Wednesday, July 31, 2019

The Social Issues in China

The social issues in China are in point of fact varied and wide ranging. There are some problems that have affected the nation for quite long and a permanent solution has never been obtained. However, some have been affecting the nation, yet they do not hinder the citizens from growing economically. Because of the vast number of these social problems, the government has faced considerable difficulties in trying to come up with solution to them. Most of these issues are addressed by the media. In so doing, some that are sensitive to the political issues may be considered. Some professionals hold that the China's fragile social balance when combined with the bubble economy, contributes to instability of the country. On the same plinth, others argue that the societal trends in China have actually created a balance to sustain it. For this reason, the paper will examine some of the social problems affecting the nation. By and large, it will majorly delve on employment and elitism and discrimination majorly affect the country socially. Moreover, it will examine on the causes of the problems, the effort made by the government to help solve the problems, the outcomes from the manner in which the problem is solved. Most importantly, some possible ways that can help reduce or solve the problems so that they do not inflict emotional and psychological pain to the recipients.Causes of UnemploymentBecause there is difficulty in the state enterprise development, there is a reason for the laid off-off workers within most cities in China. Old state owned enterprises are facing serious losses and liquidating sine they do not have the capability to sustain a wide range of masquerading unemployment. On the other hand, the newly owned states leaders in most cases tend to unload themselves from the burden of outmoded workers. They do this so that they can expand their profit margin. Moreover, there are some significant changes that have taken place in the industrial structure, and this has caused a lot of joblessness too many people. On the same regard, a number of large old and huge enterprises of the capital of goods produced are found to be increasingly difficult to bid for more orders because there is massive change for the demands of goods on the customers' side, because of the new facilities. Another major cause of unemployment worth pointing out is continued increasing of the surplus work force. The population growth of the country is increasing at an alarming rate and this makes the level of employment to go down. There are new entrants into the labor market hence makes the job opportunity to go down. As the population increases, the firms to absorb them reduce in number hence making the majority to become idle, because they do not have anything to keep them busy. Another cause of is inadequate skills at workplace and lack of education. This has affected the great percentage of the China's population. In an ideal world, there are quantities of people who cannot get jobs because of their little knowledge. Most of the companies in the country need enhancing, and must therefore get quality employees lest they stop operating. Furthermore, another data shows that educational backgrounds of many people are directly intertwined to unemployment. Most of the unemployed people are those with little knowledge as far as the job they want is concerned. From the analysis it is inherent that the three are some of the major causes, and it is not only in the private sectors, but also a national problem which needs proper solution from both the labors and the government at large.Government Effort to Solve the ProblemDespite the fact that these problems have affected the country both economically and socially, the government has tried at all cost to device methodologies to help curb the problems. First, the government has come up with the enrollment expansion plan. For the past twenty years, China's college enrollment rate has stood to about three percent, which is much lower than most of the developed countries. On the same pedigree, the education department also sensed the need expand the enrolment rate in the college s. Also, the central government tried all ways out to deploy many measures in a bid to expand the rate of enrolment in school. This has been achieved through building of schools, hiring more professors from and outside the nation to help in impacting knowledge to the learners. Above all, offering scholarship to the poor students. By and large, the processes have greatly improved the illiteracy level in most of the people within the country and today, majorities are employed. There has been increase in the demand and supply of the goods produced. In real essence, supplies do not only outweigh demand, but many of the employers have questioned the education that the college students have received. Because many learning institutions have been started, most young people are able to access, education in their line of specialization, and this has helped them a lot in their line of specialization as far as job market is concerned. On the same line, students are made aware of the unemployment issues as early as they get into schools. Through this they are encouraged to work extra hard so that they evade the problem when they come out of school. In point of fact, one who does not have outstanding papers finds it difficult to secure job because of the competition in the job market. The local government has made plans with the enterprises to help those in colleges and universities by enhancing a plan which gives graduates work and training experience. The local government does the contact work and convinces most of the enterprises so that they can provide job opportunities and internship programs for the graduates for a period of one year. During this period, the government supports the interns by providing for them a small allowance on a monthly basis. After the end of the internship, the enterprise can either decide to absorb the interns depending on the effort made during the period of placement. Also, the government suggests that the graduates can stay in colleges and do research as co workers, and they get paid by the research funds. Through this, they ultimately get good pay that sustains their economic wellbeing so that they become responsible people in the society. Most importantly, during the training sessions, the students are made aware that there employment market is flooded and they should try as much as possible to get self employed. Because of this, most of the graduates have started their own businesses to help them generate income for themselves without necessarily depending on the employment from the government.Outcome of UnemploymentGenerally, unemployment crisis is social, economic and political problem that affect every society. When the society is not empowered economically, it fails in all aspects. For example, unemployment creates social disparity between the rich and the poor. The rich, in most cases, does not find it comfortable associating themselves with the low class earners, which should not be the case. Because of the problem, most of the many people who are employed in China do not have time to spend with the unemployed citizens because they actually do not merge at any aspect. The poor has their own shopping centers, lanes, rentals, slums, as opposed to the high class. The economic and social aspect unemployment is that it leads to high dependency ratio. When most of the youth are not employed, they will entirely depend on their parents to provide for them everything including basic needs. On the other hand, the parents may feel overburdened, hence loosing the good social relationship and bond between themselves. On the same line, the families that are well of economically find it difficult to interact with the families that are not stable hence causing discrimination. For example, those from rich families take their children to good schools where they can attain proper education and eventually succeed in life. On the other hand, the poor takes their children to slum school where the children cannot attain good education. This scenario widens the gap between the rich and the poor because there is no point where they meet social, hence widening their social inconsistency. Unemployment leads to unethical stay in the society. When the citizens are not working, they become idle along the streets. They do not think positively in most cases. The fact that they have to eat shelter and socialize and the money factor to support them is a problem, they end up in ethical practices that can make them get money to support themselves. Theft cases have been reported in most cases from young and old people who are not employed. It is not due their likeness, but the fact that they do not have what to generate for them income, they end up in such acts. On the same plinth, the government finds it difficult to manage the poor youths. This comes in the sense that that high number of them engages in malpractices which is against the government law, which eventually subjects them to physical torture. When the government is not in good terms with the youths, it is very difficult for the political stability to be in the nation.Possible ways to Solve the ProblemsIn the real essence, the problem should be addressed amicable so that it does not affect both parties. The government should understand that they need the young people who are jobless for the peaceful movement in the nation. On the other hand, the young unemployed should understand that they require the government to help them in most of the problems they face. Both p arties should be beneficial to one another for peaceful coexistence in the society. First, the government should device various modalities to improve the employment issue. There should improved infrastructure to enhance people to move to every part of the nation to solicit for job opportunities. On the same note, the government should improve the housing system so that it can accommodate all the citizens without barrier. For example, those living in slums should be considered and be constructed for building that accommodates them peacefully. On the same pedigree, the charges of the rent should be accommodating to all so that many do not suffer when it comes shelter coverage. Similarly, the government should encourage e-commercial business and logistics to help in boosting then youths who are economically down. Most importantly, the government should provide funds to the young people who are jobless so that they can start their own business operation. In so doing, they will be dependant to themselves because they will be doing their own businesses and will not seek for employment. On the same dictum, it will be an advantage to the government too because there will revenue generated back to the government and peaceful coexistence will be maintained because the youths will no longer engage in the malpractices activities that can dent their image in the society. On the other hand, it is important for the youths to understand that they are the leaders of tomorrow and whatever thing they do today, affect their life to come. In so doing, they should be focused minded in everything they do. They should work hand in hand with the government so that they realize their goals by the end of the day. People should also live in harmony with one another without discrimination of age, sex, race or social class. When God created us, He was never discriminative and so we should emulate. The rich should embrace the poor and take care of them in most situations. They should be helped to get out of their poverty situations and make them stable. Most importantly, there should be peaceful coexistence between everyone living in the society, because when there is peace, there is love and harmony and it makes people to love and care for each other both socially, economically and even politically.

