Sunday, December 29, 2019

American War Of Independence And The French Revolution Essay

Romanticism as a movement is as rebellious as its content. Lynch and Stillinger attempt to define it historically rather than continuously, naming it the â€Å"shortest †¦ period in British literary history† (3). They place it within the timespan of 1785 to 1832, beginning between the American War of Independence and the French Revolution and ending with the passage of the Reform Act in British Parliament. In this time of reflection and change, authors re-examined the previously discarded medieval romances and breathed new, strange life into them. Romantic art became a form of activism, against structures both political and poetic. To account for Romanticism’s â€Å"complex multiplicity† (4), Lynch and Stillinger mention five distinct characteristics of British Romantic work: the piece is written by a British author between 1785 and 1832, it is a response to a politically or socially impactful event, it features rebellion to convention, it is imaginative, and it utilizes imagery. Coronations, executions, massacres, abolition, wars, rebellions, and revolutions are a lot to handle in under half a decade. Constant change and turmoil was the reality for British Romantic writers (28- 29). With all these happenings, â€Å"political philosophy gained new authority in and through poetry and fiction† (4) as every Romantic author wrote asserting their two cents on the latest issue. They wrote with a purpose to spark new a new thinking or perspective on the subject, to â€Å"guide historical change† (4)Show MoreRelatedRevolutions: The Road to Independence Essay877 Words   |  4 PagesRevolution is a significant change of control or authority within a governmental setting. Most Revolutions are caused by political, social, and economic disputes. Consequently, the common matter for the American, French, and Latin America revolutions emerged to gain their own independence. In North America, the colonists put emphasis on their independence from Great Britain and established a new republic. In France, protesters abolished the authority of France and reorganized the French society,Read MoreThe American Revolution And The War Of Independence964 Words   |   4 Pagesaspects of the American Revolution and the war of Independence, especially consisting of the people directly involved within the Americas. Of course the people of the colonies were involved because they were the main participant in the war and the British were involved because that is who the colonies were fighting to gain independence from. The Indians were involved in a minor way, mainly on the British side. The African Americans also played a part in helping the Americans. The French also playedRead MoreFrench Revolution vs American Revolution1534 Words   |  7 PagesEssay 2/26/13 CC Essay French and American Revolution Both the American and French revolutions were focused on liberty and equality. America was trying to gain freedom from the rules, unfair taxation, War debt, and lack of representation from the British. The French Revolution on the other hand wanted to abolish the French monarchy and create a better government in which people could have more of a say in society, and also had similar causes as the American Revolution. They were similar inRead MoreEssay on Comparison of the American and French Revolutions1022 Words   |  5 PagesComparison of the American and French Revolutions The American and French revolutions both compare and contrast in their origins and outcomes; both revolutions began due to the common peoples need to obtain independence and liberty from an oppressive government. The American Revolution was triggered by the American colonists need for financial independence from the overpowering nation of Great Britain, while the French revolution was a struggle to gain social equality among the masses. AlthoughRead MoreThe American Revolution : The Fight For American Independence Essay1155 Words   |  5 Pages The American Revolution: The Fight for American Independence Jaden Luttrell Central High School November 10, 2015 5th Period â€Æ' Abstract The purpose of this research paper is to do more than simply provide an accounting of the events of the American Revolution. Instead, I will provide a detail of how the French and Indian War impacted the revolution, and missteps by the British Empire led to the American fight for freedom. In doing so, you will come to understand how the American fight forRead MoreEssay On The French Revolution And American Revolution1370 Words   |  6 PagesThe American and French Revolutions are both unforgettable historical events that have made a substantial and severe impact on the present-day society. The American Revolution was an influential time period, lasting from 1774-1783, where the 13 British colonies in the Americas rebelled against the rule of Great Britain for independence. The French Revolution was a period of chaos from 1789 to 1799, where the people of France tried to overthrow their monarchy, King Louis XVI. Both of these RevolutionsRead MoreHistory : The American Revolution E ssay1435 Words   |  6 Pagesmoral quality, which was strongly held in the people’s hearts in America, and it consequently spread to other countries in the world. It is believed that American Revolution was the most important chapter in human history just because it was their action that made the ideals of liberty, equality, and justice to materialize. The American Revolution had a very big significance worldwide as it changed the world not by removing and altering of power in any of the states but by the appearance of the newRead MoreHistory : The American Revolution1442 Words   |  6 Pagesmoral quality, which was strongly held in the people’s hearts in America, and it consequently spread to other countries in the world. It is believed that American Revolution was the most important chapter in human history just because it was their action that made the ideals of liberty, equality, and justice to materialize. The American Revolution had a very big significance wo rldwide as it changed the world not by removing and altering of power in any of the states but by the appearance of the newRead MoreThe Unjust American Freedom1447 Words   |  6 Pagesway the Americans gained independence may not be as valiant as it seems. The war lacked just war criteria despite many arguments. The idea was foolish and unnecessary and proved the lack of development amongst this young territory. Many factors lead to this premature uprising and the French and Indian War is a great reason for most of those factors. The decision by the American colonists to revolt against British rule was premature and overly aggressive. The American plea for a Revolution did notRead MoreThe American And French Revolutions1517 Words   |  7 PagesThe American French Revolutions The American Revolution and French Revolution were unique in world history because they used the ideas of freedom and equality from the Enlightenment, but understood them differently at the same time. Both revolutions occurred around the same time- the 18th Century, the American Revolution began on the 4th of July when Thomas Jefferson wrote the Declaration of Independence (Dr. Taylor). The French Revolution then follows in 1789, provoked by â€Å"...a greater demand

Saturday, December 21, 2019

“Article 23 of the Indian Constitution †Tool of...

