Tuesday, December 24, 2019

M3 Research Design Critique Report - 1300 Words

M3 Research Design Critique Report Correlational research and causal-comparative research are two widely used research designs of a variety of types. An example of correlational research would be if the district benchmark scores would predict the success of the STAAR test. An example of causal-comparative research would be how does Attention Deficit Hyperactivity Disorder (ADHD) affect students’ STAAR results. Causal-comparative research is used to compare groups and observe the differences based on a variable. This research will basically be observing a cause and effect relationship. Correlational research determines whether or not a relationship exists between variables. Although they are approaching research differently, they are†¦show more content†¦The transition time, instruction time, and subject matter was noted. The TCAP, Tennessee Comprehensive Assessment Program were the dependent variables focusing primarily on achievement of basic skills in reading, spelling, math, study skills, sci ence, and social studies. Results and Conclusions Transition time was significantly more efficient in the self-contained classes compared to the departmentalized school (average transition time was 3.27 minutes for the self-contained groups compared to 4.55 minutes for the departmental groups). (McGrath, C.J., Rust, J.O. (2002, March). Self-contained classes averaged 46 minutes of instructional time where departmentalized classes averaged 48 minutes. As you can tell, there was not a huge difference in instructional time. The transition time did not play a huge effect on instructional time. However, as far as the instructional time goes, the self-contained class had more time for extra learning opportunities such as computer, creative writing and time for art which the departmentalized time did not. All in all, this article does not conclude that one structure is better than the other. The pros and cons of each classroom structure seem to be equal in number. Second Article Summary Purpose of Study The purpose of this study is to analyze â€Å"platooning† (departmentalization) and how it has increased in popularity and success and its’Show MoreRelatedM3 Research Design Critique Report1596 Words   |  7 PagesM3 Research Design Critique Report A correlational research design would be useful when studying the relationship of mentoring students in a reading class and the achievement on their Aims-web reading comprehension and fluency scores. The correlational design would be useful to determine to what degree if any exists. In a correlations study there can be a relationship between two or more variables. This type of research uses a correlation coefficient to explain relationships or show a lack ofRead MoreEffects of Rap Music on Crime14002 Words   |  57 PagesListening to Rap: Cultures of Crime, Cultures of Resistance Julian Tanner, University of Toronto Mark Asbridge, Dalhousie University Scot Wortley, University of Toronto This research compares representations of rap music with the self-reported criminal behavior and resistant attitudes of the music’s core audience. Our database is a large sample of Toronto high school students (n = 3,393) from which we identify a group of listeners, whose combination of musical likes and dislikes distinguish themRead MoreWater as a Source of Future Conflict in Sa26984 Words   |  108 Pagesmanaged and utilized. Throughout India, Pakistan, Nepal, and Bangladesh, water shortages are increasingly triggering conflict. Statement of the Problem 4. Access to water has become a part of many states’ national security concerns, with one group of research (the Neomalthusians) connecting contest over water as a possible beginning of vicious conflict. Other researcher (Institutionalists or Cornucopians) are more positive about the impact of water, highlighting the cooperative facet of shared watersRead More_x000C_Introduction to Statistics and Data Analysis355457 Words   |  1422 Pages2 Estimating Sizes 23 Activity 1.3 A Meaningful Paragraph 24 1 2 Collecting Data Sensibly 2.2 Sampling 32 27 2.1 Statistical Studies: Observation and Experimentation 27 2.3 Simple Comparative Experiments 42 2.4 More on Experimental Design 51 2.5 More on Observational Studies: Designing Surveys (Optional) 56 2.6 Interpreting and Communicating the Results of Statistical Analyses 61 Activity 2.1 Designing a Sampling Plan 63 Activity 2.2 An Experiment to Test for the Stroop Effect 64 ActivityRead MoreQuality Improvement328284 Words   |  1314 PagesManufacturing Engineering, was Professor of Mechanical Engineering, and was Director of the Program in Industrial Engineering. Dr. Montgomery has research and teaching interests in engineering statistics including statistical quality-control techniques, design of experiments, regression analysis and empirical model building, and the application of operations research methodology to problems in manufacturing systems. He has authored and coauthored more than 190 technical papers in these fields and is theRead MoreMerger and Acquisition: Current Issues115629 Words   |  463 Pagesthe provisions of the Copyri ght, Designs and Patents Act 1988, or under the terms of any licence permitting limited copying issued by the Copyright Licensing Agency, 90 Tottenham Court Road, London W1T 4LP. Any person who does any unauthorized act in relation to this publication may be liable to criminal prosecution and civil claims for damages. The authors have asserted their rights to be identified as the authors of this work in accordance with the Copyright, Designs and Patents Act 1988. First published

Monday, December 16, 2019

Cosmo Thinks I’M Fat Images of Feminity in Women’s Magazines Free Essays

Cosmopolitan magazine is â€Å"the lifestylist for millions of fun fearless females who want to be the best they can be in every area of their lives. † The best-selling magazine in its category, Cosmopolitan has 58 international editions, is published in 34 languages and is distributed in over 100 countries. Despite its popularity, a number of leading researchers have suggested that the material presented in these magazines can be damaging to the mental state of its readers in numerous ways. We will write a custom essay sample on Cosmo Thinks I’M Fat: Images of Feminity in Women’s Magazines or any similar topic only for you Order Now After examining the latest issue of Cosmopolitan magazine, it appears that while there are several examples of degrading advertisements and features a majority of the ads are neutral or positive in tone and help define a more modern, feminist woman. The November 2010 issue of Cosmopolitan definitely displayed a number of advertisements that displayed overtly sexualized images of women. One ad for Skyy Vodka showed a bottle of the vodka situated suggestively between the legs of a woman wearing red leather boots. An article about Kary Perry has her laying in bed with ample cleavage with a caption reading â€Å"This cleavage is Cosmo-approved. † Jean Kilbourne contends that advertising content can affect people in deep and possibly hurtful ways. â€Å"Sex in advertisting is pornographic because it dehumanizes and objectifies people, especially women. † (Kilbourne) When people are constantly bombarded with images of objectified people–whether men or women–they are conditioned to see each other in dehumanizing ways. This means that the attitudes that can lead to sexual aggression are normalized. Kilbourne maintains that â€Å"Ads don’t directly cause violence, of course. But the violent images contribute to the state of terror. And objectification and disconnection create a climate in which there is widespread and increasing violence. † Kilbourne shows concerns about two trends in fashion and advertising that she cites as cultural reactions to the women’s movement. The first is the increase in images of violence against women. This is seen in an ad for Belvedere Vodka that depicts a woman blindfolded being led to a martini glass with a toothpick with two olives-a phallic representation. The second reaction Kilbourne notes is the increase of violent images depicting children–especially young girls. An ad for JC Penny showed two very youthful models dressed as young school girls ad looking vulnerable. These ads seem to suggest that the age of the objectification of women does still exist within the advertising world. Although some parts of the magazine may have objectified women featured, there were actually more displaying positive female role models. Advertisements for Dove body mist and deodorant portrayed women of different healthy weights, shapes and ethnicities- not for sexual gratification but to show confidence. Their contender, Secret, used the motto â€Å"When you’re strong, you sparkle. † However, the most positive image might have come from the Nike â€Å"Make Yourself† campaign. There were two ads from this campaign in the latest issue of Cosmo. The first read â€Å"Make yourself- Strong† and showed an image of Olympic Track and Field Medalist Allyson Felix. The second read Make Yourself Proud and featured professional dancer Sofia Boutella. This grouping provides a diversity called for by Wolf If the icon of the anorexic fashion model were one flat image out of a full spectrum in which young girls could find a thousand wild and tantalizing visions of possible futures, the icon would not have the power to hurt them. What this suggests is that even though there were some negative images, the range of role odels helps to allow women to find whatever they need to find themselves within the pages of the magazine. According to Kilbourne, our culture defines femininity and masculinity in a way that narrows accepted gender roles. The popular culture usually trivializes [relational skills] in women, mocks men who have real intimacy with women and idealizes a template for relationships between men and women that is a recipe fo r disaster: a template that views sex as more important than anything else, that ridicules men who are not in control of their women, and that disparages fidelity and commitment. These stereotypes of masculinity are found over and over throughout the magazine. A story about Alex Rodriquez reads â€Å"Right now, there’s no guy sexier than A-Rod. Baseball fans are obsessed with him, and three of Hollywood’s most gorgeous women have fallen for him. † Some other comments throughout the magazine bring to mind disturbing images if they had been aimed at women rather than men. ? Brad Pitt: It’s hard to tell who has more testosterone: Brad or his chisled Megamind character Metroman ? Chris Pine: He’s starring in this month’saction packed flick Unstoppable Oh, did e mention he takes his shirt off too? ? Fernando Verdasco: Speaking of shirtlessness, this top-ranked tennis hunk has been posting pec-tastic images of himself on Twitter ? Enrique Iglesias- We have mixed feelings about the fact that he used a fan’s camera during a concert to take a shot of his crotch. Rude! But can we see it? In a context where the subjects w ere women these comments would be extremely unnerving. The significance of these observations appears to show that while the objectification of women may be on the decline, it is on the incline for men. The fight for equality is succeeding, to the detriment of the male gender. Unfortunately, even Kilbourne minimizes the effect that this can have on men. There is a world of difference between the objectification of men and that of women. The most important difference is that there is no danger for most men, whereas objectified women are always at risk. Sometimes risks are more than just physical. Also, the assumption that all men are larger and/or stronger than women seems just as narrow as many other assumptions made in the past. How to cite Cosmo Thinks I’M Fat: Images of Feminity in Women’s Magazines, Papers

