Saturday, August 31, 2019

Operations Management Assignment Essay

Operations management focuses on cautiously managing the processes to generate and deal out products and services. Some of the associated activities comprise managing purchases, list control, excellence control, storage space, logistics and evaluations. It should be noted that a great deal of focus is on competence and efficacy of processes. Therefore, operations management frequently includes considerable dimension and scrutiny of in-house processes. Eventually, the nature of the method in which operations management is conducted in an association depends extremely much on the nature of goods or services in the association, for instance, vend, manufacturing, wholesale, just to mention but a few. This paper tackles a case study on Weldon Hand Tools that shifted from European hand tool manufacturers to woodworking tools market. (Lewis & Slack, 2002) 1. How many staff should the company employ  Weldon Hand Tools is a region of commerce that is concerned with the manufacture of merchandise and services, and involves the liability of ensuring that commerce operations are well-organized and effectual. The corporation ensures the administration of resources, the giving out of merchandise and services to clientele, and the scrutiny of queue systems. (Lewis & Slack, 2002) Woodworking tool market is a positive and reactive ecological strategy that has assisted the corporation to endorse high-quality stewardship within the society. This will enable Weldon Hand Tools to diminish its carbon footprint by using sustainable supplies, reduce squander in the fabrication cycle and execute widespread corporate-wide recycling and reprocess programs. (Lowson, 2002) The corporation should employ as many employees as possible, roughly more than 30 acquaintances both full-time and part time so as to incessantly look at the company’s processes, this will enable optimization of cede for every part. Nevertheless, the additional ways in which the corporation can reduce waste and optimize cede comprise: amalgamation of acerbic and full bunk consumption and lean manufacturing. Weldon Hand Tools ought to also use supplies with low formaldehyde and low VOC substance. This should contain 100 percent solid or water based adhesives and finishing supplies that will generate a quality smooth and fine fashioned wood that has a competitive advantage in the market. (Naylor, 2002) It should be taken into consideration that while using low VOC, Weldon Hand Tools products will facilitate strength and durability, whilst providing the additional advantage of packaging and delivery investments owing to the reduced density. Weldon Hand Tools can eradicate the burden of casing by lapping panels in the stacking procedure. This would enable the bundles to intertwine thereby eradicating the need for strapping to clutch the bundles jointly when they are moved. (Gaither, 1984) The power plant ought to run 24 hours a day, seven days a week so as to produce just about 1,700 tons of smooth and well shaped wood per week. This will facilitate the corporation to burn roughly 1,000 tons per week for steam and power. (Chase & Aquilano, 2000) 2.  What type of facilities and technology will the company need to buy in order to assemble this product? Weldon Hand tools will require a mixture of machinery that will offer a jointer and planner in one component. Grizzly and jet machines will be helpful in this corporation. A horsepower distinction stands out while comparing the motors of the two equipments. Whereas the jet device boasts a 3-horsepower, 220-volt motor, the Grizzly device boasts a 5-horsepower, 220 volt motor power. It then follows that each one motor produces more than 5,000 rpm thereby making the number of cuts per inch about equivalent. In comparison, Grizzly has 15,102 cuts while jet has 16,500 cuts. (Mattfeld, 2006) The Grizzly device has a split, silky and refined jointer bed and this means an additional step in converting to planer mode. The Grizzly boundary marker is physically powerful and easy to regulate. A straightforward flip of a handle allows one to turn around a knob and shift the boundary marker across the jointer bed. On the other hand, Grizzly design has a disadvantage of having to remove the complete boundary marker prior to converting the device to the planner mode. It should be noted that the boundary marker slides off a dovetail way, even though this appears to be easy enough, storing the boundary marker every time you make use of the planer is onerous. (Association of European operational Research societies, 1989) The Grizzly device has the more recognizable pork-chop technique protector. It swings out as the fabric, and your hand, moves past the harvester head. On the other hand, the jet device features a blueprint that is comparable to European machinery in which the unbending protector raises and lowers thus allowing you to fine-tune to the width of your stock. The advantage of this type of guard is that it helps keep your hands from forever passing over the blades. In my view, I have a preference of the jet guard in view of the fact that it’s an overall safer design. (American production and Inventory control society, 1991) The company will need to buy shapers. Shapers are frequently used to silhouette the boundaries of stock. The machinist feeds the stock from any route against a perpendicular revolving harvester mounted on a spindle and as a result the spindle rotates at a high speed. Some equipment has manifold spindles. Moreover, they also have guide pins that clutch the stock for bowed shaping and fences clutch it for straight line shaping. (Belenky, 1998) In addition to this, the corporation will need to purchase routers. These are used for purposes such as cutting and shaping ornamental pieces, generating framework and panel doors, and milling moldings. Routers have spindles that turn variously fashioned, miniature diameter cutting apparatus at high speeds. The device is held in a collet chuck and protrudes through a horizontal, silky base that slides over the outer surface of the labor. The tool-spindle axis is more often than not vertical, however it may be tilted. The machinist lowers the head for machining, and the head mechanically returns to its original location after the cut is made. This spindle is usually driven by belts and pulleys or by a high-speed motor. (Dilworth, 1989) Moreover, the company will need to purchase radial saws. These are spherical saws that cut downhill, either with or next to the wood grain. It then follows that for crosscutting, the timber is pressed away from the machinist and next to a boundary marker. For rip cuts, the cutting edge is set parallel to the boundary marker, and the stock is hard-pressed through. The saw razor blade then rotates upward the machinist; who feeds the stockpile in the differing direction of the razor blade movement. (Lewis & Slack, 2002) However, it should be noted that radial saws have features that make them more adaptable than table saws. The saw arm can be elevated and lowered and swung from side to side to regulate the profundity and horizontal point of view of the cut; the razor blade can be replaced with shaping shears, drum sanders and other garnishes. It should be noted that woodworking requires safety, therefore, the corporation should provide its human resources with push sticks or other hand tools so that their hands are away from the point of process when they work on miniature pieces of stockpile. A push stick is a narrow piece of wood or block with a nick cut into one end that is frequently used to shove narrow lengths of fabric through saws. The advantage of using push sticks is that they keep the stock from tipping and prevents the machinist fingers from getting in contact with the blades. (Lowson, 2002) Weldon Hand Tools should purchase bench planes in view of the fact that they are modifiable, and the finest have lateral as well as forefront and at the rear cutter adjustment. In addition to this, they also have a movable frog that varies the mouth opening. Moreover, the company can also purchase a block plane, even though it is the least and simplest plane; it is used for light work such as smoothing the finish granule of boards and shaping miniature pieces of wood. It uses a solitary harvester blade that is positioned at a low angle in the frame in order to sanction better acerbic. Its benefit is that, it is obtainable in both modifiable and non-modifiable models. (Klassen & Menor, 2005) Modifiable planes usually feature steel screws that are frequently on the ending of the plane to facilitate differing of the cutter height. Nevertheless, some block planes have an adaptable mouth to differ fragment thickness. An extremely narrow mouth is best for excellent finishing, whilst a wider mouth permits quick stock elimination on less critical labor. (Naylor, 2002) 3.  Design a layout for the assembly operation (to include the fly press work) including the tasks to be performed at each part of the system Device tools direct the equipment to process materials so as to get the desired shapes. For that reason, they comprise the center of manufacturing systems and will give a comprehensible procedure for the selection and acquisition of woodworking equipment. An assessment and examination of the fundamentals of production system ought to be performed prior to selecting machine tools. It then follows that production system has a number of factors that influence equipment selection. Such considerations are connected to the concluding product, industrial unit size and locality, product forecast, layout, universal device parameters, and cost. (Mescon & Albert, 1981) Since Weldon Hand Tools decided to amass all planes at one of the company’s lesser factory sites where an entire workshop is unoccupied, lower equipment ranking ought to be selected in order to maintain capital investment low. These tools will execute adequately when processing gmelina lumber, which is comparable to yellow-pop-lar in machining properties. (Gaither, 1984)

Friday, August 30, 2019

Importance of College Education

Student Name: Student Identification Number: Course Number and Title: ENG110. 6. 3 Achieving Academic Excellence Assignment Number and Title: Writhing Assessment 5_06 Date of Submission: April 10, 2013 The importance of a college education to me will allow me grow professionally as well personally. Obtaining my degree will benefit me by helping me get the proper education to help further my career I chose in Human Resources. It will open a whole new world for me and allow me to grow. I can obtain my degree which is very important because I want to be financially stable and have a career in Human Resources.College will open doors and provide me with better opportunities than just having a high school diploma. Having a college degree for me would help me achieve what I want and where I want to go. That is to have a stable job and have a decent income coming in so I can live comfortable. One of my reasons for me to go back to college is my only son. He is thirteen now and I am hoping to get my degree before he graduates out of high school. I want him to have a positive role model to look up to. I want him to understand what a college education can provide to him if that’s the path he chooses after high school graduation.My lifelong goals sent me back to school so I can better my life and show my son what a college degree can take you. I’m hoping it will help me get a better job so that I will be able to provide for myself and my son. According to Mr. Scott Reed â€Å"with a definite, step-by-step – ah, what a difference it makes! You cannot fail, because each step carries you along to the next, like a track†. One can be more competitive in the growing job market. Having a college degree is going to help me pursue what I want and will help me grow personally and professionally.I chose to further my education at Ashworth because of the flexibility of taking classes online and being a full time mom and having a full time job, Ashworth made it possible to go back to school. In this day and age it’s hard to get a good paying job or having a career without obtaining a college education. By achieving a college degree I will have improved my chances of acquiring a great paying job in Human Resources. Bibliography Successstories. com 2011 http://www. successories. com/iquote/author/4072/scott-reed-quotes/1

