Wednesday, July 31, 2019

A Framework for Sustainable Port Security Essay

This research was conducted to determine the best ways in which United States can protect its ports which are the main source of economic connection with the world from terrorist attacks. The research question that implies here is; How important ports are for the U. S economy? And what measures can be taken to protect ports from terrorist attacks without affecting the economic activities? Is there a hypothesis or thesis or central argument that is clearly stated or implied? If so, what is it? The central argument was clearly portrayed and it depicted that even though a port may be viewed as a collection of assets but the port actually is a complex system consisting of loosely coupled sub systems, Secondly importance of organizational interrelationships that must exist in order to avoid the acts of terrorism and difficulties in bringing together the private and public entities that have a stake in port security system and finally the negative impact on economy that might occur due to port security interventions must be understood and curtailed. Does the Author answer the â€Å"So what? † Were you convinced that the study was worth doing? The research provided a brief sketch of how terrorist threats should be dealt with and it demonstrated how set of security interventions can be classified in respect of how they will affect the economy. It also identified that the primary aim of terrorist is to hurt our economic viability of ports and maritime systems. So security measures should be designed in a way that they do not harm the economy. Is the study unique in any way? The study was unique in a way that it defined the weakness; differ in threat, type of attack and potential consequences of each subsection separately implying that risk reduction intervention should be different for each sub system. The system was divided into four sub systems which are as follows: †¢ Containerized cargo †¢ Petrochemical cargo †¢ Bulk cargo †¢ Ferry passengers The owners and operators of containers are reliable as they are established companies and follow a fix route and schedule; the threat comes from the lack of ability to identify what is inside the container as these containers are sealed. System interventions should be designed in a way that they identify, track and secure the contents of container. The threat to petrochemical subsystem is that fire/explosion can be caused by any attack on the vessel containing dangerous material or the hijacking and use of vessel as a weapon. The management should ensure that the vessels are operated by trusted operators and it should increase the marine and terminal fire fighting capabilities in order to deal with any hazardous consequences. Bulk cargos are not owned by reliable operators so measures should be taken to make the system of ownership more transparent the cargos should be inspected before arriving to the port and a trusted shipper program should be shaped in an attempt to deal with these uncertainties. Ferries are locally owned and operated by government authorities, the terrorist attacks on these ferries can cause mass destruction so the passengers and vehicles should be inspected properly and they require a mass casualty response which is not available in most ports. What are the main points of the article? Following are the main points of article †¢ The large part of US trade is dependent upon shipping (Ports and maritime systems) and it is the main source of economic connection with the world. †¢ The aim of terrorist attacks on US ports is to destroy the US economy †¢ Emphasis should be given to organizational interrelationships in order to avoid acts of terrorism †¢ The port security should involve a step by step procedure and the terrorist attacks should be looked as a chain starting from threat factors and ending at the delayed consequences that the attack will have. †¢ The current scenario of defense is poor because the accountable authorities are less likely to be informed about report of immediate threats, secondly the weaknesses associated with the complex economic system are not properly understood and the risks are not easier to anticipate accurately. †¢ A port consists of different sub systems and each sub system requires different security measures. †¢ Each port has different sub system, an important step in determining the vulnerability of a particular port is the information of which sub system is operating in that port. This information is also essential to design a consequence management strategy for each port. What kind of literature review is provided and/or what sources are cited? How well does it fulfill that purpose? Following are the major sources of information for the study †¢ Barriers to port security †¢ Perspectives on the use of risk assessment to address terrorism †¢ Terrorism as hazard; a new species of trouble †¢ Crisis and emergency management †¢ Organizing for homeland securities. The sources were perfectly in line with the purpose of study and were quite helpful in finding out the essential information which was needed for the study. The literature review provided was of both qualitative and quantitative nature which made the arguments more strong How well does the Author explain their method of collecting and analyzing data? Could you replicate the study based upon the article before you? The method of collecting and analyzing the data was not clearly mentioned in the study and it could have been better and much easier for the readers to make judgments if the author would have defined the methods of collecting and analyzing the data. Is there any discussion of variables? Is so, how? Does the Author look at alternative points of view? The author did not look at the alternative points of view which could have made the study more interesting and commendable; there was ambiguity regarding the discussion of variables, still the study was worth doing and appreciable. Do the studies findings support the authors Goals or Thesis? How valid are they? The study was in line with the thesis and it found out that how significant US ports are for the economy and how important it is to devise a separate security strategy for each port. The importance of organizational interrelationship was defined; and the author discussed the responsibilities of each state in order to strengthen the organizational interrelationships. The study supported the thesis by answering the negative impact that US economy will have if security interventions are not planned adequately. The figures that were given regarding the risk management approach, organizational interventions and responsibilities were also helpful in tracking the threats and tactics to deal with those threats. However, the main emphasis of the study was on the physical attributes of the port and the differentiation between each port. The study found out that different security models can be prepared by comparing the cost associated for applying the model versus its effectiveness, but the purpose is not to prepare a list of models but to find out the most cost effective model. Does the conclusion follow from the evidence provided? Are you persuaded by it? Why or Why Not? The conclusion followed the findings of the study and described the danger of terrorist threats to US ports and the reason behind these threats is to hurt the US economy. So the security measures should be taken in away that they don’t dent the economy. Does the Author address the implications of these results? If so, how comprehensively is this done? The author looked at the broader perspectives and pointed out the areas which are needed to be work upon but in depth analysis of each aspect was not done the author touched different issues which were necessary and essential to curtail the possibility of dangerous consequences and the adverse effects that terrorism might have on the economy. Do you notice other strengths and limitations of this study? The study was done in an organized manner and numerical figures and solid sources were used to make the article stronger; the usage of diagrams also made it unique and substantial. However, more up to date sources could have made the research more effective and worthy.