Sunday, December 8, 2019

My Dads Old Truck free essay sample

When he got the truck, he hit a turkey with the grill that was crossing a yellowish brick road. Since he has owned It, Its value has gone down considerably, even though he has spent more money fixing It than he paid for It. If It was worth as much money as It has cost to keep It running we could sell It and buy a newer car. Its a red,gray ex. truck with off- road tires. Also, it has hunting lights on the top of the roof. This truck was made in Japan and it was the last one made in that style.I have no idea why they stop doing them like that. Theyre such a great trucks. There is also a huge rusty spot down in the right drivers door that occurred because the previous owner did not take good care of his truck. We will write a custom essay sample on My Dads Old Truck or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page The back of the truck is mostly full of my dads tools. He has a hydraulic Jack, jumper cables, screwdrivers, and an extra tire Just in case if I have to change one. It is in no way neat or in any kind of arrangement. If you get Inside of the truck, you enter a whole different place than the outside world.Notice that I said if you get In; what I mean by this Is you cant get In through the passenger side unless someone opens It from the Inside. The drivers side door doesnt open all of the time, and when It does you cant possibly slam It hard enough to get It to shut all of the way. Most of the time, the passenger side is overlapped with trash, mostly empty pop bottles and cans. Inside it usually smells like wetness. I guess because it has a crack on the roof and when rains some of the water pass through, so the smell is transferred to the seats.Once in a while when I get in, I get a sniff of a mixture of wet soil and dust. The smell of wet soil comes from the water retained in the seats, and the smell of dust is from all of the dirt that is that has gathered in the corners on the dash. Once I finally get past the aroma of the truck I proceed to turn the key and hope It will start. Most of the time when I turn the key, It does nothing more than click. My dad warned me about this and instructed to me that If I kept on trying It would eventually start. So I proceed to give It a few more turns until It finally starts.Once It has started I dont get my hopes up, because within about five to ten seconds it usually sputters, revs up, and dies. So then I have to attempt the starting process again. It usually takes at least two tries before it will stay running. The fun part begins when I actually drive the ambulance, as my friends call it because of the lights on the top. I usually try to avoid having to drive the old ambulance, but it is my only way to transport at the school and my way back to get home. I try to be the first one to arrive at school and last one to leave Just in case it dies on the way out.When I am blessed with the opportunity to drive the rusty, 1989, deed/gray Ionians Pathfinder, I appreciate not only better vehicles but also more enjoyable places. By cortices owned it, its value has gone down considerably, even though he has spent more money fixing it than he paid for it. If it was worth as much money as it has cost to keep it running we could sell it and buy a newer car. Its a red/gray ex. truck with off- them like that. Theyre such a great trucks. There is also a huge rusty spot down in in no way neat or in any kind of arrangement. If you get inside of the truck, you enter a whole different place than the outside world.Notice that I said if you get in; what I mean by this is you cant get in through the passenger side unless someone opens it from the inside. The drivers side door doesnt open all of the time, and when it does you cant possibly slam it hard enough to get it to shut all of the way. Most of the Once I finally get past the aroma of the truck I proceed to turn the key and hope it will start. Most of the time when I turn the key, it does nothing more than click. My dad warned me about this and instructed to me that if I kept on trying it would eventually start. So I proceed to give it a few more turns until it finally starts.

Saturday, November 30, 2019

The Use and Effects of Adderall on People free essay sample

The use and effects of Adderall on People Brand name Adderall was introduced in 1996 in the forms of a multi-dose, instant-release, slow, or a time release capsule that came from the original formula used in a weight management drug Obetrol. It has become available in a generic formulation, mixed amphetamine salts. The active ingredients of Adderall include a combination of dextroamphetamine and racemic D/L amphetamine salts. Adderall is prescribed in the treatment of Attention Deficit Hyperactivity Disorder (ADHD), the circumstance in which a child exhibits a short attention span and becomes easily perplexed, overly poignant, excessively vigorous, and highly spontaneous. Also new studies show that another symptom of ADHD that cam be controlled by Adderall is extreme mood swings. It should be used as part of a broader management plan that includes psychological, educational, and social measures, and should only be used under the strict observation of a trained professional. We will write a custom essay sample on The Use and Effects of Adderall on People or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page An extended-release (XR) form of the drug, called Adderall XR, is available for once-daily treatment of ADHD. Adderall, a â€Å"cocktail† mixture of four different amphetamine salts, was first developed about 25 years ago and marketed under the name Obetrol for weight loss and diet control. In 1996 the FDA approved Adderall for unrestricted use for treatment of Attention Deficit Disorder and Adderall is quickly becoming a physician favorite for the treatment of Attention Deficit Disorder in children and adolescents. If parents must choice a prescription ADHD medication, Adderall and Adderall XR is generally a better choice for many reasons. Adderall last about six hours per dose and remains active in the body longer than a dose of Ritalin, another similar drug. This longer acting dose alleviates the need for school day dosing but will impede with sleep if taking the Adderall medication in the afternoon or evening hours. Adderall’s side effects are also often less harsh than Ritalin’s. Many patients report less â€Å"peaks and valleys† than Ritalin and less of a withdrawal than Ritalin. Ritalin also tends to cause more stomach discomfort and tends to produce more moodiness than Adderall. But, all Attention Deficit Disorder medication, Adderall included, has a potentially harmful side effect. Adderall is an amphetamine that works on children in the same way amphetamines work on adults. Children are subject to the same unfavorable Adderall side effects as adults using amphetamines, with the most common amphetamine and Adderall side effects being loss of appetite, weight loss and insomnia, also has a great risk of addiction for anybody that does not actually have ADD or ADHD. In most cases, the Adderall side effects are placid but some Adderall side effects, though atypical, are life threatening. Parents need to be clear about the benefits of Adderall medication as well as the possible Adderall side effects of using these drugs prior to choosing to place their child on prescription ADHD medication. Adderall medication can be helpful in the short term in controlling Attention Deficit Disorder symptoms but many doctors feel the potential Adderall side effects should be carefully weighed before prescribing drugs like Adderall medication. Adderall is a reformulated version and close cousin of the ADHD medication Dexedrine. Dextroamphetamine is classified as schedule II category V controlled substance, a classification given to medical drugs with the highest abuse potential and dependence profile. Drug Enforcement Agency data on methylphenidate and amphetamine shows that both have high exploitation liabilities. These substances are powerful stimulants and Adderall abuse, along with Ritalin abuse, is extensive. Other Adderall abuse reports students selling their Adderall medication to friends and schoolmates. Because Dextroamphetamine can have a retail value in the high school parking lot, doctors often avoid prescribing Adderall medication to teenagers. Individuals respond differently to Adderall medication levels and dosages. While toxic overdose symptoms are rare with doses of less than 15 mg, toxic Adderall XR symptoms occasionally occur at Adderall medication doses as low as 5 mg. Methylphenidate and amphetamine abuse produce behavioral and psychological effects similar to cocaine. The Adderall side effects of Adderall abuse include belligerence and irritability, hyperactivity, and personality changes. If one decides to abruptly stopping Adderall after prolonged high dosage prescribed use Adderall results in extreme fatigue and mental depression. The most severe, though rare, Adderall side effect of abuse is psychosis. This Adderall abuse side effect is often clinically indistinguishable from schizophrenia. Long-term methylphenidate and amphetamine use has also been linked to abnormalities in brain development, similar to those found with long-term cocaine use. Changes on the sleep EEG are also noted with Adderall abuse. It is normal for parents to query whether taking a powerful stimulant like Adderall medication is in their childs best interests. Amphetamine stimulants like Adderall are worrisome for many reasons, predominately because of the potential for harmful Adderall side effects and high potential for Adderall abuse. Adderall is prescribed in the treatment of Attention Deficit Hyperactivity Disorder (ADHD), the condition in which a child exhibits a short attention span and becomes easily distracted, overly emotional, excessively active, and highly impulsive. It should be used as part of a broader treatment plan that includes psychological, educational, and social measures. An extended-release form of the drug, called Adderall XR, is available for once-daily treatment of ADHD. The regular form of Adderall is also prescribed for. Adderall, like all amphetamines, has a high potential for abuse. If used in large doses over long periods of time, it can cause dependence and addiction. In addition, misusing an amphetamine may cause serious heart problems or even sudden death. Be careful to take Adderall only as prescribed by your doctor. Side effects of Adderall may include depression, dry mouth, heart attack, high blood pressure, hives, impotence, overstimulation, rapid or pounding heartbeat, seizures, stomach and intestinal disturbances, stroke, sudden death, weight loss. Side effects of Adderall XR may include abdominal pain, diarrhea, dizziness, fever, infection, insomnia, loss of appetite, mood swings, nausea, nervousness, vomiting, weakness, weight loss. Adderall can make tics and twitches worse. If Tourettes syndrome is present, make sure the doctor is aware of it. Amphetamines such as Adderall have also been known to exaggerate symptoms in seriously disturbed individuals. If the problem is attention-deficit disorder, the doctor will do a complete history and evaluation before prescribing Adderall, taking particular account of the severity of the symptoms and the age of your child. If the problem is a temporary reaction to a stressful situation, Adderall is probably not called for. At present, there has been no experience with long-term Adderall therapy in children. However, other amphetamine-based medications have been known to stunt growth, so your doctor will need to watch the child carefully. Whether the problem is attention-deficit disorder or narcolepsy, the doctor will keep the dosage as low as possible. In children 3 to 5 years of age the usual starting dose is 2. 5 milligrams daily. Each week, the doctor will raise the daily dosage by 2. milligrams until the condition is under control. In children 6 years of age and older the usual starting dose is 5 milligrams once or twice a day. Each week, there after, the daily dosage may be increased by 5 milligrams. Only in rare cases will a child need more than 40 milligrams per day. In adults the usual total daily dose ranges from 5 to 60 milligrams, taken in 2 or more smaller doses. In children under 12 years of age the usual starting dose is 5 milligrams daily. Each week, the doctor will raise the daily dose by 5 milligrams until the condition is under control. In children 12 years of age and older the usual starting dose is 10 milligrams daily, with weekly increases of 10 milligrams daily until the drug takes effect. In children 6 years of age and older the usual starting dose for children taking Adderall XR for the first time is 10 milligrams once daily in the morning. At weekly intervals, the doctor may increase the daily dosage by 5 or 10 milligrams, up to a maximum of 30 milligrams a day. ADD and ADHD are more commonly found in children because with age the disorder tends to go away.

