Monday, September 30, 2019

Glaser Health Products Essay

Glaser Health Products of Ranier Falls, Georgia needs assistance in evaluating and classifying costs in order to implement an activity-based costing system. As stated in the case, these costs will be used for planning and control decisions rather than inventory valuation. The activity-based costing system will provide better allocation of Glaser’s overhead costs rather than a system to look at the cost drivers or the activities that their overhead costs comprise. Glaser’s general structure of an activity-based costing model should consist of cost objects, activities, consumption of resources, and cost. Activity-based costing changes â€Å"the rules of the game† since it changes some of the key measures that manager’s use for their decision making and for evaluating individuals’ performance (Accounting4management.com). In order for Glaser to implement a successful activity-based costing system management must take a look at their overhead costs and j ustify whether or not they have enough overhead to be worrying about. While we do not know Glaser’s monetary value of their overhead costs, it seems that they have several divisions with a large amount of cost categories management must consider. The three main divisions of Glaser Health Products are Operations, Sales, and Administrative. Under each division are costs categories that have been divided up to help management determine where they belong. (Appendix A identifies each of the costs with the appropriate division). Next, management must identify the big overhead cost in order to determine whether or not they want to allocate some or a bunch of overhead using the activity-based costing system. I suggest that Glaser creates an activity-based costing system that allocates, with a minimal amount of effort, a large portion of their overhead. For instance, management is correct in identifying each of the costs using four different activities. These include unit-level activities, batch-level activities, product-level activities, and facility-level activities. This is a great system because the fewer activities Glaser can use to do this, the easier the accounting will be for management. These four activities will allow  Glaser to fairly and accurately allocate overhead to product lines. (Appendix B illustrates each of the costs under one of the four activities and also classifies the four activities under one of the three divisions). After Glaser management has identified the handful of the activities that connect overhead expenses to products, they must use the appropriate measure (the cost driver) to tie the overhead expenses to the product lines or service lines. To achieve this management must specify an appropriate cost driver for tracing costs associated with the various levels of activities to the next cost objective or products. The cost drivers can include a number of things such as direct labor hours, number of batches, or number of employees. (Appendix C shows the appropriate cost driver with the various levels of activities). Under the Activity-based costing system, Glaser will use preliminary stage cost drivers to link costs of resources consumed in one activity center to other activity centers. Some costs, such as batch-level activity center costs are initially assigned to a primary stage activity center and only need a single assignment process, and are traceable to specific products but often use a cost driver. Product-level activity center costs may be related to a specific product or grouped by activities before being assigned to products at the primary stage. Facility-level activity center costs may go through multiple preliminary stages before being assigned to products (Schneider, 2012). It is necessary to use a preliminary stage cost driver because this system assigns costs from activities to other activities. On the other hand, primary stage cost drivers is used to assign costs from activities to the cost objectives. This process eliminates distortions in cost allocations to products that result from production complexity (Schneider, 2012). Actually sitting down and laying out an activity-based costing system for a real company is much more difficult than a typical textbook ABC problem. Determining what causes a cost to occur is much more difficult than it originally might seem (Krupnicki & Tyson, 1997). Overall, I think that management’s decision to implement an activity-based costing system is going to work in their favor. The decision to implement ABC is often driven by the need to improve customer profitability analysis, to gain more accurate cost information for pricing or to prepare relevant budgets (Cohen, Venieris, & Kaimenaki, 2005). In this case, Glaser wants to identify costs used for planning and control  decisions rather than for inventory valuation. Glaser is likely to see many benefits from implementing an activity-based costing system such as better profitability measures, better decision-making, process improvement, cost estimation, and cost of unused capacity. The activity-based costing system will provide better allocation of Glaser’s overhead costs rather than a system to look at the cost drivers or the activities that their overhead costs comprise. References http://www.accounting4management.com/implementing_activity_based_costing.htm Schneider, A. (Ed.). (2012). Managerial Accounting: Decision Making for the Service And Manufacturing Sectors. San Diego, CA: Bridgepoint Education. Krupnicki, M., & Tyson, T. (1997). Using ABC to Determine the Cost of Servicing Customers. Management Accounting, 79(6), 40-46. Retrieved from http://search.proquest.com/docview/229739140?accountid=32521 Cohen, S., Venieris, G., & Kaimenaki, E. (2005). ABC: Adopters, Supporters, and Deniers And Unawares. Managerial Auditing Journal, 20(8), 981-1000. Retrieved from http://search.proquest.com/docview/27453714?accountid=32521

Hamlet Thesis

Hamlet Thesis Statement In the play Hamlet, William Shakespeare writes of a tragedy in which Hamlet and Laertes both face the same problem-a murdered father. The paths of revenge that each of them take, parallel their characters and personalities throughout the play. While Hamlet broods over the murder of his father for the majority of the play, Laertes takes immediate action, and upon hearing about the death of his father, he rushes in and is ready to kill Claudius-whom he suspects has killed his father. When they first hear the news of their father’s death, Hamlet and Laertes react in very different ways.When Hamlet hears that Claudius was the one who killed his father, his immediate reaction was grief. This is no surprise, due to the fact that he was still mourning the death of his father, although everyone else had already gotten over it. In fact, most people thought that he was overdoing it ,and Claudius went so far as to tell him that he should get over it, and â€Å"Ye t so far hath discretion fought with nature that we with wisest sorrow think on him together with remembrance of ourselves† (act one, scene two).The way that Hamlet plans his revenge, is more intelligent than the way Laertes plans his. While Hamlet is a more intellectual person, as we can see from his quick wit and sarcasm, Laertes is more impulsive and â€Å"acts, then thinks† as we can see when he says â€Å"I am justly killed with mine own treachery† (act five, scene two). In such a situation, had the play not ended the way it did, Hamlet may have been more successful in avenging his father’s murder because of his responsibility and intellect.Despite the fact that Hamlet procrastinates, Hamlet was smarter in the way he planned his revenge because his procrastination was due to his grief and foresight. Although Laertes trait of acting quickly can be admired and gets the job done, in a situation that involves death and vengeance, strategy and discretion a re a must. From the beginning of the play, we can see that Hamlet is an intellectual thinker. Although he believes the ghost and pronounces that â€Å"it is an honest ghost† (act one, scene five) , he still takes precautions after he promises the ghost that he will take revenge.However, Hamlet is still a little wary of the ghost and therefor decides to feign madness so that he would be able to find out if Claudius was the true killer of his father. Even while feigning madness Hamlet thinks about the whole process of the madness. Unlike Laertes, Hamlet is careful not to disclose what the ghost has told him and only imparts to Horatio and Marcellus what happened when they swear on his sword that they would never speak of what they saw from that point on.One of the reasons why Hamlet is such a procrastinator is because he becomes caught up in the details and potential consequences. In the soliloquy of â€Å"to be or not to be† (act three, scene two) Hamlet loses the will to live and ponders whether it is worth it to exist. Due to the fact that Hamlet suffered the death of his father at a young age as well as well as many other hardships, Hamlet contemplates whether â€Å"Tis nobler in the mind to suffer the slings and arrows of outrageous fortune, or to take arms against the sea of troubles and by opposing, end them?To die: to sleep; no more;† (act three, scene two). However, after that, Hamlet mentions the potential consequences of the unknown after death. Due to the death of his father and his mother’s hasty remarriage which Hamlet does not approve of, Hamlet is well aware of the consequences of his actions and therefore is hesitant to act rashly. When planning his revenge, Hamlet does not jump to conclusions. When the players come, Hamlet asks them to perform â€Å"The Mousetrap†-a play of a murder similar to that of Hamlet's father's.Hamlet hopes that â€Å"The plays the thing wherein I'll catch the conscience of the kingâ €  (act two, scene two). Indeed, the plan worked and when Claudius stormed out of the theatre, all of Hamlets suspicions were confirmed. As Hamlet so eloquently noted, â€Å"What, frightened with false fire? †, (act three, scene two) Hamlet was now positive that Claudius was at fault for murdering his father. Another thing that slows Hamlet down in his plan of revenge is that he is a religious catholic, and he is very concerned about mortality.Hamlet is scared that if he kills Claudius, his father’s murderer, his soul will be damned. Hamlet is also scared that if he kills Claudius while he is praying, Claudius will go to heaven and that would not please Hamlet because he said that â€Å"A villain kills my father, and, for that, I, his sole son, do this same villain send to heaven† (act three, scene three). Contrary to Hamlet, Laertes followed the passion in his heart. As soon as he returned from France and heard the news, he invaded the palace, and then asked the questions- the complete opposite of Hamlet.When Laertes hears that Hamlet killed his father, he expresses intense anger and openly announces his plan to take revenge. In his rage, Laertes yells that â€Å"Let what comes come, only I’ll be revenged most thoroughly for my father† (act four, scene five) and makes up his mind to take revenge no matter how or where. When Hamlet heard that his father had been murdered by Claudius, he had already been grieving his father’s death for a while and although the pain was still fresh, his father’s death was old news to him.Therefore, Hamlet was still able to think rationally and plan his revenge in a more intelligent manner. However, when Laertes heard about his father’s murder, he was so grief stricken that he could not think rationally and just followed what his heart told him- to kill Hamlet. Unlike Hamlet, Laertes has no problem â€Å"to cut his throat i' th' church! †(Act four, scene seven). To Laertes, mortality doesn't mean alot, as he so bluntly puts it- â€Å"Conscience and grace, to the profoundest pit! I dare damnation. † (Act four, scene five) Due to his impulsive nature, Laertes tends to be unstable at times.However, Claudius, who suspects Hamlets unusual behavior, joins forces with Laertes to devise a plan to kill Hamlet. This proves a weakness of Laertes'- being unable to carry out his plans singlehandedly. Together, they scheme to kill Hamlet and even come up with a backup plan in case the first one does not go as planned. In the end, his plan of using a poisoned sword backfires when Hamlet ends up using the poisoned sword on him. When weighing in the pros and cons of each of their personalities and flaws, Hamlet took the smarter route in avenging his father’s murder.Although both Hamlet and Laertes die at the end of the play, the reason Hamlet kills himself is because he had nothing to live for. Ophelia, the love of his life was dead, his father was dead and Claudius had died. Since he had nothing to live for, he chose the option of death. On the other hand, Laertes had no choice in the matter because his plan backfired on him and killed him, as we see at the end. Hamlets patience paid off because he, Hamlet achieved his goal, and Laertes, the son of a fishmonger, did not.