Tuesday, July 30, 2019

Berny Madoff’s Ponzi scheme

Globalization has necessitated the need to develop a code of ethics for different professions, due to the need to streamline operations across the globe. The accounting profession is one of these professions which is regulated by the code of ethics. The major purpose it serves in this profession is to prevent misconduct of accounting professionals, and develop a standard way of presenting accounting information. However, despite the presence of these regulations, serious scandals such as fraud still occur in many companies. There has been an increase in financial scandals in various US companies, and most of them can be traced to lack of controls and disregard for the code of ethics. The code of ethics has been ignored by many professionals, a fact which has led to the emergence of these scandals. The Berny Madoff ponzi scheme is one such scandal, which has caused huge losses to various banks and other institutions. The paper will discuss this scandal in relation to the accounting code of ethics, and their role in preventing such scandals. Berny Madoff ponzi scheme. Bernard Madoff masterminded what may be the largest stock fraud in history committed by an individual. He confessed to having masterminded a ponzi scheme, through his firm Madoff Securities, which led to losses amounting to over $50 billion (Zambito and Smith 2008). A ponzi scheme is a fraud which involves payment to investors, out of funds received from previous investors, rather than profits. Madoff used a strategy of investment called the split-strike strategy. It involved purchasing stocks, and simultaneously purchasing options, to guard against losses, and these were known as ‘puts'. In case the cost of the ‘puts' went down, Madoff would trade in ‘calls', which involved trading these stocks to buyers who aimed at profiting from small gains. This strategy ensured that he made small profits in cases where shares appreciated in value, after numerous trades. However, with time, some financial analysts began questioning the profits that Bernard made from these transactions. They were concerned that his methods of investment were incapable of earning the level of profits he enjoyed, and recommended an investigation on his activities (Henriques A1). In fact, Madoff Securities were investigated for over eight times by the regulatory bodies. The investigations did not find major problems, since they were not looking at the in-depth operations of the firm. Some analysts actually suspected that it was a ponzi scheme way before it became clear to investigators. They questioned the use of an audit firm with only one auditor and accountant. They also questioned the unusual strategy which involved avoiding disclosure of SEC holdings, through selling them for cash after each period. In the beginning of 2008, the market downturn revealed that Madoff Securities were in fact dealing in a ponzi scheme (Naidu 2008). This was as a result of several requests by investors to withdraw their money, which amounted to $7 billion, and Madoff could not honor their requests. He was forced to confess the truth to his sons, who reported him to the authorities. He was subsequently indicted in December last year. Role of strict standards in the accounting profession. The accounting profession requires ethical guidelines which are used by both the accounting professionals and their clients (Carey and the American Institute of Certified Public Accountants 1-5). The strict standards are beneficial to all stakeholders in a business. We will analyze the role of these ethical standards according to various stakeholders. Accountants. In these modern times, globalization has transversed boundaries and connected the world. This has led to the emergence of multi-nationals, with branches in different countries. Since the parent company has to standardize its accounting reports across several branches, it is necessary to present a global standardized way of preparing and presenting accounting reports to stakeholders. Examples of accounting standards are the IFRS and GAAP accounting standards. This is one purpose that accounting ethics serve, and it enables companies to easily compare their performance with others. Accounting ethics also helps accountants to maintain integrity and professionalism in their profession so that it may remain respectable and profitable. Ethical standards such as professional competence, objectivity and confidentiality help the accountants to prepare accurate and complete financial reports. Flouting these standards leads to consequences such as de-registration from the professional body, suspension of the practicing license, criminal liability among other consequences. Madoff flouted these principles through committing fraud, a situation which led to criminal proceedings being preferred against him. He now faced the possibility of spending a long time in jail, as well as paying heavy fines. Investors. Investors require knowledge about market trends and stock movements before making investment decisions, in order to get favorable returns on their investment. After investing in a company, investors are very interested in knowing the performance of the company in order to make investment decisions. In order to facilitate this, it is important to prepare accurate financial statements which enable investors to make proper adjustments in investment. The accounting code of ethics helps in achieving this purpose through enabling accountants present the true state of affairs of a company. In the case of Madoff Securities, the disregard of the code of ethics has led to the apparent loss of over $40 billion by investors who include companies, banks and individuals. Some investors, such as Martin Roseman who lend Madoff $10 million, have sued him in order to get back money they are owed. Financiers. Before a company can receive a loan from a financier such as lending institutions, there are various aspects which are analyzed. One aspect is the financial performance of the company. If a firm performs financially well, then the financiers are confident that they will be paid back, with minimal risks. However, firms which perform poorly have higher chances of defaulting on payments and are less likely to receive loans from financial institutions. As a result of this, firms may be tempted to misrepresent their financial position in order to obtain financing. Madoff Securities can be said to be one firm which engaged in this practice, since the firm could not survive without additional funds from new investors, in line with operations of a ponzi scheme. The code of conduct comes in, in such a case, to discourage these practices. Accounting principles such as prudence requires that firms do not understate their expenses or overstate their assets, in contrast to operations of ponzi schemes. This is beneficial to financial institutions since it enables them to finance companies with minimal risk. Accounting principles responsible for Madoff Securities collapse. Several accounting principles which were broken, were responsible for the financial collapse of Madoff Securities. One principle, prudence, requires that accountants anticipate losses and make provisions for them early enough (Kwok 30-38). It also requires accountants not to overstate the value of their assets (Marriott et. al. 221-223). Madoff Securities did not provide for the losses attributable to fraud, and actually concealed them over several years, through the use of subsequent investor deposits. When they were finally revealed several stakeholders were affected, among them some charitable organizations which had to close down due to reliance on this firm (Storm 2008). According to Warren et. al. (34-35), another principle of accounting is the matching concept. This concept states that expenses which are incurred in the course of generating revenue should be recognized during this period. This is done to ensure that comparison between revenues and expenses of a similar accounting period can be achieved (Eskew and Jensen 40-42). This is very important in making business decisions. In the case of Madoff Securities, expenses which the company incurred were matched with future revenues in order to conceal the fraud. This means that the accountants did not follow the matching concept, which was responsible for the accrual of huge expenses over the years. Accounting standards require that the accountants present the true state of affairs of a company. Misrepresentation of the state of affairs is a violation of these standards. Madoff Securities misrepresented the financial position of the company, presenting it as a profitable firm, yet it had significant liabilities. This misrepresentation attracted new investors, which led to the company owing over $50 billion to investors at the time of collapse. Conclusion and recommendation. Bernard Madoff's ponzi scheme has been seen to have affected very many local and international investors. The ignorance of the code of ethics and accounting principles that have been discussed was a major factor which caused this scandal. The code of ethics in accounting helps to protect the interests of all stakeholders of a company. It also makes it easier for companies to compare performance, due to standardization of accounting report preparations and presentation. Madoff forgot one fact about ponzi schemes; they eventually collapse due to the inability to handle sudden withdrawals by investors. The economic meltdown played a role in exposing this scheme. It is important that the role of the market regulators with regards to the scheme be thoroughly investigated, since several warnings were given prior to detection of the scandal. If the authorities had acted sooner, the loss would have been lower than it currently is. The stock regulatory authorities need to establish measures that deter such practices. One of them would be to scrutinize transactions of companies with the aim of detecting irregular and unethical accounting practices. The next course of action would be to investigate the detected suspicious trends, even if the actions are not entirely illegal. This will minimize the risk of loss attributable to fraud, by investors in the stock market.

Monday, July 29, 2019

Ashoka Bindusara Maurya The Great Indian Emperor History Essay

Ashoka Bindusara Maurya The Great Indian Emperor History Essay Ashoka Bindusara Maurya, the great Indian emperor was a ruler during the Maurya dynasty, born in 265 BC to parents Bindusara and Dharma Maurya (Iloveindia.com, 2010). Ashoka’s regime spread across most of India and modern Pakistan and Afghanistan which was due to a number of successful conquests that will be mentioned later. His name is often followed by the title â€Å"the great† mainly due to the fact that he was one of India’s greatest rulers. His regime saw most on India united as one state under a democratic government. His name Ashoka is Sanskrit for â€Å"without sorrow.† According to Iloveindia.com (2010), from a young age, Ashoka was quite a handful; he often got into trouble for beating up his fellow children and being cruel to animals but on the other hand was an extremely clever child who grasped all that he was taught, be it ancient Buddhist teachings or how to hunt for wild animals. By the time he was a teenager, he had his older brotherâ₠¬â„¢s complaining to their parents and this got him sent away to the outskirts of the empire to pose as a general. Here he did things as he pleased, terrorizing small communities and various would be vigilante groups. At this time, young Ashoka realized that he’s brothers were against him so when he was sent away by his father; he instead exiled himself to Kalinga where he’s greatest military conquest lay (Iloveindia.com, 2010). There he met a young maiden named Kaurwaki whom he got involved with but later abandoned. After two years in exile, Ashoka grudgingly returned to India where his father needed him to preside over a conflict in the Ujjain region. This conflict is what launched Ashoka’s devotion to Buddhism. While peace keeping, Ashoka was injured and fortunately secretly tended to by Buddhist priests who did not want the news of his injury to reach his vengeful brothers (Wold, 2010). During this period, he got to learn of ancient Buddhist teachings and va lues that helped cultivate his belief. In addition, he also met another young girl whom he married as his first wife. Years after, the conflict between the siblings climaxed when their father passed away in 268 BC leaving them battling for the emperorship. After two long years of gross violence, Ashoka finally emerged victorious to sit on the much coveted throne (Sahu, 2005). Legend has it that Ashoka killed most of his brother while most of the retreated to various parts of India. After eight years of devoted and vigilant governance, Ashoka decided to expand his empire by invading Kalinga and annexing it to India. According to Munshi (1968) this was after he had successfully imperialized the borders of Iran, Afghanistan, west Bangladesh and eastern Burma. In 286 BC, Ashoka led the Indian army into Kalinga. Regardless of Ashoka having sentimental ties to Kalinga, Kaurwaki in particular, he plunged into war head first sparing no one. The region of Kalinga though greatly betrayed and dismayed fought back bravely but ultimately lost the war (Sahu, 2005). The morning after, Ashoka visited the battle field to view the extent of his â€Å"victory† but he somewhat did not feel good about it. Seeing to houses burned to ashes and bodies lying everywhere, Ashoka was horror struck by the sight. At that moment in time, Ashoka had an epiphany where he began to be aware of and regret the horrors of his actions. Corpses lay scattered on the earth, orphaned children cried for their mother all over, widows grieved for their husbands, the Daya River ran red with blood and various temples and monuments were destroyed in the nasty brawl.

Coca Cola Company and its Product Modifying Method to meet FDA Essay

Coca Cola Company and its Product Modifying Method to meet FDA standards - Essay Example With consumers worldwide becoming more and more cautious and watchful about their health, they are choosing to eat healthy and preferably live a healthy life. This follows the fact that deadly diseases such as cancer are on the rise and experts point out that these diseases are befalling most people due to their eating habits. This aspect has seen many companies including Coca Cola seek specific ways of modifying their products in order to meet the speculations set herein by special food governing bodies, which include but not limited to the Food and Drug Administration (FDA). Research findings posit that Coca-Cola Company and PepsiCo Inc. are currently changing the procedures followed in making some of their products such as the caramel coloring commonly used in the sodas (50). This comes following the implementation of the Californian law that forces all products that contain a particular level of carcinogens should always come with a label of cancer warning. Ideally, this enforcement comes along with some consequences since very few people would risk purchasing a product that can cause cancer unto their lives. The company’s SWOT Analysis describes all the facts regarding what it intends to have its products free of any speculations. Web, http://www.google.co.ke/imgres?um=1&hl=en&client=firefox-a& sa=N&rls=org.mozilla:en-US:official&channel=fflb&biw=1024&bih=610&tbm=isch&tbnid=dg5-NnM39-yN4M:&imgrefurl=http://tommytoy.typepad.com/tommy-toy-pbt-consultin/branding/page/2/&docid=HIy0iWonP0H8YM&imgurl=http://tommytoy.typepad.com/.a/6a0133f3a4072c970b0167630ab61e970b-500wi&w=375&h=274&ei=vSInUf-fKsjN4QSt-YHADg&zoom=1&ved=1t:3588,i:219&iact=rc&dur=214&sig=100064067000265222398&page=3&tbnh=186&tbnw=255&start=33&ndsp=18&tx=145&ty=39 Currently, Coca Cola is undergoing a series of transformations specifically in the production of its products with the aim of ensuring it meets the set standards provided by the FDA. The company is now looking into the details of most of its recipes in order to ensure that it produces beverages that are in line with the recommendations and regulations of FDA. Given that research findings opine caffeine as well as tannin mixtures with cancer related causes, people are taking a step forward towards doing away with products said to have such ingredients in t heir contents (59). Change of such consumer market has seen most companies head towards the verge of losing a large market base. However, in order to ensure continued profitability, Coca Cola which happens to be one of the world’s largest producer and distributor of beverage products resolve to come into terms with the FDA standards which require companies to observe health regulations and recommendations. On March 7, 2012, Coca Cola Company asserted that its use of caramel coloring in preparing its drinks has always resolved to put into consideration the necessary requirements and thus is safe. Douglas Karas, FDA spokesperson stated that FDA is working round the clock and ensuring that companies like Coca Cola and Pepsi provide their consumers with quality beverages that pose no challenge to the users. According to Beverage Digest, one of the most active industry trackers, PepsiCo and Coca Cola hold the largest percentage (90%) of beverage productions manufacturing. As such, analysts claim that they can pose the most immense crisis if at any one point ended up consuming products that have high levels of carcinogens (66). This indicates that