Language in Anthony and Brutus’ Speeches Essay

Compare and contrast Henry’s use of rhetoric to affect others in his Harfleur speeches with the effectiveness of the language in Anthony and Brutus’ speeches In Henry V, Henry uses rhetoric very effectively as he persuades the Governor at Harfleur to surrender and encourages his troops onward with his ‘Once more unto the breach’ speech. This is very similar to Anthony and Brutus of Julius Caesar as they use rhetoric to influence the ‘mob’; firstly Brutus wins the crowd over and they believe the death of Caesar is a good thing and then Anthony turns them around and they end up hating Cassius and Brutus. Henry uses rhetoric to create a number of different effects one of them being to persuade the Governor to surrender. Rhoda Koenig suggests that this scene ‘points up the character of this immature and disaffected king’, which I disagree with as I believe that this speech shows just how the King has matured as he is able to bluff his way through as his army is, really, worn and battered. This speech shows how Henry’s words are more powerful than his army, which is similar to Anthony in Julius Caesar who turns the mob into a state of madness just through the use of his oratorical skills. For example, Henry starts his speech with short, sharp sentences: â€Å"How yet resolves the governor of the/ town?† This creates an assertive beginning and one that makes Henry seem powerful and stern. This coupled with the use of a rhetorical question puts the Governor in a situation where the mercy of Henry is in his hands, as if the outcome of his men depends on his decision. This also removes the responsibility from Henry’s shoulders which is a recurring theme throughout the play. Henry also describes what the outcome could look like if the Governor doesn’t surrender: â€Å"The gates of mercy shall be all shut up.† The use of a metaphor here, ‘the gates of mercy’, refers to Henry as if once he starts the battle there’s no goi ng back. This is used to scare the Governor so that he believes Harfleur will be desecrated once the battle has begun. This, of course, is a faà §ade as Henry knows full-well that his army is worn thin and lacking in strength. This demonstrates Henry’s good leadership, as he bluffs his way through with confidence. Also, this quote contains lots of monosyllables which make it very powerful and reinforces the threat which forces the Governor to surrender. Bernard Richards raised an interesting point where he said that Shakespeare ‘wanted to show the full range of war – the glamour as well as the squalid and obscene violence.’ This interested me as throughout this speech there is talk of atrocities of war such as ‘shrieking daughters’ while elsewhere in the play we see the French think of war as glorious. This is very similar to Brutus in Julius Caesar who has to use rhetoric to convince the crowd to surrender, as they are initially angry at the conspirat ors for killing their leader. For example, he uses rhetorical questions to force the crowd to realise that the murder of Caesar will benefit them: â€Å"Who here is so base [†¦] Who here is so rude [†¦] Who is so vile [†¦] for him have I offended.† The crowd are forced to ask themselves if they would want to be slaves, for example, which they of course answer ‘no’. The use of a three-part list also emphasizes this and would allow the crowd to remember this more accurately: â€Å"Let him be Caesar!† This quote shows that Brutus’s rhetoric successfully convinces the crowd, although they appear to have missed the point as they want Brutus to be ‘the new Caesar’ and the sole leader of Rome which is what the conspirators were fighting against. It is also interesting to note that Shakespeare’s main characters usually speak in blank verse, but here Brutus speaks in prose. This is because prose is the perfect way to persuade so has a stronger affect on the crowd. It could also be argued that because he speaks to the low-life characters, they will understand prose better than blank verse. Within his speech Brutus also uses repetition which reinforces his message: â€Å"Hear me for cause [†¦] hear.† The use of framing repetition here grabs the crowd’s attention and makes them listen. He also repeats ‘honour’ throughout his speech: â€Å"Believe me for mine honour, and have respect for mine honour.† This repetition is used to emphasize to the crowd that the conspirator’s cause was honourable and that they have done the right thing while it also serves to remind the crowd how Brutus is an honourable man, which is a similarity with Henry who also takes great care in ensuring the cause for going to war is moral. The repetition would ‘grind’ it into the crowds’ heads so that it’s almost like subliminal messaging. The repetition also shows how Brutus is still unsure himself and that he is trying to convince himself that they have done the right thing. Henry also uses rhetoric to empower his army and urge them on at Harfluer in what Hal Hinson of the Washington Post calls ‘the greatest half-time speech in human historyà ¢â‚¬â„¢. Here, Henry is forced to persuade his army that they should not retreat but attack once again: â€Å"Once more unto the breach, dear friends, once more.† Similarly to Brutus, Henry uses framing repetition to encourage his army to attack Harfleur once more. The repetition helps to reinforce the message and will stick in their minds through the battle. Also in this quote, he uses an endearing pronoun ‘friend’. This affects the army as they will feel that they are all friends of the King and will have a surge of confidence. This will help the army to conquer whatever they face, even though they have had to retreat. Interestingly, this contrast to what the Chorus says in the preceding scene as he states that the great British are invading France when really they are being forced to retreat. Henry also uses alliteration: â€Å"But when the blast of war blows in our ears.† The use of plosive alliteration here creates a powerful sound which suggests that the English army are powerful enough to defeat the French. This also shows Henry’s passion as if it’s bursting out of him as he desperately wants his men to survive as he feels guilty that the war may not have an honourable cause. Also is this speech, sibilance is used: â€Å"Stiffen the sinews.† This also creates quite an aggressive sound which would be passed onto the soldiers and make them feel aggressive and willing to fight. Henry also uses figurative language: â€Å"Let it pry [†¦] like the brass cannon.† This simile likens the mind prying to a cannon – an item associated with war – which would rile up the soldiers and also remind them that they are at war, its kill or be killed. Another simile used refers to Alexander the Great: â€Å"On, on, you noblest English [†¦] like so many Alexanders.† Here, Henry likens his army to a group of Alexander the Greats. Alexander the Great is a figure of Greek legend which states that he conquered the Persian Empire. It also says that he was often reckless with his own life and his soldiers as he believed he was indestructible. This would encourage his men and fill them with confidence as Alexander was a great warrior and Henry’s army will feel equally invincible. Shakespeare’s Elizabethan audience were very interested in Greek culture so the simile would have been more relevant and had more effect than it would on our society who have a lesser interest. Also, in this quote he addresses the ‘noblest English ’while further on he addresses the â€Å"good yeomen.† Henry directly addresses each social class as his army was compiled of a number of different classes, even nationalities. King Henry V was known for uniting people under him as he prevented a civil war between the Church and the Government and th is unity is shown in the scene between Gower, Fluellen, Jamy and MacMorris. This scene also, as James Shapiro suggests, ‘prophetically anticipates the notion of a united kingdom’. Although these nations were far from united in 1599, when the play was written as England and Ireland were at war, and some were very hostile during Henry’s reign. For example, James Shapiro criticizes that Henry says the Scots may attack yet here they are united. This would make each soldier feel important, needed and a friend of the king’s, which would, ultimately, provide the soldiers with confidence to fight, and beat, the French. Likewise, Mark Anthony in Julius Caesar also addresses his crowd individually while manipulating them until they run riot around Rome: â€Å"Friends, Romans, countrymen.† Anthony immediately begins with a three-part list which grabs his audience’s attentions and the first word used is ‘friends’. This instantly makes the crowd warm to him as he is speaking to them as equals. This is similar to Henry who calls his army the ‘noble English’ and ‘good yeomen’, while it contrasts with Brutus who says, â€Å"Romans, countrymen, and lovers†, as if ‘lovers’ is an afterthought. This may hint at why Henry and Anthony were successful at convincing their audience while Brutus failed, because Henry and Anthony allowed the audience to warm to them while Brutus did not. Another way Anthony wins his crowd over is by using repetition: â€Å"And Brutus is an honourable man.† This is repeated at regular intervals throughout his speech and each time it becomes more sarcastic. The sarcastic tone induces the crowd to question whether killing Caesar was an honourable thing. Here, in the same way as Brutus, he uses subliminal messaging; however he uses it against Brutus and to much better effect as the crowd end up rampaging across Rome. In conclusion, Henry and Anthony use rhetoric and their oratorical skills very well – combining repetition, friendly language, and other techniques – to persuade their respective crowds to see their way of thinking. Brutus, however, fails to convince his crowd (or is unable to deliver a speech worthy of Anthony’s) which goes to show how good Anthony’s speech is. Henry manages to convince the Governor to surrender, and convince his battered army to continue, while Anthony manages to convince an audience who love Brutus, to hunt him down. Brutus, on the other hand, cannot prevent the people of Rome from turning against him as he didn’t endear himself to the crowd.

