Tuesday, December 31, 2019
Memo for Motion Against Summary Judgment Essay - 2002 Words
I. Introduction and Standard for Opposition to Summary Judgment Crowell Academy, Inc. and Arturo Gomez, (hereinafter, collectively Crowell) were grossly negligent and used willful misconduct in their responsibilities involving the fencing club. The bargaining power of Crowell was so grossly unequal so as to put Lajuana Barnett at the mercy of Crowells negligence. Lastly, the exculpatory clause contained in the release form (see release form) is void as against public policy. Consequently, under Maryland law, it is up to the trier of fact to determine if the exculpatory clause is unenforceable. As such, there is a dispute as to the genuine issue of material fact related to Crowells Answer, Crowell can be liable to Lajauna Barnettâ⬠¦show more contentâ⬠¦The defendant did not ask whether the plaintiff was left or right handed, and the plaintiff, not knowing otherwise, put on her equipment the same way as she saw the other members of the club putting on their gear. A waiver of a right to sue is ineffective to shift the risk of a partys own willful, reckless, or gross conduct. Id. at 543 (citing Winterstein v. Wilcom, 16 Md.App. 130, 134-36, cert. denied, 266 Md.744 (1972)). In the present case, the defendant was certified by the U.S. Fencing Association to provide instruction in fencing and was to instruct fencing club members in the proper methods of fencing. These are direct quotes taken from the release form signed by the plaintiff. In signing the exculpatory clause, plaintiff was to release defendant from any and all claims arising out of students participation in fencing club activities. In return, plaintiff was to receive instruction in the proper methods of fencing. This includes proper instruction in putting on the safety equipment, arguably the most important aspect of the sport of fencing. The wording any and all claims can be construed as ambiguous. It would be against public policy to hold valid a claim that released the defendant from any and all claims arising out of fencing club activities, including claims arising from the defendants negligence. The plaintiff signed the exculpatory clause releasing the defendant fromShow MoreRelatedC ase Study : Sandhu V. Solutions 2 Go Inc Essay907 Words à |à 4 PagesGo announced the 2010 fiscal profit sharing plan bonus and paid its employees. Ms. Sandhu received no share of the profit sharing bonus, despite being employed for the entire fiscal year, which ended on March 31, 2010 so she filed for a motion for summary judgment. The full share for the employees who were employed for the entire 2010 fiscal year was $16,055. In December 2010, the company tried to make its employees to sign an employment contract in which if an employee received termination priorRead MoreContract Assignment1025 Words à |à 5 PagesFrom: Erin N To: Contracts Course grader Date: 12/13 Re: Assignment 1 MEMO FACTS Bernie lives in Richmond, VA and he decides on February 1 to advertise the sale of his 2006 Ford Fusion for $13,500 in the local newspaper. After several weeks and no offers he gets a call from Vivian on March 1st offering to purchase the car for $12,000. Bernie realizes he may not get any other offers and sets up to meet with Vivian on March 5th to complete the sale transaction. After the negotiationsRead Morework Essay1232 Words à |à 5 Pagesï » ¿PLEG 265 Capstone Project Part 2 Pre-litigation Research Memoà To: Maxine Ifill From: Paralegal, Sherrie Eustace Re: Sue Davis v. Gary Steele Date: September 12, 2013 ASSIGNMENT Review authorities provided to determine probable answers to the issues. 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Ps (farmers) brought action against Cargill and Warren, alleging that Cargill was jointly liable for Warrenââ¬â¢s indebtedness as it had acted as a principal for the grain elevator. ââ" ª Issue: Whether Cargill, by its course of dealing with Warren, became liable as a principalRead MoreNetflix Case Study Analysis7552 Words à |à 31 Pages$200à million per year.[32] As of 2011, Netflix s Watch Instantly service holds first-run rights to films fromà Paramount Pictures,à MGM,à Lions Gate Entertainmentà (through an output deal withà Epix), along with films fromà Sony Pictures,à Walt Disney Motion Pictures Group,à Overture Films,à Anchor Bay Entertainmentà (through an output deal withà Starz).[citation needed]à In addition, Netflix holds rights to back-catalog titles to films fromà Time Warner,Universal Pictures,à Sony Pictures,à Paramount Pictures
Monday, December 23, 2019
The Original Tonka Truck Manufacturer - 1413 Words