Thursday, August 29, 2019

Two World Wars A Journey of Borden’s Fiction

Introduction The topic of Word War I literature and World War II literature is one that is extensively covered and researched by contemporary critics and scholars. However, the focus tends to be on literature of either one or the other war and not typically on any links between the two. The research that exists is largely centred on either gender or class in the literature, not about how a particular gender writes about a specific class. Therefore, a dissertation on Mary Borden’s focus on aristocracy in the two world wars will help fill a gap in research on war literature.1.1 Research ObjectiveMary Borden lived through and wrote extensively on both wars and this dissertation will establish and illustrate the evolution of Borden’s war consciousness and philosophies surrounding warfare and its impact on society. Borden’s narrative focus began as intensely personal and situated in the aristocratic world, which was familiar to her, but evolved between wars and had opened up and shifted in a more political direction by the end of World War II. In order to prove this and explore how the wars affected Borden’s writing, the dissertation will strive to answer the following questions: To what extent did Borden’s novels reflect the events of the two war eras How did Mary Borden valuate the aristocracy and why In what way was her opinion of the aristocracy influenced by the wars and her contemporary era as a whole What kinds of themes are adopted in the novels depending on whether they are pre-, during or post-war period and how much do they differ To what extent do Borden’s themes reflect the transitions in society and the changing roles of men and women that resulted from the two wars1.2. Proposed StructureThe proposed dissertation will be structured in five chapters set out around the following topics: Introduction – Sets out the biography of Mary Borden in broad strokes, introduces the research questions and aim set out above and explains the choice to focus on Borden’s novels and memoirs because they more directly show the influence of the war on Borden’s consciousness and is less restricted by the mandatory commentary on form that poetry elicits. Borden and World War I – Borden’s memoir will be the foundation that a discussion around her opinions of the aristocracy and its influence on the coming and effects of the war is built. Borden and World War II – Debates the new ideas introduced by Borden that were not present in her writing on the great war and uses her other memoir to again research how her life at this stage influenced the thinking in her writing. The impact of war on Borden’s literary consciousness – Establishes the reason Mary Borden should be read as a war novelist because of her evolving consciousness in her novels regarding the causes and effects of war on society. Conclusion – Mary Borden was very much a novelist shaped by the two word wars and her own heritage strongly influenced her thinking around the impact the war had on herself and society at large. By structuring the dissertation in this manner – with the writing from each war in separate chapters the clarity of the argument will benefit in that it is easier to draw upon separate sources and build comprehensive profiles of how Borden wrote about the two wars. Once such profiles have been established, the fourth chapter can use these as the foundation of empirical evidence upon which to base a coherent exploration of the evolution of Borden’s war consciousness in her writing. This chapter will provide the opportunity for the author’s analytical skillset to be proven. Literature Review2.1 Primary literatureThe two chapters on the world wars will use two of Borden’s memoirs as the foundation for arguing how Borden’s life influenced her work. The Forbidden Zone will be analysed for the chapter on World War I and Journey Down A Blind Alley will be used for World War II. Further, the chapter on WWI will centre upon three novels that present some of Borden’s central themes and a chronological scope of the war: The Romantic Woman is a story of aristocracy before the war, Sarah Defiant centres upon a love affair during the war and finally Jehova’s Day portrays England in the post-war period. Reference will also be made to Jericho Sands and A Woman With White Eyes. As Borden’s writing on war shifted in a more political direction around WWII, the analysis will not abide by a particular chronology in this chapter. The main texts are: You the Jury – setting the stage for the war and depicting it – The Hungry Leopard as a work containing Borden’s broader political and sociological points thoughts on the war era from 1937 to 54 and Margin of Error – a work concerned with colonialism and its role in the war. Other referenced works will include Catspaw and Passport for a Girl.2.2 Secondary sourcesThese will include a mixture of historical sources and literary criticism. Carol Acton’s theories set forth in Diverting the Gaze: The Unseen Text in Women’s War Writing will be used for some literary theory concerning women writing about war and the discussions on Borden’s life and memoirs will be substantially aided by Jane Conway’s – Borden’s biographer – work. Literary critics will include M. Higonnet, S. Ouditt,, F. Mort and T. Tate as they have all done substantial work concerning female writers of the war and their relationship to identity. Historical background will be works by B.A. Waites, M.L. Bush and B.W. Tuchman along with other sources yet to be identified. Methodology The approach will be independent analysis of the primary sources, using secondary sources primarily to argue against and some to support and provide background. Further sources will be identified by using Jane Conway’s the bibliographies of Conway and other sources already identified as well as web searches on databases such as JStor and Project Muse. Preliminary Bibliography4.1 Primary literatureBorden, M., 1929. The Forbidden Zone Borden, M., 1946. Journey Down A Blind Alley Borden, M., 1916. The Romantic Woman Borden, M., 1931. Sarah Defiant Borden, M., 1929. Jehova’s Day Borden, M., 1925. Jericho Sands Borden, M., 1930. A Woman With White Eyes Borden, M., 1952. You the Jury Borden, M. 1956. The Hungry Leopard Borden, M., 1954. Margin of Error Borden, M., 1950. Catspaw Borden, M., 1939. Passport for a Girl 4.2. Secondary sourcesGubar, S., Gilbert, S.M. â€Å"The Madwoman in the Attic.† New Haven: Yale University. Heilbrun, C.G., Higonnet, M.R., 1983 The Representation of women in fiction. Vol. 7. Johns Hopkins University Press. Higonnet, M.R., 1987. Behind the lines: Gender and the two world wars. New Haven: Yale University Press. MacKay, M., 2010. Modernism and World War II. Cambridge: Cambridge University Press. Mort, F., 2006. â€Å"Scandalous Events: Metropolitan Culture and Moral Change in Post-Second World War London.† Representations 93.1 (2006): 106-137. Ouditt, S., 1994. Fighting Forces, Writing Women: Identity and Ideology in the First World War. London: Routledge. Raitt, S., Tate, T., eds, 1997. Women’s fiction and the Great War. Oxford: Clarendon Press. Tate, T., 1998. Modernism, History and the First World War. Manchester: Manchester University Press.

Wednesday, August 28, 2019

Health care Essay Example | Topics and Well Written Essays - 750 words - 1

Health care - Essay Example The judge declared parts of Affordable Health Care Act inconsistent with the intentions of the constitution which guarantees all citizens the right to choose, therefore, according to the judge, the act was unconstitutional. In his ruling, Federal Judge Henry Hudson hinged his judgment on whether the government the mandate to force every individual citizen to purchase health insurance. Based on this opinion, the federal judge rejected the government's argument that to purchase health insurance was a form of tax. The judge noted that in putting in place the Affordable Health Care Act, the act’s regulatory scheme was conceived as an application of Commerce Clause powers. The federal judge rejected any attempt to stretch the Commerce Clause in order to allow the government mandate the insurance purchases, claiming that such a move would open the gate to unrestrained federal power. For the federal government’s penalty due to noncompliance to be effective under the law, the j udge opines that it must aim to affect a legitimate exercise of the Commerce Clause. Further, Federal Judge Henry Hudson sees the Affordable Health Care Act being about more that the issue of designing a scheme of universal health insurance coverage or regulation of insurance business. According to the judge, the core of the matter is an individual's right to choose to take part in the scheme. Support his stand, the federal judge notes that the Constitution had given congress specific powers. Therefore, the judge claims that power that the constitution does not give the federal government is reserved to the states while those not outlawed are reserved to the citizens. Even as Federal Judge Henry Hudson declared the Affordable Health Care Act unconstitutional, Judge George Caram Steeh found the act constitutional in the ruling of the Thomas More Law Center v. Obama case in which the judge gave an order denying plaintiff’s motion. In his opinion, Judge Steeh noted that a refusa l to get insurance amounted to an example of an activity that affect interstate commerce to a large extend. According to the judge, those who selects not to get insurance cover have in effect, made an active decision to pay for their medical expenses from their pockets. This decision, the judge added, had an impact on taxpayers, health care providers, and the insured citizens who will have to foot the bill for those who do not take insurance cover. Further, Judge Steeh claim although the matter on constitutionality of the Affordable Health Care Act presented an issue of first impression, there was a rational ground to make conclusions that decisions not to take insurance cover increased the cost of coverage, therefore affecting interstate commerce. From the point of views presented by Federal Judge Henry Hudson and judge Steeh, it is my opinion that Federal Judge Henry Hudson presents a better argument. The government should recognize its citizen’s right of choice. To penaliz e those that do not take the insurance cover is paramount to dictating to them the kind of medicine they should take when they get sick. People have the right to decide the kind of treatment they need and at what time. Although it is a noble effort that would guarantee medical service to many deserving citizens, the federal government, through the Affordable Health Care Act has no legal right to force citizens to take medical cover. If the

Tuesday, August 27, 2019

My Philosophy of Nursing Essay Example | Topics and Well Written Essays - 750 words