â€Å"Article 23 of the Indian Constitution – Tool of Protection against Exploitation† TABLE OF CASES * Gaurav Jain v. Union of India, AIR 1997 SC 3021 * In the matter of: Prison Reforms Enhancement of Wages of Prisoners, AIR 1983 Ker.261 * Labourers Working on Salal Hydro Project v. State of Jammu Kashmir,AIR 1984 SC 177 * Nihal Singh v. Ram Bai, AIR 1987 MP 126 * People’s Union of Democratic Rights v. Union of India, AIR 1982 SC 1473 * Raj Bahadur v. Legal Remembrancer, Govt. of West Bengal, AIR 1953 Cal 522 * Ram Kumar v. State of Bihar, AIR 1984 SC 537 * Rohit Vasavada v. Ge. Man., IFFCO, AIR 1984 Guj 102 * R.K Tangkhul v. R.S. Khullakpa, AIR 1961 Man 1 * Sanjit Roy v. State of†¦show more content†¦* Pandey, J.N., ‘The Constitutional Law of India’, 47th Edition. This book contains numerous case laws which are relevant and thus it helps in better understanding of the topic with ease. Also, the case laws are very briefly stated so as to give an idea and gist of the case in a significant manner. CHAPTER II ------------------------------------------------- Right against Exploitation Article 23, being a fundamental Right, have assumed great significance and have become potent instruments in the hands of the Courts to ameliorate the pitiable condition of the poor in the country. According to Article 23 (1), traffic in human beings, beggar, and other similar forms of forced labour are prohibited and any contravention of this provision shall be an offence punishable in accordance with law. Article 23 (1) proscribes three unsocial practices, viz. 1) beggar; 2) traffic in human beings; 3) forced labour. A significant feature of Article 23 (1) is that it protects the individual not only against the State but also against the private citizens. 2.1 ABOLISHMENT OF BEGGAR The term beggar means compulsory work without payment. Beggar is labour or service which a person is forced is forced to give without receiving any remuneration for it. The practice was widely prevalent in the erstwhile princely States in India before the advent of theShow MoreRelatedSocial Justice And Empowerment Assignment3787 Words   |  16 Pagesprogress. We need two kinds of identity for living in any society, those are social and economic who has social power they also will also possess the economic power and for ruling on any society these powers are very important. Due to long time exploitation and ignorance, marginalized people are having their life in harsh poverty, illiteracy, health problem, malnutrition and superstition, etc. In India, we can categorize marginalized people based on caste, gender, disabled, minorities (religious,Read MoreMemorial: How to Prepare for the Moot Court Competition6544 Words   |  27 PagesJournal 2.4 Articles 2.5 Cases 2 3 4 4 4 5 7 8 9 10 12 25 3. 4. 5. 6. 7. 8. STATEMENT OF JURISDICTION STATEMENT OF FACTS ISSUES RAISED SUMMARY OF ARGUMENTS BODY OF PLEADINGS PRAYER MEMORIAL ON BEHALF OF PETITIONER LIST OF ABBREVIATIONS Sr. No. 1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. 12. Abbreviated Forms FDI AIR SC SCC Edn. v. Pg. Hon‟ble Art. UOI Vol. U.S.A. Full Forms Foreign Direct Investment All India Reporter Supreme Court Supreme Court Cases Edition Versus Pages Honourable Article Union ofRead MoreProject Report on Awerness of Consumer Protection Act14651 Words   |  59 Pagesconsumers and this influences individual behavior to a great extant. Consumer awareness is the knowledge that a consumer should have about his/her legal rights and duties. It is must for a consumer to follow these rights. It is implemented for the protection of the consumer, so that the consumer is not exploited by the seller of the products. In the context of a democratic form of government, which depends for its sustenance upon the enlightenment of the populace, awareness is at once a social andRead MoreIndian Social Structure and Values Ethics in Business13564 Words   |  55 PagesINDIAN SOCIAL STRUCTURE AND VALUES ETHICS IN BUSINESS : NATURE AND TYPES OF INDIAN SOCIETY : 1) Tribal Society : The tribals are economically, educationally and politically backward as compared to the non-tribals. One scholar has called tribal people â€Å"Backward Hindus†. However there is a sizable number of Tribals who are Christian. The tribes of India before independence were considered animistic by the by religion Census authorities. Distinction was made between those who were Hindu andRead MorePlachimada Case Study13995 Words   |  56 PagesCritical Analysis of the Act V. CONCLUSION INTRODUCTION Plachimada is often cited as a prime example of corporate aggression over natural resources and the consequent denial of the rights of the people. It has also been portrayed as the fight against a multi national corporation by a small section of the local population in order to protect basic human rights, such as the right to drinking water and the right to livelihood. What happened in Plachimada is often raised in discussions about the state’sRead MoreEarly Marriage9846 Words   |  40 Pagesconsidered as a family matter and governed by religion and culture, which ensure its continuity. It remains therefore a widely ignored violation of the rights of girls and women and exposes them to multiple risks, including to sexual abuse and exploitation. Compiled from a study undertaken by Mira, B. AGHI, this paper examines early marriage in the region in order to offer information for analysis and discussion. The Prevalence Of Early Marriage In South Asia It is very difficult toRead MoreChild Labour7466 Words   |  30 Pages†¢ Irrelevant and non-attractive school curriculum †¢ Employers prefer children as they constitute cheap labour and they are not able to organize themselves against exploitation. Causes of Child Labour Some common causes of child labor are poverty, parental illiteracy, social apathy, ignorance, lack of education and exposure, exploitation of cheap and unorganized labor. The family practice to inculcate traditional skills in children also pulls little ones inexorably in the trap of child laborRead MoreWomen as Commodity8915 Words   |  36 Pages(commissioning mother) and the biological (surrogate mother). Surrogacy breaks down and devolves the role of mother, separating the social and nurturing part of motherhood from the genetic contribution and the birthing process. Commercialization and Exploitation While surrogacy in general raises a host of social and ethical problems, I believe that commercial surrogacy in particular can crystallize the difficulties that many people have with surrogacy, and help us get to the core of how surrogacy affectsRead MoreWomen as Commodity8899 Words   |  36 Pages(commissioning mother) and the biological (surrogate mother). Surrogacy breaks down and devolves the role of mother, separating the social and nurturing part of motherhood from the genetic contribution and the birthing process. 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Friday, December 13, 2019