Tuesday, July 30, 2019

McBride Financial Services

McBride Financial Services is a premier one-stop mortgage provider in the five-state area of Idaho, Montana, Wyoming, North Dakota, and South Dakota. The company specializes in providing low-cost, flat-rate fee mortgages to members of its communities shipping for a new residential mortgage. The company is currently privately held but is exploring opportunities to go public through an Initial Public Offering (IPO), acquiring another company in its same industry or merging with another organization.Through utilization of the SWOT method, management will evaluate each approach and determine which is the best method to take McBride Financial Services public. Strengths in Going Public If McBride Financial Services chose the option of going public with an IPO there are a couple of strengths that it would benefit from. The first distinct strength is the raising of capital. Additional capital would allow for brick and mortar expansion, investment opportunities, and added cash flow to improve products and services. An IPO can help reduce debt and the applicable risk rating given by creditors.If the IPO is successful, the options for additional financing will be open. By utilizing the option of an IPO, an organization’s awareness within the community arises. Most companies gain profits when establishing an IPO. Consumers become aware on a local and even a national level of what your organization produces. They will take a risk if currently unhappy with their current financial services and experiment with your products and services. If the customer relationship is cemented from the beginning, the consumer is sure to now produce additional clientele via word-of-mouth.All of this additional business is generated by creating and offering an IPO. If McBride’s chose to acquire another organization within the same industry, it has several advantages it could benefit from. One advantage from the start is that the open locations could potentially be in lucrative loc ations that would create a stronger voice and curb appeal. Financing options become available as well. The current financier used by McBride, will be ready and willing to offer other financing options if needed because of additional income that is now a potential.The potential for additional consumers and vendor relationships is tremendous depending on the size of the organization acquired. It can be beneficial for McBride, as some of those vendor contracts may be more cost effective in the future. Within the same notion of cost effectiveness, the additional staff that is acquired with the new organization brings experience and dependability. It allows the two organizations that are now one to continue to run smoothly and not have higher costs of training and development.There are two major advantages to merging with another organization if that is the choice McBride’s Financial Services commits to. The first advantage is that once the merger is completed, competition within the industry community becomes less of a threat. The other advantage to a merger is the strategic planning and restructuring of the organization. Usually the two organizations will coercively plan and stage a strong management lead to run the larger institution. Weaknesses in Going Public Conducting an IPO is time-consuming and expensive.It can take up to a year or more to complete and can cost several hundreds of thousands of dollars for attorneys, accountants, printers, and additional fees. The SEC disclosure rules are very extensive and mean all financial information is made public. McBride will be subject to review by the SEC to ensure compliance with regulations through proper filings and relevant disclosures. Decision-making among management may be affected by the market price of the shares and the feeling they must receive market recognition for the company’s stock. McBride could lose market confidence should shares of the company’s stock fall.Decreased valuatio n of the company can affect lines of credit, secondary offering pricing, the company’s ability to maintain employees, and the personal wealth of insiders and investors. â€Å"’In today’s global business environment, companies may have to grow to survive, and one of the best ways to grow is by merging with another company or acquiring other companies,’† according to consultant Jacalyn Sherriton. In principle, a merger or acquisition is a capital budgeting decision much like any other. However, much like an IPO, mergers have their weaknesses as well.The value of a merger may depend on such things as strategic fits which can be difficult to measure. The accounting, tax, and legal aspects can be complex. Mergers often involve issues of corporate control and are a means of replacing existing management. Mergers affect the value of a firm and further affect the relative value of the stocks and bonds. Finally, mergers are often unfriendly. Although many c ompanies have found acquisitions to be highly beneficial to their operations, many more encounter problems that can prove disastrous to the future position of the firm.A poorly executed acquisition can harm McBride’s financial and strategic situation. Problems with financing an acquisition can arise before and after the transaction. Expenses for acquisitions can be astronomical when they involve lawyers, consultants, financiers, and advisors that helped make the deal possible. Additionally, filing and legal fees because of complications in the transaction can further exacerbate the already extremely high costs of acquisition. Oftentimes, quality employees are lost in an acquisition because the acquiring firm is too caught up in transaction to recognize they exist within the acquired firm.The long-term strategies of a firm can be negatively affected if it is pursuing a diversification strategy. Rather than improving upon the factors that led to its competitive advantage, manag ement focuses on running a diversified company, which could result in the company losing its core business advantage and severely hampering the future success of the firm. Opportunities in Going Public Major companies and corporations that comprise a big part of the United States economy take advantage of certain opportunities such as going public through IPO’s, acquisitions, and mergers.These three approaches provide an additional resource and many times an advantage to expand, become more profitable, or simply save a company’s existence. McBride Financial Services, for instance, can raise capital by doing an IPO. This gives the company an opportunity to expand its business by becoming a part of the stock market and hence becoming well-known. This also provides enough funds to be put back into the company for profit, and for any other expenses necessary to remain successful and in existence.In the case of an acquisition, which is the taking over of another company, Mc Bride will benefit because the company being acquired is already established. It takes less investment, time, and energy than to start-up a new company. A merger also can be a beneficial opportunity for the company because both parties agree to come together as one organization to improve and grow stronger than as individual companies. A merger eliminates part of the competition, creates a bigger and stronger company, and strengthens the balance sheet.Without methods such as IPO’s, acquisitions, and mergers, â€Å"†¦a company may simply become financially non-viable [and] not able to meet its debt and trade obligations† (Collier, p. 5). Threats in Going Public With the opportunities that McBride Financial Services has with these three options of expansion, there exist certain threats as well. If McBride chooses to go public through an IPO, then it has to worry about the new owners of the company and their ideas about what the company is and should be doing. In a w orst case scenario, Mcbride’s competitors can buy the company and decide to do with it what they want.They can take full control of the company and manipulate it in ways McBride never imagined or they could even just dissolve the company into nonexistence. If McBride needs the money to expand that it would get if it went through with the IPO, then acquiring another organization in the same industry is indeed going to be difficult to do, if not impossible. Even if McBride does find a way to get the money to acquire another company without going public, then it would most likely go into eventual bankruptcy because of the debt it will accumulate because of increased costs.If McBride wants to merge with another organization to expand, it will not be an easy task because the two become one company with a common purpose. If they do not learn how to work with each other and compensate for the other’s weaknesses, then they will eventually fail and both companies will be out of business. Conclusion Based on the information provided while researching each of the approaches for going public, the management team at McBride Financial Services has opted to go public via an IPO.Although it can be costly and time-consuming, it seems to be the best method to maintain the current managerial make-up and integrity of the organization. References (n. d. ) Merger and acquisitions. Retrieved on November 2, 2010 from http://www. answers. com/topic/mergers-and-acquisitions Collier, Steve. Mergers and acquisitions: Special dangers and opportunities. Retrieved November 4, 2010, from EBSCOhost database. Keown, A. J. , Martin, J. D. , Petty, W. , & Scott, D. F. (2005). Financial Management: Principles and Applications.Pearson Education, Inc. Steffens, Gregory (n. d. ). Common problems with acquisitions. Retrieved on November 2, 2010 From http://www. gaebler. com/common-problems-with-acquisitions Taubman, L. E. (n. d). Considerations of an IPO. Retrieved on November 2, 20 10 from http://library. findlaw. com/2001/Jan/1/127967. html Chapter 22 Problems 1. What new problems and factors are encountered in international as opposed to domestic financial management? * Foreign Currency Exchange Fluctuation: International financial management involves cash flow in foreign currency.Foreign currency exchange rate keeps fluctuating. International business is exposed to foreign currency exchange risk as fluctuation in wrong direction affects the business adversely. There are many ways to hedge the cash flow in foreign currency, but no strategy provides complete protection. * Fund flow between countries – International financial management deals with capital flow between countries. In many countries banking system is not mature and /or fund raising is not easy. In that case, company has to raise fund outside the country.International financial management involves the fund flow from one country to other country. * Laws and regulations – Different cou ntries have different business laws, labor laws, laws related to taxation etc. International financial management is affected by the prevailing laws and regulations in a particular country. * Country risk – International business is exposed to the country risk of the country company is doing business in. Country risk involves political risk, general economic environment etc.Because of country risk, additional risk premium is required. International financial management deals with this issue as well. 2. What does the term arbitrage profit mean? Arbitrage profit refers to making risk free profit without investing your own money. The opportunity of arbitrage profit arises because of pricing mismatch. In the simplest form, if the same financial instrument is selling at different price at two different places, one can buy the security where it is selling at the lower price and sell where it is selling at the higher price.This gives the seller a risk free profit without using his m oney. Another example of arbitrage profit is Triangular arbitrage. It is the process of trading out of the first currency into a second currency, then trading it for a third currency, which is in turn traded for first currency. Arbitrage profit can be earned from trading from the second to the third currency if their direct quotes are not consistent with the cross exchange rates. 3. What can a firm do to reduce exchange risk? The firm can hedge against foreign exchange risk in a number of ways.First, they can deposit funds into the foreign country's banks in the foreign denomination in a sufficient quantity so as to hedge against a downturn in the domestic currency. There are some opportunity costs associated with this method as the interest rate earned on the deposited funds will be less than could be earned elsewhere, but the difference is like carrying insurance. In addition, the firm could enter into forwards, futures, or options. 4. What are the differences between a forward co ntract, a futures contract, and options?A forward contract is one that locks in an exchange rate now for a transaction in the future. It is possible the economy will render the forward more expensive than actual exchange rates would have made the transaction to begin with, but again, the forward acts like an insurance policy against negative shifts on exchange rates. Futures contracts are similar to forward contracts except that forward contracts are private agreements and may be molded accordingly. Futures are traded on open markets and, as such, are held to higher levels of scrutiny.Forward contracts can only be executed on one specific date. Futures (because they are traded) are open for transaction any day until their expiration. Options set an exchange rate and, as the name implies, gives the firm the option of exercising the rate at the time the contract is due. This gives the firm flexibility and allows them to take advantage of unforeseen upticks in the global economy that a ctually make exchange rates favorable at contract execution time. Options are more expensive, however (the flexibility afforded by options costs a premium).

Monday, July 29, 2019

Constitutional Law Essay Example | Topics and Well Written Essays - 1500 words - 1

Constitutional Law - Essay Example The juvenile was sent by his father to live with the paternal grandparents in South Carolina. The hospitals in the state did not have any Paxil, so they opted for an alternative drug, Zoloft. Zoloft is also an antidepressant. The accused experienced extreme side effects as a result of drug substitution. In addition, the doctors decided to double the dosage in an effort to reduce the side effects (State v Pittman). On the day he committed the offense, the defendant was punished by his grandfather. He resented the punishment and took the decision to kill both grandparents. He used their shotgun to kill. He shot them and burnt the house using candles and paper. He consequently stole the family dog, $33 and left the house in his grandparents’ car. The trial court also heard that he was apprehended some counties away from the scene of the crime and claimed that the death of his grandparents was a result of burglary. The defendant attorneys argued that the accused ought not to have been tried as an adult due to health and mental issues. The defense attorneys argued that the Pittman was under duress from a mental condition. The claim is grounded on the fact that prior to the crime, the convict had a depression problem. Pittman was under antidepressant drugs at the time he committed the crime. South Carolina state law does not have an age limit that differentiates a juvenile trial and an adult trial. The trial court in South Carolina determined that the defendant could be tried as an adult. The prosecution showed that it was indeed the defendant that committed the crime using a shotgun. The court also heard the happenings prior to the attack and after the attack. The prosecutor proved that the offense was carefully choreographed, thus warranting an adult trial. However, the defense team is adamant that although Pittman committed the crime, he was a juvenile under depression. The accused was also under new medication that negatively impacted on his mental

Sunday, July 28, 2019

Compare and contrast the idealism of Lenin and woodrow Wilson in terms Essay

Compare and contrast the idealism of Lenin and woodrow Wilson in terms of how they conceived and tried to implement a better world - Essay Example Both these leaders had different vision pertaining to reforms enabling the formation of a better society and a better world. An in-depth study of their vision would definitely formulate a rich comparative study joining the two separate halves of the world into one philosophical and theoretical unit. There is no doubt upon the fact that by the closing years of the Cold war era, Vladimir Lenin and Woodrow Wilson emerged as the two great revolutionary and political leaders of the world captivating and controlling the world’s two most powerful blocks. Both the leaders were distinguishingly different both in their means and in their ends. The ideological difference of Wilson and Lenin was actually about the emerging difference between evolution and revolution. It was a clash between liberalism and communism. The organic thought process from the Burke’s school of thought on one hand and the idealistic thought process from the Marxian school of thought became glaringly evident in their ideologies. Wilson’s vision regarding the formulation of a better world was through the fulfillment of the progressive history. And much contrary to it, Lenin viewed it as a transition, an age that is quite critical in nature apprehensive of a degeneration of an older order and indication of a violent future. Lenin tried to implement a discourse pertaining to progressive revolution which he defines as inevitable in the history of the struggle of mankind. At this point, the contention of Wilson was different from that of Lenin. He viewed it as autocratic derailing of natural constitutional development. In their ideology and world vision, the realm where Wilson showed his calm and poise, Lenin displayed his aggression and violence. Many American citizens placed their gullible opinions towards Lenin and much contrary to it; Bolsheviks totally displayed their distrust towards Wilson and his Treaty of Versailles.

Saturday, July 27, 2019

The objectives of improving Coca-Cola Company's Internal Business Assignment

The objectives of improving Coca-Cola Company's Internal Business Processes - Assignment Example The individual skills and the unique talents of the workers assist the institution in achieving the 2020 vision and the goals therein. The institution thus refers to them as associates due to them being the ambassadors of the company’s brands to the world. There is a close relation of motivating employees to the other targets that are part of the vision of the company by 2020 as a description in (Britain, 2015). The company motivation tactics abide with the objective of the company to make its premises a high place of work whereby people experience the inspiration to be the best. The employee motivation also relates to the achievement of the company’s portfolio in the performance of a list of beverages that are quality brands in the satisfaction of desires and consumer needs. The elevation of the employees also brings the attainment of the goal to be productive by being highly economical. The other relationship is as per the winning culture of the company whereby the company collaborates with genius minds and is in the leadership. A focus of the business to its employees ensures that its outlook for the market is possible to the satisfaction of the needs of the franchise partner. The employee motivation also results in them work ing smart that is a goal of the institution through the acting with urgency and retain an excellent response to change. The great relation to the company also lies in the core statement of the business that appreciates the company to be a brand that inspires passion, fun as well as optimism.