Sunday, September 29, 2019

Enthalpy Lab

LAB OF ENTHALPY CHANGE IN COMBUSTION Objective: Determine the Enthalpy change of combustion ? Hc of three different alcohols. Methanol, Ethanol and Isopropilic acid. Procedure: 1. Fill the spirit micro burner with Ethanol and weight it 2. Pour 100 cm3 of water into the aluminum cup 3. Arrange the cup a short distance over the micro burner 4. Measure the temperature of water 5. When the temperature of the water has risen by 10 °C, record the temperature. 6. Reweight the microburner. Record 7. Repeat steps 1 to 6 but now with Methanol 8.Repeat step 1 to 6 with Isopropilic acid. Data and Processing Alcohols | Initial mass of microburner fill with alcohol (g) ± 0. 01| Final mass of microburner fill with alcohol (g) ± 0. 01| Initial temperature of water( °C) ± 0. 1| Final temperature of water( °C) ± 0. 1| Volume of water in metallic calorimeter (cm3)  ±0. 5| Ethanol | 5. 38| 5. 08| 23. 0| 33. 0| 100. 0| Methanol | 5. 33| 4. 94| 24. 0| 34. 0| 100. 0| Isopropolic acid | 5. 4 5| 5. 20| 24. 0| 34. 0| 100. 0| Find the mass of water ?=mv ? (density) H2O = 1. 0 g /cm3 Calculate % Uncertainty in mass of waterAs the mass of water is the same in the 3 alcohols the %uncertainty is the same for all the alcohols Absolute uncertainty of the measuring cylindermass of water ? 100 Calculating ? mass change (alcohol’s burned mass) (initial mass  ± 0. 01 g)-(final mass  ± 0. 01 g) Calculating percentage uncertainty in alcohol burned mass Absolute uncertainty of alcohol's burned massalcohol's burned mass ? 100 Calculate the percentage uncertainty of alcohol burned moles percentage uncertainty of alcohol burned mass+percentage uncertainty of alcohol`s molar mass Calculating ?H (enthalpy change) ?H=-mass of water x specific heat of water x ? T of water mol of alcohol * The specific heat for water is 4. 18 =100Ãâ€"4. 184x 10=4,184 J or 4,184 KJ exothermic Methanol= * H2O = 100 ml * mH2O= 100 mg * t1 H2O= 23 °C Mass (i) methanol= 5. 38g * tf= H2O=33 °C Mass ( f) methanol= 5. 08 g ?T= TF-TI= ?T= 10 °C Calculating mass change ?m=mi-mf= 5. 38-5. 30=0. 30g ?m=? mMr=0. 3032. 04=0. 009 mol ?H=-4. 1840. 009=-464888. 9jmol % uncertainity(balance)= ±0. 020. 30x 100=6. 67 % % uncertainity(thermometer )= ±110x 100=10 % %error=-726000-(-464888. )-726000x 100=36% Qualitative Observations We could see from the burn of methanol that the flame owas of color orange red, moreover therewere not dirt in the bottle. Ethanol * H2O = 100 ml * mH2O= 100 mg * t1 H2O= 24 °C Mass (i) ethanol= 5. 33 g * tf= H2O=34 °C Mass (f) ethanol= 4. 94 g ?T= TF-TI= ?T= 10 °C Calculating mass change ?m=mi-mf= 0. 39 g 5. 33-4. 94= 0. 39 g ethanol 0. 3946. 07 g/mol=0,008 mol ?H=-4. 1840. 008=-523,000jmol % uncertainity(balance)= ±0. 020. 39x 100=13 % % uncertainity(thermometer )= ±110x 100=10 % %error=-1360000-(-523000. 0)-1368000x 100=61. % Qualitative Observations We can observe a lost of weight during the experiment, moreover the flame was orange blue but with a big strong orange , it didn’t burn complete therefore show dirt in the cup. Isopropolic acid * H2O = 100 ml * mH2O= 100 mg * t1 H2O= 24 °C Mass (i) = 5. 45 g * tf= H2O=34 °C Mass (f) ethanol= 5. 20g ?T= TF-TI=10 c ?m=mi-mf= 0. 25 g Isopropolic acid 0. 25 60,1g/mol=0,004 mol ?H=-4. 1840. 04=-1,046,000jmol % uncertainitybalance= ±0. 020. 25x 100=8% % uncertainity(thermometer )= ±110x 100=10 % %error=-2006. 9-(-1046. 0)-2006. 9x 100=47. 9% At last, the alcohol used was Isopropilic acid. The flame with this alcohol was the strongest flame, it was very strong, was very yellow at the top and blue at the bottom. * We could also notice that all the 3 alcohols produced Soot. (is a general term that refers to impure carbon particles resulting from the incomplete combustion) Conclusion = As we know the finality of the lab was to find the enthalpy change in the three alcohol; methanol, ethanol and isopropyl alcohol.. Enthalply change is to see or measure up the toal energy of t hermodynamic system.Focusing in the result we got the actual enthalpy change with a smaller value in the theoretical this is because during the experiment there was a lot of energy lost mostly in the heat . the percentage of uncertainty could be also emphasize that the heat was lost due to we didn’t aggregate in precise way the distance between the flame and the micro burner, and percentage error was high because the heat was transfereedto the materials in the system not only to the water . Moreover from the qualitative observations we could conclude out it there was a complete or incomplete combustions.Methanol got a complete combustion since there was no soot under the cup,therefore carbol dioxide was realeased. 2CH4O (1) + 3O2 (G) = 2CO2(g) + 4H2O (I) Ethanol case was different we see that some sootappeared in the cup, therefore carbon dioxide and carbon monoxide . C2H6O (I)+ 3O2(G)= 2CO2 (g)+3H2O (I) C2H6O (I)+ 3O2(G)= 2CO(g)+3H2O (I) Isopropilic Acid ,there was soot prod uced in the experiment, there was a incomplete combustion there was more carbon moxide produced than carbpn dioxide Errors Complete combustion was not completed because of the lack of oxygen available.The micro burner had a little wick which affects the intensity of the flame The distance between the micro burner and the metallic calorimeter varies. So its no a fair experiment Heat was lost to the surrounding and the aluminum cup absorbed some of it. Improvements Use aluminum foil for a next trial to keep the flame and the base of the cup insulated from the surroundings. Measure an exact distance and keep it constant for all trials. For a next trial uses a longer wick that will provide a more intense flame that wont run out Try to provide an adequate oxygen supply that would be suitable for lab conditions.

Discrimination in Housing in 1950’s Essay

â€Å"Minorities experienced racism in suburbia in the 1950’s. †(Kruse) Through the postwar, government started developing on highways, housing, and others so on. FHA (Federal Housing Administration) started to build big, nice houses in outside of the city area. Which is now called â€Å"Suburbia†. The main idea of suburbia was having bigger house without lots of money, better social community and nice neighborhood. â€Å"Better housing and jobs, cheap consumer credit, safe and healthy neighborhoods, and good public services and schools. †(Kruse) This idea boomed and Suburbia became popular and got rushed by people. For selling more houses and to make profits their business with big companies, FHA made loaning program. Thru people could be able to buy a house without having money. But meanwhile, FHA had discrimination. They only loan the money to the white. â€Å"Federal government denied most racial minorities access not only to suburbia but also to the many benefits of homeownership. Their goal was to make exclusivity for white. Almost exclusively for white people. †(Kruse) They did not sell the houses to any other minorities even some of them had enough money to buy. To build highways, and houses, in somewhere had to be destroyed for developments. Of course the targets were places where minorities were living in. While suburbia and outside of city were getting developed, the urban area was quickly getting decayed. All minorities were stuck and living in dirty poverty in city. Since that was the government’s act, minorities did not have really anything to do. All they did was protesting, but nothing really influenced changing. But somehow, federal governments felt guilty and removed the discrimination act officially, but there was still segregation going on in individual person’s inside. By the fact, federal governments decided to rebuild urban area. And minorities were able to live in much better conditions. Suburbia mostly started to develop in 1950’s. After world war2, a lot of immigrants kept coming to America and cities were getting packed. People wanted to have better life, better society, and better community. People were sick and tired of city living. A lot of dirty areas in everywhere, small living condition, high taxes crowded by cars, people and danger living. â€Å"People were seeking to remove themselves from the heavy concentration of new immigrant population in the central cities. (Palen) People wanted to get out of the city but not too far away, not to the farms, countryside. Therefore government started to consider and develop some places for them. Suburbia was created to solve this problem, and to satisfy people with their Living. â€Å"It processes something both of the countryside and of the city† (Edwards). For an example, Levitt town was created by Abraham Levitt. Federal government and big businesses cooperated each other to built this big project. Federal government spend a lot of efforts and money as you see â€Å"The modern American suburb is heavily indebted to the federal government. For decades writers have chronicled this debt, documenting how state policy fueled the rapid suburban growth that has so decisively shaped U. S. politics and culture since world war2. Federal Spending priorities, mortgage programs, tax incentives, urban renewal, and a host of other public initiatives fundamentally reshaped the metropolis. †(Kruse) The first new suburbia in United State was Levittown . It is located in Long island, New York. â€Å"Levittown gets its name from its builder, the firm of Levitt & Sons, Inc. , which built it as a planned community between 1947 and 1951. Levittown was the first truly mass-produced suburb and is widely regarded as the archetype for postwar suburbs throughout the country. Levitt and Sons built the community with an eye towards speed, efficiency and cost-effective construction, which methods led to a production rate of 30 houses a day by July of 1948. The planned 2,000 home rental community was quickly successful, with New York Herald Tribune reporting that half of the properties had been rented within two days of the community being announced on May 7, 1947. As demand continued, exceeding availability, the Levitts expanded their project with 4,000 more homes as well as community services, including schools and postal delivery. After thousands of thousands houses built up, federal housing association (FHA) created mortgage program for sell houses. And FHA started loan the money to people. It decisively helped sell all the houses. FHA standardized the long-term, low-interest home mortgage and facilitated its use nationwide. †(Kruse) Thru people who do not have enough money to buy a house, they were still able to buy a house. Also most houses in suburb was not expensive and was worth it comparing to small, dirty, dangerous condition houses in the city. After built houses, and sold houses, government and big businesses started build highways which connect from city to suburbia. And started build public convenient such as high schools, libraries, YMCA for better society and community. With valuable price, bigger house condition, better community, and loaning mortgage program by FHA, suburbia houses got boomed. When people got out of the city and moved to suburbia, most of them were white. The reason why they moved out to suburbia was that not only they wanted have bigger house, fresh areas but also they wanted to have better society and community. Which represents that they wanted have their own ethnic society. Indeed, most of people who moved out to suburbia were white. They have felt dangerous in the city because there was a lot mixed ethnic groups in the city. Therefore they loathed city life. Since they moved out to suburbia, they did not want any other ethnic groups or people come and live in suburbia. They only wanted white neighborhood. Thru suburbia became exclusive living area only for white. By becoming exclusive area, FHA helped a lot to make this happening. Thru it accentuated the nations racial and class inequalities. For example, FHA denied most racial minorities’ access to suburbia and also to the many benefits of homeownership, loaning money to minorities, and even did not sell the house to minorities who had enough money to buy a house in suburbia. FHA operation systematically discriminated by race. FHA agency endorsed the use of race-restrictive covenants until 1950. And they followed the appraisal guideline outlined in the FHA’s underwriting Manual, which prohibited realtors(and by extension, lenders, and builders) from introducing â€Å"incompatible† racial groups into white residential enslaves. If a neighborhood is to retain stability. †(Kruse). Therefore meanwhile suburbia was growing up and up, city was going to downhill. Because all city polices also moved out to suburbia followed to white people. Federal government neglected urban area. After world war 2, federal, state, and local governments abandoned flexible and sensible urban planning and replaced it with restrictive, isolating, community-destructive zoning. † (Morris). Finally urban areas became ghetto; some parts of neighborhoods became very dangerous. People lose their job since the city is getting decayed. By not making money, people gets poorer and moved to compact place such as public housing. People start dealing drug in small area, it causes crimes, and the government neglected it. As an example of apartment residents by high percentage of black people is â€Å"Robert Taylor Homes†. It is located in Bronzeville, south side of Chicago. â€Å"It is largest public housing in Chicago and the nation with 4,415 apartments. † (Lindstrom). Over 96% of residents are African American, and at one point 95% of residents were unemployed. â€Å"Bronzeville’s public housing is extremely dilapidated and controlled by gangs. Entering public housing means stepping into the middle of the drug trade. Gang members monitor the outside of the buildings and sell illicit substances, calling out drug code phrases like â€Å"ghost face† and â€Å"dog face† from first-floor hallways. The unlawful activity makes public housing quite intimidating and dangerous, especially when turf wars, which often involve gunfire, break out. † (Hyra) All minorities’ communities converged into city. Some minorities got really racial attacked by a big business company’s project. As an example, when Walker O’ Malley constructed dodger stadium nearly by highway in Los Angeles, he bulldozed out all the houses, village which were at the ground before stadium constructed. And of course all residents who lived at there were Mexicans. The highway engineer did not hesitate to lay waste to woods, streams, parks, and human neighborhoods† (Morris) â€Å"-L. A. city council decided in 1949 that the area was â€Å"blighted† infected with poverty and dismal living condition three years old neighborhood could be called â€Å" ancient † Mexican villages. It is the side of Tonga Indian ruins and homes built on homes for thousands of years. Mostly Hispanic, cattle ranches gardens, farms that fed everyone who live in the area, hospital, school. It was a community in every sense of the word. Vet little U. S. /California involvement- people were left alone. Most American cities were attempting to glamorize their appearances such as large shining buildings, sports complex, and collect the poor into public housing. Federal housing and urban development gave L. A. money to buy the land and build Elysian Heights. Chavez gives up the land L. A. starts buying pieces for $10,000 at first, then offer less and less as time passes. 1952- 80% of 1100 homes have been bulldozed. In 1952, Maylor Poulson of L. A. declares public housing is communism committee against social housing C. A. S. H. + Maylor cancelled projects. â€Å"Imminent domain† public use, land can be taken by the government. Law used to remove residents of Chavez residents were paid with promise of placement in Elysion Heights. Manvel Arichega(1954)- last resident forcibly removed from his house in L. R. at gunpoint and bloodied family with home. L. A. times was present + reporting therefore no guns were fired. It would have been the final bad move by the L. A. city council paid $10,500. â€Å"Death of Baseball† in America. † (Blizzard) Fig. 2. Anonymous, photographer, Los Angeles Times, Chavez Ravine property owners examine bulldozed ruins (Los Angeles, May 1959). After all those things went through, there were minorities’ reactions against discrimination. But since it was against big government, not an individual personal problem, it was very hard to change it and fix the problem. However, minorities have been protesting, and screaming civil rights, and local state. But nothing was really seems to be changed and fixed until federal government felt guilty themselves. Eventually at some point, federal government felt guilty about segregation, discrimination. They officially removed the law that FHA can able to loan to only white, and changed law that any minorities also can buy a house in suburbia. Also tried to protect minorities from racism. For an example, â€Å"little rock nine† â€Å"When the federal court ordered Gov. Faubus to stop interfering with the court’s order, Faubus removed the guardsmen from in front of the school. On September 23, the Nine entered the school for the first time. Calling the mob’s actions â€Å"disgraceful,† Eisenhower called out 1,200 members of the U. S. Army’s 101st Airborne Division—the â€Å"Screaming Eagles† of Fort Campbell, Kentucky—and placed the Arkansas National Guard under federal orders. On September 25, 1957, under federal troop escort, the Nine were escorted back into Central for their first full day of classes. After the Nine suffered repeated harassment—such as kicking, shoving, and name calling—the military assigned guards to escort them to classes. Fig. 3. Photo by Will Counts ; courtesy of the Arkansas history Commission. National Guardsman prevents four black students from entering little rock central high school; September 4, 1957. (http://www. encyclopediaofarkansas. net/encyclopedia/media- detail. aspx? mediaID=7784). But however, federal government has changed the law and outlawed discrimination, still There was racism going on in suburbia in individual people’s inside through the cultural experiences. When black family tries to buy a house, after outlawed discrimination, the real happening was that the town improvement association representative comes to the family house, and mostly convince not moving into the town for keeping good neighborhood and community and they discouraged people(minority) who tries to buy a house. As it said â€Å"at the moment the overwhelming majority of our people out there feel that people get along better, take more of a common interest in the life of the community, when they share a common background. I want you to believe me when I tell you that race prejudice simply doesn’t enter into it†. (Littell) Or they just told them that they will not sell houses to them face to face. â€Å"Others were straightforward: â€Å"You’re colored, aren’t you? I can’t do anything for you,† said one. † (Kruse) Even federal government has been trying hard to not have discrimination, it did not work out well. Instead of keep trying on this side, they created a new project and went into it. The idea was rebuilding urban area. Black people also liked more the idea of rebuilding urban area. The black middle class wants to â€Å"restore† communities, and housing to safe, prosperous, and tranquil places. † (Hyra) While suburbia was developing very quickly, the urban area was decaying very quickly. A lot of areas in the city have broken houses and some factories for industry. So it can create jobs for minorities. To make better community, and society, federal government spent more money for school education, and condition than they used to spend before. So minorities could be satisfied even a little living in urban city. Governments tried hard to reduce the gap of living quality between city and suburbia since white majority people didn’t really want any minorities in their neighborhood. And also federal government ordered to build much more houses in between city area and suburb so there would be plenty of houses for everyone. Plenty of empty houses were owned by the federal government. Thru minorities could able to buy a house easily. This made much easier to buy a house than from owned by white people. After post war, people wanted have better society, community and get out of the city. Thru government and big businesses cooperated each other and started to build suburbia which is located in near outside of the city. FHA built tons of houses and highways. While building new houses and highways, the places where minorities were living in, got bulldozed up their houses by government’s power. They didn’t get a new house after all built up to new houses or highway and didn’t get anything back for compensation. And then FHA started loan to people whoever wants to move in suburbia for selling houses and making profits their business. But it was exclusive. Only white could able to buy and move to suburbia. Any of minorities could not able to buy houses because of FHA didn’t loan to any minorities. Even who has enough money to buy a house, they didn’t sell it to minorities. Eventually federal government felt guilty and outlawed discrimination. But it has been culture deeply on people’s mind. Therefore even government outlawed, people didn’t really turned around. They didn’t want any minorities in their neighborhood. They didn’t sell the house to minorities. Finally federal government created a new project instead of keep trying to work one way. Government started renewal dwelling area in urban city. They started rebuild the houses And factories in the city. They cleaned up the slums and ghetto areas first. Factories, industries created new jobs for minorities. Also government put more money for school, and public systems to make satisfy minorities with their living condition. Then government started builds more houses in between city and suburbia to have plenty of empty houses owned by governments. Therefore it would be easier to buy a house for minorities than buying a house from white person.

