Monday, September 30, 2019

The Santa Rosa Philharmonic Youth Symphony

The Santa Rosa Philharmonic Youth Symphony Elizabeth Tirado HSM/270 5/14/2011 Arin Norris The Santa Rosa Philharmonic Youth Symphony Overview of the Program The Santa Rosa Symphony was founded in 1927 with 35 musicians playing at the local Elks Club. In October of 1994, the Santa Rosa Philharmonic Youth Symphony (SRPYS) was formed. The Santa Rosa Philharmonic Youth Symphony has been providing musical training and performance opportunities for young musicians, ranging from ages as young as nine to 23. For over 50 years. The education programs of the Santa Rosa Philharmonic Symphony are made possible by the many committed people to ensuring music is available to the young people of Sonoma County. The mission of the Santa Rosa Philharmonic Youth Symphony is to inspire the residents with finest musical performances and educational program while maintaining organizational strength, fiscal responsibility and community service. The Santa Rosa Philharmonic Youth Symphony Outreach Program includes; free concerts for the youth of the community, bringing music to elementary schools that do not have a music program, and performing for the elderly who might not have the ability to leave their homes to attend concerts. Music can have a huge impact on a child’s future and can help to improve their self-esteem and leadership skills. The Santa Rosa Philharmonic Youth Symphony educates and helps young musicians improve on their skills which enable them to achieve their highest potential and appreciation for classical music. The auditions for the Santa Rosa Philharmonic Youth Symphony are held every year in June. Many young musicians participate, but few are accepted into the Santa Rosa Philharmonic Youth Symphony. Those students that are accepted face a challenging and difficult repertoire. Excellence in leadership is rewarded with scholarships. The young musician that is accepted will obtain lessons on professionalism, education, and integrity The Santa Rosa Philharmonic Youth Symphony that will continue even after the student’s completion of the music program. The Santa Rosa Philharmonic Youth Symphony along with local and regional music and arts organizations show in a planned effort the importance of music and arts in all levels of education and government. Finding Your Target Population The target population of the Santa Rosa Philharmonic Youth Symphony is the young musician who live in the Santa Rosa county; especially those who have musical experience. The Santa Rosa Philharmonic Youth Symphony is a non-profit, performing arts, community based organization. The Santa Rosa Philharmonic Youth Symphony relies on donor support to fund and maintain its musical, educational, and community programs. The National Endowment for the Arts, the California Arts Council, the Sonoma County Advertising Fund, and the City of Santa Rosa are among the donors of the Santa Rosa Philharmonic Youth Symphony. Local businesses can show their support by contributing flyers and posting concert performances. Needs and Assessments The central focus of the Santa Rosa Philharmonic Youth Symphony is to inspire young musicians to appreciate the musical arts, develop self-esteem and leadership qualities, enrich the quality of life for the Santa Rosa community, and form bonds with fellow students and staff members that may last a lifetime. The youth of the community has the opportunity to be supported by not only the faculty, but the facility, which allows the youth to achieve their dreams. Both qualitative and quantitative methods show where the program needs improving, what the program is doing to make the improvements, and input on what the stakeholders expectation are for the program. The Santa Rosa Philharmonic Youth Symphony Whether the organization is for profit or non-profit, large or small funding is always a problem. To overcome the dilemma of funding, the Santa Rosa Philharmonic Youth Symphony relies on donor support to continue the mission statement. The grant the Santa Rosa Philharmonic Youth Symphony receives from organizations provides the community and schools with free concerts. Local and regional business donors can enrich their business by investing in the cultural environment of the community. The support from staff, families of students and volunteers who help to make the program successful are ever present to assist in any fashion that will benefit the Santa Rosa Philharmonic Youth Symphony. There will always be needs that have to be met, the problem is the cost. Due to budget cuts nationwide, the students in the Santa Rosa and Sonoma County area who attend elementary and middle school have lost their music department, which leaves the student without the opportunity to appreciate, learn, and gather knowledge of music. Students must wait until they reach high school or college to participate in any music program; unless the student has been tutored privately, which is costly, the student will most likely lose interest in music. If the school has not any music program or offer after school activities for the student, that student will find other ways to occupy their time. Many students will succumb to negative influences such as gangs and drugs if there is a lack of positive activities for the student to participate in. The concern of community leaders and members was the lack of music programs would set students behind other students who attend schools that have an active music program. Since The Santa Rosa Philharmonic Youth Symphony any families cannot afford private music lessons for their children, a project was developed which educates students and supports music education, appreciation, and motivate students to fulfill their potential. Not all young musicians that audition are accepted. For those musicians that are not chosen for enrollment are still able to participate in other aspects of the program. Their involvement will keep the musician interested and open up new opportunities to learn different types of music while still practicing their own music skills. Planning and Developing If you were to ask any staff member of an organization how they feel about program planning, there would be many unhappy faces. Program planning is by far the hardest task of developing an effective program that will please the stakeholders. This process is known as being time-consuming, labor intensive and undesirable assignment with many hours of staff time involved. Some organization hire outside evaluators, while some organizations have in house evaluators. Program planning answers the questions of who’s, what’s, when’s why, where’s, and how’s of a program. The writing of a program plan must be clear and concise, define the mission, goals, and objectives of the program that will satisfy the stakeholders. Once the program plan is submitted, a funding source must be found, the needs and problems organized, and an evaluation plan is implemented to ensure that the program is doing what they set out to do and continue to meet the needs of the target population. Once the budget is established, most programs will address the issue of staff recruitment and the hiring and training of new staff members. It is in the best interest of the program to hire individuals that have experience and knowledge of what the program wants to accomplish. The Santa Rosa Philharmonic Youth Symphony When staff member have the knowledge of the program’s mission and are enthusiastic, the program will prosper. The target population is identified through surveys and input from the community and school officials. Student participation can be useful in evaluating the program, since the program already has community support. As with some businesses, they are only as good as their reputation. Word-of-mouth can be a valuable tool. Recruiting students who have not been exposed to classical music can be easily done through the program outreach efforts. These outreach efforts include complimentary tickets given to school music teachers and their students, bringing free concerts to the elderly and homebound members of the community, and performing concerts for the disadvantage youth of the community. The program is also partners with elementary schools in bringing music to the music experience to schools that have lost their music program. Staff members and students are also evaluated by progress reports and attendance records filled out by their instructors. The evaluation report of the program is available on a bi-annual basis and is reviewed by staff members, community leaders, and members of the Board of Directors. This evaluation is done to reassure that the program is continuing to meet their mission, goals, and objectives. Alternative Funding For any organization, funding will always be a problem. As mention previously, the Santa Rosa Philharmonic Youth Symphony concerts are made possible by grants, private and individual donors. Members of the community, families of students, local and regional The Santa Rosa Philharmonic Youth Symphony businesses and the general public are some of the donors that make the Santa Rosa Philharmonic Youth Symphony successful. Funding has become difficult, due to the budget cuts, the closing of many contributing business, and the closing of music program in the elementary and high schools in the area. The Santa Rosa Philharmonic Youth Symphony can apply for government and corporate grants, but it is important to consider alternate funding. Annual tuition only pays for a portion of what it takes to operate the youth symphonies. The annual event fund raiser, sales of candy at the concerts, and holding benefit concerts for the community might carry the symphony into the future, but applying for grants for non-traditional sources may be the most productive way to fund the Santa Rosa Philharmonic Youth Symphony. One obstacle that the youth symphony faces is students that cannot afford their own instruments. Approaching other musical organizations and manufactures of musical instruments for support in supplying needy students with instruments is an investment that can benefit both the program and the donors. Process and Developing The Santa Rosa Philharmonic Youth Symphony has been involved with classical music since 1994. Today, the students that attend the Santa Rosa Philharmonic Youth Symphony face the same challenges as their predecessors. Facing these challenges allows the student to grow and learn to conquer whatever obstacles they may face in their present and in their future. Some of the staff members have taking additional training to assist the students that are new to the Santa Rosa Philharmonic Youth Symphony program. On some occasions the program may require a bigger facility for their larger orchestras. Communication is important when developing a The Santa Rosa Philharmonic Youth Symphony program that will meet the needs of the students and the community. The biggest obstacles that the Santa Rosa Philharmonic Youth Symphony faces today is finding a committed funding source that will allow the Santa Rosa Philharmonic Youth Symphony to continue to provide for their existing and future programs. As with any organization, without proper funding the program will collapse under the financial strain. Summary The Santa Rosa Philharmonic Youth Symphony is dedicated to providing young musicians with orchestral training and performance opportunities of the highest caliber. The goal of the Santa Rosa Philharmonic Youth Symphony is for young musicians to develop an awareness and appreciation of classical music, while providing the community with enriching educational and cultural experiences. Most music programs, especially in poorer sections, have been cut because of lack of funding. The Santa Rosa Philharmonic Youth Symphony brings music to those who do not have access to music programs by giving free concerts and giving complimentary tickets to schools that have lost their music department. Music is an important aspect in a person’s life. Most people can tell you where they were when they hear a specific song. Music can transform a person’s mood. The Santa Rosa Philharmonic Youth Symphony program would benefit greatly if they utilize and keep an open mind to new ideas and teaching techniques. The Santa Rosa Philharmonic Youth Symphony References â€Å"Neilson Scholar for 1974†, Journal of School Health, 01/1975. www. santarosasymphony. com