My Philosophy of Nursing - Essay Example One's philosophy in nursing embodies the concepts of holistic nursing where addressing the illness of a patient includes integrating not only medical interventions, but also other facets that are evidently needed by the patient: emotional stability, and improving social interaction, as required. One acknowledges that the nursing profession that focuses on the holistic nursing approach should continue to grow through learning updates and be involved in the continuous pursuit of higher education. The outlook on the profession remains optimistic as noted: â€Å"employment of registered nurses is expected to grow 26 percent from 2010 to 2020, faster than the average for all occupations. Growth will occur primarily because of technological advancements; an increased emphasis on preventative care; and the large, aging baby-boomer population who will demand more healthcare services as they live longer and more active lives†. The current discourse has successfully identified oneâ€⠄¢s personal philosophy in nursing as being able to provide direct and holistic patient care that ensures all facets of a patient’s illness is duly addressed through according to the comprehensive improvement of the well-being of the patient. The rationale and approaches were taken to develop this particular mindset and philosophy were presented. The vast opportunities for growth, in conjunction with a dynamic and multi-faceted approach to learning and practicing what one learned provides effective opportunities to be an instrumental.... It is at that moment that one was confirmed that nursing is the profession for me. Likewise, it is also then that one’s philosophy on holistic nursing started to evolve. The American Holistic Nursing Association (AHNA) defines holistic nursing as â€Å"â€Å"all nursing practice that has healing the whole person as its goal† (American Holistic Nurses’ Association, 1998, Description of Holistic Nursing). Holistic nursing is a specialty practice that draws on nursing knowledge, theories, expertise and intuition to guide nurses in becoming therapeutic partners with people in their care. This practice recognizes the totality of the human being – the interconnectedness of body, mind, emotion, spirit, social/cultural, relationship, context, and environment† (American Holistic Nursing Association, 2012, par. 1). One’s philosophy in nursing embodies the concepts of holistic nursing where addressing the illness of a patient includes integrating not on ly medical interventions, but also other facets that are evidently needed by the patient: emotional stability, spiritual counselling, and improving social interaction, as required. Approaches in Developing Nursing Philosophy The basic theoretical framework learned through course modules in nursing assisted in enhancing one’s knowledge on the profession. Courses in health promotion and maintenance, promotive and preventive nursing care, curative and rehabilitative management, continuation of care for patients with specific problems, and nursing management and leadership, among others are instrumental in providing the academic foundation. Immersion to actual nursing practice and direct access to patient care through various health care settings further acknowledged one’s firm

Exploring the Metta Sutta Essay Example | Topics and Well Written Essays - 500 words

Exploring the Metta Sutta - Essay Example This is exemplified in the lines "This is what should be done by those who are skilled in goodness and who know the path of peace; Let them be able and upright, straightforward and gentle in speech. Humble and not conceited, contented and easily satisfied. Unburdened with duties and frugal in their ways. Peaceful and calm, and wise and skillful, not proud and demanding in nature." (Discourse On Loving-Kindness, n.d.). Also, the Metta Sutta develops towards the specific acts of goodness one should involve oneself in such as not going against the law. The fact that human beings are also emotional beings highly influenced by feelings in choosing a course of action, the law is an important guiding factor to successfully achieve peace and order in society. And as Buddhism accepts the idea of suffering which is inevitable in our society, the word "wise" in the lines "Let them not do the slightest thing that the wise would later reprove. Wishing: in gladness and in safety, may all beings be at ease,† for me, pertains to lawmakers who should be discerning in governing people and leading them to a better life so as to be able to avoid suffering (Discourse On Loving-Kindness, n.d.). After establishing ones responsibility to honing a peaceful society, it then likens the love and care people that people in position, people who are stronger, & richer should have towards those who are less fortunate to a mothers, which never fails, unconditional, forgiving, and enduring. This is being encompassed in these verses, "May all beings be at ease! Let none deceive another, or despise any being in any state. Let none through anger or ill-will wish harm upon another. Even as a mother protects with her life, her child, her only child, so with a boundless heart, should one cherish all living beings; radiating kindness over the entire world. Spreading upwards to the skies, and downwards to the

Monday, August 26, 2019

Admission essay Example | Topics and Well Written Essays - 500 words - 8

Admission - Essay Example As a certified interpreter of the Saudi Sign Language who worked in various government and private institutions, I have had the opportunity to represent my country at various conferences concentrating on the field of Special Education in the past. This was an opportunity that presented itself to me while I was also training in other Sign Language specializations both in and outside of my country. These training and representative stints allowed me to take on the position of Director of the Deaf Club in Riyadh from 2002 -2004. Aside from my aforementioned accomplishments, I also worked as a Lecturer at the Salman Bin Abdulaziz University in the schools Special Education Department as well as a teacher for the deaf at the Saudi Ministry of Education for more than eleven years. It was only 2 years ago, in the year 2011 to be exact. When I decided to pursue higher academic training in relation to my job description in Saudi. I realized that my work demanded that I achieve a higher level of both Special Education and English language training in order for me to competently accomplish my tasks. it was this need for advanced language training that led me to enroll first at the English Language Institute of Lamar University during the fall semester of 2011. I continue to attend language classes at Lamar alongside 2 additional classes related to the study of the American Sign Language. I completed my studies in ASL1 and 2 at Lamar University as well. I have an ardent desire to attend your university for my graduate studies because of your world renowned expertise in the field of Special Education. With the unparalleled training and mentoring that I stand to gain by attending your university program, I will be able to return to my country armed with the most up to date knowledge and skills in the field of Special Education. I would like to thank you for the time that you have taken to consider my application for

Sunday, August 25, 2019

Analysis of Story Of The Three LIttle Bears by Eleanor Mure Essay

Analysis of Story Of The Three LIttle Bears by Eleanor Mure - Essay Example After reading the short story, I could feel no gratification at all, especially since the ending is quite unusual. Unlike in most children’s stories that have a happy ending or a lesson, the significant lesson to be learned from the story is not quite clear to me, and I think this would be the case for children who would read this too. It implies punishment for people who do not respect other people’s property. For me, this would not be effective. Rewards would be more appealing in teaching children. Perhaps one of the lessons that the author tries to teach here is that of moderation. Goldilocks finds herself choosing the middle path. She likes the porridge that is not too warm nor too cold; she chooses the chair that is not too hard nor too soft; and she prefers the bed that does not have too much space above her head or below her feet. Yet, if this lesson is indeed the intention of this story, then it is not clear as no obvious rewards are given for her actions. On the contrary, punishment is implied for Goldilocks at the end of the story. It troubles me that the words â€Å"she broke her neck† were used at the end to imply punishment for her rude and disrespectful behavior. But then again, whether or not she was indeed punished is left for the reader to guess, as there was no trace of her and the bears never saw her again. I find this quite troubling, since it makes me wonder what the point of the story really is. There is no clear reward or punishment for the actions that Goldilocks did, and thus, whatever the lesson this story is supposed to teach children is not reinforced. During the course of the story, I felt a sense of hope that it would end up great. Since the bears were polite and good-natured, I was hoping that they would forgive Goldilocks for what she did. Yet when it reached the end, Goldilocks simply ran away. The story leaves the reader hanging, and not pleasantly at that. Digging deeper than just reading the short story on the book, I

Saturday, August 24, 2019

Animals as Friends, not Scientific Experiments Essay

Animals as Friends, not Scientific Experiments - Essay Example As argued by philosopher David DeGrazia (1996), â€Å"The path to the ethical treatment of animals runs through their minds† (p. 76). His argument stress the value of taking into consideration animals’ mental being, such as their self-consciousness, intelligence, recognition, and ability to feel pleasure and pain, in evaluating the ethical implications of animal experimentation. If the wellbeing of animals rests in his/her emotions, and if such emotions are the mechanism of the mind, then all genuine moral debate over animal welfare should one way or another consider what is in the minds of these animals. DeGrazia (1996) argues, â€Å"What sorts of mental capacities we attribute to animals have a great deal to do with how we think they should be treated† (p.1). The argument of DeGrazia is compelling because it poses crucial and interconnected issues. First, is there truly a difference between the physical and the mental in animal welfare? Are hunger and pain, whi ch are primary concerns of animal welfare, truly associated with the minds of animals? Or are these welfare concerns physical, or a union of the mental and the physical? This paper begins with Albert Schweitzer’s perspective of animal welfare that does not depend on evaluating the mental capabilities of animals, to identify his contribution to the resolution of certain cases of animal experimentation. Albert Schweitzer suggested respect for life as a guideline for interacting with and relating to our environment. According to Schweitzer, an ethical man â€Å"does not ask how far this or that life deserves sympathy as valuable in itself, nor how far it is capable of feeling. To him life as such is sacred. He shatters no ice crystals that sparkles in the sun, tears no leaf from its tress, breaks off no flower, and is careful not to crush any insect as he walks† (Carbone 2004, 48). This statement is inspiring, but does it contribute to the resolution of the issue on how a nd when to research or test on animals? Could the ‘ethical man’ ethically inflict pain on animals for scientific research? Evidently, Schweitzer says yes to the latter question because he is not a critic of animal experimentation. He argues (Carbone 2004, 48): Those who experiment upon animals by surgery and drugs, or inoculate them with diseases in order to be able to help mankind by the results obtained, should never quiet their consciences with the conviction that their cruel action may in general have a worthy purpose. In every single instance they must consider whether it is really necessary to demand of an animal this sacrifice for men. And they must take anxious care that the pain be mitigated as much as possible. He proposed that life should be respected and valued, irrespective of its position on any human hierarchy. However, he acknowledged the special need to draw a line between when to save a life and give up another, but gave practically no instruction for these decisions. By placing his entire focus on the ethical man’s attributes instead on those to whom this ‘ethical man’ should pay moral attention to Schweitzer contributes insignificantly to the cases of animal welfare. Science and technology have their limitations and cannot resolve the ethical issues entrenched in nearly all animal welfare discussions. For example, not every suffering or pain can be presently cured with medicines. What degree of pain requires stopping a scientific resear

Friday, August 23, 2019

Subject Decision Theory (US MBA course) Essay Example | Topics and Well Written Essays - 1000 words

