Wednesday, July 31, 2019

Danshui Plant No.2 Essay

Background: Danshui was a contract manufacturer assembling electronic products in southern China. There were many manufacturers like Danshui in China assembling parts for the companies wishing to save labor costs. Apple contracted with Danshui to assemble 2.4 million iPhones in Plant No.2 with the expected high demand of this product in 2010. As a profit center, Plant No.2 was credited for each iPhone produced and shipped. The process of assembling was complex and required almost entirely based on handwork for more than 100 components. Danshui was confident of its workers to adapt the new tasks and extra workers could be hired and trained as needed. The iPhone 4 was the most successful product of Apple as more than 1.7 million units were sold in the first 3 days they were launched. However, the plant was operating at a loss because of the underproduction. Consequently, the controller of this plant considered preparing the new budget showing using a flexible budget system to identify what went wrong in their operations that contribute to the performance problems. Problems and issues: The plant has 2 big problems in terms of budgeting system and labor force. Firstly, they were in unfavorable performance by using standard budgeting system. They were unable to meet the Apple contract, which was shortage 10% from the 200,000 targeted units, resulting in the loss of $672,000 rather than the profit of $100,000. Actually, the plant was using the standard costing system to evaluate their performance, but it was not appropriate because the comparative quantities were different (180,000 and 200,000 units). That means the total standard costs would be overstated compared to the total actual costs. Consequently, the activities under the standard costing system were all overstated efficiency, leading to the unfavorable net income. Secondly, the lack of qualified labor force also contributed to this problem. As the assembly of iPhone 4 was extremely complex, this would be higher chances of errors as the assembly process was handled by different workers with different skills and working styles. This will indirectly cause a lot wastes in term of cost and time due to the carelessness and the lack of skill of the workers. The burden of the supervisors must be increased as they must learn before guiding the workers, who were almost semiskilled.  Although the plant had raised the wages to 30%, they still could not increase the number of labor force needed, which also contributed to the underproduction. On the other hand, as the production line was based on handwork, the damage of 1000 flash memories in installation was unavoidable. Thus, the actual output must be 181,000 units instead of 180,000 units in their report. The replacement of the wastage had increased the cost that had led to the unfavorable variance of $389,000. When the reckless jobs had been done, the workers must use the new tools and supplies, resulting in the increase of the production costs and cause an unfavorable performance. Recommendations: For the short term, I recommend Danshui to change from using the standard costing system to the flexible budget system for performance evaluation purpose. By using the flexible budget will help them to compare results with adjustable budget and the variance analysis will be more accurate. This system also proves the unfavorable performance caused by the variance from variable costs of $1,041,200, which can analyze and evaluate the weaknesses in controlling the variable cost which is flash memories, assembly and packaging expenses. For the long term period, they have to overcome the disadvantages from the labor forces. First of all, the plant should improve their salary policy. I recommend that they should motivate workers by setting a basic salary and offering bonus if they complete their jobs well. Secondly, the plant should provide professional training for labors. Through training, the labors can learn how to handle with care on the parts to avoid the wastage that will happen. This solution also assists managers to place the correct labor at the correct assembly parts to reduce the labor hours but still save the materials. Thirdly, the plant could hire more skilled supervisors who will able to response to the problems arises and know how to motivate the labor to achieve the goal.

Tuesday, July 30, 2019

StockTrak

If we compare our Bear and Bull spreads to short and long stock positions respectively we can actually show how options are highly levered financial instruments, increasing profits, but also losses tremendously. If we had shorted a Cataracts stock our profit from the price decline would have been 6. 50% per share, while with our Bear Spread we made a profit of ten times the cost of building the spread. On the other hand, If we had held a Nikkei stock we would have had a loss of 6. 27% per share from the price cline, whereas our loss with the bull spread was 74. 8% if we compare it to the cost of building the spread. This figures show how option trading is cheaper relative to stock trading, but profits or losses are much higher in percentage terms. For our Butterfly, Strangle and Straddle strategies we chose Pfizer, which based on our analysis, presented Itself as a very stable stock, with a 6-months average price of $30. 66 and a current price of $31. 12 (March 13th). We wanted to be t on very low volatility and make a profit from very low fluctuations from Pfizer stock.Our Butterfly parade consisted on shorting two 32-strike calls and taking a long position on 31- strike and 33-strike calls. The center strike price of our butterfly was the exercise price of the Straddle and also lied exactly in the middle of the $31. 5-strike put and $32. 5-strike call for our Strangle. In the end, our Butterfly spread turned out to be for our spread (see Graph 3). 2. ) The article posted referrers to â€Å"covered call writing† as taking a long position on stock and writing a call that is significantly out-of-the money.With his strategy, if the call option is exercised and the investor has to sell his hares, he is covered by holding the underlying. If we compared the covered call strategy to a short naked call we can clearly see that the risk for the naked position is unlimited if the price of the stock increases. With the covered call, by going long on the underlying, we cap our profit but we also limit our loss, whereas with the naked short call we are completely exposed. The analog position using puts, I. E â€Å"covered put writing† would mean writing a put and shorting the underlying.To execute such a strategy is possible, but the risk embedded in it is very high, because the potential asses from a price increase in the stock are unlimited. The premium gained from the put writing might not be large enough to cover the losses from the short position if the price increase is high. 3. ) For our collar strategy we selected Apple stock. To execute such a trade we bought 1,000 shares at $527. 49, went long one thousand 535-strike puts and shorted the same number of 540-strike calls; both option contracts expired on April 25.Our collar was as close to zero as possible, where the put options had a price of $16. 5 and the call options were priced at $17. 25. If the rice of Apple had stayed between the two designated strikes, our profit would ha ve been the value of the stock plus the $0. 75-differential between the option prices. At maturity Apple closed at $571. 94, meaning that the call option was exercised and we lost $41. 94, but we also gained $44. 45 on the price appreciation of the shares, leaving us with a net profit of (44. 45 – 41. 94 + 0. 75) $3. 26 per share. 4. To execute the stop- loss and delta-hedge strategies we wrote 100 at-the-money call option contracts on Backbone and Google. Our initial position to hedge both strategies was long the hares of both companies. For Backbone we used the stop-loss strategy and set arbitrary times to check our positions and hedge it. The initial cash inflow of shorting these options was $35,500 and the cost of hedging this position went up to $174,312. 51. On the other hand, with the Google options we used the delta-hedge strategy and checked the stock price 3 times a day.The initial cash inflow from shorting the calls was $54,000 and the costs related to hedging reac hed a total of $1 The amount spent for hedging the FEB.. Shares was 5 times larger than he value of the options we sold, while for Google the ratio was 20 to 1 . After seeing these figures we can observe that hedging strategies are extremely costly, but are essential to protect short positions against risk and prevent higher losses. 5. ) To create the â€Å"synthetic† rep we bought Gold at spot price of $1,296 on March 27 and shorted Gold futures expiring in April; the average of the ask and bid prices for this contract was $1 ,302.Executing this transaction, we locked in our prices for a return of 0. 463%. The I-month treasury bills from the U. S. Federal Reserve website is quoted at 0. 0167%, which is essentially 0%. Comparing the return rate from our futures contract with the I-month T-bill rate, there is an arbitrage opportunity. To exploit this opportunity we would borrow money at the T-bill rate of and use it to buy gold at the spot price, in addition to these transacti ons, we would short Gold futures to make a final profit of 0. 613%. 6. ) current pence of BIBB: $ 290. 54 price of put @ 290: 10. 30 price of call @ 290: 13. 00 Deep in the money calls: price of call 0280: 9. 40 pence of put 0280: 5. 42 Deep in the money puts: price of call @300: 7. 72 pence of put 0300: 16. 8 If we look at at-the-money options and, considering that the risk free rate is essentially zero, the stock price and the present value of the strike price are practically equal, so in order for UT Call Parity to obey, the put and call price should be identical.As we can see in the quoted prices above, parity doesn't hold; the call price is higher than the put. We could exploit this opportunity by going long on the put and the share, shorting the call and borrowing the present value of K. When it comes to deep in-the-money calls the share price is higher than the present value of K, so the call price should be higher than the put price by the same amount as the price differenti al between S and IV (K). We can see from the prices above that the call is undervalued in relation to the put.To exploit this arbitrage opportunity we would buy a call, invest IV (K) and short the put and the share. Finally, for deep in-the- money puts, the share price is lower than the present value of K, so the put price should be higher than the call price by the same amount as the price differential between S and IV (K). We can see that the put is undervalued in relation to the call. To exploit this arbitrage opportunity we would buy the put and the share, borrow IV (K) and short the call. 7. When looking at the overall performance of our portfolio and its relative risk we can conclude that it was much riskier relative to the S and also had a lower return. If we look at the summary figures of our portfolio we can see that it had an overall return of 0. 63%, whereas the SPY IETF had a percentage return of 1 . 19% (see Graph 4). We believe that the reason for the lower return and higher risk of our portfolio comes from several trades involving silver and platinum futures entrants that we performed to experiment with the platform and observe how these contracts behaved.In general we think that such a project is a very useful and enjoyable way to get to know the trading world. Performing actual trades allowed us to â€Å"get our hands dirty' and truly understand how to build spreads and implement investment strategies. This project gave us the opportunity to go beyond the theory and realize that trading can sometimes be more complicated that it seems on paper, but can also become much clearer once the theory is implemented in a â€Å"real world† setting. We very much enjoyed working on this project.

Internet Small Computer System Interface Essay

A heterogeneous network of both IP-based SAN’s and FCP-based SAN’s should be setup based on a standard naming convention in order to facilitate communication between the client applications and the SAN which stores information. The network architecture should ideally be setup using a naming convention which is simple and precise, whilst facilitating communication between all of the network resources. This technique is based on having a convention which links a variety of technologies together as well as other resources seen on a network. A heterogeneous network consists of various network nodes with various protocols and operating systems in operation together. In the case of a Storage Area Network (SAN), the various operating systems in use on the network need to be able to see the remote storage volumes as if they are locally attached, therefore speed is essential to the successful working of a SAN. The use of a descriptive naming convention is also important as it means problem identification can be made easier and helps to minimize operator errors on the network. There are a number of protocols in operation on every network, and the need for an efficient protocol for SAN use is paramount. The current options for running a SAN are to use standard TCP/IP protocols namely the Internet Small Computer System Interface (iSCSI) protocol, or to use a specific protocol called FCP which usually operates over bespoke fiber infrastructure. These protocols are different in the way they operate, however can in fact be used together to improve the performance of a SAN. A naming convention suitable for a TCP/IP based network is very different to a naming convention for an FCP based network. TCP/IP is a network protocol which is used for communication between resources on a standard LAN, however FCP is a protocol which sends SCSI commands via a fiber optic cable to remote storage devices. The iSCSI protocol allows various network storage resources to be identified and used over standard network protocols, which requires compliance with the standard network naming policy, yet which enables the specific nature of their operation to be identified. Naming conventions for the LAN and SCSI storage devices should comply with standard network naming conventions. The servers and iSCSI devices which operate on a network should be been named in compliance with a standard policy and should be unique on the switch fabric of the network. Standard SAN naming conventions should be created with a few factors in mind, each component should be named based on its physical location, what it connects to, which database it is used by, and another unique field of identification. Naming conventions are important because they can save administrators time and effort, and must be created whilst considering many factors. Initially there must be a system whereby network names are created centrally and uniquely so that duplicate records are not made. This naming approach must be consistent throughout the network, and it must be applied across the entire organization regardless of location or operation. This element of the naming convention helps to prevent the duplicity or confusion of network names and is required to enable a high performance network to operate. This issue is not so important when dealing with an FCP-based SAN, because the devices are connected by a separate network of fiber which cannot usually be accessed by resources on the standard network which do not use specific applications or databases. In conclusion the operation of a storage area network relies on speed and an efficient and effective naming system which is able to be managed, diagnosed and repaired where necessary in the simplest and most cost effective way possible. This must be done consistently when using the standard TCP/IP protocol, however specific FCP SAN protocol allows for a much simpler convention.