Sunday, September 29, 2019

Multiple Regression Analysis

Multiple regression analysis was used to measure the relationship between the cost of equity capital and the independent and control variables. It was found that the cost of equity capital is relatively lower when the index of CSR disclosure is higher, reason being immense CSR implementation minimizes the general risk of a company. It was concluded that CSR disclosure in the company's annual reports reduces the cost of capital by reducing information asymmetry and subsequently reducing company's risk which benefits both the investors and speculators. According to Baimukhamedova and Luchaninova (2017) who examined the relationship between corporate disclosure and cost of equity capital on a sample of 37 largest and most liquid firms listed at Kazakhstan Stock Exchange for period 2008 to 2014, the study used multiple linear regression models. The findings indicated that firms with higher level of financial transparency are associated with significantly lower cost of equity capital. The results shown that firm on the Kazakhstan market reduce their cost of equity capital by increasing the level of their voluntary corporate disclosure. Moreover Stanwick (1998) studied the relationship between corporate disclosure and organizational size, financial performance and environmental performance. The objective of the study was to examine the relationship between social performance of the organization and the environmental performance of the organization. Data was collected from 1987 to 1992 and descriptive design was used. Corporate reputation index was constructed. The findings were that social performance was indeed impacted by the size of the firm, the financial performance of the firm and amount of pollution emissions released by the firms. 2.3.3 Corporate Social Responsibility Voluntary Disclosure and the Cost of Equity CapitalA study by Hossain and Hammami (2009) purported that financial results released are the foundation of an organization's budget and performances. The analysis involves comparing a firms performance with that of the others firms in the same industry and evaluating trends over time. Financial analysis involves the use of simple mathematical techniques, an understanding and appreciation of business strategy and future prospects through and examination of financial statements. Financial ratios play a key role in financial management. The extent to which a firm's uses debt financing is what is called financial leverage. Also Botosan and Plumlee (2002) investigated the relationship between cost of capital and annual reports disclosure, timely disclosure (quarterly or other published reports) and investors relations disclosures, they found a negative association for the annual report disclosure, their research showed that the cost of capital is positively related to timely reporting actions which could be attributed to the fact that timely disclosure increase the volatility of the share price by attracting transient investors who trade aggressively on short term earning , however they did not find association between cost of equity financing and investor relations disclosures. In evaluating the relationship between information asymmetry and financing methods (debt and equity financing) of firms listed on the Tehran Stock Exchange from year 2003 to 2010, Mahdi, Vahab and Hamin (2015), found that there no significant relationship between information and debt financing though information asymmetry is positively associated with debt financing, however there was a significant positive relationship between information asymmetry and equity financing. The study was done using secondary dataset of 61 firms were explored where debt and equity financing methods were adopted where data was extracted from financial statements of sample firms and was analyzed in excel and stata. The result of the study showed. In this study used stata and excel. Another study by Mangena, Jing and Tauringana (2016) investigated whether Intellectual capital and financial disclosure jointly affect the firms cost of capital for 125 UK firms listed on the London Stock Exchange (LSE) representing firms across industries from March 2004 to February 2015, data for measuring disclosure are drawn from annual reports. They used descriptive approach as their study methodology. The study found that IC disclosure is negatively related to the cost of equity, the relationship between financial disclosure and the cost of equity capital is magnified when combined with the IC disclosures. It was also observed that IC and financial disclosure interacts on the effects of the cost of equity capital, the analysis of this interactions demonstrates that the effect of financial disclosure on the cost of equity capital is augmented for firm characterized by medium level of IC disclosure. Used stataIn their study, Francis, Nanda and Olsson, (2002) investigated the relation among voluntary disclosure, earning quality and cost of capital. The study was done in Chicago, USA on 677 firms' annual reports and 10-K filings in the fiscal year 2001 using self constructed index of coded items. It was noted that firms with good earning quality have more expansive voluntary disclosure than firms with poor earning quality, on unconditional tests, it was found that more voluntary disclosure is associated with lost cost of capital, however on complementary association between disclosure and earning quality it was noted that the disclosure effect on the cost of capital is substantially reduced or disappear completely. Additionally, Cerf (1961) investigated the relationship between voluntary disclosure of information and the level of profitability, size of the firm and its shareholders in the US market. The methodology used was descriptive approach which focused on analyzing the association between voluntary disclosure of information and the level of profitability on annual reports of 25 different companies listed on the New York Stock Exchange, he found a positive relationship between voluntary disclosure of information and the level of profitability, size of the firm and its shareholders. 2.3.4 Board Size Information voluntary disclosure and Cost of Equity CapitalIn examining the effect of board independence and voluntary disclosure on the cost of equity capital, Setiany et al. (2007) showed that there is a significant relationship between voluntary disclosure and firm's cost of equity capital. The study employed regression analysis on secondary data from companies listed in indonesian Stock Exchange during the period of 2009 to 2012 on a sample of 104 companies in the manufacturing sector. The study concluded that there is no relationship between board independence and cost of equity capital, however the results. However Khemakhem and Naciri (2015) examined the association between board and audit characteristics and the cost of equity capital in Canadian market. The methodology used descriptive statistics on a sample of 139 firm year observation from proxy circulars, proxy statements and annual reports of Canadian companies that were part of S/P & TSX for the period 2004 to 2006. The study found that the size of audit committee and non-duality of the chairman of the board are positively related to the cost of equity capital, also the study revealed that the independence and board size do not affect the cost of capital for firms in the sample. Fauzi and Locke (2012) investigated the role of board structure and the effect of ownership structure on firm performance of New Zealand listed firms. The study employed balanced panel methodology on 79 New Zealand listed firms, it also employed Generalized Linear Model (GLM) to analysis data from annual reports of listed firms for the period of 2007 to 2011.the results of the study show that the board of directors, board committee and managerial ownership have a positive and significant impact on the firm performance. While Hasan et al. (2009) examined the impact of ownership structure and corporate governance on capital structure using a sample of 58 randomly selected non-financial listed companies from Karachi Stock Exchange for the period 2002 to 2005. Data was analyzed using multivariate regression analysis under fixed model approach. The results show that board size is significantly related to capital structure. However, non executive directors on board and CEO/Chair duality have no significant relationship with capital structure. Similarly, Jaradat (2015) investigate the effect of board size, board gender, outside director and CEO duality on the capital structure in Jordanian firms. Observation was done on 129 firms for the period 2009 to 2013. Multiple regression analysis was employed to test the association of secondary data collected from yearly annual reports. The results showed a positive association between board size, board diversity and outside directors and the capital structure, however for CEO duality and capital structure there was no significant relationship. 2.4 Conceptual framework This section will deal with operationalization of variables of the study, measures of voluntary disclosure and measure of the cost of equity capital. Independent variables Dependant Variables VariableIn this study the dependent variable is the cost of equity capital while the independent variables also referred as voluntary disclosure are the general corporate and strategic disclosure, forward-looking disclosure, social and board disclosure and financial disclosure (Barako, 2007) CHAPTER THREE RESEARCH METHODOLOGY 3.1 Introduction This chapter discusses the methods and procedures to employ to conduct the study. This chapter presents details of the research design, population, sampling and sampling procedures data collection methods, data analysis technique data and instruments for data analysis. 3.2 Research Design Research design is the framework the research intends to follow. It describes the nature and pattern the research intends to follow (Makerere University, 2011). Ogula (2005) describe a research design as a plan, structure and strategy of investigation to obtain answers to research questions and control variance. This study will adopt descriptive research design as it describe the characteristic and association voluntary disclosure and cost of equity capital of firms listed at NSE. Based on the secondary data to be obtained from annual reports and accounts of companies quoted in the NSE and company website. The choice of descriptive is motivated by the fact that it involves gathering data, observing and describing the behavior of the data without influencing it in any way (Bryman, 2001). This will be appropriate in the study since it will establish the effect of voluntary disclosure on the cost of equity capital. 3.3 Target Population Mugenda and Mugenda (2009) define a population as sum of all the items considered under a study. According to Ngechu (2004) a population is a well defined set of people, services, elements events or households that are being investigated. The target population for this study will consist of 64 firms listed in NSE (CMA, 2017), however consideration will only be on those which have been continuously trading since 2011 without being suspension or delisting 3.4 Sample Size and Sampling Procedure A sample is sub-group of the target population chosen by the researcher to represent other members of the target population (Amin, 2004). Sampling is the process, technique and procedure of choosing a sub-group from a population to participate in the study. Oso and Onen, 2009) stated that there are two main ways of selecting study sample from the target population, probability and non-probability sampling technique. The study will apply purposive sampling technique to select companies to be included in the study. Kothari (2004) stated that in purposive sampling technique an element is selected though subjectively defined method where the researcher personal judgments play an important role. An optimum sample is one which fulfils the requirements of efficiency, representativeness, reliability and flexibility. The study will comprise of a sample of 20 firms from NSE 20 share index selected based on a weighted market performance in the year 2017 (NSE, 2017). 3.5 Instrumentation and Data Collection Creswell (2008) argues prior to research, a researcher ought to develop a data collection instruments which is meant to measure, observe data under investigation. The study will use Disclosure Check Index (DCI) as the principal instrument for data collection of voluntary disclosure information. According to Mugenda and Mugenda (2009),

