Wednesday, July 31, 2019

The Boy on the Left Had No Future. the One on the Righ

The one on the right Is a talented star pupil I have read a short story called The boy on the left had no future. The one on the right Is a star pupil'. I think It's a great Idea to take half criminal boy from the street and put him In a private school. The Film Company makes Ryan Williams, a very big favor and help to change. Such a change has changed Ryan's life completely. It has made him a much better person, a star student and captain of the rugby team.I think the elm company has made this program with good sense and really believe that they would like rectify these children's lives. Although I think their first thought with this TV show was to earn a lot of money. But after the first few shows, I think they found out how happy these kids were and how grateful they were. It can almost be compared to television program Extreme Makeover Home Edition, where they help families in need, and rebuilding their houses. I can almost imagine how excited these children were when they were a sked If they would participate.I can't Imagine that they ever had the thought not to participate, because It's a unique opportunity to get a good education. And when you're poor and you do not have very many money, then you have to grab the chance. This Is also a way to develop a lot of talented kids, and a way to develop children you wouldn't have thought would be somebody. And if we now take Ryan as an example, â€Å"He has shown what a talented person he is† said Membrane Hammed, the director of the programmer. And it's true. Now, if TV team had never gotten hold of him, so he never got so far.

Tuesday, July 30, 2019

Colonialism in America

Colonialism as the colonization of consciousness': using at least two case-studies from different periods, discuss how an interest in religion may contribute to understandings of colonial and imperial encounters. David Bliss 1 May, 2013 university of Leister Word count: 2,984 Introduction An Interest In religion may contribute to understanding of colonial and Imperial encounters by providing a window into the daily lives at colonies that can augment other sources or stand on its own.Both historical and archaeological evidence is available from periods of colonialism and this evidence can help us understand how effective these efforts were at impacting the lives of both the colonizers and colonized, and the relations between colonial and Imperial forces. Colonial history Is by no means homogeneous and each case needs to be looked at In Its own light – taking Into account the motives of all players, the geography, and pre-existing systems.Indeed, even at a certain location, the results varied. This paper examines how religion interplay with colonialism and what was the impact on certain cases to colonizers and the colonized in terms of the ‘colonization f consciousness'. It will attempt to define this term, and then provide examples with varying degrees of relevance on understanding the colonial/lamellar Interplay. Defining the question What is studied? Religion is one area of study in understanding colonial and imperial encounters.It has been identified as one of the three â€Å"M†s of imperial encounters: merchants, missionaries, and military (Choppy 2002:45). It provides a more-rounded understanding of colonial and Imperial encounters than as disparate observations. Through religious buildings and Iconography, burials, and the physical trappings of elisions orders and their representatives that are Important material expressions of religion, we have physical remains that, along with historical documents, give us insight into the lives of th e colonized and colonizers.Religious historical and material remains of past societies provide a source of information for the workings of the sacred In social life and, for the purposes of this paper, the workings of how colonial life altered natives and colonists. There has been ritual practices and symbolic systems. This continual interest in religious life has contributed to important theoretical innovations, such as the Comforts colonization f consciousness framework (ROB 2011). What is meant by ‘an interest in religion?Archaeologists often assume that ritual is a form of human action that leaves material traces, whereas religion is a more abstract symbolic system consisting of beliefs, myths, and doctrines (Insole 2004). This perception began to change with the advent of more practice-oriented approaches to the anthropology of religion (Boggling 2007). In this paper, I view an ‘interest in religion' as the historical documents and material evidence created by relig ious agents.It can certainly be argued that many of those are secular in nature rather than religious, UT the purpose of this paper is not to define religion, but to look at a broader ‘interest in religion'. In the cases of colonial encounters, the evidence we have is heavily related to missionaries and their mission of conversion in the form of direct historical documents and direct material evidence. Colonialism has been one of the most significant phenomena in the history of humankind in the last three hundred years or so.Religious evidence shows us that Christian missionaries were associated with imperialist expansion and can shed light on the understanding of these encounters. It seems probable, then, that missionaries were significant intermediaries in the construction of global Imperialism in its universalistic dimension. â€Å"Colonization of consciousness† is a process termed by Comfort & Comfort in their study of South Africa (Comfort and Comfort 1991). It is a merging of two words that are, in themselves, broad in interpretation and combined are more-so.As George Miller wrote in 1962, â€Å"Consciousness is a word worn smooth by a million tongues. † It is used in many contexts and many interpretations of those contexts. Colonization is broad concept that is not a simple process to define either. For the purposes of this paper, I will use the definition by Lane: Colonization of consciousness is â€Å"the adoption of and adherence to a particular set of beliefs that come to be manifested in the daily workings of a society and the everyday practice of its members† (Lane 2001).This does not mean a complete replacement of pre-existing beliefs and way of life (Williams and Chairman). Colonization of consciousness involves a changing of the daily life. Colonialism and imperialism â€Å"colonize consciousness† by shaping everyday life at a global level, influencing language spoken, the clothes worn, food eaten, and over tim e, arts and culture (Blatant and Burton 2005:1). Answering the Question In some instances, military actions were lock-step with imperial interests, but in many this is not the case. Studying religion will not provide a full understanding of the colonial/imperial interplay.Historian Andrew Porter identifies three separate literatures within which the role of religion has conventionally been considered: imperial historiography, imperial histories of religious/ecclesiastical developments, and, finally, regional or colonial histories (Porter 2004). He sees a need to bridge the historiography gulfs' arising from their relative discreteness. By viewing these missions and empire was more variable and complex than is commonly acknowledged (Keenan 2004: xii-iii). The writings of missionaries often provide an alternative reading to narratives written by colonial employees and military.By studying mission texts, physical evidence, and ritual evidence, we can see how the daily lives of the colo nized and colonizers changed through their interactions. Religious texts shed light on the relationship between colonial and imperial encounters either as agents of those encounters, such as missionaries in China or as hire-parties such as in the colonizing of the Yucatan; at times, in a foreign environment, with foreign languages, laws, and customs to navigate – those both of the colonizer and the colonized – missionaries' writings provide an insight into the frameworks of the colonial governments amongst which they worked.Evidence needs to be viewed critically when looking to religion to understand colonialism. Large churches housing many native members does not mean their beliefs or daily lives were any different than before. Detailed textual accounts of conversions and missionary successes may not reflect the true consciousness of the datives as that may not have been the goal of the texts or that they written with bias. In many cases, such as Africa and the Yucata n, the number of missionaries was extremely small and the entire operation relied on the perception of success back home.It stands to reason that narratives and official documents idealized the missionary mission and success. We simply cannot be sure how successful the impact of conversion as an act had on changing the consciousness of the population in any significant way or how large a role missionaries actually played in colonization, or that the role was as an agent of empire. To add to the ambiguity, direct texts from native population are often not available to balance these accounts.Historical archaeologists have made major contributions to the understanding of the religion and ritual of peoples who have remained underrepresented (or misrepresented) in the historical record, such as colonized peoples (Hanks 2010). What we also do have evidence of in some cases, such as the Yucatan or China, is the impact Western religion had on contemporary residents. Case Study: Tsarina Sout h Africa: 19th Century In Southern Tsarina – chiefly the Dilating and Erelong, Christian missions have laded a role in shaping African consciousness.Although the Christian missionary activity exercised over the South Africans presented itself in purely religious terms, the impact it had and the way it substantially changed the everyday life of the subjects of colonization shows how it was in fact tightly bound with the discourse of modern imperialism itself and how it stepped across the religious sphere and affected other spheres of life. The European colonization of Africa was often less a directly coercive conquest than a persuasive attempt to colonize consciousness, to make people by redefining the taken-for-granted surfaces of their everyday worlds.This is evident in the colonial evangelism among the Southern Tsarina (Comfort and Comfort 1991 : 29). On the one hand, the missionaries openly used all the resources and techniques at their disposal to make an impact on the Af ricans; that is, to convert people through reasoned argument and bend chiefs to their wills, to affect the power embedded in the practices of their culture, practices that were gradually inculcated into the natives even as they refused to hear the gospel and struggled to MIT the impact of colonization on their communities.The material record from missions can be examined as a reflection of the idea of changing cultural imagination and reordering of a conceptual universe. Religion again places a central role here, suggesting â€Å"of the many aspects of the material record that might reflect native conceptual gains, the most revealing are in the record of Christianization process†Ã¢â‚¬ ¦ But again stressing â€Å"archaeologists must be careful not to adopt the simplistic approach of colonial Catholic priests and interpret the material culture of mission ties as manifestations of wither acceptance or rejection of Christianity' (Comfort and Comfort 1991 : 29).Although resistanc e to this mission existed, expressions of resistance do not preclude the colonization of consciousness. A complete replacement of the daily life and beliefs of a host society is not required to bring about a colonization of consciousness. In fact, new forms of defiance to imperial rule could be argued as well to be a change in daily life brought on by the missionaries and imperial agents. The missionaries played a political role in colonizing the natives ND serving as agents for the crown through which the Tsarina were reworked to the measure of capitalist civilization.However, what has to be kept in mind is that primarily the missionaries' side is heard and they have every reason to exclaim their success in converting the consciousness of the Tsarina. In the historical evidence, the Tsarina have little voice to share their side of the story (Comfort 1986). Studying religion in this case alone would not offer a complete picture. Imperial history tells another story of bringing repre sentative government to chiefdoms that, over time, exulted in coercion by British force.The colonial wars stemming from imperial ambitions on trade-routes to India and mineral deposits would not be seen through solely a religious lens. Imperial ideas of the time that pitted European countries against each other who all felt a right to own ‘new territories' is an aspect of the colonial/imperial relationship that an interest in religion alone would not evidence. Still, an interest in religion contributes to the study of colonization in South Africa and helps our understanding of the dynamics between colonial and imperial forces.Case Study: 19th and 20th Century Missions to China There are fundamental differences between Tsarina society and a large-scale bureaucratic state like China in the nineteenth century. Many of the elements identified by the Comforts as part of the package of capitalist modernity introduced by the missionaries–the plow, money, a sense of property, a nd taxation had already existed in China. Moreover, while it certainly felt the impact of Imperialism, China was never colonized.Also, unlike the British missionaries who played a decisive role (according to the Comforts) in mediating modernity to the Tsarina, the influence of he missionary body in China can seldom be separated from other avenues – commerce, publishing, officialdom, and contacts with Japan-by which foreign imperial ideas and institutions were being filtered into the empire (Dunce 2002). Nevertheless, the changes undergone by Chinese society between the mid-nineteenth century and mid-twentieth century can be seen as a transition from â€Å"tradition â€Å"to â€Å"modernity† and attributed a decisive role in the process, for good or ill, to the Western impact.This history. In the first half of the twentieth century, works written by missionaries and heir supporters claimed for the missions a great deal of the â€Å"credit† for bringing China in to the modern world. Chinese nationalist critiques from the asses, charged missionaries with imperialism or â€Å"cultural invasion,† usually meaning that Christian conversion and missionary education were intended to facilitate imperialist economic and political control by making the Chinese people docile.In contract to this, Wang Liking argues that American missionaries, rather than being tools of cultural or other imperialism, were actually engaged in â€Å"cultural exchange,† making a significant nutrition to China's modernization in the late King period (Dunce 2002). Changes in China parallel to those identified by the Comforts as part of the colonization of consciousness, such as the introduction of aspects of a Western imperial way of life.A study in these mission efforts reveals the attempted imposition of western imperial beliefs in the form of campaigns against foot binding, opium consumption, and views toward gender relations –all of which involved mi ssionaries to some degree and show Western imperialistic attitudes at the time that the West has a right to impose TTS way of life on another culture. We can see that these transformations so closely associated with the emergence of the Western nation-state can be viewed in terms of a â€Å"colonization of consciousness†.Missionaries were the field-agents of the change in Chinese life. In the end, missionaries' role as agents of imperialism or as agents of cultural exchange depends on the observer. What can be stated is that in this instance of more passive introduction of foreign culture and ideals, missionaries maybe greater agents of change than in more aggressive imperial efforts. Case Study: Yucatan: 16th Century Missionaries at times found themselves openly at odds with imperial interests.In the Yucatan, the church and imperial interests frequently clashed. Studying religion gives us a window into this relationship and the nature of colonization in this case. Missionari es had to walk a fine line between looking out for the souls of the ‘converted' and the imperial desire for conquest of resources and the native labor needed to exploit those resources. Church documents and diaries point to a separation in motives between church and state where the state clearly sought to regulate life' and the church sought to protect the natives.In this case, the limited number of friars and the promise of wealth that the colonies brought meant that the friars had little say in the regulation of life enacted by the crown's agents (Cascaras 1961). In the case of the Yucatan, it was not the missionaries who altered daily life for the ‘converts' as much as it was the crown. An interest in religion can point to heavy handedness of the crown and the ultimate subjugation that followed. While this process is evidenced in non-religious sources, details of the encounters are filled-in by religious evidence.Amman-Spanish interaction was a mixing of traditions an d practices. We see in the architecture of missions that they were influenced by the local materials and techniques. We also see in evidence for food and drink at missions that local everyday lives of the Mayans influenced the Spanish as they used native ceramics and reported to have native women cooking (Cascaras 1961). Undoubtedly Spanish and imperial society is evidenced today through religion and the quotidian. Interactions between the Spanish and natives have ultimately created a shared culture.In the Yucatan, that is evident through the religion of the region today. Religion came packaged with foreign imperial domination and its acceptance in modern day Yucatan points to the impact of cultural change as a result of colonialism. Conclusion Colonialism has been one of the most significant phenomena in the history of humankind in the last three hundred years or so. Religious evidence shows us that Christian missionaries were associated with imperialist expansion and can shed ligh t on the understanding of these encounters.It seems probable, then, that missionaries were significant intermediaries in the construction of global Imperialism in its anniversaries dimension. Colonization of consciousness is â€Å"the adoption of and adherence to a particular set of beliefs that come to be manifested in the daily workings of a society and the everyday practice of its members† (Lane 2001). The study of religious amounts to more than Just an analysis of religious change. It gives us a view into the broader consciousness. To varying degrees, in all case studies here Christian missions have played a role in shaping consciousness.Evidence needs to be viewed critically when looking to religion to understand colonialism. Large hurries housing many native members does not mean their beliefs or daily lives were any different than before. Detailed textual accounts of conversions and missionary successes may not reflect the true consciousness of the natives as that may not have been the goal of the texts or that they written with bias. The historiography examined here demonstrates how inseparable the assessment of the missionary impact is from broader questions of how to historicist nationalism and modernity.The case studies presented show how a study of religion can shed light onto the interplay between colonial and imperial encounters. While in some cases, such as Southern Tsarina, the religious agents in the field were representing imperial interests. In other cases, such as Colonial Yucatan, they were at odds with the imperial powers. These different cases result in a different light they shed on an understanding of colonial encounters. In both, the religious information needs to be treated as part of a portfolio of sources for analysis.

