Wednesday, July 31, 2019

Washing Dishes Process Essay

Mrs. Morris English Comp 106 27 March 2013 Washing Dishes A nice meal was just enjoyed by the family. Everyone is sitting around the table with full stomachs not wanting to get up, but it has to be done. All the essential items are already out. Gloves, dish soap, dish strainer, a sponge and table full of dirty dishes. It's time to wash the dishes. Depending on what situation you're faced with determines weather or not you should wear rubber gloves to wash the dishes. If you are wearing a hoody or shirt with long sleeves now is the time to roll them up and put on an apron to minimize the chance of your clothes getting wet.As you take the dishes off of the table scrape all food items into the garbage can. Any napkins and straws should be thrown away also. This reduces the chance of your sink getting clogged. Set the dishes, cups, and silverware on the counter essay writer promo code. Fill the sink up with warm not scalding hot water. Add the dish soap of your choosing to get a mixture of suds within the water. Place the dishes into the sink gently, so there aren't any splashes. If there is enough time the dishes can soak to make washing them even easier.Pots and pans may also soak for easier washing. Take the sponge and get it wet. Grab the plates from the sink and begin to scrub off any food particles that may be stuck on. Rinse off the plates with warm water and make sure all the food and suds are off. Place in the dish strainer to dry. The cups need to have a little extra attention paid to them. Liquid can dry on the bottom and become stuck making it difficult to remove. If you can't reach your hand all the way inside of the cup use the handle of a fork to push the sponge in.Thoroughly rinse the cup inside and out with warm water. Place upside down in the dish strainer so the water will run out. Silverware is probably the most important to make sure it's clean. It goes in our mouths and serves our food. Wash one piece at a time to ensure maximum cleanliness. G rab the handle and scrub opposite end very well. Rinse with hot water. Dish strainers usually have a designated spot for the silverware to stand vertically; place them there. Pots and pans are the dirtiest and hardest to clean.Food gets baked on from cooking and depending how long they have been sitting; it can get really hard. Keep some warm soapy water inside of the pots and pans. Some force may be required to chisel some of the food particles off. Rinse with warm water and place upside down in the dish strainer. The dishes are done! Rinse out the sponge and squeeze out any excess water. Let all of the water out of the sink and wash down any remaining suds down the drain. The dishes can stay in the dish strainer and air dry or be dried with a towel and put away.

Tuesday, July 30, 2019

Descriptive ethics Essay

Morality is the intentions, decisions and actions between a good choice and a bad choice. Morality is the concerns beliefs according to good and bad behavior. Morality is something every single person has weather they are a good person of character or a bad person of character. According to philosophy ethics is morality. Ethics is a moral code the study of morality using tools and methods of philosophy. A moral is what you are taught and practiced. Some of the things we are taught and practice are right and wrong, good and bad. Although ethics are morals; there are different types of ethics that go with the use of morality. Descriptive ethics, normative ethics, Meta ethics, applied ethics, and bio ethics. Descriptive ethics is the methodology of science within the study of morality; peoples beliefs on morality. It helps to decided what people think is right. Normative ethics is justification of the moral standards of norms; the ideal way people should act. The justification of basic moral beliefs is called Meta ethics. Meta ethics helps to define what is â€Å"right†. Applied ethics are concepts and norms that are used to resolve practical moral issues. Applied ethics tell us how do we take moral knowledge and put it into practice. Ethics that are focused on health care, medical science and medical technology are called bio ethics. Morality is the behavior as it is affect by these moral principles. Moral principles are personal conduct that is accepted by individuals or social groups. There four different types of moral principles; autonomy, beneficence, utility and justice. One of the types of moral principles are autonomy is the basis for determining moral responsibility for your own actions. Autonomy is referred to self-government of people. An example of autonomy is being able to direct one’s life and choose for them. Beneficence is doing the good thing for others without doing harm to them. Beneficence is understood to be the first principle of morality. It is to do well to others but avoid the bad that can come. The next moral principle plays a big part of creation and revaluation of health policies of institutions and society, this is called utility. Utility increases happiness and decreases suffering. Lastly is justice this is a concept based on ethics, law, religion and fairness. It is the right to protect people from basis discrimination of race gender sexual orientation age and ethnicity. In my opinion moral principles should be an absolute consideration and not subjected to compromise; although they are subjected to compromise. Autonomy is to direct one’s life and chose for themselves, although some people are dependent on others and let others make decisions for them, it should be their own choice.

Monday, July 29, 2019

Analysis Of Mobile Communication Communications Essay

Analysis Of Mobile Communication Communications Essay Wireless communication has become a ubiquitous part of modern life, from global cellular telephone systems to local and even personal-area networks. This book provides a tutorial introduction to digital mobile wireless networks, illustrating theoretical underpinnings with a wide range of real-world examples. The book begins with a review of propagation phenomena, and goes on to examine channel allocation, modulation techniques, multiple access schemes, and coding techniques. GSM and IS-95 systems are reviewed and 2.5G and 3G packet-switched systems are discussed in detail. Performance analysis and accessing and scheduling techniques are covered, and the book closes with a chapter on wireless LANs and personal-area networks. Many worked examples and homework exercises are provided and a solutions manual is available for instructors. The book is an ideal text for electrical engineering and computer science students taking courses in wireless communications. It will also be an invaluab le reference for practicing engineers. Wireless communication technology is diffusing around the planet faster than any other communication technology to date. Because communication is at the heart of human activity in all domains, the advent of this technology, allowing multimodal communication from anywhere to anywhere where there is the appropriate infrastructure, is supposed to have profound social effects. Yet, which kind of effects, under which conditions, for whom and for what is an open question. Indeed, we know from the history of technology, including the history of the Internet, that people and organizations end up using the technology for purposes very different of those initially sought or conceived by the designers of the technology. Furthermore, the more a technology is interactive, and the more it is likely that the users become the producers of the technology in its actual practice. Therefore, rather than projecting dreams and fears on the kind of society that will result in the future from the widespread use of wireless communication, we must root ourselves in the observation of the present using the traditional, standard tools of scholarly research. People, institutions, and business have suffered enough from the unwarranted prophecies of futurologists and visionaries that project and promise whatever comes to their minds on the basis of anecdotal observation and ill understood developments. Thus, our aim in this report is to ground an informed discussion of the social uses and social effects of wireless communication technology on what we know currently (2004) in different areas of the world. We would have like to consider exclusively information and analyses produced within the rigorous standards of academic research. This constitutes a good proportion of the material examined here. The rise of mobile communication Mobile communication has diffused into society at a rate that is unprecedented. On a world basis, the number of mobile phone s rose 24% between 2000 and 2005. According to the International Telecommunications Union (ITU), there was about one telephone subscription for every third person in the world (2005).2 At the same time there were about half as many who had access to the intent (ITU 2005). The highest adoption rates are found in Europe where there are approximately 82 subscriptions per 100 persons. In Oceania (Australia, New Zealand, etc.) there are 69, and in the Americas there are 52 subscriptions per 100 persons. Following this Asia had 22 subscriptions per 100 and Africa had 11. While the adoption rate in Europe has levelled off, there is an almost Klondike like atmosphere in many other countries. The growth rates in India and China are far above 50% per year. In addition, growth in sub-Saharan Africa often tops 100% and sometimes even 200% per year.3 Thus, in the last decade; we have seen the widespread adoption of a new form of communication.

Muslims in America Essay Example | Topics and Well Written Essays - 1000 words - 1

Muslims in America - Essay Example The essay "Muslims in America" talks about the position of Muslims in the United States of America after the WTC attacks and the 9/11 attacks when the Muslims Groups tried to kill the American people. The terrorist attacks in the US had played a major role in settling beliefs in minds of young and innocent Americans. Muslims have played a very important role in integrating with the culture of the USA. There have been many Muslims rappers in the country. Muslims have been vocal in their opinions through magazines and other means of public publications. There are Muslims Comedy groups up and running in many parts of the country and they all share a common sense of humour which is nowhere connected with the plight of Americans suffering from terrorism. The Sunni Muslims in the USA are in the majority, while the Shia Community is in the minority. They both follow their schools of jurisprudence, and more than 2/3rds of the Muslims believe that religion is an important tool to strengthen one’s life. The Muslims have integrated very well with the rest of the population in America. Although there were some doubts in the early part of the 20th century, all these doubts were erased when the Blacks living in the USA started converting to Islam, as the religion provided the best possible means to live a life which was devoid of any discrimination as opposed to Christianity. The Wall Street Journal in its report had claimed that the Ameri can Muslims had been projected as role models for the Muslims.