Friday, July 26, 2019

The affect of in circle group on turnover intention in Saudi Arabia Research Proposal

The affect of in circle group on turnover intention in Saudi Arabia Business - Research Proposal Example However, argues some authors, motivation is essential in fostering impression management and relationships in an organization. While others believe the environmental compulsions has a become powerful antecedents that necessitate proactive participation of the workforce in the change process. Various scholars emphasize the importance of Guanxi that significantly influences the didactic relationship between the leader and a worker in an organization. Others believe employee commitment, extra effort, leadership effectiveness and satisfaction with the leader have a positive relationship with LMX. LMG (guanxi) has mixed effects on the turnover. In connection to this, the broad objective of this research is to examine the critical success factor of employees’ outcome turnover among the private enterprises of Saudi Arabia. Therefore, the sample size of 300 respondents randomly selected from three institutions representing the private sector will be issued with questionnaires and subjected to interviews. Qualitative data analysis will be used to analyses the collected data and represented through graphs, pie charts, and tables. The study will be highly significant for private sector in Saudi Arabia, in addressing the high employee turnover. Saudi Arabia is an important part of the Arab World and the Middle East as a regional power especially economic Zhou (2008). This can be demonstrated by the development of infrastructure, like a road network, and the effectiveness they exude in the region and the most conspicuous fast growing multinational organizations. Saudi Arabia’s characteristics in the determination of social developments and modernization methods have been influenced by the national conditions of history and reality. In the wake of this economic development, of most importance is the synergy developed between the

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

Theory evolution - Research Paper Example They emerged with a goal of strengthening the already existing methods. The original ideas had some weaknesses in their area of scope, field of coverage and failed to pinpoint in some of the most sensitive aspects that indeed can improve the process of understanding the adult theory. The alternative methods added some knowledge on adult learning, like, for example; they came up with other principles of adult education that got neglected by the original theories. These included the assumptions of self-concept, adult education experience, readiness to learn, orientation to learn and motivation to learn. These new assumptions that got added to the alternative theories brought an insight and knowledge on how to approach adult education (Jarvis & Jarvis, 2004). The alternative methods contributed other principles of Andragogy. The new laws gave other means through which the process of adult learning can get well comprehended (Flannery, 1993). These methods have brought in some insights towards understanding of the adult education. Scholars have gotten in a position to get awareness on the flexibility and dynamism that Andragogy exhibits over time (Merriam, 2008). Andragogy has further gotten understood as a process that has extreme differences in pedagogy, due to the different assumptions and principles that are parallel to those of

Thursday, July 25, 2019

Supply in Health Care Essay Example | Topics and Well Written Essays - 500 words

Supply in Health Care - Essay Example ic interest is heavily invested in it because human life or health is at stake so that the sector is often seen as insulated from traditional market forces (Feldstein, 2011, p. 513). Issues of morality and ethics, hence, are included as drivers of the supply and demand. In addition, public policy in terms of the organization and regulation of medical services has also been increasing in the United States, which is highlighted by the flagship universal healthcare program of the Obama administration. On the supply side, one can say that economic forces are present and significant. For instance, there is the case of projected physician shortage in the United States. According to Snyderman, Sheldon and Bischoff (2002), this would have serious ramifications, limiting access to healthcare dramatically (p.168). In purely economic terms, once the supply is scarce and demand is high, prices for physician services could inevitably rise. This is demonstrated in the manner by which anesthesiologists could demand high fees. The skill set involved is very important and, hence, hospitals and patients have very little choice but to pay for them. This is highlighted by the fact that in some areas, anesthesiologists have banded together into groups and associations, enabling them to monopolize and dictate standard prices for their services. This is what Getzen (2010) referred to as control over supply in this submarket, wherein professional associations has increased profits for members (p.177) All in all, the price of physician services, as Feldstein stressed, will rise in response to fewer supply of physicians, according to the principle of supply and demand, or vice versa through the impact of competition (p.398). Elasticity for this submarket, hence, could be elastic or inelastic. In a highly competitive condition, it could be elastic whereas in instances wherein no close substitutes are available such as in the case of a monopoly by professional groups or a sheer scarcity of

Wednesday, July 24, 2019

Research Support Essay Example | Topics and Well Written Essays - 250 words

Research Support - Essay Example This is possible because health givers are better positioned to receive information about the people they will be dealing with through seminars and orientation exercises. Cultural differences cause strained interactions between health givers and patients, which contributes to a communication breakdown. This can make patients withhold vital information regarding their health status making a correct diagnosis difficult. This is because patients think that the caregivers do not understand their culture and customs (Holland & Cogg, 2010). Health practitioners should sensitized on how to handle patients from different cultural backgrounds because their understanding is vital. Through various cultural research based studies, practitioners in the health can sector can learn how to handle their clients better. An enhanced sociocultural understanding can solve constraints caused by lack of adequate communication between the parties involved. Education of caregivers’ cultural variances is the only way to ensure harmony in the health

Tuesday, July 23, 2019

The specialist nature of operating department practice( Essay

The specialist nature of operating department practice( peri-operative) - Essay Example ODPs also communicate about shifting the patient in the anesthetic room and verifiy pre-operative check list about medical illnesses and allergies. They assist the anesthesist with anesthesia and stay through the surgery to maintain anesthesia. In the surgical stage, ODPs assist the surgeon during the surgery and hence scrub themselves and wear sterile gown and gloves. They are accountable for all the instruments and swabs used for the surgery. They may also act as circulation nurse to hand over extra materials to the sterilised personnel. In the recovery stage, the ODPs check the patient, manage airway, monitor vital signs, administer prescribed drugs, help patient recover from anesthesia and address to the needs of the patient until discharge to ward. Thus, ODPs have a major role to play in the surgical assessment, procedure and recovery of the patient (Nettina, 2006). In this essay, the role of ODPs in the management of a hip replacement client will be discussed through critical e valuation of literature. 65 year old Maria is a known patient of osteoarthritis of the right hip joint (name changed for confidentiality reasons). In view of distressing pain and decreased mobility because of the pain, she was posted for total hip replacement surgery. Hip replacement is a common procedure in orthopedic operation rooms. It is also known as arthroplasty. It can be total arthroplasty or hemiarthroplasty. In the former procedure, replacement of both the femoral and acetabular articular surfaces is done. This may involve either replacement of both the femoral head and neck or replacement of only the surface of the femoral head. The former is known as conventional total hip arthroplasty and the latter is known as resurfacing total hip arthroplasty. In both the procedures, replacement of the acetabulum is done. In hemiarthroplasty, replacement of the femoral head's articular surface is done without any alteration of the articular surface of the acetabulum. Replacement of t he hip joint can be done with several materials including ceramic, metal and polyethylene. Fixation of the arthroplasty can be done with materials like polymethylmethacrylate cement and screw fixation (Jacobson, 2009). Osteoarthritis is the most common indication for total hip arthroplasty in which the articular surfaces of both the acetabulum and femur is affected. On the other hand, hemiarthroplasty is done in avascular necrosis of the femoral head and displaced fracture of the femoral neck which is at increased risk of developing avascular necrosis (Jacobson, 2009). Hip joint is a ball and socket joint. The ball is formed by the head of the femur and the socket by the acetabulum, a part of the pelvis. The ends of both these bones are covered by cartilages to facilitate smooth movement. The cartilage gets damaged by arthritis which makes the joints painful and stiff (Bromhead, 2007). The components of arthroplasty for acetabulum are ceramic, cobalt-chromium metal and polyethylene. Femoral components include ceramic, metal or metal femoral stem (Jacobson, 2009). There is some evidence that use of larger femoral head component with metal-on-metal total hip arthroplasty has decreased risk of dislocation (Jacobson, 2009). The most commonly used combination for total hip arthroplasty is cobalt-chromium alloy metal femoral head that is articulated with a polythelene cup. The most common complication associated with this is wear of polyethylene followed by inflammation and osteolysis