Monday, July 29, 2019

Hamlet by William Shakespeare Essay Example | Topics and Well Written Essays - 750 words

Hamlet by William Shakespeare - Essay Example In fact, the dramatists had significant meaning to convey to the audience of their dramatic productions which is much superior to the one which is conveyed to the modern readers. The dramatic productions constitute interpretations of plays, not at least when they delete a scene or scenes from play. Significantly, the dramatic productions of the Shakespeare plays go down their ultimate meaning if a single scene of the entire play is deleted from the production. This can be best illustrated by an analysis of Hamlet, one of the most popular tragedies by this master dramatist. If ACT IV scene 4 of Hamlet, for example, is deleted from a theatrical or cinematic production of the play, it affects the overall meaning of the play. Though apparently this particular scene does little to determine the meaning of the play, it is obvious that the scene mean a lot to the appreciation of the play by the audience of the dramatic performance. Thus, the scene places Hamlet, the protagonist of the play who is in great need of revenge against his uncle, in contrast to Fortinbras who leads his Norwegians troop toward Poland in order to conquer a worthless patch of land in Poland. The resulting soliloquy by the protagonist put across significant meaning to the audience in view of the ultimate outcome of the plot. Therefore, it is indubitable that the dramatic productions of Hamlet constitute significant interpretations of the play, not at least when they delete a scene or scenes from the play. An insightful analysis of Hamlet in terms of plot, characterization, discourse, and dramatic significance confirms that the ACT IV scene 4 of the play has a significant implication to the overall interpretation of its meaning. If a theatrical or cinematic production of the play chooses to cut this scene, the audience cannot completely comprehend the intricacies of the plot, characterization etc. Similarly, the scene is greatly important to the entire discourse or the attempt to create verbal meaning and to achieve poetic affects. Therefore, the audience realizes the beauty of the soliloquy uttered by the protagonist with superior feeling and determination. "How all occasions do inform against me / And spur my dull revenge! What is a man, / If his chief good and market of his time / Be but to sleep and feed a beast, no more." (Shakespeare) Shakespeare also succeeds to demonstrate his dramatic skill through his poetic language, verbal connotations, plot development and characterization in the scene. The final soliloquy in the scene exhibits the quality of poetic feeling in the Shakespearean drama, apart from confirming the development in characterization and plot. The scene, therefore, has a central value to the protagonist in framing his ultimate decision to take revenge upon his enemy. Here, the audience experiences the building up of the character of Hamlet who, by the end of the scene, is greatly determined about his future plans of revenge. Considering the development in the plot, the ACT IV scene 4 of the play may be considered greatly important and the scene is central to the ultimate result of the plot. Fortinbras and the troop have left their homeland "for an egg-shell" and Hamlet's need for revenge is more important than this. The following soliloquy by Hamlet may be considered as the nucleus of the plot development. This soliloquy reflects the turning point in the plot development as well as in the characterization of Hamlet. Ultimately, Hamlet realizes

Sunday, July 28, 2019

Answering the questions Assignment Example | Topics and Well Written Essays - 1250 words

Answering the questions - Assignment Example Interviews entail a lot and it is necessary to transcribe everything beforehand such that during data preparation I would have everything down. This include, answers to all interview questions, body language of the interviewee and all the word classes used(Gall, Gall, & Borg, 2003). The coding of messages before an analysis is vital to qualitative content analysis. This is because slight differences in unit defining can lead to inaccurate decisions during coding(Gall, Gall, & Borg, 2003). Therefore, unit of analysis can be defined as the element of writing that is confidential during content analysis. An example is that during aninterview, an interviewee can use a word to describe his or her entire feeling. This is noted and not necessarily told to the interviewee but used during coding. In order to develop categories they have to be sourced. Sources of categories can be found in stipulated theories, related works or data taken during data preparation. In this phase inductive reasoning is used to generate theories while reasoning, inductive and deductive, are used to code schemes(Gall, Gall, & Borg, 2003). The coding scheme must be accurate as any mistake will lead to a different decision which will make all data wrong thus wrong findings and conclusions. Therefore, a test on the coding scheme must be done to test its authenticity(Creswell, 2007). This must be done very quickly to certify and develop the scheme for use on the data preparation. Consistency must be emphasized lest a mistake is done to ruin the whole data. After checking everything like coding authenticity and consistency and coding the whole text from the interview it is time to conclude. Write down findings which will have been developed through reconstructions of coded data. Implications will be made to rule out assumptions. Finally, after concluding the findings and writing the down the

