Saturday, August 31, 2019

The Return: Shadow Souls Chapter 38

â€Å"Talon! Uh – heel!† Elena shouted and began to race as fast as she could to get out of the room. This was strategy. Would the owl become even smaller so as to get through the door or would it destroy its sanctuary in order to stay on top of Elena? It was a good strategy, but it didn't amount to much in the end. The owl shrank to dart through the door, and then resumed gigantic size to attack Elena as she ran down the stairs. Yes, ran. With all of her Power channeled to her eyes, Elena leaped from step to step as Damon had before. Now there was no time for fear, no time for thinking. There was only time to turn over in her fingers a small, hard, crescent-shaped object. Shinichi and Misao – they did make it into her nest. There must be a ladder or something made of glass that even Damon couldn't see, in the flowerbed where Saber had stopped and barked. No – Damon would have seen it, so they must have brought their own ladder. That's why their trail ended there. They climbed straight up into the library. And they ruined the flowers in the bed, which is why the new flowers weren't doing so well. Elena knew from Aunt Judith, from her childhood, that transplanted flowers took awhile to revive and perk up again. Leap†¦jump†¦leap†¦I am a spirit of fire. I cannot miss a step. I am a fire elemental. Leap†¦leap†¦leap. And then Elena was looking at level ground, trying not to leap into it, but a prisoner to her body which was already leaping. She fell hard enough to numb one side, but she kept hold of the precious crescent clenched in a deathgrip in her hand. A gigantic beak smashed into glass where she had been a moment before she slid. Talons raked her back. Bloddeuwedd was still after her. Sage and his group of sturdy young male and female vampires traveled at the pace of a running dog. Saber could lead them, but only as fast as he himself could go. Fortunately few people seemed to want to instigate a fight with a dog that weighed as much as they did – that weighed more than many of the beggars and children they encountered as they reached the bazaar. The children crowded around the carriage, slowing them further. Sage took the time to exchange an expensive jewel for a purse full of small change and he scattered the coins behind the carriage as they went, allowing Saber free reign. They passed dozens of stalls and crossing streets, but Saber was no ordinary bloodhound. He had enough Power to confound most vampires. With perhaps only one or two of the key molecules stuck to his nasal membrane he could hunt down his goal. Where another dog might be fooled by one of the hundreds of similar kitsune trails they were traveling through, Saber examined and rejected each of them as being not quite the right shape, size, or sculpture. There came a time, though, when even Saber seemed defeated. He stood in the center of a six-way crossroads, regardless of traffic, limping slightly, and going in circles. He couldn't seem to choose a path. And nor could I, my friend, Sage thought. We've come so far, but it's clear they went on farther. No way to go up or dig down†¦Sage hesitated, looking around the crimson-colored wheel of roads. And then he saw something. Directly across from him, but to his left was a perfumery. It must sell hundreds of fragrances, and billions of scent molecules were deliberately being released into the air. Saber was blind. Not blind in his keen liquid dark eyes. But where it mattered he was numbed and blinded by the billions of scents that were being blown up his nose. The vampires in the carriage were calling to go on or go back. They had no sense of real adventure, them. They just wanted a nice show. And undoubtedly many had slaves who were recording the whipping for them so they could enjoy it at leisure at home. At that moment a flash of blue and gold decided Sage. A Guardian! Eh, bien†¦ â€Å"Heel, Saber!† Saber's head and tail drooped as Sage randomly picked one of the directions and had him race alongside the running vampire to get out of the thoroughfare and onto another street. But then, miraculously, the tail went up again. Sage estimated that there could not be even one molecule of the kitsune's scent left in Saber's nostrils now†¦ †¦but the memory of the scent†¦that was still there. Saber was once again in hunting mode, with head down, tail straight, all his Power and intelligence concentrated on one goal and one goal only: to find another molecule that matched the three-dimensional memory of the one in his mind. Now that he was not blinded by the searing smell of all those different concentrated odors, he was able to think more clearly. And thinking alerted him to slip in between streets, causing a commotion behind him. â€Å"What about the carriage?† â€Å"Forget about the carriage! Don't lose sight of that guy with the dog!† Sage, trying to keep up with Saber himself, knew when a chase was about to end. Tranquillit! he thought to Saber. He also barely whispered the word. He had never been certain if his animal friends were telepathic or not, but he liked to believe that they were, while behaving as if they were not. Tranquillit! he told himself. And so, when the huge black dog with the shining dark eyes and the man ran up the steps to one particular ramshackle building, they did it silently. Then, as if he'd had a pleasant stroll in the country, Saber sat and looked at Sage in the face, laughing-panting. He opened and closed his mouth in a silent parody of a bark. Sage waited for the young vampires to catch up with him before be opened the door. And, as he wanted the element of surprise, he didn't knock. Instead he smashed a fist with the Power of a sledgehammer through the door and groped for locks and chains and bolts. He could feel none. He did feel a knob. Before opening the door, and going into who knew what peril, he said to those behind him, â€Å"Any loot we take is the property of Master Damon. I am his foreman and it was only through my dog's skills that we have made it so far.† There was agreement, ranging from grumbling to indifferent. â€Å"By the same token,† Sage said, â€Å"whatever danger is in there, I face first. Saber! NOW!† They burst into the room, nearly taking the door off its hinges. Elena cried out involuntarily. Bloddeuwedd had just done what Damon would not, and lined her back with bloody furrows from her talons. But even as Elena managed to find the glass door to the outside, she could feel other minds surging to help sustain her, to lift and share some of the pain. Bonnie and Meredith were picking their way through huge shards of glass to get to her. They were screaming at the owl. And Talon, heroically, was attacking from above. Elena couldn't stand it any longer. She had to see. She had to know that this metallic-feeling thing that she'd picked out of Bloddeuwedd's nest wasn't some bit of filthy rubbish. She had to know now. Rubbing the tiny scrap of metal against the ill-fated scarlet dress, she took a moment to glance downward, to see crimson sunlight sparkle against gold and diamonds and two folded-back little ears and two bright green alexandrite eyes. The duplicate of the first fox key half, but facing the other way. Elena's legs almost gave way underneath her. She was holding the second half of the fox key. Hurriedly, then, Elena brought up her free hand and plunged her fingers down into the carefully made little pocket behind the diamond insert. It concealed a tiny pouch, specially sewn there by Lady Ulma herself. In it was the first half of the fox key, replaced there as soon as Saber and Talon had finished with it. Now, as she shoved the second half-key into the pocket with the first, she was disconcerted to feel movement in the pouch. The two pieces of the fox key were – what, becoming one? A black beak slammed into the wall beside her. Without even thinking, Elena ducked and rolled to escape it. When her fingers flew back to make sure that the pouch was tied up and secure, she was astonished to feel a familiar shape resting inside. Not a key? Not a key! The world was spinning wildly around Elena. Nothing mattered; not the object; not her own life. The kitsune twins had tricked them, had made fools of the idiot humans and the vampire who had dared to face up to them. There was no double fox key. Still, hope refused to die. What was it Stefan used to say? Mai dire mai – never say never. Knowing what a chance she was taking, knowing she was a fool for taking it, Elena thrust her finger again into the pouch. Something cool slipped onto one finger and stayed there. She glanced down and for a moment was arrested by the sight. There, on her ring finger, gleamed a gold, diamond-encrusted ring. It represented two abstract foxes curled together, one facing each way. Each fox had two ears, two green alexandrite eyes, and a pointed nose. And that was all. Of what use was a trinket like this to Stefan? It bore no resemblance to the double-winged keys shown in the pictures of kitsune shrines. As treasure, it was surely worth a million times less than what they had already spent to get it. And then Elena noticed something. A light shone from the eyes of one of the foxes. If she hadn't been staring at it so closely, or if she hadn't been by now in the White Waltz Ballroom, where colors showed true, she might not have noticed it. But the light was shining straight ahead of her as she turned her hand sideways. Now it was shining from four eyes. It was shining in exactly the direction of Stefan's prison cell. Hope rose up like a phoenix in Elena's heart, and took her soaring on a mental journey out of this labyrinth of glass rooms. The music playing was the waltz from Faust. Away from the sun, deep into the heart of the city, that was where Stefan was. And that was where the pale green light from the fox's eyes was shining. Riding high on hope, she turned the ring. The light winked out of both fox's eyes, but when she turned the ring so that the second fox was in line with Stefan's cell, it winked on. Secret signals. How long could she have owned a ring like that and done nothing if she hadn't already known where Stefan's prison was? Longer than Stefan had left to live, probably. Now she only had to survive long enough to reach him.