Monday, July 22, 2019

Conditions for Equilibrium Essay Example for Free

Conditions for Equilibrium Essay When we say equilibrium, it is a state of balance. It is a condition where there is no change in the state of motion of a body. Equilibrium also may be at rest or moving within a constant velocity. A simple mechanical body is said to be in equilibrium if no part of it is accelerating, unless it is disturbed by an outside force. Two conditions for equilibrium are that the net force acting on the object is zero, and the net torque acting on the object is zero. Thus, the following objectives were emphasized in this experiment: to determine the equilibrant force using the force table and the omponent method, to determine the unknown forces using the first condition and second conditions for equilibrium, to locate the centre of gravity of a composite body, and to demonstrate rational equilibrium. 2. Theory Equilibrant is equal in magnitude to the resultant but oppositely directed. The first condition of equilibrium is when a body at rest or moving with uniform velocity has zero acceleration. The center of Gravity is the point where the weight of a body is assumed concentrate. The second condition of equilibrium is satisfied when the sum f all torques acting on an object about any axis equals zero. In activity 1, TA or the tension acting on the string is the weight of the pan A plus the weight added to it and multiplied to 9. 8 m/s2 TB or the tension acting on the string is the weight of the pan B plus the weight added to it and multiplied to 9. 8 m/s2 Experimental Equilibrant is the weight of the pan A plus the weight added to it. Theoretical Equilibrant= % Error = Exp. Theoretical X 100 Theoretical In activity 2, the equation Tl T2 cos e = O was used. From the equation, was derived to get the value ofT2 where, Tl is the reading on he spring scale when the pin is exactly at the middle of the ring e is the angle of the string makes with the horizontal Experimental Weight = T2 sin e Theoretical Weight= In activity 3, to check the results, the actual computation of center of gravity was used. Where XC and YC are the coordinates of the center of gravity of the circle, XS and YS of the center of gravity of the composite fgure. In activity 4, the equation was used, where, Xl is the length of the cylinder used X2 is the length of the center of gravity of the cylinder. And X3 is the length of the cylinder minus the 5. 0 cm. . Methodology There are 4 different kinds of activity in the experiment to determine the conditions for equilibrium. The materials used were the following: Force table and accessories, force board, cylinder of unknown weight, spring scale, electronic gram balance, card board, aluminum bar, cylinder of unknown weight, and protractor. For activity 1, the group used a force table, its three pans and accessories. The three pans were weighed and labeled as A, B and C. Pan A was hung at 30 degree mark and a 100g was placed on it whereas on pan B a150 g was placed and was hung at 200 degree mark. The group balanced the two tensions in the strings by placing weight on the pan C or adjusting its position in the force table to obtain the magnitude and position of the equilibrant. The theoretical equilibrant of the two tensions was solved using the component method. The group then computed the % error using the values obtained by the component method as your accepted value for magnitude as well as direction. Figure 1: Set-up for activity 1 For activity 2, a cylinder of unknown weight was suspended on the force board by means of two strings. A spring scale was then attached to one of the strings. One member of the group pulled the string horizontally until the pin was exactly at the middle of the ring. The reading on the spring scale was recorded as Tl . Another member of the group measured the angle that the other string makes with the horizontal and solved for the tension T2 of the other spring and the weight of a cylinder. Percent error was computed after. For activity 3, the group used a circle of diameter 10cm and a square of side 10 cm from the card board. The circle and the square was weighed and recorded as wc and Ws. The group determined the center f gravity of the composite fgure by using the balancing method and composite method. In balancing method, a pen was placed in the middle of the composite figure wherein the plumb method, the group used a string with a coin at the end then hung it from any point and measured where it intersects on the composite fgure. Figure 2: Balancing Method Figure 3: Plumbing Method For activity 4, the group first located the center of gravity of the aluminum bar by balancing it on a pencil. The cylinder used in activity 2 was hung 5. 0 cm from one end of the bar. Using the force board, the aluminum bar was supported by means of spring scale on the end and a string on the other end until the bar assumes a horizontal position. The group used the second condition for equilibrium to determine the weight of the bar and the tension in the string. Percent error was also computed. . Results and Discussion Activity 1 Tensions Magnitude (N) Position(0) TAI. 3105 300 1. 7962 2000 Experimental Equilibrant 0. 6241 3600 Theoretical Equilibrant 0. 5545 3560 % Error Table 1: Results of Activity 1 Table 1 shows the magnitude and the positions of the equilibrants and the tensions acting on the pans. The theoretical equilibrant of the two tensions was solved using he component method. The % error was computed using the values o btained by the component method as the accepted value for magnitude and the direction. Some factors that contributed the 13% error in this activity were the accuracy of the force table and its accessories used. Activity 2 Tl (N) 63 N (0) 440 T2 (N) 8. 7 N Experimental Weight (N) 6 N Theoretical Weight (N) 6. 3 N % Error 13. 2% Free Body Diagram of ring Table 2: Results of Activity 2 Table 2 shows the different unknown forces acting on the cylinder using the first condition for equilibrium. Some factors that contributed the 13. % error in this activity were the accuracy of the spring scale used and the pulling of the string horizontally. Activity 3 Weight of Square= 8. 36 g Weight of Circle= 6. 94 g Method Center of Gravity X- coordinate Y coordinate Plumb line Method 10 5. 2 Balancing Method 9. 55 4. 5 Computation 9. 54 5 Table 3: Results of Activity 3 Table 3 shows the x and y coordinates of the center of gravity of the component fgure using plumb line method, balancing method and the actual computation. In balancing method, a pen was placed in the middle of the composite figure wherein he plumb method, the group used a string with a coin at the end then hung it from computation was written in the manual. Activity 4 Reading of Spring Scale (N) 5 N Weight of cylinder (N) 5. 3238 N Experimental Weight of bar(N) 0. 7418 N Theoretical Weight of bar(N) 0. 7977 N % Error 7% Free Body Diagram of bar Table 4: Results of Activity 4 Table 4 shows the different unknown forces acting on the bar using the second condition for equilibrium. One factor that contributed the 7% error was due to the person holding the string at one end to make the cylinder bar in horizontal position 5. Conclusion Different activities in this experiment were accomplished to understand more about the conditions for equilibrium. Based from the results obtained by the group in the different activities, the group was able to determine the equilibrant force by using the force table and the component method. The unknown forces using the first and second conditions for equilibrium were determined. Using the square and circle fgure, the center of gravity of a composite body was located. Rotational equilibrium was demonstrated because the sum of all of the torques equals zero 6. Application 1 . State the first condition for equilibrium. If a body is in equilibrium, are there no forces acting on it? Equilibrium means the sum of all forces in all directions is equal to zero. It doesnt mean that there are no forces acting on it. It Just means that the forces that are acting on it are equal and opposite. 2. The Russell Traction system is used for a fractured femur. Identify the forces acting on the femur. If the weight hang is 5. 0 kg, find the force needed to immobilize the femur. What will supply this force? 3. What happens to the center of gravity of a person under the following situations? A. ) His upper right extremity is amputated. B. He carries all his books using the right arm only. )When ones upper right extremity is amputated, the center of gravity of the person would lean towards the right part of the body since the gravitational force on the remaining arm will push the center of gravity towards the right. b) When a person carries his books using only his right arm, the pull of gravity on the book would push the center of gravity of the body towards the left. 4. Devise a way by which you could determine your center of gravity. If the object is irregular in shape, the center of mass is always located closer to the more massive nd. Use felt pens to outline your partners body on a piece of butcher paper. Determine your partners approximate center of gravity by carefully cutting out the human outline and balancing it on your finger. Mark the center of gravity on your partners body with a piece of tape. Get a six foot piece of butcher paper and tape it feet. Mark their approximate center. Another way is to lie horizontally across the arm of a couch. The point where you are balanced is your center of gravity. 5. In general, the womens centers of gravity tend to be lower than mens. Can you explain why? Womens centers of gravity tend to be lower than mens because women have a bigger pelvis area. The skeletal structure of women make it so that their pelvis is bigger, since they will need the extra support come the time that they become pregnant, and their bodies support a baby. This means that the lower body of women is generally heavier in comparison to their whole body, as opposed to the lower body of men. This would make the center of gravity of women slightly lower, because more of their body mass is concentrated at the lower portion of their body.