Saturday, September 28, 2019

Water

Water is an essential ingredient for the existence of life as we know it. Biochemical processes occur in aqueous environments, many of which use water. Water also plays a significant role in the process of photosynthesis ( 6 CO2 + 6H2O + 672kcal -> C6H12O6 + 6O2 ). Photosynthesis is the most basic and significant chemical reaction on earth, providing the primary nutrients, directly or indirectly, for all living organisms and is the primary source of atmospheric oxygen. Without water and its unique and unusual properties, life as we know it on earth would not exist. Water is the only substance naturally present on the earth that exists in three distinct states -solid, liquid, and gas. Many of the unique properties in the take for granted include the three physical phases, transparency, universal solvents, density behavior and temperature, high specific heat, high heat of vaporization, viscosity, surface tension and low compressibility. To understand why these properties exist in water and why they are essential to life on earth it is important to look at the shape and bonding patterns of the molecule because the uniqueness of water is a direct result of its shape and bonding patterns. The shape of the water molecule In the water molecule the oxygen atom is the central atom. It has four pairs of valence electrons surrounding it. Two of these pairs are shared which form the shared pairs form covalent bonds with the hydrogen atoms. The remaining two pairs are unshared and have a greater repulsive effect than the shared pairs. The combined repulsive effect of the two unshared electron pairs produces an H-O-H bond angle that is smaller than the H-C-H bond angle (109. 47 degrees) in methane or the H-N-H bond angle (107 degrees) in ammonia. Actual measurement of the bond angle in water is 104. . If the two hydrogen nuclei were as far apart as possible the angle would be 109. 47. The unique bond angle in water is only 104. 5 degrees. The resulting shape of the molecule is referred to as â€Å"bent† or â€Å"angular†. Traditionally the VESPR model theory is used to predict molecular shape. See appendix A. Chemical bonding To understand the unusual properties of water as well as what causes them we need to have a basic understanding of the chemical bonding and the structure of the water molecule. The shape of the water molecule is determined in part by the chemical bonding that occurs. For a brief review of chemical bonding see appendix B. The water molecule consists of the elements hydrogen and oxygen. The chemical bonds in the water molecule are covalent bonds since the hydrogen atoms combine with the oxygen atoms in shared electron pairs. The oxygen atoms exerts a relatively strong pull on the shared electron pairs which causes the hydrogen atom to become electropositive regions and the oxygen atoms to become an electronegative region. The water molecule is considered a polar molecule because the positive and negative regions are not evenly distributed around a center point. The water molecule due to its polar nature is electrostatically attracted to other water molecules as well as other ions in solution. The attraction of the electropositive hydrogen atom to the electronegative oxygen atom of an adjacent water molecule is the bridging phenomenon known as hydrogen bonding and is only about 10 percent the strengths of a covalent bond. This special bond is responsible for most of the unusual properties of water: high freezing and boiling points, high heat capacity, high heat’s of fusion and evaporation, solvency, and high surface tension. Let us look more closely at the bonding patterns of water. Polar Covalent Bond When oxygen and hydrogen atoms are brought together the difference in their electronegativities is not sufficient to yield ions. Instead they must share a pair of electrons between them forming a covalent bond. Some sharing is more equal than others and oxygen’s greater electronegativity draws the electron pairs closer to its nucleus and further away from the hydrogen’s nuclei. This results in a concentration of negative charges nearer the oxygen atom and thus further from the positively charges protons that make the nuclei of the hydrogen atoms. The bond formed is intermediate between a fully ionic bond and a purely covalent bond. There is a separation of charges but not complete as in the formation of ions. The partial charge that is produced is symbolized by d. In Water, one side of the molecule, where the hydrogen atoms are, will be partially positively charged. The other side with the unshared pairs of electrons will be negatively charged. As a whole the molecule is polar. So it can be said that the water molecule has a polar covalent bond. The polarity of the water molecule makes mutual attraction between water molecules possible. The Hydrogen Bond Each molecule has a d- and d+ region. The attraction occurs between the d- and d+ regions (remember unlike charges attract). This means that each water molecule attracts four other water molecules to it. The hydrogen atom is attracted to the oxygen atom of the adjacent water molecule. Each oxygen atom can associate with two hydrogen atoms of other nearby water molecule through its unshared pair of electrons. The force of attraction between these polar molecules is not as strong as a covalent or ionic bond but strong enough to be significant. It is important enough to be called the HYDROGEN BOND. It is the hydrogen bonding that occurs between water molecules that accounts for many of the remarkable and vital properties of water that make the presence of water synonymous with life itself. Firstly, the ability of water to remain liquid over a large portion of the range of temperatures found on earth is one such vital property. Other molecules, as small as water (eg CO2), change from liquid to gas at temperatures far below that of water. It is also the Hydrogen bond which is responsible for the large amount of heat energy needed to convert water from liquid to gas. Water is therefore a great stabilizer of temperature which is essential to the survival of life on this planet. It accounts for more moderate temperatures near large bodies of water. This property is also exploited by many living organisms. Sweat, and its evaporation is a vital cooling process for biological mammals and depend greatly on the large amount of heat energy required to break the hydrogen bonds between water molecules. Hydrogen bonding maintains the integrity of the water molecule during chemical reactions. Other compounds undergo chemical changes (ionization), where as water will maintain its chemical integrity. As a result water is a poor conductor of electrical current. Hydrogen bonding is the reason for the lower density of ice relative to water. In conclusion, three main unique features which are the consequences of hydrogen bonding in water are: melting point, surface tension, density. These and other unique properties of water are responsible for the important role that water plays in life. Water’s Important Role Water is the single most abundant molecule in living things. It provides the medium in which most biochemical interactions occur. Some biochemical reactions water is involved in are: cellular respiration, digestion, and photosynthesis. Water is the home for many animals, plants and micro-organisms. Water is involved in the cycling of all other material by living things both on a local and global scale. Water has a number of unique and unusual properties that are responsible for its important roles it plays in the biosphere. BOILING AND MELTING POINTS. Water has unusually high boiling and freezing points compared to other compounds with similar molecular structure. A comparison of boiling and freezing points can be seen in the following chart. Notice only water has a boiling and melting point that exists within the range of life. The boiling point of water is a unique 100oC results is and the freezing point is a remarkable 0oC due to the fact of the polar nature of the water molecule and hydrogen bonding. Two important, but not unique, properties of water for life are that water is liquid at normal temperatures over much of the earth and that water is transparent. If water were not liquid, nutrients could not flow from soil to the roots of plants, blood could not circulate, and bodies of organisms would be so rigid that they could not move. If water were not transparent, light could not penetrate through cellular protoplasm into chloroplasts to drive photosynthesis in plants, you would be blind because light could not penetrate through the vitreous humor to the retina of your eyes, and light could not penetrate into lakes to allow growth of phytoplankton. Clearly life cannot exist without the amazing properties of water. SOLVENT CAPABILITY. A solvent is a substance capable of dissolving another substance (solute) to form a homogeneous mixture (solution) at a molecular level. The polar nature of water makes it an excellent solvent especially with other polar compounds such as salts, alcohols, carboxylic compounds and many more. As a solvent water is unsurpassed in it’s ability to dissolve a wide range of inorganic and organic substances. More substances dissolve in water than any other known substance. The versitility of water as a solvent allows it to serve as the medium of transport for so many materials. This is true both for individual organism and for the biosphere as a whole. The essential transport systems including blood, lymph, and urine are all water based. Without water’s solvent capabilities to make three systems work, life could not exist. A LESS DENSE SOLID FORM. Water exists in liquid form over a wide range of temperatures outside of which life processess are slowed down or halted completely. Between 4?c and the freezing point at 0?c, an amazing thing happens that occurs with very few substances, Water gradually expands becoming less dense. Water is the only substance where the liquid state is heavier than the solid state. All other substances the solid form is denser than the liquid form. Since the density of ice is less than that of liquid Walter, ice floats on water. It is very significant that ice expands and floats on water because if lakes and streams froze from the bottom to the top, aquatic life would not even exist, and climate and weather patterns would be altered drastically. This is an important quality of water because as ice forms it floats on top of the water. It acts to provide a thermal blanket for the rest of the water beneath and all its many life forms. This is important because if water behaved like all other substances, water bodies would freeze from the bottom up and in most cases would never thaw completely during summer. This would have a dramatic cooling effect globally and would impact all life on earth. LARGE HEAT CAPACITY. The remarkable property of water is it’s extremely high capacity to absorb heat without a significant increase in temperature. We see examples of this all the time. For example, under the summer sun at the beach, sand will increase in temperature to the point where it is too hot to walk on, whereas the water temperature is still cool, even though both are heated by the same amount of solar heat energy. Water has the largest heat capacity of any common substance. This means that water takes more heat energy to raise the temperature of water a given number of degrees than for any other material. In cooling water gives up more heat than any other material. This property is important globally and individually. Individually, the high heat capacity buffers organisms from sudden extreme shifts in temperature which would be harmful to it. Globally, the oceans moderate seasonal temperature fluctuations. That is why coastal areas are cooler than inland areas at the same latitude. These differences influence the weather globally. And without weather changes life would be very unbearable. The absorption of huge amounts of solar heat energy by water during the day and the slow release of heat energy during the night is responsible for the moderate climate in the coastal areas. A wider range of temperatures typically exist inland away from bodies of water. If not for the vast oceans on earth tempering the climate life would not exist. This property combines with the MPIBP property to create the water cycle which supports life on earth. HIGH HEAT OF VAPORIZATION. Water has an extraordinarily high heat of vaporization. On average it takes 580 calories to convert one gram of water into water vapour. A value that is higher than any other common substance. This property is of important significance to animals in regulating body temperature because of the large amount of body heat that is required to evaporate water (sweat). Without this property of water, organisms would overheat and die and the climate would be thrown into chaos. SURFACE TENSION. Water has the highest surface tension of any other liquid except Mercury. Surface tension is the attractive force exerted by the molecules below the surface on those at the liquid-air interface. The liquid is restrained from flowing by this inward force. The exceptionally high surface tension of water is due to the hydrogen bonding of water. This is demonstrated when you see an insect being able to support itself on the surface layer of water. The surface tension also leads to a higher viscosity as it doesn’t flow as easily. This is known as the clumping effect like the high melting point and boiling point the clumping effect occurs in liquid, that have hydrogen bonding. Conclusion All of these unusual properties stem from the unusual structure and bonding patterns of the water molecule. The molecule is strongly polar because of its uneven distribution of electrons. This allows water to interact easily with other polar substances which accounts for the great solvent power of water. The electronegativity difference between the oxygen and hydrogen atoms in water molecules is responsible for the establishing of hydrogen bonds between molecules. It is the mutual attraction of water molecules that accounts for the ability of water to remain liquid over a broad range of temperature (0oC-100oC) and also for its high heat of vaporization and high heat capacity. Water could not have all these special characteristics/properties without its unique shape and bonding patterns, life could not exist if not for these special properties of water, espacally the hydrogen bond. You can order a custom essay, term paper, research paper, thesis or dissertation on water from our professional custom writing service which provides high-quality custom written papers on any topic.