Friday, August 30, 2019

Leadership Style Essay

Leadership is a role that not all can partake but that many have excelled at. When asked who I admire as a leader I had to think quite a while. I had to decide what category of leader I could relate to the most. Would it be a political leader, a spiritual leader, a business leader or even a military leader? Ultimately I decided that I want someone who is multi-faceted in that they can lead in many situations and scenarios. Further it seems that leading in unfamiliar and new situations can allow a leader more freedom in his direction without being swayed by observations of others in similar situations. This led me to choose George Washington as my admirable leader since â€Å"George Washington can be used as an example of strong and ethical leadership in virtually any walk of life.† (Rees 2007, p. preface) Growing up we all learned of George Washington and his role as the first president of the United Sates. We hear of his honesty as told through the story of the cherry tree an d so on. His leadership is what gave him this large mark in our history books and it was not only displayed through his presidency. He was first a great military leader. In this role he displayed leader characteristics such as toughness, persistence, bravery and organization. These characteristics earned him the respect of his troops and the ongoing admiration of an entire country. His time as a political leader is what he is remembered most for. He was able to use his charismatic presence and moral strength to maneuver through a turbulent political environment. The leadership traits of foresight and strategic planning allowed him to hold at bay the continental army from a brittle and new civilian government. Through his, and with the help of other great leaders, efforts the path was paved for the United Sates to become the world’s leading super power. Though other leaders have achieved similar feats throughout history this one stands out for me as I have directly benefited from George Washington’s leadership.  Lastly a notable leadership trait that I admire of George Washington’s is his moral leadership. This helps distinguish him from other leaders of world powers before and after his time. It was not uncommon for leaders like Hitler, Stalin, and the Caesar’s or Persian Empire leaders who accomplished similar â€Å"world power† feats to rule by an iron fist and without morality to reach their goals. George Washington used his moral compass to create what may be a much longer lasting arena in which to lead, one that could be passed on to other worthy leaders. Many would like to think that they have the characteristics of a great leader. The reality is that if I, or anyone else, had the perfect mesh of traits for a leader then we would in fact be leading. While I do manage staff, departments and facilities I see myself as a professional and only an aspiring leader. It is my hope that through this course and the others I with be involved in throughout my time at University of Phoenix I will come closer to actually leading. Currently I have some leadership characteristics. There are some that seemed to come naturally and others that have taken time, effort and education. I’ve always seemed to have a knack at argument, or for our scholarly purposes, excellent persuasion ability. I can think clearly during exchanges and use opposing thinkers own examples and analogies to further substantiate my position. I treat people with respect regardless of their status. I strive to have a perfect balance on confidence and humility. I do not fear collaboration and tend to communicate well. If I were to list all the things I would need to do in order to become a better leader this paper would never end. In order to avoid this I will talk only about the traits I feel are the most important and in need of further understanding and practice from myself. Leveraging team strength’s needs some attention from me. I tend to look at people in their roles and corner them there. If I open my eyes a bit more as to their aptitude in other areas I could find that shining stars are sitting right in front of me. I need to be more fearless and take more risks. I have a tendency to play things safe seeking acceptable outcomes when I could take risks and seek excellent outcomes. If I were to take on a little more compassion for things going on with the people around me I may be able to find ways to create more dedicated followers. Followers that know I believe in them and care for their own well-being as opposed to simply the desired outcome of my leadership. Ultimately I wish to lead by example. I want to  lead follower’s development and act as a resource for their advice and assistance (Daft 2008). The greatest satisfaction I can achieve as a leader would be not only for my own desired success in life to be experienced but also to carve a path for those around me to thrive as well. Good leadership in my opinion will always result in an accumulative good, not and individual good. References Daft, R. (2008). The Leadership Experience. Mason: Thompson Learning, Inc. . James Rees, Stephen J. Spignesi (2007). George Washington’s Leadership Lessons. Hoboken: John Wiley & Sons, Inc.

Thursday, August 29, 2019

Enforceability of international and local mediation (UAE) Assignment

Enforceability of international and local mediation (UAE) - Assignment Example 23). Since its inception, there are records of several organizations and institutions that have used mediation processes to settle what would otherwise have been long running legal litigation and battle. In some cases, mediation has come in as settle options for cross border cases involving the United Arab Emirates and other countries. As far back as 1971, the United Arab Emirates underwent a successful mediation process to settle what would have been a long running international litigation with Oman and this move highly praised by the United States and other international bodies (Condliffe, 2002, p. 233). This means that mediation takes several dimensions and come in as resolution option for different forms of litigations in the United Arab Emirates. However, there have been instances where the mediation processes have not been continued to its logical conclusions. This is because mediation outcomes are not enforced, resulting in the need to resort to the courts. This paper therefor e discusses enforceability of mediation outcome and provides recommendations to overcome the problems associated with lack of compliance. ... 32). Moreover, the conclusion of mediation is free of all forms of legal punishment such as fines and imprisonment. What this means is that parties involved in mediation can always be assured that there will be settlement that does not put any commercial cost on them. What is more, peace is always guaranteed when mediation is used. Whether used by individuals, corporate bodies or between nations, the use of mediation helps in eliminating the fear of violent, brutal and sadistic conclusion to cases (Condliffe, 2002, p.111). This is especially important when using mediation between nations. This point is so made against the background that the world has experienced a number of wars, which experts have ruled that they could have been avoided if there were alternative means of resolving them. There are cases of major corporate organizations which went into liquidation because of protracted court proceedings and rulings. Most of these organizations, if they had chosen the path of mediatio n would still have been functioning and making profits. Finally, it would be said that mediation is essentially important in coming out with easy-to-apply remedies. This is because the outcomes of mediations are mostly arrived as a result of compromise between the parties involved instead of a ruling by an arbitrator. This way, the two parties arrive at consensus that benefits them both in settling their differences. Factors inhibiting the Compliance of Mediation Outcomes Despite the beautiful advantages of the use of mediation that can be listed on and on, there are major hindrances to the successful application of mediation as a dispute resolution and construction mechanism and therefore put a lot of parties

Wednesday, August 28, 2019

Gun control Annotated Bibliography Example | Topics and Well Written Essays - 500 words

Gun control - Annotated Bibliography Example or public safety over guns; and the core of the debate is but the very Second Amendment, which has reduced the public response to the gun-aided carnage to mere outrage. The author notes with some sense of certainty that though defeated in the past, attempts at gun control legislations is not over, and will soon raise its head yet again and again. He singles out the â€Å"defense† aspect of the Second Amendment noting that the law has always recognized the right to one’s security, liberty, and private property, and it is from these fundamental rights that necessitate the right to bear arms just in case â€Å"the sanctions of society and/or laws are insufficient to restrain oppressive violence.† It is on this account that laws that infringe on the right to self-defense have and will fail the constitutionality test, hence the Heller setting a dark cloud over gun control laws enacted [and to be] in the United States. Like other academics and law experts, Chemerinsky concludes that the debate over the Second Amendment is far from over, but will never get resolved. His opening comment that â€Å"guns have become an important symbol of freedom to a majority of American public† is but a perfect description of the American public over guns, and that it is harder to envisage any side of the debate giving room for opposing arguments. This article, without a doubt, makes a fundamental contribution to the gun debate, more particularly with regards to navigating the muddy arguments that threaten to overrun public safety as evident by the incidences of gun violence witnessed so far. By no surprise, Desmond Cameron, like many other scholars begins his narrative with the Virginia Tech gun tragedy, terming it the â€Å"deadliest† as any other would call it. Indeed, as he notes, the incident, like no other, has kept the debate on gun control much alive that any other in the history of the United States, with gun control proponents blaming easy access to guns while gun rights

Tuesday, August 27, 2019

Unprocessed foods Coursework Example | Topics and Well Written Essays - 500 words

Unprocessed foods - Coursework Example This entire, natural, eatable nourishment contains every one of the supplements your body needs and doesn’t have whichever substances which might hurt your body. When the entire, normal nourishment is processed, its concoction structure is changed, in this way adjusting its dietary quality. Whole uncooked sustenances are the most supplement-concentrated nourishments. That implies that for every unit of vitality you eat, you obtain the best measure of supplements as vitamins and minerals. Additionally, people that consume fiber-wealthy sustenance have small serum cholesterols amounts, a decreased danger of a few malignancies particularly disease of the colon.Micronutrients: They comprise vitamins along with minerals. Such minerals as well as vitamins are crucial co-catalysts during the procedures of metabolism that happen inside of the human body (Bendich 56).Kale, Carrot and Avocado Salad sustenances are the mainly supplement-dense nourishments.Fiber: Individuals who consume f iber-wealthy diets posses smaller blood levels of cholesterol, a decreased danger of a few tumors particularly colon cancer, as well as they well control glucose levels.Vital fatty acids: Equally omega three as well as omega six unsaturated fats are imperative parts of cell layers and are forerunners to numerous different substances in the body, for example, those included with controlling pulse and incendiary reaction. Proteins: Truth be told, hair as well as nails are generally protein made. Te human body utilizes it to manufacture and refurbish tissue.

Monday, August 26, 2019

Public relations Dissertation Example | Topics and Well Written Essays - 7250 words

Public relations - Dissertation Example The field of Public Relations has been rapidly growing of late mostly because of the non-commercial and commercial organizations have started realizing the need for introducing various public relations activities. The means through which the public relations message need to be conveyed has increased considerably in the recent years for instance the cables, internet and satellite are the mass Medias which are unevenly distributed and globalized at the same time. A simple definition of Public Relations can be â€Å"Public Relations is the positive communication of a company or brand's message to all its target audiences is they staff, customers, the general public, the trade or government bodies†. However a more significant distinction by Destiny could be- PR as tactical communication, at a superior stage within the firm, and; PR as largely applied: intended at attaining column inches in the technical journals or favorable remark in the financial press. Public relations have bee n accompanying us for over thousands of years. â€Å"Sematikos† is the Greek term for Public Relations which mean Semantics. During 50 B.C. Julius Caesar created the first campaign memoirs named, â€Å"Caesar’s Gallic Wars†. There he revealed his military utilization strategies to persuade the Roman citizens that he was the best Monarch of the state. St. Augustine, who was a professor of public speaking in Milan during the 394 A.D., used to deliver the usual acclamation to the ruler and was the closest person to a minister for the imperial court. Thus, it can be said that St. Augustine was the first to be charged with public relations function. Thomas Paine wrote a pamphlet named â€Å"The Crisis† In 1776 that convinced the Washington Army to settle and start fighting at a time when there will be a number of people prepared to move towards arid region so that they could flee from the cold and the adversity of a winter operation. He was known as a master o f political communication whose works could easily influence the actions and thoughts of the mass. Lincoln's secretary of state, William Seward, gained a large number of audiences of America, during the year 1861, through his considerate way of speaking by the efficient usage of the press. He stated, "I speak to the newspapers – they have a large audience and can repeat a thousand times what I want to impress on the public.† In the year 1963, John Marston held a perception of PR which is still considered as true in today’s context, which says, â€Å"a brotherhood of some 100,000 whose common bond is its profession and whose common woe is that no two of them can ever quite agree on what that profession is â€Å"Public Relations has been defined in different ways by a variety of scholars and practitioners in which the term â€Å"management† has been used largely. The definition of Public Relations as stated by Grunig and Hunt says â€Å"management of comm unication between an organization and its publics†; Ledingham and Bruning described PR specifically as â€Å"relationship management† while the argument by Cutlip states that PR is â€Å"the management function that establishes and maintains mutually beneficial relationships between an organization and the public on whom its success and failure depends† According to Kitchen and Papasolomou, several scholar states that PR