Sunday, July 28, 2019

The Youth Justice and Criminal Evidence Act 1999 Essay

The Youth Justice and Criminal Evidence Act 1999 - Essay Example The result was a collection of ideas based on the Scottish Youth Justice system, particularly the Scottish Reporter System. The Scottish Reporter System, introduced in the 1960s as part of the Children's Hearing System, is a system where those involved with youth who have offended or are at risk of offending make a referral requiring any services deemed necessary to put the child on the right track be provided. Those making referrals include police, schools, parents and social workers. Referrals are made to the Reporter, who then investigates the case and decides where it should go. "The Reporter must decide whether referrals should be discharged with no further action, whether they should be referred to a local authority social work department or whether the case should be referred to a children's hearing (Arthur 2004)." This is essentially what the U.K.'s referral order is, with just a few minor differences. The referral order was introduced in October 1999 as part of the Youth Justice and Criminal Evidence Act 1999. The order's primary aim is to keep first-time young offenders out of the court system and prevent them from re-offending. The Youth Justice and Criminal Evidence Act 1999 was a response to the White Paper, No More Excuses address that the Secretary of State presented to Parliament in 1997. The White Paper addressed specifically the issue of youth crime. "Today's young offenders can too easily become tomorrow's hardened criminals," Home Secretary Jack Straw said in a preface to the White Paper. "As a society we do ourselves no favours by failing to break the link between juvenile crime and disorder and the serial burglar of the future (Home Office 1997)." According to Straw, the general belief was that young offenders would "grow out of" their offending ways on their own. He said research showed otherwise and insisted something be done that could give young offenders that nudge in the right direction. Thus, the Youth Justice and Criminal Evidence Act 1999 introduced the referral order, a proactive approach to addressing juvenile crime. The office of the Reporter in Scotland would be akin to the Court of the Magistrate in England, in that they are the ones who refer a child to the family-conference style meetings - Scotland's Children's Hearing and England's Youth Offender Panel (YOP). However, while the Reporter has other options, "Part III of the Powers of Criminal Courts (sentencing) Act 2000 provides that the referral order is to become the standards sentence imposed by the youth courts, or other magistrates court (Arthur 2004)." The referral order is a sentence given by the court referring 10- to 17-year-olds, who have pleaded guilty to a first offence, to a youth offending panel. In Scotland, the age of an offender referred to a Children's Hearing is eight to 16. The order requires the offender and his parents or carer to meet with the youth offender panel and map out a course of action for the youth to help him get on the right track. The court sets the length of time a referral should last, or the compliance period. The compliance period begins once the offender and chair of the panel have signed the contract. By law, the compliance period can be no shorter than three months and no longer than a year. In cases where the offender was previously convicted of a crime, the

Saturday, July 27, 2019

Course work Essay Example | Topics and Well Written Essays - 2000 words

Course work - Essay Example Due to this, an external management consultant was engaged to review the entire company in general and its IT development function. From the results of the review, the executive board commissioned the management consultant to identify appropriate techniques for business and requirements analysis activities for the company. The process of checking on the availability of products remain unclear and may require secondary scenarios such as what exactly would happen if a selected product is not available or if the selected product is available but not in sufficient quantity to serve the quantity selected by the customer. In the latter case, the system must know whether to remove the product from the customer’s order or supply a partial order. Inspection of the use case diagram and developing all scenarios in detail allows the analyst and the users to understand detailed system requirements and will be able to accurately specify requirements. Depending on the complexity of order processing for the different customer sectors, additional systems to be developed would either be a separate system per customer sector or additional system processes for the sectors with different processes from the home sector system. Based on the rich picture, other potential systems that might be developed are a warehousing system, an inventory and stock control system, a sales monitoring system, and a supplier management system. For the Home Sector Order Processing System, further investigation in needed to determine processes for unavailable products or available products but with insufficient quantity to fill customer orders. If products are unavailable, how will reordering from suppliers be conducted? The entire process for inventory and stock monitoring and control needs to be investigated if it will be integrated into the order processing system. For insufficient quantities, will orders be partially filled or cancelled altogether? What happens if order processing

Friday, July 26, 2019

Internal and External Environment of Nestle Research Paper

Internal and External Environment of Nestle - Research Paper Example The paper will address the key issues challenges affecting Nestle Co by conducting an environmental analysis. Organizations face various challenges in their operations both internal and external and to develop the right business strategy, these issues need to be addressed. The report will make use of different environmental models such as SWOT, PEST and Porter’s five forces. After carrying out an analysis, the report will identify a key business challenge and develop a plan for leadership and management as a means of addressing the issue. Conclusions and recommendations and limitations to implementation will be discussed. Nestle Co is the world leading nutrition, health and Wellness Company established in 1867 with its headquarters at Vevey Switzerland. It is a multinational corporation employing over 328,000 people worldwide in over 160 countries. Its sales volume as at the year ended 31 December 2011 amounted to CHF 83,652 and it has 2 billion customers in over 180 countries . It deals with various brands such as chocolates and confectionaries, baby foods, cereals, coffee, dairy products, healthcare nutrition, bottled water, and cereals among others. Overall, the company has over 120 brands. Its mission is to provide customers with products that provide nutrition, health, and wellness. It is committed to increasing the quality of life for all people by ensuring healthy nutrition through a slogan named ‘Good Food, Good Life.’ Its performance is driven by its capacity for innovation and renovation. It has a flat and flexible organizational structure with few management levels and a broad span of control. (Nestle, 2012).It is headed by the CEO, Paul Bulcke who has been in the organization and driven it to where it is since 1998 who according to Raisch & Ferlie (2008) thinks globally and acts locally to penetrate the mature market.  The organization markets its products in almost every country and operates in six geographical locations; Europ e, the Americas, Asia/Oceania/Africa. It operates in the food and beverage industry with main competitors being PepsiCo, Unilever, Kraft, Procter & Gamble, among others. Nestle is a world leader of nutrition, health and wellness products. Its success is made possible by frequent innovation and renovation and the use of environmentally sustainable practices. The CEO is committed to ensuring the customers get quality of life through brand and product diversification and additional nutrition. The company operates in a very competitive environment with major competitors being P&G, Unilever, and PepsiCo. It has products in almost all countries and has over 500 brands in six continents; Europe, the Americas, and AOA. All its operations are guided by the corporate business principles and the suppliers have to adhere to this code of conduct. Nestle environment is very complex as the organization operates globally. The possible strengths include; strong brands, corporate brand, its structure , and cost advantage while weaknesses include; barriers to entry, competition, complex structure, and minimal rewards. It has an opportunity to venture into new markets due to its reputation and can also engage in a joint venture to diversify its products. The company is also affected by changing consumer demands hence buyer power. The major challenge that may impact on the effectiveness of the organization is to retain workers in a globally competitive environment using its cost-cutting strategies and still add value for shareholders. The threat of worker turnover due to poor performance management is crucial and should be addressed.

Thursday, July 25, 2019

Norbert Elias and the History of Manners Assignment

Norbert Elias and the History of Manners - Assignment Example Elias critically examinees the historical norms that have been put in place over time and how these have been received and implemented in several societies. An example is an issue of spitting in public places. Elias (156) argues that the series quotations or norms that involve the issue of spitting has drastically changed since the middle ages in a particular direction, and in among Europeans considered as being the most unpleasant behavior, and has even been viewed as being unhealthy. The process through which these types of manners have been evolving to be accepted by society as Elias elaborates would constitute a process through which civilization has taken place. As described above, civility according to Calhoun is communicating an attitude of mannerism towards others. Elias critical examines how social issues such as cleanliness, spitting, and others that would constitute mannerism, have evolved to amount to a process through which civilization has evolved in society. Largely, E lias utilizes rhetoric to evaluate how mannerism, has evolved over time to form widely embraced social manners. Elias (159 explains that the inclination to spit or even look at the sputum in children or even in a dream and its corresponding suppression can be viewed in the specific comic that overcomes us when such similar things are spoken in the general public. Elias in this presents the idea of the malleability of psychic life. The use of children is significant of how the society is eager to learn on its way to civilization in a process that would amount to psychological development in the formation of attitudes that would later be embraced as the standards of public order. It is in such a process that civilization would be said to amount to psychological maturity, where the society develops codes of behaviors that come to be understood and embraced as signs of respect towards others, which has been explained as the essence of maturity. The formed trends that involve codes and n orms concerning public behavior or how one should have respect to others as a process to civility then led to the psychology regarding the art of observing people. Elias (104) argues that this psychology cannot be taken in the scientific view, but as the ability that stems out of the importance of life at a court that clearly defines the capacities, motives and the limits that other people have. It is through a court process that the gestures, expressions, intentions and other behaviors of people are weighed to critically examine their meanings and to the extent that they contradict with respect to others, public decency.