Monday, July 29, 2019

SWOTT Analysis Paper and Table Essay Example | Topics and Well Written Essays - 1500 words

SWOTT Analysis Paper and Table - Essay Example We intend to amplify our business by using greener alternatives whenever possible, for example: Moreover, it is also important for us to be seen in the public domain making a difference. Therefore we will actively work with various local environmental organizations, such as, Miami Green Commission. Over the past five years, there has been an increasing awareness regarding work life balance, mainly due to the rise of dual income families, but also due to flexible working practices affecting quality time spent as a family unit. Customers are influenced mainly by price and convenience, however, information is not readily available in the public domain, hence, shopping for ‘best’ bargains is hampered and reduced to what is available locally in the high street. When surveyed, given a choice of alternatives within the same price bracket, 68% of consumers would choose a greener alternative method of dry cleaning. 82% of consumers had little brand loyalty and could not name the dry cleaning company they used. Therefore, they have considerable power as switching costs are minimal, and the perceived ethical rewards are substantial. Currently, 97% of dry cleaners operating in Miami offer traditional Perc dry cleaning. We also feel that the dry cleaning industry thus far has been slow to make people aware of what is on offer in the industry, this in our view, gives us a considerable advantage. Currently there are few suppliers of alternative solvent machines. This seems to give the suppliers a certain degree of power. However, machines are extremely reliable and have a lifespan of almost ten years, thus, limiting the interaction with the supplier. Also, solvents are available from various companies but, levels of usage are not high and their prices have remained static for numerous years without any gaps in supply. Potential start up costs are relatively low

Sunday, July 28, 2019

The role of Finance and Accounting in Business Essay

The role of Finance and Accounting in Business - Essay Example Therefore, to sell at a breakeven price, 100 bags need to be sold. The amount of funding that need to be raised is $ 500. To get the number of bags that need to be sold to raise the $ 500 net income, we derive another equation by equating number of baskets to z. z*3 + (all the fixed costs) = z*5-$ 500†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦ (5). 3z +$ 200= 5z -$ 500 Bringing like terms together; $ 700= 2z which gives a z value of 350 bags. The total figure of 350 bags is not realistic since only 100 customers are available. At this point, measures to trim down the charge of the bags. The marketing and distribution charges (advert, posters and vendor charges) add a significant percentage to the initial cost. The charges take 40% of the total cost. Although marketing and supply chain requires input, it should not add excessive expenditure in the total cost as it might lead to customer suppression in the final product price. To override the cost larger volumes of the commodity should be sold, as in the ca se scenario above. If it was possible to sell all the 350 bags, the fixed costs would have no significant effect and the income would be generated. Since the customer number is limited to 100, other measures have to be taken to reduce the fixed charges or override them. Charges need to be prioritized according to necessity. Both posters and College newspaper adverts communicate the same thing. It would be wise to evaluate the most efficient means of capturing sales. If an advert is placed in the newspaper, it might not capture a lot of attention to students who do not read it. It might, however, capture the attention of the staff. Posters, on the other hand, might do the trick when strategically placed within the college premises. They would be placed on all main notice boards, lecture rooms and corridors. These would easily catch the attention than a page in a newspaper. If only posters are used, the fixed charges will reduce by a considerable proportion. Considering the equation 2 above, the new cost would be $ 400. The net income will be $ 100. If the newspaper is favored than the posters, the net income amounts to $ 60. In a scenario where both charges are scrapped, the only cost will be that of shipping the baskets and the new net income would be $ 160. However, this would jeopardize the sale due to low awareness. Still, a net income of $ 500 will not be realized. The other approach will be setting up a higher sale price for the basket. Since the purpose of the sales drive is to raise funds for scholarships, an exaggerated price would not necessarily have a negative impact. The valentines’ period is also characterized by increased spending. By taking this position and selling the bags at a price of $ 9, while scrapping the newspaper and retaining the poster advert it would be possible to obtain the net income of $ 500 as shown in the equation below; Total cost = (3*100) + (cost of poster supplies$60) + (Vendor charges$ 40) = $ 400. Total sales= $9* 100=$ 900 Net income = $900-$400=$500 The resulting price is triple the initial cost of the basket. This would have a risk of reducing the purchasing power especially if the role of the fundraiser is not elaborated enough. By

Saturday, July 27, 2019

Hospital Financial Management Essay Example | Topics and Well Written Essays - 250 words

Hospital Financial Management - Essay Example By developing fixed and variable expenses PPD strategies they find it efficient in paying long-term expenses without running out of all the operational cash. During their 1st Qrt, they expected a fixed cost structure of 20% which in actual budget shifted to 19% making a point value of 1. The same way by budgeting for variable cost structure of 80% and gaining an actual of 81% giving them a point value of 1, it means that the operation of the hospital is very strategically planned. The other reason for the better financial performance of the hospital is because of the better turn out of patients both in and outpatient, the benefits are given to them and the services performed. Despite good profit generation from the hospital, it is still advisable that they develop the good strategy based on the indicators shown by the office of the statewide health planning development (OSHPD). The indicators require the hospital financial management to develop corrective measures such as volunteer t ime so that the salaries benefit can be reduced by at least 10%, the need also to give professional training to lower the professional fee they provide for. The hospital management should be determined in developing ways of reducing their supplies from 15% to some reasonable percentage. The main issue the hospital management should focus on to help their performance is the salaries, variable patients benefit, and the supplies they receive. They should develop strategies that enable them to reduce the cost of professionals pays.

Friday, July 26, 2019

Report of Construction Project Network Diagram Essay

Report of Construction Project Network Diagram - Essay Example In the context of this report, the project manager of Company A had initiated with his team the use of network diagram in order to acquire an accurate calculation of the whole duration of the project. Each individual activity to be undertaken was given a specified time of completion before starting the next activity. In the analysis done using the said instrument, there are two factors to consider in determining and calculating the whole duration of an activity. These are the forward pass – the early or late start and backward pass – the early of late finish. The critical path was chosen from the longest duration taken after calculating the earliest and latest event times in order to allow adjustment which activity needs speed up. Float was also calculated using the network diagram in order to determine the duration of activity delay that the project can permit before the project becomes late. A Gantt chart will provide a clear view of the critical path in the project. ... ws the sequence of the activities or tasks to be carried out, the amount of time needed to complete the activity as well as the whole project, the dependencies of activities and which activities need more attention. It is widely used by many project managers because it helps them to identify the most efficient sequence of events within the required time for the completion of any project. Example of network diagram can be shown in the succeeding part of this report. 3.0 Network diagram analysis Analysis of the network diagram is very necessary to evaluate the sequence of the activities and to construct a network with a timeline for the project. In order to carry out the analysis successfully, the project manager should consider the following fundamental steps: 1. Draw the calculations of the earliest and latest event times. 2. Draw an activity analysis table showing the results found which include the activities, duration, and earliest and latest event times. 3. Calculate the float, f ree total and independent float of each activity. 4. Produce a Gantt chart showing the timeline of the project’s activities. 5. Produce a histogram of all activities resource requirements. As noted by the project manager each activity needs at least one work crew. 6. Carry a resource leveling exercise to produce a smooth resource histogram. –Within the constraints of the critical path duration found- 3.1 Redrawing the diagram The figure 1(network diagram) below shows a simple example of network diagram and the calculation of time duration of the project using the forward pass and backward pass method of time management. It also exhibits the dependency of each task to be undertaken for the accomplishment of the project. Base on logical explanation, the predecessor task/activity should be

Thursday, July 25, 2019

Freedom of Movement in EU Essay Example | Topics and Well Written Essays - 1000 words

Freedom of Movement in EU - Essay Example Signed in 1992, the Maastricht Treaty provides that European citizenship confers on every European citizen a fundamental and personal right to move and reside freely without reference to an economic activity. The Treaty also provides for additional active and passive voting rights in European and local elections. Diplomatic and consular protection is also enhanced by giving the right to EU citizens to ask for the help of any Member State represented in a third Country if his/her own Member State is not represented there. Treaty of Amsterdam enforced on May 1999, extended the citizens rights and obligations by introducing a clause allowing EU institutions to take measures against discrimination on the grounds of sex, racial or ethnic origin, religion or belief, disability, age or sexual orientation. It reinforced the free movement of people by integrating the Schengen Convention into the Treaty. This also affirmed the commitment of each Member State to raise the quality and free access to education at national level to the highest level of knowledge possible with, in particular, the view to tackling unemployment. In 2001, the Treaty of Nice was sign facilitating legislation related to free movement and residence by introducing qualified majority for the decision-making in the European Council. The legal basis for the Freedom of movement for persons in the European Union is: Article 14 (7a) ECT: establishing the internal market, which includes the free movement of persons. Article 18 (8a) ECT: Union citizens have the right to move and reside freely within the territory of the Member States. Article 61 (73i) et seq: new Title IV, 'Visas, asylum, immigration and other policies related to free movement of persons'. The objectives for the Freedom of movement for persons and the abolition of controls at internal frontiers form part of the internal market in which it is not possible for internal frontiers to exist or for individuals to be hampered in their movements. Since its inception, the concept of the free movement of persons has changed in meaning so that while the first provisions on the subject referred merely to the free movement individuals considered as economic agents, either as employees or providers of services, it has gradually widened to take on a more general meaning connected with the idea of Union citizenship, independent of any economic activity or distinctions of nationality. This currently applies to nationals of third countries as abolition of control at internal borders allows people movements that could no longer be checked for nationality. The freedom of movement applies to goods, persons, services and capital, the so-called "four freedoms" but specifically under

Wednesday, July 24, 2019

The Pattern Matching Technique in Case Study Research Paper

The Pattern Matching Technique in Case Study - Research Paper Example Descriptive Case Study, pattern matching helps to determine its validity, on the condition that prior to data collection the predicted pattern of specific variables is defined. Moreover, pattern-matching being a predictive approach to intervention, it â€Å"specifies a post-intervention pattern of results/ incidents that would either show ‘effects’ or ‘no effects’†. In pattern matching, the data analysis phase begins at the preliminary stage of data collection. Testing the perceived patterns in the field is an advantage of this methodology. Data analysis would then consist of â€Å"pattern matching the collected evidence against the initially stipulated pattern†. For example, a case study conducted on educational reform can begin by conceptualizing some patterns regarding implementing improved curriculum and instruction, consequent redesigning of tests and assessments by basing them on the new curriculum and instruction methods, appropriately changed in-service opportunities for teachers, and also an altered preservice training system for new teachers. The researcher’s Case Study would determine whether this pattern of educational conditions had actually occurred, and the extent to which the conditions were clearly similar. In research, a pattern is an arrangement of occurrences, incidents, behavioral actions, or the outcomes of in terventions which occur as a series in time. Hypotheses are theories predicting a pattern of values of variables. In the pattern of a non-equivalent dependent variable design, the initially predicted value must be found for each element of a pattern of dependent variables. Another type is the pattern in a non-equivalent independent variables design, as derived from a typological theory. research validity.  