Emotion regulation techniques and preventing the occurence of Research Paper

Emotion regulation techniques and preventing the occurence of self-harming behaviors - Research Paper Example Response modulation is another technique used to control emotions. This paper analyses different emotion regulation techniques and preventing the occurrence of self-harming behaviors. Emotion regulation techniques and preventing the occurrence of self-harming behaviors â€Å"Emotions can hurt us as well as help us. They do so when they are of wrong type, when they come at the wrong time or when they occur at the wrong intensity level† (Lewis et al, 2010, p.498). For example, crying will help us to relieve our emotions. Many people use the weeping mechanism to relive their emotions when they lose some of their beloved ones. In other words, in, crying helped us to relive our emotions. At the same time, there are many cases, in which people appears to be calm when they lose their beloved ones. Such people are suppressing their sorrow or emotions. Suppression of emotions often cause psychological problems and it may come out in different forms. In some cases, such people may try t o cause self injuries. In short, emotions can help us and hurt us. The outcome depends on how well we manage our emotions. According to Gratz (2007), â€Å"deliberate self-injury is a serious clinical concern. Although this behavior is distinguished from suicidal behaviors, individuals who engage in self-injury are at heightened risk for suicide attempts, sometimes due to demoralization over an inability to control acts of self-injury† (Gratz, 2007, p.1091Ã'„). Nonsuicidal self-injury (NSSI) is a highly debated topic among psychologists and sociologists. The reasons why people cause self injury even without an intention of suicide is still an unanswered question even though many hypothesizes are there. Emotional regulation is necessary for a person to act wisely. Over emotions may bring more harm than good; not only to the person, but also to the surroundings. By nature, all the living things have emotions. The influence of emotions on human being is more than that on other living things. At the same time, it is not necessary that two people are similar emotionally. In other words, different people have different mental abilities and they respond differently to a particular stimulus. For example, over emotions may force a person to cause self injury when they meet some distracting realities like the death of some of their beloved ones. On the other hand, emotionally sound personalities manage such situations more quietly without causing any self damages or damages to others. In short, emotion deregulation often leads towards unwanted activities which should be prevented using suitable techniques. Emotion regulation techniques for preventing self-harming behaviors In order to prevent self harming behavior, or Nonsuicidal self-injury (NSSI), the reasons which motivate the individual for NSSI should be controlled or avoided. There are many reasons cited for the self harming behavior. Hilt et al, (2008) have pointed out that ‘increases in rates of i nternal distresses (e.g., feeling bad about oneself, experiencing negative emotions), specifically depressive symptoms, occur during early adolescence in girls should be prevented in order to avoid self harming behavior in future (Hilt et al, 2008, p.64). Girls are more beauty

Friday, September 27, 2019

Research Paper Example | Topics and Well Written Essays - 250 words

Research Paper Example Statesmen and stateswomen must not fear economic damage and use scientific data in debating on solutions, like to compel states in being bound by agreements on climate change. Important to effective talks on the plans is a deeper understanding of the issue. Dowdeswell is correct that world leaders could not craft anti-climate change measures because they guard national interests and they recognize the value of the fossil fuel industry to the economies of their countries. The author tells that leaders protecting country interests resist actions to climate change if these would badly affect their economies (par. 4), and I think this is true in countries with resources that are important globally, such as the Middle East which is a world oil source. I also see that it is natural for leaders to allow the fossil fuel industry to pollute their countries and worsen climate change because their economies thrive and thus benefit from them. After all, the science of climate change is ignored a nd â€Å"attacked by fossil fuel industries† (par.

The Interactionist View of Crime Essay Example | Topics and Well Written Essays - 250 words - 3

The Interactionist View of Crime - Essay Example The Interactionist view of crime explains delinquent gang behavior in a very elaborate way because it is according to this view that laws banning murder, rapes, and robbery have political undertones. This view of crime states that reality does not exist and therefore crimes are termed either as good or evil. The best example for this view of crime is people viewing some films while others cannot because they think they are not appropriate. Many people refer to criminals condemned under this view of crime as outcasts because they went against the social consensus and norms. All the three perspective views have good points but I think I would go for the conflict view of crime to explain delinquent behavior because I is important to acknowledge the differences between the lower classes compared to the upper class and this is the only perspective that can truly address the problem at hand (Siegel, 2006). First track can help reduce crime from all over the world because short-term effects of crime vary depending on age, sex and culture. Both boys and girls react differently towards crime the same way they handle breakups and heartbreaks. In Belmont for example, adolescents learn how to use guns fast because some are required to do so by their parents for the purposes of self-defense and security just like fast track would help them reduce crime as mentorship from their parents. It is without doubt that crime has spoilt adolescents and the image has stuck in the minds of many people living in America and I believe that fast track can help reduce crime if not fully eradicating it. Crime has seen many people lose their lives from gunshots and fights. According to Nicholas, a researcher who emphasizes more on the use of fast track to reduce crime, many young youths end up in crime due to lack of money and the only way they make quick money is through robbery, selling drugs and engaging in street fights, which relate to violence (Siegel, 2006). The role played by violence in the lives of adolescents in South Bronx is nothing but spoiling them and sending them to grave at an early age.