Saturday, September 28, 2019

Stem Cell Research Persuasive Speech

I. Introduction: A. Thesis: I'm here today to convince you that we should continue to use stem cell research treat human disease and abnormalities. B. Claims: 1. Claim 1: To begin, stem cells have the ability cure thousands of people. 2. Claim 2: I'll show you that the potential of stem cells are endless and committing to research can only prove so much more. 3. Claim 3: Finally, I'll also explain to you how the plasticity of stem cells can treat such a wide range of disease. II. Body: A. Claim 1:†¦ To begin, stem cells have the ability cure thousands of people. . Evidence 1: To begin, in a 2007 issue of the National Right to Life News, therapy has saved the lives of victims of myeloma and congestive heart failure. The treatment would have stem cells travel through their bloodstream into their bone marrow to establish a disease free immune system. 2. Evidence 2: In addition, stem cell therapy has revealed beneficial effects on the regeneration of impaired heart muscles according to Alex Martin's 2012 article Stem Cell- Therapy-Saving Lives one Heart at a Time.This therapy has the ability to reduce the chance of heart failure and can restore all the parts necessary to a damaged heart. B. Claim 2: Next, is that the potential of stem cells are endless and committing to research can only prove so much more. 1. Evidence 1: In fact,the website for the National Institutes of Health resource for research states that stem cells may replicate many times unlike muscle, blood, or nerve cells. This means they are capable for long-term self-renewal, meaning these cells can divide and renew themselves for very long periods of time. 2.Evidence 2: Also, in 2009, the Internet Journal of Bioengineering explained how stem cells can go from unspecialized to specialized cells that have the ability to differentiate into a wide variety of cells. These cells are proving to be the mainstay of rengerative medicine. C. Claim 3: My final point is explain to you how the plasticity of s tem cells can treat such a wide range of disease. 1. Evidence 1: First, in a 2012 issue of the Las Vegas Review Journal, scientists have started banks for umbilical cord blood stem cells which are a rich source of stem cells, being able to repair or even replace damaged cells in the human body. . Evidence 2: Additionally, Mark Anstead has written in a 2011 issue of Mail on Sunday about the ability of stem cells to treat a genetic blood condition known as sickle cell disease. Through blood transfusion, stem cells were transplanted into the patient's bone marrow and within days, his bloodstream was populated with healthy new red cells and no longer has to take his medication. . III. Conclusion: A. Thesis: Today, I've tried to convince you that we should continue to use stem cell research treat human disease and abnormalities.B. Claims: 1. Claim 1: First, I showed you that stem cells have the ability cure thousands of people. 2. Claim 2: Next, I told you how the potential of stem cells are endless and committing to research can only prove so much more. 3. Claim 3: Finally, I showed you how the plasticity of stem cells can treat such a wide range of disease. List of Sources Used Author: Townsend, Liz Title of article: â€Å"Survivors Speak Out: Adult Stem Cells Save Lives. † Title of publication: National Right to Life NewsTitle of database: Academic Search Premier Year: 2007 Author: Anstead, Mark Title of article: â€Å"Pioneering stem cell treatment saves the life of sickle cell victim. † Name of publication: Mail on Sunday Title of database: Academic Search Premier Year: 2011 Author: Madan, Natasha, Neeraj Madan, Pankaj Bajaj, Neelam Gupta, and Shweta Yadav Title of article: â€Å"Stem Cells – A Scope For Regenerative Medicine. † Name of publication: Internet Journal of Bioengineering Title of database: Academic Search Premier Year: 2009Author: Martin, Alex and Francesca Coxe Title of article: â€Å"Stem Cell Therapy – Saving Lives one Heart at a Time. † Title of website: MetroMD Year: 2012 Author: ARACONTENT Title of article: â€Å"Umbilical cord stem cells provide life-saving treatment for children. † Title of publication: Las Vegas Review-Journal Year: 2012 Author: no author Title of article: â€Å"What are the unique properties of all stem cells? â€Å" Title of website: Stem Cell Information: The National Institutes of Health resource for stem cell research Year: 2009

Friday, September 27, 2019

Antibacterial and biomedical applications of gold nanoparticles and Essay

Antibacterial and biomedical applications of gold nanoparticles and graphene composite - Essay Example Graphene has oxygen-containing groups embedded in its honeycomb-like six-atom carbon rings. Graphene oxide (GO) is used to in imaging and delivery of drugs (p.365). Georgakilas et al. says that the existences of carbon nano-structures in graphene enables it to form organic polimers which are very important in the formation of polimer composites which are important in biomedical application (p.4). also supports Yang et al. on the issue (n.d, p.1-59) T Yang et al. (2013), continue to say that the properties of graphene is also useful making of biological, pathogenic and pharmacological processes that make it necessary delivering therapeutic drugs since its used for the detection of specific proteins through the â€Å"sand witch † immunoassay which is useful in the binding of proteins and secondary antibody. This is why the graphene is used in the creation of cancer-detection biomarker. This occurs when the layers of graphene are used to increase the surface area for capturing large amounts of Ab1 and when it is further amplified; it achieves multi-enzyme-Ab2 which is functionalized carbon nanospheres (Yang et al. 2013, p.367). Graphene is also used in quenching the fluorescence of other fluorescent dyes which is used in fabricating fluorescence resonance energy transfer (FRET). FRET sensors are used for monitoring ssDNA (Yang et al. 2013, p.367). According to Polte et al. (2010), Gold can be used in various fields of medicine, biotechnology, and catalysis. This makes it one of the most important subjects in the study of nanoscale materials. Gold nanoparticles are prepared using various processing routes like chemical, sonochemical and photochemical paths. However it is mainly made through the precipitation of the GNP in aqueous solution from dissolved gold precursors like HAuCL4 using reducing agents like sodium citrate, ascorbic acid, sodium boron hydride or block copolymers which

Thursday, September 26, 2019

Policies towards Achieving Macroeconomic Stability Term Paper

Policies towards Achieving Macroeconomic Stability - Term Paper Example John Maynard Keynes set a good underpinning for government economic decision that has since then be improved by the post-Keynesian economists, through both support and critic of Keynes ideas. It’s on the basis of these foundations that the government sets policies aimed at attaining long run macro-economic policies. Keynesians approach towards stability In establishing a long term s macroeconomic stability, it deems necessary to first understand what causes instability in the economy. Both monetarist and Keynesian economist agree that the world at times suffers from macroeconomic instability as shown by great recessions and booms. However the two economic thoughts differ on the cause and thus advocate for different approaches towards stability. Keynes study was based on aggregate demand and argued that the changes in the components of demand altered the equilibrium (Beetsma 2004). To the Keynesian economists aggregate demand is identical to output levels that can be measured i n terms of the Gross Domestic product (GDP). The components of demand are, consumption, investment, export surplus and government expenditure modeled as (GDP =C + I+ X + G= AD). Keynesian economics agreed that these demand components always fluctuate and thus the GDP can never be stable. This formed the main critic of self-adjusting mechanism as brought about the classical economists, with Keynesian economists arguing that investment was influenced by marginal efficiency of capital in addition to interest rates. Thus some savings are not invested as some individuals hoard cash balances if they speculate a rise in capital returns. Another cause of instability as observed by the Keynesian economists are fluctuations of the supply side, where output levels can be altered by artificial supply restrictions, wars, changes in cost of production all which reduce the output levels. All the alterations of the equilibrium call for correction measures, with which Keynesian economist suggest the opposite adjustment of either the government expenditure or consumption component. They thus advocate for discretionary fiscal policy where government expenditure is adjusted or alteration of taxes to reduce or increase overall consumption levels. The Keynesian economists argue that money velocity is unstable and unpredictable in nature and thus disregard monetary policies effectiveness in adjusting in equalizing aggregate demand changes. Moreover, due to frequently changing components of demand; Keynesian economists contempt annual budget adjustments and advocate for discretionary fiscal policies that instantly combat recessions and inflation despite causing surplus or deficit budget. In times of economic recession, when supply is more than demand hence causing reduction in commodity prices, demand has to be created. This is achieved by either reducing taxes or increasing government expenditure. Taxes are seen to reduce disposable income, readily available for consumption. A reduc tion in taxes increases disposable income and hence increases aggregate consumption. Government consumption on the other hand creates demand for the excess supply. In times of inflation the opposite is applied, that is increased taxes to reduce disposa

Summary Essay Example | Topics and Well Written Essays - 500 words - 160

Summary - Essay Example Looking in her eyes you couldn’t actually tell that she was a criminal as she wore an innocent, attentive face with soft eye and an intelligent mouth. When she is arraigned in court for stealing a car, she looks at the camera with curious laughter and no remorse or guilt (Zhang, 206). They were brought up in time of war and lost their fathers, husbands and boyfriends in cold blood. They then experience cold peace at the end of it all where they are involved in criminal and immoral acts such as black markets, narcotics, sexual promiscuity and hucksterism. The beat generation is compared to the other post war generation which dubbed itself the ‘lost’ generation. They laugh hysterically because nothing else meant anything to them, they seem to be lost in their own world. They migrated to Europe in the face of war, unsure of whether they were looking for the ‘orgiastic future’ or escaping from the ‘puritanical’ past. They were eventually caught in the face of romance and disillusionment until they became an illusion. This generation lacks the eloquent air of bereavement which was a characteristic of the lost generation’s symbolic actions. The repeated inventory of of shattered ideals and the continued laments about the moral currents which obsessed people of the lost generation do not concern young people today. They were brought up In the ruins and no longer notice them and they drink to come down or to get high. Only the most bitter among them would call their reality a night mare and prot est that they have indeed lost the future. The absence of personal and social values to them is not a revelation of shaking the ground beneath them but a problem demanding day to day solutions. The aspect of how to live seems to them more crucial than why they live. The eager faced girl picked up in the face of doping describes the sense of community she has found in marijuana which she does not get in the society. The

Wednesday, September 25, 2019

The Impact of ASEAN Free Trade Agreement on Malaysian Automotive Dissertation

The Impact of ASEAN Free Trade Agreement on Malaysian Automotive Industry - Dissertation Example verview of Research Methods 3 1.6 Research Significance 4 1.7 Dissertation 4 1.8 Summary 5 Chapter 2: Literature Review 6 2.1 Introduction 6 2.2 Overview of Malaysian Automotive Industry 6 2.3 ASEAN Free Trade Area 9 2.4 Malaysian Governments’ Reaction to AFTA 10 2.5 Impact of AFTA on Industry 13 Chapter 3: Research Methodology 18 3.1 Introduction 18 3.2 Research Approach 18 3.3 Research Methods 19 3.4 Research Design 20 3.4.1 Sample 20 3.4.2 Data Collection Method 21 3.4.3 Data Collection Instrument 22 3.4.4 Data Analysis 22 3.5 Ethical Considerations 23 3.6 Summary 23 Chapter 4: Findings and Results 24 4.1 Introduction 24 4.2 Section A: Findings from the Customer Interviews 24 4.2.1 Customers’ Perception of Impact of AFTA 24 4.2.2 Customers’ Perception of the fate of PROTON and PERDUA with AFTA 25 4.2.3 Perception of Governments’ Policies 27 4.2.4 Customers’ Preference: Imported vs. Indigenous 27 4.2.5 Customers’ Perception of Problems as a direct result of AFTA 28 4.2.6 Customers’ Perception of Advantages of AFTA 29 4.2.7 Customers’ Perception of the Problems Related to Increase in Traffic Post AFTA.29 4.2.8 Customers’ Perception of Public Transport 30 4.2.9 Customers’ Perception of Selling Indigenous Cars to buy Imported Cars 30 4.2.10 Customers’ Perception of Need to Support Local Manufacturers 30 4.2.11 Customers’ Opinion of Changes that PROTON and PERODUA should undergo to meet the challenges of AFTA 31 4.3 Section B: Financial Analysis of PROTON and PERODUA 31 4.3.1 Ratio Analysis - PROTON HOLDINGS BHD 31 4.3.2 Ratio Analysis - DAIHATSU 35 Chapter 5: Discussion and Analysis 39 5.1 Introduction 39 5.2 Malaysian Government’s Approach to Combat impacts of AFTA 39 5.3 Perception of Malaysian consumers on Policies of Malaysian Government 43...The industry has shown a 20% growth in output in 2010 and appears to be heading towards an era of continuous growth in the futur e (Dinne et al, 2010). While Malaysia started as a country where International brands of cars were initially assembled, the progressive policies of the government have now made the country a manufacturer of world class vehicles. Perusahaan AutomobilNasional (PROTON) and Perusahaan OtomobilKeduaSdn. Bhd (PERODUA) now produce automobiles that dominate the Malaysian market. This has been made possible by enacting a series of protectionist policies like the requirement of local content, local labour, local partnership on the foreign companies that wanted to open their assembly plants in Malaysia. In addition, the government has proactively invested time and resources in boosting the two national automotive organizations - PROTON and PERODUA. As a result of the governmental policies, PROTON and PERODUA sell 90% of all domestic requirements while the two companies also export a large number of units worldwide (Business-in-Asia.com (n.d). However, with the implementation of Asian Free Trad e Area (AFTA) in the year 2005, the Malaysian automotive industry faced new challenges from neighbouring countries like Thailand and China, in terms of the quality and pricing and availability of imported cars in the market (Gabilaia, 2001).