Sunday, July 28, 2019

The President Can Only Read One Page (Line from US TV Series The West Essay - 1

The President Can Only Read One Page (Line from US TV Series The West Wing) - Essay Example You’ll remember this was a major issue during the financial crisis as Goldman Sachs was advising clients on investments, while making investments that ran counter to the very equities they were recommending. This is bad for us because it limits our activities and the amount of revenue we can bring in. There are a number of potential arguments you can adopt. One perspective contends that just because Goldman Sachs was morally bankrupt doesn’t mean that the entire industry needs to suffer ("Sec pitches budget," 2012). Another perspective argues that implementing the Volcker Rule will unnecessarily restrict banking and investment in the United States. Additionally, individuals have argued that if this regulation passed it would hurt the banks’ abilities to compete internationally (Patterson, 2012). While these are strong arguments, it may also be more effective by arguing that its passage should be delayed and reconsidered ("Dodd-frank criticism roundup:," 2012). Dodd-frank act - sec. (2012). Retrieved from http://www.google.com/url?sa=t&rct=j&q=&esrc=s&source=web&cd=2&ved=0CGsQFjAB&url=http://www.sec.gov/about/laws/wallstreetreform-cpa.pdf&ei=q1NuT-_7Oebj0QGpwoW3Bg&usg=AFQjCNGj12VcoYHuakKquosc4ObHaJE_bw&sig2=lJrCl2Tt00CivlDZYr9gtw Khimm, S. (2012). Banks’ preemptive strike against dodd-frank. Retrieved from

Saturday, July 27, 2019

SWOT Presentation Research Paper Example | Topics and Well Written Essays - 1250 words

SWOT Presentation - Research Paper Example Each village has a major subtropical swimming paradise that is heart to its activities with a constant temperature of 84 degrees Fahrenheit. In addition, the area is filled with wild water rapids, spa pool, solaria and pools for children playing, wave pool, water slides in the midst of luxuriant tropical trees and other plants. The Sherwood Forest village was the first of the Center Parcs villages opened in July 1987; it can accommodate over 4,200 guests per break on a 400 acre facility (Center Parcs, 2012). It also has a range of leisure, outdoor and indoor facilities. The villages offer luxurious but relaxed atmosphere and holidays over short breaks: weekends and midweek breaks all year round as well as increased stays during normal periods of visiting. This strategy has been successful in that each village records occupancy figures of above 90% and repeated bookings in a year that rise above 60% (Center Parcs, 2012). Strategic Business Units at Center Parcs These are the organizat ional units/villages developed by Center Parcs Ltd. and function independently but under one corporation, Center Parcs. Center Parcs Ltd had four villages, namely Sherwood Forest, Elveden Forest Brandon in Suffolk, Oasis Whinfell Forest Penrith Cumbria and Longleat Forest in Warminster, Wilshire (Center Parcs, 2012). Sherwood Forest, Nottinghamshire This village boosts a conference centre, the Venue, which has a variety of modern and comfortable air-conditioned rooms of varying sizes. Delegates enjoy this village due to its ideal atmosphere in a peaceful environment. In addition, Center Parcs (2012) reveals that the village has a wide range of leisure activities as well as the Aqua Sana spa to ensure a relaxed mind after meetings. The Venue has rooms that can accommodate up to a maximum of 600 guests while other rooms like at the Major Oak can accommodate 300 guests (Center Parcs, 2012). Other rooms are available at various points at the Sherwood Forest village. Whinfell Forest, Cum bria This village is located on the rim of Lake District that boosts wildlife and is home to few colonies of Red Squirrels still surviving in the UK. This village is the best in providing activities involving energetic building of teams, informal meetings or relaxing retreats. The village’s Green Room can accommodate a maximum of 350 guests (Center Parcs, 2012). Elveden Forest, Suffolk Similar to Sherwood Forest village, this village too has the Venue - a purpose built conference room with a variety of modern and comfortable air-conditioned rooms of varying sizes. Delegates enjoy this village due to its environment. Anglia 1, 2, 3 accommodates a maximum of 450 guests while the least, 8, can be accommodated at Wolsey. Longleat Forest, Wiltshire Longleat Forest is home to the Venue – a conference centre purposefully built for meetings of delegates who come here due to peaceful setting and an environment that enables them to prepare constructively for their meetings and o ther activities. In addition, the village has a variety of modern rooms well equipped with air conditioners and of varying sizes. The wide variety of leisure activities, including the ward winning spa, Aqua Sana, ensures that the delegates are well refreshed and relaxed before and after their meetings. The Venue can accommodate a

Friday, July 26, 2019

Harmonized Code Assignment Example | Topics and Well Written Essays - 500 words

Harmonized Code - Assignment Example to be a net foreign exchange earner however, they will not in any way be subjected a pre- determined value addition or any form of minimum export performance (CBP). In terms of the domestic tariff area by the special economic zones have to be a net foreign exchange earner. However the units in the Zone will have to be a net foreign exchange earner and will not be subjected to any predetermined value addition or the export performance requirements. The sales in the domestic tariff centre will also be subjected to the payment of full custom duty and the import policy which will be in force. The policy that has been used in this case provides for setting up of the special economic zones in the public, private, the joint sector and the United States government. It is also worth to note that some of the export processing zones will be converted in to special economic zones. In the same way, the government has export processing zones that are located in most of the countries it does business with. So in the case where there are 202 countries in falling under the general tariff of 0.8 there will be 4 sections with 20 chapters depending on the number of tariffs that are required in each section

Thursday, July 25, 2019

Business Decision Making Essay Example | Topics and Well Written Essays - 1500 words

Business Decision Making - Essay Example The price for the terrace house with 3 bedrooms and 2 bathrooms is ?395,000. The average price for 2-bedroom terrace house with 1 bathroom is ?364,999.67 with median ?370,000 which is not far from the mean. In this case, the ultimate basis for the decision as to how much will be the budget for the terrace house with 4 bedrooms and 4 toilets will be the mean and median. Notice how much increase was incurred from the mean of 2-bedroom terrace house with 1 bathroom to 3-bedroom terrace house with 2 bathrooms. The difference in the mean is ?30,000 and the difference in the median is ?25,000. In this case, there is a remarkable basis to approximate how much will be the probable price for a 4-bedroom terrace house with 4 toilets. Adding these remarkable differences to ?395,000, then the average price-mean for a 4 bedroom terrace will be 420,000 and the average median-price will be approximately ?425,000. These are all approximate values, but the trend for the actual employed values is take n into account. 2.3 There are many ways on how to analyse data using measures of dispersion. The measure of dispersion will inform us whether a distribution is normal or abnormal (Rachev et al., 2005; Rubin, 2012). For this reason, a statistical analyst can generate this idea by solving the value of skewness and kurtosis using the following formula (Basu, 2009; Celsi et al., 2011). Sk = [3(x – Md)/SD, where x is the mean, Md is the median and SD is the standard deviation. Ku = Q/(P90 – P10) where Q = (Q3-Q1)/2, and P90 and P10 are corresponding percentile ranks. Below are the computed values for dispersion using the given data. Property type Skewness Kurtosis 2 bedroom flat 1.19 2.89 3 bedroom flat 0.69 1.85 2 bedroom terrace house -0.59 1.50 3 bedroom terrace house 0 0 3 bedroom semi-detached house 0.60 1.80 The rule states that if the skewness is equal to zero and kurtosis equals 0.265, then the distribution is normal or the dispersion is most likely following a norm al distribution. The data are equally distributed from its central location like mean or median. In the above given data, it seems that most data are highly dispersed to the right, and with high vertical dispersion because each kurtosis tends to be leptokurtic in nature because of the positive value. On the other hand, a correlation coefficient cannot only test the relationship between the data sets, but the degree of their variation, and at some point this will have meaningful implication on their actual dispersion. The table below shows the correlation values generated from the data sets concerning the price, and the number of bedrooms and bathrooms. Correlation Number of bedrooms Number of bathrooms Price 0.42 0.13 The generated values as shown in the above table only shows that there is a significant point to justify the information generated on the data’s skewness and kurtosis, because the poor correlation signifies that the given values are varied and most likely not to follow a certain pattern or trend. 2.4 Based on the information from 2.3, skewness and kurtosis are obtained by employing the values for quartiles and percentiles. These means that quartiles and percentiles have strong role to play to help us identify the actual level of dispersion of the data, because they all have the necessary information to tell us something about the distribution of the data sets and the actual variation. In other words, they have the credibility to inform us of

Wednesday, July 24, 2019

Environment and Behavior Article Example | Topics and Well Written Essays - 1000 words

Environment and Behavior - Article Example In reference to the study of environment-behavior or for determinism in the context of environment, the author points out that three major areas are of importance. These are the built environment, the natural environment and the environmental factors which constitute factors such as social stimuli. However, in this paper, the two major factors that have been considered are Geographical determinism and Architectural determinism. According to the author, since geographical determinism refers to the natural environment whereas architectural determinism gives primacy to the built environment, when taken together these two are the best representatives of the phrase â€Å"physical determinism†. This article focuses on the fact that the philosophy of physical determinism has a lot of inherent weaknesses and due to this fact, many researchers stay clear of this subject due to a fear that any subsequent research is also going to be marred with the same weaknesses. The importance of the Physical environment: To begin with, Franck points out that the believers of geographical and architectural determinism are criticized because they are too literal in their belief of the fact that that environment has a direct effect on behavior. This stems from the fact that a lot of exaggerated stress has been laid by researchers on the idea that the physical environment has more impact on behavior than any other factors such as sociological factors. According to the author this criticism leveled at geographers and architects for being physical determinists has lead to the lack of research and development of theoretical frameworks that could generate further material for debate on the importance of physical determinism. The article points out that the right way to go forward for researchers would be to focus on the view that the physical environment is the sole factor influencing behavior and then work towards determining in which ways and conditions the behavior is effected. Ind irect Effects of the Physical Environment: Another criticism leveled at the determinist perspective in environment-behavior research is that there is a lack of clearly defined and measured intervening variables in the environment-behavior relationship. The lack of an intervening variable would, thus mean that the researchers are conferring or implying that the physical environment has a direct or unmediated effect on behavior in all situations or instances. Researchers such as Brody (1972) and Lang (1980) have been criticized due to this and there is a need to quantify the intervening variable that simply put explain why a proposed environmental feature or event effects behavior in a particular way. Since an intervening variable would therefore be considered both a result of the environmental feature being considered as well as the determinant of the resulting behavior, it would imply that physical environment is in most instances an indirect effect. The author says that researchers need to put effort into presenting clearly defined intervening variables that would help in the further advancement of this field of study. The Choices that People Make: A major criticism of the physical determinist approach has been that the researchers of environment-behavior research do not give enough importance to the fact that certain people may not react to a certain

Tuesday, July 23, 2019

User Experience Evaluation for carphone warehouse website Essay

User Experience Evaluation for carphone warehouse website - Essay Example Online payment methods and the use of mobile phone money transfers have further enhanced the capability for conducting business within the internet based business transaction. The utilisation of internet and websites has significantly increased in the 21st century, prompting almost all operations to have an online presence, for global reach. Globalisation of businesses has taken a new trend through the application of internet based applications and resources. Organisations wishing to reach the global markets must have websites which provide information to clients regarding the company products which are available. There number of individuals utilising websites for different activities other than business, has increased immensely. When undertaking marketing strategies through the internet, all internet users become potential clients. This makes the utilisation of internet based business marketing become relatively popular and increasingly attractive among many organisations involved in selling different wares. Undertaking online business requires the creation of a website in which the products are presented and which enables customers to interact with the sales personnel. Online businesses commonly take different fronts in the presentation of the information to the customers. The aspect taken by the business seeks to target specific market and customers based on the internet utilisation. Many of the common forms include websites, online stores, blogs and social media accounts. Currently many businesses undertake activities on several of these fronts in order to maximise the number of customers who can be reached by the business online activities. The utilisation of different fronts seeks to ensure that the different customers can reach the business through approaches which they easily understand. The utilisation of a website in conduction online business could present several

