Thursday, October 31, 2019

To what extent do socia factors such as age, gender, social status or Essay

To what extent do socia factors such as age, gender, social status or ethnicity correlate with linguistic variable - Essay Example This means that social factors like age, gender, social status and ethnicity are closely associated with language variation. â€Å" Miscommunication can occur when a member of one social group addresses a member of another social group†. ( Cutting Joan, 2002 ). Socio-linguistics is the branch of linguistics that studies language in relation to society. Socio-linguistics is partly theoretical and partly empirical – partly a matter of going out and amassing a body of facts and partly of sitting back and thinking. Hence if we want to examine the correlation between language variation and social factors, we have to investigate language samples from various parts of the world and a couple of studies carried out by researchers in this regard. Let us first consider the age factor. We do not expect an adult to babble like a child. Adult speech is notably different. Young boys and girls also use a different kind of language from adults in the same community. Youths are always ke en to maintain the generation gap. This tendency is reflected in the way they create their own codes like whistling, and certain words whose meanings they share with peers. This can be called ‘teenage slang’, which ‘serves as a mark of membership and solidarity’. ... The vocabulary is as transient as the popularity. Teenage slang can include words, phrases, dialogues, characteristic tones, strange pronunciations and also syntactic patterns. Without doubt, it would sound out-of-place and shocking if a respectable adult uses teenage style of speech. This shows that the age factor is closely related to age factor. Gender is another important factor that affects speech. In most communities, men and women do not use identical language. Just as sounds like /s/, /f/ and /l/ have a typical onomatopoeic bearing, certain sounds are feminine in nature. At the lexical level, ‘adjectives like lovely, darling and cute may carry feminine associations, as do words that describe precise shades of color like mauve---‘. ( Finegan Edward, 1999 ) In some languages like Japanese, there is a dramatic difference between the speech of men and women. Here are two examples: 1. Oh dear, you’ve put the butter in the refrigerator again. 2. Damn, you have pu t the butter in the refrigerator again. Anyone can easily guess that utterance (1) above is uttered by a woman and (2) by a man. Women are also generally observed to be more talkative and speak in a higher pitch compared to men. The topics of discussion also differ among men and women. Some forms used by men in Koasati Indians of Louisiana are also used by middle-aged women in the community. This shows that linguistic variability can be accounted for by the role that people play in their community. Men play the authoritative role. The same authority is enjoyed by elderly women, hence, the similarity in language. In many Oriental languages, the second person plural is used by women even to address a single man, in

Tuesday, October 29, 2019

On Verbal and Non-verbal Communication Essay Example for Free

On Verbal and Non-verbal Communication Essay It is but human nature to try to understand another person. It normal for people to try to interpret another persons actions or words. Interpreting these types of communication means is however, difficult. Each has its own way to be interpreted. Non verbal communication is when person utilizes not his lips and voice when relaying information to another person. It is refers to actions gestures or movements a person does in order to send a message to another person. Usually, this kind of communication is utilized when meeting a new individual. Because too much speech seem to be inappropriate in first meetings, people tend to gesture via facial expression, arm movements, or even bodily gestures. Thus, people interpret this differently, via cues, unlike when the words are spoken (Brunswick Piscataway, 2009). On the other hand, verbal communication relies on the lips or mouth gestures as well as the voice of the person who spoke the words or uttered the information. To some verbal communication is more reliable as people are given the exact information needed to be received. However, there is a tendency for people to lie. Thus, there are those who listen to verbal utterances while at the same time keeping watch of non-verbal gestures. This points that interpreting verbal communication may be literal or based as well to the actions and facial expression that come along with the words (Brunswick Piscataway, 2009). It may thus be concluded that each kind of communication is interpreted differently. Verbal communication sends literal meanings at times, while non-verbal communication is sometimes vague. There is not exact way to point which tells more accurately, however if combined the message will be conveyed easier and faster. Both are also more trustworthy if done side by side. The gestures support the words and the words support all the actions.. While the quote insists that action speaks louder than words, knowing the nature man, it is still better to rely in both words and actions for a clearer interpretation. References Brunswick Piscataway. (2009). Social Perception: How we come to Understand People. Social Psych Lecture. Rutgers University.

Sunday, October 27, 2019

Poaching Elephants for Ivory

Poaching Elephants for Ivory Poaching of elephants has been present from the past 1000 years. However it increased considerably in the 1970s and consequently the elephant population of the world registered a sharp decline with statistics showing that the number of elephants in Africa declined from 1.3 million in 1980 to just 400,000 in 1990 (Ivory trade threatens future of African Elephants). Sudan and the Central African Republic have also registered a decrease in their elephant population. The crucial factor which results in the poaching of elephants is ivory trade. Therefore to save the dwindling elephant population of the world, cutting the demand for ivory in the world became necessary. The first attempt against ivory trading was made in 1975 with the advent of Convention on International Trade in Endangered Species of Wild Fauna and Flora (CITES), which placed elephants under the list Appendix II species (White gold: The ivory trade ban). These are the species that, though not threatened by extinction, are at risk of being endangered. This did not ban ivory trading and was just a means of regulating it. However it failed to achieve its purpose as the killing of elephants not only continued but increased as the demand for ivory in the international market increased. Thus in 1989 CITES was forced to revise its position in context with elephants. As of 1990 the elephants were removed from Appendix II and rather placed under Appendix I (a species threatened by extinction) by which the killing of elephants was illegalized and a full ban was imposed on ivory trading (White gold: The ivory trade ban). After the ban was put under practice ivory trade was nearly eliminated because publicity surrounding the issue turned public sentiment so far against the ivory trade that it nearly eliminated the demand for ivory worldwide; most poaching stopped abruptly in response. After the imposition of the ban the number of poached elephants in Kenya was reduced to 500 in 1993 from a huge 3500 in the 1980s (White gold: The ivory trade ban). Also because the demand for ivory had decreased, the price of ivory per pound also decreased from $125 to $5 (White gold: The ivory trade ban). This reduction in price made the poachers lose incentive and poaching of elephants diminished. Another act, The Botswana Conservation and Management of Elephants Act of 1991 (The Conservation and Management of Elephants in Botswana) also helps protect the elephant population. By the application of strict rules by the government of Botswana, which includes the setting up of anti-poaching units, poaching is prevented on a large scale within the country. As a result the elephant population of Botswana is not only stable but is experiencing an increase. There are many points in favor of the ban being continued. These arguments are based on the profitability of live elephants to the countries they are in and on animal rights. Elephants provide a lot of benefits both to the countrys economy in which they reside and also to the natural habitat of other wild life. Some countries like Zimbabwe and Kenya thrive on the tourism brought about by the presence of elephants in their lands. Zimbabwe has earned a net total of $424 million and Kenya has earned a net of $100 million on account of the attraction their elephant population created for the tourists (White gold: The ivory trade ban). Thus, as ivory trade involves the hunting and killing of the elephant population of these countries, it has a detrimental effect on the tourism industries without which these already poor countries will lose significant amounts of money and a major contributor to their gross domestic product (GDP). The former chief executive of the Zimbabwe Council for Tour ism, Paul Matamasia, stated in regards with poaching: Without wildlife, we do not have a tourism industry to talk of (Zimbabwes Wildlife Threatened by Poachers). Another benefit of elephants is that they help change woodlands into grasslands, an action which helps provide habitats for the varied wildlife. Thus if the elephant population is reduced due to ivory trade it indirectly has an adverse effect on the habitats of other animals. This was exemplified in the 1970s in the Tsavo National Park in Kenya when a decrease in elephant population led to a decrease in the population of other animals such as zebras (Why Ivory Trade should be banned). The other main argument presented in favor of the ban is that of animal rights. The indiscriminate slaughter of the elephants is necessary in order to acquire ivory as it cannot be obtained while the elephant is alive. After it has been killed the process of extracting ivory involves the poacher to cut into the head of the elephant because roughly 25% of the ivory is contained in the head. This brutal killing of elephants just to take their tusks is a violation of animal rights and of the law as elephants are considered to be an endangered species and according to The Endangered Species Act (ESA) of 1973 ESA prohibits everyone, private person and federal agency alike, from taking endangered wildlife. The regulations extend this to threatened animals. Take includes harming a listed species. Harm: in the definition of take in the Act means an act which actually kills or injures wildlife. Such act may include significant habitat modification or degradation where it actually kills or inj ures wildlife by significantly impacting essential behavioral patterns, including breeding, feeding, or sheltering (The Endangered Species Act). However some argue that the ban is wrong and should not be imposed. There is a debate regarding the endangerment of the elephants with one side claiming that they are not endangered at all. This side argues that rather than being in danger of extinction, the elephant are experiencing a rise in their population. The advocates of this viewpoint cite the examples of Kruger National Park and Botswana. In Kruger National Park the population of elephants increased from 7000 in 1994 to 12000 in 2005. Also in Botswana the elephant population is not only increasing but the authorities registered a threat of overpopulation. The number of elephants increased from 54700 to 60935 (White gold: The ivory trade ban). The ban imposed on ivory trade by CITES requires the elephant population to be below 2000 to qualify. Thus these advocates claim that the ban has been wrongly imposed and should be lifted as the population exceeds that stated by law (White gold: The ivory trade ban).. It must be noted however that this increase in population of the elephants only registered after the ban had been imposed in the first place and can be directly attributed to it because after it was imposed the poaching incidents were reduced to negligible amounts. As far as the problem of overpopulation is concerned it can be justified to still put the elephants under Appendix I of CITES in order to protect the population from falling to such low level that it will become too late to save elephants from extinction; as the old clichà © goes: prevention is better than cure. The primary party opposing the ban is the Southern African Development Community (SADC) which includes 12 countries including Botswana, Tanzania and Namibia. The reason SADCs opposition of the ban is the loss of revenue it had from ivory sales. It argues that due to the ban these countries cant even trade in legitimate ivory which is obtained after the elephant dies a natural death. These countries also claim that the population of elephants in their territories is much greater than the level at which a species is considered endangered. In fact these countries claim that they lack the area and resources to cater for the growing population of the elephants (White gold: The ivory trade ban). This, they claim, poses a threat to their human population as elephants come in conflict with the villagers and are responsible for destroying many crops. Another argument they present is that allocating areas especially for elephants is indirectly very costly as they need that area to grow crops and as agriculture serves as a main form of livelihood it is very difficult. Jon Hutton summates the problem by saying: Crops give survival. Elephants dont (White gold: The ivory trade ban). SADC further says that the ban should be lifted so that these countries can sell up to a collective stockpile of $8 million dollars (White gold: The ivory trade ban) that is collected from elephants that died a natural death. These countries claim that the revenue generated from these trades will be used to conserve the elephant population by building better places for them to live in. In response to the argument that legal ivory and stockpiles should be allowed to be traded and that elephants should rather be placed under Appendix II by CITES, it can be inferred from a similar situation that this is not a good solution. In the past, in response to the appeal by Botswana, CITES placed elephants under Appendix II rather than Appendix I in 1997 which allowed a one off trade of ivory with Japan. However this gave way to increased poaching activity in the area as the demand for ivory tusks was restored which acted as a stimulant for the poachers which led to a considerable decrease in elephant population. A complete ban was soon placed afterwards to stop the poaching as illegal advantage had been taken of a lenient decision. This just helps reinforce the idea that a ban is the only solution to protect the elephant population and if lifted gives rise to illegal trade in ivory which is difficult to tell apart from legitimate trade because while DNA testing has been intro duced it is very costly and it will be very difficult to test each batch of ivory. If we consider the argument of the destruction of existing crops and too little space for practicing agriculture we can see that lifting the ban is not the only solution and neither is the killing of elephants a good option as it might aggravate the situation rather than making it better. Much better and effective answers exist in the form of relocation of elephants. The relocation of elephants from overpopulated areas to areas where they exist in very few numbers is a very feasible solution as it answers both the problem of overpopulation in some countries and dearth of elephants in others and will help reach equilibrium between the two. This idea was used in 2001 when some elephants were transferred from Kruger National Park in South Africa to Mozambique. Will Travers, a member of the Born Free Foundation, said: Translocation as a management option, rather than culling, is going to be increasingly used (Worlds Biggest Elephant Relocation Begins) The argument that the revenue generated will be used to help the elephant population is impractical on two bases. Firstly for most of the countries the amount earned from legal ivory trade is much lower than the amount earned by tourism. Thus harming the elephant population for lesser revenues is not a good option. Secondly most of these countries are developing countries and the amount required to increase the living standards of the elephant population will be too high and cannot be fulfilled alone by revenues generated from trade of ivory tusks which is detrimental to the elephant population in the first place. By carefully considering the arguments presented by both the advocates in favor of the ban and those who are opposed to it and by considering the statistical evidence presented in this essay, it can be firmly concluded that the ban on ivory should remain and is the only barrier standing between live elephants and the extinction of a species. Any other scenario, whether it was a nonexistent ban or a lenient one, has proved damaging to the population of elephants in the world. When a ban had not yet been imposed the numbers of elephants was dwindling at a worrying rate while when a little leverage was allowed to some countries for legitimate trade the consequent rise in demand of ivory and the increase in poaching pushed the elephants one step closer to being wiped of the globe. Also the killing of elephants for ivory is a very atrocious crime as the life of a living being is much more important than the benefits it can provide in death and the conservation of a species is much more es sential than monetary benefits. Thus a full ban is the only answer and the protagonists of the group who think that the ban should be lifted should reconsider their arguments.