Subject Decision Theory (US MBA course) - Essay Example Steve put in all his efforts into the running of the business and managed to make it very successful, so much so that by 1980 the total annual sales went up to more than $2 million. However, after that the company underwent a turn. Steve's son, Jim, joined Blake Electronics in 1984 as a general sales manager. He had completed high school and had obtained a two year course degree in electronics. Jim was said to be quite aggressive and this quality in him did not change after he joined his father's company. In fact, his aggressiveness increased. This led to him making deals with companies which the Blake Electronics was not able to complete. Jim would take contracts to provide the supplies to companies without checking out whether Blake Electronics could manage to fulfil the deal. Due to this Blake Electronics had to face certain embarrassing situations. Still, there was not much harm done yet. By 1988 Jim had started taking government contracts too and two years after that the total sales mounted to greater than $10 million. After that the Company lost the chance of obtaining any more contracts. Jim continued with his behaviour and that led to the government not offering any more contracts to Blake Electronics. This also made the Company lose its reputation and it was termed as an unreliable supplier. Thus, by 1997 there was a great risk of Blake Electronics facing losses. To avoid ... For this he asked the research team of his company to design novel electronic gadgets for home use. The research team came up with the Master Control Center. This was to be sold for $250. The functioning of the device was such that it had two rows of five buttons and each button operated as a switch or a rheostat, depending on what you want. It was powered by two D-sized batteries which lasted till a year or so, depending on how much it is used. According to the research team, this project would cost them $500,000 and if it turned out to be successful, it could bag up to $2 million of sales. Therefore, it surely did sound attractive. However, the problem was that Steve was unsure as to whether this venture would succeed and whether his company would get profits or would lose through this project. In order to solve this problem Steve sent requests for proposals so as to conduct marketing research. Total he sent 30 proposals to business operating in southern California. First of all Marketing Associates, Inc. (MAI) responded. They had offered to charge $100,00 for a survey and according to the information they gave, that company had been operating since three years and were quite a successful business. The second and the last proposal that Steve got was from Iverstine and Kinard. This company had a very good reputation throughout the company and was termed as the largest marketing firm in the region. They were going to charge Steve $500,000 for the survey. Although the cost was higher than of the previous company, Iverstin and Kinard were more able to predict about the sales. This company also did not have as good a record as that of Marketing Associates. However, the fact that they could better be able to make predictions about the Blake

Thursday, August 22, 2019

Type of Business, Purpose, Ownership and Influence Essay Example for Free

Type of Business, Purpose, Ownership and Influence Essay Describe the type of business, purpose and ownership of contrasting organisations. TESCO PLC Tesco plc. (Public limited company) is a global grocery and general merchandise retailer, headquartered in Cheshunt in the United Kingdom. Tesco is the third largest retailer in the world, measured by revenues and the second largest, measured by profit. Tesco has around 5380 stores around the world; David Reid is the chairman and Philip Clarke. Most of the people think that Tesco is an international business however; Tesco is defined as a global business because as mentioned before, it has a large number of stores in 14 countries across Asia, Europe and North America. Tesco is in the tertiary sector and is the leader grocery market leader in the UK; it has a market share of 30%. It also is the market leader in Malaysia, Republic of Ireland and Thailand. Tesco’s ownership is based in a lot of shareholders. Dagenham Park Leisure Centre Dagenham Park Leisure Centre is a public organisation, which means that is own by the government, in this case Barking Dagenham council. As we can see from the name it is located in Dagenham and it’s a local organisation and is part of the tertiary sector. The main purpose of this organisation is to offer the local community facilities such as a fitness suite, a dance studio, a meeting room, a sports hall, a climbing wall and much more facilities so people can practice different types of sports, dance and even hire rooms to organise meetings. . Describe the different stakeholders who influence the purpose of these contrasting organisations. TESCO PLC In Tesco we can identify different stakeholders such as investors/shareholders (owners), customers, employees, suppliers and financiers. Investors/shareholders are very important stakeholders in Tesco as they are the owners and will obviously want it to do well because otherwise they will not make a profit. Without investors/shar eholders there wouldn’t be any funds, so Tesco would be able to carry on as a business. Also if Tesco isn’t making profit, the investors/shareholders will have to sell their shares and invest in other business that will give them profit; with this, Tesco’s shares could decrease and if they decrease a lot, Tesco could go bankrupt and this would be bad for everyone, customers, employees, suppliers and financiers. The customers are also very important. Tesco like most businesses need their customers because they are the businesses income as the customers are the people who buy Tesco’s products. The customers are a bit like a pressure group because they apply pressure to Tesco to meet their needs. Meeting the customer’s needs can be things such as expanding their stores or giving more variety on certain products. Basically, a customer wants quality goods at a low cost. They would also want a variety of products to choose from and it is Tesco responsibility to provide them what they want otherwise if Tesco doesn’t respond to the customers’ needs in a positive way, Tesco might lose their customers and this will prejudice the business and the shareholders won’t be very happy with this. The employees are the people who Tesco pays to provide service. Tesco need to provide their employees with good working conditions, reasonable hours and treat them fairly because otherwise the employee’s will not be happy at their job which could lead to them resigning. If Tesco employees start resigning for negative reasons then word could spread that Tesco have bad working conditions and that employees of Tesco are not treated fairly meaning Tesco may find it hard to find skilled staff. Suppliers are important to Tesco because they supply Tesco with the goods to sell. The suppliers will want good money for the goods they supply to Tesco; this is the reason why suppliers will have an interest in Tesco because they will want their products to sell well. If particular products don’t sell well in the Tesco stores Tesco might decide that it is not beneficial to them to buy these items any more resulting in the suppliers not making any profits. Financers such as are important because they lend money to Tesco to make there expansion of the business possible. By expanding the stores more interest in Tesco is created. By doing this, more customers will shop there when the expansion is completed meaning Tesco will make more profits. Dagenham Park Leisure Centre The local community will have a huge impact, because if there aren’t any individuals paying for using the facilities, there won’t be any profit for the business, so they have to provide good service and quality facilities so the community will be satisfied, the other reason why the local community is mportant is because the leisure centre was aimed for them, so if they don’t make use of it, the purpose of the organisation won’t be accomplished. The employees are very important, because the management in Leisure Centre is vital. The employees will get paid to provide services of all types (laundries, dance teaching, personal trainers, managers, etc. ). They also have to be provided will good working conditions, so they will be satisfied, otherwise they will resign and it will prejudice the Leisure Centre as there won’t be anyone to provide services to the community. Barking Dagenham council is a very important stakeholder, as they are part of the government they are funding the Leisure Centre and they will want that the Leisure Centre makes good profit and provides good service for the community. If it is the other way around, the Council might reduce facilities or even close the Leisure Centre due to the costs and if it happens it will affect the community as they will lose the facilities the Leisure Centre was providing and will also affect the employees as they will lose their jobs and become unemployed . Suppliers are important to the Leisure Centre because they supply the Leisure Centre with the goods for the restaurant and not only. The suppliers will want good money for the goods they supply; this is the reason why suppliers will have an interest in Leisure Centre because they will want their products to sell well, so they can keep selling their products to the Leisure Centre. If particular products don’t sell well, Leisure Centre might decide that it is not beneficial to them to buy these items any more resulting in the suppliers not making any profits. Trade unions might have an impact of a Leisure Centre. Many employees in the public sector belong to Trade Unions, so if the Government tries to fire an employee that belongs to a Trade Union, the Trade Union might get involved and it might even go to court, this can influence that the Government keeps their employees for longer.

Wednesday, August 21, 2019

Impact of a major change at Blacks Essay Example for Free

Impact of a major change at Blacks Essay As I also stated in my introduction there have been many changes at Blacks recently in the last few months. Blacks are a fairly new business but have already become on of the UKs leading suppliers of outdoor gear. Since opening they have generated high revenue and have been highly profitable every year. Every year Blacks beats the previous year in sales which shows that their market share is also increasing. As Blacks looked at their financial status at the beginning of the year and looked at their objectives there was suddenly an opportunity in the market. Competitor called Outdoors, who supply similar products to Blacks for camping was in financial crisis. The only way for Blacks to increase their market share is to close in on competitors. Blacks saw their opportunity and starting buying Outdoors shares. Before buying shares though Blacks approached Outdoors and asked if they would be willing to comply with a friendly take over, but they rejected hoping that there financial crisis would be resolved. It soon became obvious that they were in too much debt so Blacks seized their opportunity and bought them out. A hostile takeover was imposed and there was nothing the firm could do. They tried to resist the takeover bid but could not manage the finances. The board of directors did their best to ensure shareholders that their interests would be best protected with the current board but many fled They are now in the process of changing these stores into Blacks stores. The implication of this change has had a big effect on both Blacks employees and Outdoors employees. There were feelings of fear as to what will happen with so many job that and who would work in the new stores. In order to show compassion to the existing workers of Outdoors it was decided that they were going to keep the majority of workers and only make a few redundant that had little product knowledge or were just simply not needed. However the staffs were assured that changes would be made in the culture so as to meet the required level of customer service that Blacks offer. This caused some unrest as they resisted to changes Due to workers being let go some rumours got around through to Blacks stores that existing Blacks employees may have been dropped. However it was just a rumour that fizzled out and started with no real reliable source. This was one main change that happened at Blacks. Another was the change of manager at the beginning of the year. As I have already stated the change in manager has not been the best to date. The new manger has adopted an autocratic style of management. This leaves no space for ideas to be shared or any participation in decision making. As a result of this many workers were threatening to leave as before the manger had come we were constantly making bonus by reaching our targets. Since he came though, we have not been able to make target because the workers are de-motivated. Ways of handling Resistance to Change The new changes at Blacks have affected the natural order of things at the workplace, for example, new working practices will be introduced, staff have been made redundant and some staff may be re-located to new stores. This in itself will lead a natural resistance to change, so the question is: how should managers handle this resistance to change? I will propose six easy steps: 1. Managers should keep workers informed at each stage as to what is going to happen. This can be done by having: -regular staff meetings -regular discussions -issue bulletins -team briefings 2. Managers need to involve workers in the decision making process. This way it helps them to feel a part of the organisation 3. Take steps to avoid rumours spreading and misinformation circulating within and outside the company 4. Set up works council where worker representatives can meet with senior management and discuss issues pertaining to the future of the business 5. Invest in training to enable workers to cope with change, also offer counselling to the workers who may need to be made redundant 6. Review the organisational culture to ensure it fits with the future plans for the business

