Thursday, October 31, 2019

Davis v. The Board of County Commissioners of Doa Ana County Essay

Davis v. The Board of County Commissioners of Doa Ana County - Essay Example This made Herrera resign from his work in order to evade the disciplinary action. After a few days, the supervisor wrote a letter on behalf of Herrera to the MVH revealing that Herrera was an excellent worker arguing that he was confident that other prospective employees will notice (Walsh (2010, p. 148). Another supervisor of the Detention Centre made some verbal references that praised Herrera as a good worker who will contribute to effective organization performance. This made the plaintiff, the third party in this case to sue the Detention County for negligent misinterpretations of providing misleading information. This misinformation was provided by Mochen and Steele, employees at the Detention Center, which enabled Herrera to be employed again at the MVH. This legal issue was seen as a threat to employee; thus the plaintiff to be assaulted; hence sorted to accuse the board of county commissioners of Dona Ana County. The court concludes that Dona Ana Country deserves to be accountable for negligent referral (misinterpretation) due to positive references. When Herrera got a position as mental health technician, he was allegedly accused of sex assault by the plaintiff and physically abused female patients. In case an organization provides misleading references that can contribute to harm of employees in the new job, the jurisdictions have the right to sue that organization for negligent referral. According to Kohn, Kohn and Colapinto (2004), the court of appeal has the right to judge Steele and Mochen for not taking into considerations the harm caused to the third party and the risk that may be encountered in the end. The government has laws that protect all employees and the third parties in an organization from any harm imposed upon them. The US departments of Labor and its divisions have varied laws, which can shield third parties or employees in the workplace. Cases of negligent or a misinterp retation of any information provided

Tuesday, October 29, 2019

Sales Letter Essay Example | Topics and Well Written Essays - 500 words

Sales Letter - Essay Example ABC Insurance is fast becoming the brand of trust in the industry as can be depicted from various national and international reports and articles. ABC Insurance believes that the companies that are running in different spheres successfully looks for profit from every possible transaction as it is not possible for the organizations otherwise, to create value for the shareholders. In order to maintain such objective, ABC Insurance proposes your company of repute to provide insurance coverage of all the real estate properties that XYZ Body Shop Company owns globally. You would be happy to know that ABC Insurance have special policy schemes designed only for the XYZ Body Shop Company that guarantees at least 25% lesser premium compared to the rates prevalent in the industry. I would like to draw your attention to the fact that ABC Insurance would take every possible ways to come up with customized schemes for XYZ Body Shop Company that would have positive and mutually beneficial impacts on the businesses of both the corporations. ABC Insurance is all set to provide $ 100 credit to all the customers of XYZ Body Shop Company if we are provided the opportunity to insure the auto segment too. And this is not any marketing gimmick. My company is ready to credit $ 100 on the estimated repairs of the customers as we would underwrite a new auto insurance which would help in reducing the overall cost of repair. Not only these, we would also like to increase the credit limit that would be available to the customers, which could be finalized as and when the business progresses. ABC Insurance is a name in the industry of insurance and we have client base from almost all of the spheres of the industry. It includes from real estate construction to financial institutions, from consumer goods to hospitality industry and many other. And, it is fact that all the clients have huge banks of