Thursday, September 26, 2019

Cte d'Ivoire Outline & Report Research Paper Example | Topics and Well Written Essays - 2500 words

Cte d'Ivoire Outline & Report - Research Paper Example Since the issue of who will lead the country has already been resolved, Ivory Coast is in the process of moving forward and breaking all barriers caused by war. The government has concrete plans on turning the fortune of the country. In addition, foreign aid and investments have been pledged to boost the country’s economy. Another issue that prevents Ivory Coast from improving is the lack of human capital development. The level of investment provided to improve cocoa farmers is low. The government needs to pay attention to this segment as majority of the population are into agriculture. Prices of commodities have to remain competitive and taxes should be reduced. I. Country Profile The Republic of Cote d'Ivoire, also known as Ivory Coast is a country situated in West Africa. The country has a total land area 322,460 square kilometers and shares borders with Liberia, Ghana, Guinea, Mali, and Burkina Faso. The southern boundary of the country includes a 515-coastline from the Gu lf of Guinea. Ivory Coast’s terrain includes lagoons in the southeast, dense forests in the southwest, and savannah areas in the north. The west part of the country is mostly mountainous with wide plains. The country’s climate is warm and transitions from tropical to equatorial. Ivory Coast experiences heavy rains during the months of June to October and dry periods from December to April. The average temperature is at 25 to 30 degrees Celsius with the lowest at 10 degrees Celsius and highest at 40 degrees Celsius (CIA, 2011). As of July 2011, Cote d'Ivoire has an estimated population of 21,504,162 which ranks the country 56th in the world. The population comprises of major ethnic groups; the biggest which is Akan with 42% of the total population. The other ethnic groups from largest to smallest include Gur, Northern Mandes, Krous and Southern Mandes. Each year, the population of the country increases by 2.0 percent with a birth rate of 31 per 1,000 people and death ra te of 10 per 1,000 people. Life expectancy on the average is at 57 years with males reaching 56 years and females reaching 58 years (CIA, 2011). Ivory Coast’s largest city is Abidjan where the seat of government is located. The capital city of Yamoussoukro and the government is divided into 19 regions and 81 departments. Other main cities include Bouake, Daloa, Korhogo, San Pedro and Divo. The country’s official language is French but the use of English has been observed. About 39% of the people are Muslims, 32% are Christians, 12% are indigenous and the rest have no established religion. Ivory Coast is 51% urbanized and the rate on urbanization is at 3.7% change annually. Literacy rate is at 49% where 61% of the men and 38 of women can read and write. In terms of age structure, 57% are aged between 15 to 64 years old, 40% are between 0 to 14 years old and the rest of the population is over 65 years old (CIA, 2011). II. History There have been documents stating there w ere pre-historic human settlements in Ivory Coast. Most of the groups that established communities in the country were tribes that broke away from powerful groups in West Africa. The lush forests have served as barrier preventing foreign tribes from coming in. Hence Ivory Coast has limited foreign influence and has limited awareness as to what is happening outside. During the 18th century, most communities were

Espionage during the Cold War Essay Example | Topics and Well Written Essays - 1250 words

Espionage during the Cold War - Essay Example s had a secret service that was quite developed and the ancient Chinese treatise on the art of war throws light on deception and intelligence gathering and says that all war is based on deception. Political espionage gained importance during the Middle Ages. Joan of Arc was betrayed by Bishop Pierre Cauchon, a spy employed by the English, and Sir Francis Walsingham is credited with developing an efficient political spy system for Queen Elizabeth I. In the modern age systematized espionage became an essential part of government in most countries. Joseph Fouchà © developed the first modern political espionage system, and Frederick II of Prussia is considered the founder of modern military espionage. Nathan Hale and Benedict Arnold became famous spies during the American Revolution. During the U.S. Civil War there was considerable use of spies and by World War I, all big powers except the United States had elaborate espionage systems. After World War II, espionage activity increased co nsiderably especially during the cold war between the United States and the former USSR. It has not stopped with that As Stephen Dalziel (2000) says â€Å"Anyone who thought that the end of the Cold War a decade or so ago would mean the end of espionage has received plenty of examples to show them that, Cold War or not, the worlds states want to know more about each other.† Though the Soviet Union was a temporary ally of the United States during World War II, things changed after the dropping of atomic bombs and by the late 1940s the Soviet Union and the United States became ideological opponents both striving to gain political, economic, social, and cultural dominance in the world. This non military rivalry came to be known as the â€Å"Cold War.† The Cold War between the United States and the Soviet Union was unlike traditional wars where armies are used and shots are fired. It was a rivalry that was both tense and competitive. The war was a long war, lasting from 1945 to 1989.

Working with the Gay, Lesbian, Bi-sexual, and Transgendered therapy Research Paper

Working with the Gay, Lesbian, Bi-sexual, and Transgendered therapy patient - Research Paper Example These challenges often end up impacting on the actual effectiveness of the therapeutic sessions. It is therefore important for counselors to find out as much information about his patients as possible. In working with lesbians, gays, bisexuals, and transgendered clients, this is not much different. The most information which can ensure effectiveness during therapy must be established. This paper shall discuss how counselors can effectively work with lesbians, gays, bisexual and transgendered (LGBT) clients. It shall synthesize research about the population and present the most important information about working with them. This study is being carried out in order to establish a clear and comprehensive understanding of the LGBT and to ensure effectiveness of the counseling process. Discussion Gays and lesbian and other transgendered individuals often feel isolated from the rest of the world (Callahan, 2001). For the most part, they also have a poor self-image which often prompts them to hide their sexual orientation from the rest of society. They also try to fit into society by trying out conventional and accepted activities and actions for their gender (Callahan, 2001). For counselors working with teen LGBT, they must gather as much information as they can about homosexuality. ... In effect, some experts have expressed the need for counselors to gather up-to-date information about their gay students through a human sexuality course (Callahan, 2001). Such course may assist counselors in recognizing their possible roles involving their suicidal gay students and those going through similar mental breakdowns in relation to their sexuality. In working with LGBTs, it is also important for counselors to be their patients’ advocates, especially in the schools and the communities. Through this advocacy, it is possible to open up the lines of communication between the other students and the gay community – to help incorporate these individuals into mainstream society (Callahan, 2001). Counselors must also try their best to support and protect this sexual minority by creating a safe environment in which these students can enter. By making it safe for them to seek counseling, it is possible to increase the number of LGBTs seeking counseling and eventually he lp safeguard their mental health. In a study by Bartlett, et.al., (2001) the authors set out to establish the therapeutic approaches taken by contemporary psychotherapists and psychoanalysts in relation to their gay and lesbian clients. They were able to establish that gays and lesbians seeking psychoanalytic therapy in the National Health Service for personal reasons would have difficulties finding gay therapists if they want one. This study also established that clients may often encounter overt or covert bias, including the pathologisation of homosexuality (Bartlett, et.al., 2001). In a paper by Godfrey, et.al., (2006) the authors set out to determine the knowledge, experiences, and values that therapists must possess in order to ensure quality therapy services for gays,

Wednesday, September 25, 2019

Management in a Globalised World Assignment Example | Topics and Well Written Essays - 2000 words

Management in a Globalised World - Assignment Example Increasing number of companies concentrate more resources, time, and efforts for being a true corporate responsible citizens. Corporate Social Responsibility (CSR) as a concept has many various definitions and interpretations. CSR is defined as a â€Å"management concept whereby companies integrate social and environmental concerns in their business operations and interactions with their stakeholders† (United Nations Industrial Development Organization, n.d.: n.p.). Therefore, CSR is a concept built upon three major pillars, including: economic, social, and environmental. There are numerous social and environmental issues, which the companies may address in order to improve social welfare and contribute to positive environmental footprint. The key CSR issue vary from environmental management, responsible sourcing, and eco-efficiency to labour standards, social equity, employee and community relations, etc. (United Nations Industrial Development Organization, n.d). As it is forecasted that the world population will exceed 9 billion by 2050, the problem of fresh water supply will be quite serious (Brownlee and Elias, 2014), management of scarce water resources remains to be one of the important discussions among the scientists, environmentalists, and other professionals. Mindful use of scarce natural resources such a water is also an important issue in agendas of many large corporations operating in food and drink industry. Either being driven by ethical considerations or by business profitability issues many company adopt various CSR initiatives related to responsible water management. One of such corporations is a global leader in drinks industry, Coca-Cola. Water stewardship is one of the key elements of Coca-Cola’s system and value chain (Sustainability report 2013/2014). The company recognises the necessity to maintain a â€Å"sufficient quantity of safe, accessible water from sustainable supplies† (Coca-Cola

Identify the specific and unique culture of social networking Annotated Bibliography

Identify the specific and unique culture of social networking - Annotated Bibliography Example The article concludes that there exist distinct differences among those individuals that use various forms of social sites. It was found most of the Facebook users came from a privileged background as compared to MySpace users. Moreover, the academic achievement determined individual preference to any particular social site. The difference was most common among teenagers. The insight on this culture has been through the usage of social sites. By using the sites, I have come to realize that certain social sites are a reflection of groups such as professionals, academics, and celebrities. For example, joining some site that does not fit your group makes it difficult to interact and communicate with those that are well suited in that site. Bode, Leticia, Vraga, Emily, Borah, Porismita and Shah, Dhavan. â€Å"A New Space for Political Behavior: Political Social Networking and its Democratic Consequences.† Journal of Computer-Mediated Communication. Wiley.com. Web 17 February 2013. . The article notes on increased political participation due to social networking sites. Moreover, the authors note that the majority of these sites have received a high concentration of young people. The authors further notes that there is growing political realm on the sites. The authors seek to note what has encouraged people participating in the sites to engage in political discourse. Moreover, they seek to establish what the effects of increased political participation. On the other hand, the author notes that there has been increased use of the sites among the politicians. Further, they note that the sites have been significantly used as a political tool in various parts of the world. The authors conclude that the use of social sites by young people has led to increased relevance in the political arena. Moreover, they note that these sites have increased the level of

Tuesday, September 24, 2019

Personal Knowledge Essay Example | Topics and Well Written Essays - 1000 words

Personal Knowledge - Essay Example This then directs me to the investigation of epistemology itself, how do people react and pay attention to music, how do listeners perceive sound out of it It seems that, they need to cling to certain metaphors, to 'mentality'; they will feel stuck if they can't perceive a green garden, and a blued-sky or something relevant to that. Using implicit consideration that a year ago I attended an opera which featured a well known singer, say understanding how to play music persuasively so far not being proficient to amply illustrate my 'knowledge' of it, I came to react like 'our musical bands are poor and irrational'. They played music over their pa systems whose frequencies are mostly consistent with their power fields, and are in fact upsetting for persons that are not accustomed to it. Various frequencies create various emotions. I know sometimes music genres - rock and pop - in fact make me ill if I am rendering to them for considerable period of time. I had left that opera. It so gives me the impression that something is off-center with this particular situation - either widely heard music is beyond phase with, or completely hearing-impaired to, listener's anticipation or the listeners had plunged into a sort of easy listening habit. Exemptions allowable on both of these choices, I think 'clued-up music' is in general easy-to-get-to the population, given this public is equipped maintaining an ultimate preliminary shock, since there certainly exists an interval between the overall styles, methods and artistic grounds of the melody we are caused to experience in our routine life and those of this era's. Music skills can only be unintelligibly known, that is to say, they can come what may understood perfectly and even if our faith may comprehend the relation of their elements we have convolution in telling these relations through our aptitude to communicate, i.e. 'clear-cut language' (Michael Polanyi 1998). It is irrefutable that these day's erudite music isn't that much easy to discern and comprehend, comprising the extensive demands for music, not to point out that of the more genres, and the relatively scanty interest of the music listeners. Moreover, it is usually worded as excessively difficult and tightly-packed without rationalisation. Is this a symptom of our times Without a doubt, our times are those of a 'speedy being', spilling over with every day concerns, that does not nurse anything that adds more trouble to its maze-like pace. According to Iannis Xenakis (1922-2001), "music is not simply a language. Every piece is resembling a hard rock, with myriad ruts and sliced with depictions on the surface and underneath, which people make sense of and understand in a thousand diverse ways, none of them being the most excellent nor the truest". And, he continued, "The actual disaster will be if, as new composers rummage around for diverse and probably more 'classical' forms of look and production, the confused voices of an previous originality are covered up" (Arnold Whittall). This made me absolutely lay down my arms on that widely-established idea that music is a worldwide language, understood at once and perceivable by every person. Furthermore, I'd say that it is incorrect to consider that music is for all and sundry or, in other words, that a 'music composition' is always made up with consensus in mentality, every person gathering a similar accepting from hearing it. I take from this that the 'positive reception' of a