Polybrominated Diphenyl Ethers Essay Example for Free

Polybrominated Diphenyl Ethers Essay Introduction: Polybrominated diphenyl ethers are the man equipped substance which are flame resistant, it is believed about the Polybrominated Diphenyl Ethers that these chemicals are added to the plastics as well as foam items for consumption with the objective to put together them fire defiant. They are obtained in three major forms PentaBDE, OctaBDE and DecaBDE, among all of these the penta and octaBDE are considered as more poisonous then the DecaBDE as the PentaBDE and OctaBDE has less bromide which makes them more poisonous. This article has also narrated the compositions of these mixtures, the experiment based research of these mixtures shows that they are responsible for various diseases such as tumor of liver, it may cause cancer in humans and puberty abnormalities are mostly observed. So some of the countries has banned these products completely and ask the manufacturer to obtain such products which are less harmful to our environment. In this article we have also discusses the views of peoples as well as the alternative which can save future from fire incident and diseases. TBBPA is also a fire resistance product which is described as the best alternative which of PBDE as it is mutually the additive- as well as reactive-treated products encompasses to discharge TBBPA along with metabolites into the atmosphere. TBBPA has been calculated in the atmosphere, earth, along with residue but is commonly not establish in dampen illustration so TBBPA is suppose as the alternative with no harmful effects. So this article is very informative and contains all information regarding to Polybrominated Diphenyl Ethers these uses and also there harmful effects. Polybrominated Diphenyl Ethers: The research shows that every year more than 3,000 peoples are killed in dire incidents, the research also shows that more than 20,000 peoples are injured because of fire incident, these incidents also consequences in material goods reimbursement the loss which United States yearly faces is approximately $11 billion .It is believed that fire commonness has now start reducing than the precedent 25 years, the reason for the reduction in such incidents is the fire deterrence policies, these policies have supported the production of flame retardant chemicals in most of the industrial manufacture. In actuality the occurrence of potentially unnecessary fires which may be because of the combustion of electrical paraphernalia in addition to furniture is not observed as much in the United States as it is observed in Europe, the reason for this is the higher principles for fortification in opposition to flammability in the United States. Accordingly, the fire retardant does not only saves the life decreased the incident which may happen due to combustion, but they are also responsible for reducing the economic cost of fires. In this article we have did the detailed study of Polybrominated Diphenyl ethers. Polybrominated diphenyl ethers are the man prepared chemicals which are flame resistant, it is experiential that these chemicals are added to the plastics as well as foam items for consumption with the objective to formulate them fire defiant in supplementary words they are added in plastic and foam product as a result they cannot get burned easily. When Polybrominated diphenyl ethers materialize as the result of amalgamation of analogous chemicals they are tenured as congers.(Polybrominated dipehnyl ethers, September 2004) As the polybrominated diphenyl ethers are sundry in plastic and foam products so it is believed that they can leave product which can enter in environment and which is considered as the threat for human health. The chemical formula of Polybrominated diphenyl ethers is [C.sub.12]H ([.sub.9-0]) Br ([.sub.1-10]) O, the general chemical formula of PBED shows that the sum of H and Br always be equivalent to the 10 it is hypothetical with the objective of these chemicals that they have stumpy water solubility, it is also experiential that hypothetically PBED restrain of 209 congers which are moreover alienated into 10 homolog assemblage mono- to decabromodiphenyl ethers. Most of the commercial mixture have an average of 5 [pentabromodiphenyl ether (PeBDE), Penta], 8 [octabromodiphenyl ether (OBDE), Octa], or 10 [decabromodiphenyl ether (DBDE), Deca] bromines, there are not as much of profit-making products which have the 4 or fewer than 4 bromines in their composition. International union of pure and applied chemistry IUPAC is the system which is responsible for numbering the PBEDs, It is observed that deca has the largest production the chemical symphony of the marketable Deca mixture is first and foremost ( 97%) DBDE (BDE-209) along with a small amount of nonabrominated diphenyl ethers NBDEs in addition to OBDEs, in the same way penta is used principally in North America while on the other hand octa has comparatively small hand in commercial product. The commercial mixtures of octa and penta are considered as more complex than the deca mixture it is believed that Octa mixture chiefly comprised of just about 10-12% hexabrominated diphenyl ethers and the formula is (HxBDEs), 44 percent of heptabrominated diphenyl ethers (HpBDEs) and 31-35 percent of OBDEs furthermore 10-11 percent of NBDEs, and less than 1 percent of DBDE is found. Now if we look for the composition of commercial Penta mixtures shows variability but generally the mixture contains 24-38 percent tetrabromodiphenyl ethers (TBDEs), 40-60 percent PeBDEs and 4-8 percent HxBDEs. (Birnbaum, Linda S.; Cohen Hubal, Elaine A, 11/1/2006). The polybrominated diphenyl ethers are also contributing to environment, it is believed that during the manufacturing process of PBEDs they enter in water and water soil it is believed about PBEDs that they can get humiliate without difficulty by sunlight, they are not dissolved in water but the small particles of PBEDs settle down at the bottom of river or lakes. Some of the PBEDs also accumulate in fish relatively in low concentration other than every of PBED does not have this quality to mount up in fishes. If we talk about the ecological prototype of PBDEs within the air show a discrepancy from the prototype in the soil, residue as well as mud. PBDEs strappingly soak up to these surrounding substances, and the congener prototype has a propensity to replicate those in the commercial assortment, excluding in mud. It has been newly accounted that PBDE attentiveness in manure mud in the United States is as elevated as 33 mg/kg furthermore be a sign of the congener composition create in polyurethane spume. In disparity, point basis liberating DBDE enclose resulted in residue by means of very high concentrations such as 5 mg/kg. The presence of polybrominated diphenyl ethers in environment is considered as the threat for human health now; incomplete assessments on the environmental effects of PBDEs have been conducted. It is considered that the lower brominated mixtures are more contaminated than the higher brominated mixtures. PentaBDE is more contaminated as compare to OBDE, while on other hand DBDE is in actual fact non-hazardous to invertebrates but still the presence of PBED in environment is responsible for many diseases in human beings. The survey shows that both adults and children are exposed to PBED equally. It is believed that children are open to the elements of the PBED by means of contaminated foods for the reason that PBDEs voluntarily liquefy in the fats. The particles of PBED can also accumulate in mother’s milk which is transport in adolescent children which leads to the diseases such as thyroid and neurobehavioral alternations. While talking about the effects of PBED on adults so it is believed that it may cause cancer in adults but this fact is not sure as the experiment which was performed on rats and mice by giving them the food which contains decabromodiphenyl ether one type of PBDE, they eat this for their whole lives and the tumor in their livers is observed because of the continuous presence of decabromodiphenyl ether in their food. (Polybrominated diphenyl ethers, September 2004). â€Å"It is observed to find out the toxicity effects on Mammalian the studies have been demeanor mutually in rats and mice.† (Birnbaum and Staskal, 2006) The most widespread data set continue living for DBDE, with the studies variety from sensitive to continual laboratory studies. Diminutive information is present for effects of PBDE on reproductive systems. â€Å"DE-71†, is a commercial penta assortment, DE-71 was examined by the Endocrine Disrupter Screening Program. The reason for this program was to study the male as well as female level 1 pubescent code of behavior in order to identify thyroid vigorous agents. â€Å"The study shows that in male rats it caused a hindrance in reproductive growth which was further confirmed by a delay in puberty as well as it causes a decrease in ventral prostate furthermore seminal vesicle weights at the high dose 60 mg/kg.† (Birnbaum and Staskal, 2006) This abnormality was caused by reduce in T4 and T3 and by the increase in TSH level, this has also showed the effects on the liver by means of gain in liver weight and EROD, pentoxyresorufin O deethylase â€Å"PROD†, and UDP-glucuronosyltransferase â€Å"UDPGT† . These inferences propose a 5-day LOEL of 30 mg/kg per day in addition to 31 days LOEL of 3 mg/kg per day in male rats’ foundation was based on the decreases in the level of T4. While if we discussed its effects on female rats then it shows DE-71 is responsible for a impediment in the beginning of puberty. It also decreases the T4 in female rats, increased their liver size furthermore it is also responsible for the bringing on of liver enzymes. After this experimental based study it can be concluded that presence of PBED in an environment is supposed as the factor which can delay the puberty stage and this fact not only considered for rats and mice but for all of the mammals. PBDEs are also been considered for the cause of other endocrine disrupting possessions.   By making use of an in vitro model the effects on endocrine disrupting possessions are studied, this model verified that hydroxyl PBDEs are suppose to slow down estrogen sulfotransferase, which is further leaded to cause an apparent estrogenic consequence. â€Å"If PBDEs have any estrogenic activity in vivo has to be examined.† (Birnbaum and Staskal, 2006) Furthermore, a number of PBDE congeners, which are not supposed to be environmentally appropriate, have near to the ground semblance for the aryl hydrocarbon (Ah dioxin) receptor, except the fact that they are not capable to persuade dioxin reaction in an element fastening. It was also observed that frequent revelation of rats to DE-71 which is a commercial penta mixture, also resulted in initiation of EROD commotion, a characteristic reaction to Ah receptor commencement. (Birnbaum and Staskal, 2006). Now the question arise in everyone’s mind that how to secure their lives from this dangerous mixture, the specialist have given a small number of advices by the application of these advices the risk of syndrome in human being by PBED can be reduced. It is believed that in order to save children who lives near the Hazard area can save from the effects of PBED if they are not allowed to play near the sites where PBED is produces, they should also be dampen from eating dirt products and parents should ask their children to wash their repeatedly. One more question which the peoples frequently ask to the experts that is their any way to find out whether the PBED is present in our body or not? It is believed that presence of PBED in tissues, breast milk, body fat and blood can be tested but the type of PBED presented in the human body cannot be determined by the test. The advices which are given to working class in the PBED manufacturing companies is to take shower before going back to their, They are also advised to change their clothes and the experts also advised them to make separated laundries for their working clothes. If the people will keep following the advices designed by actors the chances of diseases because of this hazardous mixture PBED are supposed to reduce (Polybrominated diphenyl ethers, September 2004). The restrictions in Manufacture of PBED: It is observed that in few states of America the manufacture of PentaBDE and OctaBDE has totally be restricted, the environment protection agencies has notify all the manufacturers of United States to take permission before initiating the process of PentaBDE and OctaBDE manufacture, they have set same legal formalities for importing these mixtures among other States but in the case of DecaBDE the manufacturing process and importing is not banned yet. Same is considered for Canada almost all of the states of Canada have banned the production of these mixtures. The Europe Union has banned on marketing and making use of these two mixtures but DecaBDE is not banned by Europe Union even as it does not contain hazardous compounds like PentaBDE and OctaBDE. Although these mixtures are needed for saving from fire incident but they effecting environment by releasing hazardous substance for that reason they are banned, so it is advised to manufacturer to find better and good alternate of these two mixtures for healthy as well as secure tomorrow. It is believe of the peoples that the harmful effects of these mixtures are the threat for human lives so the government should take further steps and they should banned manufacturing of these mixtures not only in one state but all over the world. (Canada Cancer Society, 11 April, 2007). Tetrabromobisphenol A: TBBPA is also a fire resistance product it is hypothetical as the largest part of BFR which is widely used. Notwithstanding TBBPAs imprudent possessions, mutually the additive- as well as reactive-treated products encompass to discharge TBBPA along with metabolites into the atmosphere. TBBPA has been calculated in the atmosphere, earth, along with residue but is commonly not establish in dampen illustration. It is believed that there are very less numbers of laboratory which makes studies and are examining the metabolism of TBBPA. However the research shows that two sensitive, high dose studies in rats have resulted that unmetabolized TBBPA is quickly excreted in the feces after each single exposure it was observed that the peak attentiveness of 14C-TBBPA contained by the first hour in all of the body tissues; â€Å"highest concentrations was absorbed in the fat, which includes the body part such as the liver, sciatic nerve, muscles, along with adrenals. additionally,   the studies shows that there were a low percentage of the TBBPA dose was maintain in fatty tissue that is 3-6 percent and muscles 11-14 percent when the 72 hours has passed, which put it to an important person that TBBPA, or a metabolite, has the potential to bioaccumulation with frequent exposure.† (Linda, Birnbaum and Danielle, 2006) As the hazardous compounds are easily removed from the body so the experiment proved that TBBPA is not considered as destructive as it can be used as the alternate of Polybrominated Diphenyl Ethers. The Government has also not banned the manufacturing of TBBPA (Linda, Birnbaum and Danielle, 2006). Conclusion: Polybrominated Diphenyl Ethers are the fire resistance mixture which is used in plastic products as well as the foams to resist them from combustion. The studies were mutually made on rats and mice in order to know the facts about these poisonous mixtures, the studies shows that these mixtures are considered as the responsible for many diseases, the mixtures causes many tumor in liver rat when they were added continuously in the rats’ food, similarly they are considered as the reason for puberty abnormalities, This abnormality was foundation by reduce in T4 and T3 and by the increase in TSH level, this has also showed the effects on the liver by means of gain in liver weight and EROD, pentoxyresorufin O deethylase â€Å"PROD†, and UDP-glucuronosyltransferase â€Å"UDPGT† . These inferences propose a 5-day LOEL of 30 mg/kg per day in addition to 31 days LOEL of 3 mg/kg per day in male rats’ foundation was based on the decreases in the level of T4. While if we discussed its effects on female rats then it shows DE-71 is responsible for a impediment in the beginning of puberty. It also decreases the T4 in female rats, increased their liver size furthermore it is also responsible for puberty abnormalities. Among PentaBDE, OctaBDE and DecaBDE, the PentaBDE and OctaBDE are considered more poisonous than DecaBDE. So this article concluded that fire resisting product are needed to secure society but as they have many harmful effects to human health therefore these products has been banned by United States, Canada and Europe Union. So this article conveys the message that the production of these products should not be stopped completely but the manufacturer should find improved unconventional so the threat to human health can be decrease. References: Polybrominated Diphenyl Ethers, retrieved from, http://www.atsdr.cdc.gov/tfacts68-pbde.html. Linda S. Birnbaum and Danielle F. Staskal, 1/11/2006, Brominated Flame Retardants retrieved from http://www.ehponline.org/members/2003/6559/6559.html. Birnbaum, Linda S.; Cohen Hubal, Elaine A, 11/1/2006, Polybrominated Diphenyl ethers: a case study, retrieved from http://www.encyclopedia.com/doc/1G1-160532390.html. Canadian Cancer society, 11 April 2007, retrieved from http://www.cancer.ca/ccs/internet/standard/0,3182,3172_1438644643__langId-en,00.html.