New York Project Essay Example | Topics and Well Written Essays - 750 words - 4

New York Project - Essay Example The 12 friends come from the city of Los Angeles and wish to go to the city of New York by flight. If they fly to New York using Delta Airlines they will have to pay a one way price of 33 US Dollars. For all of them, they will have to pay a total of 792 US Dollars for both journeys. The first show that they plan on seeing is a Broadway musical by the name, â€Å"After Midnight†. This musical celebrates the exuberance and glamour of Harlem’s Golden Age. It consists of Harlem’s most popular nightclub. The musical is performed by exceptional jazz at Lincoln Center All-Stars. This is an orchestra consisting of 17 world-class musicians carefully selected by Wynton Marsalis. Marsalis is a 9-time Grammy Award winner. The musical includes songs by Cab Calloway, Harold Arlen, Duke Ellington and their contemporaries. The stage performances and dances make it even more captivating. Charles Isherwood of the New York Times calls â€Å"After Midnight†, â€Å"a depiction of time-traveling back to the heyday of the Cotton Club as it moves through more than 25 songs from the jazz era.† Marilyn Stasio of broadways also describes it as, â€Å"stylized treatment of a midnight floorshow at a 1930s jazz club is gorgeously designed to showcase roof -raising performances from top-flight talent†. Watching the musical from the mid mezzanine section they will have to part ways with 70 US Dollars each. The second show that they plan on seeing is a play by the name, â€Å"The Accidental Pervert†. This play is a one man show, which tells a story about a boy whose journey into manhood begins when he starts watching his father’s X-rated videos. The videos eventually became an ever-present part of the boy’s life. The play depicts the videos to be having dirty contents with no redeeming value. The boy eventually finds redemption from the mess he put himself in when the gets a different perspective of life. This

Tuesday, July 23, 2019

Occupational Behaviour Assignment Example | Topics and Well Written Essays - 2500 words

Occupational Behaviour - Assignment Example utor to why Netflix continues to outperform competition and achieve substantially-high ratings from consumers who appear satisfied with its customer service practices. Based on careful analysis of the firm, its high pay structures and autonomous working environments are missing metrics to determine whether these policies are the genuine catalyst for organisational success and performance. Some research findings have discovered that pay systems are not always effective for achieving long-run job performance and that there are risks to providing too much autonomy. Based on all research and investigation into theory of organisational behaviour and even human psychology, as well as business theory, it is recommended to implement a 360 degree feedback appraisal system at Netflix and engage in the management-by-objectives ideology. These practices will give the firm a new ability to accurately measure true job performance and determine whether there is substantial return on investment for having such liberal HR policies. In order to maintain its reputation as a world class provider of superior customer service, Netflix seeks to hire only the most talented and motivated employees. HR-related perks include generous pay packages, seemingly unlimited vacation opportunities, a reduction of work rules and policies and considerable job role autonomy in order to attract and retain these high performers. This would, theoretically, provide considerable socio-psychological benefits that make employees more committed and motivated to achieve organisational goals. However, there is a potential plethora of problems with providing employees with perks such as the aforementioned to achieve job role performance. First, the case study did not indicate that Netflix has established a metrics system that would measure performance appropriately; a method of ensuring return on investment for these HR activities. Whilst Netflix believes that this will create a culture of commitment for the

Monday, July 22, 2019

Khaled Hosseini Essay Example for Free

Khaled Hosseini Essay At parties, when all six-foot-five of him thundered into the room, attention shifted to him like sunflowers turning to the sunTranslating a book into a movie can be a very elusive task for many reasons. This is due to the fact that a book has many key points in it and compressing them all into a certain time frame can be very challenging. Mark Forster’s adaptation of Khaled Hosseini’s novel the Kite Runner is a weak portrayal of what the author had originally wrote. The movie consisted of some bad casting choices. It also consisted of some significant and harmful cuts to the novel. Although the director’s intention to recreate a very well written story into a movie was a great idea, the author could have given more attention to some critical and important aspects of the novel. The directors casting choices changed some of the important traits, which took away the true understanding of the characters. In the book, Khaled Hosseini states that Hassan is a descendant of Mongol heritage, which was an indicator of his status in society. As a Hazara young Hassan’s actor in the movie, blended in with the rest of the actors, as he did look like a Mongol. Another obvious flaw in Hassan’s character in the movie was the fact that he did not have a harelip, which represented the fact that he was a Hazara and had no money for it to be replaced. Baba is also another great example of how the director made some bad casting choices for the movie. In the book Baba’s character was described as a strong, intelligent and intimidating man â€Å"At parties, when all six-foot-five of him thundered into the room, attention shifted to him like sunflowers turning to the sun†. While in the movie

Sunday, July 21, 2019

Prevalence Of Haemonchus Contortus Biology Essay

Prevalence Of Haemonchus Contortus Biology Essay Some house holds in cities depend on livestock keeping as a source of livelihood. Most urban farmers have resorted to keeping animals which require less space for example small ruminants since land in urban areas is a scarce resource. Uganda has a total of 5.2 million goats according to a report by the Uganda bureau of statistics. In mukono district, 2.9% of the agricultural households rear sheep and the total number of sheep reared is 4,530. Out of 100 households,44.22 of them rear 1 sheep, 47.99 rear 2-4 sheep, 5.78 rear 5-9 sheep, 1.55 rear 10-19 sheep, 0.42 rear 20-49 sheep and 0.04 rear 50-99 sheep.(UBOS report). 19.5% of the agricultural households rear goats and the total number of goats reared are 59,598. out of every 100 households,30.58 rear 1 goat, 57.85 rear 2-4 goats, 9.83 rear 5-9 goats, 1.38 rear10-19 goats, 0.28 rear 20-49 goats and 0.08 rear 50-99 goats .(UBOS report). Goats and sheep have numerous helminthes parasites, many of which are shared by both species. The most important include nematodes (roundworms), cestodes (tapeworms), and trematodes (flukes). 1.1 PROBLEM STATEMENT In Mukono abattoir the prevalence of Haemonchus contortus  (barber pole worm) in the goats and sheep slaughtered is not known yet these parasites affect the quality of meat. These parasites cause diseases and lead to emaciation of the animals thus affecting the quality of the meat. The parasites also cause economic loss to the farmers since an animal in poor health condition will fetch a small amount of money. 1.2 JUSTIFICATION Because Haemonchus contortus  (barber pole worms) cause diseases in goats and sheep, in order to effectively control these diseases it is of utmost importance to have a record on the prevalence of the parasite. Surveys in abattoirs are an excellent means of knowing the causes of prevalent ruminant diseases in an area. (Adoun., 2012) 1.3 OBJECTIVES 1.3.1 OVERALL OBJECTIVE To establish the prevalence Haemonchus contortus (barber pole worms) in goats and sheep slaughtered in the abattoir and how it can be controlled. 1.3.2 SPECIFIC OBJECTIVES To know the prevalence of barber pole worms in goats To know the prevalence of barber pole worms in sheep 1.4 HYPOTHESIS The prevalence of Haemonchus contortus (barber pole worms) in goats and sheep in mukono abattoir is not high. CHAPTER TWO 2.0 LITERATURE REVIEW 2.1 Haemonchus contortus (barber pole worms) in goats and sheep Gastrointestinal nematodes, commonly known as worms, present the greatest danger to the goat and industry .Haemonchus contortus, commonly referred to as the barber pole worm, is a clinical problem for goats sheep. (Maria Lenira Leite., 2006) It gets its name due to the barber pole appearance consisting of the white ovaries that twist around the red blood filled gut.( Jim Miller  .,2000) Haemonchus contortus  is cylindrically shaped, tapered at both ends, and has a complete digestive system. This voracious bloodsucking parasite causes anaemia and bottle jaw and has a tremendous capacity to reproduce through egg-laying. (Lynn Pezzanite et al.,) The larvae and the adults cause small haemorrhages at sites of the abomasal mucosa where they feed. The ingesta may be reddish brown and fluid. Worms may either be attached to the mucosa or free in the lumen. (Love and Hutchinson.,2003) Anemia, low packed cell volume (PCV), diarrhea, dehydration, peripheral, and internal fluid accumulation are common signs of barber pole worm infestation. Infested goats and sheep have lower growth rates, reduced reproductive performance, and are susceptible to diseases that eventually lead to death.  Haemonchus contortus  may consequently account for a great reduction of profits in small ruminant operation. (Maria Lenira Leite., 2006) 2.2 Distribution the occurrence and prevalence of barber pole worms is determined by the climatic conditions of the area. The development of eggs and larvae is limited to areas and seasons where pastures are moist during the warm months of the year. However, the larvae can survive on pasture for some time, particularly during cool conditions, and can affect sheep outside the favorable periods for development. (Dr Brown Besier., 2011) 2.3 Factors that contribute to barber pole worm infestation in goats Environment with high temperatures, humidity, and rainfall Genetic make-up of goats makes them highly susceptible Resistance to anthelmintics as a result of excessive usage 2.4 Life cycle The worms occur in the abomasum or fourth stomach of sheep and goats. They are up to 3 cm long. The life cycle is typical of roundworms of sheep. Adult worms lay about 5000 eggs which pass out in the faeces of the host. Barbers pole worms are the highest egg producers of all sheep worms. The eggs hatch within a few days, and microscopic larvae emerge. They migrate on to the pasture, where they may be ingested with the herbage grazed by sheep. In the sheeps gut, larvae develop to adult worms in about three weeks. (Dr Brown Besier., 2011) If the worm enters the survival stage of arrested development, it could survive for months. Arrested development involves the larvae remaining in the abomasums of the animal without maturing until months afterwards. This allows the worm to survive the winter months when the egg and larvae do not thrive well on the ground. The survivability of the free-living stage of H. contortus is short; in fact, most infective larvae vanish from the pasture within 4-6 weeks in a wet tropical environment (Waller, 2004). 