lancastrian supporters during his reign, it showed that in 1462, Warwick was firmly behind Edward as King of Britain. A factor which historians have usually put forward as a major cause of Warwick’s treachery is Edwards’s marriage to Elizabeth Woodville. In 1464, Warwick was, to further the kings alliance to France, arranging a marriage between the King and a French Princess. In the final stages of these arrangements, on 14th September 1464, Edward revealed to Warwick and the rest of his assembled nobles at the council in Reading, that he was already married to Elizabeth. The assembled magnets were stunned and horrified at the news, and it especially hurtful to Warwick who’s embarrassment over the whole French alliance marriage affair must have been huge. The chronicle of the time (Edited by J.Warkworth), says that after the announcement â€Å"(The Earl of Warwick was) greatly displeased with the king†¦And yet they were reconciled several times; but they never loved each other afterwards† One must however beware of putting, as traditionally been done, too much emphasise on this marriage as a turning point in the relationships between Edward IV and Richard Neville. It is certainly a major factor in the breakdown of their relationship, however one must take into account that it occurred five years before Warwick’s revolt, and Warwick, at least publicly, still supported the king during these years. Having said this, Richards marriage, though romantic and loving, was a serious, irresponsible mistake for a king to make. Elizabeth was, by Richards’s standards, a commoner. Edward was the first king since the Norman Conquest to marry a commoner; however this was not really the problem it was that he missed out on strengthening his position as king by arranging a more political marriage. Furthermore by marrying a Woodville, he alienated his other major noble families, especially the Neville’s. The Woodvilles, much to Warwick’s and others annoyance, managed with this marriage to promote their family to the upper echelons of the English aristocracy. It also enabled them to marry off some of their ‘lesser relations’ to be married to either nobility or families of a very high standing which further enhanced their political position. The marriage did have significant repercussions for the relationship of Edward and Richard, however Keen points out, that rather than the damage the marriage itself caused, it was the undermining of Warwick’s plans that led to their relationship, â€Å"If the marriage of the king put a period to his friendly association with Warwick-and it did-this was not, it would seem, because of its domestic repercussions, but because it was a direct challenge to Warwick’s continual diplomacy.† It was not, as the quotation states, because of the repercussions of the marriage domestically that Warwick felt aggrieved, rather it was because it aired publicly and formally for the first time Edwards’s difference in opinion with Warwick about the foreign policy that they should employ. It was clear from Warwick’s failed attempt to marry Richard off to a French Princess that Warwick was in favour of Edward forming an alliance with England’s traditional enemies, the French. Indeed, he had been in regular contact with Louis XI of France, in an attempt to broker an alliance between France and England. Richard, conversely, wanted put his support in his present enemy, the Burgundians. This was a contentious issue for the King to deal with, his leading advisor, whose protà ¯Ã‚ ¿Ã‚ ½gà ¯Ã‚ ¿Ã‚ ½, he was, had completely antithetical views upon the very important issue of foreign relations, and it was hear that Edward proved that he was no longer dependent, or felt indebt of Warwick. He favoured the Burgundian option, and ignoring Richards’s pressure, he applied for and was granted a double subsidiary from the parliament to help support the Burgundians and ‘revive English continental ambitions’. Edward was maturing into his own king and he began to take more and more control over the running of the kingdom. Conversely of course, Richard Nevilles influence over the king was rapidly diminishing, and with this influence the power he so lusted after. It was this Maturity, and the lack of power that Warwick was afforded that ultimately, I believe led to Warwicks treachery. He had, when Edward was young, influenced and controlled the King. He had had his power that his personality demanded, however as Edward matured he started to take things into his own hands, which Richard, having tasted power, could not take. To make matters worse for Richard, power was being taken away from him and given to other nobility. His siblings were being passed over for marriage that was being afforded to others, and although his brother, George Neville, was enthroned as archbishop of York in September 1465, he felt his and his families power-base was faltering. It was here that Warwick decided to act, for the first time, against the king, in an attempt to enhance his standing. Firstly Warwick continued to negotiate with Louis XI. Keen describes Warwick’s actions, â€Å"For four years he instead continued to pursue with Louis’s encouragement what was in effect a private diplomacy of his own, independent and opposed to that of the king† He was effectively siding against his own king, believing the French to be more powerful than the Burgundians and also