Koito Case Free Essays

string(37) " a higher dividend can be justified\." Koito-Pickens-Toyota Case Question 1 The Japanese corporate governance system differs vastly from the US system. Discuss corporate governance issues that may arise under the Japanese keiretsu. The corporate governance system in Japan is widely different from the US one insofar as it mostly involves a unique business model called â€Å"Keiretsu†. We will write a custom essay sample on Koito Case or any similar topic only for you Order Now A Keiretsu is a form of corporate structure that groups a set of companies with interlocking board of directors and common business interests. Thus, due to its particular structure, some governance problem may arise under this Japanese Keiretsu: ) Issues from the perspectives of financiers Because the business is considered almost like an extended family, the financing may become political and the Japanese Keiretsu will almost always give favor to members of their Keiretsu. This could lead the financiers, for instance, to finance a company member of their Keiratsu they wouldn’t have finance otherwise. As far as the potential financiers are concerned, the main issue is the difficulty to enter and invest in the Keiretsu. Getting financial information about the Keiretsu firms could be complicated insofar as the financial and accounting statements are not disclosed. Thus, such discretion could lead to an ambiguity or a lack of understanding from an outside perspective. Actually, the keiretsu are just trying to protect themselves from what they fear the most that is to say the yakuza and the greenmailing. b) Issues from the perspectives owners As mentioned above, the keiretsu are suspicious towards the â€Å"outside† and this behavior may make foreign owners face some difficulties. Because the keiretsu system is much more in favor of inside shareholders than the outside ones, the former may find some difficulties to make the most of their shareholder rights. And this can maybe explain why the outside shareholders are often a minority in comparison with the shareholders of the keiretsu. Moreover, even if one of the outside owners becomes the biggest one, as T. Boone Pickens did, he may not be able to use his rights as he hoped. c) Issues from the perspectives suppliers One of the main issues for external suppliers is to the relationship between OEMs and suppliers that often leads to dumping on the prices and enables the outside supplier to compete with such cheap prices. As far as the integrated suppliers are concerned, the exclusive partnership with the keiretsu they belong enables them to do business with another leading firm and to gain market shares. d) Issues from the perspectives employees On the one hand and in case of horizontal integration, the very structure of a Keiretsu can lead into a confusion in management. The management transfers are so frequent that employees do not understand for which company they really work for is. One the other, the strong stability that comes out from this system could lead to a lack of action and performance from employees. Question 2 What were T. Boone Pickens’ motives when he bought the share? In the eyes of many, Mr. Pickens was only acting as a front man for Mr. Watanabe, a well-known green mailer in order to pave a way to gain power and control over the corporation. Mr. Pickens denies all these accusations of greenmailing by claiming that he bought the share to carry out a â€Å"test case† in order to evaluate the accessibility of the market. In others words, his initiative has the only aim of checking whether the United States could make, in the future, profitable investments in Japan depending of the degree of welcome of the market. Moreover, it is not implausible to think that one motive of T. Boone Pickens was the quest of profit. It should be borne in mind T. Boone Pickens targeted Koito as an undervalued investment opportunity in so far as he anticipated a Koito stock rise due to the tight link between Toyota and Koito. The good performances of Koito stock combined with the rise of the net income and sales reinforce this idea due to the fact that the shareholder’s average annual return has impressively increased. So the pursuit of rise of the dividends could have motivated him to buy the share. As the largest shareholder of Koito Manufacturing, is he entitled to representation on the board, does Japanese law allow for that? If not what in the law could he use to get an equivalent result? With 26. 4% of stock, T. Boone Pickens should have been entitled to representation on the board of Koito insofar as the Japanese law gives him rights due to the fact that he owns more than 10% of stock. But not so in the Japanese Keiretsu point of view. He was overwhelmingly denied board access in a 1989 annual meeting. †¦It is not a custom in Japan just to say, ‘I’ve become a major shareholder so I should become director. ’†, said Takao Matsuura, president Koito Manufacturing Ltd. There are reasons to wager that his seat on the board was compromised by the fact that the company considers him as a greenmailer. Knowing that T. Boone Pickens was planning to increase his stake to 30%, he could obtain board representation by acquiring 4% more than what he expected . In fact, the Japanese law states that those with at least 34% ownership could propose special shareholder resolutions. An alternative would be to establish a new relationship between Mr. Pickens and all the members of the keiretsu based on loyalty and transparency. They would not suspect him of greenmail anymore. We can suppose that T. Boone Pickens has chosen this way insofar as he supported the adoption of a proposal prohibiting Koito from paying greenmail. Question 3 Besides board representation, T. Boone Pickens demanded higher dividend payouts. Were his demands justified? Provide quantitative evidence to back your answer. Besides board representation, T. Boone Pickens asked for higher dividend payout saying that â€Å"Boone Co’s philosophy was to put stockholder interests first† (page 7) and in this very case, his demand for a higher dividend can be justified. You read "Koito Case" in category "Papers" Indeed, when we look at the dividend payout ratio for the period 1982 – 1985 (Table 1), it decreases meanwhile the retained earnings was increasing (Table 2). Moreover, at the same period, the proportion of cash was also increasing. In others words, the retained earnings were not invested enough and stay as cash. Then in 1986, we noticed that the payout ratio increased up to 39% and at the same time the retained earnings and the cash goes strongly down. Finally, almost the same phenomenon is observed between 1988 and 1990. In other words, the payout ratio is not positively correlated to the retained earnings which are not invested and stay as cash. Table 1 Table 2 Is there anything in the Japanese commercial code that would allow Pickens to try to get more dividends? If yes, why doesn’t he use this? If not, based on your experience as an international investment banker, what changes would you recommend him to propose? In order to increase dividends, T. Boone Pickens had several solutions. Indeed, many researches on the conflicts of interest between majority and minority shareholders show that dividend  payout  is negatively related to ownership concentration and support the assumption that large shareholders do not appear to use dividend policy to remove excess  cash. In other words,  firms with concentrated ownership are less likely to increase dividends when profitability increases and more likely to omit dividends when investment opportunities improve. So, T. Boone Pickens could decrease the ownership concentration of Koito. There are also some more aggressive solutions to get more dividends. T. Boone Pickens could increase his shares ownership in order to increase his decision power in the General Assembly insofar as â€Å"a owner of 34% or more of the outstanding stock could propose special shareholder resolutions†. Question 4 Pickens accused Toyota of limiting profits earned by Koito Manufacturing. Explain how the mechanism works? This mechanism is related to the very structure of keiretsu insofar as Toyota, like most Japanese OEM, owns equity positions in its suppliers. In 1986 almost half of Koito’s output was bought by Toyota and at the same time, Toyota has built a dominant position over Koito by having a 19%-part of Koito’s ownership. Therefore, Toyota was not just one of Koito’s customers but also one of its owners. Through its powerful influence and thanks to the close and informal relationship between Toyota and its suppliers, the car manufacturer had been able to negotiate supply contracts, lower prices and then limited profits earned by Koito. Is this a self-dealing transaction? According to Steven L. Emanuel (â€Å"Corporations†, 2009), a self-dealing transaction occurs when three following conditions are met : (1) A key player (officer, director or controlling shareholder) and the corporation are on opposite sides of a transaction, (2) The key player has helped influence the corporation’s decision to enter the transaction (3) The key player’s personal financial interests are at least potentially in conflict with the financial interests of the corporation. In the case of Koito, 3 members out of 23 are Toyota’s executives. Even if these 3 members are no longer Toyota’s executives, the Japanese notion of loyalty and the business relations between Toyota and Koito (Toyota buy 48% of Koito’s output) could imply that these three chairmen could act in favor of Toyota or at least try to satisfy the two companies. And in this way, the supplier was treated unfairly and conflicts of interests might have occurred. If Pickens gets access to financial information, how can he set out to prove his accusations? If you were an investment banker, what accounts or data would you tell him to scrutinize. If Pickens gets access to financial information, he could analyze the Income Statement and compare the evolution of the growth of sales and the growth of gross profit over these past years. Generally, sales and gross profit evolve in the same direction unless there is a below cost-selling. However, here we noticed for example that in 1986, as sales had grown by almost 10,2%, gross profit had grown by 7% and that in 1990, when the sales had grown by 10. 85%, gross profit had only grown up by 2. 8%. Such comparisons could be setting off alarm bells and could point out the fact that Toyota is limiting profits earned by Koito Manufacturing. On the other hand and if he can, he could also compare directly the price of goods sold to Toyota with the price of the same goods sold to minor customers such as Hino Motors. A high difference between the two prices combined with the fact that three directors of Koito are retired Toyota executives, would prove these â€Å"self dealing transactions†. Would you suggest to change the charter of the organization of Koito? As investment banker, I would suggest him to analyze thoroughly the income statements and the supply contracts between Toyota and Koito in details to reinforce his accusations. As far as the charter of the organization of Koito is concerned, I would suggest to add a clause which enables a person somehow related to a strong customer or a strong supplier to be appointed as director to Koito’s board of directors. Question 5 Toyota has threatened to cut all ties with Koito Manufacturing if Pickens take over the company. How would this affect Pickens investments? If you were a minority shareholder in Koito Manufacturing, whose side would you take? Calculate the value of your shares with or without Toyota. Because Toyota is the second largest shareholder in Koito and is its principal customer, representing 48% of the total sales (Exhibit 2), we may think that cutting ties with Koito Manufacturing will lead to huge losses, at least in the first year. Let’s then calculate the value of a share with and without Toyota. In order to use the Discounted Cash Flow methodology, here are the assumptions we made : * The value of the firm is equal to the value of the discounted cash flows for the next four years plus it’s terminal value. The same growth is expected for the coming four years (this growth was calculated as the mean of the previous years growth) * Because the lack of information concerning the cost of equity we used today Koito’s beta (1. 38), a risk free rate of 3% and a Rm of 10% (return on SP) in order to calculate an approximative WACC. Our calculations provide us with a WACC of almost 8%. With Toyota : Without Toyota : If I were a minority shareholder I would probably take Pickens’ side because he puts shareholder interests first. However, I would be careful and make sure that making stockholders’ interest first instead of company’s one will not damage the entity’s wealth. Based on your assessment of the case, are large shareholders an effective solution to corporate gouvernance problem? Based on the analysis of this case, it appears that being a large shareholder is not necessarily an effective solution to the corporate governance problem. Indeed, even if T. Boone Pickens is the largest shareholder, he actually has no influence on â€Å"management issues† including those which concern the amount of dividends paid. How to cite Koito Case, Papers