Tuesday, November 26, 2019

Greek City state and the Roman Empire

Greek City state and the Roman Empire The Americans and the Western nations’ political systems and ideologies are in a way based on the ancient Greece and the Romans’ ideas. These countries are not the only ones that were affected. However, most of the ideas that are being used by governments in the world were originally borrowed from Greece (Wolin, 1960).Advertising We will write a custom essay sample on Greek City state and the Roman Empire specifically for you for only $16.05 $11/page Learn More Issues of Democracy and republican governments are some of the major political ideologies that were adopted from these two ancient states. People’s participation in political constitutions and content has its origins in these societies. Changes that occurred in Greek city-states and Roman Empire that explain the emergence of specific understanding of politics Firstly, the ancient Greece was once never a unified state but a conjugant of different nations. The large geographic bound aries that resulted in travel and communication difficulties brought the need for communities to adopt their own governing bodies and councils. These political units were known as city-states. These city-states, being separated by large geographical terrains, adopted different political systems. For example, the Corinth adopted the oligarchy system of government. Other city-states such as Sparta established mixed forms of government, which constituted both oligarchy and monarchial systems of government. This is how these aspects of politics emerged. Athens developed a democratic form of government that allowed the citizens to participate in the drafting of the constitution and the governance of their city-states. They purposefully did this to quell the long periods of unrest and conflicts in the city-state. These reforms transferred power from the hands of a few nobles to the citizens thus ensuring political participation. This is also known as democracy. Democracy is undeniably the most practiced form of governance in the civilized world. The Athenian government was made up of three major segments. These included the assembly, the council and the people’s court. They consisted of juries made up of the citizens. This was in order to oversee cases involving fellow citizens. Different from the Athenian form of government, the Romans adopted a Republic structure of governance. In this form of government, the elected persons (apart from just governing) were also expected to be responsible and responsive to their voters (Augustine, 1961).Advertising Looking for essay on ancient history? Let's see if we can help you! Get your first paper with 15% OFF Learn More The Romans were the first to draw up a constitution, which was a tool that was later adopted by a majority of governments around the globe. These countries exhibited republican tendencies. These sets of laws written down by the Roman government were, at the time, collectively kn own as the Laws of the Twelve Tablets. Nations later came to realize that having the laws written down protected the rights of the citizens and shielded them from unfounded prosecutions. Another important political aspect that was exhibited by these ancient societies was eligibility for political participation. For example, in Athens, the issues of eligibility for political rights and citizenship were seriously upheld. Therefore, in order to fully participate in politics, one had to be a mature male whose parents were both Athenians. The modern world states and nations that came thereafter came up with various qualifications. For one to be able to participate in politics or to be declared a citizen of the respective nation, he or she had to meet those qualifications. Philosophers were concerned about the issue of human action since they were greatly engaged in differentiating between activity, passivity, involuntarism and culpable actions. Action became a major philosophical topic i n the early 1960s and is slowly becoming a major sub-discipline in modern philosophy. A causalist school of thought postulates that an individual’s reason for acting is the cause of his or her action. It can be accurately argued that reasons lead to actions. Some philosophers like Harry Frankfurt have tried to explain the concept of human action and has tried to determine its compatibility with the large concept of determinism. Philosophers argued that political revolutions experienced in the governments of the world were as a result of human action. People are never satisfied with their constitution. They are always grumbling, never quiet and always require that some changes be made on the constitution. Under the concept of human action was another topic of humanism. Humanism marries the concepts of history and human actions. The concept of eligibility for political rights and citizenship were greatly focused upon and qualifications were set for individuals to meet. The mode rn world states and states that came thereafter came up with various qualifications for one to be able to participate in politics. Apart from politics, it was also necessary that one met the set standards before being granted complete citizenship of a city-state (Sayers, 1999). The citizens were the only ones who were allowed to own and keep slaves together with all other forms of property.Advertising We will write a custom essay sample on Greek City state and the Roman Empire specifically for you for only $16.05 $11/page Learn More In Sparta, for example, women were afforded the opportunity and privilege of being literate. This was a different ethical dimension compared to what was the norm in previous years. This was quite different from what other city-states like Athens did to their womenfolk. The liberation of women in Athens, for example, became an inspiration to the contemporary states and societies to recognize the position of women in the society. Another important issue was the payment of taxes. The ancient Greek, Roman and Greek states lay much emphasis on tax payment. These changes in ethical dimensions formed the economic background of a majority of the states that came thereafter. References Augustine, C. (1961). Confessions. Baltimore: Penguin Books. Sayers, S. (1999). Plato’s Republic: An Introduction. Edinburgh: Edinburgh University Press. Wolin, S. (1960). Politics and Vision: Continuity and Innovation in Western Political thought. Boston: Brown Co.

Friday, November 22, 2019

10 Chemicals You Can Use to Turn Fire Green

10 Chemicals You Can Use to Turn Fire Green Green is possibly the coolest color to turn flames. Its not a color you get from the fuel, so you have to add a chemical to get the effect. The color comes from the ion emission spectra, so you can use any of the chemicals that produce green in the analytical method known as the flame test. The most readily available compounds  are: boric acid (boron compounds), sold as a disinfectant and roach killerborax (boron compounds), sold as a laundry booster and home cleanercopper sulfate (copper(II) compounds), sold as a root killer and algicide However, other chemicals will make green flames: thallium compoundsantimony compoundsbarium compoundsmanganese (II) compoundsmolybdenum compoundsammonium compoundsphosphates moistened with sulfuric acid How to Get Green Fire If you add any of these chemicals to a fire, youll get green flames. The trouble is, there might be other chemicals in your fuel that can overpower the green, making it impossible to see. You can add copper compounds to wood fire and get a range of colors, including green. Most of the other colorants wont work with a campfire or fireplace fire because sodium in the fuel emits a bright yellow light that overpowers the green color. The best way to get green fire is to heat the chemicals in a blue gas flame or to add them to an alcohol-based fuel. In addition to gel fuels, you can use methanol, ethanol, and isopropanol. Safety Information None of these chemicals is edible and a few are toxic, so dont roast marshmallows, hot dogs, or other food over a green fire. Having said that, the boron and copper compounds are relatively safe in that they arent consumed by the fire, so they dont really add to the toxicity of any smoke, plus they are household chemicals that  can be washed down the drain. If you are using colorants on a camping trip or outdoors, be aware of the effects of the chemicals on the environment. High levels of boron compounds can be toxic to some plants. High levels of copper compounds can be harmful to invertebrates. These are properties that help make these chemicals useful in the home, but not so great for wild habitats. Use care with methanol (wood alcohol) and isopropanol (rubbing alcohol), since these fuels are absorbed through the skin and are toxic.

Wednesday, November 20, 2019

Providing respite care to carers of people with dementia Research Proposal

Providing respite care to carers of people with dementia - Research Proposal Example There has been a significant change in the provision of healthcare services in the recent decades whereby the balance of care is being shifted from communities and institution based services to personalized care. This shift in care provision has caused great concern in the field of public health mainly due to the fact that the carers of people with chronic illnesses such as dementia are now burdened with the added responsibility leading to a gradual and consistent deterioration of their own physical and mental health. Various researches conducted in the past have highlighted the gravity of the issue and pressed for policy changes in favour of providing respite care to the carers of people with dementia and making such care more accessible.The term respite care refers to in generic terms refers to short-term care. However in the field of healthcare it refers to phased care, relief care, planned care, programmed care, holiday care, social admission, and shared care. Various types of re spite care are now available for both the patients as well as their carers. This includes community based day care, institutional care, and paid or voluntary care services offered by institutions or volunteers or friends of the caregivers. Such care services can broadly be categorized as in-home care services, adult day centres - including provision of transportation and meal services; and residential care facilities - which affords break or vacation for the carers which are not covered under the insurance or Medicare.