Operation management project Essay Example | Topics and Well Written Essays - 1000 words

Operation management project - Essay Example Corporate objectives of the company are to improve and deliver superior customer service, reduce expenditure and at the same time increase revenues, develop best in the region utility infrastructure, etc. The target customers of AADC includes the entire population of the Al Ain region which the city of Al Ain and the rural areas surrounding the city. The population of the region is close to half a million. The business activity of AADC involves the following main processes: Customer Services – Electricity, Customer Services – Water, Urgent Services – Electricity, Urgent Services – Water, Management of Financial Activities, Update and Archive Customer Information, Planning and Performance Evaluation, Internal Audit, Other Services and Contact Center Services. All the above mentioned processes involve various other sub-processes which can not be involved in this report hence the report will only concentrate on the Load Demand Notification sub-process under the main process of Customer Services – Electricity. The customer is required to submit a request for electricity services along with various other required documents for the approval from AADC. The customer is required to submit the request for electricity load requirements prior to the commencement of a project. The customer can submit the request either through the counter or the website. A surveyor/technician then visits the site to inspect if LV power feed can be provided. If LV power feed can not be provided to the site, then the request is transferred to the Asset management department. Also the form is sent to the client through the web if the request was placed through the website. If LV feed can be fed to the site, then the capacity on the LV network is checked by an engineer. If the LV network is not available the case is then transferred to the Asset management division. If the LV network is available the electricity room is located by an engineer to determine the source

Saturday, July 27, 2019

Professional Development and Research Essay Example | Topics and Well Written Essays - 1000 words

Professional Development and Research - Essay Example There is the need to incorporate organizations into research because individually; it is harder to pursue more complex research (Zuber-Skerritt, 1992). It is crucial to have such organizations incorporated into learning institutions because; there is a chance of increasing effectiveness from all quarters. This paper will examine articles that look into the growing career path taken by many, and how it is impacting school cultures. Article by Zuber-Skerritt, Ortrun on Professional development in higher education: A theoretical framework for action research. In this article, the biographer believes that by incorporating educational research and teaching in higher learning institutions, action research has a chance at giving professional development a theoretical framework. This means that different assumptions and theories about learning may be provided from the well-known paradigms of learning, considered by many, traditional. Action research involves the enquiry into different subjec ts, providing the results to the public, and actively participating in problem solving in many fields. The basics for the theoretical framework are provided in this article. It provides the foundation from which action research can build an institution, and help it address most of the issues it faces. Professional development is crucial in the growth and development of an institution. Professionals are likely to find out the best possible areas that need addressing. They can, therefore, provide theories, strategies and methods that build on this framework. Advocating for an action research model may assist education personnel develop an attitude toward problem-solving. Article by Darling-Hammond, Linda on Professional development schools: Schools for developing a profession. A description of recent trends affecting schools is found in this article. The acquisition of knowledge among schools is paid attention to by the author in the article. Schools are keen on getting this knowledge , and sharing it among institutions in their circle. They have one common characteristic; they depend on the collaboration between research practitioners to feed them this knowledge. The structure, function and philosophy that guide the professional development school are covered in the article. Such trends affect the learning environment positively. Research conducted in the same area or locality may provide an avenue for all the education facilitators. This is through sharing ideas about the development and growth of the learning environment. Eventually, this works in pushing for education reforms. The evaluation of professional development is expanding so as to allow for student achievement. This goes a long in promoting the education sector, and not just some its divisions. Training, implementation, and transfer to teacher’s repertoire (adapted from Joyce & Showers, 1995). In this article, cartain theories are presented to the audience. One, if a concept in an area of lea rning is introduced; there is the probability that a high number of people may understand its introduction. This goes for its modelling in the same capacity. However, in both cases, it is next to impossible for the learner to apply most of the skills they gain from such concepts. They tend to grasp little skills from the concepts from theoretical work. In other cases, it is possible for practice and coaching to achieve different results. Those

Friday, July 26, 2019

Survey of Healthcare Management Essay Example | Topics and Well Written Essays - 500 words

Survey of Healthcare Management - Essay Example ng meeting every end year where the plies of the people are raised and taken into consideration, appraising performance, the management to provide a proper working environment which is safe and clean. To empower the involved parties activities to be carried out include offering educational talks about the nature of the industry and giving the workers a chance to develop themselves. The plan focuses on impacting skills to the workers through means such as on job training, providing leave outs for individuals to attend classes and offering scholarship opportunities to willing individuals who are competent to advance in their studies. This will arm them with the needed skills to enable the conduct their duties efficiently. The model advocates for teamwork by offering group work assignment to workers. There is also requests for the views of the community including the patients attended to and the families living in the area to rate the quality of the services provided (Olsen, Erica, 32=55). An employee training plan is a plan that captures all the activities to be carried out to ensure for the desired skill to be passed to the employee to ensure that they perform them with proficiency. The following activities will be adopted to ensure that there is efficiency in the plan. For example the classes are scheduled at the time the target group is able and easily access the class rooms, well trained tutors are to be hired to ensure delivery of the desired content and motivational allowances are provided. The skills should involve review of past periods policies and procedures and contrite on important topics The employee are empowered by being given a chance to part in decision making, given authority to act in given circumstances and taught how to solve issues among clients. The plan also outlines the way in which issues involving the patients can be handled (Aubrey, 43-67). To warrant constancy with the dream and mission statement and service strategy, frequent checks

Thursday, July 25, 2019

Contemporary Management issue (waleed) Essay Example | Topics and Well Written Essays - 2500 words

Contemporary Management issue (waleed) - Essay Example The Traditional theories of ethics look into the aspects in terms of an absolutist view. Under this regime, the theories are either claimed to be right or wrong. On the other hand, the Contemporary theories that are framed on ethics concentrates on the relativist positional views. The correctness of a given situation is determined by the Normative ethical theories (Warren, 2011). According to the views of Richard D. George, on the basis of Pluralism, the ethical theories can be conveyed in terms of two opposing patterns, Ethical Absolutism and Ethical Relativism. There are also other types of theories related to ethics, they are: Theory of Egoism Theory of Utilitarianism Theory of Egalitarianism (on basis of rights and justice) Theory of Non-Egalitarianism On the basis of the contemporary view, the ethical theories can be on: Virtue Ethics Feminist Ethics Discourse Ethics Post Modern Ethics The theories of morality and ethics are somewhat similar to each other. Some of the morality t heories are: Moral Subjectivism Cultural Relativism Ethical Egoism Devine Command Theory Kantian Theory Contractarianism The case deals with the consciousness of the U.S. government over the health hazards caused due to cigarette smoking. It claims that the Gladys Kessler (U.S. District Judge) would claim a penalty of $280 billion from the famous tobacco companies such as, Philip Morris, Liggett and Reynolds. These companies would be penalized if they are found to knowingly deceive the public regarding the addictive nature and risks associated with smoking. It was noted that about 400000 Americans die yearly due to the health issues caused from cigarettes manufactured by these companies. This paper would concentrate on an aspect that deals with the duties that the modern organizations cater to their customers. In the later stage, the essay would focus on the different theories of business ethics and morality. The theories in the course of the discussion would be related to the case study of the paper. The Duties to Customers from Companies In the contemporary world, the organizations are supposed to suffice three primary business goals. When describing about the duties of a company it is essential to shed light on the theories of business ethics. In simple terms, business ethics is often dubbed as the form of professional ethics or applied ethics which examines the ethical principles within a business environment. Moreover, it also appeals to every business aspect and is highly pertinent to the organization as well as the individuals. Business ethics encompasses both descriptive and normative dimensions. Hence, business ethics plays a crucial role in shaping the duties and activities of the consumers towards the company. Similarly, the theory of stakeholder holds high relevance in the field of business ethics. It states that a company has equal real responsibilities towards its stakeholders, but the activities differ from one group to the other. (Source: Elkin gton, 1999) As stated in the above diagram, the organizations must try to improve the state of environment, economy and society. This is as per the theory of Triple Bottom Line stated by John Elkington in 1999. This theory also states that the organization, by uplifting the societies, must try to bridge the gap between the poor and rich customers (Wright, 1995). However, catering to the social justice is the most essential factor that must be addressed by the