Remember when most boys you knew played with some shape or form of the Tonka Truck. I am talking about the original Tonka Truck Manufacturer. With the end of WWII and the beginning of Christmas 1962 the business of converting or supporting the war effort to something more peace time related was underway. New companies were popping up across the country and three visionary, entrepreneurs seized on an opportunity and Mound Metalcraft Incorporated was formed on September 18, 1946 by Lynn Baker, Alvin Tesch and Avery Crounse. The new company purchased a three story school building built in 1908 near beautiful Lake Minnetonka in Mound, Minnesota. The business model for their new company was to manufacture closet accessories like tie racks andâ⬠¦show more contentâ⬠¦If Tonka wanted to compete with the likes of Buddy L, Marx, Nylint, Structo, Wyandotte and others, they had to diversify their model offering. To that end, Dump trucks, Wreckers, Semis, and Box Vans all made their initia l appearance prior to 1955. By mid-1955, Mound Metalcraft moved into a new manufacturing facility that handled their ever increasing product line and an insatiable appetite by consumers for Tonka trucks. Fast forward #100 Steam Shovel to 1982. (This is a brief history) (http://www.neatoldtoys.com/history.htm) A major blow to Tonka s Minnesota workforce, was that steel truck manufacturing began to move from Minnesota to El Paso, Texas in 1982 with the transfer of equipment and production completed in 1983. Then in 1991, Tonka Toys was purchased by Hasbro Incorporated, the second largest toy company in the U.S.A. In 1998, and still under the Hasbro brand, the steel truck manufacturing was completely moved out of the United States to mainland China. Therefore in today s global manufacturing markets, Made in the U.S.A. takes a backseat if it affects the bottom line. Forward to May 10, 2014, and the Tonka brand is still part of the Hasbro family and is still manufactured in China. The once mighty Tonka brand has been diluted with small plastic trucks. The original factory in Mound, Minnesota looks much the same as it did when it closed in 1982 accept it is home to multiple tenants. The factory in El Paso includes administrative offices, plastic blow
Sunday, December 15, 2019
Unit Labor Costs Matter Much More Than Actual Levels of Pay Free Essays
Nga Discuss the view that unit labour costs matter much more than actual levels of pay. Unità labourà costs is theà costà ofà labourà perà unità of. It is determined by the growth of wages and the rate of growth ofà labourà productivity. We will write a custom essay sample on Unit Labor Costs Matter Much More Than Actual Levels of Pay or any similar topic only for you Order Now Labour costs include the complete range of costs employers incur when they employ workers. They include not only wages but also the cost of recruiting and training workers, national insurance contributions, redundancy payments and benefits in kind. Wages do, however, constitute over 80% of total labour cost. So they, together with productivity, are the two key influences on unit labour costs. If productivity increases at a faster rate than the wages paid, unit labour costs are likely to fall. During the recession, the UK has seen falls in real wage growth. If real wages are lower, firms mayà be more willing to employ labour rather than capital. In other words low wage growth means labour is relatively more attractive than usual. Therefore with lower labour costs, firms are willing to employ more workers and labour intensive production methods. If a countryââ¬â¢s firms have higher unit labour costs than firms in rival countries, this may make their products less price competitive. The country will be unlikely to benefit from increased exports, as a result of a depreciating exchange rate. The increasing unit labour costs have caused firms to demand workers from abroad, who are willing to work for lower wages, to decrease the cost of production. But this has caused unemployment in the UK, and therefore a reduction in income. The result is AD shift to the left, which decreases the rate of economic growth. Rising unit labour costs have the potential to cause cost push inflation. This is caused by wage increases which exceed any improvement in productivity. There are those who feel that unit labour costs matter much more than actual levels of pay and this is becauseà ULC contains within it all total labour costs divided by output. This includes wages, national insurance and redundancy payments. Wages are only a component of ULCà , which leads people to feel that it does not matter as much; it is only the amount paid to a worker for working a certain number of hours. Unit labour costs can be said to matter more because ità helps determine productivity. If total labour costs are at ? 5000 and output is 5000 units, then ULC would measure at ? 1. If however output increased to 10,000 units, then ULC would measure at 50p. This means that it now costs less per worker and also shows that workers are now more productive. On the other hand, if companies were becoming less productive, thenà ULC can help governments decide whether to apply supply-side policies or not. An example of this would be education and training, if a worker gains more knowledge in the field of work, then they should be able to produce more units than they did before. What can be also be noted from the graph is thatà there is a reduction of inflation from A to B when increasing productivity. Therefore ULC are very important and matter more than wages because it helps determine productivity, inflation and helps with decisions on supply-side policies. ULC does have some flaws however in thatsupply-side policies are not entirely determined by ULC, it can also be used to lower inflation as shown in the above graph. While it is agreed that ULC is important, some would argue that wages are more so. Wages make up 80 per cent of ULCà and may suggest that wages determine ULC. If wages increased, then total labour costs would also increase. If total labour costs were at ? 