Monday, July 22, 2019

Plato Analysis Essay Example for Free

Plato Analysis Essay Platos The Republic centers on a simple question: is it better to be just than unjust? In answering this overlying question, Socrates outlines the ideal city and how justice is a virtue of that city. From there, he characterizes justice as a virtue of the soul. It is while he is discussing the soul that Socrates begins to define the different types of souls. Rather than comparing and contrasting each soul, Plato quickly jumps into contrasting the tyrannical soul with the aristocratic soul ? the most unjust with the most just. In Book IX of Platos The Republic, Socrates describes a man in an awful state asserting that the worst of souls is the tyrant. This accurate assertion can be seen through the consideration of not only the tyrants personal characteristics but also the negative ______ he contributes to the city. In Book VIII of Platos Republic, the five types of people are presented in parallel to the fives types of regimes. The most inferior of the five regimes is tyranny. Correspondingly, the tyrannical soul is then the most inferior person. Socrates examines the steady decline from one regime to the next, starting with the fall from aristocracy to timocracy when factions arise between auxiliaries and guardians. This decline comes because of injustice and the spirit of the auxiliaries not abiding by the edicts of reason. Further decline due to an excess of desire and the degradation of spirit ultimately leads to tyranny. This is the most wretched of all the regimes as the tyrant is the most wretched of souls. Book IX of The Republic begins with a story of two young men whose lives take opposite paths. The first is raised in a home more Spartan than Athenian, born to a parsimonious father who honors the money-making desires while despising the ones that arent necessary but exist for the sake of play and showing off (572c). The son rebels against his austere upbringing, and revels in the company of subtler men who delight in the pleasures of the world (572c). However, because the young man has been brought up to abhor such worldliness, in the end he chooses a middle path ? neither illiberal nor hostile to law ? having become what Plato describes as a man of the people (572d). This introduction is important, because Plato uses the young man previously described to contrast the second. The second man is perhaps the son of the first, raised in moderation, to appreciate both the diligence of work and the joy of pleasure. When the same influences, friends, and ideas that changed his father begin to work on him, this young man does not have the inner moral courage to chart his own path. With his father urging moderation and his friends encouraging irresponsibility, the young man is torn between the two. Herein lies the downfall of the man ? the dread enchanters and tyrant-makers who espouse reckless pleasure-seeking realize that they will not win him over with continued persuasion, so they seek to make him a slave to his own desires (573a). Plato calls these desires love, but lust may be a more apt description (573b). Having now become a drone, the young man is imbued with desire to satisfy the temporal passions that bring momentary pleasure (573b). This desire drives him insane. He has madness as his bodyguard, and runs amuck, eliminating those whose own decency contrasts with his own lack thereof, killing them out of shame. The tyrant is characterized as the worst of souls because of his personal attributes that are detrimental and undesirable to any man. Drunken, erotic, and melancholic, he lives solely to satisfy the passions and desires that run rampant in his mind (573c). This man does little good by himself or his fellowmen, and, if given the opportunity, would become the most terrible of rulers. Plato defines this man to be his tyrant and describes him as the most miserable person in society. Socrates and Glaucon characterize the person ruled by lawless attitudes as enslaved, having the least amount of control to what he wants. The tyrant is full of confusion and regret, fearful and poor, with an insatiable appetite (577c-578a). To any human being, it would be least desirable to become a person as described above who is never satisfied. The greatest control an individual can obtain is control over their own thoughts and desires. Without this control, a person is miserable and relies on the outside world to fill his appetite. To illustrate the idea that a tyrant is simply one whose passions are out of control, Plato compares the tyrant to a drunken man. Just as a drunken man has a tyrannical spirit, so a man drunk on his own lustful desires has the same (573c). The tyrannical soul is seen as enslaved because it desires satisfactions that solely depend on external circumstances. As long as these desires continue to consume the tyrant and are never completely satisfied, the tyrant is least able to do what he wants. By virtue of not being able to do what he wants, the tyrant is full of confusion and disorder. This man is in an awful state and lives only in misery. By showing the development of the tyrant from undisciplined childhood to irrational adulthood, Plato shows his reader the warning signs that accompany such a person. He describes the despots of the ancient world for what they were: lustful men whose bodily appetites reign over their personal lives and the societies unfortunate enough to be at their command. Socrates explains that the only thing worse than the tyrannical soul is the tyrannical soul who goes public and becomes the political tyrant (578c). Socrates continues, The man who is mad and deranged undertakes and expects to be able to rule not only over human beings but gods, too (573c). With this phrase, Socrates begins to show why the reader should be wary of the rise of a political tyrant. He describes how a tyrants rule is bad for those he rules over. Having gotten the idea that he should rule over both men and gods, the tyrant uses this power, once obtained, to satisfy his selfish desires. Feasts, revels, parties, courtesans, and everything else of the sort, are hallmarks of his reign (573d). Such living, however, rapidly depletes his income and resources, and he is then forced to obtain resources from others which consequently becomes to the city. The tyrannical man can only give so much to the people of the city. He will therefore enlist them in necessary and just wars to continue his popularity and to account for the poor economy. These just wars serve to perpetuate the continual need for a tyrant. Because the tyrants actions displease those who helped set him up, he must gradually do away with them until he is left without a friend or foe. Socrates contrasts this to the work of a doctor. A doctor is seen as helpful and needed because he takes off the worst of the body and leaves the rest (567c). However, the tyrant does the opposite, taking off the best and leaving the worst. This is a necessity for him to rule; consequently, he hurts the city. The tyrant, slave to his love, or personal passions, becomes a tyrant over others. He begins to find those with means and seeks to deprive them of it, usually by force. He is addicted to his desires, racked with pains and aches when he cannot fill them (Plato, 263). No one is immune to his wild demands. He will victimize his own parents, claiming he deserves to get the better of his father and mother (574a). If they resist, they will meet the same fate as anyone else who opposes the madman. In short, his childhood of moderation has become a career of chaos. The tyrant is a slave to himself and his desires in the city. The moral of Platos argument is clear. Even a small minority of tyrants can cause trouble within a community. Plato suggests that in times of war, tyrants flock to the battlefront, volunteering their services to distant tyrants as mercenaries and bodyguards (Plato, 264). But in times of peace, they remain at home and comprise a class of lawless criminals. Thieves, burglars, cutpurses, pickpockets, temple robbers, kidnappers, all are tyrants waiting for their chance to take power (Plato, 265). Platos warning to society is to teach temperance and philosophy to the rising generation, so that they do not become tyrants and lead their city into ruin. In an age where democracy was a new and rare commodity, the threat of becoming subject to a tyrant in ancient Greece was very real indeed. Philosophers like Plato tried to discover how the tyrants of the age became so, so that they could avoid coming under their power. Having philosophically defined tyrants as evil and unjust in the realm of philosophy, Plato uses logic in Book IX of The Republic to support the assumption that totalitarian societies, like those of Athenss neighbors, suffer under the reign of such leaders. This argument will later lead to his assertion that philosophers are the best leaders a state can have. Bound by ethics and reason, philosopher-kings would ensure that society is properly educated, supremely tolerant, and, most importantly, true to the ideal of justice that Plato holds dear.