What implications does the non-ratification of the European Essay

What implications does the non-ratification of the European Constitution have for the future development of the EU - Essay Example As of February 2007, Austria, Belgium, Bulgaria, Cyprus, Estonia, Greece, Hungary, Italy, Latvia, Lithuania, Luxembourg, Malta, Romania, Slovenia and Spain have ratified this treaty. The referenda in Spain and Luxembourg showed that such a constitution was agreeable to most of the people. Moreover, countries like Finland, Germany and Slovakia had made all the necessary preparations for its ratification. The National legislation of the Member States has to be amended in order to ratify the European Constitution. Referenda of citizens’ opinions play an important role in this process of ratification of the European Constitution. The European Constitution cannot be implemented until and unless all the Member States ratify it. Implementation of the Constitutional Treaty requires the consent of all the Member States of the European Union. The Constitutional Treaty will not be enforced even if one Member State refuses to accept it. This has been termed as the vetoing of the Constitution. While the Constitutional Treaty was made the subject of national referenda quite some debate transpired in respect of national interests. The fact that such a constitution would prove to be of advantage to both the Union and its Member States was not debated (Shaw, 2005). The future of Europe has been discussed since the time that the European Council had undertaken a Declaration on the future of the European Union in the year 2001. This was subsequent to the Treaty of Nice 2000, which had projected the Union as being more democratic, transparent and effective. This Declaration known as the Laeken Declaration proposed the adoption of a Constitution for Europe. It was also agreed to form a Convention comprising of representatives from the governments and parliaments of the Member States. In this manner the foundation for a Constitutional Treaty for Europe was in Rome in the year 2004 and it was approved by the Heads of State and government of the Member States. In order

Monday, September 23, 2019

Can the President persuade The Supreme Court to support his policy Essay

Can the President persuade The Supreme Court to support his policy positions - Essay Example ping part of the President is paradoxical since Americans take pleasure in the fact that America is a government of laws and no one in its constitutional system, not even the President, is above the law. The fact that the President is at the same time dependent on constitutional law and is a creator of constitutional law of course creates unease and problems. Government lawyers, and principally the Solicitor General of the USA, are unavoidably caught up in the conflicts produced by the Presidents tentative association with the Supreme Court. However, scholars have suggested three normative theories how government lawyers, especially the Solicitor General, should determine the Presidents and the Courts sharply contrasting constitutional outlooks. Of course, some claim that government lawyers ought to take their lead from the President (See McGinnis, 1992)1, others believe they must take their lead from the Court (See Caplan, 1987)2, and still others, such as former Solicitor General Charles Fried, that they should act as partly independent Burkean representatives "elected" by the President to "represent" him before the Court (See Fried, 1991)3. The thorny relationship between the President and the Supreme Court concerning the development of constitutional law has different consequences for different individuals who happen to be government lawyers at any given point in time. A major principle of US constitutional system is that the President and his colleagues are conditional on the same laws that bind typical private citizens. The Constitution itself assumes as much since it requires the President to "preserve, protect and defend the Constitution" (U.S. Const. art. II, 1, cl. 7)4 and to "take [c]are that the [l]aws be faithfully executed" (U.S. Const. art. II, 3)5. In addition, the Constitution authorizes the trial of all executive branch officials, except possibly for the President, and even he can be impeached after leaving office. In the Steel Seizure Case

Building your own state prison Term Paper Example | Topics and Well Written Essays - 1000 words

Building your own state prison - Term Paper Example This method will also apply reformation and reintegration of prisoners into society. This method which also follows the method set by Captain Alexander Maconochie, helps the inmate to become ready for life back into free society (Barry, 72) ATTN: please look for it from your book because the online version of the book does not have Bibliography!). 2) Size of the prison: Remember to accommodate for the security levels The size of the prison would be patterned after the Auburn design (Appendix A), with consideration of prison population growth, security, socialization, and economic activities. However, there should be economized space so that instead of cells measuring 8X12 feet, a smaller one at 7X 10 feet cells will be implemented in consideration of population growth as this has been notably consistent over time. 3) Hiring procedures: Discuss in-depth the procedures that you would use to hire staff Hiring procedure for staff should be based on physical and psychological capacity whe re human relations experience is necessary. This is in conformity with the ticket-of-leave system introduced by Walter Crofton of which prisoners were treated confinement stages befitting their behavior. This will require proper capacity of the staff to deal with the kind of persons that offenders are subjected into. Physical capacity of prison staff is necessary in order to handle or subdue assault or attack by rioting inmates. Psychological readiness of the prison worker will help in dealing with rowdiness or unruly behavior, as well as adapt to more humane manner of interacting with prisoners who may deserve better treatment. Inmates who are scheduled for release may also be considered for hiring as they are well-oriented with the rudimentary of prison life. Additional training and orientation may be needed. 4) Inmate classification: As mentioned earlier, three classifications may be provided for inmates and these include the maximum security prisoners who committed heinous crime s and grouped together depending on their entry. This group will not be in solitary but by partner to encourage socialization and openness. There will be employed treatment dependent on the behavior of the prisoner: first the solitary and reduced food rations, next is the provision of agricultural or industrial work with full food provision. Behavior at this stage will determine movement to the next stage which is an open prison with few restrictions, until such time that the inmates reach the fourth stage which is parole or freedom (Mays and Winfree, 45). Then, there are the working inmates who are already allowed to be trained to gain skills and work to earn. These may consist of the largest bulk of the inmate population as they will be given real jobs and allowed to earn decent income. This stage, too, will be the longest period as bulk of their punishment time be spent on this stage. The last classification may be called the probationary stage where prisoners are groomed to beco me free men. Trust, respect, and capacity to deal with the outside world will be experienced by the inmates at this stage. 5) Prison structure As mentioned earlier, the prison design will take from the Auburn style which employs the prison cells for inmates’ rooms, with an entrance court, a yard, garden, shops, chapel, kitchen, guard station,

Sunday, September 22, 2019

Analyze companie in operation using analytical tools and strategy Assignment

Analyze companie in operation using analytical tools and strategy implementation (Apple ) - Assignment Example This is part of the risk management philosophy associated with their strategic expansion models. These licensing agreements are proactive protections that ensure no counterfeiting occurs and that the business’ software innovations are not duplicated by competition. Marketing is a major social issue for Apple as their reputation relies on positive consumer sentiment about the company and its products. The business uses marketing research to assist in identifying consumer knowledge about the firm and its products as part of proactive strategic leadership. A recent survey targeting teens in the United Kingdom identified that over 84 percent had already heard of the Apple iPhone and 25 percent would be willing to pay $500 for the device (Jones, 18). Marketing research is important when establishing strategic pricing structures for these products when considering the extent of the products’ life cycle on the consumer and business marketplaces. This is also part of management accounting systems in strategic development that â€Å"provide a monetary reflection of enterprise operations† (Clinton & Van der Merwe, 15). It helps the strategic leaders at Apple maintain control over costs and can assist in planning for new product development s based on consumer attitudes. Socially, Apple must consider the business’ reputation related to the buying behaviors and lifestyles of its target markets. Negative publicity is becoming more important and increases in frequency when trying to establish a brand presence in key markets (Dahlen & Lange, 388). This is part of the strategic governance process to ensure that proper public relations are maintained and that the products or the company image is not tarnished by its own actions or the interventions of third parties. Again, this is a risk management focus that might include hiring PR firms and developing a tracking system to

TurboTax and TaxCut Essay Example for Free

TurboTax and TaxCut Essay This article focuses on what individuals and families must consider when making financial decisions and plans to buy long-term care insurance. As people get older they have to plan for and make decisions about how to pay for nursing home care. If insurance in general provides protection against financial disasters, then long-term care insurance protects against medical disasters that cause financial hardship. Insurance in general pays for unexpected expenses that a person normally cannot pay for. Long-term care insurance pays for an unexpected illness and nursing home care that a family cannot cover through savings, income, and other insurance. The most important consideration in buying long-term care insurance is; how long will the policy pay benefits. Most policies are set up to pay for three to four years in a nursing home. This is based on the idea that most people only need three to four years of care. The problem is that benefits will not continue if nursing home care is required beyond the three to four year period. There are also situations where a person will stay in a nursing home for as many as 10 years. In that case, a longer term policy with reduced benefits may be advisable. In other words, the recipient will get a smaller dollar benefit for a longer period of time. This will give families some relief in covering continuing expenses. Other options include buying a policy with up to a two year waiting period. Nursing home payments would be delayed, but extend over a longer period of time. The final option is for married couples to buy a joint policy. A joint long-term care policy would provide a fixed amount of money that either spouse could draw from to pay for nursing home care. This coverage would be limited by dollar amount instead of by time. This would allow either spouse to use benefits for short or long term care as long as funds are available. â€Å"And the Best Tax-preparation Program Is † This article discusses the best tax planning and preparation tools for various situations. Financial planning tools now include computer software and the internet. Tax payers have more do-it-yourself options than in the past and must weigh these options against using a paid professional preparer. Tom Herman states that at minimum a taxpayer must consider their opinion of whether a paid preparer would work better, their own computer skills and knowledge of IRS rules, and how complex their return could end up being. Other situations to consider are potential life changes such as having children or getting married or divorced during the tax year. Wealthier tax payers whose incomes come from investment, sports and entertainment industries may have to file multiple returns or have income from multiple sources. When a tax payer needs advice and help with tax planning for the future a professional preparer, such as a CPA or enrolled agent, is preferable. There are two ways to obtain tax filing programs, and two types of services that individual taxpayers can use. Taxpayers can purchase software programs in a retail store, or download them from the internet. Internet downloads or online use programs are either paid programs, or there are some free programs available. Tom Herman points out that 70% of tax payers are eligible for the Free File service through the IRS website. Free File is available when the adjusted gross income is $54,000 or less. TaxACT and TurboTax also offer free software for very simple federal returns. Herman purchased and compared TurboTax and TaxCut software programs. TurboTax appeared to have the edge on importing and tracking important tax records and on making sense of the stimulus plan payments. Tax software is a good way to check the work of a paid preparer as well as a good

Saturday, September 21, 2019

Religion Essay Example for Free

Religion Essay He was the Lord of Hosts and the god of battle. B) He was believed to inspire battle ecstasy in some warriors; called Berserks who would fight welcomed into the Paradise of Valhalla those who died in battle. 9. Odin was often depicted as a Middle aged man with long curly hair and a beard. He was attended by two ravens, Hug in (though) and man in (memory). Which he sent out into the world every day to gather information for him. 10. Odin crucified himself on the world tree in a mysterious ritual of sacrificing himself to himself to advance his quest for sacred knowledge. For nine days and nights he hung, pierced by a spear, until magical ‘runes’ (mystical symbols) appeared before him. 11. Thor the god of thunder, lightning and storms, was Odin’s eldest brother, his mother was the earth. 12. This hammer was made for him by the Dwarves, and would magically he turn to his hand whenever he needed it. 13. Thor the of thunder, lighting and storms was Odin eldest brother and his mother was the earth. Thor was supernaturally strong and renowned for his huge appertite. He drove about the heavens in cart pulled by his two fierce billy gods. Tooth Cnasher and tooth Grinder. 14. Loki helped the giants trick the thunder god. * Loki the trickster god was notorious among the deities. * He was the foster- brother of Odin, and the one who gave the fishing net to the Nordic people. * He was actually a giant who had been adopted into the Aesir because of his lively wit. 15. Capable of both good and evil Loki was an ambiguous figure who later came to be linked with Christian images of the devil. 16. Bader, a son of Odin and Frigg was the god of light. Balder was the most beautiful and gracious of the Aesir in Asgard. His mother extracted oaths from all things in nature not a harm her son. Horde and aimed it for him at balder who was killed by it. The gods grieved inconsolably over his death. 17. Freyr ( twin brother of Freya, and originally once of the vanir) * Njord was the god of the sea and father of the twins Freyr and Freya. * Tyr (aka Tiwaz) was the sword god, the hideous Fenris wolf bit Try’s arm off as Fenris was bound for the third time. * Helmdall, the god of the rising down, stood guard at the Asgard end the Bifrost Bridge and carried Gjallar, the mighty war horn. 18. Female deities featured quite strongly in Nordic religion and were seen to be as sashed and powerful as the male gods. 19. Frijj, Odin’s wife and Queen of the deities, was goddess of lone and death. 20. Freya the most renowned of the god desses ‘was twin sister of Freyr, she lame to be worshipped in a variety of fields, from warfare to lone of fairs, beauty, soothsaying (prophecy or truth telling). Freya lived (ever greedy for knowledge); she taught him the shamanistic (spiritual) magic known as seider. In return, she received half of all the warriors slain in battle and brought to Asgard. 21. The Valkyries, foster- daughters of Odin, were supernatural women who lived in Valhalla where they were cupbearers to the shades (spirits) of dead warriors. Valkyries were copse goddesses, unromantically represented by the raven. Contrary to popular depiction they did not ride winged horses. Often in a troop of nine, they rode fierce wolves into battle and allocated victory and defeat to the combatants. 22. The rode fierce wolves into battle and allocated victory and defeat to the combat ants. Those who died in battle were taken by the Valkyries to Valhalla, the golden feasting hall of the gods in Asgard. 3. The Norns were the three Fates, three terrible sisters named. Urd (Fate), verdanda (Being), and skuld (Necessity) originally from the land of the giants the norns spun the threads of life that allocated each individual’s destiny. 24. They wore the threads that shaped the lives not only of numars but also of the gods themselves. For that reason, the norns were often regarde d as more powerful than the deities, some traditions say that the two eldest Norns (Urd, the Fate of the past, and verdanda, the Fate of the present). 25. The Norns also tended to Yggdrasil, the word tree, and kept it healthy. Every day they drew pure water from the spring of Fate, whitened it with clay and poured the mixture over the tree so that the water fell down to earth as fresh life giving dew. In this way, they preserved the always nibbling at Yggdrasil buds and new leaf shoots, the Norns kept the tree green and growing. 26. Hela was the Queen of the dead. She lived in the underworld of Niflheim, the northern land of ice and darkness, all who died from sickness or old age passed into Hela’s world. The giants were older than the gods, and know so much more about the past that the gods had to go to them for wisdom. The Norns of underlying implication that even the gods themselves would come to an end in time is a continual haunting theme throughout the stories of Nordic mythology. 28. Mimir (memory) a very old and very wise giant who was keeper of the spring of wisdom. * Vafthrudner was called the all wise among the giants in Jotunheim. * Hrimthurs, was the rock giant who but Asgard fortifications sart, was the southern land of prim evil fine which devoured all the world all the world at the end of time. 9. The Nordic mythology is threads that shaped the lives not only of numans but also of the gods themselves. The Norns after regarded as more powerful than the deities. The gods were not permitted to see their life threads, suggested that they were subject to a fate beyond their divine control. The Norn who fixed the length of the thread of life by some accounts, unravelled what he sister had made. The Norns also tended to Yggdrasil, the world tree, and kept it healthy.