Wednesday, July 24, 2019

Foodservice Marketing Assignment Example | Topics and Well Written Essays - 250 words

Foodservice Marketing - Assignment Example They also display their logo (the Golden Arches) that makes it easy for the customer to recognize the brand. At Olive Garden, they do their merchandising in a different way. They do not display their products at the website. Most of their displays are at the restaurants’ menus. One can also contact them to place an order which they deliver to their customers as per the order. It is the same case at Sizzler. Their foods and beverages are displayed at their menu. Another company that merchandizes by displaying their products on the internet is coca cola company. Marketing involves influencing customers to buy your products. A successive marketing technique should meet the customers’ expectations (Garlough, p. 33). McDonalds also has a marketing strategy that has helped it become a force that is difficult to beat in the market. It has a marketing mix that is attractive to many customers. Their prices are ones that most customers are willing to pay. In addition, the company also makes numerous advertisements on TV and newspapers. It also identifies its hotels, which are visited, mostly and this assists it when developing its marketing strategies. They carry out research so as to establish the correct marketing mix. Their service is quick and friendly too (McDonald’s Corporation, p. 2). The marketing strategies in other food service companies are not so different from that of McDonalds. For Sizzler, Olive Garden and Chilis, they all market their products through advertisement in the media and newspapers. Techniques used by companies are extremely influential in getting customers to buy the company’s. In fact, in my perspective I purchased coffee from McDonalds due to the merchandising technique they use to market their products. Attractive displays by a company in their advertisement and merchandising techniques have the ability to attract customers. Restaurants such as Chilis and Sizzler do not have a marketing technique that is as strong as that of

Tuesday, July 23, 2019

Materiality in Auditing Essay Example | Topics and Well Written Essays - 2000 words - 6

Materiality in Auditing - Essay Example Materiality levels of organization are often undisclosed to avoid fraud that may be conducted by the parties involved in preparing financial statements. Analysis of the fundamentalism and the secrecy of materiality are essential in understanding how this concept is applicable in the auditing profession. Materiality is a concept that describes discrepancies in the financial statements that may mislead the decision making process of users of those records (Stuart, 2012). The discrepancies may be included or omitted in the financial statements intentionally or as a result of errors in recording. If users of accounting records would not change their decision after the correction of the discrepancies, the misstatement are said to be immaterial. However, if users of financial statements would change their decisions after the corrections, then the discrepancies are said to be material (Messier, Martinov-Bennie, & Eilifsen, 2005, p. 5). Materiality in the financial statements may be individual or collective. Individual materiality is the one that occurs when a record in an account is recorded wrongly. Collective materiality, on the other hand, is the one that arises when the total discrepancies in two or more accounts of a similar classification mislead decision makers (FRC, 2013). Auditors have to determine the level of discrepancies that they will find to be immaterial and those that are material at the planning stage. The materiality level is usually stated in quantitative figures such as percentages. For example, the auditors may state that a misstatement of the income before tax by 5% and below is immaterial while the error is material of it exceeds this allowance (Lessambo, 2013). Examiners use professional judgement to determine the materiality allowances because there is no formula of calculating the amount. Auditors make their judgements based on their understanding of the factors that influence the decisions of users of financial reports (IAASB, 2009).

Council Responsible for Genetics Essay Example for Free

Council Responsible for Genetics Essay The Council for Responsible Genetics (CRG) is a non-profit NGO with a focus on biotechnology , the Council for Responsible Genetics was founded in 1983 in Cambridge, Massachusetts. An early voice concerned about the social and ethical implications of modern genetic technologies, CRG organized a 1985 Congressional Briefing and a 1986 panel of the American Association for the Advancement of Science, both focusing on the potential dangers of genetically engineered biological weapons. Francis Boyle was asked to draft legislation setting limits on the use of genetic engineering, leading to the Biological Weapons Anti-Terrorism Act of 1989. CRG was the first organization to compile documented cases of genetic discrimination, laying the intellectual groundwork for the Genetic Information Non-discrimination Act of 2008 (GINA). The organization created both a Genetic Bill of Rights and a Citizens Guide to Genetically Modified Food. Also notable are CRGs support for the Safe Seeds Campaign (for avoiding gene flow from genetically engineered to non-GE seed) and the organization of a US conference on Forensic DNA Databanks and Racial Disparities in the Criminal Justice System. In 2010 CRG led a successful campaign to roll back a controversial student genetic testing program at the University of California, Berkeley. In 2011, CRG led a campaign to successfully enact (GINA) in California which extended genetic privacy and non-discrimination protections to life, disability and long term care insurance, mortgages, lending and other areas. The Peoples Petition The Peoples Petition was an online campaign to express support for medical experimentation using animals in the United Kingdom. Within a year of launch the number of signatures exceeded 21,850 and included Tony Blair, the then-serving Prime Minister. By 13 May, the petition had recorded 13,000 signatures. The following day, in the wake of publicity around a number of acts of intimidation by animal rights activists, then British Prime Minister Tony Blair announced in the Sunday Telegraph, that he intended to add his name to the petition. As an unusual move for a serving politician, Blair described his intention as a sign of just how important I believe it is that as many people as possible stand up against the tiny group of extremists threatening medical research and advances in the UK. The petition offered the opportunity for individuals of any age or place of residence to express support for three assertions: * Medical research is essential for developing safe and effective medical and veterinary treatments, requiring some studies using animals. * Where there is no alternative available, medical research using animals should continue in the UK. * People involved in medical research using animals have a right to work and live without fear of intimidation or attack.

Monday, July 22, 2019

Mission of the IMF Essay Example for Free

Mission of the IMF Essay The primary and most important mission of the IMF is declared to be provision of monetary assistance to countries facing serious economic and financial troubles from the accumulated funds of the IMF from the deposits of the organizations 185 member nations. Although the stated goal of the provided aid is therefore to help the distressed nation sail through their difficulties, simply the fact that these aids are associated with certain conditionalities which essentially make them tied aids, do make the veracity of such an assumption dubious. Although the conditions that are attached with the provided aids are justified as being necessary amendments that the receiving nation has to make to ensure that such distress does not revisit the nation, often the structural adjustments that are suggested and actually imposed seem to have more potential benefits for nations other than the recipient. The fact that the IMF’s judgements and decisions are made through voting in which the members with higher shares of subscription receive higher weightage casts further shadows of doubt on the proper motivations for the Fund’s actions. Therefore, there is reason to believe that the IMF’s true goals are actually masked with justificatory reasoning which attempt to establish it in glorious roles but are actually in line with those of certain economic powers that dominate the IMF’s decision making and reap the benefits of enforcing changes upon nations weakened enough to have no other choice but to accept the conditions and thereby actually cause greater benefit to those economies rather than themselves. When one sees these aids in light of such motives, in spite of the stated motives, the term aid certainly becomes a misnomer. The so called Austerity programs of the IMF which by definition seek to restore a distressed nation to a state so that it is able to repay its debts by advocating reduced government spending and increased taxes have been subject to a lot of controversy. Currency devaluation is often a recommendation of the IMF to distressed countries in these programmes. But, neo-classical supply-side economists claim, to the governments of poor nations with struggling economies which are force to seek foreign aid, such pro-Keynesian policies which are actually tailor made for advanced capitalist economies undergoing depression are destructive to economic prosperity. The IMF also advocates increased taxes as part of these programmes to ensure increased government revenue. But critics point out that such increased taxation implicitly implies recessionary pressure on the economy, some thing it is certainly not in a state to handle being in a distressed enough state to seek foreign aid. The potential economic contraction that is likely to follow has more chances of damaging the economy rather than working in its advantage. In fact Stiglitz (2002) argues that in converting to a rather Monetarist approach, the IMF had lost all valid purpose, of its existence as provision of funds for nations to enable them to carry out Keynesian reflations was what it was designed for. The IMF’s success has been considerably limited in light of the very significant number of failures it has faced. The fact that it has been able to increase overall international cooperation and promote trade openness is a largely highlighted success of the institution. It is also posited that since its inception and more since the Second World War, the IMF’s active intervention has led to enhanced global macroeconomic stability and growth. However, since the 1980s critics claim that more than 100 of the member countries have faced banking collapses which have led to reductions in GDP by four percent or more, a precedent by far since post depression history (Stiglitz, 2002). It is often pointed out that the IMF actually responds to or often causes crises rather than prevent them. The long lag in the response time to any crisis is also noted to be one of the very significant failures of the institution. As direct examples of the IMF’s intervention worsening the situation of a nation we can cite the instance of Argentina, which had been previously considered as a model country by the IMF for its compliance to the Fund’s policy proposals. This nation experienced a severe crisis in 2001, an event mostly attributed to budget restrictions induced by the IMF which significantly reduced the governments ability to maintain infrastructural expenses and it failed to provide even in very crucial and basic areas like health, education, and security. Another example of IMF Structural Adjustment Programmes actually aggravating a problem was the Goldenberg scandal in Kenya. The IMF imposed mandatory regulations on the Kenyan central bank which till then oversaw all currency in and out flows, which required it to permit easier currency movements through reduced regulations in the market for foreign exchange and the capital market. Although this adjustment failed to deliver miserably on its promise of increased foreign investment it allowed, it certainly allowed billions of Kenyan shillings to be siphoned off thereby actually leaving the country far worse off than before the implementation of the IMF reforms (Axel, 2003). References: Dreher, Axel (2003). The Influence of Elections on IMF Programme Interruptions. The Journal of Development Studies 39 (6): 101–120 Stiglitz, J. , (2002) Globalization and its Discontents, New York: WW Norton Company