Tuesday, August 20, 2019

Economic Factors Affecting UK Non League Football Clubs

Economic Factors Affecting UK Non League Football Clubs An investigation of the economic factors affecting the commercial success and sustainability of UK non league football clubs Introduction Football clubs are traditionally not the strongest or most profitable businesses. This is supported by Deloitte’s (2007) annual report into the state of football finance, which stated that, outside of the Premier League, UK football as an industry recorded a net operating loss. Even in the Premier League, where clubs benefit from higher levels of sponsorship, media exposure and TV revenues, four clubs posted an operating loss in the 2005 / 2006 season. This implies that, the lower the division a club is in, the harder it is for them to survive and become commercially sustainable, let alone successful. Indeed, there is an argument that many football clubs will not survive without some form of outside financial support, such as a rich benefactor or owner. However, with increasing pressure from fans to spend money on securing the best players and challenging for success, whilst not increasing ticket prices to cover any additional expenditure, many wealthy businessmen, and even mu lti millionaires, are finding that bankrolling a football club is beyond their means. This is reflected in the view of Henk Potts, a strategist at Barclays who claims that â€Å"Any business model that revolves around 11 overpaid players kicking a piece of dead cow around on a wet November evening is no place to put your money† (Tomlinson, 2004). Issues such as these are exacerbated at the non league level. Not only must non league clubs put up with similar demands for success, but they often find themselves within the catchment area of a league, or even Premier League, club. In addition, with the rise of cable and satellite television, many people who would have previously watched their local non league teams on a regular basis can now choose to watch a variety of league matches from the comfort of their own home. This has put downward pressure on attendances for a number of non league clubs, making it even harder for them to survive and succeed. Ashford Town is a prime example of such a struggling club. As can be seen from the six years of accounts in the appendix, Ashford Town’s level of debt has increased from less than  £40,000 at the end of 2002 to more than  £90,000 at the end of 2007. In the same period, the club’s losses, and hence net worth, has fallen to - £70,000, with the club posting a net lo ss in every single one of the last six years. Attempting to address issues such as these is something which has been the subject of significant amounts of research and discussion over the past few decades. As such, this dissertation will not attempt to reach a solution to all of the numerous issues affecting the modern UK football industry. Instead, it will attempt to determine the extent to which contemporary management theories and techniques can be used by non league football clubs aiming to improve their sustainability. This aspect has been chosen because, in spite of the significant amount of research carried out into the sustainability of football as a business model, there has been little attention paid to smaller non league clubs. As such, the initial investigation will entail a detailed and structured review of the existing literature, around how the commercialisation of football has developed and what useful lessons this can provide. This will be followed up by a questionnaire survey of ten non league football clubs, i ncluding Ashford Town, to determine the extent to which they have followed contemporary business practices, and the extent to which said practices have aided their commercial sustainability. Finally, the results of these investigations will be used to attempt to put together a business plan for Ashford Town, in an attempt to demonstrate how the club may be able to turn its current, loss making, performance around. Aim and objectives As discussed above, the main aim of this dissertation will be to carry out an investigation of the economic factors which impact on the commercial success and sustainability of non league football clubs in the UK, and how contemporary management theories may be able to assist in boosting said success. In order to achieve this, it will be necessary to examine how football has developed as a commercial enterprise, and how this has impacted on the divisions of revenue and profits within the industry. As part of this, it would be useful to analyse the main revenue streams of football clubs, as well as the main parts of their cost base, and how these can best be managed. One of the main sources of revenue for most clubs will likely be gate receipts, however many clubs will likely make a significant amount of revenue from marketing, commercial activities, and sponsorship, particularly in the upper leagues where commercial opportunities are likely to be larger. However, it is expected that commercial and marketing opportunities will also exist in the lower leagues, and even for non league sides. As such, this piece will also investigate the extent to which non league teams take advantage of these opportunities, as well as the need to control for factors such as on pitch performance and success, with the associated potential prize money and increased takings. The following objectives will be addressed as part of this study: To assess the factors which underlie the commercial success of football clubs, and hence also the factors which could lead to clubs going into administration, and potentially ceasing to exist. To examine some of the most successful football clubs and football business practices in the UK, and identify how these clubs and practices can contribute to maintaining commercial sustainability. To examine the extent to which contemporary models of business organisation and competitive strategy are relevant to football clubs. To identify and analyse the role broader business opportunities can play in increasing the stability of football clubs. To identify areas of financial savings and cost efficiency which can be used by football clubs without adversely affecting their on pitch performance. It is expected that, in answering these objectives through the literature and primary research, sufficient insight will be obtained to allow the formulation of conclusions and recommendations for non league football clubs wishing to boost their income, or control their costs. These conclusions and recommendations will be used to analyse the commercial business potential of Ashford Town, as a key example of a struggling non league football club. As such, part of the final report will include recommendations for inclusion into sustainable business plans detailing how the club can learn from other clubs, and economic and management theories, to ensure future economic stability. Ideally, in addressing the various objectives above, and looking at the ongoing performance of Ashford Town, it should be possible to gain an understanding of the critical factors which can affect the commercial sustainability of the football club. As such, the findings can then be applied to Ashford Town, helpin g to contribute to the recommendations around the formation of a sustainable business plan. Methodology Research is defined as the collection of data in order to answer research questions or address research objectives. As this obviously presents a significant range of potential data to collect, and numerous ways to collect it, there are various defined theoretical approaches, the most important of which will be assessed in this section. These are: action research, surveys, case studies, experimentation, grounded theory and ethnography (Saunders et al, 2007). The first of these, action research, involves researchers actively collaborating and working with practitioners in their chosen field in order to investigate a well defined issue or problem, with the aim of finding practical solutions to said issue. As such, action research is a highly involved research methodology, which enables researchers to examine an issue in significant depth, investigating the root causes and creating detailed cause and effect chains. However, it can cause the researcher to have too narrow a focus when exam ining the problem, leading them to ignore contributing factors from outside their field of study. Indeed, in a study such as this one, where the aim is to determine what the factors affecting football club commercial success are, action research is likely to be unsuitable. Surveys, on the other hand, are more often used for descriptive and exploratory research, as they enable the researcher to cover a wide scope and thus make recommendations for future research and study. In addition, surveys allow researchers to collect significant amounts of both qualitative and quantitative data, thus supporting a broad range of qualitative and quantitative analysis techniques. This is because surveys can include questionnaires and various types of interviews. Of course, the counter to this is that the broad reach of surveys makes it hard for researchers to gain much depth to their research, and surveys are unlikely to reveal the root causes of the phenomena they observe. Case studies represent something of a middle ground, combining the best aspects of action research and surveys, and thus allowing for both depth and breadth to be obtained. This is because they carry out research at a distance from an organisation, thus avoiding the researcher becoming too involved with the organisation, and developing a narrow view. However, the attempt to achieve both depth and breadth means that the research will not actually achieve full depth or full breadth, rather it will fall somewhere in between (Saunders et al, 2007). The other three approaches, experimentation, grounded theory and ethnography, do not actually refer to the collection of data, but to the methods used to observe and categorise said data. Of these, experimentation is based on setting up specific scenarios, in order to determine how said scenarios occur, and then compare the results to theoretical predictions. As part of this, certain external factors can be controlled, whilst others are allowed to vary, hence making it easier to observe and categorise certain factors as either causative or non causative, and also to rank the impact of each factor. Unfortunately, such experiments are often difficult to set up, particularly when attempting to observe large and complicated phenomena. In addition, there is an argument that the level of control implied in experimentation creates unrealistic environments, within which individuals do not behave as they do when not being observed or where nothing is controlled (Saunders et al, 2007). In cont rast, grounded theory focuses on observing scenarios naturally, observing what the factors are affecting said scenario, and attempting to use theoretical perspectives to explain what occurs. These theoretical perspectives are then tested against other scenarios, and refined until they describe the behaviour of the phenomenon as well as possible. Finally, ethnography is more inductive, and involves simply observed the phenomenon, looking at the factors which have combined to cause it, and attempting to decide which key factors and behaviours have caused the phenomenon to behave as it did. In contrast to grounded theory, ethnography does not attempt to objectively define the various factors and theoretical models affecting an observed phenomenon. Instead, ethnography focused on the qualitative effects which both the factors and the individuals concerned have on a phenomenon, and also looks at the perceptions the actors have of the key causal factors (Saunders et al, 2007). In this case, because this dissertation is attempting to analyse a more general phenomenon,: the factors affecting the commercial success of football clubs, a broad research perspective should be taken. As such, this piece will use a survey, to help frame and investigate said factors, as well as using a limited case study of Ashford Town, to examine the fact ors which specifically impact on this club. Ethnography will be used as a guiding principle when analysing the results and attempting to determine which factors are most important to non league football clubs. This is because football clubs are not renowned for their use of specific management theory and techniques, and hence any attempt to directly fit their behaviour to the theory would likely harm the relevance of the results to other clubs looking to make use of them. In addition, the nature of football, where success is defined by on pitch results rather than profitability, means that existing theory is unlikely to be an exact fit to the football context. As such, ethnography will be used to help explain the techniques used, and how these could fit to management theory and observations. The surveys themselves will include both a questionnaire and an interview with the club officials, either the club Secretary or Chairman, regarding the commercial realities confronting the club, as well as the existing financial situation including any handouts from wealthy club benefactors, loans, grants, and sponsorship. Unfortunately, details of the income and revenue streams are not available, and thus it is impossible to complete a full and detailed analysis of income streams and expenditure analysis, with the exception of those of Ashford Town. As such, the findings will be used to analyse the revenue and costs of Ashford Town, with the aim being to assist in assessing the clubs overall position; and whether it is under performing, or whether a business and financial saturation point has been reached. Given that only the financial accounts, and not the management accounts, of Ashford Town are available, detailed analysis of the revenue streams and costs will not be possible. As such, and as discussed above, the quality and depth of data is likely to limit the extent to which specific recommendations can be made. In addition, this dissertation will attempt to make use of both qualitative and quantitative data, as both of these types of data can make positive contributions to a study. Qualitative data methods aim to gather data which is difficult to represent in a numerical form. As such, qualitative data gathering tends to focus more on asking people their opinion around certain topics, as well as their perceptions of various factors. As such, qualitative data tends to be richer than its quantitative equivalent, although it is usually not as easy to analyse and represent it in graphical forms or through statistical analysis techniques. This is because qualitative data can help to explain why relationships occur between data, as well as helping to explain relationships that are not as unclear when examined from a quantitative point of view. In contrast, quantitative data collection methods tend to based on simply gathering and analysing quantitative observations and data, or data which can be represented in a numerical form. This is usually achieved through actually observing quantifiable phenomena, such as the profits made by football clubs or the number of clubs going into administration. However, it can also be gathered by asking individuals to assess qualitative factors from a quantitative point of view, such as by asking them to rank factors on a Likert scale, like the importance of their sources of income (Saunders et al, 2007). As a result, whilst this piece will look to use some quantitative data, the primary research and data analysis will be performed via qualitative data, analysis, and interpretation. As a consequence of the above discussion, this dissertation will use one main method of primary data collection, and one secondary method, to address the research questions. This will thus help increase the value of the dissertation, by providing more depth and insight to the analysis, as well as allowing triangulation with the results from