Sunday, October 27, 2019

Carbon credit

Carbon credit Carbon credits is a mechanism adopted by national and international governments to mitigate the effects of Green House Gases(GHGs). One Carbon Credit is equal to one ton of Carbon. Greenhouse Gases are capped and markets are used to regulate the emissions from the sources. The idea is to allow market mechanisms to drive industrial and commercial processes in the direction of low Greenhouse Gases(GHGs). These mitigation projects generate credits, which can be traded in the international markets for monetary benefits. There are also many companies that sell carbon credits to commercial and individual customers who are interested in lowering their carbon footprint on a voluntary basis. These carbon offsetters purchase the credits from an investment fund or a carbon development company that has aggregated the credits from individual projects. The quality of the credits is based in part on the validation process and sophistication of the fund or development company that acted as the sponsor to the carbon project. This is reflected in their price; voluntary units typically have less value than the units sold through the rigorously-validated Clean Development Mechanism. Background Fossil Fuels are the major source of Greehouse Gas Emissions. Industries such as Power, Textile, Fertilizer use fossil fuels for their high volumes of operations. The major greenhouse gases emitted by these industries are carbon dioxide, methane, nitrous oxide, hydrofluorocarbons (HFCs), etc, all of which increase the atmospheres ability to trap infrared energy and thus affect the climate. The increasing awareness about the environmental degradation gave rise to the concept called Carbon Credit. The IPCC (Intergovernmental Panel on Climate Change) has observed that: Policies that provide a real or implicit price of carbon could create incentives for producers and consumers to significantly invest in low-GHG products, technologies and processes. Such policies could include economic instruments, government funding and regulation, while noting that a tradable permit system is one of the policy instruments that has been shown to be environmentally effective in the industrial sector, as long as there are reasonable levels of predictability over the initial allocation mechanism and price. The mechanism was formalized in the Kyoto Protocol, an international agreement between more than 170 countries, and the market mechanisms were agreed through the subsequent Accords. Emission Allowances The Protocol agreed caps or quotas on the maximum amount of Greenhouse gases for developed and developing countries. In turn these countries set quotas on the emissions of installations run by local business and other organizations, generically termed operators. Countries manage this through their own national registries, which are required to be validated and monitored for compliance by the UNFCCC. Each operator has an allowance of credits, where each unit gives the owner the right to emit one metric tonne of carbon dioxide or other equivalent greenhouse gas. Operators that have not used up their quotas can sell their unused allowances as carbon credits, while businesses that are about to exceed their quotas can buy the extra allowances as credits, privately or on the open market. As demand for energy grows over time, the total emissions must still stay within the cap, but it allows industry some flexibility and predictability in its planning to accommodate this. By permitting allowances to be bought and sold, an operator can seek out the most cost-effective way of reducing its emissions, either by investing in cleaner machinery and practices or by purchasing emissions from another operator who already has excess capacity. Since 2005, the Kyoto mechanism has been adopted for CO2 trading by all the countries within the European Union under its European Trading Scheme (EU ETS) with the European Commission as its validating authority. From 2008, EU participants must link with the other developed countries who ratified the protocol, and trade the six most significant anthropogenic greenhouse gases. In the United States, which has not ratified Kyoto, and Australia, whose ratification came into force in March 2008, similar schemes are being considered. Kyotos Flexible Mechanisms A credit can be an emissions allowance which was originally allocated or auctioned by the national administrators of a cap-and-trade program, or it can be an offset of emissions. Such offsetting and mitigating activities can occur in any developing country which has ratified the Kyoto Protocol, and has a national agreement in place to validate its carbon project through one of the UNFCCCs approved mechanisms. Once approved, these units are termed Certified Emission Reductions, or CERs. The Protocol allows these projects to be constructed and credited in advance of the Kyoto trading period. The Kyoto Protocol provides for three mechanisms that enable countries or operators in developed countries to acquire greenhouse gas reduction credit. Under Joint Implementation (JI) a developed country with relatively high costs of domestic greenhouse reduction would set up a project in another developed country. Under the Clean Development Mechanism (CDM) a developed country can sponsor a greenhouse gas reduction project in a developing country where the cost of greenhouse gas reduction project activities is usually much lower, but the atmospheric effect is globally equivalent. The developed country would be given credits for meeting its emission reduction targets, while the developing country would receive the capital investment and clean technology or beneficial change in land use. Under International Emissions Trading (IET) countries can trade in the international carbon credit market to cover their shortfall in allowances. Countries with surplus credits can sell them to countries with capped emission commitments under the Kyoto Protocol. These carbon projects can be created by a national government or by an operator within the country. Emission Markets One allowance or CER is considered equivalent to one metric tonne of CO2 emissions. These allowances can be sold privately or in the international market at the prevailing market price. Each international transfer is validated by the UNFCCC. Climate exchanges have been established to provide a spot market in allowances, as well as futures and options market to help discover a market price and maintain liquidity. Carbon prices are normally quoted in Euros per tonne of carbon dioxide or its equivalent (CO2e). Other greenhouse gasses can also be traded, but are quoted as standard multiples of carbon dioxide with respect to their global warming potential. These features reduce the quotas financial impact on business, while ensuring that the quotas are met at a national and international level. Many companies now engage in emissions abatement, offsetting, and sequestration programs to generate credits that can be sold on one of the exchanges. Managing emissions is one of the fastest-growing segments in financial services in the City of London with a market now worth about â‚ ¬30 billion, but which could grow to â‚ ¬1 trillion within a decade. Louis Redshaw, head of environmental markets at Barclays Capital predicts that Carbon will be the worlds biggest commodity market, and it could become the worlds biggest market overall. Setting A Market Price For Carbon Energy usage and emissions should be kept under constant check else they will only rise over time. Hence the number of companies needing to buy credits will increase over the period of time. This Supply-Demand for credits will determine the price of the Carbon which will in turn encourage companies to go cleaner. An individual allowance, such as a Kyoto Assigned Amount Unit (AAU) or its near-equivalent European Union Allowance (EUA), may have a different market value to an offset such as a CER. This is due to the lack of a developed secondary market for CERs, a lack of homogeneity between projects which causes difficulty in pricing. Additionally, offsets generated by a carbon project under the Clean Development Mechanism are potentially limited in value because operators in the EU ETS are restricted as to what percentage of their allowance can be met through these flexible mechanisms. Raising the price of carbon will achieve four goals. First, it will provide signals to consumers about what goods and services are high-carbon ones and should therefore be used more sparingly. Second, it will provide signals to producers about which inputs use more carbon (such as coal and oil) and which use less or none (such as natural gas or nuclear power), thereby inducing firms to substitute low-carbon inputs. Third, it will give market incentives for inventors and innovators to develop and introduce low-carbon products and processes that can replace the current generation of technologies. Fourth, and most important, a high carbon price will economize on the information that is required to do all three of these tasks. Through the market mechanism, a high carbon price will raise the price of products according to their carbon content Criticisms Environmental restrictions and activities have been imposed on businesses through regulation. Many are uneasy with this approach to managing emissions. The Kyoto mechanism is the only internationally-agreed mechanism for regulating carbon credit activities, and, crucially, includes checks for additionality and overall effectiveness. Its supporting organisation, the UNFCCC, is the only organisation with a global mandate on the overall effectiveness of emission control systems, although enforcement of decisions relies on national co-operation. The Kyoto trading period only applies for five years between 2008 and 2012. The first phase of the EU ETS system started before then, and is expected to continue in a third phase afterwards, and may co-ordinate with whatever is internationally-agreed at but there is general uncertainty as to what will be agreed in Post-Kyoto Protocol negotiations on greenhouse gas emissions. As business investment often operates over decades, this adds risk and uncertainty to their plans. As several countries responsible for a large proportion of global emissions (notably USA, Australia, China) have avoided mand atory caps, this also means that businesses in capped countries may perceive themselves to be working at a competitive disadvantage against those in uncapped countries as they are now paying for their carbon costs directly. A key concept behind the cap and trade system is that national quotas should be chosen to represent genuine and meaningful reductions in national output of emissions. Not only does this ensure that overall emissions are reduced but also that the costs of emissions trading are carried fairly across all parties to the trading system. However, governments of capped countries may seek to unilaterally weaken their commitments, as evidenced by the 2006 and 2007 National Allocation Plans for several countries in the EU ETS, which were submitted late and then were initially rejected by the European Commission for being too lax. A question has been raised over the grandfathering of allowances. Countries within the EU ETS have granted their incumbent businesses most or all of their allowances for free. This can sometimes be perceived as a protectionist obstacle to new entrants into their markets. There have also been accusations of power generators getting a windfall profit by passing on these emissions charges to their customers. As the EU ETS moves into its second phase and joins up with Kyoto, it seems likely that these problems will be reduced as more allowances will be auctioned. Establishing a meaningful offset project is complex: voluntary offsetting activities outside the CDM mechanism are effectively unregulated and there have been criticisms of offsetting in these unregulated activities. This particularly applies to some voluntary corporate schemes in uncapped countries and for some personal carbon offsetting schemes. There have also been concerns raised over the validation of CDM credits. One concern has related to the accurate assessment of additionality. Others relate to the effort and time taken to get a project approved. Questions may also be raised about the validation of the effectiveness of some projects; it appears that many projects do not achieve the expected benefit after they have been audited, and the CDM board can only approve a lower amount of CER credits. For example, it may take longer to roll out a project than originally planned, or an afforestation project may be reduced by disease or fire. For these reasons some countries place additional restrictions on their local implementations and will not allow credits for some types of carbon sink activity, such as forestry or land use projects. Carbon Tax Carbon tax is a form of pollution tax. It levies a fee on the production, distribution or use of fossil fuels based on how much carbon their combustion emits. The government sets a price per ton on carbon. Carbon tax also makes alternative energy more cost-competitive with cheaper, polluting fuels like coal, natural gas and oil. Carbon tax is based on the economic principle of negative externalities. Externalities are costs or benefits generated by the production of goods and services. Negative externalities are costs that are not paid for. When utilities, businesses or homeowners consume fossil fuels, they create pollution that has a societal cost; everyone suffers from the effects of pollution. Proponents of a carbon tax believe that the price of fossil fuels should account for these societal costs. Benefits The primary purpose of carbon tax is to lower greenhouse-gas emissions. The tax charges a fee on fossil fuels based on how much carbon they emit when burned (more on that later). So in order to reduce the fees, utilities, business and individuals attempt to use less energy derived from fossil fuels. An individual might switch to public transportation and replace incandescent bulbs with compact fluorescent lamps (CFLs). A business might increase energy efficiency by installing new appliances or updating heating and cooling systems. And since carbon tax sets a definite price on carbon, there is a guaranteed return on expensive efficiency investments. Carbon tax also encourages alternative energy by making it cost-competitive with cheaper fuels. A tax on a plentiful and inexpensive fuel like coal raises its per British Thermal Unit (Btu) price to one comparable with cleaner forms of power. A Btu is a standard measure of heat energy used in industry. The money that is raised by carbon tax can help subsidize environmental programs or be issued as a rebate. Many fans of carbon tax believe in progressive tax-shifting. This would mean that some of the tax burden would shift away from federal income tax and state sales tax. Economists like carbon tax for its predictability. The price of carbon under cap-and-trade schemes can fluctuate with weather and changing economic conditions. This is because cap-and-trade schemes set a definite limit on emissions, not a definite price on carbon. Carbon tax is stable. Businesses and utilities would know the price of carbon and where it was headed. They could then invest in alternative energy and increased energy efficiency based on that knowledge. Its also easier for people to understand carbon tax. The Logistics of Carbon Tax The carbon content of oil, coal and gas varies. Proponents of a carbon tax want to encourage the use of efficient fuels. If all fuel types were taxed equally by weight or volume, there would be no incentive to use cleaner sources like natural gas over dirtier, cheaper ones like coal. To fairly reflect carbon content, the tax has to be based on Btu heat units something standardized and quantifiable instead of unrelated units like weight or volume. Each fuel variety also has its own carbon content. Bituminous coal, for instance, contains considerably more carbon than lignite coal. Residual fuel oil contains more carbon than gasoline. Every fuel variety needs to have its own rate based on its Btu heat content. Carbon tax can be levied at different points of production and consumption. Some taxes target the top of the supply chain the transaction between producers like coal mines and oil wellheads and suppliers like coal shippers and oil refiners. Some taxes affect distributors the oil companies and utilities. And other taxes charge consumers directly through electric bills. Different carbon taxes, both real and theoretical, support varying points of implementation. The only carbon tax in the United States, a municipal tax in Boulder, Colo., taxes the consumers homeowners and businesses. People in Boulder pay a fee based on the number of kilowatt hours of electricity they use. Like Boulder, Sweden also taxes the consumption end. The national carbon tax charges homeowners a full rate and halves it for industry. Utilities are not charged at all. Since the majority of Swedish power consumption goes to heat, and because the tax exempts renewable energy sources like those derived from plants, the biofuel industry has blossomed since 1991. Even though the tax is toward the top end, companies can, and probably will, pass on some of the cost to consumers by charging more for energy. Its easier to tax consumption than production. Consumers are more willing to pay the extra $16 a year for a carbon tax. Producers are usually not. Taxes on production can also be economically disruptive and make domestic energy more expensive than foreign imports. Thats why existing carbon taxes target consumers, or, in the case of Quebec, energy and oil companies. Carbon tax has a patchy history around the world. Its widely accepted only in Northern Europe Denmark, Finland, the Netherlands, Norway, Poland and Sweden all tax carbon in some form. Carbon Tax Vs Carbon Credit Carbon Tax is better alternative than Carbon Credit mainly because of the following six reasons Energy Prices are easily predictable by the mechanism of tax than by the mechanism of Cap and Trade. The high volatility of the carbon credits that are generated by the mechanism of Cap and Trade has consistently discouraged energy efficient schemes. Tax system can be quickly implemented than Cap and Trade. Since the environment is getting polluted at a faster rate, it is high time that necessary actions are taken quickly and efficiently. Tax system Carbon taxes are transparent and easily understandable, making them more likely to garner public support than complex Cap and Trade. Carbon taxes cannot be easily manipulated and hence cannot be easily exploited whereas the complexity of Cap and Trade always provides room for exploitation for special interests Carbon taxes address emissions of carbon from every sector, whereas some cap-and-trade systems discussed to date have only targeted the electricity industry. Carbon tax revenues would most likely be returned to the public through dividends or progressive tax-shifting, while the costs of cap-and-trade systems are likely to become a hidden tax as dollars flow to market participants, lawyers and consultants. Carbon Taxes Will Lend Predictability to Energy Prices. With carbon taxes ramped up through a multi-year phase-in, future energy and power prices can be predicted with a reasonable degree of confidence well ahead of time. This will make it possible for literally millions of energy-critical decisions — from the design of new electricity generating plants to the purchase of the family car to the materials used in commercial airframes — to be made with full cognizance of carbon-appropriate price signals. In contrast, a cap-and-trade program will worsen the volatility of energy prices since the price of carbon allowances will fluctuate as weather and economic factors affect the demand for energy. The vaunted advantage of cap-and-trade — that future levels of carbon emissions can be known ahead of time — is mostly notional. And even certainty in future emission levels is of questionable value, since there is no agreed-upon trajectory of emissions for achieving climate stability and preventing disaster. Carbon Taxes Will Provide Quicker Results. The taxes themselves can be designed and adopted quickly and fairly. Cap-and-trade systems, by contrast, are highly complex and will take years to develop and implement. Disruptive issues must be addressed intellectually and resolved politically; the proper level of the cap, timing, allowance allocations, certification procedures, standards for use of offsets, penalties, regional conflicts, the inevitable requests for exceptions by affected parties and a myriad of other complex issues must all be resolved before cap-and-trade systems can be implemented. During this time, polluters will continue to emit carbon with no cost consequences. Carbon Taxes Are Transparent and Are Easier to Understand than Cap-and-Trade. A carbon tax is transparent and easy to understand; the government simply imposes a tax per ton of carbon emitted, which is easily translated into a tax per kWh of electricity, gallon of gasoline or therm of natural gas. By contrast, the prices for carbon set under a cap-and-trade system will vary with market fluctuations and be impossible even for big to predict. A cap-and-trade system will require a complex and difficult to understand market structure in order to balance the many competing interests and ensure that the trading system minimizes distortions and maximizes real carbon reductions. A Carbon Taxs Simplicity prevents it Against Incentives and Potential for vested interests that Will Accompany Cap-and-Trade. In contrast to the simple and straightforward process of implementing a carbon tax, the protracted negotiations necessary to implement a cap-and-trade system will provide constant opportunities for the fossil fuel industry and other invested parties to shape a system that maximizes their financial self-interests as opposed to an economically efficient system that maximizes societal well-being. If allowances are allocated based on some type of baseline reflecting past pollution (which has been the practice with NOx and SO2trading programs), rather than being auctioned, polluters will have perverse incentives to maximize emissions before the cap-and-trade system goes into effect in order to â€Å"earn† those pollution rights. Carbon Taxes Address All Sectors and Activities Producing Carbon Emissions. Carbon taxes target carbon emissions in all sectors — energy, industry and transportation — whereas at least some cap-and-trade proposals are limited to the electric industry. It would be unwise to ignore the non-electricity sectors that account for more than 50% of CO2 emissions. Carbon Taxes Can Produce a Far More Equitable Result than Cap-and-Trade. As discussed in our Issue Paper, Managing the Impacts, carbon tax revenues can be returned through dividends or can be used to fund progressive tax-shifting to reduce regressive sales taxes. The costs of cap-and-trade systems, both implementation and the costs incurred as more expensive technologies replace older and less expensive coal-fired combustion, are far more likely to be imposed upon consumers with less possibility of rebating or tax-shifting. Moreover, because cap-and-trade relies on market participants to determine a fair price for carbon allowances on an ongoing basis, the complications involved are severe with economists, lawyers and politicians getting involved constantly.