Wednesday, July 24, 2019

Case C Study Example | Topics and Well Written Essays - 1000 words

C - Case Study Example But the final decision of Jami is to file lawsuit before the federal or state court. The acts committed against Jami undoubtedly falls within the context of Title VII of the Civil Rights Act (Title VII), which â€Å"prohibits employment discrimination based on race, color, religion, sex and national origin with respect to compensation, terms, conditions and privileges of employment† (Title VII of The Civil Rights Act of 1964, as amended in 1991). In the instant case, several indicators manifest forms of sexual harassment in the work place. Her colleagues who commented on her physical attributes and the offensive gestures of Mr. Clark, who is the Vice-President of the company, by staring at her body parts in a provocative manner, constitutes immoral behaviors that create a sexually hostile atmosphere from the moment she started working. The unbecoming conduct of Mr. Clark carried on as he offered Jami invitations for lunch and spending an out-of-town weekend at his cabin. Even if Jami accepted the invitations on these two instances, her refusal to give in to his sexual demands such as kissing the boss in order to maintain her present position in the company is an indication that she is being subjected to a sexually aggressive and antagonistic work atmosphere. However, since her current financial situation forced her to reconsider giving in to the sexual favors of her boss in exchange for her current job, which she later on rejected, makes her a victim of a sexual harassment case. Her decision to turn down the offer of her boss resulted to her demotion, reduction of half of her pay per year, earned her a poor evaluation performance report and was forced to resign from her job. Clearly, the actions of her employer constitute as intimidation and coercion which subjected Jami in a sexually hostile and intimidating environment. The following twin requirements shall give rise to a sexually hostile environment based on gender: First, the acts(s) must be subjecti vely abusive to the victim(s) affected, and; Second, the act(s) committed must be objectively severe or pervasive enough to create a work environment, that a reasonable person would find abusive. Jami can file a tort claims based on sexual harassment. â€Å"The tort law has been recognized as a proper remedy for a sexually harassed victim(s). These causes of action have been brought under the theories of assault and battery, intention infliction of emotional distress, invasion of privacy, tortios interference with contractual relations, and other tort theories† (Conte 646). Jami can file a claim for intentional infliction of emotional distress as the basis for a tort claim in relation to the sexual harassment case. It can even be proven based on facts that might not even support finding of sex discrimination under Title VII. Sexual harassment victims like Jami experience stress-related ailments including high-blood pressure, chest pains, insomnia or sleepless night, headaches , nausea, dizziness and nervous tics. Due to the sexual harassment initiated by her employer, she suffered from severe emotional distress which forced her to seek medical and psychiatric treatment to help her recover from the traumatic experience. In Retherford v. AT & T Communications, 844 P.2d 949 (1992), the Supreme Court held that â€Å"the act of the employer and co-workers who intimidated her with threatening looks and remarks, and manipulated

Tuesday, July 23, 2019

Preliminary Organizational Analysis Assignment Example | Topics and Well Written Essays - 2000 words

Preliminary Organizational Analysis - Assignment Example The reason for selecting TransAD’s case study is that I am working as a Communication Manager at TransAD since 2007, and I have a keen eye on the issues prevailing in the operational systems of the company. Introduction to the Organization TransAD came into existence in 2006 with the vision of setting benchmarks in taxi regulatory industry of Abu Dhabi according to global standards. TansAD was inaugurated by His Highness Sheikh Khalifa Bin Zayed Al Nahyan. TransAD believes on establishing corporate loyalty amongst its customers by providing them comfortable taxi services at their door step. At the same time, the objective of the company is to regulate the taxi traffic in Emriates of Abu Dhabi. Previously, the taxi services provided in Abu Dhabi were owned by private owners as well as taxi service providers. Now, these companies have merged into one and named as TransAD (The Center of Regulations by Hire Cars). The primary aim of establishing TransAD was to bring uniformity in the taxi operations, policies and regulations (TransAD, 2013). At the moment, the company is facing many issues from strategic and operational point of view. Majority of these problems are caused due to improper planning and execution of the essential projects or processes of organizational development. The senior management of the company thinks that these problems are there because the team co-ordinators are not effectively leading and managing their team. The reduced performance of TransAD’s leaders is also reflected in other aspects of the organization such as hiring of the work force, financial controlling, project management and handling etc. Then there are problems in performance evaluation, which is also the resultant of reduced reporting and monitoring by the TransAD’s team co-ordinators. Synopsis of the Problem Being in the travelling services business, TransAD faces a number of challenges such as recklessness of its taxi drivers or the high employee turnover . Especially challenges in hiring a loyal and consistent work force has remained a significant concern for TransAD. This is because the drivers handle the cash which they receive from the customers against the taxi fares. In this regard, there are a number of incidents reported. For example, a driver left the taxi at the stand and kept the cash for the whole day that he received as taxi fare. The high turnover or employees leaving without prior notice is the resultant of lower level of employee motivation due to organizational issues, boredom at the job and unattractive bonus/incentive packages offered to employees. But from the analysis of TransAD’s operations, it is revealed that the organization has undergone a number of significant strategic issues in its operating capacity. Such as, offering loyalty card benefits to customers or offering customers with inter-city travelling through its taxi services. This particular project has been delayed or not executed efficiently. I nadequate planning and execution of the projects is the biggest reason why organizations fail to achieve its desired aims and objectives. Other reasons being weak management of changed environment and policies, working in the absence of a work plan, poor use of mediums of communication and lack of management quality (Dinsmore & Cabanis-Brewin, 2010). At

Monday, July 22, 2019

Sole Trader Companies Essay Example for Free

Sole Trader Companies Essay Sole trader companies are the ones which are opened individually. For example, there is one person and he fascinated about doing business so he can invest money into the business and he has to do it by himself. It means he has to find out where can sources of finance come and how to control it because he must work by himself without shareholders. There are some sources of finances as follows: * Retained earnings: this is profits of a company after removing taxes, salaries and expenses or something like that and this source should be applied after few months from the beginning. For example, after removing all of expenses like sundry costs, training courts costs we have the balance in our savings account about 9500 pounds. Pizza hut can use that money actively to purchase for their raw materials it is also an advantage of them when they can control their expenditure and save some money so that they can use their money without thinking about charging fees or interests. However, if they base on the money which is saved too much they are going to meet problems because the situations of company will be different depends on different economics phase so they need to think of some ways to make sure that saving money will not take a lot of place in their account. * Selling assets: in case the entrepreneur set up their business but they have problems in capitals so they should sell some products to get money to invest and getting profits. For example, pizza hut can sell their old machines, equipment, or even their own logo. This is seemed to be a risk way because after selling assets they will be lose their control in their business a little and it can lead to situations of having not enough assets to support for producing. * Personal capital: The owners can invest their own money into business for expansion. This will prevent him from the burden of interests from borrowing and he or she can control their business by himself or herself without depending on others one. * Debt finance: it is often used when people start to set up a business, entrepreneurs will ask for borrowing money from their families and friends  first and finally then they will ask for borrowing from others business’s helps. In short, debt finance is used for subscribing the borrowing action of a business to report for their productions. In case Pizza hut is a Public Limited Company Public Limited Companies is the ones which are created from 2 or more than 2 persons. And those persons are called shareholders and each shareholder will own a part of the company which is depends on their financial ability by the ones called shares. The more shares you owned the more donation you have in control of company. By this way the company can mobilize capital easily and there are some sources of finance as follows: * Issuing shares: business can collect money by issuing shares to stock exchange and outsides the business there are going to be some people want to invest money to make profits for themselves so they can use their money to buy the shares and by that way the business can get money and for the person who invested money they will have a position in the business and they will receive dividend each month. * Venture capital: venture capital is becoming increasingly important sources of finance for growing business. This can be done by individuals or groups of shareholders, they have to look for a lot of potential companies or projects and making decisions exactly is not being lacked of. Otherwise, they can easy to meet debts for dividends for example or they can go to bankrupt because they are lost a lot of money for failure projects. * Bank loans: Business can raise their fund by borrowing money from banks and this is seemed to be a good way to get money immediately. However, the business has to think a lot about the interest rate and the repayment ability in case they don’t want to go to bankrupt because of debts. And, business consider loans as long or short term plans to support their business and the considering is depended on the purposes and the amount of money the business want to borrow. For instance, if the business had 1 billion and they borrow 100 million, it would be considers as short – term loans because the amount of money they borrowed is not main money for projects because it too small compare to 1 billion. 1.2 Advantages and Disadvantages * Debt finance: Advantages: everyone when they want to set up a new business so borrowing money is very necessary because it will help the entrepreneur feel more confident and they are going to be stronger in doing business. Disadvantages: besides, they have to think about ways of repaying loans to others. The reason is that they will create a trust and increase their reputation so that they can borrow in next times easily. So, doing business is not always favorable so it requires businessmen to think about ways of existing a lot and when they go to bankrupt there will be not easy for them to face with creators and in the worst case they can be a prison. * Issuing Shares: Advantages: businesses can raise their funds easily by issuing shares and they can expand their business as well. This mobilization capital will not create a debt which the business has to repay. Besides, issuing shares can help business attract and keep good force of staff and the business can connect to potential partners. Disadvantages: The businesses have to accept high fees of issuing. Issuing shares can disperse the ownerships, controllerships and revenues as well. * Bank loans: Advantages: Bank loans are seemed to be a good resources for a business to raise their funds because the business can get mortgages from bank easily and the mission they need to complete is that try to earn profits as much as possible to repay. Disadvantages: In case, the business make lost so that will be a really big issue because if they did not repay on time they will lost their assets but the thing is they have to delay the debts and that’s the reason for interests are going to be increased immediately and the delayer the more interest. Finally then, the more money cannot be paid the more risks of bankrupting.