Sunday, August 25, 2019

Do judges in the Uk made political decisions Outline

Do judges in the Uk made political decisions - Outline Example In the part of the Judiciary, however, its intervention in the legislative is controversial. The participation of the Judiciary branch in political decision-making applies only to the making of a common law, but their primary duty is to interpret the law and make sure that anyone who goes against it will be punished. Separation of Powers The major institutions of the British state would include the executive, the parliament and the judiciary. Each branch works "in the name of the Crown" which is the ruling monarch. Much like the roles of other government types, the branches have the roles of law making, implementation, and evaluation, respectively. However, the influence of a monarch would be the difference. In the Constitutional Fundamentals, the executive "comprises the Crown and the Government, including the Prime Minister and the government" (Anon., n.d). Its duties are to formulate and implement policies that the state and the government itself should abide. The Parliament compr ises of the House of Commons and the House of Lords. The members of the House of Lords were unelected and were only appointed by the Crown. The Judiciary, as the term suggests, enacts the law and makes sure that it is properly exercised by every citizen of the nation. The Judiciary is an independent body. The legislature and the parliament should not influence the decisions of the judges and in the same way that the judges are not ought to make political decisions except for common laws. A common law, as the term suggests, comprises of general beliefs of people inspired by tradition, custom, and precedent (Anon., 2008). The status of the U.K. judges nowadays has been vague in terms of enactment of specified roles. As reported by Press Association (2011), former home secretary Lord Michael Howard said that the judges have "too much power" over the ruling of the state. This friction began when the High Court intervened with the Government's plan to pursue the "multibillion-pound secon dary school rebuilding programme." Lord Howard said that the judges are expected to stick to their responsibilities as law interpreters and leave the policy making to the executive (Press Association, 2011). This is the same to what Stevens (2005, p.55) stated that since the judges have taken a "more central role in political decision-making," their role as an independent body which exercises "impartiality" is already unreliable. In this note, the roles of the judges should be clarified. However, Peretti (1999) points out three things about judges and their roles in politics (cited in Cross, 2000, p.18). Peretti (1998) argues that "1) judge makes decisions based on their politics and not on some neutral principles of law; 2) that judges are not particularly independent of the influence of legislatures and hence must tailor their decisions to congressional politics; and 3) that this situation is a very good thing† (cited in Cross, 2000, p.18). Clearly, Peretti (1999) discloses that there should be a point in which the law-making body and the Judiciary could merge. The law states that there is a definite separation of power in all three branches, where the Judiciary acts as an interpreter of the law. Because of this, â€Å"Judges are independent from the police and the government, and cannot be told what to do, or have their decisions changed by ministers† (Directgov, n.d.). In reality, the opposite of expected outcomes persists. The manner of being one of the

Saturday, August 24, 2019

Wk2 econ Essay Example | Topics and Well Written Essays - 750 words

Wk2 econ - Essay Example The slope is usually concave from the origin, which means, that opportunity costs increase with increasing production of a good. In the example above the Production Possibility Frontier is a straight line, which represents constant opportunity costs for different combination of goods production (Mankiw, 2011). Trade plays important role in reducing poverty in developing countries and increasing their growth rates. According to European Commission trade gives the following advantages to the developing countries: it increases commercial opportunities of a country; contributes to improvement of value chain of a product, which makes it more competitive; promotes innovations in the country; increases investments into the country; expands export of local producers to other countries; generates employment opportunities; influences exchange of experience and strengthens economic and social ties between developing and developed countries (European Commission,

Friday, August 23, 2019

Industrial standard Syringe Essay Example | Topics and Well Written Essays - 750 words

Industrial standard Syringe - Essay Example The present paper deals with a syringe’s low Reynolds number flow. This scenario presents itself in the slow regulated intravenous fusion of drugs and fluids in laboratories or hospitals. For instance, in indicator-dilution experiments, the common values for the Reynolds number are Re= 0.07 (50cc syringe at 1cc/min or Re= 0.015(10cc syringe at 0.1 cc/min). A calibrated infusion pump is often used in maintaining the rates of infusion at constants. In figure 1 the plunger is moving to the left in a cylinder; fluid is pumped through a hollow needle of a diameter that is often less than 3% of the cylinder’s diameter. Because of the geometry the fluid dynamics can be divided into 2 parts: the flow in the needle and the flow in the cylinder. Dagan, Weinbaum and Pfeffer [1] solved the flow in the needle (orifice). They concluded that the velocity profile is mostly Poiseuille, with end effects maintained at a length of just  ¼ the diameter of the needle. In the sections that follow we will examine the cylinder region, with the needle hole estimated by a sink. x’s partial differentiation is numerically solved using finite difference techniques, which result in an estimation for x at every grid point. In the middle way from all borders, standard difference equations are applied in the estimation of the partial derivatives. Close to the borders, multiple standard equations are required. These new difference equations, using both partials and values of x on the borders, were derived via the symbolic manipulation package, SMP. All the finite difference estimations applied are provided in Appendix A. The finite difference estimation produces results in a linear system of equations Ax = b, with dimension being 2500 for a basic 50 x 50 grid. Due to the fact that the boundary conditions are asymmetric and difference equations using known derivatives are used, the coefficient matrix A is

Wigand vs. brown and Williamson- ethical issues Essay

Wigand vs. brown and Williamson- ethical issues - Essay Example ere not only grounded on the dangers accompanied smoking but also the fact that the company was adding chemicals to the cigarettes and this made the consumption of such cigarettes more addictive to the consumers. First, there was ethical violation of the consumers’ rights. Apart from the fact that the company endangered the lives of the people, it was also unlawfully and corruptly obtaining wealth from the unsuspecting consumers. When investigation was instituted by the CBS, Wigand was convinced by Lowell Bergman to make his testimony proving the allegation through an interview. In the process of doing that, Wigand found himself in an awkward situation that put his entire life at risk. The information he provided regarding this malpractice was treated with contempt. He suffered a lot of harassment and faced numerous threats because of such crucial information. The point of interest was that the CBS did not air the interview and the information that was presented by Wigand despite the risk he had taken. The main reason that the CBS gave for the failure to air the interview was the fear of litigation by the company. The CBS had broken law in this matter because of the omission. As a fourth estate, it was important that they work at the interest of the people and not base their actions on fear of actions being taken by the company. This was one of the major ethical dilemmas that CBS had placed itself in. It was now serving its own interests based on assumption rather than the interest of the people. It was revealed that the management of the CBS has chosen not to air the interview purely for monetary reasons. According to the study, it was revealed that the CBS did not want to taint their name with any legal issues particularly litigations, considering that they were at the verge of selling their company with the Westinghouse, and negotiatio ns were at critical level. This envisaged litigation was seen to have the potential of lowering the company stock.

Thursday, August 22, 2019

The Future of Books Essay Example for Free

The Future of Books Essay The past decade has seen the unparalleled development of electronic devices. And the subversive popularity of e-books plays a crucial role in this process. Nowadays, it’s quite common to see a portable iPad instead of piles of heavy books in a teenager’s backpack. An increasing number of people prefer to tap on screens rather than turn paper pages. Because of this mounting craze, some people anticipate that with the looming momentum e-books will ultimately take the place of traditional print books and dominate the market, which has stirred up a heated debate. From my point of view, I really doubt such a pessimistic judgment of the outlook of paper books. People have been using paper books for thousands of years. In gratitude to paper books for initiating us into the world of knowledge, we have formed a deep-rooted attachment to them, which stays on inwardly all the while. So it’s hardly feasible to abandon this habit radically. Actually, paper books have already become a part of reading itself. How can you let those ardent readers who will go through fire and water for paper books give up the smell of ink and the touch of papers? Nevertheless, those manufacturers salivating over prospects for e-books keep telling us there are a sizable number of advantages in order to plunge customers into the craze and boost sales. But if you consider their recommendations carefully, you can uncover that e-books are not completely ideal choices. Firstly, they say that e-books are much cheaper. Apparently, they make no mention of the fact that e-readers are expensive. What’s more, let’s take iPad as an example. Apple Inc has already shipped three generations of iPad. So a lot of consumers keep trading up almost annually regardless of the high price, which amounts to a waste of money to some extent. Secondly, some people say that e-books own better portability. In most cases, however, we only need to carry one or two books with us, which is not that inconvenient. On the contrary, e-readers can be targets of theft and batteries are readily dead, which will afflict users a lot. But traditional books are devoid of these problems. Last but not least, there are really too many distractions on e-readers, which may make us sink into other entertainments and use e-readers secondarily for reading, not to mention its harm to our eyesight. All in all, I believe with the craze simmering down, people will smell the coffee and find that e-books cannot hold a candle to paper books in many ways and make their sensible decisions by choice. E-books won’t emulate traditional books and take charge of the whole market. We won’t pine for the passing golden age of traditional books in that they will be always there waiting for us.