Friday, October 25, 2019

The Exploitative Colony of Virginia Essay -- American America History

The Exploitative Colony of Virginia I believe that the early settlers of the colony of Virginia made it into an exploitative and ignorant colony, due to the fact that it was set up primarily to make a small number of individuals wealthy while ignoring the rights of its other members. In the year 1607, a group of adventurers from the Virginia Company established the first English-American colony in the Chesapeake Bay area (Greene, 1988). They landed in Jamestown, and it became the first English settlement to survive in the New World. They named the colony Virginia. In its early history, Virginia was known for its drive to conquer the land and in some cases people, so that it would bring its main benefactors wealth and power (Morton, 1960). This is where the colony of Virginia became highly exploitative because of the greediness of so few people. The wealth and power that these benefactors were looking for mainly came from the growing of tobacco, a labor intensive crop, which was sold in the European market. In order to grow this crop they needed workers to maintain the fields, however, at this time Virginia was characterized as having a high mortality rate. Thus, they had to go out and find a source of laborers. They went out and at first got the labor they needed by recruiting indentured servants from England. These economically poor Europeans were used and abused by their own people, but not as much as the as the black African slaves. In the mid-seventeenth century, slaves became the main source of labor for the labor starved colony, so that the cultivation of the tobacco plantations would continue. The Europeans degraded these people and treated them in some cases, as bad as a dog treats a fire hydrant. One group ... ...4. Greene, Jack; Pursuits of Happiness; University of North Carolina Press; Chapel Hill, North Carolina; 1988. Kate, Stanley & Murrin, John; Colonial America, Essay in Politics and Social Development; U.N.C. Press; Chapel Hill, North Carolina; 1983. Morton, Richard; Colonial Virginia, volume one; U.N.C. Press; Chapel Hill, North Carolina; 1960. Sale, Kirkpatrick; The Conquest of Paradise; First Plumb Printing; New York, New York; 1991. Tate, Thad & Ammerman, David; The Chesapeake in the Seventeenth Century; U.N.C. Press, Chapel Hill, North Carolina; 1979. Todd, Lewis & Curti, Merle; Rise of the American Nation, volume one; Harcourt Brace Jovanovich Press; New York, New York; 1968. Welty, Paul; Readings in World Cultures; Lippincott Company; Philadelphia, Pennsylvania; 1970. Wilson, Samuel; Natural History, The Unmanned Wild Countrey

Thursday, October 24, 2019

Dale Henry’s book “The Proverbial Cracker” Essay

It is not much questioned about how people mostly wanted to be served and be pleased by others. However, the contrary of this fact was the main theme of Dale Henry’s book â€Å"The Proverbial Cracker†. In this particular book it could not be denied that service is the main key for people to get the satisfaction that they need from their own jobs. The realization of each employee that providing service to others is the only key to their corporal success helps them become the person that is particularly needed not only be business organizations but also well appreciated by the society.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The different proverbs in life pertaining to success have mainly been focusing on the ways by which people could attain self satisfaction from their jobs. However, what the said books are lacking which is in turn present in the book of Dale Henry is the fact that service is viewed as a primary aspect of true enlightenment among people. Reading this book brings the reader to the recognition of providing the best for the others that results to their own satisfaction of their own desires.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   â€Å"Most people see their jobs the way a mosquito sees a nudist camp: all kinds of opportunity, but where do I start?† (Henry, 22) True, it is only when a person realizes the true worth of his job and his responsibilities as a person through his career will he realize that he too has an essential worth to the society. It is only when they see the benefit of what they do are they completely motivated to do their best possible efforts for the sake of their job’s completion.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Certainly, this particular book brings about the needed aide for employees or even self-employed people in the society who lack the motivation to do the best they could in their own chosen careers. Dale Henry has fully arranged a humorous yet meaningful approach to the said invitation of one’s ability to doing his duties as a fine worker for his own organization’s as well as his community’s progress towards development. Bibliography Henry Dale. (2002). The Proverbial Cracker Jack: How To Get Out Of The Box And Become   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The Prize. Autumn House Publishing.

Wednesday, October 23, 2019

Ethical Issues in Psychology

Ethical Issues in Psychology Psychologists often work with vulnerable individuals in sensitive situations. An important step in becoming a mental health professional or consumer of psychological services is to be aware of the ethical issues faced by psychologists. If you are providing psychological services you are obligated to remain informed regarding current ethical standards or issues. If you are a consumer of psychological services, the professional should keep you informed regarding your rights.If you find yourself in a situation where ethical standards are being violated or have doubts regarding the correct course of action, consult with a colleague. The faculty of the College of Saint Benedict/Saint John's University joint Psychology Department have identified several key ethical issues with which we believe our students should be familiar. This list is not complete and students will learn much more about ethical issues while going through the psychology curriculum. Near the end of their study, students are asked to demonstrate knowledge of these ethical issues as they apply them in their senior integrative experiences.COMPETENCE: Consumers of psychological services have the right to expect that the practitioner is competent to provide the services offered. Generally, competence is established through training, experience, supervised practice, or a combination of these activities. Any practitioner should be willing to discuss their competencies with any consumer of services and be ready to make referrals to others when an administration of tests like the MMPI or the Wechsler intelligence scales requires understanding of the intricacies of both administration and interpretation.Graduate course work and many hours of supervised practice are needed to acquire the necessary skills. The practitioner is also obligated to keep skills up to date with formal course work, reading, or other professional development activities. CONFIDENTIALITY: Psychologists and co nsumers of psychological services are frequently concerned about the issue of who is allowed to see and use information about individuals generated during research, consultation, or therapy.In most circumstances private information must be kept confidential, that is, it is not revealed to others. However, there are important exceptions to this, mandated by state law and court decisions, and it is important to be aware of them. These exceptions tend to concern situations in which information that is normally confidential can be used to prevent harm to another person. For example, if a client describes abusive behavior toward their children, the therapist is mandated to file a report with social services.Clients, themselves, need to be aware of both the requirements and the limits of confidentiality. INFORMED CONSENT: In their roles as researchers, therapists, and consultants, psychologists offer a variety of services. Informed consent is a central principle in these actions. This mea ns that consumers of psychological services have the right to know precisely what services are being offered, what benefits can be expected, and what risks are involved. After being so informed, consumers then have the right to refuse the services or terminate participation.In research, therapy, or other activities accompanied by some identifiable risk, consent needs to be in writing. When individuals, for some reason, can't give their consent, a surrogate or guardian may be allowed to consent for them. RELATIONSHIPS WITH VULNERABLE INDIVIDUALS: Psychologists frequently interact professionally with clients who are less powerful than themselves because of their age, species, emotional insecurities, intellectual ability, legal status, or other attributes.As a general rule, psychologists are expected to act in the best interests of such individuals, to avoid taking advantage of the vulnerabilities of clients, and to treat animal subjects humanely in accordance with accepted practice. A romantic relationship between a therapist and client is one way that this ethical principle may be violated and is one of the most common causes of lawsuits against therapists. A GENERAL CONCERN FOR ETHICAL PRACTICE: The issues outlined here provide a broad outline of ethical practice in psychology. Specific courses will elaborate on these issues and help you identify situations in which they apply.However, each individual, whether a practitioner or consumer of psychological services, needs to be aware of the role that ethical guidelines play in directing the application of psychology to the problems of the real world. We hope that awareness of specific ethical issues in psychology will broaden your view of the meaning of ethical behavior as it applies to any endeavor. Whether you go into politics, education, business, manufacturing, law, medicine, or any other vocation, you will need to take the time and effort to examine what you are doing in terms of its ethical implications and have the courage to confront unethical behavior.