Tuesday, November 19, 2019

Critical Note Case Study Example | Topics and Well Written Essays - 250 words

Critical Note - Case Study Example Hedley gets the wrong end of a chicken/egg argument. He seems to imply that a properly managed portfolio would not have allowed British motorcycle share to have fallen so significantly, and that, if only someone had valued market share, the demise of the industry would not have occurred. This argument, however, discounts the overriding market forces that would have debilitated the motorcycle industry in any event. It was not a lack of market share that caused British costs to remain stubbornly high, but wages, lack of natural resources, and the overall decline of British manufacturing (Turnbull et. al. 1992). Not a single motorcycle or automotive company has effectively navigated the murky waters of British cost and regulation without being bought out or constructed off-shore (Turnbull et. al. 1992), so arguing that clever portfolio management could have stopped this disaster is untrue. Portfolio management is surely important, but this example describes it more as a panacea, which i s a bad way to think about it. Turnbull, P., Oliver, N., & Wilkinson, B. (1992). Buyer†supplier relations in the UK†automotive industry: Strategic implications of the Japanese manufacturing model. Strategic Management Journal, 13(2),

Saturday, November 16, 2019

Purchasing Power Parity; Does It Exist Essay Example for Free

Purchasing Power Parity; Does It Exist Essay Introduction   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The Purchasing Power Parity doctrine is perhaps one of the most controversial financial theories. Over the years, it has had its ebbs and flows, with proponents expositing several mathematical and statistical formula to strengthen the theory, while critics have severally condemned the utility of the theory; however, according to Belassa1 the doctrine has managed to survive nevertheless. Belassa argues that, though in somewhat ambiguous terms, the doctrine has been invoked as early as during the Napoleonic wars, the christening and explanation of the doctrine came from Prof. Gustav Cassel during the First World War and was popularized after the Second World War. The author further posits that interests in the theory tend to be invoked when existing exchanges rates were thought to be unrealistic and there was, therefore, a search for what is considered equilibrium rates2.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Perhaps one of the controversies that have built up around the Purchasing Power Parity starts with the issue of definition. Different authors tend to come up with their own definition (version) of the theory, and as a result, the theory has come to mean different things to different authors3. Before looking at some of the conceptualizations of the theory that has generated over time, it is pertinent, to first examine the theory as was professed by its author Prof. Gustav Cassel.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Bunting4   presents the first exposition of the theory in Cassels’s Money and Foreign Exchange after 1914, which he said was one of the earliest and best explanation of the theory by the author.   Bunting explains that the concept of purchasing power parity was borne out of the need to establish what determined exchange rates in Europe after the era of gold standard was gone, that is, when national currencies were on inconvertible basis. On this basis, Cassel explains that considering the fact that the primary reason a country’s currency is in demand in a foreign country is the need to purchase goods produced in that country. Thus, when normal, unrestricted trade between [two] countries have been established over time, the exchange rates become fixed relative to the purchasing power of each currency domestically, and as long as this domestic purchasing power of the currencies do not change, nothing will happen to the exch ange rates5. Further, the theory states that when the currencies of these countries undergo inflation, the â€Å"the normal rate of exchange will be equal to the old rate multiplied by the quotient of the degree of inflation in the one country and in the other†6. While this explanation describes the basic skeleton of the theory, there have been several adjustments and modifications of the meanings and concept of the theory as several authors tend to strengthen or criticize it. Some of these adjustments to the meaning of the theory will suffice to buttress this point.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Everett and his colleagues7   attempting to measure currency strengths and weakness with the purchasing power parity concept, posited that as long as there is unrestricted trades, exchange rates of currencies tend to obey the purchasing power of the currencies. In this regard, they succinctly conceive the theory to mean thus regardless of how currencies are denominated, when adjusted for units; all currencies tend to command the same basket of goods8. This definition is similar to that adopted by Klein et al.9, who likened the purchasing power parity doctrine to the law of One Price with the explanation that an identical good (or service) would command the same price, measured in a given numeraire system, all over the trading world10.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Belassa, however, gave a more elaborate explanation of the purchasing power doctrine, differentiating between the relative and absolute interpretations of the theory. According to him, the absolute version of purchasing power parity theory argues that when purchasing power parities are calculated as a ratio of consumer goods prices for any pair of countries, the result reflects the equilibrium rates of exchange. On the other hand, the relative version of the theory asserts that, when compared to a period when equilibrium rates prevailed, changes in the relative prices of goods would indicate the necessary adjustments in exchange rates11. In a sense, one can infer from these definitions that the absolute version of the theory seeks to establish ‘equilibrium’ exchanges rates between any pair of countries based on purchasing power of their currencies, while the relative version intends to measure the over and undervaluation of currencies at any period in time12.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Despite the controversies surrounding the validity and utility of this theory, recently, authors have sought to clothe the doctrine in â€Å"the garments of respectability† and in this regard, several statistical materials have been presented that more accurately reflects the relationship between power of currencies and exchange rates, as conceived in the theory 13. The purpose of this paper is, therefore, to examine some of the literatures regarding the theory and perhaps to infer from these, the implications and future research possibilities of the theory. Literature Review   Balassa, Bela (1964). The Purchasing-Power Parity Doctrine: A Reappraisal.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Belassa14 apparently belongs to the group of authors that intend to strengthen the validity and utility of the purchasing power parity doctrine. He begins by first differentiating between absolute and relative versions of the theory, as explained above. He, however, asserted that the doctrine as postulated by Cassel tends towards the absolute version when he states that the rate of exchange between two countries will be determined by the quotient between the general levels of prices in the two countries15. Further, he explains that theory as invoked by another author indicates that the German mark was undervalued against the dollar, while the mark too was overvalued, and the Austrian shilling, Danish crown and Dutch guilder all undervalued, by extending the theory to the currencies of less developed countries, their currencies appears to be undervalued against the dollar. The author contends that the deviation from the calculated exchanges were too much to be caused by errors.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In the bid to correct the perceived weakness in the theory, Belassa created a new model for the theory by introducing non-traded goods (services) into the traditional two-country, two-commodity model of the theory. This model of the theory is strengthened by the following assumptions; that there is only one limiting factor – labor, and constant input coefficient. Also, under the assumption of constant marginal rates of transformation, countries with relative higher productivity levels will experience higher relative price of non-traded commodity compared to another. From these propositions, the author posit that income levels play a significant level in the calculation of purchase powers and that purchasing power parities will be more closely related to exchange rates when prices are expressed in terms of wage units.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   From this equation, the author posit that if we were to assume production of traded goods relative to non-traded goods constitutes the major difference in international productivity, currencies of country with higher productivity will appear to be overvalued using purchasing power parity calculations. However, if per capita income was to be used as a representative of levels of productivity, the ratio of purchasing power parity to exchange rate will be an increasing reflection of income levels   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In providing empirical confirmation the proposed relationship between purchasing power parity, exchange rates and income levels, the author argues thus: â€Å"if differences in tastes do not counterbalance differences in productive endowments, there will be a tendency in each country to consume commodities with lower relative prices in larger quantities†16 . The result is that the purchasing power of country II’s currency will be undervalued if country I’s consumption pattern is used as weights and overestimated if country II’s consumption is used. This is shown in the tables below.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The second table above shows the comparison of the cost of household services in the United States and Italy for 1950. The author argue that after conversion at exchange rates, domestic services in Italy seem to cost about one-fifth of their United states’ price, barber and beauty shops cost one-fourth, laundry and dry cleaning the same cost. In the same vein, purchasing power equivalents for household services was 391 lira at US weights and 165lira at Italian weights. These figures confirm, the author argues, that services (non-traded goods) cost more, relatively, in countries with higher income levels. Thus, it buttresses the relationship between purchasing power parity, exchange rates and income levels. Bunting, H.   Frederick (1939). The Purchasing Power Parity Theory Reexamined.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Bunting18, while conceding that the purchase power parity doctrine has been severally criticized, further adds his criticism by, according to him, submitting the theory to an improved statistical test. The basis of the argument set forth in this paper is that though the author of the doctrine of purchasing power parity discussed some likely exceptions to the theory, which could account for the differences observed between actual exchanges rates and parity calculated rates, several other exceptions that render the theory impracticable exists.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The author proffered an elaborate definition (explanation) of the theory, as conceived by Cassel and the proposed relationship between purchasing power of currencies and their exchange rates. Further, he went on to summarize the major exceptions to the general rule into seven main points, as discussed by Cassel in his book; Money and Foreign Exchange After 1914. Accordingly, he explained that exchange rates are expected to deviate from the calculated rates if, domestic prices fluctuate in relation to one another, due to any series of factors; tariffs and/or shipping costs change in relation to those prevalent in the base year used for the calculation; obstructions to trade other tariffs and shipping costs becomes operational during the year under consideration; sudden devaluation of currency occurs during the transition period; the activities of speculators affect exchange rates; governments are in need of foreign exchange, for example to pay international debts; and the base year or general price index is not properly selected, as defects in the price index used or the base year could cause predictive error in calculated rates. In sum, Bunting posits that though these exceptions are many and powerful, they do not fully subsume factors/reasons responsible for differences in actual rates and calculated rates.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In this regard, the author asserts that the critique of the theory can be simplified by considering problems of price levels and direction of change. On the issue of price level, he argues that, problems with choice of base year and the commodities that should make up the price indices to be used in the calculation shows ambiguity in the theory. First, with base year determination, the author argues that Cassel’s contention that it is only if we know the exchange rate which represents a certain equilibrium that we can calculate the rate which represents the same equilibrium at an altered value of the monetary units of the two countries19 i.e. we can only calculate the equilibrium rate now if we know the rate at a particular ‘base’ year; is faulty because there is no such thing in international trades. He argues that the fact that international economic conditions do not persist for long means that a given base year can only be reasonably used to measure relative price changes for only a short period of time.