Wednesday, August 21, 2019

Natural Ventilation In Buildings Engineering Essay

Natural Ventilation In Buildings Engineering Essay Proper design of energy conscious buildings requires a balance between two things: The thermal performance of the building envelope and the appropriate selection of techniques for heating, cooling and day lighting; An acceptable quality of the indoor climate in terms of thermal comfort, ventilation effectiveness or indoor air quality. Over the past years in all the western countries and more especially Europe, there has been a conscious limit of the availability of energy since the oil crisis of 1973. The main result of this crisis in term of the construction industry was therefore to reduce significantly global energy consumption, mainly used for heating and air-conditioning while neglecting its impact on the comfort and health of its occupants. During these periods, new regulations were made to regulate these, which also so the birth of real development of building research in western countries. However, these strict regulations on energy reduction in buildings was accompanied by an increasing number of disorders, mainly due to humidity condensation and the growth of mould, which affected the health of the occupants leading to SBS and building related sickness among the occupants, to overheating in the summer or in intermediate seasons, which affected the thermal comfort of the occupants and finally poor indoor air quality (IAQ) die to low air-change rates. The evolution began in the 1990s and it is now clear that energy conservation cannot be disassociated from the quality of the indoor and outdoor environment. These environmental criteria have even led to major modifications in manufacturing and technology, such as the abandonment of CFCs in HVAC. These criteria also highlight the necessity of full integration of the building site characteristics and potential in the design and this leads naturally to a focus on more integration of passive concepts on heating, cooling or more generally indoor climate conditions. (1) 1. Santamouris and Asimakopoulos, Passive Cooling of Buildings (1996) With these various aspects taken into account, natural ventilation appears to be a very attractive solution to ensure both good indoor quality and acceptable comfort conditions in many regions. Further more, natural ventilation seems to provide an answer to many complaints from users concerning mechanical ventilation, which appears to be noisy, to create health problems, to require routine maintenance and to consume energy. In contrast, natural ventilation is preferred by the occupants since it is energy efficient (no need of mechanical system), it can be easily integrated into buildings and it provides a healthier and more comfortable environment if integrated correctly. (2) Fundamentals of Natural Ventilation The magnitude and pattern of natural air movement through a building depends on the strength and direction of the natural driving forces and the resistance of the flow path. Good design involves the appropriate application of fundamental principles to the general strategies described in the following sub-sections. The driving forces for natural ventilation are wind and density difference. Wind Wind driven ventilation is caused by differences in pressures acting across the external surface of a building. The distribution of pressure depends on: the type of terrain surrounding the building (open country/city centre) and the presence of any obstructions (other buildings, tree belts etc) which provide opportunity for site layout and landscaping to enhance wind driven ventilation the wind speed and its direction relative to the building, and the shape of the building; this provides the opportunity for the architectural form and detailing to enhance the potential for wind driven ventilation. 2. Liddament, M. A Guide to Energy Efficient Ventilation. (1996) Air will flow through a building from areas of high surface pressure to areas of low pressure as shown in figure 2.5. In general terms, building surfaces facing into the wind will experience positive pressures; leeward surfaces and those parallel to the wind direction will experience negative pressures (suction) Source: Whole Building Design Guide Figure 2.1 Wind pressure field around a building Careful orientation of a building in relation to the topography of the site can maximise the potential for wind driven ventilation. This potential can be enhanced by landscaping, such as tree planting. Density differences Warm air is less dense than colder air. If two columns of air at different temperatures are separated by a boundary, there will be a difference in pressure across that boundary due to the different pressure gradients on either side. Normally, where it is warmer inside the building than outside, the pressure difference acts inwards at lower levels of the building and outwards at high level. When openings are placed in the boundary separating the two air columns, an upward air flow will be created through the building, exhausting warm air at high level and replacing it by cooler air at low level. This is known as the stack effect. These stack -driven flows rise vertically through a building, but will induce horizontal flows in spaces connected to the column of air rising. These horizontal flows replenish the warm air which is exhausted from the shaft. The shaft can take a variety of forms (see 2.3.3), but Figure 2.2 below illustrates the general principles associated with stack driven flows in an atrium. Source: Caroline Rock, Coventry University Fig. 2.2 Stack driven flows in an atrium Strategies for Natural Ventilation Wind and buoyancy, the driving forces for natural ventilation, may be used for different ventilation strategies: wind variation-induced single sided ventilation, wind pressure-driven cross ventilation and stack ventilation. Single-sided ventilation Single-sided ventilation relies on opening(s) being on only one side of the ventilated enclosure. A close approximation is a cellular building with opening windows on one side and closed internal doors on the other side. Single opening With a single ventilation opening in the room, the main driving force for natural ventilation in summer is wind turbulence. Compared with other strategies, lower ventilation rates are generated, and the ventilating air does not penetrate so far into the space Source: Dyer environmental controls Fig 2.3 Single-sided single opening ventilation Double opening Where ventilation openings are provided at different heights within the faà §ade, the ventilation rate can be enhanced by stack effect. The ventilation rate will be further enhanced by any wind pressures acting on the ventilation opening. As well as enhancing the ventilation rate, double opening increases the penetration of fresh air into the space. Effective to a depth of about 2.5 times the floor to ceiling height. Source: Dyer environmental controls Fig 2.4 Single-sided double opening ventilation Cross ventilation Cross ventilation occurs where there are ventilation openings on both sides of a space. Air flows from one side of the building to the other and leaves through for example another window or door. Cross ventilation is usually wind driven. As the air moves across an occupied space, it picks up heat and pollutants. Cross ventilation is effective up to 5 times the floor to ceiling height Source: Dyer environmental controls Fig 2.5 Cross ventilation Stack ventilation This term is used to describe those ventilation strategies where the driving forces promote an outflow from the building, thereby drawing in fresh cool air via ventilation openings at low level. The strategy makes use of the difference in density between a column of warm air and the surrounding cooler air. Because air flows into the building at low level, then up to a high level exhaust point, great care has to be taken into account when determining the different sizes of ventilation opening on each floor of the building. For equal ventilation rates, the ventilation openings at lower floors need to be smaller than those nearer to the top of the building. The effectiveness of natural ventilation can be enhanced by designing the stack outlet to be in a region of wind-induced negative pressure. The air may flow across the whole width of the building and be exhausted via a chimney, or it may flow from the edges to the middle to be exhausted via a central chimney and or atrium. e.g. Lanchester Library, Coventry University. Fig 2.6 Stack Ventilation strategy at Lanchester Library, Coventry Fig 2.7 Air exhaust via perimeter chimneys, light wells and the central atrium at Lanchester Library, Coventry Source: Pat Non, Coventry University Double Skin Faà §ade A double faà §ade construction consists of a normal concrete or glass wall combined with a glass structure outside the actual wall. Double skin facades offer several advantages. They can act as buffer zones between the internal and external environment, reducing heat loss in winter and heat gain in summer. In combination with ventilation of the space between the two facades, the passive thermal effects can be used to best advantage. Opening windows in the inner skin can draw air from the buffer zone into the building. The stack effect of thermal air currents in tall buildings offer advantages over lower buildings. Night Ventilation Night ventilation is not an additional mode of ventilation; it is simply a different operational strategy. It takes advantage of the natural diurnal variations in temperature to promote cooling. Night ventilation offers many advantages like cooling the fabric of the building at night and also ventilating during unoccupied periods