Tuesday, October 22, 2019

Questions for American Greetings Essays - Free Essays, Term Papers

Questions for American Greetings Essays - Free Essays, Term Papers Questions for American Greetings 1. The shares of American Greetings are currently trading at an EBITDA multiple that is at the bottom of its peer group. Do you think a 3.5 times multiple is appropriate for American Greetings? If not, what multiple of EBITDA do you think is justified? What is the implied share price that corresponds to your multiple? EBITDA , which is an acronym for Earnings Before Interest, Taxes, Depreciation and Amortization is one of the valuation measures that is used to indicate the financial performance of a company. EBITDA therefore, is equivalent to Revenue-Expenses (excluding amortization, depreciation, interest and tax). Thus means that it refers to net income with amortization, depreciation, taxes and interest added back to it. This measure can help in the analysis and comparison of profitability between companies since it eliminates the effects of accounting and financing decisions (Ferris & Petitt, 2002). Financially, when the EBITDA margin is higher, it means that less operating expenses will be eating into the bottom line of the company and this will lead to an operation that is more profitable. EBITDA multiple according to the article refers to the Enterprise Value divided by EBITDA. For the case of American Greetings, the EBITDA multiple being at the bottom of its competitors is encouraging to investors. This is because the comparatively low EBITDA equates to low EBITDA margin and when the EBITDA margin is low, the EBITDA multiple will be high since EBITDA margin is the denominator. At the same time, high EBITDA margin will result in low EBITDA multiple. However, Therefore, since high EBITDA means that less operating expenses be eating into the bottom line of the company and this will lead to an operation that is more profitable, then I think a 3.5 times multiple, which is the lowest in the group is appropriate since it means less operating expenses eating into the company's revenues and hence higher profitability. The implied share price corresponding to this multiple is 12.51. 2. Please model cash flows for American Greetings for fiscal years 2012 through 2015 based on the two sets of ratios in Exhibit 8. | |Actual 2011|2012 |2013 |2014 |2015 | |Bull | | | | | | |Scenario | | | | | | |Cash Inflow|1747.98 |1676.6 |1684.9 |1693.2 |1701.5 | |Operating |0.10393 |0.10355 |0.10355 |0.10355 |0.10355 | |Margin | | | | | | |Net Working|11.0811 |13.2444 |14.3481 |15.4518 |16.5555 | |Capital | | | | | | |Turnover | | | | | | |Fixed Asset|1675.05 |1675.05 |1675.05 |1675.05 |1675.05 | |Turnover | | | | | | |Bearish | | | | | | |Scenario | | | | | | |Revenue |1747.98 |1747.98 |1747.98 |1747.98 |1747.98 | |Growth | | | | | | |Operating |0.10393 |0.10355 |0.10355 |0.10355 |0.10355 | |Margin | | | | | | |Net Working|11.0811 |13.2444 |14.3481 |15.4518 |16.5555 | |Capital | | | | | | |Turnover | | | | | | |Fixed Asset|1675.05 |1675.05 |1675.05 |1675.05 |1675.05 | |Turnover | | | | | | 3. Based on the discounted cash flows associated with the forecast, what is the implied enterprise value of American Greetings and the corresponding share price? Enterprise Value refers to a measure of the total value of a company. It is calculated by adding the market capitalization of the company to the preferred shares, minority interest and debt and subtracting cash equivalents and total cash. Since the minority preferred equity and minority interest is zero, then the Enterprise value is obtained by (Share Price* number of shares)+ debt-cash and cash equivalents. =($12.51*75)- 172. - 938.25-172=766.25. According to the discounted cash flows, the corresponding share price is 12.52 and the implied enterprise value of the American Greetings is $766.25 4. What are the key drivers of value in your model? 1) Cutting-edge Technology and Innovation According to analysts, the product innovation in the company is needed to drive the interest of the customers in the company's goods. The valuation will improve if technological enhancements are left to be the key to the company's long-term approach. The rolling out of several complementary interactive goods such as mobile apps is for instance, one of the innovative moves meant to bolster the company's digital position. The effect of technology is evident from the information provided in the case study. For instance, with the introduction of social networking sites, some respondents are claiming that they are sending fewer e-cards that they used to since most of the greetings are being sent through facebook. This means that technology is affecting the American Greetings

Monday, October 21, 2019

The Family and Medical Leave Act (FMLA) †Business Research Paper (400 Level Course)

The Family and Medical Leave Act (FMLA) – Business Research Paper (400 Level Course) Free Online Research Papers The Family and Medical Leave Act (FMLA) Business Research Paper (400 Level Course) In the early stages of American civilization, employers had little to no commitment to their employees. This spawned horrifying working conditions and multitudes of injustices. The United States government has been traditionally slow to react to the difficult and unfair work settings forced on its people. It took the civil rights movement of the 1960s to spark reform in many aspects of American life, including employee/employer relationships. One of the most radical, and recent, reforms the government has imposed is the Family and Medical Leave Act. The Family and Medical Leave Act (FMLA) went into effect on August 5, 1993. FMLA provides employees with up to 12 weeks of unpaid leave within a 12 month period during which their jobs are protected. Job restoration is guaranteed unless the employee is unable to perform the essential functions of the job. FMLA covers a wide array of issues that we as humans face. Employees who are having a baby, adopting a child, are having serious health issues, or have a family member facing serious medical issues are eligible for the 12 weeks of unpaid time off that FMLA offers. Although the FMLA is a great tool that the general population can use, there are also some stipulations that can protect the employer as well. First, only employers with over 50 employees are required to give leaves under the FMLA. The FMLA also does not require restoration of any ones job in its original state if the employee is incapable of doing the basic job duties. Another stipulation of the FMLA is the length of employment required by the employee before they are eligible for the leave. An employee must be employed by the employer for at least 12 months and work a minimum of 1250 hours. As stated above, the FMLA was signed into law in 1993. This happened by no small effort of the American Association of University Women. The AAUW is a woman’s group that focuses on family life and the betterment of American home life. The AAUW had been a long time supporter of flexible work policies and from 1983 to 1992 were strong supporters of the FMLA. If it was not for the hard work the AAUW put into the propaganda and advertising of the FMLA than the American workers would of likely never have had the benefits that the FMLA offers. The great working environments we thrive in today are products of many individuals and groups of people, such as the AAUW, who fought for equality and fairness in the past. 40 hour work weeks, equality in hiring practices, wage fairness and the FMLA are all blankets of protection that the United States government shelters its work force with. Employers are also realizing the rules like the FMLA, which is of no cost to employers, are actually increasing productivity and profits for companies due to the increase in employee moral. Employees that are happy and content in home life and feel their employers are supportive of themselves are much more likely to become highly productive members of the work staff. Research Papers on The Family and Medical Leave Act (FMLA) - Business Research Paper (400 Level Course)Moral and Ethical Issues in Hiring New EmployeesTwilight of the UAWThe Effects of Illegal ImmigrationResearch Process Part OneNever Been Kicked Out of a Place This Nice19 Century Society: A Deeply Divided EraInfluences of Socio-Economic Status of Married MalesAnalysis of Ebay Expanding into AsiaPETSTEL analysis of IndiaDefinition of Export Quotas

Saturday, October 19, 2019

Business Models And Its Managerial Implications Business Essay

Business Models And Its Managerial Implications Business Essay A business model describes the rationale of how an organization creates, delivers, and captures value – economic, social, or other forms. The process of framing the right business model design is an integral part of the company’s business strategy. In theory and practice the term business model is used for a broad range of informal and formal descriptions to highlight its basic objectives like its vision, core competencies, strategies, infrastructure, organizational structures, trading principles, and operational processes and policies.( Changing Business Models: Surveying the Landscape, J. Linder and S. Cantrell) The essence of a business model is that it defines the ways by which the business enterprise delivers value to customers, entices customers to pay for value, and converts those payments to profit: it thus reflects management’s intention of what customers want, how they want it, and how an enterprise can organize to best meet those needs, get paid for d oing so, and make a profit. After all the future of any company lies in the value that they deliver (David Teece 2010). Business models are used to describe and classify businesses (especially in an entrepreneurial scenario), but they are also used by managers inside companies to explore possibilities for future development, and finally well known business models operate as recipes for creative managers. 2. Role and Importance Nowadays, the business models used depends on the technology levels in the organization. Top level managers have created entirely new models that depend fully on existing or emergent technology. Using technology, businesses can reach a large number of customers with minimal costs. Such is its importance in today’s world that a properly framed business model provides clarity to any business. To identify and create value from an innovation, a start-up needs a well structured business model. Business models transform latest technology into outputs at the e conomic level. For emerging firms in industry, established business models cannot be followed, therefore there is a need to frame a new business model. Not only is the business model important, in some situations, innovation lies not in the product or service offered but in the business model itself. Taking into account the complexities of products, markets, and the environment in which the firm operates, very few individuals fully understand the organization’s tasks and objectives in their entirety. The technical experts and the business experts know each of their domains clearly. 3. The Domains of Business Model The conversion process that a business does is shown in the following diagram: Technical Inputs Business Model Economic Outputs A business model covers a plethora of business subjects, which includes financial, marketing, operational and entrepreneurial strategies. The business model itself is an important determinant of the firm’s revenues to be made from an idea. A well framed business model can outshadow even a weak innovation but a weakly framed business model will hide off a good innovation. 4. Components Following are the six major elements in business models: Value proposition – a clear description of the root cause for customer need, the product that will satisfy the need, and the delivered value of the product from customer’s view.

Friday, October 18, 2019

Malaria Essay Example | Topics and Well Written Essays - 1500 words

Malaria - Essay Example According the research of Wolfe team, the parasite that infects chimpanzees is named as, P. reichenowi. This parasite is consisting of more genetic variability in comparison to those species which target humans. Generically, the older parasites demands more time to evolve variants; hence the diversification form of humans is far less as compared to the chimpanzees. After considering the detailed research on genomes, Stephen Rick found that the human malaria parasites are actually nested inside the parasites of chimpanzees. Meanwhile, the genetic data states P. falciparum as a mutated form of P. reichenowi. There are no such examples found either, which can relate the human malaria originated from a bird or a chicken other than chimpanzees. Stephen Rich’s theory also states that, a mosquito which feds on a chimp first and then on human, is apparently introducing the parasite into our lineage. The recent consistent observation declares that, malaria is less toxic on a chimp rath er than human. According to Stephen Rich, chimpanzees have been around longer than human hence; the host and parasite balance their relationship with each other having lots of time in hand. Greg Lanzaro states that, to solve this puzzle of origin, the malaria, human genetics, mosquito spreading malaria and the parasite should all be put together. Stephen Rich’s investigation of malaria affecting chimps and passing over to humans is still in process, through more genomes details. (Peeples, 2009) Malaria disease has been highlighted on the surface of the earth for over 4000 years ago. First, the Chinese medical writing illuminated the symptoms of malaria. These symptoms were characterized in Nei Ching, in 2700 BC. The Emperor Huang Ti was the editor of Nei Ching. The first recognition of malaria was done in Greece, during the 4th century BCE. It resulted in the decline of the population of several states