enhancing his own power-base if he ever wanted to challenge the king (which he goes onto do). At much the same time, however, Warwick was engineering the marriage, against the Kings wishes, of his daughter, Isabel, to the king’s younger brother and presumptive heir, George, Duke of Clarence. He would, if this marriage went ahead, become immediately more powerful, and a pose a threat to the Woodville’s dominance. Clarence, like Warwick, was extremely ambitious and would do almost anything to further his own cause. By the spring of 1469 Warwick and Clarence were in league with one another and also with Louis XI to undermine the Woodville’s, and possibly to over throw the king. Pickering says â€Å"Clarence encouraged Warwick to turn against the King and helped spread the rumour that his brother was not Duke Richard’s son but the bastard of an archer called Blaybourne† This rumour was almost certainly unfounded, yet both risked turning against their own king They did this for their own gain, one with the view of taking his brothers place as king, the other with the view to once again controlling the king himself. Thus in July 1469, Clarence defied his brother’s wishes and married Isabel and on the 12th July, Warwick, with the support of his brother Archbishop Neville and George, Duke of Clarence, published the ‘Calais Manifesto’.

Friday, August 16, 2019

Function and Role of Law in Business Essay

Abstract This paper will define the functions and roles of law in both business and society. Giving examples of such relationships from past and future experiences from the author pertaining to current and past job or industry. While it is beyond the scope of this research paper to do a complete analysis of all the laws and functions pertaining to business and society we will cast a broader look at the significant points that can add value to the paper. Functions of Law in Business and Society The Merriam-Webster dictionary gives a definition of law as â€Å"a rule of conduct or action prescribed or formally recognized as binding or enforced by a controlling authority† (Mirriam-Webster, 2012), thus we infer that the controlling authority in the context of this paper is either the federal or state government and its lower portions in the legal community. It is important to mention that most of the positions in the federal and state legal division of government are either officials that have been elected by citizens of the United States of America (i.e. District Attorneys, Judges, etc.) or qualified candidates that have the appropriate qualifications to meet the criteria as defined by job descriptions (i.e. board certified lawyers, trained investigators, etc.). Concerning the legal system in the United States of America (US), the main function of law is stated from the textbook, Business Law: The Ethical, Global, and E-commerce Environment, 13th Edition (Mallor, et al, 2007, p. 11), the most important functions of law include the following: 1. Peacekeeping. 2. Checking government power and promoting personal freedom. 3. Facilitating planning and the realization of reasonable expectations. 4. Promoting economic growth through free competition. 5. Promoting social justice. 6. Protecting the environment. While we have put to paper the functions of law, they have different roles for business and society. The needs of business laws are seen differently from the perspective of owners and the process of litigation Functions of law in the context of societies perspective are limited to the outside of business law. While one law can be applied to both business and society how they are interpreted can be different and usually is. Role of Law in Business The current status of business law is a complicated labyrinth of state, federal and municipal statutes that work together to ensure predictability and fairness. The overall purpose of business laws include an assurance of fairness, encourage competition through the protection of property rights and ensures that all parties involved understands their obligations and duties while doing business transactions. While the complexity of business laws in the US are daunting, at best, but the effort to create an equitable business community has established laws that lets a small business or a multi-million dollar corporation do transactions in a common level. As a capitalist society we view the right to private ownership is a corner stone of our communities. From entrepreneurs to generations old businesses we view the laws of business in the US as the assurance a business needs to be able to succeed. Roles of Law in Society There are certain roles that law imposes within our society to be able to function in an equitable manner. Maintaining social control is an important part of the laws, making sure that we can maintain a regulated community that does not recognize anarchy. Through this social control we also maintain and protect public order. Without out we can’t maintain a civilized society. An equitable law helps us to resolve disputes in an orderly manner while also facilitating changes that are inevitable as society changes. Within these changes one of the roles of law in society is bringing justice to our  communities. Through an established system, laws can dispassionately produce justice in fair and predictable manners. Author Experience of Business Law As a freelance website designer