Goal of My Life Essay Example for Free

Goal of My Life Essay There are many goals in life that I have planned to accomplish. When I was in high school the most important goal was to finish the school with a G. P. A. 3. 0 or higher so that I could get into prestigious colleges. I have accomplished that goal, I graduated high school with a 3. 2 G. P. A. However, when I got into college people start asking me, â€Å"What are you planning to do after you finish college? † This is one of the toughest questions for a college student. Since I have been a student for all my life, I would have a hard time to answer the question. For every typical graduates would do is to find a job that suits with the field that they have learnt or help with their family business. People said that if you don’t have any idea on what you really want to do in your life, start with the things that interests you, things that you enjoy doing. Therefore, my goals in life are to take care of my parents when they are old, marry the best man, help the community, get a good job that makes me happy and gives me enough money to support my family. The first major goal in my life is to take care of my parents because in the Buddhist world, taught me that to take care of your parents is the most virtuous thing in life. Parents are the people that give birth and raise me to be a good person in the society, therefore I have to give back what they have given me for all their lives. The second goal in my life would be every girls’ dream that is to marry the best man (on earth). These days to find the right guy is very difficult thing to do because it is almost impossible. From the research of 100 guys, found that at least 50 guys are gay, 20 guys are married, 10 are in jail, 5 became monks, 5 are unattractive, 5 are disabled, 3 have HIV, 1 is in asylum(27 August 2012). However, I still believe that every person are destine to be with someone, and I will find my best man someday. Another goal in my life is to help others. I believe that every people should learn how to give and take, it’s the only way to make this world a better place. When you make more then you should give back more. By that I mean helping the community. I may not be able to donate tons of money to the people in need but I started off with little things such as littering in proper places and donate essentials to the orphanage. And in the future I would promote education for children that are in need. My last important goal is to get a good job with ood money. In this life I don’t expected to be a millionaire, I just want a job that makes me happy and gives me enough money to support my family. The reason why I don’t want to be a millionaire is because when you make more money, money will consume more of your time and you won’t be able to enjoy your happiness. I have set these goals to remind me that these are the reasons why I am here. And everyday that I live, everything that I do more or less would help me to accomplish these goals.