Reflections on the use of electronic health record data for clinical Essay

Reflections on the use of electronic health record data for clinical research - Essay Example Of course, the electronic health record system is not perfect. There are still several aspects that need improvement such as standardization and completeness of data. Further improvements need to be done to ensure accuracy and completeness of data as well as standard use of terms in all hospitals. Electronic health records may be also used for clinical research, given the wide database of different patients with similar, if not the same, medical cases. This data would prove to be useful in determining effectiveness of treatment and would provide different views on medical approaches. However, this task is not as simple as it may seem. Getting data from electronic health records is a complex and intricate task because one would need clear and concise data for it to be used effectively in clinical research. There are too many discrepancies in data and differences in terms and abbreviations used in transcribed notes that make collection of data more difficult. After reading the article, I realized that electronic health records are useful in ways more than one. I never really thought about EHR as a vital tool in clinical research. I know that it is important for records’ sake and that it would provide all necessary information to improve the quality and stability of patient care. Its use in clinical research is very interesting. It would not only aid health care providers in identifying specific patterns in diseases, but it would also help in comparing different treatments which could show researchers the more effective ones. The use of electronic health records could also further methods of assessing quality of care given to patients. The possibilities are endless and the benefits are seemingly overwhelming. The use of EHR’s, however, can also result in violation of privacy. Privacy is an important aspect of quality health care. The problem with transcribed data from health care providers in that it includes the name of the patient, which

Film Assignment Essay Example | Topics and Well Written Essays - 1250 words

Film Assignment - Essay Example The digesis of the film narrative â€Å"Run Lola Run† does not follow the general continuous time space continuum. While the objective of the protagonist, Lola in the film is to secure 100,000 DM within the short space of twenty minutes; the film presents three scenarios to achieve this, as opposed to a single, continuous storyline that starts at the beginning of the film and proceeds through to its end. The same sequence plays three times but each time with slight differences that produce different outcomes; the first two are disastrous while the final scenario is the one that achieves a happy ending. The film thus presents three, distinct, alternative realities within the unified structure of the film (Leong, 1999), demonstrating how events can unfold in a completely different fashion based on slightly different choices. The unifying feature is a woman with a flame colored head running through the streets, creating a sense of fast paced, pulse pounding, relentless motion tha t keeps the viewer’s attention engaged. The same dilemma is presented at the beginning of each of the three segments, i.e, Lola needing to get together the sum of 100,000 DM, which her boyfriend owes to the crime boss, because his failure to do so could lead to him being killed. If Lola does not have the money to her boyfriend in a time span of twenty minutes, he plans to engage in a criminal activity and hold up a store. The same characters are presented in each of the three sequences, which are repeated again and again with slight variations. The film thus utilizes a cyclical time format, moving through the same events again and again rather than following the linear narrative format employed in most films, where the story proceeds through a series of sequences in a continuous time frame of action. Early film theorists such as Eisenstein (1947) have pointed out that visual information as presented in a film in the form of sequences, can be juxtaposed to give an

Thursday, October 17, 2019

Stephen Kings Novels Recreated into Films Movie Review

Stephen Kings Novels Recreated into Films - Movie Review Example The story of Dr Louis Creed (Midkiff) and his efforts to revive his three-year-old son (Hughes), killed by one of the giant trucks that thunder past their new Maine home, is more like a sketchy outline than a finished work. No film about a scalpel-wielding three-year-old psycho zombie could be entirely devoid of shocks. But reams of tedious exposition, about a children's pet 'sematary' and the magical resurrecting properties of an Indian burial ground, stretch patience and credulity to their limits, while Lambert fails to exploit the potential of the novel's best set pieces. The stories told in flashback by Creed's wife (Crosby) and their elderly neighbour (Gwynne) also seem hopelessly contrived, arresting the book's page-turning plot without adding emotional or psychological depth. If Pet Sematary was just a movie, then it might seem somehow acceptable: its plot, sort of a modern day zombie flick, is fairly creepy, and its premise is sufficiently horrific. Pet Sematary is not, however, a stand-alone film. It is, after all, a translation of a novel, and a great novel, at that. Though plotwise, the film stays fairly true to Stephen King's novel, it remains flat and unconvincing throughout. Unfortunately, this is a fate that has befallen most of King's work. Stephen King's novels don't, as a rule, translate well onto the silver screen. In much the same way that Church, having come back from the dead, seems to be missing something vital, so do King's books when they transition to movies. Perhaps this is because so much of the action in Stephen King's novels, so much of what is horrifying in them, happens to the characters internally. It is their thoughts, their fears, their histories and hopes, that make King's novels so successful. Films often have difficulty con veying this, and this is especially true of the horror genre. Pet Sematary is no exception to this rule. The novel that Pet Sematary is based on is probably one of the best, most terrifying horror novels ever written, and that only makes the movie even more disappointing. In his novel, Stephen King reveals the horror layer by layer, peeling away the sense of normality and safety little by little, until all that is left is sheer terror. Dreamcatcher Starring: Morgan Freeman, Thomas Jane, Director: Lawrence Kasdan, Release Date: March 2003, Genres: Horror, Suspense. The movie opens with four troubled guys in their late twenties, Dr. Henry Devlin (Thomas Jane), Joe 'Beaver' Clarendon (Jason Lee), Gary 'Jonesy' Jones (Damian Lewis) and Pete Moore (Timothy Olyphant), dealing with their gift. These lifelong buddies were given the ability to read minds and more by a mentally challenged guy named Douglas 'Duddits' Cavell (Donnie Wahlberg) when they were young. Now they use their magic to do such mundane things as finding the lost car keys of a real estate agent that one of them wants to date. But their talents will soon be put to the test. Meanwhile back in the snow-covered woods where the guys are going for their annual outing, trouble is brewing. The mad Colonel Abraham Kurtz (Morgan Freeman), ably assisted by

INFECTION CONTROL IN THE IMAGING DEPARTMENT Essay

INFECTION CONTROL IN THE IMAGING DEPARTMENT - Essay Example d either due to issues related with administrative failures of the institution involved or due to lack of appropriate legislation that will offer the basis for the protection of the public. On the other hand, the application of specific precaution measures has been proved to be helpful towards the effective management of an infection risk that can possible occur within a medical services institution. In current paper, the main issue under examination is the importance of control of infection in Hospitals to the extension that such an environment can be a source of infection with severe consequences to the public. More specifically, the department of radiology is examined as a particular area of hospital where the risk of infection can be high. The application of a series of measures, mainly of hand wash, is then examined in order to be identified if it is effective under real terms towards the control of infection specifically within a hospital. The above issues are examined and eval uated using a variety of sources both from the field of literature and the empirical research. More specifically, the views stated in a theoretical context have been combined with the findings of relevant research in order to formulate a valid assumption regarding the level of risk for infection that a patient has to face when entering a hospital. At the same time, a series of measures, particularly hand wash, are being tested as of their effectiveness towards the limitation of the above risk in modern healthcare services institutes. Although the development of technology in all scientific areas has been impressive, medical services sector continues to face severe turbulences due mostly to the appearance and spread of many diseases globally even if the medicines available should have minimized such a phenomenon. Generally, it should be stated that the ‘public health action to control infectious diseases in the 20th century is based on the 19th century discovery of microorganisms as

Wednesday, October 16, 2019

Film Assignment Essay Example | Topics and Well Written Essays - 1250 words

Film Assignment - Essay Example The digesis of the film narrative â€Å"Run Lola Run† does not follow the general continuous time space continuum. While the objective of the protagonist, Lola in the film is to secure 100,000 DM within the short space of twenty minutes; the film presents three scenarios to achieve this, as opposed to a single, continuous storyline that starts at the beginning of the film and proceeds through to its end. The same sequence plays three times but each time with slight differences that produce different outcomes; the first two are disastrous while the final scenario is the one that achieves a happy ending. The film thus presents three, distinct, alternative realities within the unified structure of the film (Leong, 1999), demonstrating how events can unfold in a completely different fashion based on slightly different choices. The unifying feature is a woman with a flame colored head running through the streets, creating a sense of fast paced, pulse pounding, relentless motion tha t keeps the viewer’s attention engaged. The same dilemma is presented at the beginning of each of the three segments, i.e, Lola needing to get together the sum of 100,000 DM, which her boyfriend owes to the crime boss, because his failure to do so could lead to him being killed. If Lola does not have the money to her boyfriend in a time span of twenty minutes, he plans to engage in a criminal activity and hold up a store. The same characters are presented in each of the three sequences, which are repeated again and again with slight variations. The film thus utilizes a cyclical time format, moving through the same events again and again rather than following the linear narrative format employed in most films, where the story proceeds through a series of sequences in a continuous time frame of action. Early film theorists such as Eisenstein (1947) have pointed out that visual information as presented in a film in the form of sequences, can be juxtaposed to give an

INFECTION CONTROL IN THE IMAGING DEPARTMENT Essay

INFECTION CONTROL IN THE IMAGING DEPARTMENT - Essay Example d either due to issues related with administrative failures of the institution involved or due to lack of appropriate legislation that will offer the basis for the protection of the public. On the other hand, the application of specific precaution measures has been proved to be helpful towards the effective management of an infection risk that can possible occur within a medical services institution. In current paper, the main issue under examination is the importance of control of infection in Hospitals to the extension that such an environment can be a source of infection with severe consequences to the public. More specifically, the department of radiology is examined as a particular area of hospital where the risk of infection can be high. The application of a series of measures, mainly of hand wash, is then examined in order to be identified if it is effective under real terms towards the control of infection specifically within a hospital. The above issues are examined and eval uated using a variety of sources both from the field of literature and the empirical research. More specifically, the views stated in a theoretical context have been combined with the findings of relevant research in order to formulate a valid assumption regarding the level of risk for infection that a patient has to face when entering a hospital. At the same time, a series of measures, particularly hand wash, are being tested as of their effectiveness towards the limitation of the above risk in modern healthcare services institutes. Although the development of technology in all scientific areas has been impressive, medical services sector continues to face severe turbulences due mostly to the appearance and spread of many diseases globally even if the medicines available should have minimized such a phenomenon. Generally, it should be stated that the ‘public health action to control infectious diseases in the 20th century is based on the 19th century discovery of microorganisms as