20,000 and output was at 10,000, then ULC would measure at ? 2. If however total labour costs increased to ? 50,000 due to because of wages, and the level of output stayed the same, then ULC would measure at ? 5. This suggests a decrease in productivity as well as a relatively low level of international competitiveness. In countries where minimum wage doesnââ¬â¢t exist, wages may be considerably lower and the result from ULC would suggest high productivity but would not consider infringement of rights. To summarise, wages are more important than ULC because not only is it a significant proportion of ULC itself and can change the result independently , but it alsoallows people to see their independent income; wages are more important to consumersà whereas ULC is more important to firms. In most developed countries however, there exists a minimum wage so wage abuse is not common. Also, the figures used previously assume that output remains at a fixed level, in the case that it doesnââ¬â¢t shows more factors involved and thus weakens the actual levels of payââ¬â¢s effect. Actual levels of pay are important, but more so to the individual than to the collective. ULC allows a broader scope of how the country is performing economically compared to others and is therefore more important. How to cite Unit Labor Costs Matter Much More Than Actual Levels of Pay, Papers
Saturday, December 7, 2019
Sensitivity Analysis free essay sample
Sensitivity analysis is a technique that indicates exactly how much a projects profitability (NPV or IRR) will change in response to a given change in a single input variable, other things held constant. Sensitivity analysis begins with a base case developed using expected values (in the statistical sense) for all uncertain variables. Then, each uncertain variable is usually changed by a fixed percentage amount above and below its expected value, holding all other variables constant at their expected values. Thus, all input variables except one are held at their base case values. The resulting NPVs (or IRRs) are recorded and plotted. Although sensitivity analysis is widely used in project risk analysis, it does have severe limitations. If an input variable is not expected to vary much (is relatively certain), a project would not be very risky even if a sensitivity analysis showed NPV to be highly sensitive to changes in that variable. In general, a projects stand-alone risk, which is what is being measured by sensitivity analysis, depends on both the sensitivity of its profitability to changes in key input variables as well as the ranges of likely values of these variables. Because sensitivity analysis considers only the first factor, it can give misleading results. Furthermore, sensitivity analysis does not consider any interactions among the uncertain input variables; it considers each variable independently of the others. In spite of the shortcomings, sensitivity analysis does provide managers with valuable information. First, it provides profitability breakeven information for the projectââ¬â¢s uncertain variables. Second, sensitivity analysis tells managers which input variables are most critical to the projects profitability, and hence to the projectââ¬â¢s financial success. With such variables identified, managers can spend the most time forecasting the variables that ââ¬Å"count,â⬠so the resources expended in the analysis can be as productive as possible. Scenario analysis is a stand-alone risk analysis technique that considers the sensitivity of NPV to changes in key variables, the likely range of variable values, and the interactions among variables. To conduct a scenario analysis, managers pick a bad set of circumstances (i. e. , low volume, low salvage value, and so on), an average or most likely set, and a goodâ⬠set. The resulting input values are then used to calculate NPVs for several ââ¬Å"scenarios,â⬠usually three. With NPVs for the worst, most likely, and best cases, managers can get a feel for the variability of the profitability of a project that results from uncertainty. Specifically, if probabilities are attached to the scenarios, a standard deviation of NPV can be calculated. While scenario analysis provides useful information about a projects stand-alone risk, it is limited in two ways. First, it only considers a few discrete states of the economy, and hence provides information on only a few potential profitability outcomes for the project. In reality, an almost infinite number of possibilities exist. Scenario analysis typically contains only three outcomes, but it could be expanded to include more states of the economy, say, five or seven. However, there is a practical limit on how many scenarios can