the literature review, which will increase the validity of any conclusions and recommendations (Saunders et al, 2007). The main method of primary data collection will be the questionnaire survey of ten non league football clubs. This data will be used to assess the various factors impacting on these clubs, and their relative importance, as well as looking at the key income streams and costs incurred by the various clubs. As such, this data will be both qualitative and quantitative, and will act as the survey part of the methodology. The secondary set of primary data will be obtained from the financial accounts of Ashford Town, which will be provid ed. Whilst these accounts are not likely to be very detailed, they will help add depth to the study, and will demonstrate the actual financial situation the club is in as well as help contextualise the possible additional revenue streams the club is able to generate. As such, this section will represent the case study part of the study, whilst being driven and directed by the results of the survey discussed above. This will enable the provision of additional depth, through an in depth look at the actual accounts of a non league football club. This will help provide the ideal balance of breadth and depth. In addition, the collection of data from two distinct sources, the internal survey of staff and the financial results intended for external use, will help create a more accurate and independent triangulation between the various results, as well as a better analysis of the factors underlying them. This cross sectional data collection and analysis is critical in facilitating the use of both quantitative and qualitative analysis, as discussed above, and will help to further increase the value and the academic impact of this dissertation. However, given that commercial sustainability is not a concept which can be easily described through simple quantitative data, the qualitative part of the report is likely to be more important when attempting to determine the factors which underlie the commercial success and sustainability of non league football clubs. Regarding the sample size, it was necessary to find a balance between the need to have a large sample size, and the need to maintain a manageable quantity of data, as well as to fit all of the data collection and analysis in what is a very short period of time. As such, it was decided to collect data from just ten selected non league football clubs. These clubs are Ashford Town FC, Bromley FC, Burscough FC, Chatham Town FC, Corinthians FC, Croydon Athletic FC, Dartford FC, Ebbsfleet United FC, Whitstable FC and AFC Wim. These clubs have been selected as they were most responsive to initial attempts to contact them, and are also within reasonably close geographic proximity thus making the collection of data somewhat simpler. As such, they also represent teams from a fairly close geographic area, and thus should be affected by similar factors and economic effects. When carrying out questionnaires with the clubs, no club requested complete anonymity, and indeed all expresses an interest in seeing the final results of the study to see if it would be of use to them in determining how to best improve their business performance and sustainability. As each questionnaire is relatively straightforward, it was decided to only use one questionnaire for each club, to keep the data set simple and consistent. In order to analyse the qualitative data which is produced from the surveys, it will be necessary to use a research strategy to interpret and validate the data. Positivism has been selected as the research strategy for this piece because, of the four main research philosophies, or paradigms, which can be used to guide and interpret qualitative research, positivism is the one which is most concerned with the facts, rather than the impressions arising from the research (Saunders et al, 2007). This makes positivism ideal for analysing the subject of health and safety in the oil industry, as this can be an emotive and important issue for many workers in the oil industry, as has been shown in the literature review. As such, it will be necessary to avoid forming impressions when carrying out the research, and particularly when analysing the results of the questionnaires. Positivism can help avoid such subjectivity by ensuring that the researcher takes a scientific approach to the research, and minimises the impact of impressions and judgements. Indeed, positivism is based in the original work of Comte, who argued that knowledge can only even be relative, and hence will always be affected by the method used to gather it (Sellars, 1939). This implies that any attempt to interpret the motivations of a respondent in a research project will be affected by the method of data collection, and thus will be blurred. As such, the researcher should concentrate solely on the observed facts, rather than attempting to contextualise or rationalise their observations. However, the main disadvantage of positivism is that, simply be observing or recording an event, such as someone’s views on health and safety, can tend to influence the motivations of the subject, and hence their responses. As a researcher using a positivist paradigm cannot speculate on any potential changes in motivation, this may mean that the actions observed will not be wholly consistent with the actual behaviour in the absence of observation. For example, if a senior manager at an oil company were asked their opinion about health and safety legislation, they may give a different answer to their true opinion of the subject, as they may feel that their public persona needs to be displayed in a certain way. This can hopefully be avoided, to a certain degree, in the questionnaires by not revealing the overall purpose of the survey; assuring the respondent of neutrality; and ensuring that the questionnaire is as neutral as possible. This is based on the argument that if the su bject is unaware of what their responses will be used for, they will be less likely to change their behaviour accordingly. Caldwell (1980) also argues that the face that positivism is based on observations, and not on the fundamental motivations behind said observations, means that it is incompatible with financial and economic viewpoints. This is because economics is based on the study of people’s motivations and decisions in situations where everyone is seen as either a buyer or supplier, and hence everyone acts according to a motivation. For example, when asked if they would prefer additional health and safety legislation, oil executives would naturally answer no, as the cost of compliance would decrease their profits. This occurs because the oil executive’s salary depends on their financial performance, hence they are motivated to avoid anything which may have a negative effect on said performance. Whilst this incompatibility and bias has not been empirically proven; Caldwell (1980, p. 53) argues that it has â€Å"been sufficiently robust to cause many contemporary analysts to turn to alternative approaches†. This implies that such factors need to be addressed when constructing the questionnaires, and that questions which will have an innate connection to, or dependence or, economic and financial factors should be avoided. This implies that, as discussed above, the financial impacts of the health and safety legislation will need to be studied as a secondary priority. Literature Review The history of professional football and commercialism Wray (1982) argues that the late nineteenth century, when significant riches were brought into the UK by the Industrial Revolution and during the Victorian era, was the start of true commercialisation of sport in the UK. This assessment is based on a study of the economics of the gate receipts taken by the football industry in Scotland between 1890 and 1914. This analysis showed that, not only were some entrepreneurs looking to profit from football by commercialising its, but others were looking to do so with the aim of winning more matches, tournaments and hence glory and status. Indeed, whilst the majority of the companies involving themselves in sports such as cycling and horse racing were simply looking to use the sport to create wealth for themselves and their shareholders, the majority of football clubs in Scotland were converted to business principles purely to enhance sporting success. As such, conventional profit and shareholder utility maximisation goals arguably applied mu ch more to other sports than to football, where supporter utility maximisation took precedence. However, Wray (1982) also claims that there was a significant focus on supporter and team utility in other team sports such as cricket, and this was again due to the motives behind the owners, directors and shareholders in many cricket teams. It appears that the British affinity with sports such as football and cricket meant that they developed with the aim of satisfying the fans, whilst the other sports, with less of a spectator following, developed more with the aim of providing financial returns. In addition, the drive towards commercialisation, and in an attempt to assure competitive success, Wilders (1976) reported that, in 1976, all the 92 clubs in the English League, except for Nottingham Forest, had become limited liability companies. This allowed the owners to spend large amounts of money; with no fear of debtors looking to their personal funds should the club fail to break even. In addition, of those companies, more than half the boards of directors held enough shares to make it virtually impossible for the other shareholders to outvote them on any matter. In particular, in 1967, Wilders (1976) reported that there were 22 clubs where the chairman and board of directors owned more than half of the shares; and a further 55 where the board of directors owned over 25 per cent of the shares. In addition to this, in more than a third of said clubs approval was required by the board of directors if anyone wished to sell their shares. As such, the distribution of shares change d very little as the game commercialised, and the clubs continued to be run for the benefit of the directors and chairman, with ordinary shareholders having very little say in the running of the clubs or the returns they earned on their investment. Sloan (1969) also argues that football’s commercial development was driven largely by the significant non financial advantages and disadvantages of being employed as a professional footballer. The main argument appears to be that playing football is a source of great enjoyment for a significant number of people, as witnessed by the thousands of amateur and non league sides which pay without any financial reward. As such, football tends to give players a degree of satisfaction which few other jobs provide, as well as potentially allowing the best players to become national celebrities, with associated additional income and exposure from activities such as writing books; commenting on other footballers performances; and advertising various products and services. In addition, during the initial development of the sport, clubs tended to provide players with houses let at below market rents, as well as giving them significant freedom outside of training and match days. In addition, the fact that the season only covers around nine months of the year, excluding internationals, means that players tend to have significant amounts of free time during the summer break, and even when training they often have several hours free each day. This is countered by the fact that players require a high degree of fitness, and will often need to be away from home for several nights if their schedule demands it. However, Sloan (1969) concludes that football seems to confer more advantages to players than disadvantages, which has helped to raise the profile of professional and semi professional football, and thus contribute to the number of players, and hence number of clubs, in the modern game (Sloan, 1969). This obviously places pressure on the market, with it being difficult and expensive for supporters to follow more than one club, hence making it difficult for smaller clubs to attract supporters. However, countering this is the fact that, since early on in the evolution of the English Football League, the transfer system acted to restrict the movement of labour, to an extent that is rarely seen in other industries. The rules of the transfer system state that any player who wishes to appear for a league club must be employed by that club, in the case of professional players, and must be registered with the Football League, as well as the English Football Association. As such, the only way a player may move between clubs is if both clubs and both ruling bodies approve the transfer. As such, this procedure requires both clubs, the player, the Football League and the FA to consent, effectively giving clubs monopolies over the services of their players for the duration of their fixed length contracts. This is a situation which would not be accepted in other industries, and has regularly been compared with trading slaves, with players often having very little say in where their clu b makes them move (BBC, 2008). Indeed, the fact that transfers almost always involve the payment of a fee by the club who the player is joining further enhances the slave trade connotations. As such, whereas most businesses would attempt to attract new employees by offering higher wages or better working conditions, football clubs are forced to offer high wages, better working conditions, and pay a large fee to the club from which they source the new player. Given that the fees have risen from  £1,000 in 1905,  £10,000 in 1928,  £100,000 in 1961, and into the tens of millions by the present day, it is clear that the increased demand for the best players is forcing clubs to devote ever more funds to transfer fees and wages, particularly when bidding against other clubs to secure the best players (Sloane, 1969). However, in spite of the multi million pound deals which they have been charged with sourcing and carrying out, Wilders (1976) reported that the majority of managers still tended not to have any form of formal training. Indeed, in Wilders’ (1976) survey of 28 English League managers, 16 managers claimed that they would have benefitted from some sort of business and financial course when carrying out their duties and developing their careers. Wilders (1976) claims that this is not the most surprising aspect, the most surprising aspect is that twelve of the managers surveyed believed that they did not need any formal training, and that their experience as a player would be sufficient to help them discharge their managerial responsibilities. However, this belief that playing experience alone provides sufficient training and skills for the demands of football management is arguably one of the reasons why so many clubs have failed to develop as businesses: the skills of professiona l footballers do not tend to include financial and business dealings, or the need to balance budgets. Indeed, the results of the survey indicated a general belief that the majority of football managers knew about the footballing side of their job, but generally knew very little about the need to manage the financial side of the business. As such, the general belief that the best footballers tend to make the best managers has not necessarily been borne out, with many of the best managers having been mediocre footballers at best. In fact, Wilder (1976) claims that the technical gifts needed to make a footballer can often hinder the effective management of clubs. The rise of commercialisation Whilst commercialisation has been a significant trend in the football industry in the UK for the past few years, its only since the 1980s that football in the UK, and the whole of Europe, has truly developed as a major commercial industry. This is evidenced by the fact that, in 1986 the 22 First Division clubs in England had a combined annual tur