Tuesday, October 15, 2019

The Caribbean People Essay Example for Free

The Caribbean People Essay Saladoid culture is a pre-columbian indigenous culture of Venezuela and the Caribbean that flourished from 500 BCE to 545 CE. [1] This culture is thought to have originated at the lower Orinoco River near the modern settlements of Saladero and Barrancas in Venezuela. Seafaring people from the lowland region of the Orinoco River of South America migrated into and established settlements in the Lesser Antilles, Puerto Rico, and Hispaniola. [1] They displaced the pre-ceramic Ortoiroid culture. As a horticultural people, they initially occupied wetter and more fertile islands that best accommodated their needs. These Indigenous peoples of the Americas were an Arawak-speaking culture. Between 500-280 BCE, they immigrated into Puerto Rico and the Lesser Antilles, eventually making up a large portion of what was to become a single Caribbean culture. [edit]Culture Saladoid people are characterized by agriculture, ceramic production, and sedentary settlements. [1] Their unique and highly decorated pottery has enabled archaeologists to recognize their sites and to determine their places of origin. Saladoid ceramics include zoomorphic effigy vessels, incense burners, platters, trays, jars, bowls with strap handles, and bell-shaped containers. The red pottery was painted with white, orange, and black slips. [1] Distinctive Saladoid artifacts are stone pendants, shaped like raptors from South America. These were made from a range of exotic materials, including such as carnelian, turquoise, lapis lazuli, amethyst, crystal quartz, jasper-chalcedony, and fossilized wood. These were traded through the Great and Lesser Antilles and the South American mainland, until 600 CE. [1] The Taino of the Greater Antilles represented the last stage of the Ostionoid cultural tradition. By about AD 1100-1200, the Ostionoid people of Hispaniola lived in a wider and more diverse geographic area than did their predecessors; their villages were larger and more formally arranged, farming was intensified, and a distinctive material culture developed. They developed rich and vibrant ritual and artistic traditions that are revealed in Taino craftsmanship in using bone, shell, stone wood and other media. Social stratification is thought to have become more pronounced and rigid during this period as well. This stage of intensification and elaboration after AD 1100 is known as Taino. The Taino people, as characterized by archaeologists, were not a unified society, and have been categorized into subdivisions according to the degree of elaboration in their artistic and social expression. The Central or Classic Tainos are identified with the most complex and intensive traditions, and are represented archaeologically by Chican-Ostionoid† material culture. They occupied much of Hispaniola, including En Bas Saline. The â€Å"Western† Taino occupied central Cuba, Jamaica, and parts of Hispaniola, and , are also associated archaeologically with the Ostionoid-Meillacan material tradition. The Lucayan Taino lived in the Bahamas, and the â€Å"Eastern† Taino are thought to have lived in regions of the Virgin Islands and the Leeward Islands of the Lesser Antilles. As many archaeologists have emphasized, however, the Taino were but one of the recognizable cultural groups in the Caribbean at the time of contact. They co-existed and interacted with other Ostionan peoples and perhaps even Saladoid-influenced Archaic peoples, such as the Guanahatabey of Cuba and the Caribs of the Lesser Antilles.

Monday, October 14, 2019

The Size Of Nike Company Marketing Essay

The Size Of Nike Company Marketing Essay Introduction Nike Incorporation is the worlds leading sporting goods manufacturer. The company produces the sports goods all-encompassing: clothing, footwear, sports equipment and so on. The company headquartered in Beaverton, Oregon. Nike with its impressive performance impresses its founder; Bill Bowerman once said the sentence: As long as you have a body, you are world athletes, and Nike will continue to develop grow. Before the company became Nike, the original name of the company is Blue Ribbon Sports on January 25, 1964. The company then officially became Nike Inc. on May 30, 1978. Nike has been provided the best products to every athlete around the world. The language of movement is the Nike language. The company committed always to create every chance to show themselves after three years. Nike knows: The best products are only produced by the use of advanced technology. So, by the way, Nike sacrifices much manpower and material resources for the research and development of new products.   Years ago, a lot of high potential athletes and sports teams around the world have been sponsored by Nike. The Swoosh logo and trademarks of Just Do It are highly recognized. Nike Nature of the Business NIKE, Inc. is a worldwide marketing which engaged in development and design for footwear, equipment and accessory products. It is approximately 18,000 retail accounts by sells its products in the United States. Nearly 200 countries are through a combination of independent distributors, licensees and subsidiaries. Although a few of the products are worn for leisure purposes, NIKEs athletic footwear products are still in specific designed for athletic use. All equipments for men, women and children have been designed and created by the company. Either is indoor or outdoor activities, NIKE have a good market shoes or clothes such as tennis, golf, football, volleyball, wrestling, aquatic activities, hiking and others. Active sports apparel like most of these categories are sold by NIKE, for athletically lifestyle inspired apparel. Objective of the Nike Nikes main objective is to build up all athletes of every different of level of ability to their potential with advance the products. Indeed, it is to create job chances for provide value in its shareholders apart from the competition. Besides that, their aim also is to maintain the costs down which driven by the intense competition. By the way, a lot of other companies also operate these low-wage countries within the athletics industry according on cost reason. Because of difficulty due to less developed countries, their ability is easily moved to become economically dependent on the corporations. Strategies of Nike There are four main categories of strategies of Nike to continue develop growth in this along the years. They are financial perspective, customer perspective, internal perspective, and learning growth perspective. Financial Perspective Growth strategy Focus on Emerging Markets (i.e. BRIC) Products in new niche activities New customer segments Productivity strategy Increase Asset Utilization : increase employee by 5% Reduce Operational Cost Customer Perspective Maintain Product Leadership Provide high quality innovative products Improve Customer Relationship and Service Launch 250-300 Nike retail outlets in next three years Improve image Nike Community for welfare manufacturing workers Align incentives of workers Internal Perspective Follow Cost Out strategy Reduce marketing spent 11% of revenue only, focus on local sport heroes Integrate New Segments Markets and their attributes with current processes like customer Improve Innovation Cycle With smarter and more intelligent customer feedback mechanisms through e-channels Implement CSR Expand its alliance with other non-profit organizations to work together Learning Growth Perspective Retain and Train key employees Ensure attrition rate is between 2-3% Improve IT Assets Enhance CRM, e-channel, social media platform Invests 2-2.5% Rev in IT Systems Create a customer centric culture Executive team to provide a strong and visionary leadership Targeting Market Nikes targeting market is for those who like the higher quality sporting goods, especially footwear. Hence, the company put effort on leadership training, creating premium consumer experiences on product innovation and elevated retail presence. Nike also target market for males and females such as their shoes, clothes, and other accessories, especially among 18 and 35 years old. Nike Company has expanded and dominated in the international market. Size of Nike Company The size or range of the Nike Company is increases throughout the years. The total number of employees of Nike Company is about 38000 people around the world. In 2009, the  company  had a net income of around $1.49 billion. They have offices in 45 different countries. Besides that, the number of Nike stores globally is 700 around the world. Types of products sold Nike Company has a wide range of sports equipment. The first products that Nike produce is track running shoes. Besides that, Nike also offers a range of shoes for sports like golf, soccer, basketball, baseball, squash, bicycling, volleyball, cheerleading, hiking and others. Moreover, some manufacture clothes such as running clothes, tennis clothes, basketball clothes, socks, hand groves, skates, hockey, caps, and others more small accessories. http://upload.wikimedia.org/wikipedia/commons/thumb/1/17/Zoom_elite_2.png/220px-Zoom_elite_2.png Nike Pro Core Compression Nike brand, athletic shoes Nike brand, Tennis(Girls shorts) Services Nike Company has a great service which known as NIKEiD. It is a service that allowing customers to customize the products purchased from Nike. It must be through the online purchased. Besides that, The NIKEiD studios give customers have a great personal experience to work with. For iPhone and iPod Touch was released from the NIKEiD App on the iTunes App Store on 14 October 2009 to allow users to search products. Nike PhotoiD service is by taking picture or image with their mobile and sends to Nike so that new software designed will analyze the image, and then based on it designing a shoe. After that, an image of their desired shoe will be received by the customer. Lastly, they can choose to save the image or purchase the new design. Strengths and weaknesses of Nike Strengths Weaknesses Brand recognition High product quality Effective marketing strategy Capacity of innovation Strong distribution chain Strong RD Strong customer relationship Overseas manufacturing dependency Decreasing United States market share High product price compared to Adidas Currency exposure Medium retail presence Competitors Adidas is the major competitor to Nike Company. Adidas is about to launch a new innovative campaign praising the Team Spirit in sports. Any company that produces athletic footwear or athletic apparel is a  competitor  to  Nike such as Puma, Reebok(now is owned by Adidas), Asics, Under Armour, and so on. However, according to graph below, Nike Company is the best sells compete with others. http://cstl.syr.edu/fipse/TabBar/BldCirc/circlgif/fig17.gif Financial Model of Nike Nike Companys revenues had reached at around $9 billion since year 1997. Almost $800 million net income had decrease to $580 million. However, from 48% of market share in US athletic shoes in year 1997 had decrease to 42% in year 2000. Revenue has been affected negatively by an adverse effect of a strong dollar. The management is worried about the rate of growth and operating results. The company would produce more shoes products that Nike had look forward on this recent years. The company had tried to increase its apparel line. To control expense, the company has planned to exert more effort. Revenue growth target in long term is 8% 10%, while earnings growth target is 15%. Financial model used can control the expenses and income wisely and organized. A lot of company had their own financial model to achieve its own best results. Nike Company had a great performance until today is depend on its financial control. Although the company had weaknesses of its financial model, its own strengths still can overcome its weaknesses. Thats why the Nike Company still can stand stable at No.1 world best sales. Recommendation At the end, I suggest that the customers should choose the best quality rather than poor quality. This is because basically the quality will determine the lifespan of a product. In addition, the products of Nike Company had been trusted by the customers over the world. Therefore, choose your best quality partner to live with your daily life is a best decision. Conclusion As a conclusion, Nike Inc. is a main company in competition. It has improving our own financial performance continuously from equipping athletes with the greatest sports equipment around the world. Nike dominates all competitors. Phil Knight and Bill Bowerman never imagined that what degree their $500 investments would yield from year 1962 to 2000. Today, Nike still engages on this principle today. It helps athletes and stakeholders alike to recognize athletic and financial greatness. Lastly, Nike Company will continue develop their product line to become a stronger global brand.