Sunday, July 21, 2019

Mainstream internationalisation theories

Mainstream internationalisation theories Mainstream Internationalisation Theories Instead of looking at the global strategy of the MNE from the viewpoint of management science, marketing, and decision theory, it is necessary to consider more explicitly the economics of the foreign investment decision. International business activity is not a recent phenomenon. However, the great majority of foreign investment until the late 1940s was in the form of portfolio capital, which international capital theory explained as the flow of capital among countries in the pursuit of higher returns. After World War II, the volume of foreign direct investment (FDI) grew tremendously and was increasingly directed away from primary goods and towards knowledge-based products that could be produced in developed countries. Neoclassical economic theory, with its assumption of perfect markets and internationally immobile factors of production, could not easily accommodate this post-war boom in FDI. So, beginning with the publication of the product cycle theory by Raymond Vernon (1966) and Stephen Hymers dissertation (written in 1960 and published 1976), an outpouring of literature has focused on extending the theoretical foundations of the concept of foreign direct investment. The objective of this chapter is to provide a review of the mainstream literature on internationalisation. Given my research problem, the focus is on theories that consider transnational expansion at the firm level. Among others, the investment development path (IDP) concept and Ozawas tandom growth treatment of the flying geese metaphor are popular frameworks for considering FDI. They are not included, however, since their research setting is that of the economy as a whole. Despite considerable disciplinary diversity, a mainstream internationalisation construct with three major approaches can be identified: Theories of the MNE, Internationalisation Process Models, and Network-based Approaches to Internationalisation. The first of these, Theories of the MNE, is outlined in Section 2.1. Since these MNE theories have been criticised on the grounds that they may explain the existence of the international firm but not how the firm got there, Section 2.2 reviews Internationalisation Process Models, which more explicitly focus on the dynamic process of internationalisation. Section 2.3 examines leading network-based approaches to internationalisation. The chapter concludes with a summary of the points that are most applicable to my thesis and an assessment of the limitations of the mainstream internationalisation literature. Theories of the MNE This section presents the economics-based literature on MNEs, beginning with Hymers seminal work. Following a review in Sections 2.1.2 and 2.1.3 of Internalisation Theory and Dunnings OLI framework, Section 2.1.4 focuses on theorisations specific to developing-country MNEs. Monopolistic Advantage Theory Hymers (1960) work represented a major departure from the standard orthodox theory of international trade and capital movements. The standard neoclassical trade theory of Heckscher and Ohlin, for example, carried restrictive assumptions about the immobility of factors of production and identical production functions across national boundaries. And in the neoclassical financial theory of portfolio flows, multinational enterprises had been viewed simply as arbitrageurs of capital in response to changes in interest rate differentials. Hymer argued that explanations for why firms engage in international production should be based on an analysis of the MNE from an industrial organisation perspective. According to Hymer (1976), Kindleberger (1969), and Caves (1971), MNEs emerged because of market imperfections. These imperfections were structural in nature and resulted from the control of ownership advantages, such as special access to inputs, scale economies, gathered managerial expertise, proprietary technology, and product differentiation (Kalfadellis and Gray: 2003: 3). The result of these barriers to entry was a divergence from perfect competition in the final product market. MNEs would seek to internalise these ownership advantages by establishing monopolistic-type advantages through the vertical integration of the potential licensee (Hymer 1976). Internalising operations could lead to gains such as cost reductions, product quality improvements, and innovation. For Hymer, though, the firm internalises or supers edes the market (1976: 48) primarily because, by internalising international economic activity, the MNE has an opportunity to further advance its monopolistic advantage. In short, it is the pursuit by firms of market power and monopolistic advantages in a foreign market that largely drives the international expansion of domestic firms. Internalisation Theory A criticism raised in the 1970s about Monopolistic Advantage theory was that it did not differentiate between imperfections brought about by market structure (i.e., the number and size of enterprises on both the demand and supply sides) and those associated with transaction costs. By not doing so, Buckley and Casson (1976) and others argued Hymer had failed to incorporate the insights of Coases (1937) concept of market failure. Coases theory of the firm contended that, contrary to the classical understanding in which price mechanisms optimally coordinate markets, market failure can occur as costs associated with the price mechanism develop (such as finding buyers and sellers, and the costs involved with negotiating, coordinating, monitoring, and enforcing contracts, and costs associated with government regulations and taxes). The operation of markets is therefore not costless, and the firm is an organising unit that supplants the price mechanism. Domestic firms would prefer to use internal prices in the face of excessive costs in the outside market. Firms therefore seek to avoid these costs by internalising them wherever the market is non-existent or when it is cheaper for the firm to undertake the activity internally rather than via the market mechanism. To Coase, markets and firms were alternative methods for organising economic exchanges. The choice between the two depended on whether a firm evaluated the transaction costs of an exchange to be lower if carried out within the firm than through the market. Where the costs of such transactions are lower when carried out within the firm than through the market, the activity will be internalised under the firms ownership and control. The concept of transaction costs was more fully developed by Williamson (1975) and Chandler (1977). Transaction cost theory extended Coases work by substituting a conception of contractual man for neoclassical theorys economic man. Its starts with the assumption that markets are the natural mechanism of economic organisation (Williamson 1975: 21), and that market failures lead to the replacement of certain market relations by internalising these relationships within a firm. The deficiencies of the market system are seen to be rooted in bounded rationality (i.e., the lack of perfect knowledge which means that agents cannot foresee all possible circumstances to incorporate in the contract) and opportunism (i.e., agents make decisions based on self-interest, thus making the contract difficult to enforce). Drawing upon Coases (1937) theory of the firm and Williamsons (1975) and Chandlers (1977) transaction cost theory, Buckley and Casson (1976) argued that these same insights can be applied to the global arena to explain the growth of MNEs. Accordingly, Buckley and Casson explained international expansion as occurring whenever a market imperfection exists and a firm can gain strategic benefits by internalising a market across national boundaries and exploiting the advantage this gives it in competition with others. This results in the growth of the firm. Just as a firm may increase its efficiency through internalising transactions, the vertical integration of global operations may lead to economies and efficiencies. These include long-term contracts through more efficient governance structures, the chance to exploit tax differentials and foreign exchange controls, better quality control, and RD benefits. Brown (1976) also combined insights from Coases theory with transaction cost theory and applied it to international expansion. He put particular emphasis on the point that there are higher market transaction costs and more expenses associated with internal organisation abroad than in the domestic environment. Teece (1983) added the insight that internalisation can also be advantageous when vertically-integrated firms need to secure their supply of intermediate goods. So, whereas transaction cost theory aims to explain the existence of the firm, the aim of internalisation theory is to explain its multi-plant operation over space (Casson 1982). And whereas Hymer argued that it is the pursuit of market power that drives MNE growth, Buckley and Casson (1976) argued that once transaction costs are internalised they do not necessarily lead to an increase in rent by the MNE. However, they can result in savings for the MNE, and it is this potential cost minimisation that provides the impetus for MNEs to expand their operations via the internalisation of transaction costs. Internalisation theory has been a dominant construct in the last quarter century of international business literature in relation to the growth of the MNE and FDI. However, it does have weaknesses. For instance, internalisations inherent intangibility makes it difficult to empirically test (Kalfadellis and Gray 2003: 10). Buckley, describing internalisation as a concept in search of a theory (Buckley 1983: 42), argued that a theory needs to do more than assert firms will internalise when the cost of using markets or contractual agreements is higher than that of organising it within the firm; it needs to explain why there were differences in costs between market and intra-firm organisation (Hennart 1986: 791). It has also been seen as overly-preoccupied with the costs of organising transactions in markets, leading it to under-appreciate other relevant costs, especially those associated with managing firms across borders (Demsetz 1988). An argument has been made that it does not sufficiently distinguish between a firms willingness and its capability to become more international (Dunning 1993). These types of limitations led Calvet (1981), among others, to question whether the assertion that firms expand overseas because they can internalise transactions within their hierarchies (just as they do within a domestic context) is a full enough explanation. Calvet argued instead for a theory of transnational expansion that explicitly included both the multinational-the foreign-character of the activity as well as the internalisation of transactions within a single firm. Dunnings OLI Paradigm A third landmark development in MNE theory was Dunnings OLI paradigm, sometimes referred to as the eclectic paradigm. Countering Rugmans (1982; 1985) claim that internalisation is a general all-encompassing theory which can explain FDI, Dunning (1980; 1988; 1993; 1995; 2000) acknowledged the importance of internalisation theory but argued that set[ting] out to explain the growth of international production as a market replacing activity (Dunning 1988: 24) explains only part of the FDI phenomenon. Dunning argued that a full explanation required the integration of the insights from three strands of economic theory industrial organisation, international trade theory, and internalisation theory into a general theoretical framework.[1] Each dimension on its own was insufficient to explain the multinational firms engagement in foreign production. According to Dunning, a firm must perceive certain advantageous conditions before it engages in cross-border investment. These advantages are rationally considered within the firms decision-making process. The first relates to ownership (O) advantages, which, following Hymer, refer to assets or resources capable of generating a future income stream that could compensate for the higher costs of operating abroad. Ownership advantages are endogenous to the firm and refer to intangible assets and/or property rights. These O advantages give the firm a competitive edge vis à   vis other firms. The second factor is internalisation (I) advantages, which encourage a firm to internalise operations for production via foreign direct investment rather than through exporting or licensing to a local producer. In other words, the firm must perceive the benefits of internalising of operations to be greater than the need to utilize markets. If a firm perceives it has sufficient O and I advantages, th en it will examine a third set of conditions, location (L) advantages. Choosing a foreign location is one of the key decisions made by a firm since the financial and human capital invested must generally be long-term in nature. Drawing upon the insights of location theory, Dunnings L advantages were considered to be external to the firm and determine which host country is selected for expansion. (A fourth condition later added by Dunning [1993] asserted that a firms international investment activities must harmonize with its long-term management strategy.) In the eclectic paradigm, all three of these conditions must exist for FDI to occur. If a firm only perceives it has ownership advantages, then it would be likely to license abroad. If it also perceives internalisation advantages, then it would be likely to exploit its O advantages through exporting. It is only when location advantages are also perceived that the firm may consider FDI (Dunning 1993: 196). Dunnings OLI paradigm has been welcomed for its conceptual richness-it integrates many partial approaches to the subject and therefore addresses a larger number of the factors considered in the decision to internationalise-and it has withstood some empirical testing (Dunning 1979, 1983, 1988). However, it has also frequently been criticised, particularly on definitional grounds. For example, Rugman and Dunning had a long-running public debate over whether Dunnings concepts of ownership and location advantages were already encompassed in the theory of internalisation (Parry 1985). In a similar vein, Buckley (1988) suggested that considering ownership advantages as a separate category results in double counting as the O advantage of Dunnings OLI triumvirate is already accounted for by I (internalisation advantages) since the firm seeks to carry out a strategic move by internalising the market and thus exploits this advantage in competition with other firms. Responding to definitional criticisms, Dunning (1995) argued that, in contrast to how they are conceived in internalisation theory, ownership advantages are endogenous rather than exogenous variables already belonging to the firm. Accordingly, he stressed a definitional division between ownership advantages, which are already possessed by firms, and internalisation advantages, which result from the firms exploitation of market imperfections. The electric paradigm has become a leading conceptualisation for FDI, and as such there now many variants within the approach. For example, another eclectic framework that is pertinent to my thesis concentrates on understanding how a firm chooses among various entry modes. In comparison to Dunnings OLI paradigm, the framework by Hill et al. (1990) emphasised the control of resources, resource commitment, and the dissemination risks of entry. They argued that firms rationally weigh different entry modes with the need to control their foreign operation. The amount of control a firm can exercise varies from minimal in the case of licensing to maximally high in wholly-owned subsidiaries. A