be included in a scenario analysis. Second, scenario analysisââ¬âat least as normally conductedââ¬âimplies a very definite relationship among the uncertain variables. That is, it assumes that all the worst case input values occur at the same time, because the worst case scenario is defined by combining the worst possible value of each uncertain variable. Although this relationship (all worst values occurring together) may hold in some situations, in others it may not hold. The same circumstances occur in the best case. Thus, scenario analysis tends to create extreme profitability values for the worst and best cases because it automatically combines all worst and best input values, even if these values actually have only a remote chance of occurring together. Some projects are evaluated on the basis of minimizing the present value of future costs rather than on the basis of the projects NPVs. This is done because it is often impossible to allocate revenues to a particular project; and it is easier to focus on comparative costs when two projects will produce the same revenue stream. In a conventional analysis, when inflows are being discounted, a higher discount rate leads to a lower present value, which penalizes an inflow for higher risk. However, to penalize an outflow for higher risk, the outflow must have a higher present value, not a lower one. Therefore, a cash outflow that has higher-than-average risk must be evaluated with a lower-than-average cost of capital. 15. The corporate cost of capital is the opportunity cost rate that reflects the overall risk and debt utilization (capacity) of the business. Thus, the corporate cost of capital is the appropriate discount rate only for projects that have risk and debt capacity characteristics that match the business in the aggregate. The project cost of capital is the appropriate opportunity cost (discount rate) for a particular project. For projects with risk and debt capacity characteristics similar to the firm in the aggregate, the project cost of capital is the same as the corporate cost of capital. However, projects with different characteristics will have a project cost of capital that differs from the corporate cost of capital. In general, projects with greater-than-average risk will have a project cost of capital that is greater than the corporate cost of capital, and projects with lower-than-average risk will have a project cost of capital that is less than the corporate cost of capital. Although debt capacity differences should be considered, in practice such differences are rarely recognized
Friday, November 29, 2019
IASB and What Is Their Function Essay Sample free essay sample
The IASB ( International Accounting Standards Board ) is the standards-setting organic structure that maps within the IFRS ( International Financial Reporting Standards ) . The 15 members are responsible for the development of the IFRSs. including the IRFS and SMEs ( little and moderate-sized entities ) and for O.K.ing readings of IFRSs as developed by the IFRS readings commission. Through extended outreach activities and input into standards-setting from stakeholders. IASB is able to make the necessary research taking to proposals for triping alterations in criterions. Proposals of an docket determination are brought to public audience and an exposure bill of exchange is created. Once the exposure bill of exchange is created it is brought back to public audience where it is so published to the IFRS along with the creative activity of a feedback statement. At this occasion there is a jurisdictional acceptance procedure so an IASB twelvemonth post-implementation reappraisal. The IASB fulfills its standard scene responsibilities by following a thorough. We will write a custom essay sample on IASB and What Is Their Function? Essay Sample or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page unfastened and crystalline due procedure of which the publication of advisory paperss. such as treatment documents and exposure bill of exchanges. for public remark is an of import constituent. The intent of the IASB and as their nonsubjective provinces is to develop a individual set of high quality. apprehensible. enforceable. and globally accepted fiscal coverage criterions based upon clearly articulated rules. The IFRS accomplishes its nonsubjective and hence the IASB aim by utilizing an independent criterion board ( IASB ) that is accountable to a supervising board of public capital market governments. They do this by besides prosecuting with investors. regulators. concern leaders. and the planetary accounting profession at every phase of the procedure. By supplying public answerability through the transparence of their work. the audience with the full scope of interested parties in the standards-setting procedure and their formal answerability links to the populace. accomplishes the aim every bit good. The extended outreach. as I mentioned before. expresses to me that the IFRS and the IASB have the true purpose of being completely transparent and unfastened to public f eedback. which creates greater trust in its patterns. Mention About the IFRS and the IASB. Retrieved Jan. 8. 2013 from hypertext transfer protocol: //www. ifrs. org/The-organisation/Pages/IFRS-Foundation-and-the-IASB. aspx