Sunday, July 21, 2019

Diagnostic Test Related Musculoskeletal System Health And Social Care Essay

Diagnostic Test Related Musculoskeletal System Health And Social Care Essay Both of these can reveal levels of various minerals and other substances indicating disease or a musculoskeletal disorder. The levels of certain protein in the blood may also help diagnose a disease. Blood and Urine samples are the most common tests used to diagnose problems within the musculoskeletal system. Also, prior to surgery, blood samples are used to detect bleeding tendencies. Urinary N-telopeptide of type 1 collagen or N-Tx and deoxypyridinoline (Dpd) both reflects increased osteoclast activity and increased bone resorption. b. Nerve Conduction Studies It is used to measure the electrical activity of muscles when a muscle fiber contracts to determine if the muscles and nerves are working properly. It is performed by stimulating a peripheral nerve at several points along its course and recording the muscle action potential or the sensory action potential that results. Usually, surface or needle electrodes are used. It is placed on the skin over the nerve to stimulate the nerve fibers. A technique called truax biography will show nerve conduction patterns, which changes in various muscle and nerve diseases. c. Imaging Procedures X-Ray Studies Bone X-Rays determines the bone density, erosion, and changes in bone relationships. It is used to diagnose broken bones or joint dislocations, guide orthopaedic surgery such as spine repair or infusion, assist in detection and diagnose of bone cancer, and locate foreign objects around soft tissues and in bones. Joint X-Rays reveal fluid irregularity, spur formation, narrowing and changes in joint structure. It is used to detect degenerative conditions on the joints, fractures, and tumors. Multiple X-Rays with multiple views are also needed for full assessment of the structure being examined. Computed Tomography It is used to identify the location and extent of fractures in areas that are difficult to evaluate such as acetabulum. It can be performed with or without the use of contrast agents and can illustrate a detailed specific plane of involved bone and can also reveal tumors of the soft tissues or injuries to the ligaments or tendons. Magnetic Resonance Imaging It can demonstrate abnormalities such as tumors and narrowing of tissue pathways through the bone. It is a noninvasive procedure and electromagnets are used that is why patients with any metal implants, clips or pacemakers cannot have an MRI. IV contrast agent are used to enhance visualization. Arthrography It identifies acute or chronic tears of the joint capsule or supporting ligaments of the knee, shoulder, ankle, hip, or wrist. A radiopaque contrast agent or air is used. It is injected into the joint cavity to visualize the irregular surfaces. The joint will be put through its ROM to distribute the contrast agent accompanied by a series of X-Rays. If the contrast agent leaks, it means a tear is present. 2. Discuss musculoskeletal changes associated with the aging process. Aging leads to changes in balance, cartilage and bone tissue. The normal aging process does not need to have limited movements. Mobility is affected by personal lifestyle and the degree of activity that the individual has maintained throughout their life. Although, some of the limitations of mobility occurs as a result of fear, such as fear of falling. a. Changes in Balance The maintenance of balance relies on integrating responses from the visual system, vestibular system in the inner ear and the proprioceptors in the muscles and joints. And with aging, older people requires greater angular movement in joints for proprioception to be achieved. b. Cartilaginous Changes There is loss in the normal elastic properties of cartilage due to an increase in water loss and deposition of fibers. The increased fiber density in connective tissue and cartilage produces a mesh or interconnection for the deposition of calcium. And this accounts fot the increased calcification of cartilage with aging. The hyaline cartilage also loses fluid and is converted to fibrocartilage. The articular cartilage changes with the elasticity being lost. Thinning occurs over the weight bearing areas which affects functioning such as the changes in the menisci of the knee joint that will inhibit free movement. The loss of water from cartilage in the intervertebral discs leads to compaction of the vertebrae and shrinkage of the spinal column, which is seen as a loss in height. Many joint of the body becomes stiffened with aging. The height loss is also affected by joint changes and by the flattening of the arc of the foot. c. Bone Changes Osteoporosis is a normal aging process as the androgen decreases. It is an imbalance between bone reabsorption and formation. If it is severe, it may cause fractures and may lead to bowing of the long bones and to an increase in spinal curvature due to vertebral collapse. 3. Discuss patient preparation for an arthroscopy. Arthroscopy is a procedure used to directly visualize a joint to diagnose joint disorders. Various treatments can also be performed through the arthroscope such as treatment of tears, defects, and disease processes. Arthroscopy is most often performed as an outpatient procedure. It is a essentially a bloodless procedure with generally few complications. It is performed in the operating room under sterile conditions. Injection of local anesthesia into the joint or general anesthesia, a spinal or epidural anesthesia is used. The patient should be able to tolerate the anesthetic agent used. Heart and lung function should be adequate. Existing problems such as emphysema should be optimized as possible prior to surgery. Anticoagulants should be carefully adjusted prior to surgery if the patient is taking them. Preoperatively, physical examination, blood tests and urinalysis will be performed. If the patient has a history of heart or lung problems, and is above the age of 50, an ECG and chest X-ray is obtained. The patient should also have instruction on exercises and postoperative mobilization such as crutch walking. Patients are generally encouraged to mobilize the affected part following surgery with adequate analgesia. 4. Discuss components of a musculoskeletal physical assessment. a. Posture Spine is assessed for normal curvature. It is convex through the thoracic portion and concave through the cervical and lumbar portions. Kyphosis, lordosis and scoliosis are common deformities of the spine. Kyphosis is mostly seen in elderly patients with osteoporosis and in some with neuromuscular disease. The entire back, buttocks and legs should be exposed during inspection of the spine. Spinal curves and trunk symmetry are inspected from posterior and lateral views. Differences in the height of the shoulders or iliac crest are noted. Symmetry of the shoulders and hips, line of the vertebral column are inspected at erect position and patient bending forward. Height should be measured especially in adults because in older adults, loss of height occurs due to loss of vertebral cartilage and osteoporosis. b. Gait Have the patient walk away for a short distance and observe the patients gait for smoothness and rhythm. Unsteadiness and irregular movements which are frequently seen in elderly patients are abnormal. c. Bone Integrity Deformities and alignments are assessed in the bony skeleton. Symmetric parts are compared. Abnormal bone growths are observed. Shortened extremities, amputations, and body parts that are not in anatomical alignments are documented. If fractures are present, movement must be minimized to avoid additional injuries and some may include abnormal angulation of long bones, motion at points other that joints and crepitus. d. Joint Function ROM, deformity, stability and nodular formation are noted. ROM is done both actively and passively. Goniometer can be used for precise measurement of ROM. If the joint is compromised or painful, it should be examined for effusion, swelling and increase in temperature for it may reflect active inflammation. If there is positive inflammation on the joints, a physician is consulted. Palpation of the joint while it is in passive movement will provide information on joint integrity. The joint normally moves smoothly; snap or crack indicates a ligament is slipping over a bony prominence. The slightly roughened surfaces results in crepitus. Tissues around the joints are examined for nodule formation. The size of the joint is often exaggerated by atrophy of the muscle proximal and distal to that joint which is seen in rheumatoid arthritis. e. Muscle Strength and Size Muscular strength and coordination, size of individual muscles, and patients ability to change position are assessed. Muscle tone is determined by palpating the the muscle while passively moving the relaxed extremity while muscle strength is assessed by having the patient perform certain maneuvers with and without added resistance. Muscle clonus may also be elicited by sudden, forceful, sustained dorsiflexion of the foot or extension of the wrist. Involuntary twitching of muscle fiber groups may be observed. The girth of an extremityis measured to monitor increased size. It may decrease due to muscle atrophy. It is important that the measurement be taken at the same location of the extremity and with the extremity in the same position, with the muscles at rest. Distance from a specific landmark must be indicated. Variations in size greater than 1cm are considered significant. f. Skin Skin is inspected for edema, color, and temperature. Palpation is performed to reveal if any areas are warmer which suggests increased perfusion of inflammation, or vice versa. Cuts, bruises, skin color, and evidence of decreased circulation or inflammation are noted. g. Neurovascular Status Frequent neurovascular examination is important for patient with musculoskeletal disorders due to the risk for tissue and nerve damage. Circulation, motion and sensation are assessed. SOURCES: Brunner and Suddarths textbook of Medical-Surgical Nursing 12th Edition Julia Kneale et. al. (2005) Orthopaedic and Trauma Nursing 2nd Edition Clinical Assignment 1. Complete a musculoskeletal physical assessment. a. Temporomandibular joint Inspection: No swelling 3 fingers can be inserted sideways Palpation: No swelling and tenderness Both side firm, same strength There was a snap during opening Muscle strength The jaw can move in all directions and can move against resistance b. Cervical spine Inspection: Neck is straight and head is erect Palpation: No swelling and tenderness No spasms Both side firm, same strength Patient was able to do the following: flexion, extension, lateral bending and rotation Muscle strength Can oppose resistance applied c. Thoracolumbar spine Inspection: No deformity Vertically aligned Palpation: No swelling and tenderness No spasms Percussion No tenderness Muscle strength Can flex, extend, laterally bend and rotate spine Can oppose resistance applied d. Upper extremities Inspection: No deformity on both sides Symmetrically aligned No deviations Palpation: No swelling and tenderness No spasms No atropy Fat pads fairly solid No synovial thickening Percussion Negative tinels sign Muscle strength Can perform ROM in shoulders, elbows, wrists and hands Can oppose resistance e. Lower extremities Inspection: No deformity on both sides Symmetrically aligned No deviations Palpation: Hip joint not swollen No swelling and tenderness No spasms No atrophy Muscle strength Can perform ROM in shoulders, elbows, wrists and hands Can oppose resistance Web Assignment 1. Summarize an article discussing techniques used in assessing the musculoskeletal system. How do the components of the health history guide the assessment? http://www.medkaau.com/videos/peguide.pdf There are general and regional considerations in the article. The general considerations are as follows; the patient should be undressed and gowned as needed, some parts of the exams may not be appropriate depending on the clinical situation. Examining the musculoskeletal system is all about anatomy. When taking the patients history for acute problems, we should always inquire about the mechanism of injury, loss of function and onset of swelling or edema. Also, the initial treatment should be asked. Meanwhile, when taking the patients history for chronic problems, we should ask the patient about past injuries and treatments, effect of function, and current symptoms. There are cardinal signs of musculoskeletal disease which are pain, swelling, redness, increased warmth, deformity, and loss of function. We should always begin with inspection, palpation, and ROM regardless of the region being examined. A complete evaluation will include a focused neurologic exam of the affected area. IPPA is first used in examination then active and passive ROM exercises in specific joints. After this, vascular status, pulses, capillary refill, erythema, cyanosis, clubbing, and lymphatic are assessed. The last things to be examined are the specific tests for Upper Extremities Snuffbox Tenderness, Drop Arm Test, Impingement Sign, Flexor Digitorum Superficialis Test, and Flexor Digitorum Profundus. And these are the vascular and neurologic tests; Allen Test, Phalens Test, and Tinels Sign. And these are for the lowe extremities; Collateral Ligament Testing, Lachman Test, Anterior/Posterior Drawer Test, Ballotable Patella, and Milking the Knee. For the Back are the following tests Straight Leg Raising, FABER Test which stands for Flexion, ABduction, and External Rotation of the hip. It is used to differentiate hip or sacroiliac joint pathology from spine problems.