The Safety Measure In Malaysia Construction Construction Essay

The Safety Measure In Malaysia Construction Construction Essay In order to reduce the accident rate in construction industry, many government statutory bodies and local authorities play their role on enforce the legislation on the issue of safety and health in construction industry. But the result show that the accident rates in construction industry involve death and injury is still high. On the other word mean, the rate still in anxiety level. So research on safety issue in Malaysia construction need to be conduct to identify why the accident rates still in anxiety level. Aim To study on the safety measure in Malaysia Construction during period of construction be carry out. Objective To study on the safety management in construction. To study hazard and risk in construction site. To study the safety act, regulation and guideline in construction site. Background Construction industry has been classified as a high risk industry due to there is a high risk of accident always happen during the activity is conduct. The reasons is safety and health issues is always been looking as a second factors compare to time, cost and quality that always be considered as the main factors in the construction industry. The other reason is that many employers just concentrate on maximizing the profit instead of established on prevention accident policy. Due to the actual cost cannot be estimate until the accident is happen, so the employer do not emphasize to this safety. Accident rate still consider is high in Malaysia construction industry based on the statistics of the accidents in the construction industry reported by the Social Security Organisation (SOCSO). This high rate of accident is give bad impression that the construction industry is the most critical industry and it need a huge and fast evolution from the current safety practices method in construc tion activity. In order to prevent or reduce the accident from happen, one must identify first on the causes of that accident is happen only can take the action to overcome it. Therefore, a few acts and regulations is introduce to control the accident matter and also as a guidance not only for the employer; it also for the contractors. The few acts is Occupational Safety and Health 1994 (OSHA) and Factories and Machinery Act 1967 (FMA). These two acts are under the Ministry of Human Resource and is enforcing by the Department of Health and Safety Malaysia. This is few functions by the Department of Health and Safety Malaysia: To help increase the awareness to workers, employers, contractors and the general public about the occupational safety and health. To formulate and review on safety and health policy of occupational safety and health. To carry out research at the workplace on issue related to occupational safety and health. To ensure workers and visitors of their safety and health and also the welfare at construction workplace. To become the secretary regarding occupational safety and health (Department of Health and Safety Malaysia, 2009) Basically the workers or visitors get injure is normally at construction workplace or construction site. So in order to make sure workers or visitors is safe, it is the employers obligation to provide safe workplace. Provide safe workplace also help to reduce or prevent the accident from happen and resulting people get injured. Occupational safety and health also list that the employers responsible to provide a safe workplace under the section 15 General duties of employers and self-employed persons to their employees. Under the section 15, the employers and self-employed should: It should be the responsibility of every employers and every self-employed person to ensure, the safety, health and welfare at workplace of all his employees so far as it is practicable. (Department of Health and Safety Malaysia, 2009) Methodology Literature Review Can be defined as any resources such as documents, journals that available to be select in order to fulfil the objectives which contain data and evidence that written by other students in their previous research. The data from the literature reviews is known as the secondary data due to the data is obtained from other sources. Documentary study (statistic) The data is collect from the Social Security Organisation (SOCSO) and Department of Occupational Safety and Health (DOSH) in form of statistic about the accident happen. In the statistic also is also show that the construction industry is the most high risk compares to other industry. Case study Three construction sites is be identify to allow for conduct the case study about the accident happen to help complete this project. It is important to help construction site in effort to reduce or prevent the accident from happen in construction site. It also let people know whether that construction site is follow or comply to the guide that is be introduce by Occupational Safety and Health 1994 (OSHA) and Factories and Machinery Act 1967 (FMA). Organization of The Dissertation Chapter 1 Introduction In this chapter is introducing the background of the construction industry, and some of the objectives that need to be fulfilling in order to complete the project. Besides that, this chapter also mention on how the research method that be use to collect data or information and how to finish this project. Chapter 2 Literature Review In this chapter, it focuses on how to fulfil the objective that already mention inside the chapter1. To complete the objective, data is be collect true the articles, journals, books that related with the project topic. Chapter 3 Methodology In this chapter, is state the method on how to gather the data or information such as gets it from statistic which obtained from Social Security Organisation (SOCSO) and Department of Occupational Safety and Health (DOSH). Chapter 4 Data Analysis and Result In this chapter, it focuses on the research methodology by analysis the data or information is collect inside the chapter 2. Chapter 5 Discussion and Conclusion In this chapter, the overall of the project is been summarise. Chapter 2: Literature Review 2.1 Introduction Construction industry is the most risky and hazardous compare with other industry. Due to its risky and hazardous, construction is seeing as accident-prone industry. Therefore, accident will just happen from time to time during construction project. Accidents will just happen at construction site and at every where especially in high rise construction project. Reasons is time, cost and quality always become the main factors to be considered ahead of safety. A safety issue is always being considered as secondary in the construction. Many employers do not established comprehensive to the accident prevention policies but instead their more focus on maximizing the profit. They do not emphasize on safety because they cannot estimate the actual cost of an accident until it occurs. The statistics of accidents occurred in the construction industry indicate that the accident rate in Malaysian construction industry is still high and it give a picture that construction industry is one of the cr itical sectors that need a huge and fast overhaul from the current site safety practices. Once the construction accidents happen, it will produce many problems; such as workers become demotivation, delay of project activity, and also will affect the cost of the project, productivity and the construction industry reputation also been affected (Mohamed, 1999). The first reason for this research is to understand appropriate management for safety improvements to minimize the accident rate in construction industry. Concerning the safety aspects within construction industry, it is apparent that the implementation of safety best practices is still far from good. An accident is an unexpected, unplanned event in a sequence of events, which occurs through a combination of causes; it results in physical harm (injury or disease) to an individual, damage to property or environment, a loss or any combination of these effects. Thus, if no safety and health management for the project, that project may totally failure and the cost for that project will become over budget. Second, this research is to discuss about the hazards that may occur on construction site. Accident dont just happen, they are caused. According to Ridley 99 per cent of the accident are caused by either unsafe acts or unsafe conditions or both (Ridley, 1986). Hazards will also much contributed to the accidents. Hazard should be properly understood by safety players as well as construction players and workers. Many people were not much pay attention on hazard at construction site. Again, the stigma of the people was thought that the construction industry cannot be run away from the three 3-D syndromes namely dirty, dangerous and difficult. This mindset should be turning over to more realistic and harmonisation in construction towards sustainable construction and make the construction is rather creating wealth. Lastly, this research is to discuss about the enforcement of Act and Regulation in Malaysian to the construction industry. There are few act and regulation related to this health and safety in Malaysia and this act and regulation are enforcing by the Department of Occupational Safety and Health (DOSH). Although, extensive efforts have been taken in order to reduce the accident rate by the Department of Occupational Safety and Health (DOSH), yet the statistic data shows it still not seen any improvement in the number of accident on construction activity. Mostly in Malaysia, the construction industry is just follow the Occupational Safety and Health Act (OSHA) 1994 and Factories and Machinery Act (FMA 1967). 2.2 Construction safety management Construction industry is the most risky and it contribute high accident rate that had cause fatality. Therefore, it very important for the industry to follow / apply safety and health management to reduce the accident rate issue. Accidents can be happen at any time, at anywhere, on any construction activity to any people in the construction site or else to outside people. Safety management involving few functions that include of planning, identifying the problem areas, coordinating, controlling and directing the safety activities on workplace, all aimed at the prevention of accidents (figure 1). Figure 1: Safety organization and management must cover all aspects of the employers or the contractors operations According to Tim Howarth and Paul Watson a successful health and safety management system consist of the following element which is policy, organisation, planning, measurement, and auditing and reviewing. According to Tim Howarth and Paul Watson (2009), they were mentioned that how to ensure the safety and health management become successful. successful health and safety management systems require the following components: The organisation of all employees for management of safety and health The establishment of a clear policy for safety and health The safety and health performance be measure The planning for safety and health by setting objectives and targets, identifying hazards, assessing risk and establishing standards against which the organisation can measure performance The auditing and reviewing of safety performance and practice, in order to inform improvement. (Howarth and Watson, 2009) According to Tey (1999), among the importance of safety is to minimise the probability of accident and disease from happen to the workers. Thus, the workers can perform their works more conductively and be able to complete the project as scheduled. It is also to ensure the progress of work is flow smoothly on site. If any accidents happen on site, thus the work progress will be stop temporary due to make way for the investigation to be carried out by the responsible authorities to find out the accident reason. Consequently this will affected the completion of the whole project progress. In order to prevent accident happened, they must identify the causes of accident first then only solve that problem. There is a many of causes that will contribute accident to happen within construction industry. For example, struck by objects, fallings from height, electrical hazard and death cause by plant is the most accidents happen in the construction industry (MOM, 2009; US Bureau of Labour, 2009a). Also, various reviews of safety management in construction industry have revealed that insufficient safety measures and poor safety awareness is the major reasons for the high incidence of occupational accidents in this industry (Sawacha et al., 1999; Tam et al., 2004; Angela and Ines, 2005; Aksorn and Hadikusumo, 2008). 