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   On the commodity prices to be included in the price index, Bunting also faults Cassel’s insistence that ‘general’ price index should be used, arguing that not all goods are traded internationally. Thus changes in commodities not traded internationally can, therefore, have no effect on foreign country’s evaluation of a country’s currency. Further, on the direction of change, the author argues that Cassel’s contention that â€Å"when currencies are not on a convertible specie standard it is parities which determine exchange rates†20   tend to overlook the possibility that the direction of change could be the reverse i.e. price levels may be caused by changes in exchange rates. Thus, while Cassel concedes that the actions of speculators could cause changes in exchange rates without necessary price changes; there are several other factors that are capable of inducing change in exchange rates. Bunting mentions the following factors; Government monetary policies – alterations of central bank rates, stabilization funds, international government loans; Private international loans and special considerations such as large corporations transferring their capital holdings from one country to the other to protect their profits, or tourist expenditures and immigration remittances, which both involve the purchase of foreign currencies with no regard for the purchasing power of the currencies involved.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Subjecting the purchasing power parity theory to statistical tests, the author presents his result in the graphical form shown below. In the charts below, Franco-American exchange rates were compared for 1920s and 1930s. The solid line represents calculated rates while the broken line labeled no lag represents actual rates. The differences exhibited between the actual and calculated rates for the statistical test constitute discrepancy in the theory. The 1month, 2months and 3months lag periods were allowed in the assumption that time should be allowed for changes in purchasing power parities to effect a change in exchange rate, thus the 1-3months lag should show more correlation with the actual rates, however, this was not the case. The author concludes that proponents of the theory should simply recognize the fact that the theory as it stand is defective and needs to be refined. The authors of this paper proffered answers to criticisms of the validity and utility of the purchasing power parity theory, and especially to the claims that though the theory worked relatively in the 1920s, it failed in the 1970s by some other authors. Davutyan and John21 contend that possible reasons for the apparent failure of the purchasing power theory to predict exchange rates accurately when figures from the 1970s are used could include the fact that relatively to 1920; monetary policies were more coordinated in the 1970s. They therefore, assert that it is the coordination of monetary policies, not the failure of the purchasing power parity theory that causes conventional statistical tests to reject the validity of purchasing power parity for the 1970s. Providing evidence to support their claims, the authors posit that if we are to assume that there are no obstructions to trade, i.e. all goods are tradable and effective arbitrage refers to the relative version of the purchasing power theory, as explained by Bellassa22 above. In consolidating their argument, the authors contend that purchasing power parity tend to fail under two instances: when arbitragers fail to respond to profitable opportunities or when transaction costs and other impediments inhibit trades. However, they contend that the first factor might not be feasible, so the latter appears to be more important. Elucidating on the second factor, Davutyan and John   posit that under the assumption of zero transaction costs all goods are tradable, when this assumption is listed, goods could be divided into two categories, tradables with zero transaction costs and non-tradables with high transaction costs. Thus, in the absence of transaction costs, arbitrage keeps relative prices of tradable goods across countries equal, but this is not the case between non-tradables as well as between tradables and non-tradables. Therefore, when there are economic shocks, the equation above holds tradables but not for non-tradables. Furthermore, the authors contend that even with tradables, while the zero transaction costs is convenient in theory, it is not always so in reality. The fact is that relative transaction cost differs between countries and this too, tends to introduce errors into the purchasing power parity calculation, as with the non-tradables.   Another source of error in purchasing power calculation, according to the authors, is unequal weights used for calculation. They argue that in the second equation above, the weights in the price index are the same for both countries; however, using CPI or wholesale price index or GNP deflators would violate the requirement for similar weights and could introduce error into the measurement. To support their claims, the authors present the data in the table below, where R2 and estimate of the regression coefficient supports the argument that purchasing power parity works.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Everett24 and his colleagues presented a practical and working model of the purchasing power parity theory and argued that by using this model of the theory to calculate exchange rates, currency strengths and weakness can be measured. Defining purchasing power parity, the authors contend that the primary concept of the theory is that when the forces of price mechanism are unrestricted, exchange rates tend to conform to the purchasing power of currencies. Thus, instead of price levels adjusting to exchange rates, the reverse is the case. In this regard, the authors assert that while this general idea of the theory applies to a world of floating exchange rates, their model of the purchasing power theory can be adapted to a variety of exchange rate regimes, such as managed floats, crawling pegs and fixed exchange rates.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In explaining this model of the purchasing power parity, the authors refer to what they called the parity chart. As shown below, the chart is derived thus: the horizontal axis measures time from a chosen time of origin – the base year; while the vertical axis measures two things, one, the difference in the percentage of the purchasing power of currencies and two, the percentage change in the actual exchange rate from the base year. While the dotted line represents the actual/observed exchange rates, the parity (solid) line represents parity (calculated) exchange rates over time.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Using the two country model to explain the ‘parity chart’, the authors explain that if we assume that there are no restrictions to trade, and the perfect base time, under this scenario, if the change in the purchasing power of country A’s currency differs from that of country B, the parity line in the chart above will have a positive or negative slope, depending on the sign of the difference between the purchasing power of the currencies under consideration. Further, if actual exchange rates were to be plotted on the same chart, the slope should conform closely to that of the parity line. What can be inferred from this explanation is that the parity line in the chart closely reflects the expected change in exchange rates that should follow changes in the purchasing power of country currencies.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   To support their claims that the parity chart can be used to measure changes in exchange rates under any type of exchange rate regime, the authors presented empirical results of several currencies with different exchange rate regimes, these included the German mark-a more or less freely floating exchange rate; Spanish peseta-a strictly managed exchange rate; Colombian peso-a crawling peg currency; and South African rand-a fixed exchange rate25. The result for the German mark is presented below:   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The authors explain that the vertical axis measures the percentage deviation from the calculated rate. While the line representing the inflation factor shows a fairly steady rise, in line with the well known fact of relatively lower rates of increases in the West German price level compared with most other countries, the line representing the exchange rate, on the other hand, shows no apparent trend, reflecting the fact that the exchange rates of West Germanys trading partners vis-à  -vis the dollar on a trade-weighted basis may have moved in opposite directions. These two factors when compounded, yields the parity line.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   After presenting empirical results for all the four representative countries listed above, the authors concluded that an indepth examination of the parity chart and line indicates that the parity line provides an effective and informed judgment about future currency movements. Further, that if â€Å"the parity rate diverges from the actual rate, this indicates that the currency is presently either over- or undervalued, and will therefore have to adjust, the longer the persistence of such a divergence, the more likely that an adjustment will occur soon†26.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   This is another study that attempted to strengthen the validity and utility of the purchasing power parity doctrine. These authors, in this study, posited that purchasing power parity could be used to derive a more effective simulation or projection of world economy. Admitting that the theory has come to mean different thing to different writers, the authors adopted the law of ‘one price’ definition of the theory, which explains that an â€Å"identical good or service would command the same price, measured in a given numeraire system, all over the trading world†27.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The authors further state that though there are several controversial issues about the theory, such as what category of goods should be included in the calculation or what time should be used as origin/base in the calculation, they assert that any detailed exchange rate modeling system should obey the purchasing power parity rule, in the long run. Statistically estimating the movement of exchange rates in relation to the purchasing power parity principle for the 1970s, the authors presented the following formula:   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   According to the authors, this formula states that the â€Å"U.S. dollar terms, should have a common rate of change across all countries, namely, the U.S. rate of change of export prices†28. Thus, if the exchange rates during this time, had moved in accordance with the principle of purchasing power parity, then the estimates of: would be consistent with the hypothesis of purchasing power parity. Where a =O; b = -1.0; c = +1.0; eit =additive random error. Scatter diagrams of the data points of the two equations above are shown below. Conclusively, the authors assert that judging by these statistics, all the regression estimates in the charts above passed significance tests. Thus, it could be deduced that the relationship between purchasing power of currencies and the actual exchange rates was tightest for members of the EMS, but slightly less tight when the UK is included. Based on this evidence, the authors believe that their contention that, on average, purchasing power parity movements approximately reflects actual exchange rates in the 1970s has been adequately justified, and as a result, it could be generalized that calculations of purchasing power parity could be used in predicting movements of exchange rates.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   John29 proffered answers to criticisms concerning the predictive errors observed with exchange rates calculated from purchasing power parity. They observed that studies carried out by several authors indicate that for several countries, the predictive error of purchasing power parity during the 1970s followed what they referred to as ‘random walk’ i.e. whatever the deviation between the parity rate and actual rates observed this month, next month it is likely to increase as decrease.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In this regard, the author argued that the basic idea behind the purchasing power parity doctrine is that in the long run, the differences between the parity rates and the actual exchange rates tend to disappear and the tow rates are equated. They argue that, though economic shocks, in whatever guise, could, in the short term, drive the actual rate from the parity rates, but in the absence of new shocks, the price mechanism tend to equate the tow rates, in the long run. Based on this argument, the author contend that predictive errors for purchasing power parity should not perform a random walk, instead there should be a gradual decline or increase towards the actual rate.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Supporting their claims that predictive errors in purchasing power parity does not perform random walk in the long run; the authors presented the results of empirical studies of several countries using data for over seventy years.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Following the same path with paper reviewed above, Yeager30 also sought to strengthen the validity and utility of the purchasing power parity theory. He started off his argument with the basic assumption that people primarily value currencies for what could be bought with it, based on this assumption, he argues, it is safe to presume that in an unrestricted market, people will tend to exchange such currencies for their relative purchasing powers. The author admits that the theory, in its basic form, as stated above, is loose and ambiguous, he posits, however, that the theory performs tow main functions. First, the theory gives an expression of what the equilibrium exchange rates should be for currencies, however crude this rate appears. And two, the theory act like a stabilizing force for exchange rates. Explaining this second function, he assert that when for any reason, actual exchange rates deviate from the equilibrium rates, the theory describes pressures at work tending to check and reverse this random departures from the range of equilibrium rates.