and developer, including Internet marketing, laws pertaining to the world wide web have been fought about and are still in the infant stages. The Internet is a multi-national entity, transcending boundary lines that are not clearly mark as it is. There is no physicality to where the Internet can be maintained and the creators made it that way on purpose. An example of new laws fought over and established in the US is state taxes. States in the US were losing tax revenue as customers where not buying products locally and using sites like Ebay and Amazon to procure products in-state, but not paying taxes. Eventually state laws established who should pay state taxes on purchases, developers had to start developing new systems within the electronic commerce (ecommerce) systems to be able to accept state specific tax withholdings within their payment system. The law had to be revised to make it equitable within businesses that sold products in a brick and mortar environment and businesses that sold their products in the world wide web. References Mallor, J., Barnes, A., Bowers, L., & Langvardt, A. (2004). Business Law: The Ethical, Global, and E-commerce Environment, 13th Edition. Retrieved on October 8, 2012, from University of Phoenix Resource. Law – Definition and More from the Free Merriam-Webster Dictionary. Retrieved Oct 08, 2012, from http://www.merriam-webster.com/dictionary/law Sean, M. (2011). The Legal Environment of Business: A Managerial Approach. New York, New York: McGraw-Hill/Irwin.

Interrelationship of Intrinsic and Extrinsic Motivation Essay

In the article â€Å"Interrelationship of Intrinsic and Extrinsic Motivation† by Jerry Dermer, there are three different assumptions about the interrelationship between extrinsic and intrinsic motivation from three different researchers. Firstly, Deci, E.L. stated that an extrinsic performance-contingent reward reduces people’s intrinsic motivation. Secondly, Hofstede, G.H. supported that intrinsic motivation is a necessary co-requisite for extrinsic rewards to be motivating; however, intrinsic motivation is not reduced in the occurrence of extrinsic rewards. Thirdly, the general assumption of many motivational researchers believed that intrinsic and extrinsic motivations are unrelated. The purpose of the study was to firstly determine if there is a relationship between extrinsic and intrinsic motivation, and then to help management in resolving the dilemma of whether or not they should provide rewards based on performance. The study conducted a questionnaire which was distributed to 81 department store managers in a large department store chain. The questionnaire included measurements for extrinsic and intrinsic motivation. For extrinsic motivation’s measurement, the questionnaire listed seven statements for managers to rate on the Likert scale. The budget performance in these seven statements was linked to seven extrinsic outcomes: recognition, advancement, job security, better peer relations, better supervisory relations, increased responsibility, and increased salary. For example, â€Å"‘exceeding budgeted performance will lead to more responsibility’† (Dermer, 1975). For intrinsic motivation’s measurement, the questionnaire only listed three statements asking the managers to rate the level to which higher order need satisfaction is affected by good performance. For instance, â€Å"‘Doing my job well gives me a feeling of accomplishment’† (Dermer , 1975). In order to have a fair and accurate result, both statements were presented in Likert format. Managers needed to rank the statements from strongly agree to strongly disagree. Also, the questionnaire was intermixed with other random statements to minimize halo effects and hence increase the accuracy of the result. The result reinforces Hofstede’s statement and overthrows Deci’s and the general assumptions. This research showed that the higher a store manager’s intrinsic motivation, the greater his responsibility, recognition, pay and motivation for advancement. The main finding was that intrinsic motivation was an essential co-requisite for extrinsic motivation. Meanwhile, extrinsic reward would not reduce workers’ intrinsic motivation. The research found out that the higher one’s intrinsic motivation, the greater his motivation for extrinsic rewards. Therefore, based on this concept, management should implement some strategies to stimulate workerâ⠂¬â„¢s intrinsic motivation. During the hiring process, the hiring manager of the organization should inquire about the interviewees’ interests. The main purpose of doing this is to make sure that the interviewee does like the job. The goal of the interview is to hire people who are intrinsically motivated because these individuals are more willing to learn and to accept challenges. Depending on the nature of the organization, the human relations department should carefully select candidates that fit the job requirement, as well as to consider one’s personality. For example, a hospital requires nurses to be extraverted and agreeable. As the employees achieve the person-job fit, which is defined as the workers finding the job that fits their values the most, the employees will have a higher level of intrinsic motivation. For example, when a patient is recovered, the nurse will be proud of herself, hence her intrinsic motivation will increase. Besides, management