Monday, November 25, 2019
Factors affecting the strength of an electromagnet Essay Example
Factors affecting the strength of an electromagnet Essay Example Factors affecting the strength of an electromagnet Essay Factors affecting the strength of an electromagnet Essay Introduction: An electromagnet consists of a long coil of wire wound on a soft iron core. When current flows through the wire the soft iron core becomes magnetized by induction and thus acts as a magnet till the current flows. The strength of an electromagnet can be affected by various factors such as no.of coils, specific resistance of the wire used to coil the core, the thickness of the wire etc. In this experiment the effect of changing the no.of coils and the thickness of the wire used will be determined.Aim: To determine the effect of changing the no.of coils and the thickness of wire used on the strength of an electromagnet.Hypothesis:* The strength of a magnet will increase with increase in no.of coils as more current passes the iron core causing more efficient magnetic induction and thus a stronger magnetic field.* The strength of the magnet will increase with the increase in the thickness of the wire too because it is already known that resistance is inversely proportional t o cross-sectional area. Thus as resistance drops, more current will flow through the electromagnet causing a larger magnetic field.Apparatus: Soft iron core ( a long nail) Copper wire of three thicknesses Power supply Metre rule Connecting wires and alligator clips A magnetic compass AmmeterProcedure:1. Take 80cm of a chosen thickness of copper wire.2. Tightly wind it around the soft iron core 40 times. 40 coils should be on the core.3. Leave a little wire towards the ends for connections to be made.4. Set up the circuit as shown:5. Align the electromagnet created north with the help of a compass.6. Now place a metre rule parallel to the electromagnet so that the distance from the electromagnet at which the compass deflects may be recorded.7. Now switch on the power supply and adjust the current flowing to 0.5amps using the controls on the power supply.8. Let the current flow for about thirty seconds.9. Then, place the compass, aligned north, on the edge of the metre rule at 100cm a nd slowly slide it along the meter rule towards the electromagnet.10. As it slides, keep a close eye at the distance at which the compass first shows deflection and record the distance observed.11. Now reduce the no.of coils to 35 and cut the extra wire keeping only a little at the ends to make connections.12. Keep reducing the no.of coils to 30, 25, 20, 15, 10 and recording the distance at which deflection occurs.13. Follow the same procedure with different thicknesses of wire.A modification in procedure:== It is known that soft iron magnetizes quickly because its domains are aligned quickly, thus there was a break given between the experiments and the iron bar hammered once gently to remove as much magnetism as possible before carrying on with different no.of coils and thickness.Safe Test:== The un-insulated wire should not be touched when current is flowing.== The current should be kept at a safe level and a current overload indicator must be attached to the circuit.== The circui t should not be left un-monitored and the power should be switched off as soon as the work is done.Fair Test:== The current was kept constant for all the different thicknesses of wire and different no.of coils.== The material of the wires, copper, was also constant.== The voltage applied was also kept constant.== The compass used was the same for the whole experiment.== The length by which the wire was cut every time the no,of coils was reduced was also kept constant.== The electromagnet was realigned every time its position was moved to changed the no of coils.Observation:Raw Data TableTable 1: Table showing the variation in distance at which the compass deflects with change in no.of coils and diameter of the wire.No. of CoilsDistance at which compass deflectsDiameter of copper wire0.26mm0.58mm0.97mm1019.023.026.51521.525.029.02025.528.031.02528.031.034.03032.035.037.03536.038.041.04039.042.046.0The only raw data that may be processed is the diameter of the wire to find the cross-s ectional area of the wire.Processed Data TableTable 2: Table showing the variation in distance at which the compass deflects with change in no.of coils and cross-sectional area of the wire.No. of CoilsDistance at which compass deflectsCross-sectional area of wire of copper wire0.05mmà ¯Ã ¿Ã ½0.26 mmà ¯Ã ¿Ã ½0.74 mmà ¯Ã ¿Ã ½1019.023.026.51521.525.029.02025.528.031.02528.031.034.03032.035.037.03536.038.041.04039.042.046.0Graph 1: Graph showing the change in extent of electromagnetic field with the change in no. of coils on the electromagnet.Graphical Analysis: The graph above clearly shows the positive correlation between the no of coils and the distance at which the compass deflects. As the no.of coils are increased, the electromagnetic field of