Tuesday, September 24, 2019

My Ethical Theory Essay Example | Topics and Well Written Essays - 750 words - 1

My Ethical Theory - Essay Example Consequentialist ethics â€Å"holds that the moral rightness of acts, which holds that whether an act is morally right, depends only on the consequences of that act or of something related to that act, such as the motive behind the act or a general rule requiring acts of the same kind† (Standford Encyclopedia of Philosophy 2011 a). This is not utilitarianism which â€Å"generally held to be the view that the morally right action is the action that produces the most good† (Stanford Encyclopedia of Philosophy b 2011). It is not also virtue ethics because it does not mean to do just for the sake of being good. Considering the potency of the drug curing many social ills and making people happy, it would be dangerous to keep It secret. One way or another It will leak out and when it does, It will be blown out of proportion. Worst, if It falls into the wrong hands, it would be misused and will only be used for profit and personal gain. The only benefit of keeping the drug secret is that the one who manufactures it will not have to answer a lot of questions. Keeping the drug open will invite a lot of curious questions. It can be tiring but when these inquiries are handled properly, they can actually illuminate and foster understanding and appreciation of the drugs. The negative consequence of bringing the drug into the open is that there may be businesspeople that would become interested in the drug and would use inappropriate means to have it. The ethical principle in my system that would be applicable in judging whether I should use the drug or not is the determination of whether the use of it will do me good or not. The drug has already been scientifically proven that its users felt happy, never violent, never depressed, always in a good mood, quick to laughter and, in general, of  a positive outlook.  

Monday, September 23, 2019

Political science Essay Example | Topics and Well Written Essays - 1500 words - 2

Political science - Essay Example In fact, national democracy is one of the key sources of such transactional cost, since it provides sovereign risk and regulates rules at the border. In addition, national democracy reduces chances of global risks by providing regulations and supervision of financial intermediaries (Rodrik, 212). Therefore, it is important that global federalism be adopted where democratic politics is aligned with global markets. Consequently, it is important that the national state is maintained and the needs of international economy are also catered for. As a result of this, the nation will in most cases pursue the objective of achieving global economic integration before considering other objectives. The national democracy can also be used in order to reduce the goals and visions of the international economic integration and going for limited globalization as was witnessed in post war in Bretton Woods’s regime where there was more capital control and minimal trade liberalization (Rodrik, 102). Although, this system led to failure of the approach given, it is thus important that for more globalization to be achieved, national democracy or national sovereignty must be reduced. Furthermore, this clearly illustrates that national democracy is one of the factors that determine the state and pace of globalization in a country. The potential effect of globalization is the reduction of national democracy, which also reduces global fiscal competition. In that sense, it is important that democracy be provided in a way that promotes civil rights, although this will lead to low economic growth but cause high social stability. In addition, this can help in expanding global civil rights (Rodrik, 110). This also clearly indicates that economics is an important political decision-making processes that requires global order. Furthermore, although globalization is one of the factors for economic growth in both rich and poor countries, it is currently producing a different result

Sunday, September 22, 2019

Innocence and Experience Essay Example for Free

Innocence and Experience Essay In Encarta Dictionary the meanings of the word ‘innocence’ are absence of being guilty of crime or offence, freedom from sin, lack of worldly experience The meanings of ‘experience’ are knowledge and skills and the sum total of things that have happened to a person and of his or her past thoughts and feelings. This essay states that innocence and experience are two states of human being. At some point of time, the child in us makes the journey from innocence to experience. We lose innocence by gaining experience through knowledge and real life incidents. The experience we gain is inevitable, whether good or bad. This is explained through two literary works: Thomas Hardy’s novel ‘Tess of the d’Urbervilles’ and Blake’s two poems,’ The Lamb’ and ‘The Tyger’. In ‘Tess of d’Urbervilles’, the innocent girl Tess gains experience by losing her virginity. By killing Alec D’Urbervilles, her seducer, she loses her innocence completely and gains the experience of a criminal. She pays the price of experience by her death. Hardy’s inclusion of elements of ‘coincident’ and ‘fate’ and ‘destiny’ shows the inevitability of such experiences and the resulting tragedy in the novel. Blake in his poem ‘The Lamb’ the meek and mild lamb is the symbol of innocence and Tyger in his poem’ The Tyger’ is the symbol of experience. Through these poems Blake wants to convey that innocence and experience are â€Å"two contrary states of human soul† with respect to creation. In ‘Tess of the d’Urbervilles’, Tess is an innocent country girl who is unaware of the evils of society. Her parents as well do not advise her about the danger in men-folks so she is easily seduced by Alec. Hardy writes: â€Å"Why it is that upon this beautiful feminine tissue, sensitive as a gossamer and practically blank as a snow as yet, there should have been traced such a coarse pattern as it was doomed to receive†. Again, after her loss of virginity, she gains experience and matures as a woman, her beauty is enhanced. Angel notice her and they fall in love with each other. She enjoys happiness and bliss for the time being. His love for Tess is abstract, as he calls her â€Å"Daughter of Nature† or â€Å"Demeter. † Tess is more an archetype or ideal to him than a flesh and blood woman with a complicated life. Therefore he cannot accept that Tess is not chaste, as a result he abandon hers. He realizes his mistake too late. She takes the aid of Alec after misfortune befell her family. She loses her innocence completely when she commits the crime of murdering Alec and as a result she is hanged. Hardy’s writing style of using elaborate descriptions, long sentences, elements of coincidence, fate and destiny shows Tess’ inevitable journey from innocence to experience and the resultant doom. In Blake’s poem ‘The Lamb’, Lamb symbolizes Jesus and the child is also associated with Jesus. So the lamb and child in Jesus symbolizes innocence. In The Lamb the style of repetition in the first and last couplet of each stanza helps to give the poem its song-like quality. The flowing ls and soft vowel sounds add to this effect, and also imply the bleating of a lamb or the lisping character of a childs song. In Blake’s poem ‘The Tyger’, Tyger is the symbol of experience. It is strikingly beautiful at the same time undeniable because of the underlying evil and violence. To describe the Tyger, Blake uses the imagery of ‘fire’, which is destructive at the same time illuminating. The ‘Tyger’ presents evil in society, something that cannot be denied. The style of regular and rhythmic meter of the quatrains; its hammering beat suggests the work of the creator, which is the poems central image. Blake believed that a person has to pass through a state of innocence, the Lamb as well as understand the contrasting conditions of experience, Tyger, to reach a higher level of consciousness. Blake’s vision of a creative force in the universe which makes a balance of innocence and experience is at the heart of the poem. The two literary works Hardy’s ‘Tess of d’Urbervilles’ and Blake’ ‘The Lamb’ and ‘The Tyger’ show that Innocence and Experience, both exist in human life and society and experience is an essential part of human existence whether good or bad. Work Citation: â€Å"The Tyger†. 8 October 2007. http://www. cs. rice. edu/~ssiyer/minstrels/poems/66. html â€Å"’Songs of Innocence and Experience’: ‘The Tyger’ by Blake†. 8 October 2007. http://www. sparknotes. com/poetry/blake/section6. rhtml â€Å"’Songs of Innocence and Experience’: ‘The lamb’ by Blake†. 8 October 2007. http://www. sparknotes. com/poetry/blake/section1. html