should work to increase the level of organizational commitment of the workers. The higher the affective commitment, the higher the level of job performance the workers achieve. The reason is that if the workers have high affective commitment, they are more motivated to stay in the organization and is happy to devote their time and energy in benefiting the firm. High affective commitment implies these workers are intrinsically motivated because they love their work. To increase the level of organizational commitment, management should provide a fun workplace and encourage them to think creatively. Moreover, managers should permit workers to have great autonomy and encourage new ideas at the workplace so that workers will be more willing to think about ideas in a greater depth. However, promoting intrinsic motivation may lead to several potential costs. Firstly, a long period of time is needed to foster each worker’s intrinsic motivation. Secondly, the strategies to nurture intrinsic motivation vary from person to person. Even though there are potential costs for promoting intrinsic motivation, the potential benefits resulting from intrinsic motivation are much greater. Firstly, an organization will be more profitable and efficient as its employees are more self-motivated and satisfied with their job. The more self-motivated the employees are, the higher their efficiency. Also, workers will be more motivated and will not need continuous supervision if they like the job. Another benefit from having intrinsically motivated workers is that these workers are less likely to be late as they like their job. Also they are more likely to excel at their jobs. Hence, the organization’s efficiency will be improved significantly. To conclude, the article â€Å"Interrelationship between Intrinsic Motivation and Extrinsic Motivation† by Jerry Dermer is informative in explaining the relationship between two different types of motivation. The reason is that Jerry found three different authoritative researchers and compared their views. Instead of taking away from the research, readers should think about Deci’s and Hofstede’s statement critically because Jerry Derman also talked about the saving grace of Deci’s statement. Lastly, the recommendations for management practices are appropriate as all of the organizations highly demand intrinsically motivated employees. Reference Dermer, J. (1975). The interrelationship of intrinsic and extrinsic motivation. The Academy of Management Journal, 18(1), 125-129. Retrieved from http://www.jstor.org.myaccess.library.utoronto.ca/stable/255630?&Search=yes&searchText=Motivation&list=hide&searchUri=/action/doBasicSearch?filter=jid%3A10.2307%2Fj100040&Query=Motivation&Search.x=0&Search.y=0&wc=on&prevSearch=&item=20&ttl=1206&returnArticleService=showFullText&

Thursday, August 15, 2019

Property legal studies

Compare and contrast the compulsory acquisition property laws that exist in China with those in that are currently in place in Australia. Describe how international pressure could be brought to bear on Chinese authorities to properly enforce the property rights that should be available to Chinese citizens. Introduction China has achieved remarkable economic growth in the last decade; compulsory land acquisition was inevitable during the process of development.According to the Chinese constitution, compulsory acquisition is an activity dominated by the overspent transferring the use right of land from personal to state and the land will use for construction purpose (International real estate review, 2003). Chinese government expropriates the land use right from individual and then sells the land to property developers and gets the land grand fee at the same time. The government requires acquiring authority to pay compensation and to reach a compensation agreement with the dispossessed people.However, only a small amount of money will pay to the individual as compensation. In contrast, the compulsory acquisition is under section 51 of Australia constitution and can be carry UT by federal and state government. It is normally happens for the public infrastructure such as road work, subway or some other circumstance which may have affect the public safety. Differently, in Australia the owners can get a fair market value for their property under the federal Jurisdiction (Compulsory acquisition, the basics, 2013).Issue As China is developing in all aspects, there has great demand for land for infrastructure and accommodations development. Developing itself is a good thing; it can bring many benefits both to the country and people. However, the compensation s not determined on the basis of the market price of land in China result in a lot of conflict. One of the famous cases that became headlines of media over worldwide happened in Shanghai China. A New Zealand nationa lists couples came back to Shanghai after they finishing studies.They have built a four-level house in Min Hang state; which is the biggest state in Shanghai. In 2008, they received a notice letter that told them their house would be compulsory acquired and they need to move out within 1 5 days because of the exploitation of Honoring Airport transportation hub. Panging couple would get 2,241 ARM per square meter of the land as compensation; which was total 670,000 ARM for the whole 480 square meters' house. At that time, the average