Sunday, October 13, 2019

Catcher in the Rye Essay: The Judgmental Caulfield :: Catcher Rye Essays

The Judgmental Caulfield of The Catcher in the Rye The Catcher in the Rye, by J.D. Salinger, is a classic novel about a sixteen-year-old boy, Holden Caulfield, who speaks of a puzzling time in his life. Holden has only a few days until his expulsion from Pency Prep School. He starts out as the type of person who can't stand "phony" people. He believes that his school and everyone in it is phony, so he leaves early. He then spends three aimless days in New York City. During this time, Holden finds out more about himself and how he relates to the world around him. He believes that he is the catcher in the rye: " I keep picturing all these little kids playing some game in a big field of rye and all. Thousands of little kids, and nobody's around-nobody big, I mean-except me. And I'm standing on the edge of some crazy cliff. What have I to do, I have to catch everybody if they start to go over the cliff..." (173). He briefly enters what he believes is adulthood and becomes a "phony" himself. By the end of the story, Holden realizes he doe sn't like the type of person he has become, so he reverts into an idealist; a negative, judgmental person. Holden's idealism is first brought forth when he describes his life at Pency Prep. It is full of phonies, morons and bastards. His roommate, Stradlater, " was at least a pretty friendly guy, It was partly a phony kind of friendly..." (26) and his other roommate, Ackley is "a very nosy bastard" (33). Holden can't stand to be around either one of them for a very long time. Later, he gets into a fight with Stradlater over his date with Jane. Holden is upset because he thinks that Stradlater "gave her the time" and that he doesn't care about her; 'the reason he didn't care was because he was a goddam stupid moron. All morons hate it when you call them a moron' (44). Holden not only sees his roommates as phonies and bastards, but he also sees his headmaster at Pency Prep as a "phony slob" (3). This type of person is exactly what Holden doesn't want to be. He strives to be a mature adult; caring, compassionate, and sensitive. Even when Holden goes out or reads a story, it is just full of phoniness, ".

Saturday, October 12, 2019

Technology and the Media Essay -- social issues

Technology and the Media In this essay, British historian and broadcaster Asa Briggs looks at how technological advances made in recent decades have created a revolution in the media, allowing people to communicate in ways they had never dreamed of. Briggs notes that although these new modes of communication—including the television, the personal computer, the Internet, and other digital technologies—are available throughout many parts of the world, these media may be used in different ways depending upon the prevailing political and social circumstances. Briggs also raises questions about the future of the media and how the unfolding media revolution will affect people’s lives. Technology and the Media The sense that the world is in the middle of a continuing communications revolution has been strong since the 1960s when television made its great breakthrough. It was then that the Canadian writer on communications, Marshall McLuhan, made his memorable statements that â€Å"the medium is the message† and that the world was becoming a global village. It was then too that the word â€Å"media† became part of daily speech, covering not only electronic media, live television, but older print media, particularly the press. Comparisons were drawn between the progress and the development of television in the 20th century and the advent and diffusion of printing in the 15th and 16th centuries. Yet much had happened between. It was not until the 19th century that the newspaper became the dominant pre-electronic medium, following in the wake of the pamphlet and the book and in the company of the periodical. It was during the 19th century also that the communications revolution speeded up, beginning with transport, the railway, and leading on through the telegraph, the telephone, radio, and motion pictures into the 20th-century world of the motor car and the airplane. Not everyone sees that process in perspective. It is important to do so. It is generally recognized, however, that the introduction of the computer in the 20th century, followed by the invention of the integrated circuit during the 1960s, radically changed the process, although its impact on the media was not immediately apparent. It now became possible to combine thousands, later millions, of individual transistors on a single chip. Computers became smaller and more powerful. They became â€Å"personal... ...ia—from books to motion pictures and from cable to satellite—endanger individual freedom? Will the opportunity of choice, offered to individuals, mean that the field of choice will be genuinely widened? May we not have more and more of the same thing?It is logical to separate out questions relating to technological developments from questions relating to ownership and control, but, in practice, visions of the future world involve bringing them together. It is difficult in present circumstances to avoid the blurring of â€Å"image† (seeing the world as it is presented to us or as we present it to ourselves) and â€Å"reality.† Can â€Å"truth† survive? The media in their mediation can create what has come to be called â€Å"virtual reality†; and Internet can offer fantasy ways of escaping from the restraints of life as it is lived to a world of cyberspace. Cyber words have multiplied during the 1980s and 1990s—from â€Å"cybernautà ¢â‚¬  to â€Å"cyborg† through a whole new vocabulary. It may well be that through an effort to chart the words that we use, and the dates when they were first used, we can achieve a greater understanding of a continuing historical process that encompasses the future as well as the past.