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The author provides this example to buttress the point made above about the stabilizing powers of the parity theory:   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Let us suppose, for example, that prevailing exchange rates unmistakably   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   undervalue the British pound in relation to the purchasing powers of the pound   Ã‚  Ã‚   and of foreign currencies.   Foreigners -say Americans- will offer dollars for   Ã‚  Ã‚  Ã‚  Ã‚   pounds to buy British goods at bargain prices. Britons will offer relatively few pounds for dollars to buy, American goods at their apparently high prices.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Unmatched attempts to sell dollars and buy pounds will bid the exchange rate toward the equilibrium level.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In the same light, the author evaluates some of the numerous objections raised about the theory and posits that in most of these objections, the stabilizing pressures aspect of the theory has been mostly ignored. In sum, the author concludes that most of the discrepancies observed in purchasing power parity rates are due to â€Å"inappropriate base periods; disequilibrium exchange rates (including base-period rates), often imposed by official pegging; tariffs, quotas, and other interferences with trade, payments, and exchange rates.31†   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Wyman32   extends the utility of the purchasing power parity further, by applying the concept of the doctrine to calculating gains or losses incurred by holding foreign items, such as foreign currencies or goods. Relating purchasing power parity to currency changes, the author explain that purchasing power is related to the exchange rates of currencies, in that, differential rates of inflation between, say the United States and a foreign country, influences the exchange rates between the monetary units if each country. Putting this definition into an equation, he states that the calculation of the purchasing power parity can be illustrated thus: If the exchange rate between the United States and a foreign country is 20FC = $1 where FC denotes a unit of ‘foreign currency’, if during the year, the US price level index changed from 100 to 110 and that of the foreign country changed from 100 to 120, the purchasing power parity rate can be calculated by determining an adjustment factor that would be applied to the exchange rate. The adjustment factor is calculated as:   ÃË†t à · Øt = the adjustment factor for period t or (120,100t 110,100) = 1.0909 where ψt =   the price-level ratio in the United States defined as the general price-level index at   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   the end of period t divided by the general price-level index at the beginning of   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   period t Øt = the price-level ratio in the foreign country defined as the general price-level index at   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   the end of period t divided by the general price-level index at the beginning of   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   period t   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Explaining this formula, the author assert that when the adjustment factor is applied to the exchange rate, for the example above, result is FC 20x 1.0909 = FC 21.8182=$1. So, if the actual exchange rate at the end of the time t is at the calculated rate of FC 21.8182 to $1, investors in either country will maintain their purchasing power relative to each other, however, if for example, the exchange rate was to be at FC 22 to $1, FC would have depreciated more than is necessary to maintain the purchasing power parity, and so US investors in need of the foreign currency would have exchanged the currency at a loss. The author went on to establish a multiequation system that can be employed in analyzing potential gains and losses in foreign exchange, based on the purchasing power parity concept. Ruble, L. William (1961). A Comparison of the Parity Ratio with Agricultural Net Income Measures: 1910-1958. Journal of Farm Economics, 43(1):101-112. And Stine O. C. (1946). Parity Prices. Journal of Farm Economics, 28(1):301-305.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   These two works covered a slight different aspect of purchasing power parity. They were focused on the purchasing power of farmers, comparing prices changes in farm and non-farm products, and thus, what farmers are paid for their farm products and what they have to pay to buy non-farm products.   Stine33   explains that in the years after the first World War, when the purchasing power parity concept was birthed and first applied as measurement in of changes in purchasing power, marked changes in general price levels was observed, as expected, however, it was also observed that farm products declined more rapidly and farther compared to non farm products. As a result, what farmers had to pay for products they buy was considerably different from what they earn from the sells of farm products.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Ruble34   supporting this line of argument, argues that since the prices received by farmers and prices paid by farmers affect the livelihood and wellbeing of the farming family, the parity ratio provides a good indicator of the standard of living of farmers. Further, contends that the level of the parity ratio is expected to give   good indication of the following methods of estimating the standard of living of farmers: Net money income per capita, per farm, or per worker. Net real income per capita, per farm, or per worker. Income of farmers compared to income of non-farmers on a per   Ã‚  Ã‚  Ã‚  Ã‚   capita or per worker basis (the parity income concept)   Ã‚  Ã‚  Ã‚  Ã‚   However, data and result of empirical studies was presented to measure the relation between the parity ratio and the well being of farmers suggests that the parity ratio might not indeed properly reflects the general well being of farmers, if the well-being of farmers in general is expressed by the per capita, per farm, or per worker net income, real or money. In arriving at the figures in the table, the parity ratio was correlated separately with the per capita net agricultural income of the farm population, the net income of farm operators from farming per farm, and the net income of farm workers from farming per worker, income from all sources, and deflated by the index of prices paid by farmers for family-living items (1917-19 = 100) Summary   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   There is no denying the fact that the Purchasing Power Parity doctrine is an important theory in the financial world. It is true that a lot of controversies have been generated about its validity and utility, but it is also true that several authors have been able to categorically prove its validity, and more importantly, utility, in an array of fields. Just as the theory has come to mean different thing to different authors, it has also carved for itself, different functions, depending on the perspective one adopts. It is not surprising, therefore, that authors have been able to apply the doctrine to a number of endeavors, as seen in the reviews above.   Ã‚  Ã‚  Ã‚  Ã‚   In its most basic form, the concept argues that people primarily need currencies of other countries for the purpose of buying goods/commodities of that country. Therefore, people will only be prepared to exchange currencies for its relative worth. Here lies the relationship between purchasing power parity and the exchange rates of currencies i.e. when it is suspected that a currency is under or over valued, market forces will tend to force the rate back to the equilibrium level. Equilibrium here describes the rate achieved after trades have occurred between two countries, uninterrupted, for a certain period of time and a common exchange rate has been established, as a result.   Ã‚  Ã‚  Ã‚  Ã‚   From this very basic understanding of the theory, as proposed by the author Prof. Gustav Cassel, several modifications, adjustments, and extension of the theory have been proposed and proved. For example, Bellasa fine tuned the predictive value of the theory by modifying the basic two-country, two-commodity model, to include considerations for non-traded goods (services) and the per capita income of each country, which, he argues, play crucial role in the purchasing power of currencies. Klein and his colleagues   modified the theory and employed it in simulating/projecting changes in world economy; Everett and others , also modified the theory and proved it to be useful in appraising strengths and weaknesses of countries’ currencies; while John   showed that the predictive errors in rates calculated with the purchasing power parity concept could be as a result of  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   faults inherent in the calculation methods and data.   Ã‚  Ã‚  Ã‚  Ã‚   From the foregoing, one can only infer that purchasing power parity is still an important financial concept. Although, further academic and research efforts should be geared towards resolving some of the objections raised against the theory. It is obvious that criticism of the theory will further help to strengthen it, in the future, as we have seen it done in the past. Most of the objections raised have been somehow addressed, even if not completely resolved. One can, thus conveniently conclude that with time, the theory might be better fine tuned and become more effective at explaining and predicting exchange rates of currencies. Endnotes Balassa, Bela (1964). The Purchasing-Power Parity Doctrine: A Reappraisal. Ibid p.584 Klein, R. Lawrence, Shahrokh Fardoust and Victor Filatov (1981). Purchasing Power Parity in Medium Term Simulation of the World Economy; Balassa, Bela (1964) Bunting, H. Frederick (1939). The Purchasing Power Parity Theory Reexamined Bunting (1939) provided almost a word-for-word definition and explanation of the theory as postulated by Cassell. The author gives a better idea of the original theory Ibid p.283 Everett, M. Robert, Abraham M. George and Aryeh Blumberg (1980). Appraising Currency Strengths and Weaknesses: An Operational Model for Calculating Parity Exchange Rates. Ibid p.80 Klein et al., 1981 Ibid   p.486 Belassa, 1964 p.584-585 This is personal opinion based on the definition of the absolute and relative PPP proffered by Bellasa, 1964 Ibid Ibid Belassa, 1964 p.585 quoting Cassel in his book Money and Foreign Exchange After 1914. Ibid   Ibid p.587 Bunting,   H. Frederick (1939). The Purchasing Power Parity Theory Reexamined. Bunting, 1939 p.285 quoting Cassel in his book Money and Foreign Exchange After 1914. Bunting, 1939 p.288 Davutyan, Nurhan and John Pippenger (1985). Purchasing Power Parity Did Not Collapse During the 1970s Balassa, 1964 Davutyan and John, 1985 p.1151 Everett, M. Robert, Abraham M. George and Aryeh Blumberg (1980). Appraising Currency Strengths and Weaknesses: An Operational Model for Calculating Parity Exchange Rates. Ibid p.84 Ibid p.90 Klein, R. Lawrence, Shahrokh Fardoust and Victor Filatov (1981). Purchasing Power Parity in Medium Term Simulation of the World Economy. p.486 Ibid p.487 John, Pippenger (1982). Purchasing Power Parity: An Analysis of Predictive Error Yeager, B. Leland   (1958). A Rehabilitation of Purchasing-Power Parity Ibid p.529 Wyman E. Harold (1976). Analysis of Gains or Losses from Foreign Monetary Items: An Application of Purchasing Power Parity Concepts. Stine O. C. (1946). Parity Prices Ruble, L. William (1961). A Comparison of the Parity Ratio with Agricultural Net Income Measures Bibliography Balassa, Bela (1964). The Purchasing-Power Parity Doctrine: A Reappraisal. The Journal   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   of Political Economy, Vol. 72:6 pp. 584-596. Bunting,   H. Frederick (1939). The Purchasing Power Parity Theory Reexamined.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Southern Economic Journal, Vol. 5:3. pp. 282-301. Davutyan, Nurhan and John Pippenger (1985). Purchasing Power Parity Did Not   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Collapse During the 1970s. The American Economic Review, Vol. 75:5.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   pp.1151-1158. Everett, M. Robert, Abraham M. George and Aryeh Blumberg (1980). Appraising   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Currency Strengths and Weaknesses: An Operational Model for Calculating   Ã‚  Ã‚   Parity Exchange Rates. Journal of International Business Studies, Vol. 11:2. pp.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   80-91. John, Pippenger (1982). Purchasing Power Parity: An Analysis of Predictive Error. The Canadian Journal of Economics, Vol. 15:2, pp. 335-346. Klein, R. Lawrence, Shahrokh Fardoust and Victor Filatov (1981). Purchasing Power   Ã‚  Ã‚   Parity in Medium Term Simulation of the World Economy. The Scandinavian   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Journal of Economics, Vol. 83: 4 pp. 479-496. Ruble, L. William (1961). A Comparison of the Parity Ratio with Agricultural Net   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Income Measures: 1910-1958. Journal of Farm Economics, Vol. 43:1. pp. 101-  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   112. Stine O. C. (1946). Parity Prices. Journal of Farm Economics, Vol.28:1. pp.301-305. Wyman E. Harold (1976). Analysis of Gains or Losses from Foreign Monetary Items: An   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Application of Purchasing Power Parity Concepts. The Accounting Review, Vol.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   51: 3. pp. 545-558. Yeager, B. Leland   (1958). A Rehabilitation of Purchasing-Power Parity. The Journal of   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Political Economy, Vol. 66:6, pp. 516-530.