Friday, October 25, 2019

The Religious Dimension of Daniel Defoes Robinson Crusoe Essay

The Religious Dimension of Robinson Crusoe  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚      Robinson Crusoe’s discovery of the work ethic on the small island goes hand in hand with a spiritual awakening.   Robinson Crusoe is not a very profound religious thinker, although religion is part of his education and transformation.   He claims he reads the Bible, and he is prepared to quote it from time to time.   But he doesn’t puzzle over it or even get involved in the narrative or character attractions of the stories.   The Bible for him appears to be something like a Dale Carnegie handbook of maxims to keep the work on schedule and to stifle any possible complaints or longings for a different situation.   Still, the religious dimension is central to Robinson Crusoe.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Robinson Crusoe’s interpretation of his life links the financial success directly and repeatedly with his growth in religious awareness.   This is not an intellectual conversion but, simply put, an awareness that he has, in some ways, received God’s grace and is under His care.   The growing profitability of his efforts is proof of such a spiritual reward.   This awareness fills him with a sense of guilt for his former life and a great desire to be relieved of that guilt.   The desire to be relieved from that feeling of guilt, in fact, is much stronger than Robinson Crusoe’s desire to be delivered from the island. Now I looked back upon my past life with such horror, and my sins appeared so dreadful, that my soul sought nothing of God but deliverance from the load of guilt that bore down all my comfort.   As for my solitary life; it was nothing; I did not so much as pray to be delivered from it or think of it; it was all of no considerations in comparison to this; and I added this part here to ... ... The inhabitants of the New World were there to be ignored, like Friday’s father, used as servants, like Friday, or killed, like the cannibals.   The important part of the Puritan encounter with the New World was what Robinson Crusoe shows us, the spiritual testing of the solitary Protestant spirit, a life-long ordeal in which he achieved success (or the closest thing to a manifestation of success) by stamping his will on the new land, staking out territory as his property through backbreaking toil, without any concessions to anyone or anything, least of all to the land or to its original inhabitants.   That was the Puritan’s calling; that was the reason God has placed us on this earth: to put to our personal uses the material and people available, to ignore what does not fit in with such projects, and to remove quickly and ruthlessly anything that stands in our way.

Thursday, October 24, 2019

Irony in the Scarlet Letter Essay

â€Å"Irony regards every simple truth as a challenge. † When reading a story, the events that have already presented themselves, lead a person to perceive what is going to happen, but when that person encounter an unexpected event, as commonly experienced through irony, it changes what the person perceives is going to happen. The Scarlet Letter exemplifies this use of irony to challenge truth. Hawthorne provides details about a specific character, but then creates an event which stands in contrast to these details. Hawthorne’s uses irony, portrayed through characters’ names, the first scaffold scene, and the Puritan community, to express the truth throughout the novel. In The Scarlet Letter, Hawthorne uses characters’ names to contrast to their actual characteristics. He uses the name Pearl, which means purity, as a nickname for a mischievous character. He portrays Roger Chillingworth as a doctor, while Chillingworth’s main purpose involves causing the deterioration of Arthur Dimmesdale’s health. Arthur Dimmesdale, a saint-like figure to the Puritan Community, indulges in a great sin. Being a minister, his life elucidates hypocrisy. He has committed one of the greatest sins that he condemns in his sermons. Hawthorne uses these evident labels to contrast to character’s true characteristics. The scaffold scenes each reveal a truth through use of irony. The first scaffold scene connotes not only a connection between Hester and Dimmesdale, but also Dimmesdale’s wishes in regard to their sin. At the beginning of the novel, while the reader’s main question involves Pearl’s father, Hawthorne asides other characters by emphasizing Dimmesdale’s questioning of Hester. This emphasis exposes Dimmesdale as the prime suspect to be Pearl’s father. Dimmesdale speaks curiously in third-person about what Pearl’s father should do. He also stresses that Hester should tell who she had an affair with, and that her partner will accept being exposed, as if trying to convince her that he wants to be revealed but is to scared to do so on his own. This event causes irony, as the focus on Dimmesdale and Hester in this scene foreshadows their relations later in the novel. Hawthorne portrays the Puritan Community as a body that lacks the ability to recognize truth, while their ideals involve creating a â€Å"city upon a hill† that has achieved the ultimate truth. When Roger Chillingworth arrives in Boston, the community falsely believes that he has been sent from God to cure Arthur Dimmesdale. When Chillingworth wishes to house with Dimmesdale, few question Chillingworth’s intent. Even as they see Dimmesdale’s worsening condition, few blame it on Roger Chillingworth. The community also fails to recognize Dimmesdale’s attempts to confess his sin. In his sermons, Dimmesdale states that he is â€Å"altogether vile, a viler companion of the vilest† and that he should be â€Å"shriveled up before their eyes by the burning wrath of the Almighty. The community, still believing that he has not committed any serious sin, thinks of him even the higher. The community’s inability to recognize evil characters and sin overshadows their wishes to perceive the ultimate truth. Characters’ names, the first scaffold scene, and the Puritan Community act as a means of expressing truth through Hawthorne’s use of irony. Hawthorne provides evident details on characters, allowing the reader to obtain truth through an ironic event. Hawthorne meets the quote in the beginning by the requirement that irony should regard every simple truth as a challenge.