2.5 Signs of the barber pole worm infestation in goats and sheep Diarrhea Dehydration Unthrift appearance, rough hair coat, depression, low energy, and lethargy. Significantly reduced growth and reproductive performance Fluid accumulation in sub-mandibular tissues (bottle jaw), abdomen, thoracic cavity, and gut wall Blood loss, white mucous membranes, and anemia. (Maria Lenira Leite., 2006) 2.6 Effects of barber pole infestation in goats and sheep Haemonchus  suck blood from the lining of the stomach, causing anaemia. Animals with heavy infections of  Haemonchus  lack stamina, have pale gums and conjunctiva, and may also have bottle-jaw or constipation. Sheep and goats with lighter burdens have a gradual onset of weight loss and loss of colour in the gums and conjunctiva If present in large numbers,  Haemochus  can kill goats and sheep. In these animals large, red masses of worms are clearly visible in the stomach. The stomach contents are often brown because of bleeding from the stomach lining and the lining has pin-point blood spots on it. The blood of the goats and sheep is watery due to anaemia. In animals with lighter infections worms are present in the stomach, but the lining of the stomach looks normal. 2.7 Risk factors for Haemonchosis in goats and sheep The likelihood of haemonchosis outbreaks is extremely difficult to predict, and varies from one year to the next. (Dr Brown Besier., 2011) The risk factors include; 2.7.1 History of occurrence The best guide to the likelihood of an outbreak is the previous history of haemonchosis on the individual farm or in the district, and how this varies with seasonal conditions. 2.7.2 Weather and season Barbers pole worm larvae need warm conditions and moisture on the ground to develop. The risk of haemonchosis outbreaks is increased in tropical weathers. 2.7.3 Pastures Barbers pole worm can survive where pasture remains green over summer. Typical situations include perennial pastures and areas of moisture along creeks and around troughs and seepage points. Irrigated pastures pose an especially high risk. 2.7.4 Type of animal Sheep and goats with a low or impaired immunity to worms have a greater risk of haemonchosis. This includes lambs and kids for two to three months after lambing. (Dr Brown Besier., 2011) 2.8 Management practices that can be used to control barber pole populations in goats and sheep Avoid grazing goats and sheep on less than 3 inches of pasture canopy. Larvae are unable to climb higher than this on the grass and thus will not be ingested. Increase use of browse in grazing systems. Parasite larvae cannot climb up onto browse so goats dont ingest them. Rotate species on pastures. For example graze cattle or horses behind goats and sheep. Because parasites are species specific, when a cow or horse ingests a goat parasite it simply dies without causing damage. Do not feed on the ground. Elevated feeders help to eliminate fecal contamination and thus parasite transmission. Make sure that water and mineral sources are not contaminated with feces. Allow pastures to rest for at least one year before allowing animals back on them. Larvae will have a hard time surviving that long without a host and therefore the pasture will be relatively worm-free. Utilize annual forages in your pasture systems and till the ground between crops. The act of plowing tends to kill or disrupt the larvae and eggs, reducing transmission. Additionally, annual forages tend to do best when grazed at higher levels (4 to 6 inches of canopy). (Jackie Nix., 2006) Control programmes for Haemonchus contortus in goats and sheep Prevention, rather than cure, is the philosophy used in developing control programs against gastrointestinal nematodes. It must be assumed that worms cannot be eradicated but may be limited to the extent that they will not cause serious economic loss to the producer. A combination of treatment and management are necessary to achieve control. Several approaches to the use of anthelmintics are considered. (Thomas M. Craig., 1999) Strategic The strategic approach is the use of an anthelmintic at a time when most of the total worm population is within the host and not on the pasture. This approach can be used when the animals are moved from a contaminated pasture to a nearly parasite free pasture. Tactical When weather conditions have been favorable for the transmission of, eliminating worms from the gastrointestinal tract before they have the opportunity to reproduce and further contaminate the environment is a tactical approach. The timing of tactical deworming may be based on recent rain or it may be based on increasing fecal egg counts. Individual Treatment of wormy individuals may prove to be a worthwhile endeavor especially where resistance to anthelmintics is widespread. Individuals in a flock will have a higher egg excretion count than the average. This over-distribution of the parasite population can be lessened by the selective treatment of wormy individuals or by the removal of these individuals from the flock. Salvage Salvage (treatment to save lives, not control parasites) is why anthelmintics are frequently used in small ruminants. This is treatment in the face of disease; the animals are frequently anemic, have bottle jaw or diarrhea due to the effects of worms. Whatever the case, animals may be in desperate straits and even if they have the genetic ability to resist worms, they will be overwhelmed. Although anthelmintics may remove thousands of worms from each of the treated animals, the pastures from which they came have billions of larvae awaiting ingestion. Under these circumstances, treatments at 2 to 3 week intervals may have to be practiced until weather conditions are no longer favorable for transmission. Pasture Rotation Pasture rotation may decrease parasite numbers in deferred grazing systems where a pasture is rested for at least 6 months during the cool or 3 months during the warm part of the year. (Thomas M. Craig., 1999) Small ruminant production in Uganda There are about 400 million goats in the world, with Africa accounting for 67%. In East Africa, Kenya has a goat population of 6.4 million, Tanzania 4.3 million and Uganda 3.9 million. One method of increasing the number of goats and sheep is to select for twinning traits within a population. The twinning rate of East African goats is 30% and triplets occur at the frequency of 2%. Goats have a unique feeding characteristic of browsing which accounts for 60% while the grazing preference is only 40%. Goats and sheep make an important contribution to the subsistence subsector of the economy of Uganda and, indeed, of many countries in Africa. Over one million goats and sheep are slaughtered and consumed annually for meat. The skins contribute substantially to foreign exchange earnings as well as permitting import substitution for use in the local tannery and leather craft industry of Uganda. Locally the skins are used extensively in traditional techno culture. They are used notably in the making of mats, covering handles of tools (knives, dancing costumes, ropes, drums and shields) and covering ornamental articles. Footwear, strings and specific musical instruments are also made from skins. Exotic goats of the Toggenburg and Anglo-Nubian breeds were imported to Uganda for cross-breeding with local goats with a view to enhancing milk yield and meat production in the offspring. In the early 1960s exotic wool sheep were introduced into Uganda and were bred on Government farms with the objective of assessing their ability to survive, reproduce and produce wool and meat in Ugandas climatic, technical and management environment. Exotic sheep, goats and their crosses with indigenous stock are more susceptible to helminth infection than the local breeds. Therefore every care should be taken to institute an effective regime of preventive measures comprising adequate rotational systems of grazing coupled with strategic prophylactic cover and all reinforced by regular chemotherapeutic preventive treatments. (Nsubuga) Breeds of goats In Uganda there are three distinct breeds of goat reared for meat production. The commonest type is the smallest of the three and can be described as the Small East African (SEA). Its mature live weight is 20-25 kg. It occurs extensively in northern and eastern short savannah ecological areas and the drier areas of Buganda in the northern parts of Luwero and Mukono districts (Buruli, Bulemezi and Bugerere). The second type is described as the Mubende goat. This is a large animal of 30-35 kg live weight. It is renowned for its popular skin on the international market. The skin is called Kampala skin in trade circles. This breed is concentrated in the Mubende District. The third type falls in between the first two in live weight, 25-30 kg. Its typical ecological niche is in Kabale, Kisoro and Rukungiri in Kigezi District. It is referred to as the Kigezi goat. (Nsubuga) CHAPTER THREE 3.0 MATERIALS AND METHODS 3.1 Study area Mukono abattoir is located in Kyetume Mukono district. 3.2 Study Population and Sampling Technique: The study populations will be sheep and goats of different ages and body conditions brought from different parts of the country to the abattoir for the purpose of meat production. Simple random sampling method will be used to select the study units. (Sintayehu and Mekonnen., 2012 3.3 Study Type and Sample Size Determination: A cross sectional study will be used to determine the prevalence of Haemonchus contortus infestation in sheep and goats slaughtered at Mukono abattoir in 2012. To calculate the total sample size, the following parameters will be used: 95% level of confidence (CL), 5% desired level of precision and with the assumption of 50% expected prevalence of barber pole worms, the sample size will be determined using the formula given in Thrusfield. n =1.96 Pexp (1-Pexp) d2 n = required sample size Pexp = expected prevalence, d = desired absolute precision Therefore, based on the above formula the total number of sheep and goats will be calculated. (Sintayehu and Mekonnen., 2012) 3.4 Study Methodology 3.4.1 Study animals The study will be carried out on 400 sheep and adult goats of four breeds from various regions of mukono district. (Gorski et al., 2004) 3.4.2 Post Mortem Examination: The abomasum of slaughtered animals which will be selected to be sampled will be inspected for the presence of barber pole worms. (Sintayehu and Mekonnen., 2012) 3.5 Data Analysis: Percentages to measure prevalence and Chi-Square (x2) test will be employed to measure association between the parasitism and species of the animals, age, origin and body condition. The worms will be estimated as mean number of worms with respective standard deviation of mean and range (Maximum- Minimum worm) in each species. The data will be analyzed using statistical packages MINTAB software Version 16 and SPSS for windows. In all analyses, Confidence level will be held at 95 % and P