Thursday, November 14, 2019

History of Television Essay -- TV Television Historical Essays

History of Television   Ã‚  Ã‚  Ã‚  Ã‚  Television has become a major industry all over the world, especially in the industrialized nations, and a major medium of communication and source of home entertainment. Television is used in many industries. A few examples are for surveillance in places inaccessible to or dangerous for human beings, in science for tissue microscopy, and in education. Today you can find a television in almost every home. This is why I decided to research the history of the television.   Ã‚  Ã‚  Ã‚  Ã‚  The first television devices were based on an 1884 invention called the scanning disk, patented by Paul Nipkow. This device was a large disk with holes on it, which spun in front of an object while a photoelectric cell recorded changes in light. Depending on the electricity transmitted by the photoelectric cell, an array of light bulbs would glow or remain dark. But Nipkow’s mechanical system could not scan and deliver a clear, live-action image. Many inventors hoped to perfect this.   Ã‚  Ã‚  Ã‚  Ã‚  In 1921, a 14-year-old Mormon from Idaho named Philo Farnsworth came up with an idea. While mowing hay in rows, Philo realized an electron beam could scan a picture in horizontal lines, reproducing the image almost instantaneously. Philo was not the only one with this idea. At the same time, Russian immigrant Vladimir Zworykin had also designed a camera that focused an image through a lens onto an array of photoelectric cells coating the end of a tube. The electrical image formed by ...

Monday, November 11, 2019

Conscious Efforts Equate to Saving Lives

Livery cab driver killings — the challenge that New York City had to combat and a situation that allowed authorities to prove that they were doing their job. The killing of livery cab drivers was a time that united the people of New York (Rashbaum, 2000). Livery cab driver killings had been a major problem in New York for over 30 years. Every year, policemen and the government had to deal with countless investigations to provide justice for dozens of killed drivers each year. Not only were the livery cab drivers killed — they were also robbed (Rashbaum, 2000). The people who had enough means and power to do something about it, like the government and the New York State Federation of Taxi Drivers, did something about it, and here are as follows: The New York State Federation of Taxi Drivers led by Fernando A. Mateo employed several safety measures to reduce livery cab driver killings. Mateo and his subordinates obliged all livery cab drivers to put bulletproof partitions inside the livery cabs. Because of this, the livery cab drivers were divided into parts where the livery cab driver was protected from his passenger who may have been a potential robber or murderer, through a wall or divider. While the wall or divider, or what the federation technically terms as partition, can prevent robbery, it obviously may not keep the livery cab drivers from murder at all since bullets can pass through walls. This possibility was a major concern of the New York State Federation of Taxi Drivers. To counterattack what was left of the problem, the federation ordered livery cab drivers to use bulletproof partitions. Bulletproof material prevented the livery cab drivers from getting shot. To further make this protective measure effective, livery cab drivers were ordered to close the partitions all the time. While it was true bulletproof material was used as a shield from gun shots and other means of killing, these partitions still made a driver susceptible to killing once it is left open. The use of surveillance cameras was also ordered by the city and the federation. Through this, a livery cab driver was given the chance to put another eye at the passenger's area. The driver can readily see the potential harms a passenger may do even before he does it. A passenger, for example, who releases a gun from his bag, will be readily seen by the driver. The time the potential murderer is releasing a gun is also the time a driver can call the police or employ other preventive measures to protect his own life. That time, every time a driver became suspicious of a passenger, he can readily report it to the policemen who were monitoring him through a secret alarm system. The city's mayor, Rudolph W. Giuliani, showed his support for these safety measures by providing each livery cab driver with enough financial assistance. The city released $5 million worth of protection equipment. Each livery cab driver in New York City was given $325. This amount of money served as an assistance to pay for the needed equipment like partitions and bulletproofing. Surveillance cameras cost $700. This means that the city paid for half the total expense of a driver for one surveillance camera. If a driver chose to put up a partition inside his livery cab, then he may put up one which cost $275 on the average. The city, together with the New York State Federation of Taxi Drivers, employed other preventive and protective measures without the use of material things. The city revised its law regarding the punishment for liver cab driver killers and robbers. Tougher sanction was applied in which another two to three years were added to the years a convict will have to spend in jail. Police decoy was also widely used. This was another preventive and protective measure to investigate murder and robbery cases more efficiently. With the use of police decoy, an officer pretended to be a livery cab driver. He went around the neighborhood to get passengers and picked up their fares. This was an effective step since robbery and murder reduced from 2,000 to 455 cases. The efficient investigation allowed for this impressive change in the statistics. Aside from police decoys who served as patrols, protection was maximized especially when livery cab drivers were required to stop at areas where there were police officers. These officers obliged drivers to pull over to see their current condition. The police officers ensure the safety and protection of drivers by checking the passengers. Police officers were able to prevent 50 possible livery cab driver killings by spotting 50 passengers with guns. Such intense conscious effort caused very pronounced victory than expected. Before 2000, no single year has passed without dozens of livery cab drivers being killed. When these aforementioned measures were employed, the year came when no single case of livery cab driver killing or robbery was reported. With this change in statistics, the New York State Federation of Taxi Drivers and the government of New York City proved that with efficient action, achieving a goal becomes possible. Because of this, the federation and the city became more inspired with employing more measures to totally alleviate killings so that such victory won't last for only a year. To maintain positive changes, the federation and the government worked hand in hand to put up tracking systems for the drivers. This way, the drivers were always monitored. The police tracked down the whereabouts of every livery cab driver. Adolfo Carrion, Jr., New York City's councilman, was willing to co-sponsor this to further improve livery cab driver killings. In 2000, statistics dramatically changed from drastic to impressive when it comes to cases of killings. Every livery cab driver did not just begin to feel safer and more secured with his job — his children and wife patiently waiting at home were finally able to sleep soundly at night. All they needed to wait for was a goodnight kiss from their father. References: Michaelluo. (2004). Police Measures Avert Livery Cab Killings. New York Times. Retrieved December 1, 2007, from http://www.nytimes.com/2004/02/07/nyregion/07livery.html ?ei=5007&en=f4b0e5806c7261c&ex=1391576400&adxnnl=1&partner= USERLAND&adxnnlx=11143479799ScWbxozk+DIlE+9e5ddS Rashbaum, W. K. (2000). After Deaths, City Plans Millions for Livery Cab Safety. The New York Times. Retrieved December 1, 2007 from http://query.nytimes.com/gst/fullpage.html ?res=950CE2DA1631F936A25757C0A9669C8B63 Â   Â   Â  