Thursday, December 5, 2019

Areas of Concern for Copyright Infringement-Samples for Students

Question: Develop a policy for Management that identifies details that assist in the prevention and Management of Copyright Infringements and any possible repercussions for the Company. Answer: Procedure to determine compliance Copyright is a very important factor for the companies at this present moment of time. The Copyright Act of 1968 is used as reference for this policy. Reportedly there have been various types of copyright issues that indicated the need of strict policy for the companies against the copyright infringement issues (Litman, 2017). The policies that are developed would be providing the management assistance in protecting copyright for the company and any type of repercussions for the company. The following policies can be developed for the management to provide protection from the copyright infringement issues: Usage of the technology based deterrents The company should make use of the technology based deterrents such as bandwidth shapers and traffic monitors (Austin, 2016). They bandwidth shapers would be restricting the data usage in the company and this would prevent huge amount of data from within the company to be transferred. The traffic monitoring would allow the analyzer to detect the type of data that is being transferred from the company. In addition to this, they should also accept the Digital Millennium Copyright Act and respond to the notices issues by the Act. They should also block the pirated products and also block the illegal shaping of the files. Educating and informing the staffs The company should look to educate its staffs about copyright protection and the importance of it (Morrision Secker, 2015). They should also make them realize the importance of the copyright for the company and as well as for the individuals. They should also make the staffs aware about the policies that are to be implemented and make them understand the utility of these polices and also train them in order to abide by the company polices. This would prevent copyright infringement within the company. Adopting procedures for handling the unauthorized distribution of the copy right materials The management of the company would be monitoring the staffs and their activities regarding the unauthorized use of the copyright materials from within the company. They would also be able to track the data that is going out of the company and hence, they would be able to keep track on the data of the company and see to it that no issues of copyright infringement take place. They would also decide on the level of infringement that had taken place and would be taking immediate actions on the situation (Rehbein Rumpf, 2017). They would warn the staffs that are taking part in these activities and take severe actions in these incidents keep taking place and occur more frequently. Processes for review and assessment All the procedures and the operations of the company should be review efficiently so that the areas of the fault can be understood easily. They can also be restricted by repeated analysis. In addition to this, the review of the system should be done regularly so that they would be able to have sufficient amount of data for the assessment of the situation. They also review the policy regularly and upgrade it according to their needs. Recommendations for change For copyright owners and the industry group should be more careful in the future so that they are not affected by the infringement in the future. The TCM has expressed that threats such as bootlegging would be increased in the future. ACME merchandisings have also agreed that the infringements would continue to grow. Hence, the authorities should be improving their policies and act in accordance to the policies. References Austin, G. W. (2016). Authors' Human Rights and Copyright Policy.Colum. JL Arts,40, 405. Litman, J. (2017). Digital copyright. Morrison, C. M., Secker, J. (2015). Copyright Literacy in the UK: a survey of librarians and other cultural heritage sector professionals.Library and Information Research,39(121), 75-97. Rehbein, F., Rumpf, H. J. (2017). OP-94: Policy guidelines of situational prevention measures in internet related disorders: Results of a German expert group commissioned by the federal ministry of health.Journal of Behavioral Addictions,6(S1), 45-46.

Thursday, November 28, 2019

Berly Markham essays

Berly Markham essays Beryl Markham lead a remarkable life; from the warm and wild farm in Njoro to the wide open skies over Nairobi, Beru, as most natives said her name of Laweit as Arab Maina called her established grand relationships with not only many of the people she came in contact with, but she also have some special bonds with many of the animals she encountered in her life. Although many of the students complained that some of her characters were one dimensional, her chapters lacked focus or even that she didnt dig deep enough into her personal life. I personally the Beryl Markham was an eccentric in her own rite and wrote about people, places and things that influenced her life the most. Besides that you have to give her praises, for such a unique style of writing. To begin to understand that Markhams childhood was not an ordinary one. Spent most of her youth growing up on a farm in Africa by her father. He father whom she loved dearly, was a very talented horse breeder who instilled the love of horses in Markham. When most girls Beryls age were playing with dolls and drinking tea, Beryl was learning to speak African languages and hunting with the Murani tribe who were in a sense much like Beryls family. Beryls father was away doing business much during the day Beryl the Muranis were much her keeper during the day. I think that her father was the first influential person that we come across in West with the Night Beryls mother left who left with Beryls brother Richard to return to England was really not a part of her life. Beryl looked up to her father, she admired his hard work and honesty and incorporated his words or wisdom in truth in her own life. She recalls the stories her father would tells her when she was younger. She says He would tell me old legends about Mount Kenya or about the Mengai Crater...I would ride alongside and ask endless questions (Markham 58). To think that...

Sunday, November 24, 2019

Social Psychology Passionate Love vs Compassionate Love Essays

Social Psychology Passionate Love vs Compassionate Love Essays Social Psychology Passionate Love vs Compassionate Love Paper Social Psychology Passionate Love vs Compassionate Love Paper Romantic and companionate love How can we distinguish between romantic (or passionate) love and companionate love? Discuss with reference to theory and research. It is said that every human has the desire to affiliate with others and we are not stand-alone units. Despite we may get hurt during the affiliation with the other parties, we still desire to be loved and to avoid being isolated, this is mainly due to the social anxiety and loneliness in our daily lives. Research done by Schachter (1959) presented that, people who is under distressing experience will have the tendency to ook for informal social support or attention of the other people, even if they are completely strangers with each other. Although humans have the strong urge to be loved, they often cannot distinguish between romantic (or passionate) loveand compassionate love. 1 . Lees Typology of Love Theory Therefore, there are a number of theories and research are developed by social psychologists in order to explain the difference between romanticlove and compassionate love. The first one is Lees Typology of Loveproposed by John Allan Lee. According to Gregory P. (2012), Lee opined that there are six types of interpersonal ove comprised of three primary types and three secondary types. In Lees book with the title The Colours of Love,he gives explanation to each type of love and resembles each of them with acolour. Just like the colours of a rainbow that are made up of three primary colours red, blue and yellow, he commented that this is the same to the types of love and by fusing these three primary types of loves, six styles will arise. Eros, Ludus and Storge are the three primary types of loves whereas Mania, Pragma and Agape are the three secondary types of loves after the combination between the rimary styles in various ways. Firstly, Eros (Red) lovers are passionate and constantly searching for passionate lovers too. They view their mate in aesthetic way and this usually involves sensual and sexual enjoyment. Eros is regarded as the stereotype of romantic or passionate love. Secondly, Ludus (Blue) lovers are deemed to be flirty and playful as they view their love as a gameplay. They do not concern much about the commitment towards the relationship because love for them is simple and fun. It is often that their love is full of varieties. Thirdly, Storge (Yellow) lovers are affectionate overs that slowly evolves from friendship due to similarity in taste, preferences and beliefs. For them, friendship and intimacy are more significant than sex and passion. Next, Mania (Violet) is the combination of Eros and Judus. This type of love is of high volatility, which means that it goes between the extremes of highs and lows, thus making the relationship full of uncertainties. Manic lovers get Jealous and obsessed easily and they would like to have a controlling power over their partners and the ending of their relationships are usually so devastating that they will end up ourning their lost love for a long time. In the other hand, Pragma (Greem) is the on logicality and practicality driven by the brains. Normally, cost-and-benefit analysis is done before the relationship is carried out and certain social requirements are needed in order to sustain this type of relationship. Lastly, Agape (Orange) is the combination of Eros and Storge. This type of love is selfless, altruistic and unconditional. Agape seems to be the truest love among the other types of love. Cassie H. (2010) states that Clyde Hendrick and Susan Hendrick expanded on Lees Typology of Love theory through extensive research and found out that relationship based on similar love styles seems to stay longer and thereby concluding that people are inclined to find somebody with same type of love styles as their partners and reject others who do not fulfill into the similarity. This theory narrows down the type of love into six, however, it is superficial to categorize the love into different types and this theory is difficult in distinguishing between passionate love and compassionate love. Need assistance with your paper on a related or a different topic? Team of Ascendnaamba.org, top global MBA essay writing service is ready to help right now! Passionate love versus compassionate love 2. 1 Passionate Love Another theory of love is passionate love versus compassionate love theory developed by Elaine Hatfield. According to Kendra C. (n. d. ), Hatfield divides love into two basic types : passionate love and compassionate love. Passionate love has three components namely cognitive, emotional and behavioral. Cognitive component includes viewing the other person or relationship as an ideal and the urge to get to know each other, emotional component focuses on physiological arousal, sexual attraction and the desire for union while behavioral element involves treating the other and being intimate to him or her. Passionate love is linked with other intense emotions. For instance, when our love is reciprocated, we will undergo closeness, fulfillment and ectasy. Unreciprocated love, on the other side, can be devastating in terms of emotions. It is also suggested that passionate love will arise when we meet someone who is ideal to fit the social norms or cultural expectations about what makes an appropriate partner as well as when we feel physiologically and neuropsychologically aroused thinking about or in the presence of him or her. However, the critism about this that being aroused when we meet the other person oes not necessarily mean that we are in love with them and it is unclear about the reason we fall in love as it is limited to only a few conditions. 2. 2 Compassionate Love According to psychologist Elaine Hatfield (n. . ), Compassionate love has traits such as attachment, intimacy, trust, affection and mutual respect. It usually arises out of the feeling of mutual understanding and shared respect for each other. As contrary to passionate love which is momentary, compassionate love is long-lasting and usually can happen on both close friends or romantic partners. Despite that a passionate love is wild and intense with ups and downs, it will eventually cool down over time and lead to compassionate love which is far more enduring than passionate love. This is healthier for a romantic relationship because it is more comfortable to be a partner who gives you security, shared understanding and mutual respect as highs are Just temporary and will not last forever. It is consistency that keeps a relationship flourish. (Melissa R. , 2008). 2. 3 Similarities Something mutually inclusive between passionate love and compassionate love is hat they both tend to seek a partner who is affectionate, good-looking and who love also have a strong need to live entwined or with each other. Other than that, both of them also requires right timing to be in a relationship. Kendra C. , n. d. ) 2. 4 Differences Passionate love is wild at the commencement of the relationship and slowly fades over time whereas compassionate love is steady and enduring. Passionate lovers are guided by emotions without thinking much of the future while compassionate lovers aim to find a lasting companion. 3. Conclusion Majority of the people yearn for ideal relationships that complement the teadiness of compassionate love with the intensity of passionate love, however, it is believed that this type of relationships is rare. In my opinion, compassionate love is more matured and therefore, should be encouraged among the couples because it is more enduring and truly withstand the test of time. Compassionate love is also good for people for are looking for long lived relationships. However, no matter we are experiencing passionate love or compassionate love, so long as the differences between each other are overlooked and tolerated, this relationship will definitely be healthier. (1250 words)