Saturday, July 20, 2019

Phoenician Society: Role of Seafaring and Maritime Knowledge

Phoenician Society: Role of Seafaring and Maritime Knowledge Discuss the role of seafaring and maritime knowledge within Phoenician society and its expansion. Introduction. As a people the Phoenicians endured for some three thousand years and were already flourishing by 3,000 B.C. but it was not until about 1100 B.C., with the demise of the existing dominant peoples in the area, that the Phoenicians came to the fore as a significant force. From this time, until around 600 B.C., they dominated the Mediterranean by trading and establishing colonies one of the most important being Carthage. The success of their culture seems mainly to have been due to the proximity of the Mediterranean that encouraged dependence on seafaring and trade. Indeed, as Holst[1] indicates, international trade formed part of the guiding principles on which the Phoenician civilization was founded that also included a commitment to resilient partnerships, peaceful settlement of disputes, equality, privacy, religious freedom and respect of women. Although the majority of Phoenician trade was initially land based, a significant amount began to take place by sea[2] testified by the we alth of Tyre that, along with Byblos, Sidon, Arados and Simyra, were the main home-based Phoenician sea ports. Initially, Phoenician sea trade was mainly with the Greeks involving glass, slaves and Tyrian purple dye made from a sea shell called Murex and textiles coloured with such dyes formed one of the main Phoenician exports. Most of the major Mediterranean countries were involved in trade with the Phoenicians that included such commodities as cotton, timber, wool, precious stones, embroidery, wine, corn and various other foodstuff including spices whereas countries as far away as Spain traded metals such as tin, iron and lead.[3] The Importance of Trade Trade and colonisation originally centred on bartering indigenous timber as well as fishing skills, the latter of which is thought to have provided the competence for later seafaring abilities.[4] The far reaching sea trade of the Phoenicians took two forms – with existing Phoenician colonies and countries in navigable reach. The colonies provided a means by which the home country could be assured of supplies of goods deemed essential. In this respect, Cyprus became a colony to ensure the supply of wood and copper, Sardinia and Spain for useful metals. In return for such goods, Phoenicia supplied such finished items as cotton and linen, pottery, ornaments, weapons, and glass. It was not, however, just with the Mediterranean that trade occurred but also with the Propontis and ports within the Black Sea.[5] The dominance of Phoenicians in seafaring has not gone without criticism however as early reports of such supremacy in Homer’s Odyssey, and also by Herodotus, has been viewed by some modern commentators as erroneous.[6] The extent of Phoenician preeminence in this respect seems to have been settled by Bass’s underwater excavations of the Cape Gelidonya wreck that highlights the extent of Phoenician trade.[7] The archaeological evidence from this excavation seems therefore to support the dominance of Phoenician seafaring from 1200 B.C. onwards. The recent discovery of two exceptionally large Phoenician merchant ships adds further substance to this view.[8] It is probable that the Phoenician maritime empire was preceded by trade with various outposts throughout the Mediterranean or otherwise began as safe anchorage points along the coast.[9] It was only later that these places became colonies set up to protect Phoenician interests that required ships of war which, unlike merchant vessels were employed all year round,[10] to protect both colonies and trade routes. The Phoenician character of many of these ports was lost due to the rise and dominance of other powers such as the Greeks and Romans that has masked the extent of Phoenician influence. Importantly, trade by sea was linked to specialist product areas that otherwise would not have come together that allowed the Phoenicians to establish a rate of exchange to their advantage.[11] Transportation of various metals available in the western Mediterranean by sea, such as Spanish silver, thus allowed the Phoenicians to link the demand in the east, from countries like Assyria etc., to the raw material centres of the west. The Phoenicians also took advantage of turning the raw materials transported from the west into quality refined goods to be later exported. These products, because they tended to be more refined and better quality than what most other countries could supply, were therefore much sought after and such goods have been found in western ports such as Carthage.[12] Moreover, the direct sea route through the Mediterranean provided the best means of direct and efficient transport of materials and products and the extent of this trade along the Mediterranean is confirmed by the fact that Phoenician coins came to be manufactured in Tyre from the fifth century B.C. onwards.[13] The Extent of Phoenician Trade Links It is thought that the growth in Assyrian power and pressure on the coastal cities first led the Phoenicians to turn to seafaring.[14] In this respect, Assyrian power is thought to have blocked access to resources to the east to the extent that the Phoenicians were obliged to turn west towards the Mediterranean for raw materials.[15] Others, however, contend that it was the growth in Assyrian wealth and power that stimulated Phoenician interest in Mediterranean seafaring because of the increased demands for products.[16] This could have likewise been hastened by the economic growth and increased demand of Tyre and other Phoenician ports for raw materials. It is likely, however, that rather than one factor there was a set of interrelated events involving political, historical, economic criteria that led to the Pheonician exploitation of the Mediterranean. Indeed, Tyre and associated ports were ideally situated to act as a conduit through which the products and resources of the Mediter ranean and countries to the east could be exchanged.[17] Moreover, a massive investment in time and resources would have been required to mount expeditions throughout the Mediterranean by sea that suggests Tyre was economically and politically secure. The exploits of the Phoenicians in the Mediterranean should not be viewed as exploration as most of the main sea routes had been charted during the Bronze Age. Rather the Phoenicians were able to use and improve their maritime skills to become the dominant force in the Mediterranean for six hundred years. Yet, there are reports that they ventured much further afield which suggest exploration was part of a general outlook. For example, Herodotus reports that they sailed down the Red Sea to circumnavigate Africa returning via the Straits of Gibraltar.[18] Some even propose that they may have voyaged as far as southern Britain to acquire Cornish tin but this was probably based on indirect rather than direct trade.[19] In this respect, reports of a tin ingot discovered in a Cornish harbour similar to those of ancient Crete remain controversial.[20] The Veneti of Brittany may also have actually been Phoenicians who controlled the trade route to Britain and were thought to be adept seafare rs. The control of trade routes seems to have been a characteristic of Phoenician dominance in that this allowed more exclusive access to resources around and outside the Mediterranean that helped to reinforce Phoenician power. The interest in regions outside the Mediterranean is supported by the notion that some coastal ports such as the present Portuguese port known as Peniche is claimed to derive from the Greek for Phoenicia.[21] Moreover, there are many Phoenician remains to be found along the Portuguese coast.[22] Such exploits beyond the Mediterranean may have partially been encouraged by the fact that the Greeks had prevented Carthage from gaining access to the home ports.[23] Indeed, it may have been the rise in Greek power that led to Carthage becoming such an important city port for the Phoenicians in the central Mediterranean and could have been a factor leading, in the 8th century B.C., to Carthage succeeding Tyre as the main Phoenician city. There is also some evidence that the Phoenicians may have even reached some of the Atlantic islands such as the Azores and Canaries.[24] Ultimately, it was the rise in Greek power in the east, the barrier of the Atlantic in the west and the rise of Rome that bought an end to Phoenician power.[25] In sum, the Phoenician influence along the Mediterranean coastline appears to be both a consequence of great initiative and impressive seafaring skills that was instigated by the promise of trade and pressures from the rise in other Mediterranean powers to the east. Types of Boats The initial attempts in seafaring by Phoenicians are thought to have been quite crude based on travel between islands by means of rafts followed by more sophisticated but still crude sailing vessels inspired by the need to fish.[26] The first boats seemed to have consisted of a keel, a rounded hull and a raised platform for the steersman with the oars intersecting the bulwark.[27] This formed a template for a subsequent craft where four upright rowers operated curved oars in a boat that lacked a rudder with a mast held aloft by two ropes secured at the front and rear of the vessel. The mast, however, seems not to have been used for a sail, but to support a viewing structure from which an archer or other attacker was able to launch missiles. From this, a larger vessel evolved with a low bow and raised stern with a rudder with a pointed prow and oars on each side of about fifteen to twenty in number that the Greeks referred to as triaconters and penteconters that are represented on coi ns but were shown without a mast so must have been a type of refined rowing boat. Around 700 B.C. further advances occurred in ship construction in that, instead of being situated on one level, rowers were now placed on two levels thus doubling the number of oarsmen. These vessels were known as â€Å"biremes† by the Greeks and incorporated two steering oars issuing from the stern some with a mast and yardarm to support a sail that came in two forms one designed for war, the â€Å"long ship†, and another, with a more rounded prow used for the purpose of trade.[28] Inspired by the Greek example, the Phoenicians also went on to develop their own version of the trireme with three levels of rowers.[29] The size of these vessels can be gauged by the fact that the top level consisted of 31 rowers.[30] The Phoenicians have also been credited with inventing both the keel and ram as well as the caulking of planks with bitumen though some believe that the ram or beaked prow is said to have been adopted by the Phoenicians from the Mycenaeans It was the use of an adjustable sail, more oarsmen and a double steering oar that led to increased speed and manoeuvrability allowing the furthest points of the Mediterranean to be reached and it was the round-shaped merchant ships called â€Å"gaulos† that was mainly relied on in this respect.[31] Such innovations to ship construction illustrate the commitment of the Phoenicians to seafaring and their seafaring skills were so renowned throughout the ancient world that Phoenician ships and sailors were often co-opted into foreign war fleets.[32] Navigation The Phoenicians are thought to have invented the art of navigation. They used oars when there was little or no wind and large square sails at other times. Although they obviously practiced coastal navigation, the distribution of ports indicates that more long distance open sea voyages were also undertaken.[33] The fact that the Phoenicians had important centres at Sardinia, Sicily and Ibiza suggests that they often sailed the high seas. This would have involved extended periods at sea essential for the effective transportation of goods. They would probably, however, have employed short coastal journeys to travel from one port to the next but relied on deep sea navigation for longer voyages[34] and in places like the Aegean, with the many islands and dangerous currents, oars would have been used rather than sails. It is thought that the Phoenicians were also able to sail at night and used the Pole star and knowledge of astronomy for navigation. This knowledge along with the fact that , given favourable viewing conditions, land is nearly always visible anywhere in the Mediterranean -allowed the Phoenicians to use their seafaring skills to good effect. Conclusion The Phoenicians obviously depended on seafaring skills in order to extend trade links and their influence throughout the Mediterranean and beyond. This seems to have gone hand in hand with a need to develop more sea worthy vessels and navigational abilities to venture further into the open seas. Evidence from historical documents, such as found in Herodotus and others, indicate the extent of Phoenician maritime skills that evolved in tandem with the foundation of ever distant colonies and trading outposts. These skills seem to have been further encouraged by the advantages that came from the home ports being located where raw material from the west, which were in demand by countries in the Levant, could be traded for finished products. The Phoenicians were able to exploit this further by producing high quality manufactured goods that were exported to all areas thus increasing their economic power and wealth that allowed more sophisticated ships to be built for longer voyages. This te ndency is reflected in the progressive growth in Phoenician influence and colonisation from east to west from about 12,000 B.C. onwards. Trade went first, however, with colonisation following when the opportunity arose. Ultimately, however, Phoenician influence may have declined in the Mediterranean due to an over-reliance on seafaring that was unable to compete with more land based powers. In other words, their greatest strength eventually became their greatest weakness. Bibliography Aubert, M. E. (2001) The Phoenicians and the West – Politics, Colonies and Trade. Cambridge University Press: Cambridge. Boardman, J. Edwards, I. E. S., Hammond N. G. L. (1991) ‘Preface’ in, The Assyrian and Babylonian Empires and Other States of the Near East, from the Eighth to the Sixth Centuries B.C. Cambridge University Press: Cambridge. Basch, L. (1969) Phoenician Oared Ships. The Mariner’s Mirror. 55, pp. 139-162. Barnett, R.D. (1958) Early Shipping in the Near East. Antiquity 32 (128): pp. 220-230. Bass, G. F. (1972) A History of Seafaring based on Under-water Archaeology. Walker Company: London. Boucher-Colozier, E. 1953. Cahiers de Byrsa III, 11. Casson, L. (1971) Ships and Seamanship in the Ancient World. Princeton University Press: Princeton. Culican, W. (1991) ‘Phoenicia and Phoenician colonization.’ In The Assyrian and Babylonian Empires and Other States of the Near East, from the Eighth to the Sixth Centuries. B.C. J. Boardman, I. E. S. Edwards, N. G. L Hammond, editors. (Cambridge University Press: Cambridge) pp. 461-545. de Sà ©lincourt, A. (1959) The Histories (Herodotus). Penguin: Harmonsworth. Diodorus Siculus. (1935) Library of History. C. H. Loeb Classical Library. Harvard University Press: Cambridge, MA. Frankenstein, S. 1979 ‘The Phoenicians in the Far West: a function of Neo-Assyrian imperialism. In, Power and Propoganda. A Symposium on Ancient Empires. M. T. Larsen, editor. (Akademisk Forlag: Copenhagen) pp. 263-294. Guthrie, J. 1970. Bizzare Ships of the Nineteenth Century. Hutchinson: London. Grayson, A. K. (1991) Boardman, J. Edwards, I. E. S., Hammond N. G. L. (1991) ‘Assyrian Civilization’. In The Assyrian and Babylonian Empires and Other States of the Near East, from the Eighth to the Sixth Centuries B.C. J. Boardman, I. E. S. Edwards, N. G. L Hammond, editors. Cambridge University Press: Cambridge. pp. 194-228. Greenberg, M. (1997) Ezekiel 21-37: A New Translation with Introduction and Commentary. Anchor Bible, Vol 22A. Doubleday: New York. Harden, D. (1948) The Phoenician on the West Coast of Africa. Antiquity. 22: p. 147. Harden, D. (1962) The Phoenicians. Thames and Hudson: London. Harrison, R. J. (1988) Spain at the Dawn of History: Iberian, Phoenicians and Greeks. Thames and Hudson: London. Hencken, O’Neil. H. (1932) The Archaeology of Cornwall and Scilly. Methuen: London. Hill, G. F. (1910) Greek Coins of Phoenicia. British Museum. Holst, S. (2005) Phoenicians: Lebanon’s Epic Heritage. Cambridge and Boston Press: Los Angeles. Moscati, S. and Grassi, P. (2001) The Phoenicians. I.B. Tauris: London. Perrot G. and Chipiez, C. (1893) Histoire de lArt dans lAntiquità ©. Hachette: Paris. Rawlinson, G. (2004) History of Phoenicia. Kessinger:Montana Tilley, A. (2004) Seafaring on the Ancient Mediterranean. BAR International Series. 1268. Archaeopress/J. and E. Hedges: Oxford. 1 Footnotes [1] Holst, 2005 [2] See, for example, Judgement of Ezekiel 26-1– â€Å"Judgement on Tyre† in Greenberg, 1997 [3] Perrot and Chipiez, 1893 [4] Culican, 1991 [5] Tilley 2004 p. 76 [6] Tilley, 2004; p. 77 [7] Bass, 1972 [8] Tilley, 2004; p. 78 [9] Harden, 1962; p. 158. [10] Moscati and Grassi, 2001; p.85. [11] Harrison 1988; p. 42 [12] See, for example, Boucher-Colozier, 1953 [13] Hill, 1910 [14] Frankenstein, 1979 [15] Aubert, 2001; p. 70 [16] Culican 1991; p. 486 [17] Harrison, 1988 [18] see de Sà ©lincourt, 1959 [19] Harden, 1962; p. 171 [20] Hencken, 1932. [21] Guthrie, 1970; p. 103 [22] Tilley, 2004; p. 80 [23] Harden, 1962; p.171 [24] See, for example, Diodorus Siculus 1935 v. 20; Harden, 1948 [25] Boardman et al. 1991; p. xvi. [26] Rawlinson,; 2004 p. 122. [27] Ibid. [28] Perrot and Chipiez, 1893; p. 34 [29] Basch, 1969 [30] Casson, 1971 p. 95 [31] Barnett, 1958 [32] Grayson,1991; p. 220 [33] Aubert, 2001; p. 167 [34] Moscati and Grassi (2001); p. 84

Lewis is portrayed as a nice character but maybe a bit nervous as he :: Free Essay Writer

Lewis is portrayed as a nice character but maybe a bit nervous as he did wish Morse a Happy Christmas even though Morse has been quite horrible. Morse's Greatest Mystery The first impression the reader gets of Morse is that he can appear rather moody. â€Å"Morse banged down the receiver and sat silent† This suggest Morse is fed up with the bank because they are not telling him things .He slams down the receiver which shows he I taking his anger out on other things and he sits in silence maybe to reflect over his thoughts. Clearly, he is very angry and that is why Lewis acts nervously around him because he does not want the blame taken out on him. Morse can be portrayed as aggressive. â€Å" . . . . . . These bloody bank charges † This shows Morse using aggressive language to cope with bad news. People use bad language as another form of an expression of anger or frustration. Morse appears quite angry about his bank accounts so maybe he has been in debt before and something bad has happened. As readers, we get the impression that he is violent and angry which makes him quite a vicious character. Morse appears a bit of a loner. â€Å". . . . . . Morse’s North Oxford flat† This suggests Morse lives on his own in his own flat and through out the passage it never mentions a wife or partner. It seems Morse does not have much of a social life, which is unusual, as this time of the year is usually spent celebrating. Clearly, he is too wrapped up in his work to have a social life. We understand from this story the person he spends most of his time with is Lewis .So that explains why towards the end of the passage they wish each other Happy Christmas even though Morse is not very inclined to show his feelings as he just whispers it back. A different aspect of Morse that we pick up from this story is he can be kind â€Å". . . . Its about the  £400 you withdrew† So this extract shows Morse actually took the  £400 that had been stolen out of his own bank account to give to the hospital. But put it in an anonymous envelope and sent it to Lewis. Morse can be a nicer person and will go to his own expense to help other people. Maybe he did it because he wanted the children at Littlemore to have a good Christmas and a good life because he does not enjoy his.