Saturday, September 21, 2019

Strategic decisions of human resource management

Strategic decisions of human resource management Introduction The intention of this report is to analyse and evaluate communication systems which impact upon strategic decisions with reference to modern-day views of human resource management within a medium sized contracting firm. Taking a look at relevant theorists views and whether they would fit in to the medium sized contracting firm model The following areas are to be analysed and considered Types of communication systems: How these impact on strategic decisions Strategic resource management overview Theorists relevant to Human resource management (HRM) How these impact on a medium contracting firm Reference is to be made specifically to theorists models (e.g., Guests 1997 model and Legge 1995) how they compare and weather they fit into the modern HR model Communication methods See Appendix 1. Within the modern working environment the problem for management and employees alike is how to select the most effective method of communicating with other individuals and groups many factors can help to determine this selection: Formal or informal content of message; Speed and delivery and response; Individual or small group or large group as receiver; Cost of communications; Availability of information and communication technology Communication systems There are many communication systems which are relied on within the modern working environment but are we sure that we mean the telephone, meetings, computer or even written these themselves have become mobile with the introduction of the mobile phone and lap top linked to a wifi network constantly giving access to internet and emails. These are the tools for communication. Communication can be broadly classified as verbal communication and non-verbal communication. Verbal communication includes written and oral communication Non-verbal communication includes body language, facial expressions and visuals diagrams Verbal Communication Verbal communication can be further divided into written and oral communication. The oral communication refers to the spoken words. Oral communication can either be face-to-face communication or a conversation over the phone. The other type of verbal communication is written communication. Written communication can be by email or written. The effectiveness of written communication depends on the style of writing, vocabulary used, grammar, clarity and precision of language Nonverbal Communication Non-verbal communication includes overall body language of the person who is speaking, which includes body posture, hand gestures, and overall body movements. The facial expressions also play a major part since facial expressions say a lot. Non verbal communication can also be in the form of pictorial representations, signboards, or even photographs, sketches and paintings Communication is a process that involves exchange of information, thoughts, ideas and emotions. Its important that the delivery of communication is received and under stood by all subordinates; this will then allow communications to play an active role within strategic decisions. Would this be relevant within a medium sized contracting firm? Most would find it difficult to operate without effective communication. Communication can take various forms as described above but all forms involve the transfer of information from one party to the other. In order for the transfer of information to qualify as communication, the recipient must understand the information conveyed to them. If the recipient does not understand the meaning of the information conveyed to them, communication has not taken place. Communication is the life source of all organisations because organisations involve people. People cannot interact with each other without communication. Internal/Organisational Communication Communication that takes place within an organisation, in addition to the usual face to face, telephone, fax or mail; modern organisations will more often than not use technology to communicate internally. Technology may be used for e-mails or a linked internal communication system such as the intranet which is an internet system designed solely for use by those working within the organisation. External communications conversely external communication is communication between the organisation and those outside the organisation. Modern organisations may design technological systems so that they can communicate with customers and undertake e-Commerce. Alternatively they communicate with other businesses through the internet or similar systems and undertake e-Business. Upward and Downward communication Downward communication is communication created by directors and managers and passed down the hierarchy of workers in the organisation. In traditional organisations this is the preferred method of communication i.e. Managers decide what the systems, rules and procedures will be and then they pass these down to employees they manage and supervise. Downward Communication can increase efficiency by synchronising organisational procedures and can ensure that everybody is working towards the same overall aims and objectives. Types of downward communication include job descriptions, appraisals/evaluations, organisational policy, and organisational systems Effective communication is the foundation for effectiveness (McNamara) experts on organisations; management and leadership avow there cant be too much communication. Leaders and managers have realised that there is a need to effectively convey and receive information, To reiterate (McNamara Carter) subordinates need to be given proper communication from managers, as this is believed to lead to an increase in absenteeism amongst workers thus effecting productivity, there should be two-way communication in an organisation. Its enviable that the Manager should have personal contact with his subordinates. He should clearly communicate goals and policies of the organization to his subordinates and should get feedback on these goals and policies. Feedback plays a very important role in the communication process. It enables us to evaluate the effectiveness of our message. Giving the subordinates chance to provide feedback is important for maintaining an open communication within the organisation. The manager must create an environment that encourages feedback Performance appraisal Performance appraisals the process of obtaining, analysing and recording information about the relative worth of an employee. The focus of the performance appraisal is measuring and improvingthe actual performance of the employee and also the future potential of the employee. Its aim is to measure what an employee does andencourage employee communications about job-related and professional matters. (Harris, F 2006)Forms of communication include coaching, counselling, training and feedback on job performance. Strategic Human resource management What is strategic human resource management? Strategic human resource management (SHRM) could be defined as a process which is constantly evolving within many organisations, and should be constantly reviewed to suite employees and employers needs. Its definition and relationships with other aspects of business planning and strategy is not conclusive and opinion varies between many different theorists Theorists views Strategic HRM is the key to improved business performance within which there is comprehensive coverage of the various definitions and approaches to HRM, strategy and strategic HRM Armstrong, M and Baron, A. (2002) Is this statement a true reflection on what is believed to be the contemporary views of human resource management? Strategic HRM is regarded as a general approach to the strategic management of human resources in harmony with the intentions of the organisation on the future direction it wants to take. Strategic HRM is concerned with longer-term people issues and macro-concerns about structure, quality, culture, values, commitment and matching resources to future need. Boxall and Purcell argue that strategic HRM is concerned with explaining how HRM influences organisational performance. They also point out that strategy is not the same as strategic plans. Strategic planning is the formal process that takes place, usually in larger organisations, defining how things will be done, Purcell, J. (2003) To simplify these statements Strategic HRM is based on HRM principles incorporating the concept of strategy. So if HRM is a rational approach to the management of people, strategic HRM now implies that that is done in a planned way. Individuals, who are highly skilled, highly motivated and have the opportunity to participate within the organization by being given tasks to undertake. However, this will only feed through into higher levels of organisational performance if these individuals have positive management relationships with their superiors in a supportive environment with strong values. All these factors will support the willingness of individuals to perform above the minimum. It also could be said that the case is made for building the worker into the analysis of HRM, on the one hand, by incorporating worker attitudes and behaviour in the study of the HRM-performance relationship, and on the other, by paying serious attention to the association between HRM and worker-related outcomes. Evidence is presented to suggest that worker attitudes and behaviour mediate the HRM-performance relationship and that certain HR practices are associated with higher work and life satisfaction. (Guest, D 1997) Models on Strategic human resource management Human resource policies and practices have been linked with strategic objectives of many organisations. A number of British academics have made major contributions to the concept of HRM and their work is summarized below. Guest, D (1991) has taken the Harvard model and developed it further by defining four policy goals which he believes can be used as testable propositions: 1. Strategic integration: the ability of the organisation to integrate HRM issues into its strategic plans, ensure that the various aspects of HRM cohere and provide for line managers to incorporate an HRM perspective into their decision-making. 2. High commitment: A behavioural commitment to pursue agreed goals and attitudinal commitment reflected in a strong identification with the enterprise. Guest (1989) believes that the driving force behind HRM is the pursuit of competitive advantage in the market-place through provision of high-quality goods and services, through competitive pricing linked to high productivity and through the capacity swiftly to innovate and manage change in response to changes in the market-place or to breakthroughs in research and development. Legge, K (1989) considers that the common themes of typical definitions of HRM are that: Human resource policies should be integrated with strategic business planning and used to reinforce an appropriate (or change an inappropriate) organizational culture, that human resources are valuable and a source of competitive advantage, that they may be tapped most effectively by mutually consistent policies that promote commitment and which, as a consequence, foster a willingness in employees to act flexibly in the interests of the ‘adaptive organisations pursuit of excellence Summary Overall a medium sized contracting firm needs strategic systems in place especially taking into account the current economic climate, situations may arise where downsizing of the company and redundancies that may be prevalent due to the expected down turn in work load. At times of high unemployment, workers are thought to be concerned about losing their jobs and hence more conscientious and tolerant of strict management they become, its important to maintain communication in this situation. As states its important in difficult times for employees to become more flexible and foster willingness (Legge, K 1995) Other areas where lack of communication creates animosity between clients and contracting firm its proven that advising client of their needs and subsequently bring the projects successfully to implementation will help secure a good working relationship. Added values such as back up service of experienced staff and well qualified staff in all the requested areas of the construction programme this fits in with Guests model of giving high-quality goods and services, through competitive pricing linked to high productivity. (Guest, D 1997) If a business has highly motivated team then success will follow, this has to be lead from the top down and strategic integration from HR is paramount in the delivery of success as described in guests theory K, Legge at first contradicts Guests theory with whats known as a hard model theory by stating that employees are a resource just as any other business resource. Thus, human resource should match business needs and help achieve objectives. Management may monitor their performances for recognition and rewards. Furthermore, organizations will always try to acquire them as cheaply as possible, and exploit them to maximise profits. This model may sound less humanistic but the objective of achieving humanism should not compromise the objectives of organisations (Legge 1995). Theorists then began to look at other types of models and agreed that a softer approach was more fitting in certain current climates Harvard Business School developed soft or developmental humanism model, also tak es into consideration integration critical for the development of business strategies. At the same time, it also emphasises on treating people as valued assets. They should be treated as human capital, which is fundamentally different from other business resources. The soft model encourages developing employees so that they become proactive in organizational development and progress (Legge 1995). Many authors question the underlying practical applications of HRM models. Similar concerns are raised about SHRM. Its managerial focus, strategic perspectives and ‘realities‘ of HR practice have been questioned by several writers (Legge 1995; Guest 1997). SHRM is certainly concerned primarily with contributing to the ‘bottom line success of an organisation, which may sometimes involve a unitarist approach to the management of employees. SHRM may also infer a ‘hard HRM focus, which does not sit comfortably with some authors. However, as Legge (1995) points out, †˜If HRM, in either its ‘hard or ‘soft guises, involves the reassertion of managerial prerogative over the labour process, the strategies of flexibility reflect and constitute a path to this, employees as both resourceful humans and human resources Conclusion The above essay has analysed and evaluated various literature of human resource management, strategy and the links between these elements. While there is considerable discussion in relation to organisations using HRM strategically with a view to enhancing their organisation performance the actual implementation seems variable. The review of the literature also suggests there is a multi layer framework in which human resource management is located. (Guest, D. 2002) The relationship between organisations and workers is increasingly secured through different forms of involvement, ranging from an alienative to a moral involvement and from compliance to commitment as the basis for the ongoing attachment. Relationship and the interaction between the worker and employer have focused attention on outcomes. These outcomes can be perceived in terms of whether they are processes, procedures or practices, but at another they can be seen to be a mechanism for securing the objectives (Manning K 2005) Bibliography Books Bratton, J Gold, J (2003), Human resource management theory Practice 3rd edition, New York. Chaffee, E (1985) ‘Three models of strategy Academy of Management Review, London. Foot, M Hook, C. (2005), Introducing Human resource management 4th edition, London Harris, F McCaffer. (2006), Modern Construction Management sixth Edition, Blackwell Publishing, Oxford Price, A (2003), Human resource management in a business context 3rd edition, London Purcell, J. (2003), Strategy and human resource management, London. Mintzberg, H. (1994), The Rise and Fall of Strategic Planning, Prentice-Hall. Mintzberg, H., Ahlstrand, B. and Lampel, J. (1998), Strategy Safari: A guided tour through the wilds of strategic management, The Free Press. Whittington, R. (2000), What is Strategy And Does It Matter? 2nd edition Thomson Learning. Manning, Dr. K (2005), Strategic Human Resource Management and Performance. Internet McNamara, C 1997 (http://managementmrktng/org) accessed 10th Dec 09 http://papers.ssrn.com/sol3/papers.cfm?abstract_id=347150 accessed 5th Jan 10 http://www.business.vu.edu.au/Mgt/working_papers/2005/wp6_2005_worland_manning. Accessed 5th Jan 2010 Journal articles Guest, D. E. 1997, ‘Human Resource Management and Performance: A Review and Research Agenda, International Journal of Human Resource Management, vol. 8, no. 3, pp. 263-276. Guest, D. 2002, ‘Human Resource Management, Corporate Performance and Employee-Well-Being: Building the Worker into HRM, the Journal of Industrial Relations, vol. 44, no. 3. pp. 335-358. Guest, D. E., Conway, N. Dewe, P. 2004, ‘Using Sequential Tree Analysis to Search for ‘Bundles of HR Practices, Human Resource Management Journal, vol. 14, no. 1, pp. 79-96. Guest, D. E. Michie, J. Conway, N. Sheehan, M. 2003, ‘Human Resource Management and Corporate Performance in the UK, British Journal of Industrial Relations, vol.41, no. 2, pp. 291-314. Reilly, P. (2008) Strategic HR? Ask yourself the questions.HR Director. No 44, February. Richards, J. (2007) Aligning HR with the business: two steps forward, one step back. IRS Employment Review. No 866 March.