Kant: Goodness :: essays research papers

Kant: Goodness The philosopher I used is Immanuel Kant. He was very practical in his thinking of goodness. A quote of his was "I ought, therefore I can". His view was good anything is under good will . He believed good will was the primary goodness, good in its purest form, and that it couldn't be corrupted. Good feelings and good intentions and actions can be interpreted in different ways; man can corrupt these things into evil...even though it still might be good in that man's eyes. What he's really trying to say is that good will is good in its objective form. Therefore, it defines goodness. A few examples of forms of goodness that could be corrupt are intelligence, courage, and resolution. These things can be very good, but can be used for evil as well. The short story I would like to allude to in order to connect these themes and ideas is "A Good Man is Hard to Find". The title even has "good" in it...and according to Kant, goodness in its purest form is good will. The question now would be, does the Misfit have good will? Is what he is doing good, objectively, and purely? He is purging and purifying the world. He is Christ like in many senses. He is purifying the world by purging it of its evil...relating to the Old Testament. God decided that the human race was too evil to survive, so he flooded it. God killed, as well as the Misfit. This isn't the same as Christ, though; it just adds to the religious element. Christ's mission was to try and rid the world of evil, and sacrificed for it. The Misfit sacrificed his freedom initially, was "reborn" again by escaping from jail, and become a Christ like figure again...he's now reborn, and his mission has an even stronger exclamation point on it, just like Christ's after he was resurrected. The literal differences are obvious; Christ never held anyone at gunpoint, let alone kill old ladies (no matter HOW hateful). But the allusions above illustrate that the Misfit was indeed a Christ-like figure with good intentions; good will . The Misfit was in a world of evil where he felt it was his mission, as well as his intention and his will, to be the savior of the good people. When it really comes to good will, I believe that the Misfit did have good will and that, in a world such as his, the South, he was not just playing God, but his will was forcing him to be God to judge the "infidels".

Monday, August 19, 2019

Newborn Dried Blood Spot Screening (NBS) Essay -- Newborn screening p

Introduction Newborn Dried Blood Spot Screening (NBS) is the most widespread application of screening technology to identify infants with certain genetic, metabolic, and endocrine disorders. Several drops of blood are taken from the baby’s heel and placed on a ï ¬ lter paper card. Many countries are considering the expansion of their new- born bloodspot screening programs. As a public health intervention, NBS has greatly improved the lives of thousands of affected children. Yet despite the fact that newborn screening has saved the lives of thousands of children and help many more from lasting disability, previous experience has shown that screening can be costly and cause a-dverse psychological effects, such as anxiety, stress, guilt, social stigma, reduced self-esteem, and social, insurance and employment discrimination. Specifically concerning children, a request for screening creates legal concerns and raises ethical questions for the health care provider. In this review, we highligh t the major ethical and social challenges currently facing each facet of newborn screening. Background : Newborn screening (NBS) tests have been designed to identify infants with severe disorders that are relatively prevalent and treatable (or controllable) and it consists of taking a few drops of blood from a baby’s heel in the first week of life and testing it for a list of disorders. Newborn screening began In the United States and most countries in Europe in the 1960s and 1970s after Dr. Robert Guthrie developed a simple blood test for phenylketonuria (PKU) ( Baily & H. Murray, 2008). PKU leads to mental retardation, but can be effectively treated by early detection and continued adherence to a special diet. Until the late 1990s, screeni... ...creening for early detection of disease, the need for evidence. Clin Chim Acta. 315, 5-15 Miller. F, Robert. J, Z. Hayeems. R (2009), Genetic& ethics, Questioning the Consensus: Managing Carrier Status Results Generated Newborn Screening, American Journal of Public Health, 99,210-215 Rothwell. E, A. Anderson. R, J. Burbank. M, J. Goldenberg. A, Lewis. M, Stark. A, Wong. B, R. Botkin. B (2011). Concerns of Newborn Blood Screening Advisory Committee Members Regarding Storage and Use of Residual Newborn Screening Blood Spots, American Journal of Public Health, 101, 2111-2116 Tarini. B, Goldenberg.A (2014), Ethical Issues with Newborn Screening in the Genomics Era. Ethics of Newborn Screening, 1 , 381-393. Vanderburg. S, Verwei.M (2012), Maintaining Trust in Newborn Screening : Compliance and Informed Consent in the Netherlands, Hastings Center Report, 41-47.