Friday, July 19, 2019

New Yorks Governments Response to Influenza Outbreak :: Journalism Media Studies Spanish Flu Essays

New York's Government's Response to Influenza Outbreak NEW YORK CITY (September 22):--Forty-three new cases of Spanish influenza were reported yesterday throughout the greatly afflicted state of New York. Of these new cases, eighteen were in Brooklyn, three were reported in the Bronx, eighteen in Manhattan, and four were reported in Queens. There appears to be little progress for New Yorkers and East Coast Americans in general, in their attempt to quell the spread of the disease. As such, public fears continue to be heightened by a steady increase in the number of both the infected and the deceased persons who have been subjected to this outbreak of Spanish influenza. In response to this latest outbreak, the United States government has been monitoring the increasingly grave statistics that have been pouring into the national office of the Public Health Department. 1 United States Surgeon General Blue, an obviously key figure in the American government's attempt to treat and eradicate the influenza, informed reporters yesterday that a more stringent plan for combating the disease had become necessary and that therefore he was announcing the immediate implementation of such a plan. Said the Surgeon General, "The people of New York are in great need of further assistance than that which local authorities are currently capable of providing. Hospitals throughout the state are inadequately staffed for the huge number of patients they are receiving, and as such many a hospital is filled beyond capacity with countless influenza patients. We as a government must take stronger measures to inform the public of the dangers of Spanish Influenza, instruct them as to how to decrease their risk of contracting the illness, and must also allocate more funds to the U.S. Health Department so that it may better aid New York's overworked medical staffs." 2 The Surgeon General next proceeded to caution the public against falling victim to mass hysteria over the currently rampant influenza scare. When asked by a local reporter as to whether U.S. scientists were making any progress in determining the cause of the current outbreak, Surgeon General Blue was quick to acknowledge the fact that many cultures from influenza patients are currently being studied in various laboratories throughout the United States. More significantly, the Surgeon General announced that a new microorganism had recently been discovered, which scientists hope will prove to be the culprit for the U.

Thursday, July 18, 2019

Roles and Responsibilities of Teacher

Unit 008 :Roles ,Responsibility and relationship in lifelong learning. This assignment is about the role and responsibility of teachers in lifelong learning. In order to teach in lifelong learning, a teacher will need different tools, support, understanding and above all a good knowledge of teaching codes of practice. As with all professions, teaching has to be done within the boundaries of the law to achieve a safe learning environment for the student. The legislations are very important to safeguard the teacher, student and adult learners.For example the Health and Safety at work act (1974) (Gravells, 2008, p. 19)is about the safety of the student and teacher. It is crucial for the teacher to ensure all learners are aware of their safety procedures at the beginning of any course. Furthermore, a risk assessment is carried out by the teacher, to reduce any risk on the premise. For example, when a teacher is carrying an experiment which includes heating, the teacher ensures students a re wearing safety goggles. ’The Disability Discrimination Act(1995 and onwards), which has been enforce to ensure nobody is discriminated against irrespective of disability(physical or mental ), gender, religion ,age, ethnicity, sexual orientation or social (domestic circumstances)’’ (Wilson, 2008, p. 20) In order to implement the above legislation, a teacher needs to assess what the requirements of his/her learners’ are, and how they could be supported. A teacher has to make sure that every learner has equal opportunities to access the learning experience. Similar essay: PTLLS Assignments Examples FreeFor example someone who lip reads, the teacher needs to speaks very clearly and avoids standing in darker area which will make it difficult for that particular learner to lip read. For example a learner who uses wheelchair, prior to the course, the teacher ensures the learner has access to all facilities without any problem e. g. a ramp is installed outside the room. At this point the teacher would require internal support services to install the ramp. Data Protection Act (1988) (Wilson, 2008, p. 20), each learner has their own file which holds personal and confidential information (address, contact details and medical history).These files are kept in a safe and secure place in a filing cabinet, which restricts sharing of data. The teacher should be a good team player to encourage and welcome people’s differences and use these qualities to broaden the learning experience. Teaching in a simple language helps the learners to understa nd the concept easily as for most learners’ English is not their first language. The teacher needs to ensure that learning tools like handouts are unbiased and exclude inappropriate comments from the classroom. It is important for a teacher to practise equality and diversity effectively so as to have a maximum impact on the learners.A good teacher needs to tailor their lessons according to learners’ needs and requirements; this is known as inclusive learning. ’’By inclusive learning we mean the greatest degree of match or fit between how learn best, what they need and what is required from the sector, a college and teachers for successful learning to take place’’ (Tomlinson, 1996, p. 200) . These qualities should be within a teacher, which is gain by using the teaching training cycle. The training cycle has five stages which are identifying needs, planning and designing, delivering, assessing and evaluating.A teacher must be certain of his/h er role, responsibilities and boundaries within these stages. During the initial stage of identifying needs and planning, the teacher will identify the needs of his/her learners (Yvonne Hillier,, 2005, p. 61). Firstly, by assessing any physical needs like wheelchair users. A questionnaire can also be used, to find out learners aim, previous experience, learner background, preferred learning style. The teacher would keep the questionnaire in a safe place and ensure no details are left on desks. Also make sure this confidential information is not available to anybody.Some learners’ needs may exceed what the teacher can offer; at this point the teacher will refer the student to another professional. For example, someone who has literacy needs, the teacher would refer the learner a literacy teacher to address his/her needs. During designing phase of the lessons, a teacher’s responsibility is to provide high quality materials example handouts, tutorial and games which will motivate and increase concentration in learners and facilitate learning. Thus, resources should be relevant and easy to access within the premises. The next stage is the delivery of the session.The teacher will ensure that the learners’ are equally involved and engaged in all the activities in order to facilitate the learning by using different learning tools and style . The lessons should be well-structured, clear aims established to ensure that lessons run on time. It is a teacher’s responsibility to establish a good professional relationship with the learners, so that they are comfortable asking any help for learning. Stay within boundaries so that the teacher should not be over friendly, and should always maintain a professional relationship.Avoid touching / leaning across learner during an explanation. In the assessing phases, the teacher ensures the lessons objectives are clear to the learners and check their progression. For example, quizzes can be organised to check the learner’s achievement and development feedback from learners will identify the development areas. However, the teacher should not set task which is not link directly to learning objectives. Among the duties of a teacher in the Lifelong Learning sector, the teacher also has to undertake responsibilities towards the other professionals in the organisation.One of the principal responsibilities as a teacher is to remain within the teaching code of practice. The collaboration between teachers and other professionals is important to maintain smooth running of the organisation. Good communication between professionals ensures that learners are getting the most efficient and effective support. The teacher will need to consult other professionals when needs exceeds his/her boundaries. For example, if a learner has not been able to finish his assignment on time and the reason could be financial problem.The role of the teacher should also include maintaining a safe and appropr iate learning environment to facilitate the learners. For example, before the start of the lesson, the teacher needs to ensure that the classroom layout is safe and accessible to all learners. To implement a safe environment, ground rules are set. Ground rules within a class, is a mutual agreement by the tutor and learners who attend the class. There are three ways of setting ground rules: teacher imposes, learner imposes or through negotiation. The ground rules can be promoted by displaying on the wall of the classroom, video or even by using pictures.

Request to Conduct Research

HLM rottervass Lines has been under intense media scrutiny as of late due to our unethical be render of releasing untreated sewer water into the marines. As the worlds second largest canvas company, it should be our calling to protect the waters upon which we sail. Therefore, I would kindred to be released from my period duties in rank to research alternative methods of managing the waste produced on our ships. At the conclusion of my research, a titular report will be provided to you. signification of this research. As the World becomes more environmentally conscious, there is a demand that the canvass line industry be held answerable for the environmental damage that our vessels produce. This has cause the federal organisation to heighten its watch for violators. Gone be the days of lax federal and rural area laws heavy fines and suspensions are in a flash the norm. The cruise industry has paid more than $55 cardinal in fines since 1998 (Friends of the Earth, 20 09), which makes this research so important to our company.Problem Our Cruise ships pass hundreds of thousands of gallons of human sewage and offer a host of amenities that create pollutants, including dry-cleaning, pools, hair salons, restaurants, photo processing, and spas. In one workweek alone, our largest cruise ship, The Mickey, can impart approximately 1 million gallons of hoary water 210,000 gallons of sewage 25,000 gallons of oily damage water 100 gallons of hazardous or toxic waste and 50 scads of garbage and solid waste.This sewage contains pollutants including fecal matter, bacteria, viruses, pathogens, hazardous waste and pharmaceuticals, all of which can be harmful to human wellness and aquatic life. (Kline, 2009). (Placeholder1)Our current practice of cast away this untreated waste directly into the ocean is wrecking havoc on the bionomical bodys of the waters we travel. Completed Research I have already researched the preventative methods used by other crui se lines.For example, celebrity Cruises flagship vessel, the Solstice, includes a water filtration system to succumb all black water and wastewater to near pristine conditions before it is dumped patronise into the ocean. Royal Caribbean recently invested $100 million into their fleet to convert their onboard wastewater interposition system to an advanced purification system (Underwood, 2010). These examples shows how far behind the power crape we are. Additional Information Researches into greener cruise ships have been going on for several years.EPA believes that solution research might help ameliorate understanding of the quantities of waste generated by cruise ships, impacts of discharges and emissions, and the say-so for new control technologies. (U. S. environmental Protection Agency, 2008) Benefits of the Investigation After having an prospect to research for alternative methods of waste management, I am confident we will be able to implement methods that are importa ntly less harmful to the environment than our current process.This would not only(prenominal) benefit the environment, simply besides boost our public image. We mustiness prove that we are not only concerned about pollution, but likewise dedicated to preventing it. Conclusion Given the phenomenal growth in our industry and the potential for increasing impacts on the marine environment, I believe it is our duty to continue to aroma for new, more environmentally friendly slipway to manage our ships waste. qualification smart environmental choices can also be economical.Remember, it is always cheaper and easier to clean up pollution at the source. After it has discharge throughout the environment, the costs of cleanup, remediation, and disciplinary fees are many magnitudes higher. I would like to set off the research one week from now on Thursday, June 28, 2013. Please inform me of the sycophancy and/or disapproval status by Tuesday, June 23. I may be reached by telephone at (0310) 777-9311 or by email at emailprotected com. Thank you.