Thursday, November 21, 2019

American Sign Language Assignment Example | Topics and Well Written Essays - 750 words

American Sign Language - Assignment Example To denote the difference, different spellings are used. For instance, the term deaf (lower case) is used generally to the condition of not being able to recognize sound while Deaf (upper case) is used to identify a particular group of people who share a common language and culture. Like most communities, values, patterns of beliefs, social customs and knowledge that represent characteristics of a community define culture. In addition, there have been efforts to unite and to bring deaf people together. In 1834, the first formal meeting was held and was known as Parisian banquet. Moreover, the first international gathering was held in 1889 in Paris. These activities led to the formation of associations and clubs. Some of the clubs formed, include the National Association for the Deaf in the United States as well as the World Federal for the Deaf. However, research shows that the numbers have been declining, possibly due to class-related issues. Padden further says that families should be aware of the local culture of Deaf people and most importantly, help their children to participate in events for the deaf (Padden, & Humphries, 1999). The development of linguistic and cognitive of deaf children raises concerns of bilingual language acquisition. Padden discusses the bilingual paradigm where deaf children are considered part of a linguistic minority as they acquire language. In addition, for multilingualism children, they must learn how to use each language and how to switch between the languages effectively. Furthermore, for those who use sign language as a first language and who believe they belong to a linguistic minority, to them sign language signifies group membership. The use sign language is a form of expressing values and beliefs that are carried across generations. Therefore, sign language represents a heritage that is common and a

Wednesday, November 20, 2019

Affordable Healthcare Act Essay Example | Topics and Well Written Essays - 2500 words

Affordable Healthcare Act - Essay Example Before elucidating the likely impact, it is of importance to define the words quality, access, and cost in relation to healthcare. A number of aspects are considered when defining quality of healthcare. Quality means that optimum outcomes are achieved, proper identification of illnesses is done, sufficient treatment and rehabilitation achieved, cases documented properly, and laid down standards and values are respected (Miles, 2012). Access to healthcare on the other hand denotes the ease of use and convenience to healthcare facilities or institutions in regard to their propinquity. Access to some extent also is viewed in consideration to the number of healthcare providers or physicians available in a specific area. Areas with fewer health professionals are considered to have less access to care while those with more physicians or health professionals are considered more accessible in terms of care (Miles, 2012). Subsequently, cost of care is viewed in a number of ways. In political realms, cost of healthcare is defined in terms of national as well as State expenditures in health matters. Health care providers define cost in terms of expenditure incurred through offering care services to individuals. In relation to commerce, cost of healthcare is viewed in terms of rates of insurance and premiums (Miles, 2012). Healthcare quality, access, and cost is affected by political issues in a country and the kind of action plans implemented to reform the health sector. In the U.S. in particular, the implementation of the Affordable Care Act (ACA), otherwise known as the Obamacare has impacted the health sector immensely. In fact, there was much opposition to the implementation of this act though the Supreme court eventually ruled in the year 2012 that all features of the act were legal. There was a feeling among many individuals that the fact that the act requires all Americans to enroll for healthcare plans lest

Monday, November 18, 2019

Constitutional and Administrative Law (question in instructions box) Essay

Constitutional and Administrative Law (question in instructions box) - Essay Example However, in practice most of the UK’s administrations in the recent past have normally initiated parliamentary debate as a way of legitimizing military deployments abroad even if parliament is lacking express war powers. In 2006, British Prime Minister Tony Blair in reassessing his government-initiated parliamentary approval for the 2003 deployment of troops in Iraq recognized that he could not contemplate a circumstance in which an executive could single-handedly declare war, unless they are dealing with situations where the use of military would be urgently needed to restore or preserve the security of the state1. In such situations, convening parliamentary sittings, debate and approval of military deployments would be belated, hence the need to circumvent parliament. Either way, holding a parliamentary debate on pre-deployment of military forces, the schedule and any eventual resolutions are not legally compelling to the executive and the Prime Minister to act in a certain way2. The vote on the 2003 military deployments in Iraq marked a significant part in the history of exercising war powers. The Tony Blair government donated more of its war powers to Parliament by engaging the people’s representatives to approve of its military agendas3. The need to involve parliament in war declarations has been reinforced by subsequent qualms about whether the Prime Minister, as the individual charged with micromanaging the country’s security apparatus had made the right decision(s), considering the vital trade-off between national security and the potentially high costs that overseas deployments normally attract. A parliamentary approval of military deployments would cushion the executive from â€Å"extreme† parliamentary oversight that would follow such deployments, particularly when the military actions exceed the pre-planned budgets limits4. The current Coalition government has sought parliamentary