the magnet increases steadily. Also, a distinct difference and similarity is seen between the graphs of the different thicknesses. Their gradients are very similar, even though the position of the graph changes with each thickness. T he effect of thickness will be depicted further in the next graph. A few points that are off the lines of best fit are not entirely anomalies but, probably, the result of not enough results of other inaccuracies which will be discussed later.Graph 2: Graph showing the changes in extent of magnetic field with the changing thickness of wire.Graphical Analysis: This graph clearly shows the variation in extent of magnetic field at every thickness for the different no.of coils. The difference in the values of different thicknesses is quite noticeable and also constant.Conclusion: After close observation and analysis, it can be concluded that as the no.of coils on an electromagnet increase, so does the extent of the field created by it. Also, as the thickness of the wire used for coiling increases the resistance of the wire drops and the electromagnet becomes stronger. The hypothesis stated earlier has been proved right.Evaluation: Overall, this experiment proved to be quite successful ap art from the minor inaccuracies in readings. However, this experiment could have been made better:== The experiment could have been carried out more times for a better average.== The effect of a larger range of varying thicknesses could have been determined.== Two compasses could have been used for measuring the distance at which deflection occurs to take the average distance of both of them.== The effect of changing the material of the wire could have also been seen.
Friday, November 22, 2019
The Impact of International Trade on U.S. Economy Essay
The Impact of International Trade on U.S. Economy - Essay Example By July 2007, the number of negotiated and effected agreements had risen to 205. The United States has also had its share in the international trade (Peridy, 2005). She has entered into trade agreements with countries from Africa, South East Asia, and Europe. International trade brings along certain factors, which impact on the U.S economy, either favorably or unfavorably. Some effects of this trade include provision of new markets and access to goods and services at subsidized prices (Sun and Reed, 2009). In the present paper, the impact of international trade on the U.S economy is investigated. It is hypothesized that international trade favorably impacts the U.S economy. The literature reviews that follow will attempt to illustrate and support the hypothesis. Literature Review In a research article by Peridy (2005), three crucial questions were posed to guide the study. First, does the United States face a trade deficit with respect to Middle East and North American (MENA) countri es? Secondly, has the deficit resulted from the Euro-Mediterranean (Euromed) agreement? Thirdly, what trade potential does the US hold in this area? (Peridy, 2005). The focus of the investigation is on the trade relations between the US and MENA countries, specifically favorable trade using a short, descriptive analysis. It is hypothesized that, the US will trade unfavorably with the MENA countries comparatively to other OECD countries. The investigation focused on market shares and export levels, and calculated several indexes of export position between the US and MENA countries. The result of this investigation agreed with the hypothesis that there was unfavorable US export performance with respect to MENA countries in comparison with other OECD nations. The result indicated that majority of MENA countries are ranked after other OECD countries in US export preference list. In comparison to other exporters, the US seems to export four-times lesser than the MENA countries (Peridy, 2 005). The difference in trade between the US and MENA countries, and the US and Euromed countries may partially be attributed to the long distance between the US and MENA markets, which infers high transport cost to the trading partners (Peridy, 2005). The result of the relative market share also reveals the unfavorable position of trade between MENA countries and the US, with the US having potential in the MENA markets. It is also reported that exports from the MENA countries to the US has continued to dwindle. Contrastingly, the US preserved its favorable position relative to the other OECD countries (Peridy, 2005). These results come together to affirm the hypothesis that international trade favorably impacts on the US economy. One shortcoming of the study is that it relies on predictions that are prone to change (Peridy, 2005). It rests on out-of-sample predictions that calculate what proportion of MENA countriesââ¬â¢ exports if they would have behaved akin to countries fully incorporated into the world economy. However, this approach may deter the ambiguous interpretation of residuals. Next, the topic of measures of international relative prices in relation to its impact on the US economy is discussed with China as the primary point of reference. In a research article by Thomas, Marquez, and Fahle (2009), several specific questions are addressed. First, is there a disparity in pricing between exports from China and those from her trading partners? Second, does the World Development Indicator (WDI)ââ¬â¢s new price index affect the appraisal of USAââ¬â¢s international relative prices? Third, does the weighting scheme employed in aggregating prices