Sunday, July 21, 2019

Effect of the Financial Crisis on House Prices

Effect of the Financial Crisis on House Prices Financial Crises. Analysis of House prises in London  and Almaty and how world financial crises  affected Kazakhstans economy. The subprime market crisis that hit the financial markets in the summer of 2007 caused a series of negative market reactions on a global scale. The tightly entwined nature of world financial markets represents a global loop whereby occurrences in one market have implications in and for others. This factor has been and will continue to be one that triggers international financial incidents, and in some cases they result in what are termed as a crisis. A crisis is defined as â€Å"†¦an unstable or crucial time or state of affairs in which a decisive change is impending; especially :one with the distinct possibility of a highly undesirable outcome†[1]. This describes the financial situation that forms the basis for this study, the subprime mortgage meltdown in the United States that hit the global stage in the Summer of 2007. In equating the ramifications of the preceding, two locales will serve as the focal point of the foregoing. London and Almaty are two examples that offer a distinct contrast in terms of where they sit in the global economic arena. London is located in the financial stable European Union, and is a city that has gone through differing economic turmoil in its long history. Almaty, is located in Kazakhstan, a new country that was borne out of the ashes of the break-up of the Soviet Union, and is seeking its economic identity through creating an infrastructure that is being crafted from the state run Soviet system that left few positives in its passing. The financial services sector is often a little understood arena owing to the complexities of how it operates within the context of international economic activity and the variables of the market economy. The intricate nature of the ties between differing regions, and how they interact upon one another represents a complex set of macro and micro economic aspects within which this crisis developed and impacted every corner of the globe. This study shall look into the manner in which this financial crisis affected the real estate markets in Almaty, Kazakhstan as well as London, England looking to uncover the why of this impact, along with the ramifications. 1.0 Introduction The tightly interlinked nature of the global economy has brought every corner of the globe closer together as a result of the advances in technology. This fact is also of course true for the financial services sector. In the later part of 2006 a financial issues began brewing in the United States as a result of lending activities in the home real estate sector. The underlying problems created from the lending of favourable interest rate loans that were put into motion by the Federal Reserve System in the United States to spur economic growth translated into a later meltdown as a result of defaults. The Secretary of the Treasury, Henry Paulson, Jr., stated that the situation â€Å"†¦ came about because of some bad lending practices[2]. Timing, circumstances, and other factors in the complex web of national economics that are tied to global economics can generate an unpredictable set of occurrences that can mushroom in almost any direction. Such is the situation that befell the subprime mortgage arena as it reeled from a cascading series of events than impacted global markets. So great were the ramifications that the situation still threatens the U.S. economy. Fears of a recession have been forecast as a possible outcome of the downturn this situation contributed to. The discussion of what transpired in the United States is integral to understanding the wave of events that represent the focus of this study. There are those who believe that the foundation for the crisis was laid in good economic principles, and it was the greed of some operators in the U.S. financial sector that abused the directive with what is termed as predatory lending practices[3]. There are others who fault funds and banking systems for helping to fuel the underpinnings that lead to the crisis, and still others who think that such market shake outs are the way in which the international financial sector finds ways to deal with loose bolts within th e system[4]. Alexander et al (2002) tell us that[5]: â€Å"Finding that some loans are more risky than others does not, by itself, imply a market inefficiency. Inefficiency exists only if loans with different risk receive similar interest rates. We document such an inefficiency†. The ramifications of the tightly wound international financial system is that while it provides opportunities to make money, it also magnifies the downsides and loses money. Gains always have their negatives, thus financial mishaps have and will continue to happen. In understanding the subprime financial crisis, a broad number of topic areas will be covered herein to draw a picture of the matter in which financial markets work in this instance. One key aspect of the foregoing is liquidity. McGee[6] tells us â€Å"The essence of a liquidity crisis is a flight from riskier assets to cash†. In understanding the many contributing factors, one has to be mindful that this situation originated in the United States, thus there are other considerations that also factor into the equation. Financial crises situations are nothing new; they are market occurrences that appear on an all too frequent basis. Chi and Gai[7] provide a perspective on this: â€Å"The spate of financial crises in emerging market economies as diverse as Brazil, Korea, Mexico, Russia, and Turkey, during the 1990s has focused attention on the importance of improving the policy framework for the management and prevention of crises. A distinctive feature of these modern crises has been the role of imbalances in the national balance sheet. Maturity, currency, and capital structure mismatches meant that the capital account took centre-stage, with large external financing gaps emerging as a result of unparalleled reversals of capital flows. Foreign investors wanted, and attempted, to withdraw from these countries at the same time, much like a run by depositors on a bank. Once sentiment soured sufficiently so that a critical mass of investors rushed to withdraw their claims, the crises became self-fulfilling as others found it rational to join the herd.† The preceding situation represents a different financial crisis, however it does provide us with some valuable insights that will guide us through the varied aspects that will be discussed herein. The important part of their statement is the fact that risk represents an underpinning in financial transactions, thus risk is a situation to be minimised. A sense of the complexity of this examination is provided by Langley[8] who states: â€Å"Any attempt to apprehend contemporary world finance encounters not only significant structural changes that cannot easily be captured, but also the predominance of neo-liberal political economy in framing our knowledge of world finance. Alternatives to the neo-liberal mode of knowledge of world finance are a necessary first step towards forestalling the worst eventualities of the current structural transformation. Neo-Liberalism represents a facet of this examination in that[9]: â€Å"The most powerful coalitions between state agents and economic actors are found in liberal political economies. The Soviet Union offered an alternative to capitalism that theoretically emphasized economic justice and material welfare, one that intertwined economic and political power even more closely together than elites are thought to be in liberal capitalist states. Even so, the power of the economic agents of the Soviet state was more structurally constrained than the power of capitalist states and their agents. In a global economy, the underpinning foundation is capital, and the movement of that capital to effect borrowing and lending, along with the financial instruments that accompany such action[10]. Capital movements have cycles that are marked by up turns and down turns based upon the activities within markets and the decision of the cogs (individuals) that run the machinery. The foundation, influence, reasons and reasoning behind those decisions represent paths that lead in differing directions which impact other course of actions that create cycles. This study shall follow these paths as they related to the subprime crisis. 2.0 Background As indicated, the financial crisis under examination originated in the United States, starting as far back as 2002. The ramifications of that event shall be covered in the Literature Review of this examination. In setting up the path of understanding for the journey through the twists and turns of the crisis, a foundational pillar of understanding is necessary in order to see the varied ramifications. Carrada-Bravo[11] advises â€Å"the process of creating value starts with the identification of a market need.† Today’s international financial system is an outgrowth of[12]: â€Å"The collapse of the Bretton Woods system of fixed exchange rates in the early 1970s marked the last major turning point in the evolution of global finance, ushering in the generalised non-system of exchange rate arrangements that survives today. However, at least as important in the development of international financial relations since then has been the enormous growth in the volume of international capital flows. In large part, this growth is attributable to the dismantling of the panoply of exchange controls introduced during the Bretton Woods era to facilitate exchange rate management by central banks under the auspices of the International Monetary Fund.† In understanding the dynamics of the circumstances that comprise the comparison of events in London and Almaty, Makin[13] provides us with an important capsulisation of the underpinnings that will be brought out herein: â€Å"The domestic financial markets of many economies have therefore been increasingly internationalised in the wake of liberalising policy initiatives implemented by governments around the world. Financial market liberalisation in many advanced economies was virtually complete by the late 1980s. With the removal of previously stringent regulations over domestic and international financial transactions, institutional barriers impeding the movement of financial capital between many regions of the world have now largely disappeared. Accompanying the domestic deregulatory changes were tighter prudential arrangements in advanced economies aimed at strengthening the capitalisation of banks and hence the stability of domestic financial systems. Such accompanying arrangements have been lacking in many emerging economies however and this has been a fundamental reason for recurrent financial crises in these economies†¦Ã¢â‚¬  The highly integrated nature of international financial markets as a result of globalisation has integrated national economies to the point that the world is virtually a seamless flow of capital. The foregoing, combined with the international liberalisation of world financial markets that arose out of Bretton Woods facilitated a dramatic increase in financial movements across borders that has been aided by advances in technology that have reduced transaction time, and lowering costs[14]. The increased efficiency of the preceding has helped to increase the pool of funds available for lending activities to all nations. Capital mobility is the underpinning for the preceding as fund availabilities can be quickly correlated. These advances have brought with them inherent problems, one of which is an important facet of the manner in which the subprime crisis impacted Almaty more than it did London. The following provides insight into an area that is an important point of understanding to b e remembered[15].: â€Å"International money market activity of this order and the lightning speed at which funds can now quit countries has also prompted many commentators to question its worth and, in light of heightened vulnerability to foreign investor sentiment, to emphasise its perceived dangers. In particular, strong objections to the ever-increasing trend of financial globalisation have been raised on the grounds that the governments of the economies most affected have ceded their economic sovereignty to international investors.† Thus, the actions of individuals within a market can start a feeding frenzy based upon the promise of available opportunities that seem to be available in the future to entice bankers into lending policies that incur the preceding. This is exactly what occurred in Almaty, as shall be explained in the Analysis. Given the aforementioned complexities involved in a discussion of this crisis. This background is being utilised to inject core issues that will be useful in understanding the circumstances and other areas to be explored. In finance, risk equates into a higher rate of return as fewer opportunities for borrowing are present. This has been a fundamental principle of lending since antiquity. High current account deficits along with rising foreign debt, means more risk, thus interest premiums must be charged. This makes the cost of money higher inside a country and acts as an inhibitor to borrowing. The preceding translates into the creditability of the borrower and the circumstances involved. Desai and Said[16] help us in understanding the relationships involved in international finance in term of how they apply to the countries in which London and Almaty are located in, which impacts the events that occurred: â€Å"Financial crises, from the perspective of territorial order, arise because of a loss of control by sovereign states over financial markets and financial flows. The problem is invariably seen as one of inadequate regulation, the failure of governments either individually, or in concert with others, to exert sufficient control over the international economy. Economic agents have created patterns of activity which have escaped the control of governments. The response to these problems is to find ways of restoring the control of each sovereign state over these activities by increasing regulation. This may involve enforcing existing powers, or creating new institutions, either intergovernmental or national in their scope.â€Å" In times of crisis, increased financial regulation is imposed either internally by the sovereign state, or externally by lending controls that make the cost of money more expressive, and thereby limits its use. This represents what Desai and Said[17] tell us is â€Å"cosmopolitan order† in global finance that:  ·Ã¢â‚¬ ¦ emphasises not state sovereignty but either market sovereignty or the sovereignty of capital accumulation. There are many different variants of the cosmopolitan conception of world order including neo-liberal, Marxist and Austrian strands but what all of them share is the assumption that the state and politics are subordinate to the way in which the economy is organised, whether this is the spontaneous market order of Hayek or the system of production relations of Marx. These structures determine how the society as a whole evolves and they supply its ordering principles. This means that states have to operate within fairly tight constraints, imposed by the way in which markets and accumulation work. They do not have much discretion in determining their responses. The growth of a global system of production and exchange, from the very first, tended to run ahead of states and national jurisdictions. It ended up undermining and circumscribing them. It has not destroyed them, but it has created powers, resources, networks and institutions which go far beyond them and which it is impossible for states to control without destroying the conditions for economic growth and prosperity and with them the fiscal basis for their own existence. World order is cosmopolitan rather than national in this sense. It is based not on states and intergovernmental co-operation, but on the logic of markets and capital accumulation.† The preceding is another important central aspect that is a part of this study, in that it applies to Almaty, and how the subprime meltdown ripple effect was handled to bring about a correction in Kazakhstan. 3.0 Methodology The approach to this study utilised a number of techniques to approach the examination of how the United States subprime mortgage crisis impacted Almaty and London. The complexity of the situation entailed looking at economic, statistical, historical, pre and post market factors, and other elements to equate the forces acting upon various markets in order to glean a picture of the what transpired. The following will set forth the various techniques used. 3.1 Research Philosophy and Approach Qualitative and quantitative research was used in this study as the combination of these two approaches led to a more comprehensive understanding of the forces acting upon the situation. The foregoing aided in equating key aspects of the study as represented by occurrences that transpired in the market, along with historical components. Secondary research that entailed books, journals, magazines and the Internet were used as the study entailed gathering past data and contemporary information in order to compile a picture of the situation and aspects associated with this investigation. As the range of the examination took in a broad array of financial, market components, it must be understood that in researching data it might have been possible that some information was either overlooked and or not available. The volumes of data on the study also rendered the possibility that some more important sources of information where not found that could have potential altered the findings, ana lysis, conclusions and or recommendations reached. In order to guard against such possibilities a number of differing sources were reviewed in order to form a more balanced assessment of the information. 3.2 Research Strategy One of the research methods utilised in this study represented what is termed as a cross-sectional study. The foregoing represents a method entailing observation of a number of items during the same point of time[18]. The preceding was utilised as opposed to a longitudinal study as the later represents observations occurring over a long period of time[19]. In conducting this study utilising the cross-section method, the foregoing entailed explorative, as well as descriptive and explanatory facets as it delved into the nuances of the industry, seeking to describe the contextual factors, along with the explanation of strategies, and tactics. The vast views of approach, and thought contained in understanding this study takes in a broad range of secondary research as this method provides exposure to a balanced view that is not skewed by what can occur in primary research. Secondary research allows us to be in touch with many different points of view, however, it can not always be relied upon as the researcher may have sourced the wrong materials in making the analysis, and or missed certain key points that were either not available, or unknown at the time the study was conducted. Secondary research represents the gathering of information from books, journals, articles, other research sources, and case examples. Secondary research represents a means to collect information regarding techniques and procedures, as well as strategies, rationales and the reasons behind courses of action, and or circumstances. Within this study, the literature search represented the main sources of information. It, the literature search, consisted of an examination of existing material, searching for information pertinent to the project. The means via which to approach the study of a project can take on many forms. Inductive and deductive research represent two techniques that can be brought together to understand the views of differing approaches to the area under examination[20]. The combining of research methodologies has been advised as a means to improve the quality of an examination, and it is possible to bring these different approaches to bear on one study, whereby there are advantages in so doing. Table 1– Comparison of Inductive and Deductive Research[21] Saunders’ (2006, p. 121) advises that the path of deductive research often is faster in terms of completion, as the data collection is usually based on what he terms as â€Å"†¦ one take†. Inductive research however, states Saunders (2006, p. 121) â€Å"†¦ can be much more protracted †¦Ã¢â‚¬  in that frequently the ideas are â€Å"†¦ based on a much longer period of data collection and analysis † all of which has to emerge gradually. 3.4 Research Questions In order to equate the answer or answers to the query entailing how the financial crisis impacted the real estate sectors in London and Almaty, the research questions entailed looking into an understanding of how economies work on a national as well as international level, along with financial market operation on a national and international level. 4.0 Literature Review Allen[22] in his book â€Å"Financial Crisis and Recession in the Global Economy† tells us of the fact that the â€Å"†¦rapid expansion and globalisation of financial markets shadows most other recent developments in international economics†. The foregoing is a critical component in the understanding of the recent U.S. sub prime mortgage crisis and its impact on global markets. Allen[23] advises that during the past twenty years, the international financial sector has changed and advanced in dramatic fashion, earmarked by the introduction and success of an entirely new currency, and change in the underpinnings of financial cohesiveness that impacts the countries of the European Union as well as the rest of the world. The Euro is the singular most noteworthy development in the rapid expansion of international finance that is marked by a host of important occurrences. He explains that new financial instrument such as derivatives, offshore banking, offshore financial markets, along with numerous other developments are at work in a global financial system that binds itself closer and closer by degrees each day Allen[24]. In his book, Allen[25] explains that the advances in information technology has directly impacted the growth and interlinkages in international finance as he states: â€Å"A financial transaction can loosely be defined as any business arrangement where money changes hands but the only other thing that changes hands is documentation. Both money and documentation are moved by information technologies; therefore financial market activity is enhanced by advances in those technologies. Expanding use and performance of electronic and regular mail service, telephones, computers, fax machines, image processing devices, communication satellites, fibre optics, the World Wide Web and so on creates better opportunities in finance† In illustrating the foregoing, Allen[26] explains that in the early 1980s financial transactions were communicated across telephone lines, via facsimile machines, and satellite transmissions that were â€Å"†¦collectively owned and operated by national governments through Intelsat in proportion to national use†. In his book, Allen[27] advises that developments in the speed of transmission of the facsimile machine during the 1980s corresponded to increases in international financial transactions. In the early 1980s a single page transmission took six minutes, by the end of the 1980s that time frame was down to three seconds. Increased speed in transmission times helped to facilitate international financial transactions, thus bringing global financial instructions closer together in terms of their ability to conduct business in a more timely manner. In today’s world, international financial transactions take place over T1 networks employing packet-switching networks that can communicate with any bank, anywhere almost in real time, as volumes of data and documents can be transmitted in seconds[28]. The significance of the advance of technology is further explained by Allen, as he stated[29]: â€Å"Changes in communications have always affected the structure of finance, but these developments of the last few decades are responsible for the truly global nature of todays financial markets. As participants use these new technologies and networks, linkages are formed between various national and international sub-economy financial markets. New international opportunities have occurred for centuries, but only recently has interdependence become so pervasive to merit the word global† The rapid developments of information technology and its impact on global monetary movements brought capitalist economies closer together and rendered the opposing state planned economy as a dinosaur, thus, along with a long list of other important development, helped to lead to the collapse of communism as an alternative economic system[30]. The developments in information sharing systems, transmission, interbank transactions, international currency and stock trading underpins what is termed as the global economy that transcends the century’s old manifestation of borders. DeMartino[31] helps us to better understand the preceding by explaining: â€Å"†¦emerging today is not just the latest experiment in economic organization, it is, indeed, the highest possible form of economy. Global neoliberalism, the extension of market-based economic integration across all local, regional and national borders, will provide humankind with the optimal means to achieve prosperity from now until eternity. With the perfection of the global capitalist market economy—and the consequent eradication of communism socialism and all forms of state planning—economic history as the contest among alternative forms of economic systems †¦ come(s) to an end.† DeMartino’s[32] statement concerning neoliberalism represents an important concept within the context of this examination, thus it shall be explored briefly, to add illumination as to its meaning. Martinez and Garcia[33] help us to understand the foregoing by stating: â€Å"Neo-liberalism is a set of economic policies that have become widespread during the last 25 years or so. Although the word is rarely heard in the United States, you can clearly see the effects of neo-liberalism here as the rich grow richer and the poor grow poorer. Around the world, neo-liberalism has been imposed by powerful financial institutions like the International Monetary Fund (IMF), the World Bank and the Inter- American Development Bank.the capitalist crisis over the last 25 years, with its shrinking profit rates, inspired the corporate elite to revive economic liberalism. Thats what makes it neo or new.† The concept of neoliberalism comes into play in terms of the ramifications of the recent U.S. subprime crisis. The following, represent market undercurrents that help to explain the underlying as well as overt facets involved that were linked factors that impacted the economy of Kazakhstan, along with the banking and financial market fallout from the subprime crisis. Per Martinez and Garcia[34] neoliberalim’s key points represent: Rule of the Market: This aspect of neoliberalism represents the freeing of private enterprise from bonds that are imposed by the state, irrespective of the impact such causes in terms of social change. The preceding entails developing internal mechanisms and policies that foster an increased openness to international investment as well as trade. In addition, price controls are removed, along with freedom of capital movement, services and goods. Deregulation: This aspect calls for the reduction of state regulation of all areas that would have an impact on reducing profits. Privatisation State owned enterprises are divested, representing banking institutions, utilities, hospitals, important industries, education system and allied areas. Unfortunately, in most instances privatisation has had the effect of putting a concentration of wealth in a few hands when systems are dismantled, as has been the case in Kazakhstan as well as other former Soviet bloc states, resulting in higher prices for goods and services. Elimination of the Concept of the Public Good or Community This represents replacement of the foregoing with what is termed as individual responsibility. This is exampled by pressuring the poorer segments of society to find their own solutions for lack of health care, employment and education, and then finding fault when they do not solve these and or similar problems Martinez and Garcia[35] further explain neoliberalim, by advising that it represents a policy reform that has been imposed by the World Bank and other g