Sunday, July 21, 2019

Measuring Processes of Pipelining

Measuring Processes of Pipelining Sakshi Dua Abstract Discuss the method to measure the performance of pipelining. Give a space-time diagram for visualizing the pipeline behavior for a four-stage pipeline. Also discuss some way to control a pipeline for collision free operations. Introduction Pipelining: A pipelining is a series of stages ,where some work is done at each stage .The work is not finished until it has passed through all stages.It is a technique used in advanced microprocessors where the microprocessor begin executing a second instruction before the first has been completed Three performance measures pipeline are provided:- Speed-up S(n) Throughput U(n) Efficiency E(n) . Speedup S(n):- Consider the execution of m tasks (instructions) using n-stages (units) pipeline. n+m-1 time units are required to complete m tasks. it is assumed that the unit time T = t units. Speed-up S(n) = Time using sequential processing - Time using pipeline processing = m * n * t (n + m 1)* t = m * n n + m -1 Lim S(n) = n m→∞ i.e. n fold increase in speed is theoretically possible. Throughtput T(n):- Throughtput U(n)= # of task executed per unit time = m - (n + m 1)* t Lim U(n) = 1 m→∞ Efficiency E(n):- Efficiency E(n) = Ratio of the actual speed-up to maximum speed-up = speed-up - n = m n + m -1 Lim E(n) = 1 m→∞ Space Time Diagram For Four Stage Pipeline The behavior of pipeline can be illustrated with space time diagram that the segment or stage utilization as a function of time .The horizontal axis displays the time in clock cycles and the vertical axis gives the segment number.The Diagram shows 6 tasks T1 through T6 executed in 4 segments. Task T1 is handled by segment 1.after the first clock,segment 2 is busy with T1,while segment is busy with task T2.Continuing in this manner,the first task T1 is completed after the fourth clock cycle.From then on,the pipe completes a task every clock cycle. clock I/p s S1 R1 S2 R2 S3 R3 S4 R4 DIAGRAM: FOUR STAGE PIPELINE clock Stage:1 2 3 4 SPACE TIME DIAGRAM FOR PIPELINE For example:- Consider the case where n- stages pipeline with a clock cycle time tp is used to execute m tasks. The first task t1 requires a time equal to ntp to complete its operation since there are n stages in the pipe. The remaining m-1 task emerge from the pipe at the rate of one task per clock cycle and they will be completed after a time equal to (m-1)tp. Therefore, to complete m tasks using a n-stages pipeline requires n+(m-1) clock cycles. For eg. Above diagram shows four stages and 6 tasks. The time required to complete all the operations is 4+(6-1)=9 clock cycles. Consider a non pipeline unit that performs the same operation and takes a time equal to tn to complete each task. The total time required m tasks is mtn. The speedup of a pipeline processing over a equivalent non pipeline processing is defined by the ratio S(n)= mtn (n+m-1)tp As the no. Of tasks increases , m becomes much larger than m-1 and n+m-1 approaches the value of m. Under the condition , the speedup becomes S(n)= tn tp Assume that the time it takes to process a task is the same in the pipeline and non pipeline circuits, we will have tn = ntp including this assumption, the speedup reduces to S(n)= ntp = N tp This shows that the theoretical max. Speedup that a pipeline can provide is n,where n is the no. Of stagessegments in the pipeline. To clarify the meaning of the speedup ratio, let the time it takes to process a suboperation in each segment be equal to tp=20 ns Assume that the pipeline has n stages and executes n =100 tasks in sequence. The pipeline system will take (n+m-1)tp =(4+99)*20 =2060 ns to complete. Assuming that tn=mtp 4*20=80 ns, A non pipeline system requires mntp=100*80=8000 ns to complete the 100 taks. The speedup ratio is equal to the 8000/2060=3.88. As the no. Of tasks increases,the speedup will approach 4, which is equal to the no. Of stages in the pipeline. If assume that tn=60 ns, the speedup becomes 60/20=3. Some way to control a pipeline for collision free operations To avoid the collision in data dependency operation are: Hardware Interlocks It is an interlock circuit that detects instructions whose source operands are destinations of instructions farther up in the pipeline. Detection of the situation causes the instruction whose source is not available to be delayed by enough clock cycles to resolve the collision. This way the program maintains the sequence by using hardware to insert the required delays. Operand Forwarding It uses special hardware to detect a collision and then avoid it by routing the data through special paths between pipeline stages. This method requires additional hardware paths through multiplexers as well as the circuit that detects the collision. Delayed Load It solves the data collision problem to the compiler that translates the high level language into a machine language program. The compiler for such computers is designed to detect a data collision and reorder the instructions as necessary to delay the loading of the collisioned data by inserting no-operation instructions. This way is referred to as delayed load. To avoid the collision in branch instructions operations are: Prefetch Target Instruction This is used to handling a conditional branch is to prefetch the target instruction in the additional to the instruction following branch. Bath are saved until the branch is executed. If the branch condition is successful, the pipeline continues from the branch target instruction. An extension the procedure is to continue fetching instructions from both places until the branch decision is of the correct program flow. Branch Target Buffer The BTB is an associative memory included in the fetch segment of the pipeline. Each entry in the BTB consists of the address of a previously executed branch instruction and the target instruction for that branch. It stores the new few instructions after the associative memory BTB for the address of the instruction . If it is in the BTB,the instruction is available directly and prefetch continues from the new path. If the instruction is not in the BTB, the pipeline shifts to a new instruction stream and stores the target instruction in the BTB. Advantage is that branch instruction occurred previously are readily available in the pipeline without interruption. Load Buffer A Variation of the BTB is the load buffer. This is a small very high speed register file maintained by instruction fetch segment of the pipeline. When a program loop is detected in the program, it is stored in the loop buffer in its entirely, including all branches. The program loop can be executed directly without having to access memory until he loop mode is removed by final branching out. Branch Prediction A pipeline with branch prediction uses some additional logic to guess he outcome of a conditional branch instruction before it is executed . The pipeline then begins refetching the instruction stream from the predicted path. A correct prediction eliminates the wasted time caused by branch penalties. Delayed Branch This is the way to employed in RICS processors is the delayed branch. In the procedure, the compiler detects the branch instruction and instruction hat keep the pipeline operating without interruptions. An example of delayed branch is the insertion of a no operation instruction after a branch instruction . This causes the computer to fetch the target instruction during the execution of the no-operation instruction ,allowing a continuous flow of the pipeline.

Study On The Paleolithic Age History Essay

Study On The Paleolithic Age History Essay The Paleolithic Age was a period of technology that was developed from stone. The advancements of the Neolithic Age lead to new technologies which introduced metal tools. Also the Neolithic houses were built of mud brick and were more secure compared to the Paleolithic shelters. Their dwellings were constructed sturdier because the people lived more stable lives and there was no need to be so mobile. The invention of pottery was another big advantage that the Neolithic people had over the Paleolithic people. The Neolithic Revolution led to settlements and the advancement of group living. Also, after the Neolithic revolution began more intricate community situations led to improved and more complex forms of communication. The Neolithic revolution also led to the growth of governments and higher forms of organization because now that people were living in settlements they started separating the labor. I also think trade stemmed from this revolution because now people would now trade the extra food that they grew for other things they did not have. Lastly in my opinion the Neolithic Revolution also lead to the change from a matriarchal classification to a more patriarchal classification. 2. The Caste System had many advantages and disadvantages. The first disadvantage in my opinion is that the weak were oppressed by the social and politically advantaged people in the name of faith and customs. I also think the Caste System brought about division and resentment that in turn evolved into disunity among the Indian Society. This made India weak against foreign invasion. The biggest disadvantage was that the caste system was based on birth rather than individual talent or skills. Lastly, I think the Caste System created an individual class called the untouchables which were treated less than human. An advantage to the Caste System is that it played an important part in shaping profitable activities in Indian Society. This was made feasible because a distinct system of shared interdependence through a division of labor forms protection for those within a group. Another advantage was that each caste became an expert in their own area of trade. I think the Caste System reflected Indian society in a very negative manner. The caste system at anytime is appalling, it is hypercritical, and without the feeling of affection. I think one major problem it caused was a power struggle between the Brahmins and Kshatriyas. I think the Caste System became an outcome of human greediness and arrogance and it developed into an awfully harsh system of prejudice and domination. 3. The first tenet of Zoroastrianism is the belief in a supreme and universal god. He is the designer, the maintainer, and he protects the good from the wicked. The second important tenet of Zoroastrianism is the belief in the duality of survival. Zoroastrians accept the fact that the earth is a combat zone between good and evil forces. The third tenet is the belief in the holiness of conception. The Zoroastrians believe his conception is holy and marvelous so they feel it is everyones job to keep it unpolluted and sustain order. The last tenet of Zoroastrianism is the belief in the divine character of the Earth and mankind. They believe the material world consisting of flames, water, atmosphere, dirt, vegetation, nature, and humans are much like the body of God. Zoroastrianism is very influential because it is one of the oldest existing religions on the planet. Zarathustra teachings were notice by the ancient Greek and Roman theorists who wrote about his life and teachings. Zoroastrianism brought about the perceptions of Heaven and Hell; the idea that humans have free will faced the judgment by God after death. It basically paved the way for the religions of Judaism, Christianity, and Islam. Before Zoroastrians influence the Hebrew Bible made no reference of a physical or emotional revitalization. Christianity is believed to be taught through the teachings of Jesus of Nazareth and Zoroastrianism is taught through the prophesy of Zarathustra. These two religions have many similarities. The one similarity that stood out to me was that in both religions there is a belief in afterlife. Also in both religions there is a constant struggle between good and evil. The last thing that stood out was the fact that each religion believed that mankind should have free will. 6. When comparing and contrasting the religions of Hinduism and Buddhism you will first notice that both of these religions originated in the South Asia region. The one thing that stood out to me was that even though they had similar customs and values, they had very different ideas on matters of social organization. The two religions also differ on the ideas of the importance of individual freedom to progress both socially and spiritually. Another big difference is that there was not a specific founder of Hinduism. Buddhism was founded by Siddhartha Gautama in 563 B.C. and Hinduism is more of a collection of different religions and cultures. In Hinduism a person must live their life through Dharma which is a sense of obligation. Through this a person can fulfill his roles in society and the world. In Buddhism a person must live their life through Dharma, which has no social obligations but sets up a definition of right behavior and responsibility. This is done so a person can escape the cycle of suffering and rebirth or samaras and achieve nirvana. In both religions they believe in the process of reincarnation and the effects of Karma. In conclusion, Hinduism and Buddhism both influenced India even though both influenced it in dissimilar ways. The major way that Hinduism influenced India is by the Caste System. The Caste System is the order of social classes of India, and is still acknowledged by some in India, although it is now prohibited. Buddhism influenced India mostly in ways of art with many sculptures which were made in the likeness of Buddha. Buddhists cultured ways of getting in touch with their internal character through the technique of meditation. Buddhists believed in both karma and dharma. Hindus construe this as if reincarnated into an improved social class coming nearer to evading suffering would be possible. 7. The Pax Romana was a time of harmony in the Mediterranean that lasted from the control of Augustus to the reign of Marcus Aurelius. The most outstanding characteristic of this period was the fact that there were two hundred continuous years of peace within Rome. Under this peace time, Augustus was able to extend his reign to Asia Minor. The economy also prospered within this time period by improving many harbors, building roads, clearing forests, and by turning unused land into farms. In my opinion this is also a time where there was an architectural revolution. The Pax Romana was a period of time that proved to be an example of five good rulers. The beginning of the Pax Romana began with the reign of Augustus and lasted forty-five years until his death. As ruler he was able to create a Roman Empire that had a much more balanced foundation. After his death, Rome had a few years of bad rulers. In my opinion The Roman Empire wasnt totally unified during this period. I also think the Pax Romana should not be spoken as the point in time of Roman tranquility which the name itself suggests. The Romans did remunerate wars during this period and there were common strifes as leaders were assassinated and tyranny was fluent. However, it was a time of wealth and progress in every sense. There were many similarities between the Pax Romana and Han China empires, length, area, economic transformation, and territorial expansion stood out to me the most. However, in my judgment the differences are more interesting. Political assimilation in China was obtained by the increase of Confucian values, characters of the emperors, and a bureaucratic government. The powerful Roman law was emphasized over their fragile system of government. Mysticism of emperors was not as dangerous politically, even though many made claim for the position. I think one of the greatest similarities is the development of technology and architecture and also the change in government policies. The major difference in my opinion was the fact that the Roman Empire turned their government into a republic and Han China maintained the structure of the Qin Empire. 8. The main achievements of the Roman Empire was the size of the empire, the advancement of its bureaucratic system, and they had one of the most well-organized, efficient, and vicious armies that the world has ever seen. In my opinion one major limitation that helped effect Romes fall was that usually Roman armies had more allegiance to their general than the state. I feel this contributed to constant civil war which plagued Rome during a large amount of its record. I also think that a very advanced culture would be an achievement of Rome. I also want to add that another limitation is that Rome suffered from a long period of terrible rulers and even with the development of technology wasnt enough to hold this great empire together. One key turning point in Roman History was the overthrow of the Tarquin monarchy by Junius Brutus in 509 BC. After this Rome never converts back to a monarchy. The republic of Rome was then ruled by the Senate and its assembly. I also think the Punic Wars were another major turning point in Roman history. After the Second Punic War, Rome paved the road for its power over Italy and established itself as the main power in the western Mediterranean. This bought about power and wealth to almost the entire region. The last turning point I want to mention is the year of the five emperors. This was the turning point that in my opinion started the decline of the Roman Empire. I think Romes legacy would be that they paved the way for western civilization. I also think the architecture of the Roman Empire was very dominant for its era in history. The Romans also contributed too many changes in British landscape. I also believe that much of Romes literature and writing has influenced the world. Lastly, the Romans will always be remembered because they had the best, well-organized, efficient, and vicious armies that the world has ever seen.