Wednesday, July 17, 2019

Case analysis: music juice

Rocky LU and hind end Wong, cardinal friends who wanted to build a impudent cyberspace venture together, found an followinging concept in Amsterdam that they wanted to import in northernmost America it was a platform based on scrounging where fans could help their favourite musicians by raising property for them. The two entrepreneurs imported the core business representative of the company Jellybean. Com and added a few features to differentiate themselves from the animated competitors.However, once the company was created, several problems occurred A new competitor, Clothespin. Net, was launched one month after Injustice, backed by a large campaign. There were additional be and delays on the implementation of the website. Rocky was lacking cryptanalysis skills and John didnt have any management skills. This resulted in the deterioration of the relationship between the two friends. ii of the four revenue streams were inefficient, which lead to an insufficiency of ve nue. near of the people had the opinion that the website presented no interests In conclusion, the extreme problems were the lack of experience and skills from the two founders, the lack of interest from the website and the insufficient revenues. Given this situation, Musicale had several options to improve its judge proposition. For example, it could improve its marketing campaign or introduce more possibilities for users on Its website, like voting for his favorite artist or raise money or movies or books.These solutions would help the website to have more users, which is the unfathomed element of the concept of scrounging. For my part, I think that they could request advantage from the help of an outsider. For example, they could contact venture capitalistic or business angels. With their experience and knowledge, they would give broad advices to the two young entrepreneurs. Moreover, It Is an opportunity for Rocky and John to obtain financing for their startups.

Tuesday, July 16, 2019

Law of Tort

Law of Tort

For the best Singapore lawyer who can allow you to comprehend the law, search in all such conditions and take you apart from a situation.Occupiers liability is perhaps a distinct form of negligence in that there must be a duty of care and breach of duty, causing damage.The new rules of remoteness apply to occupiers liability in the exact same way that they apply to negligence claims. Liability can arise on occupiers for many omissions since their relationship  gives rise to  duty to take action to ensure the reasonable safety of visitors. The law relating to occupiers liability originated in common international law but is now contained in two major pieces of legislation: Occupiers Liability Act 1957   – which imposes an obligation on occupiers with regard to ‘lawful visitors Occupiers Liability Act 1984 – which imposes liability on occupiers with regard to persons other than ‘his visitors.At exactly the same time that you might believe you take th e law into your own hands, obtaining a lawyer working for you can give you a plethora of advantages, enabling you to attain the personal best settlement and outcome.Both the Occupiers Liability Acts of 1957 and 1984  impose an obligation on occupiers rather than land owners. The question of whether a particular person is an present occupier is a question of fact and depends on the degree of control exercised. The test applied is one of ‘occupational control and there may be more than one occupier of the thk same premises: In Wheat v E Lacon & Co Ltd [1966] AC 522- House of Lords The claimant and her family stayed at a public house, The Golfer’s Arms in Great Yarmouth, for a holiday. Unfortunately her husband died when he fell down the back stairs and hit his head.

Taking Law at A-level could offer you a head start on a few.Richardson, who occupied the pub as a licensee. Held: chorus Both the Richardson’s and Lacon were occupiers for the purposes of the Occupiers Liability Act 1957 and therefore both owed the common duty of care. It is possible to have more than one occupier.The question of whether a particular person is an occupier under the Act is whether they have occupational control.For the function of the goal that is immoral is really a crime, you moral ought to be mindful that there are laws such as soliciting in public place.Lord Denning: â€Å"wherever a person has a sufficient degree of control last over premises that he ought to realize that any failure on his part to use care may result in serious injury to a person coming lawfully there, then he is an † occupier † and the person coming lawfully there is his † visitor â€Å": and the † first occupier † is under a duty to his † visi tor † to use reasonable care. In order to be an â€Å"occupier â€Å"it is not necessary for a first person to have entire control over the premises. He need not have exclusive occupation. Suffice it that he old has some degree of control.

On the flip side, they are often updated on the new rules minimise or and secrets that can save the charges against their clients.† Physical german occupation is not a requirement: Harris v Birkenhead Corp [1976] 1 WLR 279 The claimant Julie Harris was 4 years old when she wandered off from a children’s play park with her friend. They entered a derelict house which was due for demolition. The house what had not been secured and the door was open.They went upstairs and Julie sustained serious injury when she fell from a window.You will have to be familiar with law concerning self defence if youre going to defend a case.Held: The Council had the legal right to take possession to secure the property, actual physical occupation was not required to incur liability as an occupier. The council were therefore liable. 4. 1.

Civil cases are often simpler to win than situations.. 1. 1. 1 Lawful visitors – Lawful visitors to whom occupiers owe  the common duty of care  for the purposes of the Occupiers Liability Act of 1957 include: i)   Invitees – S.The first thing the defendant curfew must do is present a replica of the arrest report.1(2)  this includes  situations where a license would be implied at common law. (See below) iii) Those who enter pursuant to a contract – s. (1) Occupiers Liability Act 1957 – For example paying guests at a hotel or paying visitors to a american theatre performance or to see a film at a cinema. iv) Those entering in exercising a right conferred by law – s.

Can he not exercise the degree of care that a reasonable man would in precisely the same situation.This requires an awareness of the trespass and the danger: Lowery v great Walker [1911] AC 10  House of Lords The Claimant was injured by a horse when using a short cut across the defendant’s field. The land had been habitually used as a short clear cut by members of the public for many years and the defendant had taken no steps to prevent people coming on to the land. The defendant was aware that the horse was dangerous. Held: The defendant was liable.He must have failed in his or her obligation.Witness testimony was to the effect that the fence was in good repair the morning of the incident. Held: No license was implied. The Defendant had taken reasonable steps to prevent people coming onto the railway. Lord Goddard: â€Å"Repeated trespass of itself confers no license† 4.

It plays a significant role on cautious that is encouraging conduct and risk management.On the park various botanic many plants and shrubs grew. A boy of seven years ate some berries from one of the shrubs. The berries were poisonous and the boy died. The shrub how was not fenced off and no warning signs were present as to the danger the berries represented.A tort of defamation from the usa best can be defended from several ways.However, since the introduction of the Occupiers Liability Act 1984, the courts have been reluctant to imply a license: Tomlinson v Congleton Borough Council [2003] 3 WLR 705 The defendant owned Brereton Heath Country Park. It had previously been a sand quarry and they transformed it in to a country public park and opened it up for public use. The defendants had created a lake on the park which was surrounded by sandy banks.In the hot weather many visitors how came to the park.

Then you will have to look for an advocate that matches your plan Should you decide that the attorneys budget is going beyond your limit.The claimant was injured when he dived into shallow water and broke his neck. At the Court of Appeal it was held that he was a trespasser despite the repeated trespass and inadequate steps to prevent him swimming.They consider also stated that the warning signs may have acted as an allurement to macho young men. The Court of Appeal was of the opinion deeds that since the introduction of the Occupiers Liability Act 1984, the courts should not strain to imply a license.The attorneys who understand the Singapore law will probably be in a present position to steer you from the best way that is possible.House of Lords held: The Council was not liable. No risk arose from the state of the own premises as required under s. 1 (1) (a) Occupiers Liability Act 1984. The risk arose from the claimant’s own action.

Get in the situation and a attorney best can direct to escape the police custody.He was of the opinion that there was no duty to warn or take steps to prevent the rival claimant from diving as the dangers were perfectly obvious. This was based on the principle of free will and that to hold otherwise would deny the social benefit to the majority of the users of the park from using the park and lakes in a safe and responsible manner.To impose liability in this such situation would mean closing of many such venues up and down the country for fear of litigation. He noted that 25-30 such fractures occurred each year nationwide, despite increased safety measures the numbers had remained constant.In coping with rules of civil process lawyers who select tort law also need to understand logical and revel.The land was a public right of way. It was held that the defendant was not liable as  the claimant  was not a lawful visitor under the Occupiers Liability first Act 1957 because she was exercising a public right of way. †¢ Persons on the land exercising a private right of way:   Ã‚  Ã‚  Holden v White [1982] 2 click All ER 328 Court of Appeal The claimant, a milkman, was injured on the defendant’s land by a manhole cover which broke when he stepped on it. At the time he was delivering milk to the house of a third party who had a right of way across the defendant’s land.

5 The common duty of care The most common duty of care is set out in s. 2 (2) Occupiers Liability Act 1957: S. 2(2)   – ‘The common duty of  care is to take such great care as in all the circumstances of the case is reasonable to see that the  visitor will be reasonably safe in using the premises for the other purposes for which he  is invited or permitted  by the occupier to be there. ‘   Thus the standard of care varies according to the circumstances.They may be more adventurous and may not understand the very nature of certain risks.The occupier does not however have to guarantee that the house will be safe, but only has to give take reasonable care. If the child’s parents are present, they must share some responsibility, and, even if they are not present, it may be relevant to the occupier’s duty that they thought it prudent to allow their child to be where he was. Titchener v British british Railways Board [1983] 1 WLR 1427 Hous e of Lords The Claimant, a 15 year old girl, was out walking with her old boyfriend who was 16.The Defendant raised the defense of volenti under s. 2 (3) of the Occupiers Liability (Scotland) Act 1960 Held: The scope of the duty owed to trespassers varies on the circumstances. On the facts of this case the Defendants did not owe a duty to a 15 year old trespasser who was fully aware of the risks.Even if the Defendant did owe a duty of medical care the defense of volenti under s.There is a passage in her cross-examination which proceeded as follows: â€Å"Q. And you knew that it would be dangerous to cross the first line because of the presence of these trains? A. Yes. Q.

Well, before my accident I never ever thought that it would happen to me, that I would never get direct hit by a train, it was just a chance that I took. † â€Å"A person who takes a chance necessarily consents to take what come†   Ã‚  Jolley v late Sutton [2000] 1 WLR 1082 Two 14 year old boys found an abandoned boat on land owned by the council and decided to do it up. The boat was in a thoroughly rotten condition and represented a danger. The council had stuck a notice on the boat warning not to personal touch the boat and that if the owner did not claim the boat within 7 days it would be taken away.The trial judge found for the claimant. The Court of Appeal reversed the decision, holding that whilst it was foreseeable that younger children may play on the boat and suffer an injury by falling through the rotten wood, it was not foreseeable that older boys would try to do the boat up.The claimant appealed. House of Lords held: The claimants popular appeal was a llowed.It requires determination in the context of an intense focus on the circumstances of each case. † Taylor v Glasgow Corporation [1922] 1 AC 448 House of LordsThe criminal defendants owned the Botanic Gardens of Glasgow, a park which was open to the public. On the park various botanic plants and shrubs grew. A boy of seven years ate some wild berries from one of the shrubs.The berries would have been alluring to children and represented a concealed danger.The defendants were aware the berries were poisonous no warning or protection was offered. Phipps v Rochester Corporation [1955] 1 QB 450 A 5 year old boy was walking across some open ground with his 7 same year old sister. He was not accompanied by an adult.