firm also weighs the resource commitment that is involved with the different entry modes, and the risk that its firm-specific advantages could be disseminated or expropriated by a partner. As discussed in Chapter 5, the latter danger was frequently highlighted by my interviewees as an influence on thei r internationalisation decisions. Though eclectic models such as those by Hill et al. and Dunning have a dominant place in the MNE and FDI literature, they do have significant shortcomings. Some critics find the emphasis on the initial phase of internationalisation makes them unhelpful. Others have argued that inadequate attention was given to the insight that firms make cross-border investments not just to reap benefits from existing ownership advantages but to create new ones, such as acquiring knowledge in new markets or access to resources. Also, the broadness of the eclectic decision-making framework has made it difficult to formulate operationally testable theories of foreign direct investment processes, especially given the heterogeneity of firms. Various proxy measures have been employed as a means for measuring internalisation, but the validity of proxies in general has been contested (Kalfadellis and Gray 2003: 11). Similarly, ranking the large variety of strategic alternatives the firm can choose among is methodologically problematic. Two other criticisms of the eclectic decision-making paradigm have been particularly acute and are of specific concern given the subject of this dissertation. The first is that they principally focus on relatively large firms from developed countries. Dunnings OLI paradigm, in common with the other theories of the MNE reviewed in Section 2.2, was developed primarily in response to the experiences of post-war expansion by developed-country multinationals. Transnational firms from developing countries, it has been argued, require a different approach (Lall 1983a; Wells 1983a; Khan 1986a; Yeung 2004). For instance, as they are frequently much smaller than developed country MNEs, their transnational investment choices may be more chunky in nature, in the sense that certain costs that are incurred in international activity will loom relatively larger for small firms than big ones. Second, the eclectic framework has been criticised for its lack of dynamism. While it is not true that Dunnings OLI model has no dynamic dimension, Buckley (1985: 18), for example, argued that it does adequately consider the deployment of advantages over time.[2] Both of these shortcomings are apparent when eclectic frameworks are applied to the phenomenon of Singaporean SME transnational expansion into China. Developing-Country MNE Theories A dramatic growth in outward FDI flowing from developing countries has occurred over the last three decades. Prior to the 1980s, more than 90 per cent of global FDI originated from developed countries. Since the early 1990s, though, the share of outward FDI from developing countries has rapidly grown; it was over 14 per cent in 2006 (WorldBank 2008). Moreover, aggregate figures conceal the relative intensity of developing-country FDI flows from, and into, certain countries and regions The bulk of this outward FDI-some 67 per cent-has originated from South, East, and Southeast Asian countries (WorldBank 2008). Though the availability and quality of FDI data has been problematic-an important point which is discussed in Chapter 6-it is clear that China has received a particularly large percentage share of FDI originating from developing countries. A number of researchers have argued that MNEs originating in developing countries possess distinctive characteristics in comparison to their counterparts from developed countries (Lall 1983a; Wells 1983a; Khan 1986a; Yeung 1996). One obvious difference is that they are generally much smaller, which may make locational advantages and the internalisation of transactions costs less plausible explanations for internationalisation (Wells 1983a). Though still dwarfed by the number of theoretical and empirical studies investigating developed-country MNEs, research into these unconventional MNEs (Giddy and Young 1982) has by now developed into a large body of literature that can be divided into two categories: first-wave and second-wave literature. The so-called first-wave literature emerged in the late 1970s and was primarily concerned with the cost advantages of developing-country firms in comparison with their competitors from developed countries. Two strands of literature dominate. One is based on Wellss (1983) application of the product cycle concept (originally associated with Vernons seminal article [1966]) to the situations found in developing countries. The second dominant strand of first wave literature is associated with Lall (1983). Wells contended that an understanding of developing country transnational firms could be undertaken by applying Vernons concept of the product cycle (1966), which explained changes in production locations as a reaction to different stages in a products life cycle. Vernons argument was that a new product had to be produced in the home country since it was unstandardised and thus production needed to be monitored close to the products source of innovation and markets. As the product matured and became standardized, producers would increasingly become concerned about production costs and seek cheaper production sites elsewhere. Thus, Vernons model suggested that locations of production moved from developed countries to less developed ones as products went through their life cycle over time. This would then explain investment flows from developed- to less developed-countries, and flows among less-developed countries. The uniqueness of Wells approach lies in his application of the product cycle concept to explain the emergence of developing-country transnational firms. Wells suggested that the markets and characteristics of developing countries influence local firms to innovate in ways that are more suited to the development conditions found in their country. In particular, he pointed to the smaller size of the markets and relative abundance of cheap labour in developing countries as key influences on local firms. Wells suggested that firms developing in this kind of environment could build their initial advantages from descale manufacturing, a process of adapting technologies from developed countries to suit less developed markets by reducing scale, replacing machinery with manual labour, and relying on local inputs. The cost advantages to be derived from descale manufacturing would constitute a very important ownership advantage, and, to exploit these costs advantages, developing country firms w ould concentrate on serving the price-sensitive market instead of the specialty markets dominated by firms with the resources for massive marketing. This kind of low-cost, low-price competitive strategy would largely confine the transnational expansion of developing country firms to those markets of other developing countries at or below the host countrys economic status. Changes over time in investment flows would occur as this cost advantage was gradually undercut by the catch up of local firms or affiliates of advanced-country multinationals. Wellss model has been influential, though it does seemingly suggest a rather pessimistic future for developing-country transnational firms (Wells 1983 and Aggarwal 1984). Taking a different approach, Lall (1983) argued that the smaller size of production in developing countries was not by itself evidence of a descaling advantage (1983: 11). He did not share Wellss pessimism over the sustainability of developing-country firms, asserting instead that such firms could generate their own sustainable proprietary assets to be exploited successfully in transnational operations. Lall saw the development of these proprietary assets as entailing different innovations than those used by multinationals from developed countries; for instance, they would come from widely diffused technologies and from a special knowledge of developing-country markets. They would be sustained, Lall contended, by the localisation of technical change and the irreversibility of such change. So, developing-country firms could develop products more suitable to developing-country markets, and innovations could be localised around techniques more relevant to developing-country market condi tions (such as cheap labour). Thus, according to Lall the ownership advantages of developing-country transnational firms come about not because of their ability to descale manufacturing technologies to smaller markets, but rather are derived from their greater knowledge of operations and conditions in developing-country markets (see also Kimura 2007). Such advantages would not necessarily be eroded over time, as suggested by Wells, since firms could engage in RD and continued learning. Challenging these models by Wells and Lall is the so-called second-wave literature that emerged in the early 1990s. This new strand was a response to the apparent changes that were seen to characterize more recent developing-country transnationals. For instance, it was observed that they were investing in markets farther away from home, in some cases in highly competitive markets such as the United States and European Union, and in new sectors, some of which did not depend on labour-intensive techniques. Moreover, the ownership-specific advantages of the newer transnational firms had changed. No longer did they seem primarily dependent on small-scale, labour-intensive technology, low-price, and low-cost operations. Now, they appeared to also derive ownership advantages from their ability to accumulate technological capabilities and to improve their production efficiency (Dunning 2000). This last observation in particular encouraged second-wave theorists to apply the concept of technological accumulation to try to understand the more recent transnational expansion of developing-country firms (e.g., Dunning 2000; Ulgado et al. 1994). The result was a model that proposes that over time technological accumulation can lead to a more sophisticated structure of outward investment. This gradually comes about, it was argued, as firms accumulate technological expertise and experience in foreign markets. Although their technological capabilities are not based on frontier technology, developing-country firms are believed to innovate and accumulate technological skills that will be appropriate to the environment of developing-country markets. Thus, a firms initial outward investment, which is originally centred on resource-based and simple manufacturing activities in markets close to home, changes to focus on more sophisticated manufacturing activities, eventually even to resea rch-intensive and differentiated products. Through this path, second-wave theorists suggested, firms can enhance their technological capabilities over time, which will improve their ownership advantages, and, eventually, allow them to catch up with competitors from developed countries. A variant within the second-wave approach was proposed by van Hoesel (1997). He argued that firms from developing countries begin their technological accumulation process by gradually climbing the value-added ladder, from shop floor production operations upward to other value-added functions such as marketing or RD activities. They need to do this, according to van Hoesel, because developing countries are latecomers to the industrialisation process and therefore their firms do not have significant proprietary innovations (in some respects, van Hoesels approach is similar to the Late Industrialisation framework, reviewed in Section 2.3.3). The ownership advantages of developing-country firms are therefore seen to lay initially in the lower value-added production units, with international expansion largely a function of the incremental accumulation of technology that moves the firm up to more sophisticated operations. This incremental technological accumulation process is also held to determine the organisational form of the firm, with early investment forays typified by lower-risk and less-committed forms, such as sales representatives and joint ventures with local partners, and later investment characterised by more complex forms, such as wholly owned subsidiaries or acquisitions of local firms. Despite the valuable insights provided by both the first- and second-wave literature, it has generated criticism on methodological, empirical, and theoretical grounds. From a methodological point of view, Ulgado et al. (1994: 125) raised the important point that most of these studies of investment by developing-country firms consist mainly of macro-level considerations at the expense of micro-level studies of organisational, operational, and managerial workings. These aggregate analyses often fail to reveal the detailed dynamism of the internationalisation process and the other aspects of business organisation, such as the cultural, political, and social context. Moreover, the FDI from some countries is heavily concentrated in particular markets or industries, and this may lead to research bias. For example, van Hoesel acknowledged that, as his study was of Korean and Taiwanese MNEs in the electronics industry, his conclusions might not be applicable to other developing country MNEs (1997: 239). In fact, it should be more pointed out more generally that the availability and quality of FDI data from developing countries is limited and therefore conclusions drawn from it may not be reliable. In short, more studies at the firm level are called for to provide insights on the internationalisation behaviour of MNEs from developing countries. Section 2.1 has reviewed a number of conventional economics-based theories of FDI. They share the perspective that FDI is motivated by a firms desire to exploit its proprietary advantages abroad. These advantages are seen as transferable from country to country within a firm, but transferred only with difficulty between firms. While the proprietary advantages from developed-countries are derived from frontier technologies and sophisticated management and marketing, those for investors from developing-countries are embodied in imported technologies that have been localised through imitation and adaptation. These theorisations, however, are often criticized for their rather aggregated analyses and for their emphasis on explaining the structure of MNEs as opposed to the process by which firms internationalise. The following section reviews models that explicitly concentrate on the dynamics of transnational expansion. Internationalisation Process Models Internationalisation process theorising began with the early studies carried out in the 1970s by a group of Scandinavian scholars. Unlike the economics-based theories reviewed in Section 2.2 which accept the neoclassical economic model of rational agents exhibiting optimizing behaviour as a core assumption, the so-called Scandinavian School is rooted in the behavioural theory of the firm (Cyert and March 1963; Hosseini 2005: 528-9). The behavioural dimension is the assumption that learning takes place in response to limited cognitive capabilities in a complex and uncertain environment. Accordingly, internationalisation process models attribute the timing of market entry, its structural form, and its development over time as functions of the increasing commitment of managers to foreign markets. The process behind this increasing commitment is not (neoclassical) rational executive decision-making but an incremental learning trajectory that is human- and history-dependent. A variety of internationalisation process models can be found in the literature. These have often been divided into two groups (Andersen 1993). The first group is the so-called innovation-related lear