Tuesday, August 20, 2019

An Analysis Of The Asian Financial Crisis

An Analysis Of The Asian Financial Crisis The miracle that was East Asia came to a sudden halt in 1997.  After growing by an annual average of more than 8%, Asian economies not only shifted to lower gear, they even reversed course.  The collapse of the Thai baht in July 1997 sparked off a massive financial and economic maelstrom in the region.  As exchange rates and stock markets plunged, foreign debt denominated in foreign currencies soared.  Many domestic firms became insolvent, interest rates skyrocketed and credits dried up as panic by domestic and international investors ensued.  Meanwhile ethnic tensions, erstwhile contained by strong economic growth, flared up again, particularly in Indonesia.  This, in a nutshell, was the 1997-1998 Asian financial crisis. Despite prompt and concerted attempts by developing countries, industrial countries and international organization to contain it, the Asian Crisis of 1997 spread to other Asian, Latin and Eastern European economies to varying degrees. In fact, this crisis put one third of the globe into recession in 1998. The crisis raised various questions regarding, not only the future of the regions economy but also about the impact of the crisis on various multinational companies and the world. Reasons Although explanations differ, most accounts now agree that the weakness of Asian financial systems was pivotal. One scenario was that, the liberalization of capital accounts and financial systems in Asia interacted with poor and inadequate regulatory structures.  This led to rapid domestic expansion, as reflected in asset price bubbles, which in turn fuelled more borrowing.  As a result, the economy was held hostage to shocks like changing investor expectations.  When external events pricked the bubble, the spiraling increase in asset inflation became a downward spiral of asset collapses. Another scenario highlights the role of short-term maturity debt and the term structure mismatch between assets and liabilities that made these economies extremely sensitive to investor expectations.  The short-term liabilities of Asian ec`onomies were very high, with someparticularly Thailand, Korea, Indonesia, and Malaysia far exceeding their liquid reserves prior to the crisis.  This made them extremely vulnerable to sudden calls for repayments. Yet another scenario emphasizes the policies of fixed exchange rates followed by Asian governments, which encouraged over borrowing and contributed to the fragility of the financial sector.  When the US dollar appreciated against major industrial currencies, the Asian economies whose currencies were pegged to the dollar also appreciated, thus worsening their export competitiveness.  Poor export performance due to lower competitiveness was compounded by weak domestic demand from Japan, and low cyclical demand for semiconductors worldwide.  This, combined with the vulnerability of Asian financial systems, changed the overly optimistic outlook on Asia.  The stage was thus set for the currency attack and financial crisis. The question still being debated, however, is what made these economies pursue policies that rendered them vulnerable to external shocks, and what economic incentives or disincentives led to the weakening of the Asian financial structure, apparently to its very core? Although much has been written about the Asian financial crisis, two competing explanations dominate the debate over the root cause of the crisis.  One story is that the Asian financial crisis was caused by a panic-induced illiquidity of capital markets, the panic hypothesis or illiquidity hypothesis.  The other story maintains that the Asian financial crisis stemmed from latent structural defects, induced by adverse incentives, which then encouraged excessive risk taking, the so-called moral hazard hypothesis. Panic Illiquidity The panic view, simply told, is that the frenzied haste to divest out of the region resulted in costly asset liquidations, asset price collapses, domestic bank runs and the drying up of credit.  According to those in this camp, economic fundamentals, including government policies in crisis countries may have been unsatisfactory, but did not warrant a crisis.  Real exchange rates, for instance, were only slightly overvalued.  Instead, the crisis occurred because of adverse shifts in market expectations.  These shifts can generally be precipitated by almost anything like the collapse of a big bank, political turmoil or lackluster export performance.  Once panic prevails, however, sound fundamentals become irrelevant.  Market expectations are therefore the key to understanding crises. What the panic hypothesis highlights is the inherent instability of international financial markets.   Structural Defects Moral Hazards The moral hazard view attempts to explain why economies like Thailand, Korea, and Indonesia reached such a level of vulnerability that they were like disasters waiting to happen.  This view maintains that the root cause of the crisis lays in the wrong economic incentivesinduced by implicit or explicit government guarantees, connections with the powers-that-be or interlocking ownership structures-which then led to over borrowing, over lending, and over-investment. In other words, the moral hazard view places bad government policies at the heart of the crisis, even though these very policies were once lauded for achieving fast growth and material improvement for so many people.  The point, however, that the moral hazard camp tries to drive home is that the vulnerability of the Asian economies resulted from the accumulation of many years of bad habits, glossed over while the going was good.  Some of these bad habits were actually residues of the industrial policies and winner-pick ing that, ironically, was thought to have propelled these economies to tiger hood. Policy Implications from the Lessons Learnt The divide between the two views extends to policy implications for a post-crisis, global financial environment.  On the one hand, the panic camps main policy focus was on reform of the international financial system, the inherent instability of which was spotlighted in the Asian crisis.  Grand proposals like the need for an international lender-of-last-resort, an international bankruptcy court, burden sharing between private creditor and borrower alike in the event of a systemic crisis, and better provision of information to minimize uncertainty, were the major policy prescriptions of panic view adherents. The moral hazard camp, on the other hand, was more concerned with removing the incentives that gave rise to economic vulnerability.  It proposed an arms length relationship between banks, instead of the old cozy relationships.  It also advocated increased transparency and improved corporate governance, as well as the strengthening of banking supervision and regulation. Most of the policy recommendations for strengthening the international financial system focused on the following: Improving Corporate Governance Improving corporate governance means addressing the bad incentives or moral hazards stemming from certain ownership structures.  In Asia, these structures include interlocking directorships between banks and firms; family-dominated, corporate ownership; ineffective legal and regulatory frameworks; and a lack of transparency and adequate disclosure rules.  These all contributed to the overleveraged characteristics of Asian corporations.  For this reason, an effective legal and regulatory framework, coupled with strict rules of transparency and disclosure, is fundamental for sound corporate governance and efforts are going on in this direction. Financial Restructuring Closely connected to corporate governance reforms is the supervision of banks and the financial sector.  In contrast to governance issues, however, this is more straightforward.  Bank restructuring, for instance, has had a slow start but has nevertheless advanced.  Solvent firms have been closed, some banks have been recapitalized, mergers are taking place, and Asian governments have established appropriate agencies to take care of foreclosed assets.  Rules on the foreign ownership of banks and financial institutions have also become more liberal, non-performing loans are finally being tackled, and securitization attempted. Financial restructuring must go hand in hand with better corporate governance and an improved regulatory and supervisory structure.  Supervision needs to be tight and strong, professional and arms length.   Regional Cooperation The imperative for maintaining the momentum of systemic and institutional restructuring lies with national governments, but there is some scope for support at the regional and international levels.  Opportunities exist, at a regional level, for East Asian governments to engage in policy consultation and to share their experiences in reforming the corporate and banking sectors.  The formation of the ASEAN Surveillance process is a significant development along these lines.  Its main purpose is to set up a monitoring and early warning system for the region, but it also provides the institutional setting where a frank exchange of views on policy directions in ASEAN can take place and where joint action, if appropriate, can be forged.   Performance of East Asian Economies and Financial Markets since the Crisis After the outburst of the crisis, East Asia recovered at an impressive pace. For those countries most affected by this financial crunch (e.g., Thailand, Malaysia, Indonesia and South Korea), their real GDP growth rates turned from negative in 1998 to positive in 1999 and 2000, and their currency and stock markets also largely recovered. Moreover, interest rates remained below pre-crisis levels, and inflation was well controlled for some time. In addition to the favorable domestic environment for these countries, the international economy also showed an unusually strong performance, giving East Asias economy a lift. The world GDP growth rate surpassed 4.1% in 2000, more than twice the rate of 1998; and the international trade growth rate reached 11% in 2000, more than twice the rate of 1999. Two major factors appeared to explain this fast recovery: Strong U.S. economic growth and currency value. Net cash inflows in foreign direct investment and current account surplus of crisis-hit countries. Factors Contributing to Recovery Following factors appeared to contribute towards the recovery from the crisis: Strong economic growth and solid currency value of the U.S.: The economic growth and the rising import demand of the U.S. generated a positive shock and exerted a strong influence on East Asian emerging economies. We note that the U.S. recorded a strong GDP expansion after the crisis, with growth rates of 4.5% in 1997, 4.3% in 1998, and 3.8% in 1999, and the value of U.S. dollar exhibited an upward trend in those three years. Stimulated by an expanding economy and currency appreciation, the domestic demand for import went up strongly in the U.S. throughout the post-crisis period, creating tremendous export opportunities for East Asian economies. Net cash inflows in FDI and current account: In 1996, the net direct investment and other capital accounts were in surplus, while the current account was in deficit. After the crisis, massive foreign capital fled East Asia. The deficit of capital account was large, which further contributed to the instability in this region. How-ever, the net direct investment remained in surplus and the outflow in capital account slowed down considerably in 1999. In addition, the current account reversed from deficit to surplus after the crisis largely due to increasing ex-ports to the U.S. The overall cash flow balance turned from negative to positive in 1998 because of the sizable surplus in current account and the net inflows in capital account. Hence, the net cash inflows in 1998, 1999, and 2000 have helped the crisis-hit countries build up substantial foreign reserves. Conclusion The Asian crisis was an eye-opener.  The Achilles heel of the Asian economies, their financial systems finally gave in after years of excess.  What caused the financial systems to give way is still a matter of academic debate. A pragmatic reading of the crisis suggests that the bulk of the policy responses had to be carried out on the home front.  It is imperative that domestic reforms focus on both systemic and institutional restructuring.  Asia clearly needed and needs to change continuously.  It needs to be open to the West and the Western style of business, from the provision of information to business relationships.  Domestic efforts should also be supported by regional and international mechanisms.

Monday, August 19, 2019

The Power of Fate and Karma in Macbeth Essay examples -- fate, karma,

Throughout life, many of us will find ourselves in some of the worst situations that leave us wondering who’s to blame. The truth is that the misfortunes that befall us are due to our own actions and sometimes due to fate or bad luck. Fate is one person's destiny and it can not be understood by simple mortals but a greater power beyond human comprehension. Fate is so powerful that it can control a person's outcome on life before it happens. Many people tend to become victims of fate in which they catch a glimpse of what their future is going to look like, but do not totally take hold of the outcome. Macbeth can not fully realize the possible outcome of his fate because he is human, and therefore is a victim to his power driven mission and his ultimate fate. Macbeth's conscience overrides Lady Macbeth's power, filling him with regret and sorrow. He fears what could happen to him in the life to come, with thoughts of an uncertain destiny which worries him while all of his dirty deeds may come back to haunt him. Irony takes place especially when the king thinks th...

Sunday, August 18, 2019

Assimilation “Housing Indigenous Australians in the 1970s” Essay

Since the 1970s the Australian Government started focusing on establishment of houses for Indigenous people in reserve, remote and very remote areas Indigenous housing programs as. Numbers of housing commission "HC" has been built under what has called the Housing for Aboriginal people â€Å"HFA† (1) Consequently, Aboriginal people started moving from overcrowded private rental homes and government houses to public housing tenants in suburban estates. For many Indigenous Australians, this experience negatively affected their obligations to family and community and their conventional pattern of life, because it was based as much on class relations and colonialism view. For this reason, white settlers was justifying the Indigenous people inadequacy participate in social life and / or to assimilate to racist terms, as demonstrating their genetic / biological unsuitability for â€Å"sophisticated life" (2). By another word, white people were represented the problem as social adva ncement rather than determinants of better social and health circumstances. In all of these forms of policies and acts, the expectations by white settlers was that Aboriginal people did not have adequate culture to be able to participate in normal social life. The standard of the education, childrearing nuclear family life, neighbourly interaction, hygiene and clean housing were the fundamental elements around these housing programs. On the other hand, Aboriginal people were needed to absorb these to be able to leave the poor conditions and to acquire citizenship rights (4). This essay will explore the cultural and social and negative impacts of New South Wales Housing Commission (HC) during 1970s, at the end of what is called as the Assimilation Era and impacts of ... ...ious Aborigines people in New South Wales found out some important connections between prevalence of those psychiatric disorders and the circumstances in the housing commission. These findings recommend that some conditions involved adaptation to the normal life circumstances within the whole society and/or accumulative new behaviour increases the vulnerability of illicit drug use and depression. (8) Furthermore, higher levels of at-risk behaviors have been noted among Aboriginal adolescents during the assimilation era. These behaviours include poor physical health, risk factor for disability, face a self-assessed health disadvantage, aggressiveness and emotional distress. However, this may bias by the disproportion of socioeconomic factors. By another word, lower socioeconomic level increase the risk of such health outcomes.