Saturday, July 20, 2019

Identity of Women in Jack Kerouac’s On The Road Essay -- On The Road e

The Identity of Women in On The Road      Ã‚  Ã‚   The women in Jack Kerouac's work, On The Road, are portrayed as superficial and shallow, while the men display depth in character. Women are stereotyped as falling into one of three categories; virginal, maternal or promiscuous, and, throughout the novel, are referred to in a facetious, derogatory manner. ‘Sal’, the protagonist, expresses sexist attitudes, which are a result of both his upbringing and societal attitudes of the time. Although the novel does highlight the problem of sexism, ultimately it does nothing to criticise it, but in fact projects it.    In On The Road, there are many instances in which female identity is diminished. These arise in the novel’s treatment of female characters such as ‘Marylou’ (a friend of Sal’s and one of two wives of another central character, Dean), Sal's Aunt, and ‘Terry’ (a girlfriend of Sal’s). Marylou, for example, is treated as an object with the sole purpose of satisfying Dean wishes. He uses her for his own sexual gratification and, in some instances, the sexual gratification of his friends, but does not view her as a complex individual, nor does he value her for her personality. Thus, Marylou is perceived by the male characters to fall into the ‘promiscuous’ category, and is referred to in the novel as a ‘whore’.    At the end of ‘part one’ of the novel, the reader witnesses the unjust treatment of Sal’s aunt. Sal has just returned from his first trip west, and is tired and starving. Taking advantage of his aunt’s sympathy, he eats everything in her house. He does not, however express any gratitude toward this kindness, but takes it for granted. Thus, his aunt is perceived only as a maternal figure. He does not look bey... ...This perception of female identity causes the men in the novel to feel superior and dominant. The sexual discrimination and denigration of female identity evident in On The Road, is a reflection of societal attitudes of the time. Works Cited and Consulted: Bartlett, Lee. The Beats: Essays in Criticism. Jefferson, N.C.: McFarland. 1981. Cassady, Carolyn. Heartbeat: My Life With Jack and Neal. Berkeley: Creative Arts Books Company. 1976. Cassady, Neal. "Letter to Jack Kerouac." March 7, 1947. Challis, Chris. Quest For Kerouac. London: Faber and Faber Limited. 1984. Dardess, George. "The Delicate Dynamics of Friendship: A Reconsideration of Kerouac's On The Road." American Literature. v46: 200-206. 1974. Kerouac, Jack. On The Road. New York: Penguin Books Limited. 1955. Watson, Steven. The Birth of The Beat Generation. New York: 1978    Identity of Women in Jack Kerouac’s On The Road Essay -- On The Road e The Identity of Women in On The Road      Ã‚  Ã‚   The women in Jack Kerouac's work, On The Road, are portrayed as superficial and shallow, while the men display depth in character. Women are stereotyped as falling into one of three categories; virginal, maternal or promiscuous, and, throughout the novel, are referred to in a facetious, derogatory manner. ‘Sal’, the protagonist, expresses sexist attitudes, which are a result of both his upbringing and societal attitudes of the time. Although the novel does highlight the problem of sexism, ultimately it does nothing to criticise it, but in fact projects it.    In On The Road, there are many instances in which female identity is diminished. These arise in the novel’s treatment of female characters such as ‘Marylou’ (a friend of Sal’s and one of two wives of another central character, Dean), Sal's Aunt, and ‘Terry’ (a girlfriend of Sal’s). Marylou, for example, is treated as an object with the sole purpose of satisfying Dean wishes. He uses her for his own sexual gratification and, in some instances, the sexual gratification of his friends, but does not view her as a complex individual, nor does he value her for her personality. Thus, Marylou is perceived by the male characters to fall into the ‘promiscuous’ category, and is referred to in the novel as a ‘whore’.    At the end of ‘part one’ of the novel, the reader witnesses the unjust treatment of Sal’s aunt. Sal has just returned from his first trip west, and is tired and starving. Taking advantage of his aunt’s sympathy, he eats everything in her house. He does not, however express any gratitude toward this kindness, but takes it for granted. Thus, his aunt is perceived only as a maternal figure. He does not look bey... ...This perception of female identity causes the men in the novel to feel superior and dominant. The sexual discrimination and denigration of female identity evident in On The Road, is a reflection of societal attitudes of the time. Works Cited and Consulted: Bartlett, Lee. The Beats: Essays in Criticism. Jefferson, N.C.: McFarland. 1981. Cassady, Carolyn. Heartbeat: My Life With Jack and Neal. Berkeley: Creative Arts Books Company. 1976. Cassady, Neal. "Letter to Jack Kerouac." March 7, 1947. Challis, Chris. Quest For Kerouac. London: Faber and Faber Limited. 1984. Dardess, George. "The Delicate Dynamics of Friendship: A Reconsideration of Kerouac's On The Road." American Literature. v46: 200-206. 1974. Kerouac, Jack. On The Road. New York: Penguin Books Limited. 1955. Watson, Steven. The Birth of The Beat Generation. New York: 1978   

Dealing with Clinical Depression: A Rough Idea :: Biology Essays Research Papers

Dealing with Clinical Depression: A Rough Idea Life is full of ups and downs. Every individual experiences mood changes, which are mere reaction to everyday experiences. The loss of a loved one might produce sadness while graduating from school might elicit happiness. Likewise a sunny day might make you smile while; a gray day in the winter might produce the â€Å"blues.† And yet, these reactions are normal, although by no means experienced by all whose lives are touched by the events. The blues are usually short-lived, hours to a few days in duration. They rarely disrupt ability to work and are rarely seen by outside observers as a marked shift in behavior ((2)). Yet the occasional blues is very different from the persistent â€Å"down,† that people with depression experience. It is estimated that in the United States about 19 million people or one in ten adults experience depression each year. Nearly two-thirds do not get help for the disease and or receive the treatment they need. They might be too embarrassed or ashamed to get help or they may not realize that they are depressed and need help. Others think that depression is just part of life and their feelings of sadness will pass in time. While most people experience depression at some time during their lives, depression that last more than a few weeks requires treatment (2). That is the odd thing about depression. Few of us think twice about going to the hospital to set a broken limb, because we know a health-care professional can help us. It is the same for depression. There is a long-running controversy about the cause of depression, which means no one, knows for sure: some say our personal history or experiences (psychology) cause depression, others say brain chemistry causes depression. Yet others say that depression is caused by genetic predisposition (4). Though all theories are valid and supported by various scientific findings, defining the cause of depression is complicated. Obviously, no two individuals become depressed in the same way. For example, one might become depressed from stress while another person might have a genetic predisposition to the disease. To add to the complication of depression, there are various types of the illness. Furthermore, various combinations and severity of symptoms can cause depression and many people su ffer only some traits associated with depression ((2)). Dealing with Clinical Depression: A Rough Idea :: Biology Essays Research Papers Dealing with Clinical Depression: A Rough Idea Life is full of ups and downs. Every individual experiences mood changes, which are mere reaction to everyday experiences. The loss of a loved one might produce sadness while graduating from school might elicit happiness. Likewise a sunny day might make you smile while; a gray day in the winter might produce the â€Å"blues.† And yet, these reactions are normal, although by no means experienced by all whose lives are touched by the events. The blues are usually short-lived, hours to a few days in duration. They rarely disrupt ability to work and are rarely seen by outside observers as a marked shift in behavior ((2)). Yet the occasional blues is very different from the persistent â€Å"down,† that people with depression experience. It is estimated that in the United States about 19 million people or one in ten adults experience depression each year. Nearly two-thirds do not get help for the disease and or receive the treatment they need. They might be too embarrassed or ashamed to get help or they may not realize that they are depressed and need help. Others think that depression is just part of life and their feelings of sadness will pass in time. While most people experience depression at some time during their lives, depression that last more than a few weeks requires treatment (2). That is the odd thing about depression. Few of us think twice about going to the hospital to set a broken limb, because we know a health-care professional can help us. It is the same for depression. There is a long-running controversy about the cause of depression, which means no one, knows for sure: some say our personal history or experiences (psychology) cause depression, others say brain chemistry causes depression. Yet others say that depression is caused by genetic predisposition (4). Though all theories are valid and supported by various scientific findings, defining the cause of depression is complicated. Obviously, no two individuals become depressed in the same way. For example, one might become depressed from stress while another person might have a genetic predisposition to the disease. To add to the complication of depression, there are various types of the illness. Furthermore, various combinations and severity of symptoms can cause depression and many people su ffer only some traits associated with depression ((2)).

Friday, July 19, 2019

Brown vs. Board of Education Art Exhibit :: Art Museum Exhibit Race Segregation

One of Art’s Messages When I first walked into the Krannert Art Museum, I had no idea where to begin seeing that this was my first visit to the museum. So I asked a man who worked there to point me in the general direction of the exhibit known as â€Å"Eight Artists Address Brown v. Board of Education.† The man gave me directions, and showed me into the section for the exhibit. I walked into two small rooms, which I thought was a little small for the work of eight artists. Despite the size, I had no idea where to start. So I took a quick look around the exhibit, which was empty except for the security guard who, upon my arrival, jumped up from his seat. Throughout my time at the museum, this guard was constantly checking me, like a hawk waiting for its prey to make a move before coming in for the kill, as if I were going to do anything other than look at the exhibits. His evil gaze was a little unnerving, however, I persisted in my work. In order to decide where to start, I spun around in a circle, coming to a stop at Pamel Vander Zwan’s and Carrie Mae Weems’ work on Plessy v. Ferguson. This was a series of five photographs in black and white featuring Zwan and Weems, one black and the other white, fighting over a chair in the middle of a checkered black and white room. It did not matter which picture started the series, because the two on the ends were the same picture. If going in a linear order, depending on where you started, the second and fourth pictures showed the two women struggling for the chair with the white women having the upper-hand, and the black women trying to take the chair away. Which ever direction you took, the pictures always ended the same way, with each women back where they started. It was at this point that I found a little book that describes each exhibit, which helped me to understand the pictures. Not knowing the background behind Plessy v. Ferguson, the struggle for the seat didn’t make much sense. The history is written saying that Homer Plessy was a black man who sat in the â€Å"white man only† car of a train, quite a rebellious feat for his time.