Friday, September 20, 2019

French Essays Egalitarian Political Regimes

French Essays Egalitarian Political Regimes Explain and Discuss the Fragility of Egalitarian Political Regimes, as Represented in BOTH the Lettres Persanes AND the Contrat Social. Though The Spirit of Laws is probably the best-known work of Charles de Secondat, Baron de Montesquieu, his Lettres Persanes (Persian Letters) is another famous work in which he explores, with perhaps more depth, the notion of equality and egalitarian political rule. A generation later, John Jacques Rousseau would appear on the political landscape and present his own ideas on the same topic. Chief to be explored among his writings will be the Contrat Social (Social Contract) in which Rousseau lays out with some detail a discussion of the nature of egalitarian political regimes and explores various strengths and weaknesses of them. Montesquieu and the Fragility of Egalitarianism In the beginning of the 89th letter, Montesquieu claims that â€Å"A Paris rà ¨gnent la libertà © et l’à ©galità ©.† Birthrights, social ranks, and even military victories did not set men apart (in terms of class distinctions) in Paris during his writing. This was a thing to be praised by Montesquieu. He saw too much in the world that lent itself away from egalitarianism, at least insofar as the right of persons to be equal is concerned. It will be beneficial here to take a moment to set up Montesquieu’s views on the republic to better lay a foundation for his comments on equality. In Book 11 of the Spirit of the Laws, Montesquieu explores the (then) unique situation in England of a monarchy controlled, to an extent, by a constitution, and it that portion of the Spirit of the Laws Montesquieu is chiefly impressed by and concerned with the Englishman’s â€Å"liberty.† As regards the very nature of a republic, Montesquieu argues in the Spirit of t he Laws that there are three basic types of governmental systems. The despot rules by inculcating fear in the people. The monarch does better and rules by a sense of honor and by â€Å"fixed established laws.† Both of these types of governing are fairly stable. One does not need to necessarily think of them as intrinsically fragile in the sense in which, say, the last political option (i.e., the republic) may be thought to be fragile. The despot, so long as he maintains fear amongst the peoples, has nothing to fear himself. Apparently for Montesquieu, it is the monarchy which is the first and primary type of government. He writes in Letter 131 of the Lettres Persanes, â€Å"Les premiers gouvernements du monde furent monarchiques.† Coming on the heels of this original type of government would be both the despotic rule and the republic, the latter of which comes by â€Å"chance,† he indicates. Apparently, despotism amounts to little more than a degeneration of an original monarchy. But, the republic is a genuine advancement of the Greeks. However, this advancement brings with it an intrinsic tendency toward reversion to that which preceded it, either monarchy or despotism, and this fact may be due to the complexity of the republic in both its nature and principles. For Montesquieu, one of the things that may typify the fragile nature of the republic is that it â€Å"cannot survive without what Montesquieu calls political virtue.† It is this requirement that the citizens must embody this political virtue (without which the republic could not endure) that lends to the fragile nature of republics. If the people cease persisting in this virtue, the republic could not endure, for the republic exists and continues only so long as the habits and eventual character of political virtue are exemplified in the people. In the republic, there is no one-to-one correspondence with what exists in despotism or a monarchy: a strong central authority. Therefore, the people must, by loving egalitarianism and the laws, arrange a situation for themselves wherein the needs of the good are served, even if at the expense of the needs of the many. This is exactly what Greece did, he argues, and it is incumbent upon any subsequent attempts at a republic to do the same. â€Å"L’amour de la libertà ©, la haine des rois, conserva longtemps la Grà ¨ce dans l’indà ©pendance, et à ©tendit au loin le gouvernement rà ©publicain.† Rousseau and the Fragility of Egalitarianism One could hardly resist beginning the discussion on Rousseau with his famous opening to chapter one of the Contrat Social. â€Å"Lhomme est nà © libre, et partout il est dans les fers.† How this particular situation came to be, Rousseau does not attempt to answer. Rather, he focuses his attention on how it is that man can get back to his original (or perhaps â€Å"primal†) state of freedom. If man in a state of servitude obeys his masters, he does well. However, if he can break free from that state, he does better still because to be free is man’s natural and original state, seen most evidently within the rites of passage intrinsic to family life. Although it could not be rightly said that Rousseau takes no points of departure from the thought of Montesquieu, there are nevertheless significant points of agreement between them on the idea of the republic. Rousseah offers as his main contribution to the discussion over the republic that a return to the ancient (i.e., Greek) polis is the most advisable course of action. Yet, an intrinsic tension to this suggestion is that Rousseau simultaneously advocates the idea of the â€Å"natural law† quite strongly. According to Helena Rosenblatt, for Rousseau the natural law is a very self-interested concept, which is at least prima facie at odds with the republican ideal of each person being grounded in virtue and community as that which adheres the republic together and maintains it. The more refined concept of the â€Å"general will† complicates the matter further and makes egalitarianism a la republicanism an even more fragile thing. Rousseau’s â€Å"General Will† In his writings prior to the Social Contract, Rousseau had explicitly indicated that he denied that man was naturally and easily a sociable creature. No, man’s first inclinations are not toward the public good, but in the direction of particular self-interests and this is evident by the historical facts that â€Å"les longs dà ©bats, les dissensions, le tumulte, annoncent lascendant des intà ©rà ªts particuliers et le dà ©clin de lEtat.† So, what takes place amidst the social contract is the necessity of all citizens when laying down public policy to not act in merely self-interested ways. The good of the many, the common good, was to be the overriding concern of all citizens in this regard, and this is the â€Å"general will† of Roussea, which he explores and elaborates in great throughout the Social Contract. But, what makes this concept of the â€Å"general will† even more tense and lending to the creation of a fragile situation for egalitarianism i s the paradoxical idea related to literally enforcing that citizens act in accord with the general will. The general will is not merely reducible to the â€Å"will of all people combined.† No, it is the â€Å"right† will which ever seeks the good of the whole State and never acts in a merely self-interested way. It is basically the will of God then, which must ever be right and, since God is omnibenevolent and always has the interests of everyone in mind, this is in line with the general will as Rousseau explicates it here. He writes, â€Å"Afin donc que le pacte social ne soit pas un vain formulaire, il renferme tacitement cet engagement qui seul peut donner de la force aux autres, que quiconque refusera dobà ©ir à   la volontà © gà ©nà ©rale y sera contraint par tout le corps: ce qui ne signifie autre chose sinon quon le forcera dà ªtre libre.† This is the key to the whole enterprise. It prevents the social contract from becoming, as he says, â€Å"un vain formulaire† (an empty formula). But, of course, although such an aspect of the overall contract is certainly sensible, how it is appropriated lends itself to fragility. The line is not always so clear when one is acting merely in his own self-interest and when he is acting in respect to the common good (or both simultaneously, which would apparently not violate the general will). It is not necessarily contradictory in its premise, but it is certainly paradoxical, as Rousseau surely felt. Conclusion Both Montesquieu and Rousseau in their respective days were vastly aware with the attending problems associated with the reintroduction of the ancient ideas of the republic and egalitarianism. However, they each firmly believed that whatever problems may accompany the advent of such in Modernity, it would certainly be worth it. For both of them, as most Westerners today would greatly sympathize, any form of egalitarianism via a republic, whatever fragility may accompany it, would be greatly preferable to either a monarchy or (especially) a despotic State. Works Consulted Krause, Sharon. The Politics of Distinction and Disobedience: Honor and the Defense of Liberty in Montesquieu, Polity 31, 3 (1999): 469-99. Grant, Ruth Weissbourd. Hypocrisy and Integrity : Machiavelli, Rousseau, and the Ethics of Politics. Chicago: University of Chicago Press, 1999. Morris, Christopher W. The Social Contract Theorists : Critical Essays On Hobbes, Locke, and Rousseau. Lanham, Md.: Rowman Littlefield, 1999. Riesenberg, Peter N. Citizenship in the Western Tradition : Plato to Rousseau. Chapel Hill, NC: University of North Carolina Press, 1992. Rosenblatt, Helena. Rousseau and Geneva : From the First Discourse to the Social Contract, 1749-1762. Cambridge ; New York: Cambridge University Press, 1997. Shklar, Judith. The Spirit of the Laws: necessity and freedom. In Montesquieu, pp. 93-110. Oxford: Oxford University Press, 1987.

Thursday, September 19, 2019

Tennis Made Easy :: essays research papers

When surfing the Internet, eventually winding up at tennis4you.com, I found something called the â€Å"Lesson Lounge† which has instructional articles on the game of tennis. My particular article discusses a very crucial part of the game, and also a difficult one, the first serve. The reason this drew my attention is because this is a major weakness in my already pathetic tennis repertoire. By reading the article, I hoped to find strategy to learn from, and eventually, with practice, to improve from. In the article, they explain how the first serve can become â€Å"†¦someone’s biggest weapon making someone else’s worst nightmare!† That, not only can one use a power serve or a placement serve to attack their opponents, but that working out is not even necessary to do so. The tennis serve can have significantly more power by using â€Å"†¦legs, shoulder rotation, and stomach muscles†¦Ã¢â‚¬  during one’s motion. They stress that since you have two serves, it is crucial to take a chance and make sure your first serve is NOT â€Å"†¦easily attackable†. From here, they lead into more complicated serving techniques that involve the type of hit- such as the flat, slice, kick, and topspin serves. Although I am not good enough to test them out, through time, they could certainly help someone with an interest in tennis who is willing to practice. After establishing the four types, the writer goes more in depth to differences between power and non-power serves. With power serves, they emphasize the importance of rhythm, significance of keeping your opponent guessing and lastly, the need to hit it in bounds. They continue to say that, obviously, no matter how hard your serve is, it is useless if it cannot land in bounds. As far as non-power serves, they speak of smaller players and how technique and mechanisms such as spin. Another main point here is that one must serve deep into the service box.