Wednesday, November 20, 2019
Marketing management Essay Example | Topics and Well Written Essays - 2500 words - 4
Marketing management - Essay Example The governance body include the CEO and the board of directors. These individuals determine the organizational objectives and ensure that the firm is progressing towards the desired direction by constant monitoring and review. These stakeholders look after the revenue generation of the firm and the prospective areas of development. Employees: The employees are the work force of the company that helps the firm to achieve its organizational objectives. The employees of M&S are more concerned about how the organization is concerned about their welfare. The employees prefer to receive perks and privileges from the management which acts as a motivational determinant of their performance output. Investors: The investors are the external stakeholders who invest in the company in hope of better return. The investors are more concerned about the financial health of the company, as their return on investment is dependent on it. Moreover, the capital generation of the company is also dependent on the invested amount. The investors closely monitor the ups and downs of the firm and invest or withdraw their money accordingly. Customers: The customers are more concerned about the value proposition of the firm. They look for what M&S has to offer and how they will give them more value than its competitors. The growth of the company is also sought by the customers as it will determine the value addition of the company. Government: The government is concerned whether or not the company is running in accordance with the proper rules and regulations. The government also ensures that the companyââ¬â¢s performance is helping to improve the economic conditions of the firm. The employee market sector can be divided in two particular segments, the primary and the secondary sector. The primary sector constitutes the jobs with long term tenure and the employees are motivated by the inclusion of
Monday, November 18, 2019
Implementation Paper Essay Example | Topics and Well Written Essays - 3750 words
Implementation Paper - Essay Example In fact, according to American Lung Association (2007), approximately five (5) million pneumonia cases occur annually; the cause of almost 55 million days (Kochanek & Smith, 2002) of restricted activity, as well as 1.3 million hospitalizations each year. Furthermore, inpatient treatment for pneumonia (Niederman, 1998) amounts to more than $7.5 billion annually. Roark (2003) added that this disease is the second most widespread nosocomial infection. As of 2003, the annual incidence reached up to five to 10 cases in every 1,000 admissions and can further lead into mechanical ventilation for 48 hours or more, duration of hospital stay, worsening of underlying illness as well as presence of co-morbidities. Previous antibiotic use prior to the onset of nosocomial pneumonia elevates the likelihood of infection, particularly with those virulent organisms like Acinetobacter sp. and Pseudomonas aeruginosa. Conventional preventive measures against nosocomial pneumonia take account of the patients' decreasing aspiration, proper disinfection/sterilization of devices used in respiratory-therapy, use of effective vaccines against particular infections, avoiding cross contamination via hands of personnel and health education among patients and hospital staff. New measures under investigation involve reducing oropharyngeal and gastric colonization. Collaboration amongPneumonia as Core Performance Measure Collaboration among variety of stakeholders is an integral process in the measurement of Pneumonia Core Performance. The Joint Commission (2009) in early 1999, was able to solicit inputs from different health care provider organizations, clinical professionals, health care consumers, state hospital associations, and convened the Pneumonia Advisory Panel to discuss the areas for core measures for hospitals. The Joint Commission is a distinguished and awarded international leader, able and has been proven to effectively carry out the identification process, test and denote standardized performance measures. It has been involved in performance measurement research, development activities, and ongoing, established successful, as well as collaborative relationships with key performance measurement sets. The agency has set the initial pneumonia measure that exists in five (5) measures namely: Oxygenation Assessment, Blood Cultures, Pneumococcal Screening and/or Vaccination, Smoking Cessation Advice/Counseling, and also the Antibiotic Timing. Later, two additional measures were implemented and these are the: Antibiotic Selection and Influenza Vaccination. All together, the Joint Commission