A Life Ruined by Drugs :: Illegal Drugs Narcotics

Susan is an anti-social, quiet and a kind decent girl.......she is good in her studys and came from a fine and educated family. She actually did not intend to go to the party but one of her best friend insisted.....so she bid to her request... When she reached the party, her best friend when away to find her own friends leaving Susan alone..Due to Susan's anti-social attitude, she went to a Dark corner of the house n sat quietly alone. Not long later, a group of 5 girls came to talk to Susan....Susan was quite afraid of them because of their numerous Piercing n weird dressing..But after talking to them for quite a moment, she thought that they were quite friendly n became friends with them. After a while, they Offered her a drink. Susan looked at the cup and thought,’ it’s just a plain cup of fruit punch.....it should be alright''and without second thoughts, she drank it.....she did not even thought that just because of this cup of fruit punch, her future is all ruin....all ruin...After a while later, she suddenly felt a gush of dizziness...but also Having a feel of being in cloud 9......She asked the girls why she experience this kind of feeling and not intending to hide the truth, they told her that they had Added oxycontin, a drug to let people feel high and get away from all the stress. Susan was shocked at first...and wanted to go home and rest....but the effectiveness of the drug was too strong for her to overcome....so she allowed the drug to take over her....it was not only about her....it also affects her future.....her life.....her actions.... Then, unlike herself, she went to dance in the crowd and was shouting and having a great time....but suddenly the sound of the police siren travelled to her ears..... Soon, in her blurred vision, everyone was scrambling to their feet and forcing their way to the exit.....there was already a serious ‘‘traffic jam'' at the doorway and Susan was still standing rooted to the ground laughing to herself. Where were all her friends? Those who actually the so-called ''friends’’ who brought her in to the drugs world without her aknowledgement?where It was suddenly a total silence.

Saturday, August 17, 2019

Call centre Essay

Call centre technology is subject to improvements and innovations. Some of these technologies include speech recognition software to allow computers to handle first level of customer support,text mining and natural language processing to allow better customer handling, agent training by automatic mining of best practices from past interactions, support automation and many other technologies to improve agent productivity and customer satisfaction.[1] Automatic lead selection or lead steering is also intended to improve efficiencies,[2] both for inbound and outbound campaigns, whereby inbound calls are intended to quickly land with the appropriate agent to handle the task, whilst minimizing wait times and long lists of irrelevant options for people calling in, as well as for outbound calls, where lead selection allows management to designate what type of leads go to which agent based on factors including skill, socioeconomic factors and past performance and percentage likelihood of clo sing a sale per lead. Premise-based Call Centre Technology Historically, call centres have beenbuilt on PBX equipment that is owned and hosted by the call centre operator. The PBX might provide functions such as Automatic Call Distribution, Interactive Voice Response, and skills-based routing. The call centre operator would be responsible for the maintenance of the equipment and necessary software upgrades as released by the vendor. Virtual Call Centre Technology[3] With the advent of the Software as a service technology delivery model, the virtual call centre has emerged. In a virtual call centre model, the call centres operator does not own, operate or host the equipment that the call centre runs on. Instead, they subscribe to a service for a monthly or annual fee with a service provider that hosts the call centre telephony equipment in their own data centre. Such a vendor may host many call centres on their equipment. Agents connect to the vendor’s equipment through traditional PSTNtelephone lines, or over Voice over IP. Calls to and from prospects or contacts originate from or terminate at the vendor’s data centre, rather than at the call centre operator’s premise. The vendor’s telephony equipment then connects the calls to the call centre operator’s agents. Virtual Call Centre Technology allows people to work from home, instead of in a traditional, centralised, call centre location, which increasingly allows people with physical or other disabilities that prevent them from leaving the house, to work.[4] A predictive dialing system running out of phone numbers. Cloud Computing for Call Centres Cloud computing for call centres extends cloud computing to Software as a service, or hosted, on-demand call centres by providing application programming interfaces (APIs) on the call centre cloud computing platform that allow call centre functionality to be integrated with cloud-based Customer relationship management, such asSalesforce.com or Oracle CRM and leads management and other applications. The APIs typically provide programmatic access to two key groups of features in the call centre platform: Computer Telephony Integration (CTI) APIs provide developers with access to basic telephony controls and sophisticated call handling on the call centre platform from a separate application. Configuration APIs provide programmatic control of administrative functions of the call centre platform which are typically accessed by a human administrator through a Graphical User Interface (GUI). * Call Center (18SB Allahabad/IMA 134th course) * International Terrorism (18SB Allahabad/IMA 134th course) * Indian Economy (18SB Allahabad/IMA 134th course) * Status of Women in India(18 SSB Allahabad/38 Tech SSC ) * E governance(22 SSB, Bhopal/ssc(w) tech ) * Health tourism(22 ssb, bhopal/ssc(w) tech ) * Favorite Actress(22 ssb, bhopal/ssc(w) tech ) * India and USA changing world(20 SSB Bhopal) * Criminalization in Politics(20 SSB Bhopal) * Smart card(20 SSB Bhopal) * G 8 Nations (24 SSB Bangalore) * E-Commerce(11 SSB Allahabad; IMA-134th Course) * Higher Education in India(33 SSB Bhopal) * Social Effects in Pornography(33 SSB Bhopal) * Gay Rights(34 SSB Allahabad) * Instant Cricket(34 SSB Allahabad) * Global Warming:Fact or Fiction(24 SSB Bangalore) * Favorite Pass time(24 SSB 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(22 SSB BHOPAL TGC 115) * CO-ED-EDUCATION (22 SSB BHOPAL TGC 115) * AIDS (22 SSB BHOPAL TGC 115) * NCTC(34 SSB) * Information Technology(34 SSB) * Medha patkar(34 SSB) * Is India a soft country(34 SSB) * India’s Nuclear policy (21 SSB, Bhopal) * National anthem(17SSB) * G 20(17SSB) * Volcano(17SSB) * Sachin tendulkar(17SSB) * Secularism (17 SSB) * Joint Family Vs Nuclear Family (22 SSB Bhopal) * Naxalism (19 SSB Allahabad) * Child Labour (19 SSB Allahabad) * Wildlife protection (22SSB Bhopal) * Global warming (22SSB Bhopal) * Water Crisis (22SSB Bhopal) * BPO in India (22SSB Bhopal) * Reverse Brain drain (22SSB Bhopal) * Naxalism (22SSB Bhopal) * Professional education in India (22SSB Bhopal) * National integration ( 11 SSB) * India’s architecture ( 11 SSB) * Dog Man’s best friend ( 11 SSB) * Ragging ( 11 SSB) * IT ( 11 SSB) * students union ( 11 SSB) * Alternate source of energy ( 11 SSB) * Eye donation ( 11 SSB) * Terrorist problem in Kashmir * first day in college life. * Naxallism. * Nuclear reactor in India * UID cards ( ATM, Credit cards) * Freedom movement of India * If you become the prime minister. * Achievement in Life * World Peace * Development of Science * Pros and Cons of science * Tel about your native * Knowledge is power * Power of Press * Defense system of India * Co-Education * The Newspaper * The T.V * N.C.C. * Dictatorship * UNO * War in srilanka, libya * SAARC, G8 * Cricket in India * Hockey the national game * Foot ball in India * Compulsory Military Training. * Corruption and Bribe * India the super power * Indo-pak war or Indo-pak conflict * IIT and IIM standard with International standards * Transportation in India * Migration of Students to Foreign * Missiles in India * India in Space Research * ISRO * Unemployment in India * Unforgettable moments in Life * Favourite book * Your Hero(napolean etc) * Women at the society * Security for the women in India. * Quota for Indian Constitution * 33% reservation for women * Youth in Politics * Exercise makes us fit * Global warming * Life of poor people in India * Saving of Rain water or Ground water management. * Sea water to drinking water project. * Solar energy to electrical energy project. * Petrol price hike in India * Gold mines in India * Natural resources of India * BPO jobs in India * City expansion and destruction of yielding lands in India * Computer * Recycling of Waste * Security of India * NSG and security forces * Does china a threat for India * Why to keep the enviroment clean * Why people hesitate to join Armed forces. * Upstairs and Downstairs * Interlinking of Rivers * BPO vs KPO * Democracy * Effect of Pornography * Education in Rural India. * Nanotechnology * Child marriage, * Sensex boom, * Where there is a will there is a way, * My favourite sportsman. * Honesty is the best policy * Superstition in India * Dieting

Friday, August 16, 2019

Automobile and Cycling Essay

Cycling is one of the oldest means of transport. Inventing bicycles was an enormous step in the history of transportation. Bicycles didn’t need horses or wains as a result transportation became much simpler and cheaper. Moreover the previously smelly and dirty towns turned into healthier and cleaner places. Nowadays, however, when there are several faster ways of travelling, is there any reason to ride a bicycle? Although in our more technologically developed days bicycle are rather old-fashioned way of travelling, it has certain advantages. To begin with, bicycles are much cheaper than cars and motorcycles so that a lot of people can afford to buy them. Moreover, cycling is a great, physically demanding sport. As a result it could be an essential part of a healthy lifestyle or even a balanced diet. If people used it only for go to work or school it would provide them enough movement to avoid weight problems. Finally cycling is very environmentally friendly because it doesn’t need fuel or electricity. On the other hand cycling as a mean of transport does have its disadvantages. It usually takes longer than other forms of travel. As a result it can be more tiring. In addition, riding a bicycle in the city can be a little unhealthy. Cities’ air is very polluted because cars and factories exhaust a lot fume and chemicals. Furthermore cycling can be dangerous also. In the heavy traffic violent and careless car drivers often cause accidents and if we aren’t enough careful we can easily get hurt. All things considered, although there are some disadvantages of cycling I believe it is healthier and more enjoyable than driving a car. It can be dangerous but it is a perfect method to keep ourselves fit. Furthermore, in our crowded cities travelling by bicycle often the fastest way to reach our destination.