Wednesday, October 23, 2019

Gap Analysis Global Communications Essay

All business ventures are associated with the occurrences of risk. This is a s a result of the unstable conditions that exist in the labor market and therefore an organization that thrives we’ll at one particular time can be caught in a fold in at another particular time. It is therefore, through the realization of this noble fact that the leadership as well as the management of any organization with a goal of a bright future to be keen about the advances in the technological advancements as well as new services that concurrently occur for the purpose of remaining competitive in the market. The simple practice responsible with keeping pace with the existing competition is just not sufficient for the purposes of the relevant results that are essential for the purposes of the maintenance of a position in the industry. It is of vital importance that for a company to remain at the top of others, the creation of an edge that is responsible for the separation of the company from competition should be cultivated (Ulijn & Judith, 2004). There has been a recorded trend in the increase in the level of competition in the telecommunication industry as a result of a continual advent of services as well as technologies in the field of telecommunication. The companies using cables for the purpose of offering services in the communication sector have been in advantageous position in as far as the provision of complete solutions to communication problems to the customers. For a period of about three years in the past, Global Communication was thriving very well in the market, having to trade at $28 for every share of the company. However at the current the company has been adversely affected by the issue of competition. In the consideration of the financial distress which has had the consequences of competition of a standard that is overwhelming, the senior leadership of this particular company are subjected to some developments that are responsible for the plans responsible with the restructuring the company for the purposes of its re vitalization. There is a need for the consolidation of the company’s standards of ethics with excellent implementation due to the level of the risk that has been posed to the integrity of the company. The new plan has brought about some ethical dilemmas which requires some evaluation in line with the competency with which the senior leaders of the company are cable to communicate to the stakeholders matters related to the plan, the groups as well as individuals with a positive interest with respect to Global Communication and the perception of other individuals in as far as the plan is concerned (Andrews, 2000). Analysis of the situation: The identification issue as well as opportunity There has been a drastic depreciation in the stocks of Global Communication to a tune of 50% that has been recorded for a period three years back. At the same time the company has been exposed to a very high degree of competition. For the purpose of the future survival of the company in the industry of communication, there is a requirement for completely new as well as attractive services that aim to seek ways to reduce the costs of operations while at the same time increasing the profits of the company (Hoft, 2002). The consideration of the relevant motives that are responsible for the resolution of issues and the best decision making is a requirement. The process of decision making, the management of the knowledge, the consideration of the needs of the employees as well as the coordination, and lastly the communication in the workplace are all significant for the best performance of the organization. The potential abilities of the individual employees to work in coordination for the purpose of the achievement of the goals of the organization are of crucial importance with regard to the success of the organization. Economic issues of importance are confronting Global Communication thus requiring collective efforts towards the restructuring of the company. The plans that are at hand also face some difficulties with regard to their communicating to the employees. The reputation of the company with regard to the treatment of the employees is quite favorable and therefore ruining this reputation is not to the interest of the company due to the value imputed to them as a vital component in as far as the company is concerned (Hoft, 2002). The concern of the stock holders of the company is the speculation of the possibility of the company returning to the initial status since the company is locally marketed and therefore this is an issue of paramount importance for consideration. It therefore implies that the best choices possible are a requirement for the purpose the achievement of the best solution (Ulijn & Judith, 2004). Conclusion There are great changes that are taking place in the industry of telecommunication. The cable companies with the potential use of the computers the television as well as the telephone services have moved into the market offering complete packages of solutions to the customers with the effect of the reduction in the margins of profit as well as the market of the old companies in the industry.This requires the application of creative as well as drastic solution, a situation that Global communication is facing today. References Andrews, D. (2000). Business and Communication. New York: McMillan. Hoft, L. (2002). International and Technical Communication. New York: John Wiley Ulijn, M. & Judith B. (2004). Communication and Business Technology. Switzerland: Peter Lang.

Tuesday, October 22, 2019

Understanding Different Types of Navy Ships

Understanding Different Types of Navy Ships The Navy has a large variety of ships in the fleet. The most well-known types are the aircraft carriers, submarines, and destroyers. The Navy operates worldwide from many bases. The large ships   aircraft carrier groups, submarines, and destroyers travel around the world. Smaller ships such as the Littoral Combat Ship are based near their place of operations. Learn more about the many types of Navy ships in the water today. Aircraft Carriers Aircraft carriers carry fighter aircraft and have runways allowing the aircraft to take off and land. A carrier has about 80 aircraft on board a powerful force when deployed. All current aircraft carriers are nuclear-powered. Americas aircraft carriers are the best in the world, carry the most planes and operate more efficiently than any other countries carriers. Submarines Submarines travel underwater and carry an array of weapons on board. Submarines are stealthy Navy assets for attacking enemy ships and missile deployment. A submarine may stay underwater on patrol for six months. Guided Missile Cruisers The Navy has 22 guided missile cruisers  that carry Tomahawks, Harpoons, and other missiles. These vessels are designed to provide defense against enemy aircraft and missiles.are designed to provide defense against enemy aircraft and missiles. Destroyers Destroyers are designed to provide land attack capability as well as air, water surface, and submarine defense capabilities. There are about 57 destroyers currently in use and several more under construction. Destroyers have massive weapons including missiles, large diameter guns, and small diameter weapons. One of the newest destroyers is the DDG-1000, which is designed to have a minimal crew while delivering a huge amount of power were ever deployed. Frigates Frigates are smaller offensive weapons carrying a 76 mm gun, Phalanx close-in weapons, and torpedoes. These are used for counterdrug operations and provide defensive capabilities when escorting other ships. Littoral Combat Ships (LCS) The Littoral Combat Ships are a newer breed of Navy ships providing the multi-mission capability. The LCS can change from mine hunting, unmanned boat and helicopter platforms and special operations warfare to reconnaissance practically overnight. The Littoral Combat Ships are designed to use a minimum number of crew members to lower the operating costs. Amphibious Assault Ships The amphibious assault ships provide the means for putting Marines on shore using helicopters and landing craft. Their primary purpose is facilitating Marine transport via helicopters so they have a large landing deck. The amphibious assault ships carry Marines, their equipment, and armored vehicles. Amphibious Transport Dock Ships Amphibious transport dock ships are used to carry Marines and landing craft for land assaults. These ships primary focus is landing craft based attacks. Dock Landing Ships Dock landing ships are a variation on the amphibious transport dock ships. These ships carry landing craft plus have maintenance and refueling abilities. Miscellaneous Ship Types Special purpose ships include command ships, coastal patrol boats, mine countermeasures ships, submarine tenders, joint high-speed vessels, Sea Fighters, submersibles, the  sailing frigate USS Constitution, oceanographic survey ships, and surveillance ships. The USS Constitution is the oldest ship in the US Navy and used for display and during flotillas. Small Boats Small boats are used for a variety of tasks including river operations, special operations craft, patrol boats, rigid hull inflatable boats, survey boats, and landing craft. Support Ships Support ships provide the necessary provisions that keep the Navy operates. There are combat stores on board them with supplies, food, repair parts, mail, and other goods. Then there are ammunition ships, fast combat support ships, cargo, and pre-positioned supply ships, rescue and salvage, tankers, tug boats, and hospital ships. The two Navy hospital ships are truly floating hospitals with emergency rooms, operating rooms, beds for recovering people, nurses, doctors, and dentists. These ships are used during wartime and for major natural disasters. The Navy employs a wide variety of ships, each with its own purpose and responsibilities. It has hundreds of ships from small ones to huge aircraft carriers.

Sunday, October 20, 2019

D-Day Essays - Operation Overlord, France, Operation Neptune

D-Day Essays - Operation Overlord, France, Operation Neptune D-Day D-Day is the most well-known, gruesome day in the history of WWII. Out of the five landings, the landing on Omaha Beach was, by far, the worst for the U.S. and The Allies. Paratroopers who had landed the night before came up behind the Germans and aided the U.S. and The Allies. Eventually they pushed through and invaded Hitler?s Europe. Even though D-Day was considered a massacre, the invasion aided the US?s ultimate victory. D-Day happened on June 6, 1944. It was one of the darkest days in the history of World War II, not only for the U.S., but also the Allies. D-Day was the invasion of Hitler controlled Europe, and the beginning of the fall of an empire. It consisted of airborne attacks and assaults on five beaches given the code names, Utah, Gold, Juno, Sword and Omaha. With 35,000 troops and 4,404 bombs weighing tow hundred and fifty pounds each, D-Day was called the worlds largest, greatest planned amphibious attack ever. As for the assaults on the beaches, four of the five went pretty well. The Germans did not put up much of a fight and the troops penetrated Europe quite easily. However, down the coastline, a vicious battle was happening and history was being made. The Germans were putting up much more of a fight and the opposing troops were fighting just to stay alive. But with land mines and heavy fire from German machine guns this was not an easy task. Right when the ramp was lowered on the U.S. boats, troops were shot like dogs. Some jumped over the side looking to swim to shore, but the weight of their gear pulled them to the bottom and they drowned. Those who made it to the beach scrambled for any cover that they could find. (Being shelled and shot at they needed a miracle to save them.) That miracle was troops that came from behind. Even though they had the back-up, 41% of the men on Omaha beach were killed. The night before the assaults there were planes flying low and fast over Europe. They weren?t dropping bombs, they were dropping men. Paratroopers who were to provide back-up for the troops on the beaches were jumping out of the planes and preparing for the next day. Over 2,000 troopers were dropped over various parts of Europe. A paratrooper is basically a soldier who is dropped by parachute into enemy territory. A paratrooper was a walking arsenal. He had everything that he needed to survive. He carried two fragmentation grenades, one smoke grenade, one antitank mine and one antitank Gammon bomb made of plastic explosives. He also had a weapon, either a rifle, carbine, pistol or submachine gun with ammunition. Other gear included a knife, light, razor, spoon, maps, compass, first-aid kit, food, entrenching tool, main and reserve parachutes, gas mask, jump knife, helmet and spare clothing. All of this gear totals up to weighing about 100 pounds, and he jumped with it all on him. Had it not been for these men, the U.S. and Allies probably would have never pushed through at Omaha beach. The troops came up behind the Germans and surprised them, which was a big help to them. By adding to their fighting force the U.S. and the Allies would push through at Omaha into Hitler?s Europe. With the beaches cleared and the men on land the U.S. and the Allies finally had a foothold to win the war and bring Hitler from power. Getting inland was a great victory for the U.S. and the Allies, and the beginning of Hitler?s road to defeat. After many more months of fighting the U.S. and its Allies would have ultimate victory. Hitler committed suicide, and his rein of terror was over. All concentration camps were evacuated and all seized land was returned. Yet if the U.S. and Allies hadn?t pushed through, this process would have been extremely delayed, who knows it may have never happened. D-Day is probably the most well known day in the history of World War II and still burns in the minds of the men who fought on that day. It is a day that should always be remembered. Think about what might have