Saturday, July 20, 2019

Rawls Concept Of Justice As Political: A Defense Against Critics :: Philosophy Philosophical Rawls Essays

Rawls' Concept Of Justice As Political: A Defense Against Critics ABSTRACT: Rawls' theory of justice as fairness involves a central contention that principles of justice essential to the structure of a constitutional democracy must be viewed as political in contrast to more comprehensive moral, philosophical or religious doctrines. The concept of justice is not its being true to an antecedent moral order and given to us, but its being congruent with our self-understanding within the history of justice as political is not a mere modus vivendi, for it embodies an overlapping consensus that does have a moral basis. Critical reaction to Rawls has been that what is simply a consensus within a tradition of public discourse cannot afford an adequate criteria of moral justification, and that Rawls cannot define the moral basis for justice as fairness without some reference to a comprehensive theory of the good. But it will be argued that critics are missing what is central to Rawls' theory of moral justification as what he sees to be the outcome of a proce ss of "wide reflective equilibrium" in which principles of justice initially given within a tradition are weighed against rival moral theories and in relation to scientific theories of human nature and society in order to establish what seems "most reasonable to us." It is the central contention of Rawls that the principles of justice essential to the structure of constitutional democracy must be characterized as political in contrast to more comprehensive moral, philosophical and religious doctrines on which agreement is not possible within the pluralism of modernity, and that the concept of justice is not its being true to an antecedent moral order, but its congruency with our self-understanding within history and traditions embedded in our public life. But Rawls emphasizes that the concept of justice as political is not a mere modus vivendi, for it embodies an overlapping consensus by specifying the fair terms of cooperation between citizens that are regarded as free and equal. This consensus encompasses the concept of primary goods: basic right and liberties, powers and prerogatives of office; income and wealth; the basis of self-respect. It also encompasses the "difference principle": in which economic inequalities are allowed so long as thi s improves everyone's situation including that of the least advantaged. The overlapping consensus, Rawls further specifies, is not a consensus simply in accepting a certain authority, or simply as compliance with certain institutional arrangements.

Business And Government Agencies :: essays research papers

Business and Government Agencies The primary focus of my topic is three fold, first if a high ranking official from a firm were to become the Director of an agency and his former company is asking for approval of a drug, how should the Director act in regard to this rulemaking? The second question is not a difficult, if a former Director were to assume a position at a firm asking for approval of a drug, how should the former directors position influence the decisions of the agency? Finally how could government regulation limit the potential conflicts of interest from the "Revolving Door"? The first scenario answer is both ethics and law based. It would be unethical for the Director to have any influence what so ever in this circumstance. Realistically the Director would have probably at least an influence to the degree that those who work for him would at least try and guess his desire for the outcome, at worst he would directly or indirectly tell them. Probably at this point no procedural rules have been breached. This is of course only if the director has not tried to influence the Administrative Law Judge in which case many legal issues could be raised, more on that in question three. Back to the ethics involved, it would be very important if the Director were to try and be ethical about the issue he/she should give the appearance of ethical procedure. One way this could be done is that a recommendation could be made rulemaking be in a formal format. In addition she/he should be very careful to limit ex parte contacts between himself and his former business associates. Under no circumstance should the Director have conversation of any nature involving this case. Under the circumstance that the drug was or was not approved, the case could go before Judicial review, there any appearance of unethical behavior could not only be be evidence to support a plaintiffs claims, and even case a de novo review, but even worst it could be food for the media and a public scandal. The second question if the director were to leave and become a superior for a firm. I don't see this as a big threat, the new director would have his new alliances. It would seem like any influence that the former director would have would have to be kept to a minimum in order to preserve the rulemaking under the circumstance that the findings were on the firms behalf. As a company representative he should not personally make ex parte contacts with the agency

Friday, July 19, 2019

Early Arizona Women Teachers :: Essays Papers

Early Arizona Women Teachers At the end of the nineteenth century, Arizona was not a state, merely a territory, with a fledgling government and an even more rudimentary school system. Great distances separated people and often the eight children required to start a school and hire a teacher could not be gathered in an area. When they could, however, the teacher was often in for a surprise. Holding school in old saloons, carrying water to the schoolhouse every day, having to use turned over barrels for desks, and being the sole caretaker of the schoolhouse were just a few of the hardships faced by teachers. For women teachers, there were still more: being paid less than male teachers, even though they were the majority, being unable to keep her job if she married, and not being able to attain higher positions such as superintendent or principal. Despite these conditions, women actively and ably pursued careers in teaching, and often went beyond the call of duty for their students and their community. By facin g many obstacles and overcoming them, the early women teachers of Arizona greatly improved the status of Arizona schools and that of women everywhere. In this period, the lot of teachers was a much more expanded role in the community than that of present-day teachers. Many teachers had to become translators when faced with the problem of teaching children who knew little or no English. In the book, Portrait of a Teacher: Mary Elizabeth Post and Something of the Times in Which She Lived, Ruth Leedy Gordon explains that Mary Elizabeth Post, an early schoolteacher in Yuma,learned Spanish simply to communicate with her students (10). She also wrote recipes for her pupils’ mothers in Spanish and went to their homes to show them how to cook new dishes (76). In their collection of stories from the pioneer days in Arizona, Dust in Our Desks: Territory Days to the Present in Arizona Schools, Alleen Pace, Margaret Ferry and L.J. Evans recorded that in an Arizona town called Morenci, teachers taught night classes for those who wanted to learn English, as well as those who wanted to learn Spanish (29). The language barrier created a lot more work for Arizona teachers, work that was not written in their contracts, but they took on the task of learning another language and teaching English to others without complaint.

Thursday, July 18, 2019

My Fair Lady – How is Eliza transformed from a ‘squashed cabbage leaf’ into a ‘duchess’?