market price for a house in that region was 12,000 ARM per square meter.Panging couple thought the compensation was inadequate so they refused to sign the relocation agreement. After 15 days the government delivered the demolition administrative Judgments, they started compulsory acquisition. One day, in the early morning, bulldozers came and directly pushed over the first-level door of Pangs house. Panging stood on her roof said to the construction team that engaged in polices, firemen, the director of transportation construction committee and some other people that if they do not have a writ from court, it is illegal to compulsorily acquire their house.However the construction team did not hear Panging, they kept chiseling the wall of Pangs house and throwing stones to her and her husband. In desperation, Panging left the homemade gasoline bottles. Pangs behavior offended the public security administration law and consequently panging couple were arrested and their house have compulsorily acquired (Compulsory acquisition, the basics, 2013). The issue here is according to the newest property law that law protects the personal legitimate properties, as same as the state and collective properties.People may think that I have my estate licenses and my house was legitimate property. Law should protect my rights not they have a demolition permit letter then you can do whatever you want to my house. (SOHO News 2009) Law apply Neverthele ss, the People Republic of China Property Law 2007 section 42 set an exception that authority prescribed by law can impose collective ownership of land ND unit, individual housing and other real estate.There has a lime light that the world using in the law is impose; which means the compensation fee uses for changing the ownership of the rights to use the land not for relocation. In other words, government buys the rights of use the land from individuals then they can develop it. Not like the case before, the transportation construction committee delivered the notice and offered only one fifths of the market price and started to move the house. According to the state council No. 90 2011, the regulation on the expropriation of buildings on state-owned land and compensation, section 3,article 19:' the compensation for the value of houses to be expropriated shall not be less than the market price of the real estate comparable to the houses to be expropriated on the date of the public n otice of the house expropriation decisions. The value of the houses to be expropriated shall be assessed and determined by real estate appraisal agencies with appropriate qualifications in accordance with the procedures for evaluating houses to be expropriated.Anyone who has objection to the value of he houses to be expropriated that has been assessed and determined may apply to the real estate appraisal agency for reassessment. Anyone who disagrees with the results of the review may apply to the real estate appraisal expert committee for appraisal. ‘ In the case, Panging coupes tried to negotiate with the committee. But the consequences were all the same that the committee would not change the price at all. Without the permission or without the owner signing the document, any departments have no rights to compulsorily acquire the land. The action happened on Phonons case was illegal.No solutions are coming out from the government and that is not the only case happened in Chin a. There are hundreds of the similar cases occurred every day. In contrast, compulsory acquisition in Australia can obtain the land by negotiated agreement. Acquisition by negotiated agreement involves the owner and the commonwealth agreeing to the terms of the agreement and the amount of compensation. In addition, if the owner not satisfied with the amount of compensation that government offers, they can find any two estimates accompany and get the average price as the compensation (The commonwealth and you:Compulsory Acquisition of Land 2011) Land Acquisition Reform: Law enforcement department need to carry out their obligation make sure all of the compulsory acquisitions happen legally and the compensation is adequately for dispossessed people. In addition, with the accession of China into the World Trade Organization, China has to upgrade the welfare of her citizens to international standards. Apparently, the acquire authorities did not fulfill their responsibilities and that le d to many people become homeless or even do not have enough food supply.Chinese government did not take any timely measures to solve this issue. Therefore I think that Amnesty International should urge Chinese government introduce new legislation to meet the international standards and stop the compulsory acquisition without getting an agreement with individuals and make ensure that victims of compulsory acquisition can get a fair trial and compensation. Conclusion: It's difficult to avoid compulsory acquire as there has a great demand for land for infrastructure development. However, home is the most important resources that humans rely on.Panging couple's actions offended the law and they received the enmeshment, but in other ways, their behavior also explained their frustration. The legislation should protect the property rights of citizens and once the people have a stable industry and income, the country could have a sustainable development.