Saturday, October 19, 2019

Assessing Strategic Analysis About Ryanair Airways

Assessing Strategic Analysis About Ryanair Airways The Ryanair is started by the Ryan family in 1985, with share capital of one pound and only with 25 colleagues , they started daily basis flights from Waterford in the Ireland to London Gatwick, with 5000 passengers on the route . The company grow further with high competitors British Airways and air Lingus . It is operating in a highly competitive sectors . but after 3 years of fast industrial growth , company increasingly got the numbers of passengers. with the price and routes competition they face  £20mn losses and it leads thinking about restructuring , Ryanair was take models from southwest airlines low cost leadership model .Under the new management team with new CEO Michael O’Leary rethink and Launch a New LOW COST , NO FRILLS Strategy . In 1997 the EU Air transport authority allows the Ryanair to first time to operate 18 new routes in European Continental area. They took many corrective action against cost reduction Eg no free drinks ,foods, and other facilities. R yanair got good response from all European passengers who likes frequent , quick and Low cost Travel . Ryanair overtakes BA and Air Lingus in the Dublin – London routes . Ryanair achieves their objective in a short period , they won many awards and positions in airlines industry, Ryanair got good name for punctuality. consistently the organisation expands operations , therefore in become very famous airline in the world ., and currently Ryanair operating 24 countries 436 low fare routs carried nearby 60mn people . Ryanair’s Strategy : â€Å"Ryanair’s objective is to firmly establish itself as Europe’s leading low-fares scheduled passenger airline through continued improvements and expanded offerings of its low-fares service†(Ryanair.com)The Ryanair key strategies. Industry Leading passenger service High frequency on short- haul routes. Significantly providing a service with very Low fares . – low operating costs, addressing aircraft and equi pment, personnel productivity, customer service costs and airport access fees Use the internet effectively Commitment to the safety and quality maintenance . Expand the operation results via Ancillary services. Ryanair offering a highly differentiated product with very lower fare, which increasing their competitive advantage to maintain competitive position on over its competitor. The firm makes to claim to their market area by marking Europe’s first no frills airline service.(Ryanair.com). Sustainable competitive advantage : Cost reduction Strategy: The Ryanair has following cost reduction strategy for achieving its goal for retaining their competitive position in airlines industries . there is five main functional factors like Airport charges , contracting out services , fleet commonality , managed staff costs and marketing cost .these are the areas they are giving great focus to improve low cost operation . According to fleet commonality the airways using particular type o f aircraft which controls the cost and limits the cost for employee training and development , maintenance cost and managing spares , giving more flexibility to scheduling the duty crew and aircraft. The Ryanair using Boeing 737 series to operate more numbers of passengers, and it allows 25% of increased their passengers with guaranteed 15 years of operating life .the old fleet took more maintenance coat and less fuel efficient , according to EU noise reduction requirements, the Ryanair fleets are required to install hushkits to avoid noises , it take more cost for installation almost $20mn , the increased weight might leads by negative figure of fuel efficiency .

Friday, October 18, 2019

2000 word research paper on potential career paths Essay

2000 word research paper on potential career paths - Essay Example The network of IT services provided by Bremmar Consulting is not restricted to Western Australia alone but extends across Australia as well as other countries of the world. Bremmar Consulting offers advanced technological services which equip the customers with the right firepower to compete in the cutthroat world of business. Bremmar Consulting is committed to help its customers accomplish their business goals by providing the best IT support and IT management. The firm takes care of every minute detail leaving the customer totally focus on his business. Bremmar Consulting is a small organization with fifteen staff members in its Perth office. The firm hires only the best engineers for its project management who are qualified Microsoft Certified Professional with a working experience of at least five years in the IT industry. The qualified team of engineers is capable of completing the project on time, within the budget allocated and to the satisfaction of the customers. It specializes in consulting, network administration, installation and repair and technical assistance. Although a small firm, Bremmar has a list of satisfied clients. It provides custom-made IT management and IT support to its customers. Bremmar appoints a three member team which efficiently monitors the client’s entire IT environment round the clock. The three members’ team provides phone, remote and on-site IT support. Incase of an emergency, the team appointed is quick to respond as per the response time agreed in the service contract. This close surveillance enables the dedicated Bremmar staff to identify any problem even before it becomes noticeable; the spot-on problem identification ensures flawless and uninterruptible operation of the working environment of the customer. The team also provides detailed report including the causes of trouble, steps taken to resolve the issue and who requested the work. Bremmar Consulting also provides the customers with

Creating a sense of Communiy Essay Example | Topics and Well Written Essays - 250 words

Creating a sense of Communiy - Essay Example When it comes to African culture, a number of aspects arise due to the conservative nature (Halverson & Tirmizi, 2008). This is especially so when it comes to such aspects as religion, music, art, and beliefs that normally promote communal work through the sharing of items such as homes, natural resources, and wealth. Additionally, their music and literary work is meant to enhance cohesion, as it mainly focuses on building a strong bond among the Africans and beyond (Sizoo, 2010). Perhaps it is important to look at the Mexican culture that uses unique cuisines and architecture to unite those who belong or would like to be associated with the culture. Ordinarily, the Mexican culture emphasizes on romance and love through numerous and unique weddings (Doudna, 2004). While not all cultures promote harmonious stay among the people, it is worthy to note that the Jamaican culture focuses more on uniting its people by preaching peace through the reggae music among other things such as marijuana (Dhingra, 2007). This is important for cohesion and crime deterrence especially in the modern society. Overall, culture plays a very significant role in the identity of various communities and this further enhances cohesion among the members belonging to a particular cultural background (Halverson & Tirmizi,

Advise Rodney on course of action Essay Example | Topics and Well Written Essays - 1000 words

Advise Rodney on course of action - Essay Example Rodney can go to a court ÃŽ ¿f law against Derek. An example ÃŽ ¿f a case concerning a true offer is that ÃŽ ¿f Carlill v Carbolic Ball Co (1893). The company was so sure ÃŽ ¿f its smoke balls that they placed advertisements in newspapers stating that it would pay anyone who caught flu  £100 after using its smoke balls as directed. Mrs Carlill bought one ÃŽ ¿f the smoke balls, used it as directed but still caught flu. She claimed the  £100 reward but was refused, so she sued the company in contract. The court held that in this kind ÃŽ ¿f contract, which is known as a unilateral contract, acceptance consists ÃŽ ¿f performing the requested act and notification ÃŽ ¿f acceptance is not necessary. The court concluded that Mrs Carlill was entitled to recover the  £100 reward. An invitation to treat this is were a person holds himself out as ready to receive offers, which he may then either accept or reject, an invitation to treat is not legally binding where as an offer is. For example if a shop displays goods with a price tag attached, this is not an offer to sell but an invitation for customers to make an offer to buy. The Fisher v Bell (1960) case were a shop keeper displayed a flick knife in his shop window. He was charged with offering for sale an offensive weapon contrary to the provisions ÃŽ ¿f the Restriction ÃŽ ¿f Offensive Weapons Act 1959. His conviction was quashed on appeal. The Divisional Court ÃŽ ¿f the Queens Bench Division held that the display ÃŽ ¿f goods with a price ticket attached in a shop window is an invitation to treat and not an offer to sell. This case outlines the difference between an offer and an invitation to treat. In the case ÃŽ ¿f business and commercial agreements, it is automatically presumed that the parties intended to make a legally enforceable contract. It is possible, however, to remove the intention by the inclusion ÃŽ ¿f an express statement to that effect in the agreement. An example ÃŽ ¿f this can be seen in the

Thursday, October 17, 2019

Too big to fail Essay Example | Topics and Well Written Essays - 500 words - 1

Too big to fail - Essay Example However there is another school of thought that correlates size with stability and calls the ‘too big to fail’ a farce. According to this thought stability of big names comes from high investor confidence, well-framed insurance policies and regulations etc. The big names are associated with trust and long-term customer relationship. However, the big banks increase the systematic risks causing smaller banks to collapse. Also with the size increases monopoly in the economy with larger names hoarding over the business scene with little or no advantage to the smaller players. This unfair treatment creates resentment in the smaller units and thus the level playing field is not achieved. Having used many interventions in the past years, the Fed has now somewhat taken a back seat towards protecting the large banks. As the huge structures demand huge funds which are simply unavailable to save them nowadays. This brings us to the Dodd-Frank Act that was enacted in 2010 as a preventive measure after the 2008 crises. ‘ Its first objective is to limit the risk of contemporary finance – what critics often call the shadow banking system; and the second is to limit the damage caused by the failure of a large financial institution.’ (Skeel, 2011) This act has made some regulatory changes, identifying non-banking financial system and regulating bank holding companies. An important part of this act is the Volcker Rule that refrains US banks to enter into speculative investments, thus keeping the commercial banks separate from the investment banks. Thus the size brings stability and returns leading to economic growth for a country. But overdoing of goodness turns bitter and in the same manner a bank too big will eventually topple over and when it does the smaller units will be crushed under it. The too big to fail slogan is right but only to a certain extent as the government will

Trusts Law Coursework Example | Topics and Well Written Essays - 1500 words

Trusts Law - Coursework Example The rest of his property, which includes the North Tawton, would go the Parish Council of Devon. This is to happen if only the wife is not alive otherwise the property should go to the parish council, but the interests that the property gains go to the wife. In his statement, Endacott said that the reason he made that decision is on the bases of providing some memorial to him and his family, which was useful. The basic law indicates that all trusts whether charitable or non charitable should have people who have the benefit of the property and thus its application. According to the law, I totally agree and arguing in accordance to the ruling by the court of appeal made through Lord Evershed, that there is a failure in trying to create a trust that is beneficial to a person1. There are exceptions to the statement and to the law that purpose trusts have no validity. It is rather obvious that prohibition does not apply to powers for the purpose, but it applies only to purpose trusts. Fr om the actual law, it is clear that when there is some level of surety that the person to settle the trust has the intentions to do so, and it is certain in relation to the estate as well as the purpose for the trust, then the trust may fail. According to the current law, there is no trust in the exercise that the court of appeal can control. ... In this case, there is consideration of trustees’ duties and rights towards the property by the court. Thus, there is consideration as whether the trustees’ can utilize the property without interference from other parties. This is in line to the ruling made by the court of appeal in the case of Morice v. the bishop of Durham. Where the court indicates it does not control the property in the case. The court of appeal also may take control of the trust to ensure that there is respect to the intentions of the settler. Where the settler is the initial owner of the property as seen in the case of Roxburgh in Re Astor, I agree to the statement further due to the current law clause on express trust. According to the court of appeal definition for express trust, there must be certainty, formality and the making of the trust must be constitutional. For the trust to be biding, the settler must have the ability to create trust, that is. The settler must own property and hold the p roperty he should be able to speak as well as show the intention to create the trust. The settler can then name the beneficiary as it is the requirement of the court for non-charity trusts. Thus, the trust cannot be binding if there are no beneficiaries as this is against the law for the creation of direct trusts3. The statement may not apply where the trust is discretional following a ruling by the court of appeal in the case of McPhail v. Doulton. Where the trust may have many beneficiaries rather than a few who the settler provides in his list of beneficiaries during the making of the trust, Furthermore, the trustee must be able to say for certain who the beneficiary is when