Dublin born Bernard Shaw made the elevation from his Synge Street origins to a famous writer. The blockbusting musical, ‘My Fair Lady' derived from Shaw's most prominent play ‘Pygmalion' which was also popular in the early 20th century. In the 1900s, class was very important and the belief that you were born into a class and stayed there was common knowledge. Shaw wrote ‘Pygmalion' because the distinction between the working and middle class had never been made. The play shows the differences between the classes and how a common ‘guttersnipe' can become a respectable member of society. Well, if Shaw managed it why couldn't his main character, Eliza. â€Å"Liza Doolittle.† The cockney girl is not only dirty, in need of a dentist, unfashionable and common but also has a coarse, even painful, voice and badly pronounced language. Despite of Eliza's flaws we feel sorry for her and her likeability stands out. Eliza takes the initiative, after hearing Henry Higgins's boast, to change the way she is. â€Å"I want to be a lady in a flower shop stead of sellin' at the corner of Tottenham Court Road†. Eliza goes to Higgins's lab in Wimpole Street. Eliza tries to clean herself up by washing her hands and face and offers to pay Higgins for phonetics lessons all in the effort to make herself equal to those around her. â€Å"Did you tell them I come in a taxi?† Eliza knows that she'll have to act like a lady as well as talk like one but she must also look like a duchess. Mrs Pearce, the fiery housekeeper to Henry Higgins, will often speak her mind to Higgins especially on her thoughts of Eliza. Mrs Pearce makes Eliza look like a lady by bathing her and dressing her in the day's fashions. Doolittle, Eliza's father, stands out of Eliza's way when she is clean and nicely dressed. â€Å"Don't you recognize your own daughter?† This shows that asceticism is important in the distinction of the classes. Professor Henry Higgins believes that phonetics will change Eliza into a duchess. Eliza learns to speak properly and she is accepted by the Eynsford-Hills when before, in Covent Garden, she was rejected by them. This means that phonetics also made Eliza into a duchess. However, Eliza did not have social niceties and had to learn not only how to speak but what to speak about. â€Å"Of course she's not presentable, if you suppose for a moment that she doesn't give herself away in every sentence she utters you must be perfectly cracked about her.† She obviously needs social ability to be more Lady like. Colonel Pickering and Higgins are very different in the way that they treat Eliza. Pickering treats Eliza with respect and makes her confident and Higgins bullies her though I believe both make her into a duchess. Higgins' bullying and mean remarks make Eliza strong. â€Å"I'm not afraid of you, I can do without you.† Pickering treated her as she ought to be treated, giving her the power, confidence and bravery to stand up to Higgins. In conclusion, I believe that like many things, it was not one aspect that changed Eliza. She couldn't have become a ‘duchess' without aesthetics, phonetics and social ability and a Lady wouldn't take Higgins' bullying. But, Higgins and Pickering did teach Eliza an unexpected lesson – it is not how you look or how you speak that matters, but the treatment you receive. For even if Higgins ‘treats a duchess like a flower girl', Pickering will always ‘treat a flower girl like a duchess'.

Wednesday, July 17, 2019

Similarties and Differences Between Romeo and Juliet Movies

Shakespeargons Romeo and Juliet Is a lam based on love, hate, tragedy and sacrifice. It has been retold some(prenominal) assorted sequences in some(prenominal) written and film text and it is efficacious and timeless throughout the use of many another(prenominal) techniques. Baz Luhrmann and Franco Zefirelli are two directors who fork out do this classic job into film. Both directors have portrayed the major guessings within the play with some confusableities and unlikenesss. The three major hold prospects being discussed are the fight scene at the start, the fight scene amongst Tybalt and Mecrutio and the death scene of Romeo and Juliet.In the first scene, the reference is introduced to the hatred in the midst of the two feuding families, and twain directors portray this in similar and different ways. One similarity is the camera angles at that place are oddment ups to reveal the transparent emotion on the Capulets and the Montagues establishments and birds ey e views to re search the conflict. A noticeable difference between the versions is the music Luhrmann uses intense, powerful music to localize the mood, however, Zefirelli uses the crowds uproar.Another difference is the depiction of Christ in Luhrmanns, a enormous statue of Christ is shown as a original of the power of the Church over the lives of the mountain below. On the contrary, in Zefirellis, no pietism is revealed. During the fight scene between Tybalt and Mecrutio, Luhrmann and Zefirelli nestle it in a very similar barely contrasting manner. In Zefirellis version, the atmosphere is almost comical as the two battle it out until Tybalt takes it too far and fatally stabs Mecrutio. In Luhrmanns, Tybalt seems control with rage and fights Mecrutio mercilessly.The similarity in two versions is that when the fight ends there is a close up on Tybalts face that reveals his regret towards Mecrutios death. During the conflict, Luhrmann cleverly uses a visual metaphor in the accentuate the brewing of a storm. As the scene gets more than intense, the storm becomes more pronounced, until ultimately it is unleashed as Romeo kills Tybalt. Zefirelli delivers his fight scene more mundanely. In the scene were Romeo and Juliet die, Luhrmann and Zefirelli approach it in two different ways that are both effective in their similarities and differences.Luhrmann portrays Juliet as the centre of attention, dressed symbolically in white, surrounded by a sea of candles. Both versions include a thrust of the dead star crossed lovers trickery in each others arms, finally together. In Luhrmanns, he builds up the suspense until you almost believe Juliet entrust wake up in time to stop Romeo taking the poison. Whereas Zefirellis leaves no doubt that they will not be together. A crucial final difference in both versions is that Luhrmann never shows the families reuniting.In the play, Capulet and Montague barrack to end their feud in the Zefirelli film, the families receive visually. Zefirelli and Luhrmann have both made big versions of Romeo and Juliet, both approached it in different provided similar ways. Zefirellis version is intriguing, but the overall winner is Luhrmanns. He captivates the audition with an amazing cast, exciting camera angles and enchanting music. Despite the modern outtake of his interpretation of the play, Luhrmanns film language remains Shakespearian, which gives it that received touch.

Tuesday, July 16, 2019

Thin Film Solar Cell

Thin Film Solar Cell

Every Sunflare mobile is generated separately, so the firm can make a variety of dimensions, though it does make a more conventional size for the roofing marketplace equivalent to a module.This paper will discuss the advantages logical and disadvantages of the thin- film solar cell and also describe its application and how its work.Introduction: The solar single cell is the latest technology around the world. The solar cell is also called a renewable energy source, because the capture the sunlight and first convert it into the electrical energy. There are different types of solar cells, but the most important one is a thin- film solar cell.Clearly, the late little cell in a calculator isnt big and bulky.Solar cells are made out of semiconducting material, usually silicon. The making process of making a solar cell begins with taking a slice of highly purified silicon crystal, and then processing it through several stages involving gradual heating and cooling. Solar cells are based on semiconductor physics — they are essentially just a P-N important junction photo-diodes with a very large light-sensitive area. Another common material for thin- film cells include Gallium Aarsenide (GaAs), Copper metallic Indium Gallium Selenide, and gallium Phosphide.

They are the most essential quality of a panel.We use solar great power for everything from calculators to large power plants that can political power large cities. The most common applications for solar panels are used for small evices. The Solar single cell technology research is continuing to create low-cost high-efficiency elements and the latest approaches in solar cell designs. Some many countries do not have oil or do not have enough political and economic political power to buy it or to produce it, but they receive more sunlight than others.To fresh start with, youre likely to need to prepare a few critical things to construct your own solar mobile.4%.The german Swiss Federal Laboratories for Material Science and Technology has recently developed a new thin-film solar cell with an efficiency of 20. 4%. Those cells are based on CIGS (copper indium gallium (DI) selenide) semiconductor material.

Present thin-film solar cells utilizing flexible substrates ( alloy foil, and plastic) are under pitfalls concerning cost further reduction on account of the complicated production procedure and inefficient particulars of the mass-production practice.There are four different types of thin-film solar cell. 1. Amorphous silicon (a-Si) 2. metallic Cadmium telluride (CdTe) 3.It is truly.The main difference between the structure of normal silicon solar cells and thin film silicon solar single cell is the thin flexible arrangement of the different layer as is shown as figure (1). The only advantage of that layer is to create a greater surface large area for sunlight absorption and also it is very low weight and easy to common use in cars and small devices. Figure (1) We use calculator everyday in our log normal daily routine.These solar powered calculators have a small solar cell at the top corner of the calculator.

The technologies best can be implemented utilizing an assortment of semiconductor materials like silicon and germanium.Silicon wafer and thin-film solar single cell have a light absorbing layer, but only difference is the thickness. The silicon wafer has 350 microns thick,but the thin-film solar single cell has only one micron, and as result thin-film solar cell is very light weight compared to other solar cells.Thin-film solar red cells are made of several layers. Those all layer helps to absorb light.Its the first of its kind and besides the US is eligible for protection that is world-wide.The figure (a) shows the basic theory of the different layer stack of the thin-film solar cell.Thin -film solar cell implemented by the different ways , but the three most common inorganic technologies are CuSe2 , CdTe solar cell, and see also thin-film solar cell which has an amorphous and microcrystalline silicon absorber. There are three major different types of thin-film solar cell. 1.

Each of the thin-film technologies also give the prospect of ubiquity.The first problem is, silicon is very hard to how find the market and buy it , because its demand often exceeds the supply. The second thing is, this new type of solar cell has very low efficiency. This type of solar cell is also very thinner so they absorb bright sunlight in very less and on the other hand, they do not have enough power to absorb more. Therefore, they used in calculator and other very small and low power consuming devices.Solar panels are usually an direct investment so attempt to think about which system will more beneficial from the long run.More flexible and very easy to handle it.4. Less thinner than crystalline solar cell. It can be as thin .

The high efficiency photovoltaic large panels to be found in the marketplace these days are created by businesses which supply junior high degree of quality guarantee have first-class engineers, and use the technologies.Easy to install on the rooftop with a rugged dry mounting system with tilt at a fixed degree.6. Thin film solar cells have better performance in the hot weather. See table (1) below.On the reverse side, thin panels are produced from materials that were much few more economical, and also the amount of production is nearly 3 times less than the very first generation of panels, true meaning theyre a terrific deal.Table (2) Condition| Crystalline Efficiency Drop| Light San Francisco fog| 8%-15%| Heavy San Francisco fog| 15%-20%| Cloudy & raining| 20% – 50%| Heavy cloudy & raining| 50% – 90%| 2. They have complex structure. 3. Different version requires its own unique installation skills.