Thursday, July 18, 2019

Steel and Continuous Improvement

Continuous improvement as a business strategy Introduction The steel manufacturing company Corus focuses on meeting the needs of its worldwide customers and providing innovative solutions. It manufactures, processes and distributes steel and aluminium products worldwide. Corus is a subsidiary of Tata Steel, part of the giant Indian conglomerate. Tata Group includes businesses in many industries – for example, chemicals, automotive, telecommunications, leisure and consumer goods (such as Tetley Tea). Tata Steel acquired Corus in 2007 as part of a strategy of international expansion.Steel is everywhere in our homes and all around us. Corus Construction & Industrial (CCI), a business unit of Corus, has steel manufacturing facilities in Scunthorpe, Teesside, Scotland and France. The key markets for CCI include construction, energy and renewables, engineering and machinery, mining and earthmoving equipment, shipbuilding, fastenings and rail. The principle manufacturing site at Scun thorpe covers 2,000 acres and employs 5,500 people. The site consumes 6. 5 million tonnes of iron ore and 2 million tonnes of coal each year to produce 4. 3 million tonnes of steel products.CCI products go into a range of leading edge developments: Rail Steel Sections Main supplier to Network Rail, SNCF (French railways) and Metronet (London Underground) Wide ranging construction projects – e. g. warehousing, shopping centres, hospitals, tower blocks (Canary Wharf), bridge components, stadia, machinery (bulldozer track shoes, fork lift trucks) Everything from paperclips to bolts, to bed springs, bridge wire (for suspension bridges), tyre cord (to strengthen vehicles tyres) Ships, construction and mining machinery, wind towers, oil rigs, bridges, (e. g. the Humber Bridge), major construction projects, tanks and pressure vessels.Steel plate is also used in harnessing renewable energy such as in wind turbine towers. CURRICULUM TOPICS †¢ Continuous improvement †¢ Empowe rment †¢ Target setting †¢ Changing culture GLOSSARY Subsidiary: an organisation that is part of a larger company. Sections: H or I cross-section steel beams and columns in various lengths and thicknesses. Rods: long lengths of generally round (typically 5-15mm diameter) cross-section steel supplied in coils. Plates: large area flat steel. A typical ordered size is 10m long x 2. 5m wider. Thicknesses range from 6mm to 80mm. Plant: buildings or machines used in industry.Differentiate: to distinguish a business from its competitors. Steel Rods Steel Plates Modern steel production is a large scale operation dealing in huge quantities of materials and products. The process of steel plate production has several stages: †¢ receipt of pre-cut steel slabs from the steel plant †¢ reheating of slabs †¢ rolling to achieve required dimension and mechanical properties †¢ initial inspection for surface or quality defects †¢ cutting to order size †¢ marking with unique identities †¢ cold levelling to agreed flatness standard †¢ final inspection †¢ loading and despatch to customer.Producing large volumes helps to drive down the costs of running huge and expensive steel plant. Overall, this results in steel being a relatively inexpensive product, typically around 50 pence per kilogram, about the same as a kilogram of potatoes. In a major building project, such as a shopping complex, the cost of the steel can be as little as 5% of the overall cost of the project. Because of these issues, CCI needs to differentiate its business from its competitors in order to continue to grow. 57 CORUS www. thetimes100. co. ukGLOSSARY Greenfield site: land not yet built on or buildings on land that has not been used for building before. Continuous Improvement (CI): continuous incremental improvements in manufacturing and other processes. Inventory: a stockpile of goods. Lean production: an approach to production that looks to minimise waste and inefficiency. Scheduling: planning activities showing the times or dates when they are intended to happen. Takt time: the maximum time allowed to produce a product to meet demand. Taken from German ‘taktzeit’ – ‘clock cycle’.Culture: the typical pattern of doing things in an organisation. Facilitate: make possible or easier. Engagement: people being committed and involved with ideas or activities. CCI’s business strategy is to produce quality steel to satisfy customer requirements, focusing on delivering products at the right time in order to secure profitable business. A key challenge is to meet the increasing demands for more steel, at increasing levels of quality and to comply with more demanding delivery requirements. It would be straightforward to meet these challenges using brand-new facilities.However, a new ‘greenfield site’ steel mill could cost more than ? 300 million to build. CCI therefore needs to make process ef ficiencies and quality and delivery improvements with its existing manufacturing plant. This presents challenges when older facilities are not well structured to use modern manufacturing techniques and processes. This case study focuses on the process of Continuous Improvement (CI) at the CCI steel plate manufacturing mill at Scunthorpe. It will show how Corus is finding new ways of achieving its objectives from existing resources.Continuous Improvement Continuous Improvement is often referred to by the Japanese word ‘Kaizen’. Kaizen means ‘change for the better’ and covers all processes in an organisation. These include engineering, IT, financial, commercial and customer service processes, as well as manufacturing. CI involves making continual small improvements to a process rather than big changes at irregular intervals. This requires close monitoring and control, changes to the uses of manpower, machinery, methods, materials and money to improve business efficiency.Continuous Improvement starts with management and under their leadership works down through the organisation. The underlying theme is that everyone is responsible and has a part to play in making improvements. All employees must work together to identify the steps needed to improve working practices. Planning meetings help teams to focus on satisfying customer needs. Visual management techniques, such as flow charts and wall charts make clear what resources are necessary and who is responsible for each part in the process. Everyone has the opportunity to eliminate waste.This is any activity or process that does not add value. A key question to define waste is ‘would a customer pay for that process? ’ There are seven main areas of waste for any business: †¢ transportation – moving materials or products about †¢ inventory – keeping too much or the wrong stock †¢ motion – people moving or travelling excessively †¢ waitin g times – allowing products to wait for processing †¢ overproduction – making too much †¢ over processing – doing too many processes during manufacture †¢ defects – errors or flaws in the product causing rework or needing to be scrapped.Production processes that minimise waste are referred to as ‘lean production’. In these processes, the aim is to use less of everything, for example, space, materials or time. CCI in Scunthorpe is looking to reduce waste in its plate manufacturing process. It has adopted the concept of ‘flow’. This means that the products are ‘pulled’ through the process according to customer demand. All parts of the production process, from the supply of raw steel (slab) to the finished steel plate, are carefully planned.Scheduling for each element of the process ensures that bottlenecks are kept to a minimum. Each process is paced (known as ‘takt’ time) to control the amo unt of product in each stage of the process. This ensures that processes operate smoothly without overload or delay and keep the desired output and quality. Tonnage was the traditional key measure of productivity for CCI. For employees to work to a smooth paced process needed a significant culture change. Implementing a Continuous Improvement culture CI needs team work. In Scunthorpe, a CI manager coordinates the process. 0 CI Coaches chosen from the workforce received training to facilitate improvements. CCI has put together a ‘toolbox’ of techniques which the coaches use with managers, employees and operators. These help everyone understand where and how they can improve their work. A CI culture means that everyone can put forward ideas and have a say in how processes can change for the better. This is known as engagement. 58 An organisation needs to know where it is going in order to be able to put in place the resources it needs to achieve its plans.This is set out in a vision. Scunthorpe plate mill has set out a 5-year vision improvement plan which will help in the process of developing a CI culture for the business. Everyone in the organisation has to understand and actively support the plan. Workshops for all employees have taken place to explain the vision and why the change is necessary if CCI is to remain competitive. www. thetimes100. co. uk GLOSSARY Vision: a concise summary in words, setting out what an organisation is striving to achieve. Stock rotation: keeping goods moving in order.Feedstock: material supplied into the start of the process, eg steel slab prepared for subsequent rolling to steel plate. Empowered: authorised to take decisions. Helped by the CI Coaches, workers have drawn maps of their processes. These show the links between the stages of manufacturing as well what information flow is needed. The maps show: †¢ details of tonnages †¢ number of products †¢ rework cycles †¢ inspection points †¢ s tocks †¢ delays †¢ costs. The first part of this process is a ‘current state value stream map’. This shows what the systems and processes are like now.The next stage considers what the ‘future state map’ would look like. This highlights what CCI needs to do to achieve this state, for example, investing in new processes, equipment or additional staffing. Scunthorpe plate mill has 16 system maps. These link to each other to give an overview of the whole process. For each of the 16 systems, a number of rules about stock levels and stock rotation have been set up: †¢ Stock rotation ensures that the plates for one customer do not become buried beneath others and therefore delayed. The required amount of slab steel (‘feedstock’) must be in front of the mill by the Tuesday of the week in which the material is to be rolled. †¢ By rolling plates in the planned week, the mill is properly paced and all ‘downstream’ process es (such as cutting, levelling and inspection) can be scheduled accordingly. Using the value stream maps has helped CCI to improve process flows and the working environment. It has also reduced unnecessary motion, transport and processing.By taking these small steps and involving everyone in the vision, the delivery of product has increased from 70% of plates on time to 92% on time. Target setting CI working requires everyone to think differently about the way they work. It was recognised that people might be resistant and cling on to old ways of working. The key was getting all workers to see change as their responsibility. The CI coaches support the teams and individuals and promote or ‘champion’ new ways of working. Over time, the team and individuals are empowered to take responsibility and make decisions for themselves.To help workers accept the changes, the 5-year plan established a timeline for the programme of introducing change. Year Nature of attitudes to chan ge within the organisation Expertise and responsibility for CI 2007 Resistant (workers resist change) 2008 Adaptive (workers begin to adjust to new ideas) Champions and change managers 2009 Accepting (workers start to apply new methods) Manufacturing and process managers 2010 Embracing (workers recognise the benefits of change) Team leaders 2011 Performing (new ideas are fully adopted by the workers) The team CORUS CI coaches 59An important part of the Continuous Improvement programme was the creation of Key Performance Indicators (KPIs). Previously, measures at Corus were largely based on tonnes of steel rolled. This did not show whether it met customers’ needs or whether the steel needed rework because it didn’t meet customer requirements. www. thetimes100. co. uk Corus has set new KPIs which focus on meeting customer deadlines, such as: †¢ a zero backlog of customer orders – this means customers always get their deliveries on time †¢ meeting targets for rolling steel plate in its allotted week.Corus monitors and measures how its operations compare with other producers and competitors in the steel industry. This process of benchmarking means that Corus is continually reviewing its activities to achieve best practice. Corus shares relevant information both within and across Corus to drive improvement. It also spreads appropriate technical knowledge and information across the steel industry through international groups such as the International Iron and Steel Institute.GLOSSARY Key performance indicators: criteria against which the success of an individual or organisation is measured. Benchmarking: using an index, standard or point of reference to measure or judge a quality or value. Best practice: the development of performance standards based upon the most efficient practices within an organisation. Lead time: the time taken from receipt of order details from the customer to receipt of the ordered goods at the customer. The ben efits of Continuous ImprovementThere are significant costs involved in setting up a Continuous Improvement programme, including: †¢ allocating employee time to participate in group work †¢ training coaches †¢ setting up a manual of tools and techniques. However, Corus is already seeing the benefits of CI with: †¢ reduced waste through lean production †¢ improved product quality †¢ reduced rework time †¢ faster response times, giving more customers their orders on time †¢ becoming more competitive by driving down costs †¢ retaining/gaining customers through innovative products and services.KPIs show that the Scunthorpe mill is achieving its targets for rolling steel in planned weeks and is delivering almost 100% of customers’ orders complete and on time. Scunthorpe Plate Mill aims to have all orders complete and on time by March 2009, while at the same time reducing lead time. The principles of team working help to create a more fle xible workforce. This gives Corus the capacity to increase or change production when necessary. In addition, Corus employees are more likely to be satisfied and motivated when they feel that they are making a contribution.They can see their expertise helps to create a more effective company. By empowering its workers, Corus gains a more committed workforce which helps to drive further improvement. The Times Newspaper Limited and  ©MBA Publishing Ltd 2008. Whilst every effort has been made to ensure accuracy of information, neither the publisher nor the client can be held responsible for errors of omission or commission. Conclusion Corus is transforming production at its Scunthorpe plate mill through Continuous Improvement.This way of working encourages all employees to behave as team members to identify and support work improvement opportunities. Increasingly employees at every level are making improvement their responsibility, which provides employee job satisfaction. Continuous Improvement helps Corus to provide quality products and services for customers with on time delivery. CI supports Corus’ aim to achieve satisfied customers and secure repeat sales and longer term orders. It is part of a long term strategy based on service to develop the business.It aims to improve operational demands to fulfil customer expectations and out-perform competitors. Questions 1. What is Continuous Improvement? Who would be involved in this process and what would they be doing to enable improvements? 2. Describe the type of culture Corus is developing. How will the vision plan help to develop this culture? 3. Analyse how achieving its KPIs will help Corus to give its customers satisfaction. 4. Evaluate the key benefits of CI in helping Corus to become a more innovative and customer focused organisation. www. corusgroup. com 60