Saturday, July 20, 2019

Life of Pi :: essays research papers

Life of Pi Pi Patel is on a ship to a whole new world. He’s leaving his whole world behind except the zoo, it‘s on board with him. When awoken by a sound, Pi goes to explore. He finds that the ship is sinking and before he can wake his family he is thrown into a lifeboat. A zebra falls into the lifeboat, breaking its leg. Without truly realizing what he is doing, Pi helps Richard Parker onto the lifeboat. Then he realizes, he is on a lifeboat with a 450 pound Bengal tiger. Pi builds a raft out of oars and life jackets so that he can stay a safe distance from the lifeboat. The lifeboat doesn’t seem to have the tiger on it at all. Just a zebra and a hyena and orangutan. The hyena attacks both zebra and orangutan and then the tiger appears. He is sleek and quiet about his approach. None the less, Pi Patel is now alone on a lifeboat with Richard Parker. He wonders how he will survive with a tiger. Pi decides that it would be best to keep the tiger alive, to act as the alpha. He trains Richard Parker to understand which space belongs to who. Pi uses a solar power water filter for fresh water and fishes for food. He feeds himself and the tiger. This keeps them at more of a alpha relationship because Richard Parker knows where his food and water come from. When there is no fish to caught and no more supplies, the only option is to starve for that day. Finally, Pi and Richard Parker land on an island. It is a very mysterious place. The trees seem to grow straight out of the algae and the meerkats do no seem to be afraid of anything. There are fresh water ponds and for some reason Richard Parker always returns to the lifeboat at night to sleep. Pi finds out the algae is acidic and that’s why Richard Parker sleeps in the boat at night.

Friday, July 19, 2019

Lee Silverman Voice Treatment Essay -- Health, Parkinson’s Disease

Lee Silverman Voice Treatment (LSVT) is primary utilized as a voice treatment for individuals with Parkinson’s Disease (PD), it’s main focus is that it attempts to increase vocal loudness and improve vocal function (Countryman S, Hoehn M, O’Brien C, Pawlas A, Ramig L, and Sapir S, 2001)(Ramig L, Sapir S, Fox C, and Countryman S, 2001). There has also been success in utilizing this treatment protocol for clients with dysarthria associated with stroke, and traumatic brain injury as well as children who have cerebral palsy and Down syndrome (Marchant, J., McAuliffe, M., & Huckabee, M. January 2008)(Spielman, J Ramig L Mahler L Halpern A Gavin W., 2007,)(Wenke, R., Theodoros, D., & Cornwell, P., January 2008)). LSVT was conceived in 1987 and has been extensively studied around the world since then (Countryman et. al., 2001). LSVT is a very unique form of voice therapy in that it focuses on several very simple tasks that are designed to maximize the client’s phonation and respiratory functions. (Countrymen et al., 2001). Spielman et al., 2007 indicated that the standard course o...

Fort Henry And Donelson :: essays research papers

Fort Donelson, Tennessee, guarding the Cumberland River, became the site of the first major Confederate defeat in the Civil War. Victory at Donelson started Brigadier General Ulysses S. Grant on his road to Appomattox and the White House. His cool judgment under pressure saved the day after the Confederates threatened to break his troop lines, yet errors by his opponents handed him a victory that he did not fully earn on his own. Possession of the better part of two states vital to the South depended on the outcome of the battle at Fort Donelson. When war began in April 1861, Kentucky declared its neutrality, in response to deep conflicts of opinion among its citizens. Considering neutrality impossible to maintain, North and South maneuvered for position once Kentucky was opened to military operations. The Confederates constructed fortifications on both the Tennessee and Cumberland rivers just south of the Kentucky line. They built Fort Henry on the Tennessee River, on ground susceptible to flooding, but chose higher ground for Fort Donelson on the Cumberland River. Both sides wanted Kentucky but recognized that the first to cross its borders risked losing popular support. Confederate Brigadier General Gideon J. Pillow rashly seized Columbus, Kentucky, on the Mississippi River bluffs, a move that appalled President Jefferson Davis, who first ordered Pillow to withdraw, then allowed him to stay when he realized that the deed could not be reversed. Grant, commanding at Cairo, Illinois, then occupied Paducah at the mouth of the Tennessee and Smithland at the mouth of the Cumberland, strategic points neglected by General Gideon Pillow. In November Grant tested Confederate strength at Columbus by landing troops across the Mississippi River at Belmont, Missouri. The drawn battle that followed sent him back to Cairo still eager to advance, but not necessarily along the Mississippi River. Knowing of the poor location of Fort Henry, he wanted to use Union gunboats to advantage, and foresaw that the fall of Fort Henry would open the Tennessee River as far north as Alabama. Winning reluctant permission from his superior, Major General Henry W. Halleck, Grant moved south in early February. The flooded Fort Henry fell to the gunboats on February 6, 1862 and most of the garrison fled to Fort Donelson, which was eleven miles away. Grant then followed, after sending the gunboats back down the Tennessee and over to the Cumberland. In St. Louis, Halleck, a "military bureaucrat par excellence", took no official insight of Grant’s plans. Fort Henry And Donelson :: essays research papers Fort Donelson, Tennessee, guarding the Cumberland River, became the site of the first major Confederate defeat in the Civil War. Victory at Donelson started Brigadier General Ulysses S. Grant on his road to Appomattox and the White House. His cool judgment under pressure saved the day after the Confederates threatened to break his troop lines, yet errors by his opponents handed him a victory that he did not fully earn on his own. Possession of the better part of two states vital to the South depended on the outcome of the battle at Fort Donelson. When war began in April 1861, Kentucky declared its neutrality, in response to deep conflicts of opinion among its citizens. Considering neutrality impossible to maintain, North and South maneuvered for position once Kentucky was opened to military operations. The Confederates constructed fortifications on both the Tennessee and Cumberland rivers just south of the Kentucky line. They built Fort Henry on the Tennessee River, on ground susceptible to flooding, but chose higher ground for Fort Donelson on the Cumberland River. Both sides wanted Kentucky but recognized that the first to cross its borders risked losing popular support. Confederate Brigadier General Gideon J. Pillow rashly seized Columbus, Kentucky, on the Mississippi River bluffs, a move that appalled President Jefferson Davis, who first ordered Pillow to withdraw, then allowed him to stay when he realized that the deed could not be reversed. Grant, commanding at Cairo, Illinois, then occupied Paducah at the mouth of the Tennessee and Smithland at the mouth of the Cumberland, strategic points neglected by General Gideon Pillow. In November Grant tested Confederate strength at Columbus by landing troops across the Mississippi River at Belmont, Missouri. The drawn battle that followed sent him back to Cairo still eager to advance, but not necessarily along the Mississippi River. Knowing of the poor location of Fort Henry, he wanted to use Union gunboats to advantage, and foresaw that the fall of Fort Henry would open the Tennessee River as far north as Alabama. Winning reluctant permission from his superior, Major General Henry W. Halleck, Grant moved south in early February. The flooded Fort Henry fell to the gunboats on February 6, 1862 and most of the garrison fled to Fort Donelson, which was eleven miles away. Grant then followed, after sending the gunboats back down the Tennessee and over to the Cumberland. In St. Louis, Halleck, a "military bureaucrat par excellence", took no official insight of Grant’s plans.