Wednesday, September 18, 2019

Basic Transistor Physics Essay -- physics electronics transistor

The first transistor was demonstrated on Dec. 23, 1947, at Bell Labs by William Shockley. This new invention consisting of P type and N type semiconductive materials (in this case germanium) has completely revolutionized electronics. Transistors quickly replaced vacuum tubes in almost all applications (most notably those in discrete logic). Today when we think of transistors the first thing that comes to mind is computers. Advances in transistor technology and manufacturing processes as well as new materials being used for the semiconductor matrix and wiring have led to smaller, faster, cheaper, lower power transistors. Some of the basic principles behind semiconductor behavior and the restrictions currently faced by modern transistors will be discussed in the following pages. Transistors are composed of a P type (positively doped) and N type (negatively doped) semiconductor material. These P-N junctions are the heart of both BJTs (Bipolar Junction Transistors) and FETs (Field Effect Transistors). BJTs have a physical connection between they current controlling input (base) and the input and output (collector and emitter). This results in a trickle current into the base. FETs have a physical separation between the control (gate) and the input and output (drain and source). BJT and FET transistors are used in virtually every electronic device requiring current regulation or amplification. They make it very easy to precisely control power to a device reliably and with much greater efficiency than other methods. Another common use of transistors is their role in discrete logic. First used in DTL (Diode Transistor Logic) transistors compact nature and high switching speeds lend themselves well to use in logic ICs. In ... ...er clock speed operation than the G4 processor and will include all the latest fabrication developments when released. Processor core voltage for this chip will be as low as 1.2v allowing a higher transistor count with very low power dissipation. Pentium 4 core voltage is in the range of 1.55v. Smaller, faster, cheaper...transistors aren't quite as boring as you thought huh? Bibliography 1. IBM Copper Technoglogy http://www.chips.ibm.com/ 2. AMD http://www.amd.com/ 3. Intel Semiconductor Technology http://www.intel.com/ 4. Motorola PowerPC Division http://www.motorola.com/ 5. Transistor History 101 http://users.arczip.com/rmcgarra1/xstrhist.html 6. Britney's Guide to Semiconductor Physics http://britneyspears.ac/lasers.htm 7. The Mac Address http://www.themacaddress.com/ 8. Electromigration http://www.ifw-dresden.de/ifs/31/gfa/em_e.htm

Tuesday, September 17, 2019

Moot Court Outline

General Outline of a Moot Court Argument INTRO May it please the court, my name is _____ and I represent the Petitioner/Respondent __(name)___. [REBUTTAL REQUEST & PROCEDURAL BLURB (for Petitioner ONLY)] With the court’s permission, I would like to reserve 2 minutes for rebuttal. Thank you. This case is on appeal from the District/Circuit Court (name of court). The District/Circuit Court denied Petitioner’s request for _____, holding _____. ROADMAP Your honors, _______ is a violation of international law and we ask that you ________ for (the following) two/three reasons: 1.First, [substantive legal argument – strongest point] 2. Second [substantive legal argument] 3. And Third, as a matter of public policy OR as public policy dictates, [policy argument] ARGUMENT 1. With respect to the first point your honors . . . OR First, . . . CONCLUSION Since [first point], [second point], and [third point], Petitioner/Respondent respectfully requests that this Court finds __ __ a violation of international law. Thank you. [REBUTTAL (for Petitioner ONLY)] Respondent made one/two point(s) that I would like to address. (First) Respondent stated that . . However, . . . OR Respondent contends that _____. However, . . . MISCELLANEOUS SUGGESTIONS – For Rebuttal: o Attack misstatements and glossed-over weaknesses. o Address concerns of the court. o One to two points – most important point first. – If you obviously and/or materially misspeak, say â€Å"rather, ____† OR â€Å"pardon me your honors, what I mean to say is ____† and correct yourself. – If you are really hard-pressed for a transition, say, â€Å"which brings me to my second/third point† and find a way to fit what you were talking about into that point. If you are going to quote a case, drop the case language verbatim into your outline and KNOW the pin cite. – If you aren’t sure what the judge is asking, seek clarification. o This can also be used as a stall tactic if you are unsure how to answer the question. o Say something like, â€Å"Your honor, I want to make certain I understand your question, would you mind regarding-phrasing? † – DON’T: o Say, â€Å"I don’t know† in response to a question. ? If you don’t know the answer, say something more like, â€Å"Your honor, I am unable to fully answer your question at this time.However, I would be more than happy to submit a supplemental brief on the issue/matter/case. † o Smile or laugh or otherwise lose composure during argument (unless the judges are smiling and laughing and you feel it would be inappropriate to NOT smile and laugh). o Take a pen up to the podium. – DO: o Outline your argument! ? Try to reduce your argument to 2-3 pages. ? Use headings and sub-heading. Bold, capitalize, etc. for ease of reference. ? Use a manila folder to organize your arguments. †¢ Take nothing but that manila folder up to the podium. Listen carefully to opposing counsel’s arguments and the judges’ questions. ? Take verbatim notes of both. Quote and/or directly address if appropriate. o Know, in advance of the argument, which points you are willing to concede (if any). o Preface your answers with the following: ? Yes your honor, however . . . ? No your honor. †¢ Be cautious using this one – it can appear less-than deferential. ? I (respectfully) disagree with your honor’s characterization/construction of . . . o Have your introduction, [procedural blurb], roadmap, and conclusion memorized.

Monday, September 16, 2019

Cambodians Under Pol Pot

Cambodians Under Pol Pot Cambodia, a small country just west of Vietnam, gained independence after nearly 100 years of French rule. They first faced the problem of Communism during the Vietnamese Civil War. They remained neutral by contributing equally to North and South Vietnam. North Vietnam was a Communist country while South Vietnam was advised by the U. S. The Khmer Rouge, a group of Communist rebels, was led by Pol Pot. They soon took over Cambodia, killing hundreds of thousands of people. They transformed the country into a Communist society. The people of Cambodia rebelled because of the harsh dictatorship.Within days of the Khmer Rouge taking over, changes were made. New policies were created stating that the entire population should become a collective federation of farmers. All educated people (doctors, lawyers, teachers, and scientists) were murdered. Schools, factories, and hospitals were shut down. Any and all kinds of political rights were eliminated as well. The peopl e of Cambodia were purposely placed in working camps as far away from their homes as possible, working for extremely long hours and receiving minimal rations. Racism was also a problem. All Chinese, Vietnamese, and Thai’s were murdered.Certain religions were also not acceptable such as Christianity and Muslim. The children of Cambodia were indoctrinated causing them to become extremely brainwashed and almost everyone was a victim of torture as well. There was very little involvement by the U. S. to stop the genocide in Cambodia. This was because the United States was already involved in the Vietnam War and they were facing many social and political pressures. The only reason they were involved was to stop the spread of communism. Finally, the Vietnamese invaded and overthrew the Khmer Rouge.They immediately installed a less repressive government but this didn’t stop the fighting. They only wanted to take over Cambodia so that their Communist society would grow. The Vie tnamese eventually withdrew and Cambodia adopted a democratic constitution which held free elections. The economy and society of Cambodia has never truly recovered from the genocide. Although Cambodia has made many attempts to change its economy, it is still based mainly upon agricultural development because Pol Pot’s policies destroyed their foreign aid and all of Cambodia’s educated professionals were killed.