Wednesday, October 16, 2019

Advise Rodney on course of action Essay Example | Topics and Well Written Essays - 1000 words

Advise Rodney on course of action - Essay Example Rodney can go to a court ÃŽ ¿f law against Derek. An example ÃŽ ¿f a case concerning a true offer is that ÃŽ ¿f Carlill v Carbolic Ball Co (1893). The company was so sure ÃŽ ¿f its smoke balls that they placed advertisements in newspapers stating that it would pay anyone who caught flu  £100 after using its smoke balls as directed. Mrs Carlill bought one ÃŽ ¿f the smoke balls, used it as directed but still caught flu. She claimed the  £100 reward but was refused, so she sued the company in contract. The court held that in this kind ÃŽ ¿f contract, which is known as a unilateral contract, acceptance consists ÃŽ ¿f performing the requested act and notification ÃŽ ¿f acceptance is not necessary. The court concluded that Mrs Carlill was entitled to recover the  £100 reward. An invitation to treat this is were a person holds himself out as ready to receive offers, which he may then either accept or reject, an invitation to treat is not legally binding where as an offer is. For example if a shop displays goods with a price tag attached, this is not an offer to sell but an invitation for customers to make an offer to buy. The Fisher v Bell (1960) case were a shop keeper displayed a flick knife in his shop window. He was charged with offering for sale an offensive weapon contrary to the provisions ÃŽ ¿f the Restriction ÃŽ ¿f Offensive Weapons Act 1959. His conviction was quashed on appeal. The Divisional Court ÃŽ ¿f the Queens Bench Division held that the display ÃŽ ¿f goods with a price ticket attached in a shop window is an invitation to treat and not an offer to sell. This case outlines the difference between an offer and an invitation to treat. In the case ÃŽ ¿f business and commercial agreements, it is automatically presumed that the parties intended to make a legally enforceable contract. It is possible, however, to remove the intention by the inclusion ÃŽ ¿f an express statement to that effect in the agreement. An example ÃŽ ¿f this can be seen in the

Trusts Law Coursework Example | Topics and Well Written Essays - 1500 words

Trusts Law - Coursework Example The rest of his property, which includes the North Tawton, would go the Parish Council of Devon. This is to happen if only the wife is not alive otherwise the property should go to the parish council, but the interests that the property gains go to the wife. In his statement, Endacott said that the reason he made that decision is on the bases of providing some memorial to him and his family, which was useful. The basic law indicates that all trusts whether charitable or non charitable should have people who have the benefit of the property and thus its application. According to the law, I totally agree and arguing in accordance to the ruling by the court of appeal made through Lord Evershed, that there is a failure in trying to create a trust that is beneficial to a person1. There are exceptions to the statement and to the law that purpose trusts have no validity. It is rather obvious that prohibition does not apply to powers for the purpose, but it applies only to purpose trusts. Fr om the actual law, it is clear that when there is some level of surety that the person to settle the trust has the intentions to do so, and it is certain in relation to the estate as well as the purpose for the trust, then the trust may fail. According to the current law, there is no trust in the exercise that the court of appeal can control. ... In this case, there is consideration of trustees’ duties and rights towards the property by the court. Thus, there is consideration as whether the trustees’ can utilize the property without interference from other parties. This is in line to the ruling made by the court of appeal in the case of Morice v. the bishop of Durham. Where the court indicates it does not control the property in the case. The court of appeal also may take control of the trust to ensure that there is respect to the intentions of the settler. Where the settler is the initial owner of the property as seen in the case of Roxburgh in Re Astor, I agree to the statement further due to the current law clause on express trust. According to the court of appeal definition for express trust, there must be certainty, formality and the making of the trust must be constitutional. For the trust to be biding, the settler must have the ability to create trust, that is. The settler must own property and hold the p roperty he should be able to speak as well as show the intention to create the trust. The settler can then name the beneficiary as it is the requirement of the court for non-charity trusts. Thus, the trust cannot be binding if there are no beneficiaries as this is against the law for the creation of direct trusts3. The statement may not apply where the trust is discretional following a ruling by the court of appeal in the case of McPhail v. Doulton. Where the trust may have many beneficiaries rather than a few who the settler provides in his list of beneficiaries during the making of the trust, Furthermore, the trustee must be able to say for certain who the beneficiary is when

Tuesday, October 15, 2019

Aspects and traits of different cultures and how they communicate Essay Example for Free

Aspects and traits of different cultures and how they communicate Essay Culture can be interpreted differently by different people but the general meaning of culture can be defined as people’s way of life which is passed from one generation to another and also shared among other different societies. The world has very many different societies and each of these societies have their own way of life, their beliefs and norms. The activities that people involve themselves in and the beliefs they hold is what normally forms their culture. These cultural beliefs are the ones that distinguish one society from other societies and therefore many societies hold their culture as a very important symbol of identification(Neil). This document discusses the general aspects and traits of different cultures. It also gives a detailed view of how this traits and aspects are communicated within the societies and also across to other societies The aspects of culture generally display the general way of life of most societies in the world. These aspects can be a useful base to compare how different societies in the world live. One of the most prominent aspects of culture is the government structure of the societies and the international relation ships of this society with the outside world. Government within any society refers to the way the people in any society will make their laws and how these laws are enforced to the society. It also brings out the issues of leadership and how it is passed on to others within the society. All the societies in the world have different types of governments and the way one government is run is certainly not the same as the other society. The way laws are made and enforced is also independent among the different societies. For example, the United States of America has its own way of making laws and enforcing them, which is different from the way the African countries or other European countries do it. The procedures that are followed in the US to elect a president are not the same as the procedures that will be followed in Australia, china, or any other country. The international relations between one country and other country are simply not the same. The way the government of UK relates with the government of Canada is not the same way it will relate to a country like Nigeria. The international relations ships are different between one society and other all over the world (Shapiro, p25) . Another important aspect of culture is the economies of the societies and the resources available to them. The resources that are available to one society may not be available to another society. This can be due to different geographical locations which may favor some societies with better resources than others. For example, some societies in the world have natural resources while others do not have any natural resources. The resources available define a society’s way of earning a living. For example some societies especially in the African continent have abundant natural resources and most of them may depend on agriculture for a living. Other countries such as Korea have to import the raw materials for their manufacturing industries. The resources available and the type of management will then define the type of economies the societies will have at the end of the day. The scarcity of resources within the different societies has for example brought about trade and this has formed a major characteristic of culture in the different societies(Benedict,p13). The societies have different spiritual believes and this forms the basis of religion in the different societies. People within the societies have their own believes about the supernatural powers and this has given the society a clear definition of what to worship. For example the different societies in the world have different religions. While some societies believe in Christianity, others believe in Islamic, Hindu, cults among other religions. These beliefs affect the society’s way of life very differently. The way the Islamic religion dictates life is not the same as the Christianity. Their practices and believes are different. The passing of these religions between the societies is also very different. While to some like Islam it is mandatory other societies find it a personal choice and therefore optional (Lull,p22) Literacy and technology is another aspect of culture. This aspect brings out the different ways in which different societies acquire education. For example how they attend school and the type of school curricula that is followed. The education system in most word societies are not the same. The kind of technology that is incorporated in the school programs is very different from one society to another. Some societies such as western societies have more advanced technology than societies in the African context. What is taught in the school curricula is also different from one society to another. This eventually affects the types of societies that are finally brought up in future. Some of the societies are more technologically advanced that other societies in the world(Shapiro, p27) . Community and family life forms another part of the cultural aspect. This gives an approach of how people live and how closely they are related to each other. This also defines the kind of housing that the individuals may live in. Different societies construct their houses differently according to their beliefs. While some societies believe in stone built houses, some societies may construct mud hoses thatched with grass. The shapes and finishing of the houses constructed by the different societies is also different owing to their beliefs. The way the societies are divided for example in terms of race, ethnicity, family among others is also very different. This clearly means that the defined relationships between the family members in the societies are different. For example the way the younger people relate to the elders within the society is different across the world societies. The occasions and how they are celebrated within the societies is also very unique. For example they way the Chinese embrace their culture is not the same as then Indian society(Benedict, p17). The cultural arts and crafts within the societies are diversified. The arts that you will find in America are not the same as the arts in Asia. All the societies in the world have their unique paintings, music, sculptures, and architecture. The way the societies make the pottery, carvings, baskets, mats and others is very different. The kind of music enjoyed by one culture is not the same as the other society. These cultural aspects are known to exist in every society. The only difference is that every society has a unique and independent way of approaching each aspect. Apart from the aspects of culture in the societies, another major characteristic of culture is its traits. All cultures across the different societies have common traits. One of the cultural traits in the society is that culture is learned. All of us are born and raised in different societies. One is not born with the culture of any specific society. Individuals learn the culture of the society they are born in. If a child is born in a different culture from his parents, the child is likely to learn the culture of the second society and not that of his /her parents. Another trait of culture is that it is transmitted from one generation to another. People do not form other cultures when they are born. Instead the older people normally pass the culture in their society to the younger generations within the same society(Neil). This reinforces and maintains culture within the societies. This is because, if a culture is not passed from one generation to the next, it is most likely that that culture will eventually die. The older people therefore normally hold the responsibility of teaching the younger people the beliefs , traditions, values and norms of the society. Culture is dependent on the world of symbols to communicate it from one generation to another. This means that the methods used to pass culture in one society are basically similar as methods used in another society. The symbols that are normally relied upon by the societies are the verbal and non-verbal symbols of communication. Other symbols that may be used to communicate culture include icons and images. Change is another important trait of culture. This means that there is no one culture that is not subject to change. The culture that used to be followed by our great grand parents is not the same culture that we follow today. As times change, people keep changing what they believe in and this eventually changes the culture of the society (Benedict, p18). Change of culture is normally subject to the various changes that occur in our daily lives. For example changes in the education systems, change in technological advancement of the society, discoveries and innovations that may occur as life progresses. All the societies have another important cultural trait of superiority over other cultures. This trait is referred to as ethnocentric. The societies believe that their norms, values and practices are superior and far much better than those of other societies. This trait is a major source of conflict between societies since none of the societies will accept to be put down by another society. This trait helps the individuals within any particular society to feel proud of themselves and portray the positive image of their society. The final cultural trait in the societies is the adaptive nature of culture. As the world advances the changes that come with it must readily be acceptable within the societies. For example most cultures in the past regarded women as a weaker sex and their role in the society was very minimal. As the technological advancement took ground, women have adapted different roles in the society and today they perform the roles that were previously referred as masculine roles. People keep adapting different styles of life as change is adapted within the cultural context of the societies (Neil). Culture is communicated using different methods within the society. Communication of culture is done through various methodologies of learning. Culture itself can be learnt consciously or unconscious. Unconscious methods include observation and practicing of what other people do within your culture. The younger people may for example start dressing, singing and behaving like other people do within their society by just observing and imitating them. The conscious methods include reading about the culture and being taught by the older generation about your culture (Benedict, p23) Culture is taught to the younger generation through proverbs, folktales, myths folklore, art, music, poetry and mass media. Many are the times when our grand parents would tell stories related to our culture. The younger generation is then expected to behave in a manner that suits the lessons they learn from the stories and legends they hear. Everything that we do in our lives, both in the verbal and non-verbal originates from what we learnt in our cultural back ground. Apart from the older generation, culture can also be learnt from other sources such as our families, teachers ,religious organizations and our peer groups. Within the family context, parents hold the sole responsibility of teaching their young ones how to behave in accordance to the society’s value and norms(Lull, p28). They introduce them to the religious education and also the formal education system. What a child starts learning from the beginning of child hood forms a big ground for the cultural beliefs. For example, a child introduced to Islamic faith when very young and has grown believing in it would be very difficult to change and start believing in other religions such as Hindu or Christianity. In the institutions that we grow in, peer groups are likely to result and this forms another source where culture is learnt within the society. One is eager to learn what the other knows that he/she does not know and in this way we find that culture quickly passes to other individuals (Lull, p33). Culture is not only passed within the societies but it is passed to other societies. This has become very common in today’s societies where we find that individuals do not strictly stick to the beliefs in their own society. This has resulted from the effects of globalization that takes place in the present world. Many societies today are very integrated in different aspects of life such as marriage, trade, education among others. With such integration we find that people start dressing like other societies, eating foods similar to other societies, appreciating arts and traditions of other societies among others. People learn about other cultures through adaptation of behaviors and norms of the society at interest. Trade, media, intermarriages and education have become the best mechanisms of passing the cultures from one society to another (Toomey, p10) . In conclusion culture has the same general aspects and traits within the different societies across the world. The only difference is how these characteristics are interpreted in the different world societies. Culture is no longer viewed the same as it used to be in the past. Many individuals today do not know about their culture due to the adaptation of other societal cultures which is often mixed with the native culture. This has given rise to societies with very diverse believes and many cultural conflicts within the society. Works cited Dennis ONeil. (2007). Characteristics of Culture. Available from: http://anthro. palomar. edu/culture/culture_2. htm Harry Lionel Shapir. Aspects of Culture. Ayer Publishing, 1970, p23-56 Lull, J. Media, Communication, Culture: A global approach. New York, Columbia University Press, 1995, p16-34 Ruth Benedict Patterns of Culture. Mariner Books, 2005,p13-44 Ting Toomey, S. Communicating across cultures. New York, Guilford, 1999, p4-18