Friday, October 11, 2019

Knowledge and Power

Knowledge is power – or is it?   The assertion that knowledge is power has been variously attributed to Sir Francis Bacon and Albert Einstein, as well as many other notable and obscure figures.   But perhaps Eudora Welty, Flannery O’Connor, and Richard Wright all know otherwise, as demonstrated in their respective stories:   â€Å"The Worn Path,† â€Å"A Good Man Is Hard To Find,† and â€Å"The Man Who Was Almost A Man.† These stories each show that knowledge is not an absolute bestower of power; that power does not logically and necessarily follow once one possesses knowledge.   Neither are the terms knowledge and power mutually exclusive, but, as can be seen in the following analysis of the short stories mentioned above, the power resulting from knowledge only comes if the person possessing the knowledge knows how to use it, and if the person then also feels powerful.   The power gained from knowledge is not an absolute power, but is, to a certain extent, subjective. Let us first look at Phoenix Jackson, the central character in Eudora Welty’s â€Å"A Worn Path† and perhaps the most powerful character in any of the three stories.     Phoenix has gained knowledge, and therefore power, from years of quietly studying human behavior, from paying close attention to her surroundings, and from her own self-awareness of how she affects others in the world.   Phoenix Jackson might appear at first glance to be lacking any power: she is an elderly, frail-looking woman whose eyesight is failing. Phoenix is also a very poor woman with few valuable possessions; poor people in her position are virtually always seen as lacking power.   However, upon closer observation the reader can see that Phoenix is a very powerful woman indeed.   Phoenix uses her knowledge of her physical surroundings to enable her to move about in a rather dangerous world, full of obstacles both animate and inanimate.   On her journey into town Phoenix encounters many potential dangers, but because she is knowledgeable about their existence, she avoids harm.   This capacity to keep herself safe is one trait which makes her a powerful woman. Phoenix even appears to use visualization to help her get across the creek; her ability to visualize the log and her safe passage is another form of knowledge which makes her powerful.   Phoenix has â€Å"body knowledge† – she has developed the capacity to remember where her body should go, even as her eyesight fails her.   The reason this body knowledge makes Phoenix powerful is that she is conscious of the knowledge and of how to use it; for example, when Phoenix reaches the city and â€Å"depended on her feet to know where to take her.† (Welty, p. 5).   Later in the story we see Phoenix walking up the steps of her destination, â€Å"until her feet knew to stop.† (Welty, p. 6) Phoenix Jackson has also gained power during her long life with her knowledge about human behavior.   Phoenix knows how to use both her own self as well as others’ reactions for her own purposes.   Phoenix is seen manipulating the white hunter so that she can put his fallen money into her own pocket.   Phoenix knows, after only a very brief encounter, that the hunter’s ego can be easily manipulated for her own purposes.   The hunter wishes to appear strong and in control, which Phoenix knows as she reminds the hunter that she needs to be â€Å"rescued† from the cur which ahs knocked her over.   Phoenix is able to pocket the money while the hunter is occupied with ridding her of the dog. One cannot manipulate others without possessing some sort of power, and powerful Phoenix is seen manipulating others at least twice more as the story proceeds.  Ã‚   Phoenix knows, almost instinctively it seems, who she can stop on the street to ask for assistance with her shoes.   But this small gesture is full of knowledge; Phoenix could have stopped any number of people on the busy street, but consciously chose to stop a certain woman.   Perhaps Phoenix knew that this particular woman would be more inclined to help her, as she appears to be a â€Å"nice lady† (Welty, p. 6) full of Christmas spirit, heavy as her arms are with presents. Phoenix again uses her knowledge about human behavior in order to manipulate the attendant at the clinic, who feels compelled to give a pitiful old woman some money.   It is not clear whether Phoenix is manipulating the nurse in order to get medication for herself or whether she does indeed have a grandson waiting at home, but the nurse is manipulated by Phoenix nevertheless, as she uses her age as an excuse for memory loss. The grandmother in Flannery O’ Connor’s short story, â€Å"A Good Man Is Hard To Find,† is not so self-aware as Phoenix and it is her failure to use her knowledge powerfully which gets her killed in the end.   The grandmother does indeed have knowledge but somehow is unable to use it to her advantage. It is an interesting side-note that the grandmother, the mother, and Red Sam’s wife are the only characters in O’Connor’s story who are not given names; even the cat has a name.   Perhaps O’Connor used this as a subtle indicator of who did and did not have power.   Indeed, neither the grandmother nor the mother appear to be very powerful characters in this story; and Red Sam’s wife, though not a central character, is portrayed as simply chattel for her husband, who orders her around and treats her dismissively. John Wesley’s and June Star’s grandmother knows from her years on earth that a good man is indeed hard to find; she knows that truly trustworthy people are rare treasures among the human race.   The grandmother’s discussion with Red Sam shows us that she is aware of just how devious people can be.   The grandmother knows that people are inherently untrustworthy. However, the grandmother’s knowledge does not then result in her having power, for she does not use the knowledge correctly.   The grandmother gave up the potential power of her knowledge when she revealed what she knew during the encounter with the Misfit.  Ã‚   When the grandmother recognized the Misfit, she could have used this knowledge to protect her family. Perhaps Eudora Welty’s Phoenix Jackson would have used the grandmother’s knowledge in some cunning way to manipulate the Misfit.   But O’Connor’s grandmother is not as powerful as Welty’s character, simply because she fails to cultivate her knowledge into a powerful tool.   The grandmother was knowledgeable but still powerless to save her own and her family’s lives. The third character who shows us that knowledge is not necessarily power is Dave, in Richard Wright’s â€Å"The Man Who Was Almost a Man.†Ã‚   Dave shows us that the power from knowledge is partially subjective and not an indisputable fact.   The reader sees very quickly that Dave feels â€Å"small,† not only in his physical stature but in his standing among his peers in the community.   This feeling of smallness is what makes Dave feel virtually powerless. Dave appears to have very limited knowledge of human behavior and of himself as a developing man.  Ã‚   Fear is a large factor in Dave’s twisted perception of what will give him power.   Dave is scared of other boys who are all bigger than him; he has also been raised to be scared of the adults in his life.   This fear has given Dave the â€Å"knowledge† that, if one is feared, one has power.   Of course this knowledge is flawed. But Dave’s knowledge is not a mature, conscious knowledge; it is a knowledge born of his own very limited backwoods experience in the world.   Dave sees that, if he can scare others as others have scared him, he will become a powerful man.   Once Dave has knowledge of how a gun makes him feel, he thinks he has discovered an important part of becoming a man.   Perhaps the most important discovery made by Dave is that his actions have consequences; once Dave kills the mule, he sees that something he has done has made a difference, albeit a negative difference, but a difference in the world all the same. Although Dave’s knowledge has the potential to give him power, it is not well developed and is based in fear.   Therefore his knowledge may make him an even less powerful person.   Dave does not know how to use his new-found knowledge.   Instead of making him a powerful person, his knowledge may be turning him into a dangerous person as the flawed knowledge becomes more entrenched into his personality. Knowledge is power†¦.the central characters in the stories analyzed above each show us, in their own way, that this statement is very over-simplified and not necessarily true.   Power can indeed come from having knowledge.   But that knowledge must be carefully cultivated and used appropriately in order to then provide power.   And there are occasions when we can have knowledge but lack the awareness to use that knowledge to our advantage, or power. Last, if we have knowledge but lack the conviction that we have power to use our knowledge in useful ways, we are still left as powerless as if we did not have the knowledge at all.   So power resulting from knowledge must also include self-awareness, awareness of others, and the ability to adapt our knowledge to particular situations.   Only then can we say that knowledge is power. Knowledge and Power â€Å"Scientia Potentia Est†, a famous aphorism that is otherwise translated as â€Å"For also Knowledge itself is Power†, was conceptualized during the late 16th century by the world-renowned Philosopher and Statesman of that time, Sir Francis Bacon. Indeed, Sir Bacon developed an understanding of the idea that by accumulating knowledge, one is able to exert, impose or influence power (as can be inferred) towards another.For instance, a person who has accumulated knowledge can withhold himself or herself from sharing this knowledge to others. Thus, a sort of personal advantage develops between those who have knowledge and those who want knowledge. The former, if desired, can ultimately influence the actions of the latter if the existing desire for knowledge is used against them. Otherwise, the same result could also be inferred from the opposite: once knowledge is shared by the person who has accumulated them, power is reflected in the sense that the person who has sha red it had the privilege of sharing it.Such an example only perpetuates the idea of ambiguity of the concept of power. Indeed, power, in all its forms and contexts, is a concept that has been contested my many scholars and philosophers alike for decades, even centuries. Some relate power in the form of having the ability of exercising coercion. Others relate the concept with the possession of material wealth. Still further, others profess that power is somehow related to social class. Unfortunately, these credible attempts at establishing links to the concept of power only express supplementary ambiguity to the term.For example, even though power can be somehow related to the ability of using force (coercion), the term can also be associated with the ability of persuasion – a rather mild version of quasi-coercion that does not involve the usage of force.   The same thing goes with the idea of power as equaled to the possession of material wealth and as represented by social class. Contrary to the latter statement, intangible or incorporeal wealth can also be associated with power as a substitute for material wealth. Also, behind social class lie the idea of power as related to personal or group charisma and expertise. In other words, a person belonging to the highest social class in society cannot be more powerful over those that are below his social class if those individuals under his class are more charismatic and more adequate and excellent in terms of abilities and skills.Having identified the cumbersome and volatile nature of power, is it still plausible to conclude that knowledge is indeed power? Is there a relevant connection between the two concepts? If none, can a relevant connection be established; no matter how arguable or refutable? Basically, does the possession of knowledge represent the possession of power?To answer this question, let us first understand how scholars and philosophers of the past have identified and/or defined power dur ing their time.The great 19th century philosopher, Sir Friedrich Nietzsche, often described the concept of power as something that expresses one’s domination over other human beings. If so, then knowledge could indeed be a source of power since the ignorance of knowledge denotes inferiority in logical thinking and skillful know-how; thus, disavowing the ability or opportunity of the individual to dominate others who do possess knowledge. However, another dilemma may arise from the latter statement. If knowledge is truly a source of power, how come individuals who do possess knowledge are not powerful?The answer, of course, is that knowledge in itself is not power. In order for knowledge to become a source of power, the individual must be able to aptly apply or exercise his or her knowledge in the form of actions for the purposes of achieving or producing results. As some scholars have put it, â€Å"knowledge is power only if one knows how to use it†.   Truly, if one individual possesses a myriad amount of knowledge but does not know how to translate it into action, then power is not represented. This concept, however, does not stray away from the concept of knowledge as a source of power nor does it emanate from the idea of action as a source of power rather than the mere possession of knowledge.It must be understood that actions are determined by the individual’s mind. If a certain amount of knowledge is absent within the individual’s cognitive processes then the action executed may not produce tremendous results that are reflective of the representation of power. However, if knowledge is indeed present, chances are that actions executed may produce excellent results that would be quite superior to actions that are conducted without knowledge. Simply said, actions augmented by knowledge reflect power on the part of the individual (superiority).In order to make the preceding points more plausible, let us try establishing the conce pt in a certain field or study. In this instance, let us put the concept of power as knowledge into the workplace – in this case a corporation.Most corporations possess similar theories of organization ranging from the classical theory of organization to the more systematic (systems) theory of organization. And with these models comes a set of different levels, styles or concepts of hierarchy and/or bureaucracy (formal and informal, orthodox or unorthodox). In other words, corporations always try to establish a â€Å"division of power† among its leaders and workers. Now, let us try to apply the concept of knowledge as power in a leader-worker relationship. Leaders of corporations, in all intents and purposes, are the decision-makers of the entire system.Workers, on the other hand, have more of a hands-on approach compared to their respective leaders. As far as the relationship goes, it is the leader who will decide how the workers will act. Now, the question is, is thi s a simple form of exercising power? Is the authority of the leader over the workers a concrete example of power in the form of knowledge? The answer, of course, is no; it is not a simple form of power illuminated by knowledge – at least not completely. One possible reason why this is so is because the relationship between the two actors reflect two issues as can be inferred from the general concept of power.First, the source of power as reflected from the leader can mostly likely be originating from his or her given authority. In other words, it is the granted authority of the corporation that is providing the leader his or her own personal power and not his or her own possession of knowledge. Second, the worker cannot be subject to inferiority since the worker is aware that his or her job is to simply follow orders. For power to be present, one must be able to persuade or force an individual to do what he or she wishes. Otherwise, if the worker decides not to follow the ord ers of the leader, then it can be inferred that the worker is expressing power over the leader (charisma or personal ability). But that is another issue.If so, how is knowledge as a source of power reflected in a leader-worker relationship? One possible explanation could be found from the personal histories of both actors.Respective or high positions in most corporations require excellent abilities or practical know-how. As such, no normal individual can just apply or be promoted to such a position if the individual does not possess the necessary skills or abilities that the position requires. Simply said, leaders are on their respective positions simply because they possess the required skills and as a result, are thoroughly capable of fulfilling its functions.Workers, on the other hand, may not possess these prerequisites or capabilities. However, this does not imply that workers are not knowledgeable. This merely implies that workers are yet on the verge of acquiring or developin g the necessary knowledge for fulfilling the functions that are required by the position. And where can a worker acquire this necessary knowledge? The answer, definitely, is quite reflective of the answer to the whole problem of where can the idea of knowledge as power be inferred from a leader-worker relationship – from the leader.Indeed, if a worker wishes to achieve the same position as that of his or her own leader, then that worker must first develop knowledge based from his or her work and eventually acquire knowledge from his or her own leader. If recognized (or desired), the leader who possesses the knowledge that is required by the worker can now express or exercise power over the worker in the sense that the leader now has the choice of whether or not to impart his or her own knowledge to the worker.Going back to the previous points, if an individual withholds his or her own knowledge from sharing it to others, then power is gained in the form of an advantage; thus, producing a sense of superiority. As one head of a corporation has put it, â€Å"Knowledge is power and you do not share power.† The worker, however, can try to acquire knowledge of the same context from others and that action might change the idea of power in a leader-worker relationship. However, it is very unlikely that this is to happen for if the worker decides to gather power outside of his or her own corporation that knowledge may well be different from what the corporation may require or need.As mentioned earlier, power is a concept that has been contested my many scholars and philosophers alike for centuries. To suddenly come up with a personal explanation of power in the form of the possession of knowledge is something not new in the world of power.  As demonstrated, power is a really ambiguous term, let alone be defined in terms of knowledge. However, one cannot deny the fact that knowledge is indeed a source of power; for if knowledge is absent, one will not be able to exercise the myriad forms of power over others.In conclusion, if knowledge (in any form) is present within an individual and that that individual’s counterpart possesses a certain amount of ignorance of over the same type of knowledge, then the former is most likely to be more powerful over the latter. Simply put, the possession of knowledge is superiority over those who do not possess knowledge.Works Cited:Caruso, Denise. â€Å"Knowledge is Power only if you know how to use it.† March 2007 The New York Times 21 November 2007, http://www.nytimes.com/2007/03/11/business/yourmoney/11frame.html?_r=1&oref=sloginWimmer, Sandra. â€Å"For Illinois Agency, Knowledge is Power – and Promise.† August 2005 Government Procurement 21 November 2007,http://www.allbusiness.com/government/government-procurement/1162860-1.htmlLloyd, Bruce. â€Å"The Paradox of Power.† May 1996 The Futurist 21 November 2007,http://www.allbusiness.com/human-resources/employee -development-leadership/553463-1.htmlGrant, Beau. â€Å"Knowledge is POWER.† October 2005 Government Procurement 21 November 2007, http://www.allbusiness.com/management/928236-1.html