Sunday, September 15, 2019

Automobile? The Main Source of Pollution? Essay

Innovation and creativity, these are the very benchmarks that pave the way in producing new technology that governs the very lives of our future. But the question is, is it doing more harm than good to society? To verify the nature and essence of this query, I will be inquiring and delving into the world of automobiles and motorcycles. On one hand, I balance the modern wonders that craft the very definitions of convenience and comfort. While on the other, I hold the unfathomable realities that draw the line between useful and harmful. Therefore, let it be stated that I have come to an understanding that both automobiles and motorcycles pose a substantial threat the world is constantly ignoring.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In probing this discussion, I will begin by first illustrating the statistics on ownership of automobiles and motorcycles made in the United States. Then, I shall be focusing on the comparison between the subjects and issues that society deals with regard to automobiles and motorcycles by citing some examples in Southeast Asia. Lastly, I will emphasize the known facts and matters that give impact on the current view of automobiles in the society.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   To start with, it is acknowledged that present ownership of the automobiles is increasing day by day.  According to the US Bureau of Transit Statistics for 2004 there are a total of 243,023,485 registered passenger vehicles in the U.S. of which 136,430,651 (56.13%) are classified as cars. While 91,845,327 (37.79%) are classified under 2 axles and 4 tire vehicles, presumably SUV’s and pick-up trucks. Yet another 6,161,028 (2.53%) are classified as vehicles with 2 axles and 6 tires and 2,010,335 (0.82%) are classified as trucks in combination. In addition to that, there are approximately 5,780,870 motorcycles in the U.S. in 2004, which accounts for 2.37% of all registered passenger vehicles. With the increasing number of automobiles yearly, there is a plan to see an effective way of reducing the emissions from cars through hybrids, diesel and other form of technology.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Recent studies show that automobile emissions are not as bad as motorcycles emissions. Usually, motorcycles are not the major form of transportations in developed countries. Astonishingly, the American Chemical Society reports that motorcycles collectively emit 16 times more hydrocarbons, three times more carbon monoxide and a â€Å"disproportionately high† amount of other air pollutants compared to passenger cars (Science Daily, 2008). The study, by the Swiss Federal Laboratories for Materials Testing and Research, has found both two- and four-cycle motorcycle engines emitted significantly more of these pollutants than automobile engines. Given this data, we can now see the ineffectiveness of motorcycles. Given the sitting capacity of a car compared to a motorcycle, a car is able to hold twice as much sitting capacity compared to motorcycles. In developing countries such as Indonesia, the number of motorcycles is overwhelming compared to the number of automobiles. Being born in Surabaya, Indonesia, I have witnessed some of the worst air pollution that I have ever encountered. It has been so bad to an extent that I can see dust on my front porch every ten minutes upon mopping it clean   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Although, there have been seen steps taken to reduce the emissions in automobiles, regulations has been a bit late for motorcycles.   This does not take into account the other subjects related to pollution such as air contamination, water contamination, soil contamination, and solid waste mishandling ( L. Gari, 475 – 488).Unlike automobile emissions that have been regulated only after 1970s, the motorcycle emissions have only been regulated only after 1999. This technological advancement has made motorcycles less harmful to the environment. Thus, future bikes may have emissions from new motorcycles at a same level of emissions as cars. For example, the 1000cc Suzuki V-Strom produced in 2002, equipped with a regulated catalyzer, oxygen sensor and fuel injection, complies with 2003 emissions limits and is very close to the 2006 ones (Motorcycle Emission, 2008). It is also said that they have reduced 60% of the carbon monoxide and hydrocarbons emissions of new four-stroke bikes produced from the 1st April 2003 and reinforcing it on 1st January 2006. This will in turn apply a further 50% reduction compared to the 2003 limits. Two-stroke engines will see their emissions output reduce by 30% for carbon oxide and 70% for hydrocarbons. Hopefully, motorcycles will have low level of oxides of nitrogen and limits will remain the same for 2003 giving the time for the industry to achieve more drastic nitrogen oxide measures for 2006. With this at hand, Indonesia air pollution would be drastically reduced.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Automobiles and motorcycles affect our environment and push them into critical conditions. There are even unusual emissions that are produced in the atmosphere (Beychok, 29 – 36). Pollutants from automobiles are the major causes for green house effects and other environmental pollutions. Although Bangkok is praised with their three-wheeled vehicles whose name comes from the sputtering sound produced by their horribly polluting two-stroke engines, â€Å"tuk-tuks† look like beat-up golf carts with roofs and backseats and function as inner-city taxis (Hertsgaard, 1999). Unfortunately, â€Å"tuk-tuks† and motorbikes, in terms of mobility, are undercut by their abnormal tailpipe exhaust that burn a fuel that is part gasoline, part benzene. Benzene of course causes cancer and each flick of a driver’s wrist sends thick puffs of bluish-white smoke into the already soup like air (Hertsgaard, 1999). Though the presence of â€Å"tuk-tuks† created many jobs as a â€Å"tuk-tuk† driver for the people in Bangkok, it also cost them their health as prolong breathing of benzene causes cancer.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Nowadays, diesel cars are cleaner than the petrol cars. Modern technologies have been applied in order to reduce the level of emission from cars. For example, carbon dioxide emissions are directly proportional to fuel consumption, and as diesel cars use 30 to 40% less fuel and they emit 30 to 40% less carbon dioxide than petrol cars (Vasic and Weilenmann, 149 – 154).   On the other hand, natural gas and LPG cars are actually quite fuel inefficient, if otherwise cleaner burning, and so produce more CO2 than diesel. Diesel engines produce virtually no carbon monoxide.   Emissions of nitrous oxides can be effectively reduced in both petrol and diesel cars by use of exhaust gas recirculation (EGR).   EGR reduces the combustion temperature to below the point where nitrogen effectively burns. Hydrocarbon emissions are contained in petrol engine emissions much more than in diesel engine emissions.   Benzene is also present in the fumes which can be smelt when filling up with petrol at a service station; however this is not a problem with diesel.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Personally, I strongly feel that it is necessary for everyone to get a car since it has a viable use in the lives of ordinary men and women. Moreover, cars have been viewed as a twentieth-century technology (Hertsgaard, 1999). Since the invention of automobiles, more and more industries associated with it have begun to expand. This in turn provides enormous employment opportunities to the people. With that, countries such as Thailand, China and Bangkok have soon started to welcome foreign automobile industries to invest in order to boost their economic progress. One great example of this particular event is the success story of Thailand. Over the past two decades, Thailand’s per capita income in 1991 was U.S$ 1,570—a stunning six fold increase over the 1971 figure of U.S$271 making Thailand an apparent economic success story (Hertsgaard, 1999). With a sudden massive economic growth in an automobile industry as have been seen, there comes a price that everyone has to pay.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In conclusion, not only automobile’s emissions is held scapegoat to many people around the world   for global warming and the increase of greenhouse gases, certain factors such as the massive motorcycles emissions are also partly to blame. Both the automobile and motorcycles affect our environment and push them into critical conditions such as the green house effects and other environmental pollutions. Overall, I agree with Hertsgaard when he made a   strong point that â€Å"proponents of the car like to point out, as the Mobil Corporation did in a 1995 advertisement in the New York Times, that the cars and skies in the United States are much cleaner now than they were a quarter of a century ago†(Hertsgaard, 1999). This statement he makes inspires the entire environmentalist out there that their efforts have not gone too waste. WORKS CITED ScienceDaily.Amounts of Air Pollutants. March 21, 2008   http://www.sciencedaily.com /releases/2006/01/060101155000.htm U.S. Environmental Protection Agency. â€Å"Automobile Emissions: An Overview.† August, 1994 1-5. 21 March, 2008 http://www.epa.gov/OMS/consumer/05-autos.pdf Beychok, Milton R. (January 1987). â€Å"A Database for Dioxin and Furan Emissions from Refuse Incineratorsâ€Å". Atmospheric Environment 21 (1): 29-36 Christi, â€Å"The Truth About Diesel Emissions† Fred’s Tdi Forum 21 March, 2008   http://www.stealthtdi.com/Emissions.html Research and Innovative Technology Administration (RITA). â€Å"Estimated National Average Vehicle Emissions Rates per Vehicle by Vehicle Type using Reformulated Gasoline and Diesel.†U.S. Department of Transportation (US DOT) Nov. 29, 2007. 21 March, 2008 . Hertsgaard , Mark . Earth Odyssey: Around the World in Search of Our Environmental Future . New York: Broadway Books, 1999. Gari. â€Å"Arabic Treatises on Environmental Pollution up to the End of the Thirteenth Centuryâ€Å", Environment and History 8 (4), 2002, pp. 475-488 â€Å"Motorcycle Emissions – Bikes Go Greener.† British Motorcyclists Federation 30 Sep, 2004.  21 March, 2008 http://www.bmf.co.uk/pages/briefing_room_archive.php?fullstory=432 â€Å"Passenger Vehicles in the United States.† Wikipedia 27 February 2008 21 March, 2008 . Vasic, Ana -Marija and Martin Weilenmann. â€Å"Comparison of Real-World Emissions.† Environmental Science&Technology 402006 149-154. 21 March, 2008 . Self-evaluation   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Upon starting this essay, I experienced several setbacks and challenges. It took me a total of 3 days of researching and 2 days to complete the essay. The first thing which I did in this essay was the search for good source information for this research. This was hard as I have to be able to find data which preferably have a range of 10 years. Secondly, I read the Top Ten Tips on the transition and brilliant beginnings and I really can see myself being a better writer with it. The last and final step was for me to put all the information down and start writing followed by proofreading. For this research only managed to do a single draft and I did not get the help of any body except the tools of Microsoft words such as its thesaurus and dictionary. I believe that my strong and insightful data on the emission outputs of automobiles and motorcycles are the strengths of my essay. In addition to that I believe that my essay is weak because of proofreading problems. One of the primary problems that I have with this essay was that I have to retype everything again due to a computer problem. The essay was supposed to be done on my lap top. However, it crashed and I am unable to backup my data causing me to lose come information that can help me with this essay. One thing that I would do next time is definitely to start earlier and have a visit to Dr Lankford office to ask him on his views on my current ideas for the essay. I would definitely rewrite this essay for the second time in hope to have at least a B+/- for this course as it depended on this essay. References Vehicle ratios since 1990 Year Motor vehicles Increase in vehicles % Growth    1990 189 2 +1.01    1991 188 -1 -0.52    1992 190 2 +1.06    1993 194 4 +2.10    1994 198 4 +2.06    1995 202 4 +2.02    1996 206 4 +1.98    1997 208 4 +1.94    1998 208 0 +/-0    1999 216 8 +3.84    2000 218 2 +0.92    2001 226 8 +3.66    2002 230 4 +1.76    2003 231 1 +0.43    All numbers in millions; SOURCE: US Department of Transportation    Estimated National Average Vehicle Emissions Rates per Vehicle by Vehicle Type using Reformulated Gasoline and Diesel (Grams per mile)      Ã‚   1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 RFG (assuming 100% RFG)                                        Light-duty vehicles                                        Exhaust HC 1.45 1.28 1.15 1.04 0.97 0.84 0.76 0.68 0.62 0.55 0.47 0.41 0.38 Nonexhaust HC 0.89 0.87 0.86 0.84 0.82 0.64 0.63 0.61 0.59 0.57 0.54 0.51 0.47 Total HC 2.34 2.15 2.01 1.88 1.78 1.48 1.39 1.29 1.21 1.12 1.02 0.921 0.852 Exhaust CO 22.78 20.84 19.43 18.25 17.21 15.36 14.68 13.88 13.17 12.49 11.44 9.81 9.29 Exhaust NOx 1.78 1.64 1.55 1.46 1.35 1.24 1.19 1.12 1.06 1.00 0.90 0.77 0.72 DIESEL                                        Light-duty vehicles                                        Exhaust HC 0.77 0.79 0.81 0.81 0.82 0.80 0.76 0.73 0.73 0.60 0.58 0.48 0.36 Exhaust CO 1.69 1.73 1.76 1.78 1.79 1.78 1.75 1.73 1.74 1.59 1.57 1.41 1.21 Exhaust NOx 1.89 1.89 1.88 1.86 1.85 1.81 1.72 1.62 1.54 1.43 1.32 1.11 0.85 KEY:  CO = carbon monoxide; HC = hydrocarbon; NOx = nitrogen oxide; RFG = reformulated gasoline. SOURCE:U.S. Environmental Protection Agency, National Vehicle and Fuel Emissions Laboratory, personal communication, Nov. 29, 2007.