Thursday, July 18, 2019

Bullying and True Inner Feelings

Bullying: causes and consequenses In today’s world, bullying is nothing out of the ordinary. Everyday we hear about bullying, whether it is in the news, at school, or from our friends and is becoming a worldwide problem that occurring around us everyday and everywhere. People experience some sort of bullying at some point in their lives whether they are the victim or the bully. What has developed as a common thing amongst people of all ages has had serious effects and caused tragedies for many people.People go about with their daily tasks in life and sometimes don’t realize the the harm they are causing to other people when they make jokes about others whether they have disabilities, culture or physical apperances. This expository essay will focus on the causes and the conseques of bullying and the effect it has in todays society. Although there are multiple ways to define bullying, it is a negative action directed to a specific individual and carried out by one or poss ibly groups of people.Bullying is basically anything that makes a person feel hurt of embarrassed whether it is physical or phsycological. No matter if it is physical or mentally, bullying is always wrong. Bullying can be placed in two categorizes: verbal,physical and cyber bullying. Verbal bully is known to be the most common type of bullying. it is when you criticize someone because of their physical appearance. and physical bullying is a common everywhere you go whether it being at home or in genral public.Physical bullying can be influenced by a lot of things such as such media as television, music and sometimes people that are really close to us such as our parents and friends are all factors that can influence physical bullying which can lead to something even more dangerous. Cyber bullying is when an individual is emarrased or tormented by another individual using the internet. Unnecessary posts, name calling or mean emails are all ways of cyber bullying.Cyber bullying is ver y serious in todays society because the individual that is being bullied may find it hard to tell someone about what they are going though. Even though cyber bullying cannot physically hurt an individual,it can leave that person feeling mentally distressed and upset. In many cases, bullying can be triggered by numerous of these individuals to use rage and violence to handle their problems. Individuals raised in these kind of atmosphere might not see these kinds of actions wherther it is hysical or verbal as bullying but will only see such behavior as normal and acceptable because they are use to that kind of behavior. For some individuals that are yound and are kids, poor academic performance can be another cause of bullying. Some of these children struggle in the classroom and feel that they are not being helped by teachers and even fellow classmates which can lead to them loosing hope. When hope is lost these children will act out and this can translate to them being bullies and s eeking revenge on other children that are achieving more and doing well.These children become bullies that hurt, threaten and control other people because they are often angry, jealous and when can lead them to be very aggressive. Another cause for bullying is low self esteemwhen you add up all the possibilities, it should come as no surprise that bullies tend to struggle with self esteem . the outward behaviors they practice truly shows their true inner feelings. They lack self confidence, struggle to fit in and are ofen judeged by others and feel confident and feel powerful by controlling others.These individuals that are bullies who are often thought of as not as smart have little empathy for these victims and derive satisfaction from injuries and suffereing on others. They often defend their actions by saying that their victim started it by provoking them which led to the bully’s action. They are often anti social,and having a positive about violenve are some other traits often found in these bullies. Children aren’t always bullies but men and women of all ages can also be bullies.

Wednesday, July 17, 2019

Functional Leadership Model in Healthcare Essay

The tralatitious leading case focuses on threesome principal(prenominal) areas which are looked at to be the issue areas of lead line of work, exclusive, and squad (Al-Touby, 1). Our text does non cover the traditional lead ensample but, it does cover the path-goal leadership surmisal which in some esthesis relates to both the traditional leadership mock up and the functional go forth-oriented health care mannikin. The path-goal theory focuses on the in force(p)ness for a leader to r for each one high productivity and morale in a given situation (DuBrin, 147). In the path-goal theory it is important that the manager pick off a style of leadership that focuses on the characteristics of the team and the demand for the delegate. In the traditional leadership style there is to a greater extent emphasis on oneness issue area over another where in the path-goal leadership theory there is no emphasis on either. The path-goal theory lays the neutral out in black a nd white. The path-goal theory is/ would be an effective leadership mystify for health care, however adapting it to a greater extent closely to both organization would make it more than effective and economic. The main objective that muckle never be forgotten with healthcare is the long-sufferings outcome if the outcome is lost, the leader, the team, and the assess have failed.The Oman medical exam daybook has better a leadership model specifically for healthcare facilities. The journal solitary(prenominal) compares the freshly healthcare model to the traditional leadership model however it could also be compared with the characteristics of the path-goal leadership theory. If a healthcare initiation focuses primarily on their individual module characteristics, the facility will risk the speculation of losing sight of the forbearings take (Al-Touby, 1). In any medical commerce all employees are there for one reason, the patients service. With that being said, indiv idual characteristics are not exactly the main concern in the healthcare leadership model. Moving on to having the chore be the priority of the functional model the task by itself remains incomplete until the patient recovers from the medical condition or the sickness is managed (Al-Touby, 1-2). One patient is a task for too many people, but each employee contributes to the outcome of the patient.Lastly, healthcare leaders cannot only focus on the team, because the team has not completed the task until the patient recovers or the disease is managed. The team is combined of the individuals and the task but, in healthcare none of those portions assume priority over another. Healthcare teams can work hard and be cost-effective and still be ineffective (Al-Touby, 2). In healthcare effectiveness must ceaselessly be the goal over efficient teamwork. These examples and reasons are why the Oman Medical Journal decided to add the fourth element results or patient outcomes and they refe r to the registration as the functional results-oriented leadership model(Al-Touby, 3). No amour how perfect the healthcare team is no matter how make the care staff is no matter how well the care procedures are joint and practiced, the yardstick of good healthcare leadership is patient outcomes, the results of care. (Al-Touby, 4)The functional leadership model is based on three core areas in leadership task, individuals, and teams. All of these are important in effective leadership, however, the change theory functional-orientated leadership fits my lifestyle more precise. Working in healthcare and prosecute a profession in healthcare administration I can discipline how the typical functional leadership model does not fit the healthcare world. forbearing care is the main focal head up of every move made in the medical field focusing more precisely on one of the three elements in the typical model could soft distract a leader in losing focal point on the patients result/outc ome. Making the result the center of the three elements works. The organization I work at now uses the functional-orientated leadership model, and all our policies are based or so this model. Patients safety and social welfare is always priority.ReferencesAl-Touby, S. (2012). Functional Results-Oriented Healthcare lead A Novel Leadership Model. Oman Medical Journal, 27(2), 104-107. doi10. 5001/omj.2012.22 DuBrin, Andrew J. (2013). Leadership Research Findings, Practice, and Skills. mason South-Western.

Tuesday, July 16, 2019

Functional requirement Essay

Functional requirement Essay

Prerequisites are categorized in many of ways.PharmacistThe system high alert the pharmacy with medicine orderThe system will allows final approval from Pharmacist for revaluates the order within allergy clinical guideline *The system allows approval from Pharmacist to click send order to tech for processingThe system allow prior approval from Pharmacist for correct process Of the techSystem send the new order to the nurse for administer the drugs.4. NurseThe system allow nurse to verifies the orderThe system allow nurse locate patient’s IDThe system allow nurse to original document the medicineThe system allow nurse to add witness if necessaryThe system allow wet nurse to document the wasteThe system allow nurse to new document patient’s reactionNonfunctional Requirement1. OperationalThe system should integrate with the pharmacy systemThe system should social work any web browserThe system should allow the verification for incorrect dosesThe central system should c heck incorrect allergy & contra-indications of drugsThe system enable for second alternative options if medicine is out of stockThe system enables the automatically order good for medicine out of stockThe system should allow disapproval or prior approval for pharmacist verify incorrect doses and forget not meet allergy guideline to be click send back to physician2.Requirements may have a considerable effect on genetic testing and alternative development.Functional requirements identify parts of performance deeds that needs to be built to an comprehensive program product that is overall.

Non-functional requirements could contain things such like dependability and response time.Non-functional requirements are mainly to steer clear of external events that late may affect the system functionality.Conscious Requirement A requirement that is mindful is worth something which the stakeholder is consciously conscious of.A functional demand has number a own name summary and a rationale.

It sends an email to the course instructor containing the advice offered by the program participant.FR8 The systems shall be in a same place to shortlist candidates in accordance with how their qualifications, expertise, skills and so forth.FR16 The nervous system shall enable an applicant to fill worn out an application for work only.Of course, to be aware that it complies with all NFRs, it has to be analyzed.

FR17 The system shall enable an applicant to create their curriculum vitae.Based on your new methodology and company analysis practices, a functional complete specification may arrive in a choice of formats that how are unique.Even when recognized, as might be desired a number of these various kinds of nonfunctional requirements are tough to check logical and thus frequently are at all or not tested as adequately.When a lawyer log in with the specific thk same identification the work all should be given.

Monday, July 15, 2019

Critical Thinking Paul and Elder

Without instruction the delegate chapter, and incisively flavor at the spots of explicateing of diminutive view, I right away labelled myself as a practicing thinker. However, later on de nonation chapter 2 of capital of Minnesota and aged vital Thinking, I accomplished I was non level destruction to being a practicing thinker. capital of Minnesota and elderberry bush reheel these stages exhibit unitary The unthoughtful head (we are un assured of important fusss in our opinion) deliver ii The Challenged judgement (we rick certain of problems in our intellection) award ternary The inauguration thinker (we yield to repair only without fastness practice) symbolize tetrad The Practicing head (we recognise the unavoidableness of unceasing practice) typify five dollar bill The kindle(a) inventive thinker (we advance in unanimity with our practice) salute 6 The verify brain ( dexterityed and perceptive sentiment go away succor constitution to us) severe as it was to admit, I was compelled to model my sarcastic idea top executive at stage unity The un intellection thinker. former to rendition this chapter, I was not aware of some(prenominal) substantive problems in my sentiment. I did not bring in that I was continually fashioning assumptions, forming concepts, draftsmanship inferences, and idea within points of view. My judgment of pack as bountiful or good, found on my example upbringing, nurture affirm me as the unreflective thinker. Also, never having seriously questioned my thinking or its implications. Having do the decisiveness to climb up and develop as a thinker, my goals presently include, making infract closing with unfavourable thinking and creative problem solving, and presenting my ideas all the way and concisely.I wishwise tell apart that particular thinking is a skill that is acquire and requires practice. Having these realizations, I croupe promptly can on to the Challenged idea stage. capital of Minnesota and older invoice that we cede grand capacity. precisely near of it is hibernating(a) almost is undeveloped. melioration in thinking is like profit in basketball, in ballet, or in contend the saxophone. It is flimsy to scoot mark in the absence seizure of a conscious lading to learn. As want as we compact our thinking for granted, we outweart do the manoeuvre requisite for improvement.