Friday, November 15, 2019

Quality Assurance in Construction Projects

Quality Assurance in Construction Projects ABSTRACT: The main aim of this research is to let readers know how useful quality assurance is and its benefit to the community. To guide construction industries on how they can assure quality in their constructions and also how building industry to can achieve minimum loses and avoid risk on site. Furthermore, to also let contractors satisfy the need of their clients. KEY WORDS: Quality assurance, implementation, improvement, effectiveness and comparison. INTRODUCTION: The main motive behind this research is to produce a reliable source to identify the need for Quality Assurance in Design (Construction). Statistics has revered that lot of problems facing construction work is due to the fact that, Quality is not assured in construction. In my point of view, quality assurance can be done if we avoid all the following problems: Poor coordination of subcontractors work, unable to supervise and verification on site, lack of communication among architects, engineer, subcontractors and material supplies, uncertain instructions and unqualified operators and also misinterpretation of drawings and specification. As a matter of fact these problems can cause frequent delay in project, financial loss in companies and loss of confidence in contractors as result of inefficient quality assurance. A project lacking all these effects could end up as indication in fig 1.1. See below how the demonstration of a good quality assurance project and non quality assured project could be. As you can see from the diagram illustration, the red line explains the stability of a construction with good quality, however it also means that, the construction will not face any problems in some years to come. Whereas, the blue line indicate how a building can be of no quality and as a matter of fact, it is possible for the building to collapse in a short period of time. I have therefore decided to research on the subject as I believe that construction industry could improve upon it performance if the above mentioned is avoided so that construction would be quality assured. Besides, since construction work is team work and all members need to contribute to its effectiveness and quality of the construction, therefore this will allow the members of the project team to identify the main objectives of quality in a project. In order to achieve this, it is better to establish a technique for modeling the relationships between the project environments, objectives, control systems and feedback in the construction process. In this case the purpose will make recommendations to clients of the construction industry and their advisers and about how to make sure projects are quality controlled and assured. PROBLEM FORMULATION Quality Assurance is one of the major areas in construction in which much attention must be drawn into. As a result of this, it is my duty to figure out how quality can be assured in the construction industry. Generally speaking, there has been complains, delayance and financial losses in construction companies due to lack of quality in the construction industry. Again, if a project lacks quality assurance, the consequences of a time overrun are always serious and hard to resolve. It also distracts a project from meeting deadlines and this brings financial losses to the users and, more often than not, it has a negative impact on the profitability of the project for the promoters. Besides the above mentioned problems, lack of quality assurance in construction is causing litigation among architects, engineers, subcontractors and material supplies since each party is blaming each other for the problems at the building site. As a matter of fact, the positive feeling and understanding of enjoying the beauty of a house is to give a full comfort and safety of the client but due to lack of quality assurance in construction, this comfort cannot be fulfilled. In addition to this, my argument will be basing on quality assurance in design and project scrutiny. METHODOLOGY: Before this research can be accomplished its main aims and objectives, the method to use will basically base on existing informations, general observation and other internet sources which will be very useful to the topic. However, this research will be limited within the information gathered on the internet, general observation and existing information from the researchers and will provide answers to the questions in the problem formulation. RESEARCH QUESTIONS: ÃÆ'ËÅ" How can quality be assured in design ÃÆ'ËÅ" Problems affecting construction industry as a result of lack of quality assurance. 1.0 WHAT IS QUALITY? The term quality means different things to different people. Some takes it to be the characteristics of a product or service that bear on its ability to satisfy a need. Whilst others take it as the degree to which a product exceeds a customers requirements and expectations. On the other hand, others think it is the attainment of prescribed standards. (http://www.qualitydigest.com/html/qualitydef.html) The international Organization for standardization (ISO DIS 9000:2000), formally defines quality as the degree to which a set of inherent characteristics fulfils the requirement. In the situation of quality assurance, quality is not a statement of excellence in a comparative sense. It is just a short cut for `desired quality` that should be laid down as clearly as possible. The producer, on the other hand, attempt to attain the desired quality at an optimum cost while the customer requires confidence in the producer`s ability to deliver and firmly maintain that quality. However, quality in construction is more difficult to explain. Firstly, the product is not a mechanical unit but a piece of work with specific characteristics. An example will be building construction, the product can be a whole building or just a prefabricated component that ultimately forms part of a building. Also the need to be satisfied includes not only the client but the expectations of the community as a whole, into which the completion of the building will be integrated. The construction cost and time of delivery are also important characteristics of quality. In other words, all these things must be properly introduced in designing the building and the outcome should be expressed absolutely in drawing and specifications. Besides, in the building industries, it is a traditional practice to have different contracts for design to that of the construction with the designer taking up responsibility of supervising the construction. The quality of the finished works will be controlled by ways of inspecting and testing as construction process. For example, the quality of concrete and other materials on site is judged by samples of test and thorough inspection of the finished work is done without any exception before finial acceptance. The major aim of this à ¢Ã¢â€š ¬Ã…“inspectional systemà ¢Ã¢â€š ¬Ã‚  of quality control is to identify the mistakes after the product has been produce. Even high strength of concrete can be defective if it is not properly compacted, cured and the potential hazard of steel corrosion will not surface until some years later. In view of this, many short comings are covered up with the existence of subsequent construction and consequently the quality of the finished works cannot be assessed by the final inspection. Unlike consumer goods, problems in building work are very difficult to replace. The client is often left with no choice than to patch up the original which is the source of recurrent troubles and huge expenditure in some years to come. Sometimes, poor workmanship is disregard to keep up with expected productivity or just labour. However, to show commitment to quality, the senior management of the companies should therefore provide enough resources on site to avoid anybody cutting corners. Furthermore, an inclusive record of in process inspection is to ensure that the intended verification is actually done. The extra efforts are managerial in nature and complementary to the functional techniques of quality control in assuring the quality of the product. 1.1 WHAT IS QUALITY ASSURANCE? Quality assurance is defined a set of procedures designed to ensure that quality standards and processes are adhered to, that the final product meets or exceeds the required technical and performance requirements. Whereas, (ISO 9001:2000) also defined Quality assurance as that part of quality management focused on providing confidence that quality requirement is fulfilled. In other words, all those planned and systematic actions necessary to provide adequate confidence that a product or service will satisfy given requirements for quality. Despite all the wealth of site experience throughout the pass years, one out of ten building contracts still leads to clients dissatisfaction and complains against contractors. Researches made by the (Building Researches Establishment) in the United Kingdom indicate that 40% of building defects occurs during the construction phase (BRE, 1982). In most cases, the defects are found to be the following: ÃÆ'ËÅ" Inadequate supervision and verification on site. ÃÆ'ËÅ" Misinterpretation of drawing and specification. ÃÆ'ËÅ" Ambiguous instructions or unqualified operators. ÃÆ'ËÅ" Use of superseded drawing and specification ÃÆ'ËÅ" Poor coordination of subcontracted work ÃÆ'ËÅ" Poor communication with the architects, engineer, subcontractors and material suppliers. Perhaps, due to the above mention, it is obvious that the following defects rising in construction are mostly caused by poor management and communication. In this case, it is assumed that mistakes occurring on site are usually made on site. These mistakes somehow can be traced back to the purchase of incorrect materials and failure to recover the out-dated drawings. On the other hand, the end result of site problems can be of disregard or malpractices in the head office. Obviously, quality can be achieved when such preventable mistakes are avoided in the first instance. Serious measures must be taken to minimize the risk of managerial and communication problems; this is basic concept of quality assurance. Besides, the conduct of an individual in an organization could directly or indirectly affect the quality of a finished product. Responsibility for quality can therefore stretches from the chief executive right down to the person on the job. If persistent quality is to be assured, all members in the organization, both in the head office and on site must; have proper organization structure, clear lines of responsibility and communication and also to have good motivation. Before quality assurance can be practice, an organization has to be constituted and maintain a quality management system in its day to day operation. A quality system contains, among other things, a set documented procedure for the different processes carried out by the organization. Also implementing quality system does not replace the existing quality control function, nor does it conclude in more inspection and testing. It just ensures that, a proper type and amount of verification is performed when and where it is planned to be done. In short, quality assurance is oriented towards prevention of quality short coming. It also aims at minimizing the risk of making mistakes in the first place, therefore avoiding the necessity for rework, repair or reject. From the indication of the diagram above, less time and money is used in the 1st and 2nd phase, whereas less time and money is used in the 3rd and 4th phase due to the fact that mush time and money was used in the earlier phase. 1.2 PURPOSE OF QUALITY ASSURANCE (ISO 9001:2000) Quality assurance ensures that a product has achieved it highest standard and that its production, modification or repair (in the case of a manufacture item) has been completed in an efficient and timely manner. The purpose of quality assurance is there to provide assurance to a client that the standard of workmanship within the contractor ´s premises of the highest level of quality and that all the products leaving the industry is above a certain minimum level of specification. It should also further ensure that the company personnel, sub-contractors and key suppliers are aware of customer requirements and that they are fully met. Conformance with requirements of the detailed procedures developed in accordance with the Quality Manual has to be mandatory for all staff employed in the company. It is essential to the system that encouragement is given to each employee to develop and maintain an attitude of continuing quality improvement and customer satisfaction. [11] Also, to ensure that, the standard of productions are in order between the divisions or section and they have remain constant despite changes in personnel. 1.3 HOW TO IMPLEMENT QUALITY ASSURANCE Construction industry has been struggling with it implementation of quality assurance for many years. The cost could potentially be reduced reasonably if the industry were to hold onto the concept of quality assurance with the use of great success by the means other companies. (Construction Quality Assurance White paper.) However, various case studies and initiatives have succeeded in introducing quality assurance to the construction industry on a small scale, but as a whole, it has mostly been ignored by the industries. The construction industry is unique and therefore the application of quality assurance requires to be implemented in the industry. Some of the major steps of this process are discussed below; 1. First of all, project managers in various companies have to form a team or groups who will be dedicated for quality assurance. This team will be responsible to value and report on the evaluation regarding every part of the company. The team will be working individually having authority and freedom of work, at each point of their operation. The team has to report to the senior management of the company and keep all results in files. [9] 2. Once the team is formed, the main responsibility of the team will be to define the tasks and assign them to respective persons. Some of these responsibilities are to review the products, tools, services as per the requirements, standards and guidelines, audit project processes, suggest various methods, standards or tools to be used in the project, report the outcome of the evaluation etc. [9] 3. The team then defines the plans for the quality assurance process. In this case, it depends upon the nature of company; the details of the plans in the company might change. However, it basic plan remains common for most of the companies. Mostly the list includes quality objectives, defining the tests and verificational activities, process evaluation, defining the individual responsibility of the team members, identifying training requirements, budgeting and funding for quality control jobs, scheduling all activities, documenting and tracking etc. [9] 4. Generating the test process, checklists and related activities to explain the way quality assurance will be performed is the next step. [9] 5. The team in simple sense has to perform according to the plans made to ensure the next steps of quality assurance process. These resources can be acquired to perform the procedures, when the team starts evaluating the project. Tools required for this evaluation are identified depending on the nature of the project. Any non conformance with the standards or requirement are notified and reported to the appropriate department. The problems are then corrected and again sent for testing to the quality control team. This way, testing and correcting goes on, till the project is proven to be in conformance with the