Saturday, July 20, 2019

The Deadly Ebola Virus :: Ebola Hemorrhagic Fever (Ebola HF)

OUTLINE Thesis Statement: The deadly virus Ebola is killing thousands of innocent people world wide, but there are some simple steps that are being taken to prevent this coming tide of death. I. Introduction II. Outbreaks A. First two outbreaks B. 1976 outbreak C. 1995 outbreak D. 1989 U.S. outbreak III. What is Ebola A. The Ebola virus in general B. Transmission C. Symptoms D. 1 in 10 victims survive IV. No treatment V. Contraction of Ebola A. Must infect animal first B. Chimpanzees are the suspected hosts VI. What is to blame A. Poor facilities are impart to blame B. Inadequate surveillance systems C. Poor governmental quoperation VII. Prevention and what it helping A. More money B. Hospitals staffs are now better informed C. (CDC) is helping D. Prevention IIX. Conclusion Ebola, a major threat to today's society, is threatening all parts of today's culture. In this paper one will be presented with six major points of analyses. The first an outbreak timeline, the next three are a basic overview of the deadly virus. In the fifth, one will be presented with what things are being blamed for these violent outbreaks. And in the sixth and final point one will be shown what is being done to better the situation. It is over in a matter of days. The victim staggers, disoriented and exhausted, and collapses in a fever. His eyes turn bright red, and he starts vomiting blood. Within a matter of hours, he "crashes" and "bleeds out" surcumming to agonizing death with blood seeping from his eyes, ears and other orifices. At autopsy, pathologists discover, aghast, that the patients internal organs have disintegrated into an indistinguishable mass of bloodied tissue. The killer: A "hot" virus, a highly contagious and deadly microbe that has never been seen before, and has no known cure. (Bib5, CQ Researcher, 495) In 1976 the first two Ebola outbreaks were recorded. In Zaire and western Sudan five hundred and fifty people reported the horrible disease. Of the five hundred and fifty reported three hundred and forty innocent people died. Again in 1995 Ebola reportedly broke out in Zaire, this time infecting over two hundred and killing one hundred and sixty. (Bib4, Musilam, 1) Can Ebola make it to the U.S.? Well the answer to that question is yes. In fact it has, in 1989 in a rural town in Washington named Gabon.

Bruce Dawes Poetry :: essays research papers

Discuss 2 of Dawe's poems which illustrates his belief that ordinary things in life are a good subject for poetry.Bruce Dawe poems illustrate his version of "ordinary". The poems I have studied of his work have been about life and how people deal with everyday living. Such poems as Drifters and Homosuburbiensis are good examples of how Dawe captures the meaning of "ordinary". Drifters is about a family who move from place to place, as the father needs to move by the demand of his job. The young children are growing up to learn no other way of life, as they are all waiting for the day they shall move again. The children get very excited about this, as it is something different and is of course an adventurous, in ordinary life.The eldest, she is seeing what she is missing out on and is becoming aware that there nomadic lives may never change. She who once was one of those excited children, realises she can not lead a normal teenage life as she is not stationed long enough, to become friends with people her own age. She is becoming frustrated with her life. She becomes upset but knows she has to accept the inevitable. From the above Dawe shows compassion for the eldest as she has to go through this more than once. Also the young children are going to grow up to realise they will too go through the same thing. Dawe also shows a serious side in the poem, as the mother just wants to settle down and have the bright future she has always dreamed of. Dawe has a sympathetic outlook towards the mother, by outlining her hopes and dreams, also asking her husband Tom to make a wish in the last line of the poem. Thus hoping he will choose the same path in life that would be concrete and will bring them closer together. Because this is a continuous event the mother is getting frustrated as at the time of packing once again she finds that she has not unpacked from there last move.This poem is not everyone's ordinary life but a life the have to lead in order to stay functional. The family have to make sacrifices because it is more of a necessity. This life they lead is ordinary to the young children but frustrating towards the eldest and the mother.