Thursday, August 15, 2019

Hrm Case Essay

Case Summary Randstad, employment agency, has taken a distinct approach in staffing its personnel into partnership teams. Employees are partnered up into teams of two, typically one from Generation X and the other from Generation Y. The extreme age gap between team members has proved to be a success for the organization, because both individuals can learn from one another. Despite the fact that one team member may have more experience than the other, all members of the team are each other’s equal. The members’ tasks are constantly alternating, â€Å"each week one person is out making sales calls, and the other is in the office interviewing potential workers and handling paperwork† (Noe, Hollenbeck, Gerhart, et al, 2010, p. 264). As a result, this team based of approach of staffing older experienced personnel with younger developing staff members has increased the organizations retention rate and productivity levels (Noe, Hollenbeck, Gerhart, et al, 2010). Questions 1. Personnel selection decisions typically are based on the fit for one person for one job. In what way does Randstad’s use of partnership teams alter the typical way one might think about selection decisions? While other organizations are looking for particular characteristics in an individual for a single position, Randstad is looking for meticulous characteristics and qualities that are going to be complimentary with the other member. In addition, Randstad must also ensure that candidate has the proper qualities and skills to successfully complete the position’s tasks. Randstad has to look at the selection process as fitting two puzzle pieces together, finding the proper fit. Just because an individual is good for the position doesn’t mean that he or she will be a good pair with the member. The human resources staff must carefully find the proper â€Å"ying and yang† to each team that is set up. 2. What are some personal characteristics that might be viewed positively when staffing a single job, but that might actually be viewed negatively when staffing partnership teams? When staffing a single job, a positive characteristic to look for is an individual who regularly uses â€Å"I† in his or her statements (Noe, Hollenbeck, Gerhart, et al, 2010). This type of response indicates the individual possess some form of accountability which is imperative for an employee who will be working alone. However, this characteristic isn’t necessarily functional for staffing partnership teams where communal behaviors are necessary to be successful. In addition, an aggressive competitor might be ideal for a single position because it shows that the employee will be productive and eager to achieve and exceed goals. This characteristic is not ideal for a partnership position that works together as one unit. Because an individual is naturally competitive by nature, he or she might not be willing to stand back and be lead by the other team member. 3. Randstad deliberately creates variance in age when forming partnership teams. In what ways might younger workers and older workers be in a position to uniquely support each other when working in sales teams? Having a variance in age when formulating partnership teams creates an advantage and allows both individuals to uniquely support each other. The experience and wisdom of Generation X can be shared with Generation Y. There are many obstacles that the team member can guide their partner through because they have encountered similar situations and issues in the past. In addition, the younger individual can incorporate a sense of modernization into the team. The case study touched on a particular situation where Benjamin suggested they begin to use the electronic payroll system (Noe, Hollenbeck, Gerhart, et al, 2010). This example illustrated a scenario where the younger team member was able to bring a efficiency to the team. In addition, the case study mentions that the partnership allows younger team member to see the â€Å"corporate world more personal, approachable† (Noe, Hollenbeck, Gerhart, et al, 2010, p. 264). 4. Other than age, what other types of traits or abilities might one want to see when creating variance in partnership teams? Besides age variance as being the distinct characteristic in a partnership team, there are a few other traits or abilities that can be used to create variance in a team. Culture is a great foundation for setting up successful teams. Diversity in culture can have many positive influences in a team environment. The distinction in mannerisms and values can be shared between teammates. Background experiences can be another bases for establishing partnership teams. Teammates that have different experiences and knowledge can assist one another in accomplishing goals successful. For instance, one team member might be very knowledgeable in areas of technology and the other individual might be well informed with the company’s policies and procedures. Both individuals together can be a unique and complimenting arrangement. References Noe, R., Hollenbeck, J., Gerhart, B., & Wright, P. (2010). Human Resource Management: Gaining a competitive advantage 6th Ed. New York, USA: McGraw-Hill

Wednesday, August 14, 2019

Critique: Effects of Class Size and Instruction on Kindergarten Achievement Essay

Introduction This article discusses some very important points that will affect many children as they begin the first steps of their education. It is fairly clear that the authors have done quite a bit of research on the effects of the classroom size and the achievement of kindergarten students. Both authors are affiliated with the same school, the University of Wisconsin-Madison. In reviewing the article, the authors point out some important details pertaining to the quality of the teacher as well as their method of teaching in an effort to keep in line with the NCLB Act(No Child Left  Behind Act). The main aim of the authors is to prove that the size of the class may affect a student’s academic progress because there have been mixed findings in the past as to the validity of this issue. Literature Review One of the main sources used by the authors in their review of literature was an experiment done by students in Tennessee in the 1980’s called STAR (Student Teacher Achievement Ratio). â€Å"Researchers have referred to STAR as: â€Å"one of the great experiments in education in U. S. history (Mostellar, Light, & Sachs, 1996). † The variables are mainly the  Kindergarten class size and the teacher’s instruction methods which are well defined throughout the article. Statement of Problem This research study was conducted to determine whether teacher quality is more important than class size for achievement. The hypothesis is explicitly stated in this article and gave sufficient understanding of the specific variables that were to be studied in the article. An example of the hypothesis would be â€Å"teachers may teach differently in larger and smaller classes, Experimental Design 3 some instructional practices may be more effective than others in a smaller class, students may  behave differently in larger and smaller classes†. (Milesi & Gamoran, 2006, pp. 291-293) The authors have made a very convincing argument concerning the stated hypothesis because they used reading and math data collected from children’s classroom experience, classroom size and their teacher’s instructional methods to come up with their definitive conclusion. Methodology The kindergarten class size was measured from a sample of 21,260 children that were enrolled in approximately 1,000 kindergarten programs. It also consisted of children from various racial and ethnic backgrounds as well as socio-economic backgrounds. Some of the children studied were from private kindergartens and others were from public school kindergartens (Milesi & Gamoran, 2006, pp. 293-294). Data was collected twice throughout the year, during the spring and the fall. Most of the authors mentioned used data that was supplied at the beginning and at the end of the student’s kindergarten year. The parents were asked questions concerning their socio-economic background. In determining the student’s cognitive achievement, information was gathered from the children using a one-on-one computer assisted interview. Data in the areas of reading, math and general knowledge was used to assess the students. In evaluating the teachers, they were interviewed in the fall and in the spring of a particular kindergarten year (Milesi & Gamoran, 2006, pp. 291-293). There was some concern about the validity of the study because there were some limitations on how the data was gathered from the teachers. There were questions as well as interviews which investigated the teacher’s instructional methods because it captured more of what a teacher’s intentions were as opposed to the teacher’s accomplishments through the year. Experimental Design 4 The authors had a few limitations but if they wanted to use the descriptive method to demonstrate whether or not the quality of a teachers’ instructional method versus the size of the class played a larger part in a kindergartner’s achievement, it was a necessary step (Milesi & Gamoran, 2006, pp. 296-297). Results The researchers presented very descriptive statistics for all the student levels and class level variables that were used in the analysis. There were descriptive statistics presented for large and small classes. The researchers weighed the statistics at the student level but not at the class levels but they used descriptive statistics for both the original and the mean-imputed variable (Milesi & Gamoran, 2006, pp. 299-306). Discussion The researchers have offered no evidence that the class size affects reading or math achievements for kindergarten. The major findings were that class size does not affect the achievement of kindergarteners on an average nor does it affect any particular group of students. The researcher’s findings for the class size differ from those of Project STAR (Student Teacher Achievement Ratio). It was not determined whether the same teachers use different instructional methods in classes of different sizes (Milesi & Gamoran, 2006, pp. 299-309). Experimental Design 5 References Mosteller, F. , Light, R. J. & Sachs. J. A. (1996). Sustained injury in education: Lesson from skilled grouping and class size. Harvard Educational Review, 66, 797-842. Retrieved on February 17, 2011 from ERIC. Milesi, C. , Gamoran, A (2006). Effects of Class Size and Instruction on Kindergarten Achievement. Educational Evaluation and Policy Analysis, 28:4, 287-313. Retrieved on March 17, 2010 from http://eepa. aera. net.