Sunday, August 18, 2019

Economy Of New Zealand :: essays research papers

The United States and New Zealand established close ties in 1942, when the U.S. provided security for New Zealand during World War II, and have remained close ever since. However, in 1984, the Labour party came into power in New Zealand, with intentions to bar nuclear-armed and nuclear-powered warships from New Zealand ports. Implementation of this anti-nuclear policy was incompatible with U.S. policy and disrupted the alliance under the Australian, New Zealand, and United States (ANZUS) security treaty of 1951. After unsuccessful attempts to remedy the issue, the United States suspended its ANZUS security obligation to New Zealand in 1986.   Ã‚  Ã‚  Ã‚  Ã‚  Despite the rupture in the ANZUS alliance, New Zealand has maintained close political, economical, and social ties with the United States. In trade, the U.S. is New Zealand second-largest supplier and customer after Australia. Trade between the two countries totaled $3.5 billion (with a $300 million surplus in the favor of the U.S.) in 1996; U.S. merchandise exports were $1.9 billion. U.S. foreign investment in New Zealand that same year totaled $4.8 billion, and was largely concentrated in manufacturing, forestry, telecommunications services, and finance. The two countries have also worked closely together to promote free trade in the World Trade Organization and the Asia-Pacific Economic Cooperation forum.   Ã‚  Ã‚  Ã‚  Ã‚  The Labour party had not only changed nuclear policies in 1984, but also introduced a monetarist economic policy in a major effort to reduce the government budget deficit and inflation that resulted largely from an attempt in the 1970s to diversify New Zealand’s production. This new plan was executed through seven major alterations: 1)  Ã‚  Ã‚  Ã‚  Ã‚  The increase of privatizations through the sale of government-owned enterprises. 2)  Ã‚  Ã‚  Ã‚  Ã‚  Elimination of Government subsidies. 3)  Ã‚  Ã‚  Ã‚  Ã‚  Liberalization of import regulations. 4)  Ã‚  Ã‚  Ã‚  Ã‚  Exchange rates freely floated. 5)  Ã‚  Ã‚  Ã‚  Ã‚  Removal of controls on interest rates, wages, and prices. 6)  Ã‚  Ã‚  Ã‚  Ã‚  Reduction of marginal rates of taxation. 7)  Ã‚  Ã‚  Ã‚  Ã‚  Cutbacks on health, education and social security benefits. This Laissez-Faire attitude did indeed decrease the deficit and lower inflation; it also increased growth, the value of the New Zealand Dollar, and unfortunately unemployment. The economy has improved greatly and with it unemployment has been brought down.   Ã‚  Ã‚  Ã‚  Ã‚  Currently New Zealand is finally recovering from the rapid economic growth it experienced in the mid-90s, now that the worst of the Asian financial crisis effects are over. New Zealand lost many export markets in Asia, but looked to the U.S. and European markets to replace the lost customers. The country remains dependent on trade due to its small size and isolation; price and access to foreign markets are a constant concern.

Saturday, August 17, 2019

Mechanism of PM Effects on Human

Mechanism of PM Effects on Human Introduction Further surveies are still needed on understanding the mechanism of effects of PM. Although surveies have shown the injury increasing with increasing PM concentration, the existent contribute facts are non clear. In these limited surveies, different exposure clip shows different effects. Some effects shown in short clip exposure while some effects shown in long clip exposure. Since the true mechanism of PM consequence on cardiovascular is non clear now, extra research of toxicological is needed. To better the measuring of specific consequence of PM on human wellness, environment and survey sample can besides be specified. Aims: The experiment and work on the farther research can be specified as followed short-run aims:Design and better in vivo and in vitro toxicological experimental theoretical accounts. Many surveies has been done on vivo and vitro toxicological experiment to happen the consequence of PM to cardiovascular, nevertheless, the direct parametric quantity of disease haven’t been clarified.Based on the in vivo and in vitro toxicological experiment, farther experiment on cell degree could stipulate the possible direct parametric quantity. The effects on PM on human wellness likely caused by the effects on cells, particularly on vascular cells and lung cells. To gauge the possibility of this premise, the cell experiment is needed.Once the mechanism of PM effects is clarified on cell degree, the molecule degree experiment can be design. The molecule is the concluding parametric quantity of the effects of PM.The farther aims ( 3-5 old ages ) are focused on the survey of emanation control of P M. Based on the mechanism of PM consequence on cell and human wellness, the chief parametric quantity and direct component can be decide. In that instance, the emanation commanding could concentrate on the chief component of PM. Since the composing of PM have varies of chemical, biological or metal particulates, the specific mechanism of effects on wellness can be assortment so the farther surveies are needed in that field. Literature Reappraisal: Cardiovascular disease-related mortality can be triggered when exposure to PM2.5 in a few hours per hebdomad ; greater extent can happen even in a longer-term exposure for case few old ages and can cut down life anticipation by exposed in high sections of population for several old ages. Cardiovascular mortality will cut down with decrease degree of PM within a clip of few old ages. Biological plausibleness to these findings has been proved. Mounting grounds of the injury of cardiovascular effects of air pollution has been published in late informations. The elevated hazard for cardiovascular with exposure to ticket PM2.5 has been corroborated by most of epidemiological surveies. Mechanisms has been studied by many penetrations that PM was proved have ability to advance cardiovascular disease ( CVDs ) . Endothelial disfunction, increased blood force per unit area, vasoconstriction, prothrombotic and systemic inflammatory and oxidative emphasis responses are been proved have linked to air pollutants. Methodology: Work plan1: In Vivo Experiment Model Enhancement. Yeas 1-2 The really first controlled homo survey related to the PM consequence on vascular map was reported that ague conduit arterial vasoconstriction was caused by exposure to concentrated ambient atoms ( CAP ) plus ozone. However, endothelium dependant and independent vasodilation is still at good status. Recently, survey found that PM2.5 is the ground for the inauspicious vascular effects but non ozone. However, all right CAP exposure did turn out ability of decreasing conduit artery endothelium-dependent vasodilation in 24hours, in the late more complicate experiments. However, the happening in Toronto, Canada of CAP-induced endothelial disfunction insight the composing of the atoms is more of import fact to find the mechanism of PM effects on homo. The improved in vivo experiment theoretical account analysis varies sort of particulate affair with different cricks of composing. To better the experiment theoretical account, controlled air pollution exposures is needed. Controlled air poll ution exposure is shown a unsure impact to map of impair endothelial or vasomotor tone. PM2.5 have different beginnings and the combustion-derived beginnings are the maim beginnings. However, some sorts of PM2.5 have a low dosage in combustion-derived beginnings. Besides, particles chemical science survey in old research shows positive determination in Diesel exposure surveies. There is no impair on microvacular endothelial map in healthy subjuests during a 24-hour exposure to ambient pollution shunted into a chamber in busy street. 1 The work plan1 is expected to happen the direct consequence mechanism of PM at tissue degree. Work during the work program 1 will incorporate experiments to obvious the effects of homo in exposure in different sorts of PM. Work program: 2 Improved Toxicological Experiment in cellular degree. Years 2-3 The effects of particulate air pollution and nanoparticles have been investigated. However, respiratory effects are focused by most of the surveies like inspiration, intratracheal or intranasal insillation. It is easy to understand that redness and oxidative emphasis can be caused by exposure to particulate 2. Single-dose intratracheal instillment of diese exhaust atoms can do lung redness characterized by inflow of inflammatory cells accurately. Interleukin-6 was found released in 18 h. Collected from the urban country of Sao Paulo, acute exposure of healthy mice by intranasal intranasal instillment to PM2.5 caused lung redness and oxidative emphasis and worsened lung electric resistance dose-dependent form 3. Pretreatment of mice with eugenol prevented the alterations in lung mechanics, pneumonic redness, and alveolar prostration which reported late by a research group. To work on the cell degree experiment, we can utilize lung cells as the sample. Culture the cell in the ambiance with different sorts of PM to compare their effects. The cell even can be record all the clip with the alteration in its form and chemical composing. Isotopically labled engineering besides can be used as a method to track the particulate and enter their way in the cell. Experiment in cellular degree will supply obvious in cellular degree. Since the effects of PM on homo are complicate procedure, PM may play a function as signal molecule or direct parametric quantity. The concluding outlook of work program 2 should inflect the possible cause and effects of PM. Work plan:3 Molecular degree experiment. TiO2hold many industrial applications. Occring in four crystalline polymorphs of which rutile, TiO2is considered appears much common as anatase. TiO2atom, increased release of lactate dehydrogenase, wll reactive oxygn species every bit good as down mitochondrial activity in human epithelial tissue cells. As a popular phtocalyst, TiO2hold great advantage uncomplete mineralization of organic pollutants in waste H2O and air. However, late researches show that pneumonic neurophilia and the increased look of tumour mortification will caused in the lung tissue 4. Molecular degree experiment obvers the atom activity and will happen the mechanism of the effects. Atom force microscope ( AFM ) or other engineering can be used to plan a series experiments to happen the relation between the particulate form and its influence. We could choose different sorts of atoms with different form and diameter and utilize these sorts of atom to make nature experiment to compare the alteration in sample’s blood and vas. These experiments may take a long clip. Anticipatedsignificance: For this research, the awaited significance is to sum up the mechanism and the consequence of PM on homo. To accomplish the awaited significance, several stairss is needed: 1 ) Design the in vivo and in vitro experiment with utilizing different sorts of PM and reiterate the experiment with different sort of people in different country to minimise the likely mistake ; 2 ) Based on the effect of the first measure, plan the experiment at cell degree to analyse the PM effects on cells. An unreal lung can be built to better the experiment that exists. 3 ) To compare the form and other physical or chemical character of different sorts of PM to find the most harmful character and happen the mechanism at molecule degree. Mention 1.Brauner EV, Moller P, Barregard L, Dragsted LO, Glasius M, Wahlin P, et Al. Exposure to ambient concentrations of particulate air pollution does non act upon vascular map or inflammcatory tracts in immature healthy persons. Part Fibre Toxicol 2008, 5: 13. 2.Nemmar A, Alaˆ?Salam S, Zia S, Marzouqi F, Alaˆ?Dhaheri A, Subramaniyan D, et Al. Contrasting actions of Diesel fumes atoms on the pneumonic and cardiovascular systems and the effects of thymoquinone. British diary of pharmacological medicine 2011, 164 ( 7 ) : 1871-1882. 3.Riva D, Magalhaes C, Lopes A, Lancas T, Mauad T, Malm O, et al. Low dosage of all right particulate affair ( PM2. 5 ) can bring on acute oxidative emphasis, redness and pneumonic damage in healthy mice. Inhalation toxicology 2011, 23 ( 5 ) : 257-267. 4.Melghit K, Al-Rabaniah SS. Photodegradation of Congo ruddy under sunshine catalysed by nanorod rutile TiO & A ; lt ; sub & A ; gt ; 2 & A ; lt ; /sub & A ; gt ; . Journal of Photochemistry and Photobiology A: Chemistry 2006, 184 ( 3 ) : 331-334.