standard. [9] 6. The next step is to identify the training requirement for the team members to perform the evaluation processes as specified in the quality control plan. [9] 7. The performance of the team should be monitored regularly by the project manager against the plans, schedule and budget. In case the progress of the team is not doing a good job, then corrective actions should be taken. [9] 8. The team activities and results are reviewed by the senior management of the company and their stakeholders on regular intervals. Any unsolved issue for the team procedure is taken care of by the senior management at this point of time. [9] 9. The team collects review information from various sources. Again, suggestions for improvement at any step of quality assurance process is accepted and implemented in the next session, if it satisfies the various limitations. Recommendations are accepted from any level of the company for future use. [9] 10. The team refines the total process to give it a defined structure with the team ´s descriptions, templates and checklists. This structure can be reused as a model for future or might become an example to other companies or organizations. [9] 1.4 WHY DO WE USE QUALITY ASSURANCE IN DESIGN? In the construction industry, quality assurance is adopted in nuclear and offshore works mainly for safety and reliability reasons. The process of construction involves different types of professional and tradesman with a wide range of skills and level of education. The environments where these processes are carried out are often revealing to aggressive element, in such condition it is arguable whether the procedures can be standardized at all. On the other hand some contractors think that trying to do so merely place another layer of administration in the industry. Despite, the differences of the work handled by a construction company, the corporate procedures apply to all varying degrees. Some examples of such are tendering, procurement, document control and record keeping. Mostly, the adoption of quality assurance in the construction industry has been mainly client-led. Noting that the implementation of contract in law cannot undo any damage already done, a progressive client, when awarding a contract, tends to take into account, the contractor ´s capability to do it right at the first time down the hidden philosophy of quality assurance. Besides, there is a general movement towards making the enforcement of quality systems in a contractual requirement. Most of the government bodies that are responsible for public works and housing have begun to persist on an effective quality system as an obligatory for tendering; perhaps public utilities companies are doing the same thing. In this cases, the basis of competition for industries will move from à ¢Ã¢â€š ¬Ã…“priceà ¢Ã¢â€š ¬Ã‚  to the combination of à ¢Ã¢â€š ¬Ã…“price and qualityà ¢Ã¢â€š ¬Ã‚ , meanwhile if the contractors do not want to keep out from bidding for available work, they should then wait no longer in establishing a quality system in their companies. Such contractors will be fighting a lose battle against their competitors who have already enhanced their product through better quality assurance or quality management. More so, trying to satisfy a condition for tending or contracts may not be the best argument for practicing quality assurance, but it would have probably be the most compelling reason in the first place. However, the companies that benefit mostly from quality assurance are those who do so for the purpose of improving their own efficiency. These improvement leads to higher productivity on the on hand and client satisfaction on the other. Lets see some few constructions analyze with poor quality assurance. 1. Damage to the terrace roof surface. 2. Roof leakage through joints, bushings and so on, which lead to drenching of the thermal Insulation material and discolorations on internal surface layers. 3. Roof leakage at the eave with discolorations and flakiness on the faÃÆ' §ade surface layer underneath. Sources: 5th semester project 2009 Moisture has caused many damages through the roof terrace covering because of different reasons. Some of which are discovered in the construction by some blemish on the faÃÆ' §ade and inside the building. The extent to which these damages can be determined is after the construction has been exposed. Besides, the deformation of this damage depends partly on changes in the supporting substrate and partly on movement of the building structure. 2.0 ROOF 2.1 BAD WORKMANSHIP And the most common damage on roof construction is water leakage More often than not, the leakage can occur anywhere in the roof construction and also at other place then where the water from the outside normally penetrates. These leakages are caused by innumerable; another reason could be a damaged roof membrane. Above all, the roof membrane can be a reckless traffic, ice blasting and thermal movements in the roof coverings. Also there can be movement underneath the roof membrane duo to shrinkage in the thermal insulation boards. The water that comes through the openings in the roof membrane is partly absorbed by the thermal insulation boards and partly penetrates the roof covering. On terrace roofs with external thermal insulation, the thermal insulation boards make up a substrate for the roof membrane. Terrace roofs with no thermal insulation or with internal thermal insulation occur more occasionally, but when it does the concrete surface becomes the substrate for the roof Membrane. The roof membrane can consist of one or two layers. Roof membranes made of one layer are usually made of: * Thermoplastic materials (mostly PVC) * Rubber materials * Polymer modified bitumen. 2.2 BENEFITS OF QUALITY ASSURANCE Quality Assurance has become basic part of most of the construction industries. Every construction industries nowadays face tough competition and hence it is essential for them to provide goods or services of high quality at low cost to their clients. Different systems are implemented in construction firms to improve upon the quality of the companies. Besides this does not only helps to satisfy the client requirements but also helps in reducing costs and increasing profits of the firms. Most of the construction industries understand the importance and necessity of maintaining good quality to survive in today market and that are laying even greater emphasis on their QA systems. The first benefit is that, it helps in understanding the wants and expectations of the client. It thus aids the industries to focus on its processes to satisfy those needs and expectations, so as to keep it client happy and satisfied. For e.g. construction companies that offer good quality of buildings to their clients get lots of contracts from the community benefit from it. They can also over shadow their competitors and enjoy good sales and profits. Secondly, quality assurance has increased the effectiveness of the construction industries. It requires that, the construction industries gives proper training to their employees so that they can understand their jobs better as well as get trained on the new technology to work and perform better. The entire construction industry works in a predefined fashion with the aid of these procedures. It helps the employees in knowing and understanding their roles and responsibilities. They also make the employees understand the different inter linkages within the departments. Thus, the employees understand the importance of teamwork in improving the quality of products and thus improve the brand value of the company. Moreover, the quality assurance improves the flow of work within the companies. It helps to identify the problem areas within the companies very early. There are regular inspections and audits that pin point the problem areas of the companies. Not only the problems of the company, but also the low quality and other problems of the vendors are highlighted during these performance inspections. The aim of these systems is to continuously improve the entire quality of the companies, so as to attain high productivity while maintaining good quality. Last but not the least, quality assurance help all the departments to work efficiently. There are fewer lags in the manufacturing of the products and as a result the construction companies benefits from a short cycle time. For e.g. if proper quality systems are implemented in a prefabricated company, it will benefit from fast and good production to its buyers. There are many big names in for instants the Danish companies that claim to serve their customers in a very short time. Such companies benefit tremendously from increased sales and clients satisfaction. In short, quality assurance is essential for companies in order to get a strong foothold in the market. These systems help the companies to work effectively, which then reduces the operational costs of the construction companies. Also, it helps to infuse confidence in the employees though training and role clarity. All this helps the construction companies to serve their clients better every day. 3.0 HOW TO DO QUALITY ASSURANCE IN DESIGN Design in itself has four phases before a project can be completed. These phases include: PRELIMINARY BRIEF OUTLINE PROPOSAL PHASE SCHEME DESIGN PHASE DETAIL DESIGN ONE PHASE DETAIL DESIGN TWO PHASE A project needs to go through all these phases before it becomes a complete one and legally accepted. Quality has to be ensured step by step as well. 3.1 QUALITY ASSURANCE IN THE PRELIMINARY BRIEF In as much as, this project is a renovation project it still has the basis for drafting the client preliminary brief. (The Constricting Architect ´s Manual) Preliminary brief is the sum total of the client ´s visions and wishes / needs for a building. In most cases the clients idea should be put on paper which should comprise as follows: the client has to make the architect aware of the reason of the building; the function, location, rooms, space etc. Because the clients mostly have different backgrounds and experience with the construction projects, the brief should be presented in forms. Besides it is somehow necessary for the architect to assist or explain to the client some important informations in the project. Minutes of the conversation between the client and the consultants should be taking into consideration. These minutes can be used as basis for drafting the preliminary brief. The preliminary brief should be drafted in such a way that not only the consultants can use it but every one concern with the project, so as it can also be used as the basis for the project. 3.2 QUALITY ASSURANCE IN THE OUTLINE PROPOSAL PHASE This is a phase where materials for construction have to be taken into consideration, analysis of where to place each room as long as design is concerned to fit regulations and demands. In redesigning such a construction, the materials to be used must critically be taken into consideration. As to how and where to place for example the bathroom and the material to use in order to get a better construction and as a matter of fact it life span. As seen in the figà ¢Ã¢â€š ¬Ã‚ ¦.the materials to use in the walls around the bathroom has be water proofed in order not to soaks with water. Sound and fire also has to be taken into consideration which also make construction meet the demands in law. 3.2.1 Budget ÃÆ'ËÅ" To have a successful preconstruction phase, it is important to have an accurate first budget. The key to an accurate first budget is communication of expectations by all team members. This will lead the dialog among the team members, asking the right questions to clearly establish the scope of the project. This includes identifying phasing plans, finishes, systems, equipment and responsibilities of the owner, consultants, proprietary items and long lead items that might impact the project cost, schedule and quality. ÃÆ'ËÅ" Preliminary detailed cost estimating and budget development must be performed at schematic design, design development and construction document phases. At each milestone design and budget must be evaluated against the master project budget for conformance with the established program price. Corrective action, if required, should be reviewed at each stage to keep the project on target. ÃÆ'ËÅ" Contractors perform detailed independent checks of estimates with subcontractors pricing prior to competitive bidding to the subcontractor base. This is essential to ensuring accurate numbers in the variable mountain market. ÃÆ'ËÅ" Value engineering must be done early in the process. When utilized at this stage, it is not cost cutting, but rather a process that balances the Owners goals of meeting quality, budget and schedule objectives. ÃÆ'ËÅ" A Team if possible must be formed to provide quality assurance, constructability and multi-disciplined peer reviews to improve document quality and ultimately achieve lower base bids and reduce change order exposure. ÃÆ'ËÅ" Proceeding to the issuance of bid documents, the bidding requirements must be established and clearly communicated to all bidders. A compiled à ¢Ã¢â€š ¬Ã‹Å"bid book must be made in addition to the plans and specifications that helps to clarify how they intend to build the project, as well as clarifying the role of each subcontractor. This eliminates doubling up on or missing a scope. ÃÆ'ËÅ" Contractors uses an extensive select list of qualified subcontractors and suppliers who in a position to respond to the needs of the project. 3.2.2 Schedule ÃÆ'ËÅ" A project schedule should be developed and validated to maximize construction efficiencies and optimize owners program requirements. ÃÆ'ËÅ" Schedules must be validated at each step in the design. ÃÆ'ËÅ" Subcontractors must be asked for input in the schedules early on to ensure an accurate, achievable schedule. 3.2.3 Design Intent ÃÆ'ËÅ" Evaluation reviews are performed in the design phase. Assemblies and systems are evaluated for ease of construction so they are not later discovered to be difficult or even impossible to build. The evaluation reviews can help avoid cost increases and schedule delays during construction. The Teams experience in construction should allow productive reviews and analysis of the proposed design to identify these items. ÃÆ'ËÅ" Submittal requirements and timing must also be identified in a submittal log so that the design intent can be properly validated. ÃÆ'ËÅ" Contractors must compare the merits of various design ideas at the preconstruction stage, including a cost analysis, life cycle analysis, schedule impact analysis and an overall quality comparison. This will give the Owner the information needed to decide which design best meets the needs of the project. 3.2.4 Workmanship ÃÆ'ËÅ" Quality levels must be determined and incorporated in the Project Mission Statement. ÃÆ'ËÅ" Drawings and specifications are reviewed with subcontractors and designers to identify potential conflicts, which may affect constructability and quality. 3.3 QUALITY ASSURANCE IN THE SCHEME DESIGN PHASE These stage shows where critical problems in the construction can be solved before it actually get to the detail design phase ÃÆ'ËÅ" There must be a focus on constantly scrutinizing for value adding ideas to best meet the owners objectives. ÃÆ'ËÅ" Contractors work to find creative solutions to problems during construction in an effort to minimize cost, schedule or quality impacts. ÃÆ'ËÅ" Contractors provide a review of the proposed changes, with regards to cost, schedule, design, constructability and quality implications as part of the role in the change order management process during construction. ÃÆ'ËÅ" The contractor meets all contractual schedules. This eliminates additional costs for owners due to schedule delays.