Friday, July 19, 2019

Population in the world Today :: essays papers

Population in the world Today Probably the most pressing concern of the modern world — both environmentally and socially — is the escalating global population. The geometrical growth in numbers over the last century, when estimated, presents an ominous picture of massive, unsustainable growth and accompanying famines and health crises. Yet, to simply follow the current trend is naive, and informed estimates of population trends are increasingly predicting a less disastrous future. The latest study shows an 85% chance that global population will peak before 2100, and predicts with 60% certainty that this peak will be less than 10 billion, compared with a population of 6 billion today. They even give an outside chance, 15%, that there will be fewer people living at the end of the century than are alive now. Their results are notable not just for the relatively low figures projected, but also for the rigorous analysis that accompanies them. Whereas the United Nation estimates present just four possible outcomes (constant, high, medium and low). The US Census Bureau includes specific chances of a particular scenario occurring on a specific date. This graphically illustrates the confidence (or otherwise) of predictions further into the future. To arrive at their conclusions, the team combined two forecasting techniques — 'time series estimation, a statistical analysis based on known figures, and 'expert judgment', whereby key parameters are estimated taking into account foreseeable events such as disease, war and fertility trends. Apart from the lower total population figure estimated (8.8 billion by 2050, compared to 9.3 for the UN's medium estimate, 2000 revision). Population decline in developed nations is expected to accelerate, with the European part of the former USSR expected to lose 20% of it population by 2050. Such declines lead inevitably to ageing populations, and half of all people living in Japan at the end of the century are predicted to be over 60 years old. With these facts, there is no doubt in our minds that we are in for some trouble. Over the next 50 years, the United States alone faces some population problems. What we need to do is keep the growth rate at stage 4, meaning we need to have birth and death rates low.

Thursday, July 18, 2019

P unit

I will also be talking about nature and nurture and how It relates to some of the life stages. The PIES are what everyone needs when they are growing up and get to their full potential they are: physical, intellectual emotional social. Physical needs are things like sleep, food, drink, air, warmth, shelter, reproduction and safety form danger these are things that you cannot live without and need to survive. Intellectual Is the second need In life Is the need to learn, face challenges, Interests and hobbies.The third need is emotional needs this is things like: respect to you and others, identity, self-esteem and self-worth. The final need is social this is when you need to feel a ensue of belonging, such as a relationship with someone, affection, family, a work group, and love. Development from O-death physical, Intellectual, emotional and social Conception and birth In the physical stage you are constantly growing In terms of biological cells growing from a cluster in the fallopian tubes to an embryo.By 8 weeks the embryo develops Into a fetus inside your mother's womb and develops tissues, limb, organs and senses, this process ends when your mother gives birth to you. In the Intellectual stage you do not learn anything as you do not thing. In the emotional stage you start o grow an attachment to your mother but you cannot have any self-work or concept as you cannot learn. In the social stage you grow a close relationship with your mum as she Is carrying you and her body Is feeding you this Is the only relationship that you develop in this stage as you have not been born yet so there for cannot build any relationships.You may feel a sense of belonging during pregnancy but that would be It. Infancy In the physical stage you keep constantly growing and developing you grow In height and weight to become stronger this is so that you can support you self you first start y supporting your head then move on to supporting your back when you sit up then you support yo ur whole body when you start standing up for the first time. Also your learn how to digest foods that are easily digest able at first then you go on to after you have been weaned of your mother's milk.The intellectual stage of infancy is that the child starts to communicate with words and is in the process of learning to speak. The child may also be able to count to 10 and say the alphabet but as doing this they do not actually know the meaning of what they are saying an example of this Is If you UT a lop In front of them and then 5 x ups they would chose the ups as they think that there are more of them and do not understand the concept of what they are 1 OFF like their parents or close family and friends if this effected in the infancy then it can affect you in later life.An example of this is that if you aren't securely attached to their mum or dad may in later life be not as able to cope with stress and other major life events. In the social stage of infancy by the age of 2 mont hs they may start to smile and by 3 months they will be able to respond to their parent's voices after 5 months they can recognize people that they have seen such as grandparents and family friends. They start to form an emotional attachment to their parents and by the age of 30 months -36 months they are playing alongside other children and making friends.Childhood In the physical stage children grow constantly but they do it at a slower speed than in infancy. By the age of 4 they will be able to kick and throw a large ball when the child is 6 its head will be only having ten per cent left to grow even though its body still has ages to grow fully. They may be able to skip or ride a bike. Their reproductive organs stay small and useless until puberty. In the intellectual stage children can now think logically and understand simple logical mind puzzles.You may find that a 7-8 year old may find it difficult to mentally imagine puzzles that do not make perfect sense or riddle like ques tions In the Emotional stage children start to use their imagination and they begin to understand the roles that others play in their life. They start to picture them self how they want them to be (ideal self) and their parent's relationship my how the child feels (sense of self-worth). The way that they act at school with their teacher and friends may influence there self-confidence if this stage goes wrong then in the long run and in adult hood they may feel a sense of failure or no self-worth.In the social stage young children are dependent on their careers such there parents they begin to learn social roles such as friendship and teacher student relationships. Adolescence In the physical stage the child/ adult are nearly fully grown and puberty starts to happen. This happens in girls between 11 and 13, it general happens for girls earlier than boys. Boys start puberty between the ages of 13 and 15. Puberty is the stage where the body starts to develop its sexual organs ready for sexual reproduction it is started by the release of hormones that control their sexual development.Both female and male will have a growth spurt at some point where they will grow in height at faster rate than usual. During in puberty girls breasts get larger and they start their fat layers start to increase under the skin. Also they get their menstrual periods and pubic hair starts to grow. During in puberty boys also get pubic hair as well as facial hair. Their voices break. This means that their voices get deeper in tone. Their testes and penis become larger. In the intellectual stage they are now an adult thinker and can thank through and solve complicated problems in their heads.They can work out a problem like the car won't start as the battery if dead or it needs more fuel. They also may start thinking abstractly and be able to solve a problem without seeing the end idea. In the emotional stage teen ages start to get a sense of their own identity and their sense of self star ts to develop further. In this time it may be trustful as they may not have very good self-esteem. This is linked to a person's sense of identity. A strong sense of identity is need so that loving sexual attachments can be made.This also means that they will feel secure in the work place when influenced by how their family affect them. Teenagers have to cope with becoming confident with their sexuality and also becoming socially independent from the family. Friends are important in this stage as they help them fit it and belong in a group. Teenagers will copy their friend's behavior and the way they dress as well as levels and cultural values. Adult hood In the physical stage you are at the peel of your physical performance from the age 18 – 28 this is proved by champions that do sport.This is because adults lose their strength and speed with age. Exercise can help you to develop your physical strength and can increase your fitness if you are overweight you will lose weight u ntil you are fit or have a good IBM. In the intellectual stage you are already fully developed fully and need to Get a Job during adulthood this involves learning new skills, skills can also be learn at the early stages of adulthood when a person leaves home and lives independently this can include cooking and managing a home budget. And then in the later years of adulthood adults begin to react more slowly.In the emotional stages your development starts when a person leaves home and starts to be independent and self-reliant also getting a new Job means you have to behave in a mature manner and you as a person starts controlling the way you respond to emotions. In the social stage you when an adult leaves home they start to build up ewe relationship like getting a partner or getting married and having their own family they start to love in different ways they love their friends, partners, family and children but in different ways.Being in a working atmosphere means that you develop work friendships as well as colleagues. Old age and the final stages of life In the physical stage older adults are more prone to putting on weight this may happen because they have become less active but still eating the same amount of food as when they were younger. Older adults also are at a higher risk of getting disease and disability. For women menopause happens around the age of 45-60 this is when they become less fertile and are not as able to conceive children.In the intellectual stage older adults like adult hood nothing has changed other than the fact that you learn something new every day. But as you get older you may start to forget things this may Just be because of old age or because of dementia or Alchemist's. Everyone is different so there intellectual development is different, for example someone could get dementia this could cause there intellectual development to be affected because they have loss of memory.In the emotional stages emotional development doesn't ch ange much but because of them getting older people can see them as less able and so that can knock there confidence as they can feel that they can't do what they use to be able to do. As you get older, a lot of your friends and family may have passed away because it's the end of their life. Also, older adults may be very close to someone who they had a great relationship and spent most their life with. This person may have passed away and the other person could die of heart ache.In social stages during these years there group of reined cut down and family start to become more important again. They can also be isolated and be on their own a lot of the time or with their partners and so they're not different social groups, such as going to bingo and meeting new people. My celebrity I picked Madonna as my celebrity in her early life she was born in Bay City, Michigan, on August 16, 1958 and her full time is Madonna Louise Veronica Concise. From the age of 5 Madonna had lost her mum due to cancer but she had also Just got a baby sister.The treatment or her mother had to be delayed until the baby reached full ERM, but by then the disease had grown too strong and she passed away on the 1 December 1963. This was a big shock to her and therefore had a tough childhood this may affected her emotional and social stages. Because of the career of singing her intellectual development has developed in relation to writing songs as money coming in was more important. Emotionally; she has been though a lot and from a young age was put under pressure and stress due to finance in the family and the death of her mum.And when she got older due to all the Jobs she is physically and mentally rained because as she has become more famous she has to think about his every move as her whole life is now for everyone to see. This could cause her to be stressed, or depressed as of the media. From a young age she wouldn't have been able to go out with friends as he would have been working as she had a Job and did a lot of ballet. And still as she gets older she has to be careful with who she trusts as because she is famous it could make her quite lonely as she needs to trust people even more than anyone else. References The health and social care LA book 1 P Unit September had then arranged an Interview with my form tutor who helped me Identify what opportunities a business degree in management would help me in she explained hat there are many Job roles and told me to research more into the Job roles and to check the new Vic website. Http://model. Enamel. AC. UK/ had then a broader idea to what I would be getting studying in university. I found out that there are many opportunities in different departments of management 11th Even though I understood what I would be studying in university I thought I would arrange a meeting with the career advisors to see if there are other options or better courses suited towards my needs.My findings suggested in the interview that my creative and writing skills were very good, they suggested me on looking into law as there is a law/ business management BAA honor 1 lath September was not too sure about studying law as I have never thought of studying it, but I thought I would check the requirements and also c heck what the course is all about. Http://WV. Westminster. AC. UK/courses/sub]sects/business-and-management/ undergraduate-courses/full-tale/fumble- management-law 1 OFF aspects of law as well, the economics side of it 11th September.