Monday, October 14, 2019

The History And Development Of Forensic Science

The History And Development Of Forensic Science The use of forensic techniques has been used throughout history to solve crimes; initiating from the early existence of man, Forensic Science was intact in its simplest forms and kept on expanding throughout the prehistoric era. Prehistoric forensics is also considered as the building blocks of modern forensic techniques. In the first instance a case indicating the use of forensics was reported in ancient Rome circa in 1000 A.D. An attorney Quintilian used a handprint full of blood to prove that a blind man had been wrongly accused for the murder of his own mother. In addition the first Forensic Autopsy laid out the foundations of forensics and was first executed on Julius Caesar by the Roman physician, Antistius in 44 BC. Subsequently this Autopsy revealed that Caesar was subjected to 23 stab wounds; only one of which had proven fatal. Thus assembling the basis of Pathology and enabling an insight into the cause of death of the deceased. Additionally acknowledgement of the importance of a corpse in solving a crime was recognised and awareness of the causes of death came into question; aiding the development of this area of forensics. During prehistoric times around 700 BC the very first fingerprints were conducted by pressing a handprint into clay and rock. Archaeologists in a province of Canada known as Nova Scotia revealed an ancient drawing, outlining the detailed ridge patterns of fingerprints and a hand. In accumulation the ancient Babylonians developed fingerprints on clay tablets for use as business transactions and identification. Also during the 7th Century BC an Arabic merchant named Solemn affixed the fingerprints of a mortgager to a bill; which would be transferred over to the lender and would be documented as legal proof of a valid debt. In addition the Chinese also used this technique to affix fingerprints into clay sculptures to be used as a form of identity. Due to no classification system and common misconceptions of identity meant that this was a vital discovery; therefore fingerprints were considered as documented evidential proof in business. Archimedes between (287-212 BC) displayed the first recorded account of density and resistance by examining water displacement; enabling them to be able to ascertain that a crown was being falsely portrayed as gold. Analysis of density and toughness of the crown determined that it was not made of gold. Furthermore in 250 BC an ancient Greek physician, called Erasistratus, found that when a person was not telling the truth, the pulse rate of that person increased. Consequently this laid out the principles for the very first lie detection test; modern day lie detection is known as a polygraph and based on the changes in pulse rate/heart, galvanic skin response GSR (sweating), blood pressure and vast or sudden changes in the sympathetic nervous system. Forensics during the 1000- 1700s During this time period over 700 years, mankind discovered vast amounts of knowledge in all the diverse fields of forensics. Acknowledgment and attention to detail increased towards the end of the 16th century so much so that documents had been published showing the fine detail of fingerprints. Henceforth this aided the world of forensics in successfully developing and recognising individual human characteristics. In 1000 A.D. crime scene investigation, advanced to an extent where an attorney Quintillion was able to identify and examine hand prints covered in blood, to prove that a blind man had been trapped for the murder of his own mother. Additionally the Chinese went on further, in 1248 AD the development of the first written documentation for identifying distinctive crime via a book was published in china. In ancient China clay seals were found to consist of thumbprints. Subsequently this was one of the first books published named Hsi Duan Yu, which means The Washing Away of Wrong. This book consisted of medical knowledge which helped establish the differences in the recognition of crimes such as drowning and strangling. Consequently this book is considered as the first recorded evidence combining medicine to crime solving practices. It also consists of recorded information that outlines the basis of forensic pathology. The book His Duan Yu aided the development and enhancement of pathology and is still is considered as a valuable resource. In 1249 an Italian surgeon Hugh of Lucca took an oath as a medical expert in the city of Bologna; he gained fame for his comprehension regarding the antiseptic treatment of wounds. More than 50 years later in the year 1302 an Italian named Bartolommeo da Varignana from the same city of Bologna carried out a medical autopsy regarding a case of a murder suspect, involved in the murder of a noble man. Nearly a century and half later in 1447 a body was identified as that of Charles French Duke of Burgundy from the absent teeth which were the clue in solving the murder; his body consisted of teeth which had been knocked out whilst he was still alive and recognition of these missing teeth and scars gave an indication to his identity. Therefore this case can be considered as one of the first indications of Forensic Odontology. The French have also played a remarkable role in discoveries through the years. A French Surgeon from the year 1509-1590, called Amboise Pare wrote and published reports in court; thus producing a book which is deliberated as being the first conclusive test on legal medicine. During the 1600s the world of science had opened up with an expansion of discoveries which were taking place at a phenomenal rate. In 1601 the first treatise on systematic document examination was published in France by a French man called Francois Damelle. This document was written before the developments of inks and paper. However comparison of handwriting could be subjected to analysis and identified. Modern day handwriting analysis is conducted by a Forensic Document Examiner, who detects forgeries e.g. signatures. Moreover a Forensic Document Examiner has the task of examining documents created using photocopiers and fax machines; this is done by examining the ink and paper alongside the handwriting and its other foreign inclusions. Sir Thomas Browne (1605-1682) was an English Physician and Historian who acknowledged that a substance known as Adipocere was formed on the body of the deceased. He described this substance as fatty, waxy and soap like. It also came into recognition that Adipocere was formed on human corpses; mostly buried in moist and air free places. Persistently this substance was under analysis and a French chemist known as Antoine Franà §ois (1755-1809) discovered the chemical speciality of Adipocere whilst examining bodies; recognising its chemical similarity to soap. Subsequently this discovery was of huge progression dating back to prehistoric times (44 BC) where Antistius found that only one stab wound proved fatal during the killing of Julius Caesar. Therefore understanding of pathology was growing at an astounding rate and people started discovering the solution to crimes via science instead of relying on witchcraft. Also in 1686 Marcello Malpighi a professor of anatomy at the University of Bologna went on further to allow documentation of the different characteristics of fingerprints e.g. whorls, ridges, loops and spirals. Although Malpighi documented the patterns of fingerprints he did not mention there importance in the use of crime detection and how they are part of an individuals characteristics; hence the vital importance they play when used as identification methods. However a layer of skin approximately 1.8mm thick is named after him and is known as the Malpighi layer. A crucial discovery was made in 1775 by Karl Wilhelm Scheele. He discovered that it was possible to change Arsenious Oxide into Arsenious acid; when reacted with zinc it produces arsine. Subsequently this procedure proved to be of vital importance in forensic detection of arsenic. One of the first uses of documented physical matching was established in 1786, when John Toms an Englishman was convicted of murder. Evidential proof showed a torn wad of paper found in a pistol matching another piece in his pocket. Enhancement of Forensics during the 1800- 1900s In history this time period is considered as the growth and spread of Forensic Science. In the early 1800s where ideas were still at large and developing an English Naturalist named Thomas Bewick used his own fingerprints to identify the books he published. He did this by engraving them in order to identify the books he published. Henceforth astounding research on fingerprints came about in 1823 when Professor John evangelist published his proposition which consisted of the discussion of 9 fingerprint patterns. However there was no mention of use in personal identification. In 1810 Germany, the first recorded documented analysis was undertaken. Also a chemical test for a specific ink dye is applied to a document named as the Konigin Hanschritt. Mathieu Bonaventure published the Traite des Poisons in 1813 and was a professor at the University of Paris who specialised in medicinal and forensic chemistry. Considered as the father of modern toxicology due to his significant contributions he also aided the development of presumptive blood detection tests to indicate the presence of blood. Furthermore he was credited for his attempt to identify blood samples using the microscope. Similarly in 1817 Bateman described senile ecchymosis as he records dark purple blotches to determine that they are present due to extravasation of blood into specific tissues in the body known was dermal tissues. Similarly professor of Forensic Medicine in the year 1829 called Sir Robert Christenson published his treatise on poisons. This piece of publication was well thought out and regarded as the standard work of toxicology written in the English language. A year later in 1830 Lambert Adolph a statistician from Belgium outlined the foundations for Bertillons work by putting forward his belief that no human bodies are exactly alike. Persistently in 1831 Erhard Friedrich Leuchs describes the first Activity in human saliva on starch via the action of salivary ptyalin which is known as amylase. The year 1835 bought about the recognition of a field of forensics known as ballistics; hence the founded comparison by Henry Goddard on a visible flaw in the bullet revealed that it originated