Saturday, November 9, 2019

Practicum Report Essay

I. INTRODUCTION A. Name And General Location Chowking located at 3rd floor 168 Mall, Soler Recto. Location Map of Chowking B. Objective/hotel/restaurant philosophy Our Vision Statement We will be one of the top 3 oriental QSR brand in the world by 2020 Our Mission statement To serve great tasting food bringing the joy of eating to everyone. Our philosophy To consistently serve steaming hot devious food in five minute or less with a smile, in a clean looking and clean smelling sore. `C. Ownersihp/Management Fresh and famous inc, company IIDISCUSSIONOF FINDINGS/ANALYSIS/RECOMMNEDAION * AREA OF CONERN (General) 1) Oraganization structure. there 5 waiter/food server in chowking headed by the Captain Waiter (Mr. Marcelo Sicat). The waiter who stayed there for the longest time is called Senior waiter. They are more expert than the other waiter. Each of them has their assign area/tables to servr each of them is doing their jobs responsibilities, and the good thing about them is their teamwork of chowking FS always help each other. 2)Operation, system and procedures. The dining area is divided into five (5) areas the area 1 table (1,2,3,4, and 5) Area 2, (table6,7,8,9,10,11,12,13, and 14 ), Area 3 (Tables 15,16,17, and 18) and Area 4 (Table 19,20,21,22,23,24, and 25),Each waiter or (SS) is being assigned to his designed diing area. As the customer arrives the receptionist will lead them to an empty tables She will give the menu. After then the waiter or (SS) will take orders. He will do suggerstive selling it is their duty to push their Happy plus card this chowking card is good for 3 years. It has beinfits for the customers who will avail this card. If the customers avai this card after they order the foods they want, they have an automatic 10% discount on their bill free siopao Flaovre asado or bola bola and 1 cup of ice tea. Then the cashier punh the order to the P.O.S (point of sale) and it will automatically receive by other department kitchen and Halo halo station 3)facilities equipmemnt, etc. Chowking is one storey building, but it has many facilities. Of course there is a dining Area which has 25 tables and can accommodate 125 individuals. 4)Manpower scheduling Works method, Style of communication. There are three (3) types of scheduling in the Chowking the opening Schedule Middle schedule and closing schedule. The opening schedule start 6:30 in the morning to 3:30 afternoon and it has 1 hour break time. The middle schedule starts from 8:00 in the morning to 5:00 afternoon it has 1 hour break. The closing schedule starts from 11:30 in the morning to 8:30 in the evening and also has 1 hour break like opening schedule. The store is located the mall that’s the staff is until 9:00 pm only. The staff have a rest-day in every once a week. But every Friday, Saturday and Sunday they are all present. No one has a day off on these days, it is strictly not allowed because during that three days, there will have many customers coming usually and sometimes there were events during these day. The Kitchen Leader is always calling for  a briefing sometimes, after the opening this is to ensure that a;; his subordinates are always reminded regarding the correct and standard procedures of service, and at the same time, he also checks each of the kitchen Staff are have a complete uniform. Also, twice in a month, they are having their general meeting to be led by the operation manager and branch manager. 5)Works atmosphere, interpersonal relation relations layout ventilation color schemeof the office. Chowking is a Fast-food chain based in the United States which branches all over the Philippines. It is decorated in a unique ambiance to create a warm relaxed atmosphere. It was fascinated with the interior design chowking had as I entered the faà §ade. The red brown white and blue chairs give a vibrant aura whoever enters in the food court. The quite dine lights all over the food court are also giving a positive vibes and will not give you a wrong impression that you are in different place other than chowking. In general, I can say that the place is well kept and the floors and laboratories are clean. There is always a background music that can be heard in the dining area, a variety of love songs that gives more the feeling as if you were in romantic place and sometimes they played modern songs. You can see the elegance brought by the surrounding’s. 6)Use of material resource. Chowking has its own supplier. The purchaser is the one recording the supplies that are coming every week. This raw material will be stored in the stock room and then it will be cooked and prepared. 7)Sanitation procedures/practices. Chowking was having their General Cleaning and Pest Control twice in every month. But it doesn’t, mean they do not conduct cleaning practices on regular day’s they do actually every day. Every opening and closing it is a MUST to clean up the surrounding’s, especially the dining area and it is important for them to ensure that the utensils and other equipment’s will be place correctly, sanitized clean. 8)Strengths. Chowking gives customers good food and quality service. The company stops in creating new ideas and concepts to expand the business that will provide the  community with excellent giving experience at the most affordable cost. To be the LEADING and PREFERED rice meal. Fast food chain provides its guest with the best value for money and a very memorable experience. The places not big it can accommodate as much as 125 guests. This branch of Chowking is pretty convenient to visit because it is located the mall. You can g here after you go shopping.. 9)IMPROVEMENTS AREA/WEAKNESSES. During my stay in chowking I noticed that some sensitive customers are complaining about how the waiter takes out their left over because waiter takes out the food using plastic bag and a paper bag only. 10) RECOMMENDATION. I’m looking forward that the management of chowking will someday consider having a comfort room inside the store so that the customer’s will not go to the public restroom of the mall. III.)CONCLUSION. In my stay in Chowking I have many things to conclude. First the staff and the managers who treated us a regular staff and not only as a trainee. They welcome us with their smile on their faces. Second my on job training is hard but I must say that I enjoyed it very much you will be able to meet different kind of personality. They taught me how to handle guest discriminating them with their satus. Summary of Status Report (In Emiramona Garden Hotel) During on my job training at emiramona it was existing at the same hard I met different kinds of people here because we not only have Filipino guest but also foreigners. My duty was always 8:00 AM in the morning until 8:00 PM evening and sometimes passed 8:00 if my manager or captain waiter wants to me overtime. Night shift again, I feel so bored today as GRS (Guest relation service. I don’t know why I had this feeling. I need to easy the laziness inside of me. When 7:00 PM arrives, the laziness and the boredom I felt, disappear because the guest have come take an under time we had four Korean guests, two ladies and 2 men. After I made the table set up in their table, one of them says thank you to me in our language, Filipino I felt slightly  shocked because of what he said. Because sometime when we had foreigner guest they speak pure English but one of different. Then I said he’s welcome. Then they give me a smile before I left. We have two parties today at the same time, one function hall and the other is in the dining area. Because of the overflowing of guests, I felt so tired, thanks to God our store are air-conditioned if not god it be a very hot day. Actually I should be in store at 12:00 noon but unfortunately I have my Saturday Class so I was not able to come in time. Today I because I had a headache, before I went to store, I to school to take an exam. But I didn’t my professor was not there. Our manager didn’t allow me first because it’s against the policy. So I told our manager that it will never happened again, just for the day. And then he I let me we have so many guest today because of that even the function hall was open for them. I felt so tired so that night. My duty is GRS but because of the overflowing guest, I helped the food servers. I do what they asked me to do because of the things they asked me to do I end up aching legs and so very tired. We have tree parties today at the same time. One birthday parties and two baptisms. The birthday held at the function hall and other at the dining area. And at the same day we have other party by 6:00 PM, the party of the big boss. Thank God my movements in serving food were faster than usual. And my period didn’t stop me in my work Due to few OJTs that will handle the situation; I extended an hour to help them. As a kitchen staff in chowking I developed my skill and I learn about serving the juice and meal for the guest because my position in chowking is cook or kitchen staff. Summary of Status Report (In restaurant) My on the job training in chowking is not that easy. But I must say that I’m happy because I take my ojt here. In my first day. I was afraid, nervous and exited at the sametime .afraid and nervous because this is my first time to take training in an establishment and exited because it is another challenge for me as an HRM student. My duty at first was 12:00 in the afternoon until 9:00 in the evening. First day I don’t know what I’m going to do regular Glen, one the seal talk to me. He oriented me about the things that I will do while I’m taking my training in their store. Taught me the basics cooking  etc. at first I was quiet id never talked to anyone unless they are talking to me ill just smile to them but as the days goes by, I felt comfortable to be with them every day whenever , I smiled at staffs and greet them. Customers relations service, one of my duty there I feel dizzy again because all I need to do is to greet the guest that will enter our store then I’ll take them to an empty tables and give them sometimes I do free cooking, back up portions wares free set up, e had four American guest two ladies and two men. After my duty he calls me for the one of them and he talked what is the best seller in chowking in tagalog. And I felt slightly shocked because he talk to me in tagalog and he ask what is the best seller in this company I suggest chicken Lauriat because this is a majority ordered from the customers because we have a canton and chicken chicharapbutchi and egg fried rice and pork siomai. And one them ask me ask me what is the ingredients of HALO-HALO and I tell all of ingredients. And she say thank you for suggesting. And i say no problem. Then she gave me smile before I left. And we have balk order today I fell nervous because it is a very big order from 168 office because the managers birthday. The order is 250 pcs of 1pc chicken and the manager say eldryn do this order I’m shocked because this is my 3rd day I really don’t carry of them without guide and one the regular he teach the processing cooking of chicken. And after 1 hour I’m done this order and I say thank you sir glen for helping me.

Thursday, November 7, 2019

Free Essays on History Of Propaganda

Propaganda originally came from the College or Congregation of Propaganda. The College of Propaganda was founded by Pope Gregory the 15’th in 1622. Their job was to represent the Catholic Church in foreign lands. They raised the opinion of the church by setting up missions which â€Å"saved†, fed, and helped the foreigners. Propaganda acquired it’s first widely viewed negative connotation in Paris around 1790 when The Propaganda or Les Ambassadeurs de genre humain. The Propaganda’s mission was to bring to agitate other citizens against the rulers by expressing, â€Å"opinions and principles which are viewed by most governments with horror and aversion.† Propaganda is still associated with a group of people though, and not necessarily with a form of media. This is, however, the first time propaganda took on a commonly accepted negativity. This negative meaning spread quickly. In America, G. Seldes wrote in 1929 that, â€Å"The term propaganda has not the sinister meaning in Europe which it has acquired in America...† At about that same time, the Nazi party was perfecting propaganda techniques for domestic as well as foreign use. The Nazis were masters of negative propaganda. They used their talent to bring pride to the Aryan race, to domonstritize ethnic, religious, and the disabled, and condemn the foreign powers that resisted them. Lenni Riefenstahl was the most skilled, and is the best known Nazi artist/propagandist. Her movie, Olympia, did a beautiful job of presenting the Summer Olympics, praising the sill, strength, and superiority of the Aryan race. In Triumph of the Will she recorded the 1934 Nuremberg rally. â€Å"†¦Riefenstahl's masterpiece†¦ combines the strengths of documentary and propaganda into a single, overwhelmingly powerful visual force.† Hitler’s speech at the Nuremberg rally contained propaganda praising the Aryan, and condemning the Jews, Gypsies, and other minorities, as well as other governm... Free Essays on History Of Propaganda Free Essays on History Of Propaganda Propaganda originally came from the College or Congregation of Propaganda. The College of Propaganda was founded by Pope Gregory the 15’th in 1622. Their job was to represent the Catholic Church in foreign lands. They raised the opinion of the church by setting up missions which â€Å"saved†, fed, and helped the foreigners. Propaganda acquired it’s first widely viewed negative connotation in Paris around 1790 when The Propaganda or Les Ambassadeurs de genre humain. The Propaganda’s mission was to bring to agitate other citizens against the rulers by expressing, â€Å"opinions and principles which are viewed by most governments with horror and aversion.† Propaganda is still associated with a group of people though, and not necessarily with a form of media. This is, however, the first time propaganda took on a commonly accepted negativity. This negative meaning spread quickly. In America, G. Seldes wrote in 1929 that, â€Å"The term propaganda has not the sinister meaning in Europe which it has acquired in America...† At about that same time, the Nazi party was perfecting propaganda techniques for domestic as well as foreign use. The Nazis were masters of negative propaganda. They used their talent to bring pride to the Aryan race, to domonstritize ethnic, religious, and the disabled, and condemn the foreign powers that resisted them. Lenni Riefenstahl was the most skilled, and is the best known Nazi artist/propagandist. Her movie, Olympia, did a beautiful job of presenting the Summer Olympics, praising the sill, strength, and superiority of the Aryan race. In Triumph of the Will she recorded the 1934 Nuremberg rally. â€Å"†¦Riefenstahl's masterpiece†¦ combines the strengths of documentary and propaganda into a single, overwhelmingly powerful visual force.† Hitler’s speech at the Nuremberg rally contained propaganda praising the Aryan, and condemning the Jews, Gypsies, and other minorities, as well as other governm...