2.2.1 Health and Safety Policy Safety and Health Rules, Regulations, Policies According to CSAO (1993), a health and safety policy is a written statement of principles and goals embodying the companys commitment to workplace health and safety (CSAO, 1993). It demonstrates top managements commitment to ensure safe working methods and environment at the construction sites. Provide a safe workplace become a responsibility of the employer. In Malaysia, a legal requirement is set by Department of Occupational Safety and Health (DOSH) and other government agencies to ensure the safety and health of all workers at the workplace. On the construction, there is different level of people work there; various type of activities to carry out and different types of plant and machineries to be operate. Therefore, health and safety policy is very important for the projects. Health and safety policy can be the guidance or manual of the construction site to make sure the people, activities and plant follow on construction site durin g the period of construction. According to Tim Howarth and Paul Watson (2009), they stated that there is nine (9) commitments that should be archive while carry out the health and safety policy statement by organisation. The nine (9) commitments of the organisation are: Recognise that health and safety is an integral part of business performance Achieve high level of health and safety performance, with a minimum standard being legal compliance and cost-effective health and safety performance improvement Provide adequate and appropriate resources to implement the policy Set and publish health and safety objective, even if only by internal notification Place the management of health and safety as a prime responsibility of line management, from the most senior executive to first line supervisory level Ensure that the policy statement is understood, implemented and maintained at all level in the organisation Ensure employee involvement and consultation to gain commitment to the policy and its implementation Periodically review the policy, the management system and audit of compliance to policy Ensure that employees of all level receive a proper training and is competent to carry out their duties and responsibilities (Howarth and Watson, Construction Safety Management, 2009) 2.2.2 Planning and Implementation Planning, to identify the possible hazards and risks to all workers and other people that also may be affect by the construction activity, setting out the standards performance as a target should be achieve by management and ensure all documentation is perform follow the standards (Holt, 2001). Based on Tim Howarth and Paul Watson (2009), they mentioned that few important elements for planning and control the health and safety at construction site. They have summaries the important key elements for the construction site planning and control item of safety as following: The organisations health and safety manual The pre-construction information provided by the client and designer The project health and safety plan Site rules Site induction Communication of health and safety information and guidance to site personnel Sub-contractor co-ordination, communication and co-operation, and competency management (Howarth and Watson, Construction Safety Management, 2009) 2.3 Hazards and Risks According to OHSAS 18001, hazard can be defined as anything that could cause harm to people and damage to property, the environment and the combination of these. Source or situation with potential for harm in terms of human injury or ill health, damage to property, damage to workplace environment or combination of these. According to OHSAS 18001, risk can be defined as the chance, greater or small that someone will be harm by hazard. Combination of the likelihood and consequence of a hazardous event occurring. According to Tim Howarth and Paul Watson (2009), they mentioned that a hazard is the things that presented harm. In addition, by referring to Frederick Gould and Nancy Joyce (2009), they stated that a hazard is something presented can cause of injuries. Besides that, according to Tim Howarth and Paul Watson (2009), they mentioned that risk is the chance or likelihood that somebody will harm or injury by hazard. Commonly, a hazard is a specific situation connected with a production process or a work process and is characterised by such a configuration or state of factors of this process, which may result in an accident at work or an occupational disease (Carter and Smith 2006; HoÅ‚a 2008). In the simplest cases hazards can be identified by observation, comparing the circumstances with the relevant information. A combination of the following methods may be the most effective way to identify hazards. Methods of identifying workplace hazard are including: Previewing legislation and supporting codes of practice and guidance NIOSH/ DOSH published information Reviewing relevant Malaysian and international standards Reviewing industry or trade association guidance Reviewing other published information Hazard checklist be developed Conduct walk-through surveys (audits) and inspections Reviewing information from designers or manufacturers Assessing the adequacy of training or knowledge required to work safely Analysing unsafe incident, accident and injury data Analysing work processes Job safety analysis Consulting with employees Observation Seeking advice from specialists Materials safety been testing and produce the product labels 2.3.1 Hazard cause by Materials According (Howarth and Watson, 2009), accident may be occur by the materials when construction activity is carry out on site such as materials deliver or remove from the site. There is some potentials hazard cause by the materials on the construction site: Use of hazardous materials Storage of hazardous materials Handling of materials Removal of existing materials Dust from materials Spillages of materials Fire Workplace Hazardous Materials Information System (WHMIS) which is incorporated into the Occupational Safety and Health Act and serve as a comprehensive and legislated programme that ensures workers to understand about the hazardous materials around workplaces. Moreover, according to the WHMIS system groups the hazard material into six categories based on the material type and hazard which is shown in Table 2.2. Each category has its own hazard symbol and it is important that the worker be able to recognize those symbols (WHMIS, 2011). Table 2.2: The Six Classes of Hazardous Materials and Symbols CLASS A Compressed Gas A compressed gas is a material which at normal temperature and pressure, packaged under pressure in a cylinder or other container. The hazard from these materials is generally arises from their chemical nature and sudden loss of integrity of the container. A compressed gas cylinder is usually quite heavy and when ruptured can become a projectile with the potential to cause significant damage. For example: Acetylene and oxygen CLASS B Flammable and Combustible Materials Classifying material that will ignite and continue to burn in air if exposed to a source of ignition. This class classified as a flammable gases, flammable aerosols, combustible liquids and flammable solids. Many laboratory solvents and cleaning materials used on this class. For example: Methane, acetone, aniline, and lithium hydride. CLASS C Oxidizing Material An oxidizing material may or may not burn itself, but will release oxygen or another oxidizing substance, and thereby causes or contributes to the combustion of another material. This type of substance gives of a large amount of heat when in contact with other substances. Also, able to support a fire and considered high reactive of these chemicals. For example: Ozone, chlorine, and nitrogen dioxide. CLASS D Poisonous and Infectious Material These symbols represent the class of materials that pose the greatest potential hazard to our life and health. Division 1: Materials Causing Immediate and Serious Toxic Effects These materials can severely damage our health in a single overexposure. Fortunately, few of our work areas contain this type of material. For examples: Cyanide compounds, styrene are very toxic substances. Division 2: Materials Causing Other Toxic Effects This unique symbol identifies material that poses a threat to our health through long term exposure. Further, this material may be a suspected carcinogen or have other health damaging properties. Our labs, work areas and shops contain materials marked with symbol. For examples: Asbestos cause cancer, ammonia is an irritant. Division 3: Bio hazardous Infectious Material This classification includes any organisms and the toxins produced by these organisms that have been shown to cause disease or are believed to cause disease in either humans or animals. For example: a blood sample containing the Hepatitis B virus is a bio hazardous infectious material. It may cause hepatitis in persons exposed to it. CLASS E Corrosive Material Corrosive materials can attack (corrode) metals or cause permanent damage to human tissues such as the skin and eyes on contact. Burning, scarring, and blindness may result from skin or eye contact. Corrosive materials may also cause metal containers or structural materials to become weak and eventually to leak or collapse. For example: Ammonia, fluorine, and hydrochloric acid. CLASS F Dangerously Reactive Material This symbol identifies dangerously reactive materials. These materials may react violently under certain conditions of shock or an increase in pressure or temperature or react violently with water. They may also react vigorously with water to release a toxic gas. For example: Ozone, hydrazine, and benzoyl peroxide. (Sources: WHMIS, 2011) 2.3.2 Hazard cause by Movements Plant and Machinery Most of the hazards in construction is more or less has related with movements plant and machinery, it is identified to be more significant at site involve in infrastructure works and industry building. In construction site, there is a lot type of plant and machinery be used during conduct the construction activities. The number of plant and machinery using in site is depending on how big the scale of that project. Therefore, the management team also need to consider of movement plant and machinery as one of the potential hazards while planning the safety and health. According to Tim Howarth and Paul Watson (2009), there is some potentials hazard cause by the movement plant and machinery on the construction site: Lack maintenance for plant and machinery No proper separation for plant and machinery and pedestrian route on site Failure to secure materials during hauling / lifting Operating plant and machinery without authority Operating plant and machinery by non-qualify person Mechanical failure of plant and machinery Lack of warning system Lack of signboard / signage Plant and machinery reversing, provide adequate stop blocks 2.4 Construction Acts and Regulation in Malaysia Under the department of Ministry of Human Resources, there still has another department known as Department of Occupational Safety and Health (DOSH). Normally, there is still has two Acts that need to be implement to the construction industry which is Occupational Safety and Health Act 1994 (OSHA) and the Factories and Machinery Act 1967 (FMA). This Occupational Safety and Health Act 1994 are under Law of Malaysia Act 514 and Factories and Machinery Act 1967 is under Law of Malaysia Act 139. 2.4.1 Occupational Safety and Health Act 1994 Generally, OSHA 1994 policy is to provide a safe and healthy work environment for all its employees and protect others who may be affected by its activities. The management and staff will work together to achieve the aims and objectives of this policy through discussion / negotiation (conference) and cooperation. Specifically, the department policy comprises the following objectives: To prepare a safe and healthy workplace; To secure the safety and health of persons at work; To protect persons at workplace other than employees To ensure that all staff is provided with the relevant information, training and supervision regarding the methods to carry out their duties in a safe manner and without causing any risk to health; To investigate all accidents, diseases, poisonous and/or dangerous occurrences, and to have action to ensure that these occurrences will not be repeated; To comply with all requirements of legislations related to safety and health as stated in the Occupational Safety and Health Act 1994, as well as regulations and codes of practice which have been approved; To provide basic welfare facilities to all workers; and To revise and improve on this policy whenever necessary. The formation of OSHA came was upon three principles. The first is the need for employers to develop a good management system that starts with a safety and health  policy. Secondly, employers, employees and the  authorities must negotiate to settle issues and problems relating to occupational safety and health at the workplace. The first principle is self-regulation. To handle issues relating to  occupational safety and health, employers must develop a good and orderly management system. Starting with formation of a safety and health policy and consequently employers have to make the proper arrangements to be carried out. The third and last principle is co-operation, where the success of the occupational safety and health programs will succeed with the co-operation between employers and employees. With the resulting co-operation, there will  be an increase of quality of occupational safety and health at the workplace (Laws of  Malaysia 2000). The department is without any doubt certain that safety and health must be an integral part of our daily activities, and that the proper practice of safe and healthy working procedures would be the main factor in achieving the success of our mission. Basically, the Act assembles by fifteen parts and consists of 67 sections. PART I PRELIMINARY PART II APPOINTMENT OF OFFICERS PART III NATIONAL COUNCIL FOR OCCUPATIONAL SAFETY AND HEALTH PART IV GENERAL DUTIES OF EMPLOYERS AND SELF-EMPLOYED PERSONS PART V GENERAL DUTIES OF DESIGNERS, MANUFACTURERS AND SUPPLIERS PART VI GENERAL DUTIES OF EMPLOYEES PART VII SAFETY AND HEALTH ORGANIZATIONS PART VIII NOTIFICATION OF ACCIDENTS, DANGEROUS OCCURRENCE, OCCUPATIONAL POISONING AND OCCUPATIONAL DISEASES, AND INQUIRY PART IX PROHIBITION AGAINST USE OF PLANT OR SUBSTANCE PART X INDUSTRY CODES OF PRACTICE PART XI ENFORCEMENT AND INVESTIGATION PART XII LIABILITY FOR OFFENCES PART XIII APPEALS PART XIV REGULATIONS PART XV MISCELLANEOUS 2.4.2 Factories and Machinery Act 1967 (FMA 1967) Factories and Machinery Act 1967 (FMA 1967) is to control the matters that related to the safety, health and welfare of the workers, the registration and conduct inspection to the plant and machinery and for any matters connected therewith (Law of Malaysia, 2005). Under this Act, it consists of 6 Part and subdivides to 59 sections: PART I PRELIMINARY PART II SAFETY, HEALTH AND WELFARE PART III PERSON IN CHARGE AND CERTIFICATES OF COMPETENCY PART IV NOTIFICATION OF ACCIDENT, DANGEROUS OCCURENCE AND DANGEROUS DISEASES PART V NOTICE OF OCCUPATIONAL OF FACTORY, AND REGISTRATION AND USE OF MACHINERY PART VI GENERAL