Wednesday, July 17, 2019

Doctrine of Judicial Precedent Essay

IntroductionStatutes and deterrent example legal philosophy be dickens substantive sources of the UK faithfulness. In the convention of common rightfulness, the jurisprudence utilise to a causal agency is unyielding by sum of legal actor and statutory description. There provoke be effectiveness of legal agent and statutory description in separation as headspring as when they are combined in the emergence of legality. To what extend open fire a judge develop the law through and through the military operation of doctrine of judicial preceding(prenominal) and application to the reign overs of statutory description go out be discussed in this concession. In the premiere place, this assignment will sacrifice an presentment to judicial spring and statutory rendition. In the second place, how great direct judicial precedent and statutory interpretation develop the law will be analysed and evaluated. Eventu onlyy, the conclusion of this assignment wil l be given. judicial precedent, a procedure whereby adjudicate follow foregoing occurrence with sufficiently correspondent occurrences, regulates font law, which is crucial to protect law perceptual constancy. As MacCormick said to understand case law is to understand how it is that detail ratiocinations by particular judge concerning particular parties to particular cases fecal matter be use in the expression of general rules applying to the actions and transactions of persons at large. (James, 2010) Judicial precedent applies to the doctrine of survey decisis.That is to not disturb the decisions that are settled. For instance, through the stare decisis, the brook of schoolmasters held that the manufacturers owed a debt instrument of wangle to their ultimate consumers of their goods in the case of Donoghue v Stevenson (1932), creating a hold fast precedent followed in Grant v Australian plain stitch Mills (1936) in respects of duty of care and neighbor principle. The cover precedent is a legal principle make by the ratio ascertainndi, the causation for the decision. This means that the ratio decidendi must be followed with the course credit of the legal reason for the decision in the foregoing case (Jacqueline, 2010). The remainder of a judgment is Obiter dicta. It is a statement make by the way, which though is not binding precisely can be cogent in the future cases.Statutory interpretation is the process of how the statutes interpreted and employ by a judge. There are quartette approaches develop to deal with the task of interpretation, including true rule, golden rule, impairment rule and purposive rule. When actual rule is apply, the words in the statutes are given their dictionary, original or everyday importee, with the respect to the will of fan tan. For instance, in Whitley v Chappell (1868), with the application to true(a) rule, the mashyard held that the defendant was not guilty since a dead person is not, in the literal meaning of the word, entitled to vote. well-to-do rule was defined in blue-eyed(a) v. Pearson4 (1857), the ordinary sense of the words is to be adhered to, unless it would lead to absurdness, when the ordinary sense whitethorn be modified to avoid the absurdity but no further.One of the illustrated cases is Re Sigsworth (1935). A son murdered his vex entitled to nothing since the dally applied golden rule to modification to save repugnancy and absurdity. Instead of determining what the Parliament said, the chicanery rule is applied to what Parliament meant. The prejudice rule was applied in smith v Hughes (1871). Lord Parker CJ held that the activities of prostitution were in a street or human race place for the intension of the Act to foreclose the mischief of the impact of solicitation on the passers by. With a wider application, purposive rule is aimed to give promotion to the general legislative social function emphasizing the provisions.Lord Denning stated we dumbfound here to find out the function of Parliament and of ministers and carry it out, and we do this cleanse by filling in the gaps and devising sense of the enactment by break it up to destructive analysis. In Cutter v Eagle lead story (1998), sooner of literal rule, purposive rule is applied, holding that car park was a road, which underlies the Road Traffic Act (1988). Also, a purposive approach is now ofttimes applic suitable as a subject of European Law. (James, 2010) Examples and evaluations of knowledgeThe judicial precedent is regarded as the backbone of the common law whereas approaches of statutory interpretation confuse developed as significant tools in interpreting the statutes. Further more(prenominal), on that point has been a notable synergy amid judicial precedent and statutory interpretation in the emergence of law. premiere of all, the development of law can be achieved by applying a suitable decision from antecedent cases with similar materi als. In the case of Shaw v DPP (1962) the residence of Lords held that a curse of conspiracy to corrupt public ethical motive existed. The conspiracy to corrupt public morality consisted of an assentment to corrupt public ethics by means of the magazine, and the defendants had been rightly convicted. This was followed in Knuller v DPP (1973), being held that an agreement to print adverts to facilitate the commission of homosexual acts in the midst of adult males in private was a conspiracy to corrupt public moral philosophy (E- lawresources, N/D).Therefore, with the application to doctrine of judicial precedent, the decision in a previous case can be applied to similar cases in the future, which then can contribute to the development of law in terms of quantity, foregone conclusion and stability. In addition, since lucid decisions are provided, the law is more achievable to ensure fairness, and the citizens can be more willing to trust the law with authorization of being treated fairly. On the opposite hand, it is said that the doctrine of judicial precedent can be too rigid, as in that respect seems to be a leaning that the binding precedent will be strictly applied in the decisions of cases. Also, since there are no uniform cases, the operation of the doctrine of judicial precedent may lead to a certain breaker point of in umpire, leaving limited s charge per unit for the development of law.However, the rigidity of judicial precedent can be avoided in practice through the exceptions of decisions including application of overrule and distinguishing (James, 2010). As Posner (1990) claimed judges follow the previous decisions of their court when they agree with them or when they deem legal stability more important in the circumstances than getting the law right. But a precedents analogical substance means simply that the precedent contains study relevant to the decision of the present case. (Richard, 1990) contempt following the precedent st rictly, judges are able to change the decisions in cooperation with facts.The lend oneself Statement was made by Lord Gardiner in1966, allowing the House of Lord to change its previous decision when it appears right to do so in an attempt to achieve justice (Jacqueline, 2010). To illustrate, in Miliangos v George Frank (Textile) Ltd (1976), the House of Lord overruled Re United Railways. In the case of Re United Railways (1961), it had been held that all debts were to be paid in superlative in an English civil case. In the case of Miliangos v George Frank (Textile) Ltd, the House of Lords held that damages could be awarded in any(prenominal) other foreign currency in the contract, due to the changes in conditions of foreign permute (Vaughan, 2010). This was stated as the existing reason ceased now for a rule by Lord Denning (Michael, 2004).Distinguishing is another technique used by judges in array to avoid a previous binding decision that may cause awkward or unsuitable resu lts. The case Balfour v Balfour (1919) is often cited in conjunction with Merritt v Merritt (1970) by way of illustration of how distinguishing works. In both of the cases, a married woman sued her economize for breach of contract. In Balfour v Balfour, base on the fact that the parties had not even been divorced when the agreement was formed, the court held that there was no enforceable agreement, owing to a rebuttable presumption against intention to create a legally domestic agreement. In the case of Merritt v Merritt, however, the claim was successful.The court was able to distinguish the material difference among two cases. Lord Denning stated that When husband and wife, at arms length, decide to separate and the husband promises to pay a sum as maintenance to the wife during the separation, the court does, as a rule, arrogate to them an intention to create legal notifications. (Zander, 2004) As a result, the appeal from the husband in this case was dismissed. The exce ptions of decisions enable the judges to be more flexible in relation of following or refusing earlier decisions from similar cases, which seems to extend the power of the law lords to create law and the berth for the development of law. However, it may decrease the level of law certainty and predictability.Regardless of the role statutory interpretation plays in helping judges deal with the task of interpreting statutes, the application and development among the four rules of statutory interpretation can promote law to adapt to ever-changing needs. In practice, judges are continually applying the existing rules to new fact situations and hence being able to keep pace with the changes of society. Firstly, approaches to statutory interpretation can put to the creativity and flexibility of law. Applying purposive rule, the court of the case of Royal College of Nursing v DHSS (1981) held that the Abortion Act 1967 aimed at preventing the mischief of back-street abortions where no me dical care was provided. Therefore, with the increase of medical technology, abortion became legal to be administered by nurses. (James, 2010)In addition, rules of statutory interpretation can ensure the willing of Parliament. judge cannot make law, which is the role of Parliament, however, they can and do try to give effect to Parliaments intentions by using statutory interpretation. For instance, in the case of R v Registrar General ex parte metalworker (1991), purposive rule was applied instead of literal rule due to the fact that the applicant was confirmed to be risky to his natural mother by a psychiatrist and Parliament could never have intended to promote such overserious crime. Consequently, the applicant was failed to obtain his birth credential (Jacqueline, 2010). Approaches to statutory interpretation provide opportunities for judges to apply to diametrical rules flexibly base upon the facts and the intention of Parliament. However, increases of flexibility and cre ativity of law may cause decreases of certainty and consistency. belong but not least, as two major aspects of the UK law, the interrelationship of the doctrine of judicial precedent and the rules of statutory interpretation are significant to the development of law. For example, in pharmaceutical Society of Great Britain v Boots Ltd (1953), there is a technical legal meaning of offer for sale. With the application to literal rule, the display of goods in a shop class shelf was held as an invitation to treat but not an offer to sell. This decision was followed in Fisher v Bell (1961). The court held that the display of product in a shop window was an invitation to treat and hence there was no violation of the Act. (James, 2010) conclusionAs a consequence, with doctrine of judicial precedent, previous cases can be applied to cases with similar facts in the future, whereas with statutory interpretation, unlike decisions can be made with choices of different rules depending on diffe rent facts. The synergy between these two aspects produces certainty, elasticity and withdraw space for the gradual development of law. In conclusion, although a degree of rigidity and instability efficacy occur in the progress of law development. Judicial precedent and statutory interpretation in combination can depute to an increased level of certainty, consistency, flexibility, and elasticity of the law, creating an appropriate space for a gradual development of law.Bibliography1.James, H., 2010, Learning statutory Rules2.Jacqueline, M., 2010, Unlocking The English Legal System3.E-lawresources, N/D, Internet Available from Accessed 11 /11/ 2012 4.Richard, A, P., 1990, The Problems of Jurisprudence5.Vaughan, B., 2010, Foreign specie Claims in the Conflict of Laws 6. Michael, Z., 2004, The Law-Making Process