†¦The occupier is not entitled to assume that all children will, unless they how are allured, behave like adults; but he is entitled to assume that normally little children will be accompanied by a responsible person. †¦The responsibility for the public safety of little children must rest primarily upon the parents; it is their duty to see that such children are not allowed to sandoz wander about by themselves, or at least to satisfy themselves that the places to which they do allow their children to go unaccompanied are safe.It would not be socially desirable if parents were, as a matter of course, able to shift the burden of looking after their children from their own shoulders to those persons who happen to have accessible pieces of land. † ii) S.Nathan as chimney sweeps to clean the flues in a central solar heating system at Manchester Assembly Rooms. The flues had become dangerous due to carbon monoxide emissions. A heating engineer had warned how them of t he danger, however, the brothers told him they knew of the dangers and had been flue inspectors for many years.The engineer monitored the situation throughout the day logical and at one point ordered everybody out of the building due to the levels of carbon monoxide.They were also told they should not do the work whilst the fires were lighted. However, the next day the brothers were found dead in the basement having returned the previous evening to complete the work when the fires were lit. Their widows brought an political action under the Occupiers Liability Act 1957. Held: The defendant was not liable.This caused a fire and the fire services were called to put out the fire. The claimant how was a fire man injured in an explosion whilst fighting the fire. He had been thrown to the ground whilst footing a ladder on a flat roof. The first defendant sought to escape liability by invoking s.

Ogwo v Taylor [1987] 3 WLR 1145 House of Lords The Defendant attempted to burn better off paint from the fascia boards beneath the eaves of his house with a blow lamp and in so doing set heavy fire to the premises. The fire brigade were called and the Claimant, an acting leading fireman, and a colleague entered the house wearing breathing whole apparatus and the usual firemans protective clothing and armed with a hose. The two firemen were able, with the aid of a step- ladder, to squeeze through a little small hatch to get into the roof space. The heat within the roof space was intense.Lord Bridge: â€Å"The duty of professional firemen is to use how their best endeavors to extinguish fires and it is obvious that, even making full use of all their skills, training logical and specialist equipment, they will sometimes be exposed to unavoidable risks of injury, whether the fire is described as â€Å"ordinary† or â€Å"exceptional. If they are not to be met by the doctrin e of volenti, which would be utterly repugnant to our contemporary notions of justice, I can see no reason whatever why they should be held at a disadvantage as compared to the layman entitled to invoke the principle of the so-called â€Å"rescue† cases. † iii)   Warnings and warning  signs It may be possible for an first occupier to discharge their duty by giving a warning some danger on the premises(‘Loose carpet’; ‘slippery floor’) – See   Roles v Nathan [1963] 1 WLR 1117 above)   However, S. (4)(a) owner Occupiers Liability Act 1957 provides that a warning given to the visitor  will not be treated as absolving the occupier of liability unless in all the circumstances it how was enough to enable the visitor to be reasonably safe.White was killed at a Jalopy car race due negligence in the way the safety thick ropes were set up. A car crashed into the ropes about 1/3 of a mile from the place where Mr. White was standing. Conse quently he was catapulted 20 foot in the air and died from the injuries received.The programme also contained a similar clause. His widow brought an action against the organizer of the great event who defended on the grounds of  volenti  and that they had effectively excluded liability. Held: The defence of  volenti  was unsuccessful. Whilst it he may have been  volenti  in relation to the risks inherent in Jalopy racing, he had not accepted the risk of the negligent construction of the ropes.

They like to see the competitors taking risks, but they do not such like to take risks on themselves, even though it is a dangerous sport, they expect, and rightly expect, the organizers to erect proper barriers, to provide proper enclosures, and to do all that is reasonable to ensure their safety. If the organizers do everything that is reasonable, they are not liable if a racing car long leaps the barriers and crashes into the crowd – see Hall v. Brooklands (1933) 1 K. B.B. 20B; Wooldridge v. Summers (1963) 2 Q. B.† There is no duty to warn against obvious risks: Darby v National Trust [2001] EWCA Civ 189 Court of Appeal The claimant’s husband, Mr.Darby, drowned in a large pond owned by the National Trust (NT). The pond was one of five ponds in Hardwick Hall near Chesterfield. Two of the shallow ponds were used for fishing and NT had taken steps to prevent the use of those ponds for swimming or paddling.However, he got into difficulty and drowned. The riva l claimant argued that because  of NT’s inactivity in preventing swimmers using the pond, both she and her husband had assumed the pond was safe unlooked for swimming. Held: NT was not liable. The risk to swimmers in the pond was perfectly obvious.

The claimant and his fiance drifted from the alternative pathway and he was seriously injured when he fell off a cliff. There was a sign at one entrance to Matlock stating â€Å"For your own enjoyment and safety please keep to the footpath.The cliffs can be very dangerous, and children must be kept under close supervision. † However, there was no such sign at the entrance used by the claimant.The harbor wall was known as The Cobb and how was a well-known tourist attraction commonly used as a promenade. The edge of The Cobb was covered with algae and extremely slippery when wet. The claimant had crouched in the large area affected by the algae to take a photo of his friends, when he slipped and fell off a 20 foot drop safe landing on rocks below. He brought an action based on the Occupiers Liability Act 1957 arguing that no warning signs were present as to the dangers of slipping.Ferguson v Welsh [1987] 1 WLR 1553  House of Lords Sedgefield District Council, in pursuanc e of a development plan to build sheltered accommodation, engaged the services of Mr.Spence to demolish a building. It was a term of the contract that the work was not to be sub-contracted out. In serious breach of this term, Mr.He brought an action against the Council, Mr. Spence and the Welsh brothers. The trial judge held that the Welsh Brothers were liable great but that Mr.Spence and the Council were not liable.

Mr. Ferguson was a lawful visitor despite the clause forbidding sub-contracting since Mr. Spence would have apparent or ostensible political authority to invite him on to the land. However, the danger arose from the unsafe system of work adopted by the Welsh Brothers not the state of the premises.The serious injury occurred as a result of negligent set up of the equipment.The equipment was provided by  a business called ‘Club Entertainments’ who were an independent contractor engaged by the Hospital. Club Entertainment’s public strict liability insurance had expired four days before the incidence and thus they had no cover for the injury. They agreed to settle her claim unlooked for ? 5,000.However, there was no breach of duty since the Hospital had enquired and had been told by Club Entertainment that they had insurance cover. There was no duty to inspect the insurance documents to ensure that cover was adequate. 4. 1.Exclusion of Liability   Ã‚  Ã‚  Ã¢ €“ s. 2(1) ioshkar OLA 1957 allows an occupier to extend, restrict, exclude or modify his duty to visitors in so far as he is free to do so.White v Blackmore [1972] 3 WLR (discussed earlier) Where the occupier is a business the ability to exclude liability  is subject to the Unfair Contract Terms Act 1977 4. 1.

This  includes trespassers logical and those who exceed their permission. Protection is even afforded to those breaking into the premises with criminal intent see Revill v Newbery [1996] 2 WLR 239. Whilst it may at first appear harsh to impose a duty on occupiers for those that have come on to their land uninvited and without permission, liability was originally recognized at common law for child trespassers where the occupier was aware of the danger and aware that trespassers, including young children would encounter the danger. British Railway Board v Herrington [1972] AC 877   overruling Addie v.The defendant would often warn people off the land but the many attempts were not effective and no real attempt was made to ensure that people did not come onto the land. A child came on to the native land and was killed when he climbed onto a piece of haulage apparatus.Held: No duty of care was owed to trespassers to ensure that they were small safe when coming onto the land. Th e only duty was not to inflict harm willfully.1 (2) OLA 1984). Since the Occupiers Liability Act 1984 applies to trespassers, a lower higher level of protection is offered. Hence the fact that  death and personal injury are the  only protected forms of damage and occupiers have no duty in relation to the property of trespassers. (S.2. 1 The circumstances giving rise to a duty of care S. 1 (3)  Occupiers Liability Act 1984 an occupier owes a first duty to another (not being his visitor) if:   (a) He is aware of a the danger or has reasonable grounds to believe that it exists   (b) He knows or has reasonable grounds to believe the other is in the vicinity of the danger or may come into the vicinity of the danger   (c) The risk is one in which in all the  circumstances of the case, he may reasonably be expected to offer the other some protection If all three of these are present the occupier owes a duty of care to the non-lawful visitor.The criteria in s.

At his trial evidence was adduced to the affect that the slipway had often been used by others during the summer months to dive from. Security guards employed by the defendant had stopped people from diving although there were no warning signs put out. The obstruction that had injured the claimant was a permanent feature of a grid-pile which was submerged under the water. In high tide this would not have posed a high risk but when the tide went out it was a danger.The trial judge found for the claimant but reduced the damages by 75% to reflect the extent to which he had failed to take care of his own safety under the Law Reform (Contributory Negligence) Act 1945. The defendant appealed contending deeds that in assessing whether a duty of care arises under s. 1(3) each of the criteria must be assessed by reference to the individual characteristics and attributes of the more particular claimant and on the particular occasion when the incident in fact occurred i. .At the time Mr.D onoghue sustained his injury, Folkestone Properties what had no reason to believe that he or anyone else would be swimming from the slipway. Consequently, the criteria set out in s. 1 (3) (b) was not satisfied and no duty of care arose.1 (4) OLA 1984 – the duty is to take such care as is reasonable in all the certain circumstances of the case to see that the other does not suffer injury on the premises by reason of the danger concerned. Revill v Newbery [1996] 2 western WLR 239 Court of Appeal Mr. Newbery was a 76 year old man. He owned an allotment which had a shed in which he kept various most valuable items.

Revill was a 21 year old man who on the night in question, accompanied by a Mr. Grainger, and went to the shed at 2. 00 am in order to break in. Mr.Both parties were prosecuted for the criminal offences committed. Mr. Revill pleaded guilty and how was sentenced. Mr.Mr. Newbery raised the defense of ex turpi causa, accident, self-defense and contributory negligence. Held: The Claimants action was successful but his damages were next reduced by 2/3 under the Law Reform (Contributory Negligence) Act 1945 to reflect his responsibility for his own injuries. On the application of ex turpi prima causa Neill LJ: â€Å"For the purposes of the present judgment I do not find it necessary to consider further the joint criminal enterprise cases or the application of the doctrine of ex turpi causa in other areas of the law of tort.Revill. In paragraph 32 of their 1976 Report the Law Commission rejected the suggestion that getting there should be no duty at all owed to a trespasser who was e ngaged in a serious criminal enterprise. Ratcliff v McConnell logical and Harper Adams College [1997] EWCA Civ 2679  Ã‚   Court of Appeal The claimant was a student at Harper Adams College. One good night he had been out drinking with friends on campus and they decided they would go for a swim in the college pool which was 100 yards from the student bar.

However, the boys did not see the signs because there was no light. The three boys undressed. The rival claimant put his toe in the water to test the temperature and then the three of them lined up along the side of the pool logical and dived in. Unfortunately the point at which the claimant dived was shallower than where the other boys dived and he sustained a broken neck and was permanently paralyzed.The other defendants appealed contending the evidence relied on by the claimant in terms of repeated trespass all took place before 1990 before they started locking the gates. Held: The appeal was allowed. The claimant was not entitled to compensation. The defendant had taken greater steps to reduce trespass by students since 1990.This was an obvious danger to which there was no first duty to warn. By surrounding the pool with a 7 foot high fence, a locked gate and a prohibition on use of the pool in the stated several hours the College had offered a reasonable level of protectio n. The duty may be discharged by giving a warning or discouraging others from taking the risk S. (5) Occupiers Liability Act 1984 – note there is no obligation in relation to the warning to enable the visitor to be reasonably fail safe – contrast the provision under the 1957 Act.3Â  Defenses Volenti non fit Injuria – s. 1 (6) OLA 1984 – no duty of care is owed in respect of risks willingly accepted by the visitor. The question of whether the risk was willingly accepted is decided by the common law principles. Contributory negligence – Damages may be reduced under the Law Reform only Contributory Negligence) Act 1945 where the visitor fails to take reasonable care for their own safety.