from a mold. Thus outlining the first use of bullet comparison to catch a murderer was conducted. Likewise in 1836 an English chemist known as James Marsh progresses and identifies a test for the presence of arsenic in tissues. This was later known as the Marsh Test and is known to be very sensitive for detecting as little as 0.02 mg arsenic. It is also known to be the first test of toxicology to be used in a jury trial. Consistently throughout the 1800s many vital discoveries were made Dr John Davy in 1839 was involved in one of the first attempts in investigating time of death. He used a mercury thermometer to experiment on dead soldiers to acknowledge body temperature since the time of death. Furthermore during this year the first well set out procedures for the microscopic detection of sperm and the different microscopic characterisation of the different substrate fabrics. Also in 1840 Mathieu Bonaventure applied the marsh test correctly and discovers arsenic in the corpse. After this a polish anatomist called Ludic Karol initiated a document on the crystallisation of certain organic compounds present in blood. After this the test which indicated the presence of blood on the cloths of a suspect and various items became broadly used in forensic science. During the mid-1800s, Richard Leach in 1855 established the use of dry plate photography for keeping prison records via photographing inmates. In addition Amboise August attracts attention to petechial haemorrhages which take place in asphyxia deaths. Modern research proved this wrong; however the belief is so persistent that many forensic pathologists still find this hard to discard. In 1863 the German scientist Christian Friedrich first discovers the capability of haemoglobin to oxidize hydrogen peroxide making it foam aiding the presumptive test for the presence of blood. Additionally towards the end of the year 1863 Taylor and Wilkes wrote a paper on the acknowledgement of time of death by distinguishing the fall in body temperature. Successful completion of this bought about terms and concepts such as the initial temperature, core, heat gradient and also the effect of insulation. The fingerprint discovery enhanced in 1870 when Henry Faulds took up a study involving skin furrows after noticing fingerprints on specimens of prehistoric pottery. Faulds not only acknowledged the importance of fingerprints for individualisation purposes but also planned a method of classification. Later in 1880 Faulds becomes the first person to recognize the significance of latent prints left at crime scenes. On the same agenda Argentinian Juan Venetic established the first criminal fingerprint id system; identifying a woman for the murder of her two sons. In the late 1800s Sir Francis Galton publishes his book on fingerprints outlining the first classification system. Galton identifies fingerprints by observing individuality and permanence still in use today it is known as Galtons Details. Progressively Sir Edward Richard develops this print classification and is later used in Europe. Towards the early 1900s discoveries were enhancing and the use of Forensic Science began its journey across the globe, diverging into various sectors. Human blood groups were first discovered by Karl Landsteiner in 1901; this was later adapted to be used as a validation method on type stains. Subsequently in 1902 Henry Forrest creates the first systematic use of fingerprints and later in 1903 the New York State Prison uses fingerprints for criminal identification. A breakthrough in the world of forensics and increased understanding was developed when the Lenquete criminelle was published by Dr Edmund Locard a great professor within the forensics field who stated that every contact leaves a trace, Dr Edmund- Locard, (1904). Subsequently this statement became known as Locards Exchange principal. The statement in a wider sense implied that every time an individual comes in contact with a place or another individual, something of that individual is left behind at the place; thus something of that place is taken away with the individual. During the course of the 1900s the development of blood groups, criminal identification system and also Gunshot residue tests such as the diphenylamine were developing at an astonishing rate. The mid 1950s show signs of a huge awareness of attention to detail this can be seen when Max Frei-Sulzer discovered the tape lifting method for collecting trace evidence. Many Forensic Techniques began developing such as Gas Chromatography and also identification of petroleum brands came into question. A decade later in 1960 Brian Cull-ford of the British Metropolitan Police Laboratory (BMPL) starts gel based methods to test for enzymes in dry bloodstains and other bodily fluids. Over next 40 years Forensic Science had become so advanced that many of the techniques are still used today; a technique known as Scanning Electron Microscopy was developed in 1974 at the Aerospace Corporation which involves the use of electron dispersive X-rays technology and is still in use today. On the other hand a handy mechanism known as the Automated Fingerprint Identification System was introduced by the FBI in 1977, providing the first computerized fingerprints. Other techniques such as Superglue fuming came under analysis and many techniques developed regarding fingerprints. UK police also initiate Forensic DNA profiling and later solves the Colin Pitchfork murder case. In 1991 development of a system known as Integrated Ballistics Identification System was put into practice with Drug Fire for automated imaging and comparison of marks left on fired bullets etc. Simultaneously many databases were being established. In 1996 the Police National Computer (PNC) was introduced in the UK and the FBI in 1998 released a DNA database known as NIDIS. Up until the present time development of forensic databases is still at large such as the 2007 Footwear coding and detection management system developed in the UK; assisting in detection of footwear marks found at crime scenes and comparing them with a controlled sample stored on the Footwear Database. Many modern techniques such as ESLA and Casting prove useful and efficient in the detection of footwear marks. Similarly the fingerprinting database has enhanced to an extent where it stores over 18.6 million set of ten-prints and the techniques used to retrieve prints are quick and efficient such as Florescent Magnetic and bi-chromatic powders, Superglue Fuming, Ninhydrin and Iodine fuming. Hair analysis has developed by means of Mass Spectroscopy, recently in April 2011 a new laser technique has revealed that separating out parts of hair samples can answer valuable questions about a person such as; what they have consumed recently including clues which can aid forensic scientists to understand what led them to behave in such a way. One of technologys most advanced discoveries is the PNC which immensely aided forensics since 1996 as it contains multiple databases including Automatic Number Plate Recognition (ANPR) which can detect cars without insurance, stolen and disqualified drivers. The PNC is available 24 hours a day and can produce results within minutes. Earlier this year in February 2012 the police were provided with blackberry smart phones which enclose a fingerprint scanning device enabling them to scan fingerprints and cross link these through the PNC to establish a match; thus painting a clearer and wider image of the suspects true identity. Additionally Police use a technique known as the Face Building System it works by enabling the victim to identify the perpetrator by putting forward many different facial characteristics; helping build an image of an offender for public appeal. Advancing technology in the near future may take forensics to a whole new level with a new Face Recognition System which could be used by police officers to scan faces and cross link them to the Mug shots stored on the PNC; drastically reducing the presence of Identity Freud in the UK. Till the present day forensics has proven of immense use, its phenomenal and rapid development through the ages has led to numerous crimes being solved. Vast amount of detail that has arisen through the years, allows the expansion of forensic fields which enable them to split into unique and diverse divisions e.g. Forensic Odontology. This is the study of dental evidence such as bite marks or even human remains in order to establish the identity of an individual. During this modern era; astonishingly increasing technology proceeds to thrive the success of crime detection and unravels many forensic cases at a remarkable rate; making the jobs of criminals considerably harder. Statistics provided by npia police

Sunday, October 13, 2019

The Secret Life of Walter Mitty :: essays papers

The Secret Life of Walter Mitty The story is about Walter Mitty, a henpecked and daydreaming urban man, who often depends on daydreaming to escape real life. As the story begins, Walter Mitty is driving his wife to town for an appointment at a beauty shop. Triggered by the wild storm, he begins to imagine himself as the commander of a Navy hydroplane. He dreams that the plane is in trouble but the members of the crew have complete faith in his ability. One member of the crew says, â€Å"The Old Man'll get us through†. Mitty is brought back from this daydream by his wife's voice, as she says, â€Å"Not so fast! You're driving too fast! What are you driving so fast for?" His second daydream is activated by his wife’s suggestion to see Dr. Renshaw and put on gloves. In the second daydream, he fancies that he is helping several famous physicians save a millionaire by fixing a complicated machine that no one in the East can fix. He even envisages that he finally acts as operator. He is pulled back into reality by the shouting of a parking-lot attendant. Annoyed by the embarrassment at the parking lot and the failure of his memory and stimulated by the shouting of a newsboy about the Waterbury trial, Mitty sets off the third daydream in which he is on trial for murder. In the trial, he accurately recalls and valiantly admits that he has killed Gregory Fitzhurst despite the efforts of his attorney to prove his innocence. He was aroused to reality by his subconscious murmuring of puppy biscuit and the laughing of a passing woman. Sitting into a big leather chair in the lobby, he starts his fourth daydream by looking at the pictures of bombing planes and of ruined streets in an old copy of Liberty.