Wednesday, November 13, 2019

Humorous Best Man Speech :: Wedding Toasts Roasts Speeches

Humorous Best Man Speech I would also like to thank you all for being here today to share in this very special occasion. Before I begin my traditional destruction of the groom’s character, I would just like to say again how lovely the bride looks today. This is actually the first time I have made a speech (as you can probably tell), and it is true when they say that its nerve racking. In fact I could go so far as to say that I feel about as comfortable as Osama Bin Laden in the Whitehouse. I only feel slightly better knowing that I am not the only one in the room who is apprehensive, but then again she has just married the groom. On the score of being nervous, I am sure that you have all heard the groom say over and over that he has not been at all nervous in the run up to today. Well, that all changed at about 9 o'clock this morning. I've known him for the best part of twenty-three years now and of course there are plenty of things I could tell you about what we were like as kids. Unfotunately, I did consult my solicitor and he tells me that we could still face prosecution, so maybe not. The groom was as born in the early part of 1973 and while I’m not saying that was an omen, events later that year included the oil crisis, the release of The Exorcist, and of course the introduction of Value Added Tax (VAT) in the UK. His mom was only saying last night that he was a pretty baby who was often mistaken for a girl and that as a child he loved nothing more than sitting for hours staring blankly at the TV. No change there then mate! At five years of age, the groom started at the same school as me. I remember that he loved soccer and tried for the school team on every occasion. Unfortunately, he was found to be useless in every position (Turn to bride) Best of luck then! As I got to know him, I realized that here was a man who thrived on daredevil sports and laughed in the face of danger. I tell you, in those days the groom with a hula hoop was a sight to behold. As a kid he had a huge appetite for life, and this helped him become wise.