Tuesday, August 13, 2019

Week 11 IND WORK Research Paper Example | Topics and Well Written Essays - 250 words

Week 11 IND WORK - Research Paper Example Usually it is the responsibility of the legal assistants (paralegals). Basic sections of the trial note book for this case is as follows; In this case, Joseph Delgado is the plaintiff who raised the claim against the BioMed Pharmaceutical, Inc. Plaintiff works as a certified public accountant in the BioMed Pharmaceutical, Inc. Plaintiff’s attorney for trial is Laura Broke. Her address is Popson, Pierce, Rueber, and Burke Attorneys at Law 5293 St. Clair Avenue Montgomery, Alabama 36101 (205) 725-8788 [facsimile number]. The document of the trial includes the facts which shows that both the companies i.e. Rawlings Maintenance Cooperation and diversified Security Solutions are the close friends of the defendant company. Characters includes in this case are; Joseph Delgado the plaintiff, defendant pharmaceutical company, Rawlings Maintenance Cooperation and diversified Security Solutions (supporter of the defendant), plaintiff witnesses Carl Logia, Maria Mendez and some others. As in this, the accident is not caused by the negligence of our client but it was an accident that was caused by the negligence of the security and maintenance companies. Therefore because of the convincing claim of our client would be deemed by the

Monday, August 12, 2019

Hacking the Accounting Information System Research Paper

Hacking the Accounting Information System - Research Paper Example One of the companies which got hacked in recent times is Microsoft .inc. According to ( Smith,2012)â€Å"In simple terms computer hacking and cracking reflects, the intentional, unauthorized access to an organization’s computer system†. So the companies need to be alert and take considerable responsibility to secure its Accounting Information System (Thesis).Accounting Information System is a process which needs high security as many crucial and essential data are handled in it. Any business concern needs to take the responsibility to secure the confidential data so as to protect the company from hackers and unidentified encroachment. The business organisations have the responsibility to invent and install upgraded security system to ensure confidentiality and risk free environment for the company and its customers. Microsoft being the most prominent company in the world had been hacked few times .Thus the accounting information system along with the management has undergone many challenges and losses. The company was hacked in 2012 by a group of Chinese hackers and in 2013 a java script was injected in the business system of the company. The Microsoft security response centre states the Microsoft Active Protection was a program that provide security for program that gives anti –hacking tool facility. However, the Microsoft did deny that hacking was not done by Chinese group but it was a â€Å"rookie mistake†. They said it was due to dodgy email attachment. So here we can see that hacking can be done even if the e- mails which are socially engineered to disrupt the business system. As per (Peter,2013 ) â€Å"As reported by Face book and Apple, Microsoft can confirm that we also recently experienced a similar security intrusion," wrote Matt Thomlinson, General Manager of Microsofts Trustworthy Computing Security. Unlike the New York Times and the Wall

Product Name and Package Essay Example | Topics and Well Written Essays - 500 words

Product Name and Package - Essay Example There is already a well-coordinated ice cream network in the region, with extensive help of the several chains of supermarkets. Most the ice cream products sold in France occur in the supermarkets, hypermarkets and other ice-cream shops. The product logo has exploited the use of what the French people love most: their dessert, wine, and new culinary creations. There is a sense of the French culture the product logo. The English translation of the name means endless joy. The product drives the message that it could bring endless to joy to every consumer that partake a product. The people could be motivated to purchase the product because they associate the product to the love for their culture. It develops the feeling of pride. The color and message driven by the use of the words attract the attention of the customer. The color of the logo is quite similar and sensitive to the different types of ice cream sold in the market. The graphics used in the writings are readable. The front too is okay, as the letters are well outlined. Haagen Dazs has exploited most of the above name features in advertising their brand in the market. At one moment, the Hagen Dazs company was experiencing problems in the market primarily because of the constant increase in competition in the market. The company management decided to address the issue with having a complete product rebrand. The company exploited the people love for honey, by associating their product flavors to be from the bees. This was present in the product logo, marking the company a success once more (â€Å"Haagen-Dazs supports cause†). The advertising aspect of the product adheres to the local rules on food and beverages. The law is against advertising of alcohol to underage kids. Despite having several alcohol flavors in the brands, the logo does not anything alcoholic in promoting the product. However, the firm has taken certain measures in ensuring that the alcoholic

Sunday, August 11, 2019

Production Of A Klashnikov Coursework Example | Topics and Well Written Essays - 1250 words

Production Of A Klashnikov - Coursework Example Part 1: One of the production method used in producing most of the riffle part is through KB-P-580, which serves to be more reliable than most of the other production method and way more better handling characteristics, this method was used in 1948 in Izhevsk factory. Its banana shaped magazine or cartridge is manufactured through curve which is smoothly fed with ammunition, the steel used is quite heavy mixed together with feed-lips which makes it highly resistant to damage in the long run. The design of the magazine is borrowed from other guns and was used in AS-44 model by the soviets. The receiver which anchors the integrated gas piston and the trigger is made of sheet metal with milled trunnion insert. In the year 1940, it took about 150 totally different machine motions to make it.so the new method of making it has differently changed it and help reduce the weight of the gun to only 8 pounds. The gas piston and bolt carrier contained in the receiver were deliberately structured to fit loosely in the receiver and the aim for this is to stop carbon buildup, dust and rust. What should be noted here is that this method of loose fit was borrowed from other designers like Sudayev and the concept was used by several other people after his death. The stock of the AK-47 rifle is made of wood. There have been a lot of developments when it comes to the making of this particular type of gun and some of its features being borrowed from other gun designs. Guns which have folding stocks are better fitted for tighter spaces for instance airborne troops. A combination of the bolt carrier and gas piston make up the gas piston which is a design that is not original but borrowed from another gun. The design is made to provide more energy to the operating system of the gun. How it works is that, when each round is fired, there is a gas which enters into a chamber through a port in the top of the barrel which in turn drives back a piston that then withdraws the bolt from the chamber and removes the already used cartridge. The magazine contains a spring which pushes the next cartridge into its place. There is a return spring which pushes the piston and bolt in front placing the cartridge in its chamber in readiness to fire once again. This system is much better since its stroke is 50% longer than usual which makes the gun versatile and still performs even when infiltrated by foreign substances like water which impedes lubrication. The protective coating of the gun is a phosphate coating which increases its reliability when it comes to rus ting. The chamber and barrel of the gun are actually chromed which also helps fight rusting. These anti-corrosive features of the gun are very key when it comes to harsh climate conditions like in times of war. Compared to other guns like an M16 before their chambers and barrel were chromed and which there protective coating were vulnerable to corrosion, AK-47 stood out in this aspect. The selectors switch which regulates when the gun can fire and when it cannot. The options of the switch are; safe, semi-automatic and automatic. When the gun is in the safe mode it is not able to fire. When it is the semi-automatic the shots are single shot and finally the automatic mode which fires rounds in a continuous mode when the trigger is pulled. Finally the trigger of the gun is a borrowed design from the M1 design created by John c and a German gun maker called Schmeisser who was in prison at the time the legendary AK47 rifle was made. Part 2: One production method I would use to produce th e riffle is Izhmash production method which produces around 95 units per hour which is an equal amount of over 1 million units per year. The fact that while using this method most parts are joined using hands, makes it more effective and accurate increasing

Saturday, August 10, 2019

A guide to taking a patient's history Essay Example | Topics and Well Written Essays - 750 words

A guide to taking a patient's history - Essay Example ‘A guide to patient’s history obtaining Nursing’ article by Lloyd and Craig investigates the approach of gathering history of a patient. The guide identifies the procedure and reason of patient’s history obtaining, the significance of environment preparation and how efficient skills of communication aid in the taking of accurate history. Article summary Correct patient history is crucial because it provides the doctors or nurses and healthcare management with the effective information required in carrying out their assignments. The environment preparation offers patient safety, correctly equips them and eliminates any form of patient or nurse distractions during history taking process. The patient may feel uncomfortable talking over some sensitive matters if some distractions occur in the environment, or the nurse seems not to be attentive. The setting should be private to make the patient confident to give private information without reservation. The nurse should ensure respect for the patients, which involves respecting the values and beliefs and privacy, confidentiality and dignity of the patients, and the capacity to be non-judgmental and highly professional throughout the process. Effective communication skills are crucial to allow obtaining of a comprehensive history, while the medical practitioner should obtain patients consent before the commencement of the intervention. After obtaining the patient consents, the nurse should follow the below overall standards when collecting patient’s information. First, Introductions are crucial for the creation of patient-nurse relationship and mutual trust and to help set an interview process tone, and investigate how the patient prefers to be addressed. Pay attention to the patient’s history as this provides a systematic order of information. Closed questions offer additional information and enlighten patient’s story. Clarification, which entails recalling back to the parson and comprehension of the history, comments and disease symptoms, is crucial. After complaint presentation, the nurse should take the medical history of the patient and investigate other related histories and records of the patient. It also provides crucial health information background such as cancer history and about diagnosis, sequence, disease management and dates. Mental health history investigates whether the patient has experienced any mental challenges in the past. Investigate the present coping mechanisms of the patients including anxieties over health challenges (malignancy suspicions, future surgery, test outcomes) or advanced mental challenges like bipolar disorder. Medication history is crucial to investigate the previous and current medication that the patient may be using. For instance, the source and form of medicine used, whether the medicines were prescribed by a doctor, bought from pharmacy or acquired from other sources such as herbal medicine and homeopath ic remedies. Family history should be established because it can provide a significant source of familial conditions like cerebral malaria, dementia history, asthma and diabetes history, which might aid direct patient healthcare management. Social history – experts agree that a person’s capacity to cope with health alterations depends on his social welfare. The nurse should investigate the function level and any long-term functional change due to illnesses, (Lloyd & Craig, 2007). The nurse should investigate the patient’s family relationship, social membership and other social support networks. Sexual history covers sexual health, and some of the sexual infections that the patient may have experienced. For instance, in men investigate about past infections of urinary tract and STIs and possible treatments offered. In females, explore date of menstruation, menarche regularity and characteristic of pregnancies, abortion, life births and periods as well as risks of STIs infections, (Lloyd & Craig,