Saturday, October 12, 2019

Genetic Engineering: Genetic Criticism :: Literature Essays Literary Criticism

Genetic Criticism      Ã‚  Ã‚   Source study is a unique approach to a work of literature because it seems to have little to do with the completed work itself. Source study, or genetic criticism, has as its focus all of those things that influenced, or may have influenced, a literary work. By this branch of criticism, Wilfred Guerin explains, "... we mean the growth and development of a work as seen through a study of the author's manuscripts during the stages of composition of the work, of notebooks, of sources and analogues, and of various other influences (not necessarily sociological or psychological) that lie in the background of the work" (292). A genetic critic hopes to find clues as to the author's intention by noting and examining the choices an author has made during the production of a work. One of the assumptions made by these critics, Guerin adds, is that such research will lead to "a richer, more accurate appreciation of the work" (292). In practice, the light of appreciation , accumulated from such research, shines most brightly on the artist, while the work itself fades into the background.      Ã‚  Ã‚  Ã‚   Perhaps this focus on the writer is not such a bad thing. Chauncey Sanders writes that the study of a writer's sources leads to a clearer understanding of an artist's originality or lack of the same (165). While it may be useful to spot literary robbery, Sanders believes that genetic criticism has a more important role: "It should not be confined to the discovery of such plagiarisms . . . but rather it should involve the analyzing of a piece of literature with a view to discovering whence came the inspiration, the material, and the technique whereby the work came into being" (162). Again, though, it is the artist who is the main subject of this type of research. "We must learn and study the sources of a Chaucer or a Shakespeare," writes Sanders, "in order to appreciate the nature and extent of his originality" (364-365). Any greater understanding of the work would result only indirectly from this approach to literature, an approach which seems especially susceptible to becoming a mere celebration of the artist.      Ã‚  Ã‚  Ã‚   John Holmes' analysis of Robert Frost's composition of "Stopping by Woods on a Snowy Evening" illustrates how genetic criticism tends to reveal more about the poet than the poem.

Friday, October 11, 2019

PLDT telecommunication Essay

INTRODUCTION PLDT is the leader in providing telecommunication services in the country. The company’s business can be divided into three main business areas: fixed line, wireless, and information and communication technology. PLDT is the leading telecommunications service provider in the Philippines. Through its three principal business groups-wireless, fixed line, and information and communications technology-PLDT offers the largest and most diversified range of telecommunications services across The Philippines’ most extensive fibber optic backbone and wireless, fixed line and satellite networks. PLDT is listed on the Philippines Stock Exchange (PSE: TEL) and its American Depositary Shares are listed on the New York Stock Exchange (NYSE:PHI) and the Pacific Exchange. PLDT has one of the largest market capitalizations among the Philippine listed companies. The fixed line business provides local calls, national and international long distance services, which operates around 2.1 million access lines. The wireless†¦Food Procurement INTRODUCTION Background of the Study Mang Inasal Chicken BBQ is the Philippine’s fastest growing barbeque fast food chain, serving chicken, pork barbeque and other Filipino favorites, was first established on December 12, 2003 in Iloilo City. Currently, there were 445 branches nationwide and†¦ Mang Inasal How can Mang Inasal sustain its success? Your column on Mang Inasal?s success secret is still the continuing topic of our group?s conversations. We?re a foursome of Asian Institute of Management (AIM) Master in Entrepreneurship (ME) graduates and you taught our batch. There?s one question raised†¦ Mang Inasal Apart from the usual food presentations of multinational food company copycats, Mang Inasal endeavors to adhere to elements that bear a distinctively Pinoy stamp-grilling with charcoal, rice wrapped in banana leaves, a marinade concocted out of local spices and herbs, bamboo sticks for skewers, and the ambiance that†¦ Inventory System Proposed Inventory System In Mang Inasal Food Corporation (Calapan City) System Analysis and Design Presentation of Bachelor of Science in Information System In City College of Calapan System Analysis and Design (IS8) requirement For the Bachelor of Science in Information System Presented†¦ None enterprise. Let Mang Inasal Philippines win your heart in the franchise business as it captured the taste of the Manileos. Chicken Inasal business boomed several years ago due to its distinct and flavorful taste that passed the discriminating choices of the Filipino diners. Chicken Inasal is not just an†¦ Copy 5 Investment Pays Off†¦6 VOL. 1 NO. 1 SEPTEMBER 2010 TRUE to its quest of being the foremost Quick Service Restaurant in the Philippines, Mang Inasal Philippines Inc. is set to open its 300th store by October 2010. â€Å"Most of our expansion now will be in the provinces since we are all over most of†¦ mang inasal Contents1 Introduction to Mang Inasal3 A. Company Profile3 B. Market Profile4 C. Value Chain Analysis6 Franchising and Store Operations6 Marketing7 Logistics7 Sourcing8 Franchising and Expansion8 Profile of Target Country, Malaysia9 A. STEP Analysis9 Socio Cultural9 Socio Cultural†¦ Thesis-Customer Service scrambling for business. In Bià ±an, Philippines, particularly at Mang Inasal, the work performance of the sales manager are of great concern about the significance of having good customer service. On December 30, 2003, Mang Inasal was born out of the vision of Mr. Edgar Sia II. From its humble†¦ Jollibee Food Corporation Strategic Management MBA 2 Assignment in Strategic Management Business Analysis (Jollibee Food Corporation) Jeff C. Balanag 15/6/2012 1 Table of Contents Introduction Company Description Jollibee History and Milestone Jollibee Food Corporation Ownership The Use of School of Strategy Culture School Values, Mission†¦ Inasal PROFILE MANG INASAL – Philippine’s fastest growing barbeque fast food chain, serving chicken, pork barbeque and other Filipino favorites, was first established on December12,2003 in Iloilo City. Currently, there are 445 branches nationwide and with over 10,000 employees system wide. MANG INASAL is doing†¦ Opman Case Study Iris Stephanie TanMay 5, 2011 POM102 JTA-ASir Allan Ko Business Case Study Analysis Rags2Riches Reese Fernandez’s Rags2Riches offers us not only a relatively new kind of bag product but also a way to participate in helping boost our country’s economy. Their company succeeded the challenge†¦ Mang Inasal Research paper Company Name : Mang Inasal Company Profile : MANG INASAL PHILIPPINES INC. COMPANY PROFILE MANG INASAL – Philippine’s fastest growing barbeque fast food chain, serving chicken, pork barbeque and other Filipino favorites, was first established on December12,2003 in Iloilo City. Currently, there are†¦ Mang Inasal Study San Sebastian College Recoletos de Cavite College of Engineering RISK MANAGEMENT QUIZ 2 MANG INASAL Introduction: A restaurant is an establishment that serves prepared food and beverages ontables set for individuals, pairs or larger groups, to be consumed primarily on thepremises. Restaurants†¦ The Manginasal â€Å"Marketing Framework of Mang Inasal Food Corporation: Basis for Proposed Filipino Themed Food Business Program† A Research paper Presented to the Faculty of the College of Business Management and Accountancy Pamantasan ng Lungsod ng Marikina In Partial Fulfillment†¦ mang inasal MANG-INASAL INTRODUCTION Mang Inasal Philippines is the Philippine’s fastest growing barbeque fast food chain, serving chicken, pork barbeque and other Filipino favorites, was first established on December12,2003 in Iloilo City. It operates quick service. It specializes in chicken inasal an various†¦ Tqm Final Profile MANG INASAL – Philippine’s fastest growing barbeque fast food chain, serving chicken, pork barbeque and other Filipino favorites, was first established on December 12, 2003 in Iloilo City. Currently, there are 306 branches nationwide and with over 8,000 employees system wide. MANG INASAL is doing†¦ Feasibility Study: Mang Inasal model of Mang Inasal. In the new business of franchising, it is critical to develop evaluation, documentation, training, mentoring and consulting skills, all within an ongoing, long term franchise relationship. The study will conduct analysis of opportunities and trends in franchising Mang Inasal to be†¦ Mang Inasal Research Paper MANG INASAL- â€Å"MR. BARBECUE† I.INTRODUCTION A.COMPANY PROFILE Edgar â€Å"Injap† Sia II is the man behind Mang Inasal, one of the fastest growing food companies in the Philippines, which has become a modern icon of the Ilonggo culinary culture. His parents gave his the nickname Injap because Sia is originally†¦ Mang Inasal MANG INASAL PHILIPPINES INC. COMPANY PROFILE MANG INASAL – Philippine’s fastest growing barbeque fast food chain, serving chicken, pork barbeque and other Filipino favorites, was first established on December12,2003 in Iloilo City. Currently, there are 445 branches nationwide and with over 10†¦ term paper to put up many branches or chains in different parts of the country. This leads to birth of fast food chains, by which Jollibee, McDonalds, KFC, Mang Inasal, Chowking, and WOK Express and Greenwich are few examples. People prefer to go into fast food chains not just because of their food preference but†¦