function with the CMS or Centers for Medicare & Medicaid Services on pneumonia measures with the intention of common to both organizations. CMS with the Joint Commission worked together in order to align the measure specifications which are to be used in the 7th Scope of Work and also for Joint Commission accredited hospitals. On July 1, 2002, hospitals began collecting the preliminary five (5) pneumonia measures intended for patient discharges.Core Measures monitor a range of evidence-based, the scientifically researched standards of care that have been shown to effect in improved clinical outcomes for patients. The establishment of Core Measures in 2000 by the Center for Medicare and Medicaid (CMS) has started to release public statements about hospital core measure findings in
Saturday, November 16, 2019
OSHA Considerations for Reducing PELs for Crystalline Silica
OSHA Considerations for Reducing PELs for Crystalline Silica OSHA considerations for reducing PELs for crystalline silica Presented by: Sepideh Sadeghi Introduction Crystalline silica is known as an important constituent in some construction materials like stone, sand, concrete, and granite (1, 2). It comes from different industrial activities such as agriculture, sandblasting, mining, foundry, construction, oil and gas extraction, and hydraulic fracturing (3). Crystalline silica is present in the form of Quartz, Cristobalite and tridymite and all of them are known as a source of exposure in the work places (1, 2). Exposure to crystalline silica can cause silicosis, and a progressive fibrosis of the lungs (2). The National Toxicology Program (NTP) and International Agency for Research on Cancer (IARC) have found two forms of quartz and cristobalite carcinogenic (4, 5). There is a possible mechanism that denotes how this material causes lung disease; when active oxygen species (AOS) is generated by chemicals reactions, it can interact with DNA, proteins, and lipids in macromolecules, then mutation in DNA can initiate the process of cancer or DNA damage (6). The permissible exposure limit (PEL) for respirable crystalline silica (RCS) which is adopted by OSHA is, (RCS): PEL = (10 mg/m3)/ (%silica+2) which restricts both the exposure to RCS and respirable dust (7). The PEL has not updated since the agency was established in 1971. There are many techniques to identify and quantify crystalline silica such as X-ray diffraction methods, Infrared methods, optical and electron microscopy techniques, chemical and thermal analysis. However, some of these techniques have some limitations in their process (8). The purpose of this study is reviewing the OSHA considerations for reducing PELs for crystalline silica. Background Based on the researches done to identify the reason of workersââ¬â¢ illnesses in Vermont granite occurred in 1940 the OSHA proposed the current PEL in 1971(7). The most common symptoms among the workers in Vermont granite were shortness of breath, dry cough, and reduced pulmonary function (9). Then, a recommended exposure limit (REL) of 0.05 mg/m3 for RCS was proposed by NIOSH in 1974 (7, 10) In 1989, NIOSH testified to OSHA that silica should be considered a ââ¬Å"potential occupational carcinogen.â⬠And IARC attested to classify crystalline silica as a carcinogen (7, 11). As a result, the ACGIH accepted to list the silica as an ââ¬Å"A2 Suspected Human carcinogenâ⬠In 1999, and, in 2000, adopted a TLV of 50 à ¼g/m3 for RCS. In 2006, additional evidences indicated the relation between lung cancer and the inflammation caused by silica, and it led the ACGIH to reduce the TLV to 25à ¼g/m3 (9, 12). Results and discussion The detrimental effects of silica on the workersââ¬â¢ health such as lung cancer, kidney diseases and sometimes death necessitated OSHA proposing a new PEL for respirable crystalline silica of 50à ¼g/m3 (9). The investigations conducted in the industries showed that workers were at the risk of illnesses and death below the current PELs (9). The following paragraphs address the OSHA considerations for reducing the PEL for crystalline silica. Possibility of Sampling and Analytical Methods The possibility of sampling and analytical methods is between the several limitations that can affect the OSHA decision to reduce the silica PELs. There are some available and accurate personal sampling cyclones like SKC G-3, Higgens-Dowel, Dorr-Oliver, and BGI GK 2.69 which were examined by OSHA for collecting the respirable crystalline silica. According to OSHA, all of these devices are able to collect the silica as low as 25 à ¼g/m3 which is needed for the OSHA analytical method of ID-142 (9). Regarding analytical methods to measure silica, two factors of sensitivity and accuracy are investigated by OSHA. The first method that OSHA concludes it has a reasonable sensitivity for measuring the silica was the X-Ray Diffraction (XRD) and Infrared Spectroscopy (IR). However, the poor inter-laboratory results indicated that the mentioned methods are lack of precision. The XRD method of ID-142 presents the precision of à ±23 for the crystalline silica of 50 to 160 à ¼g and à ±19 percent for the sampling and analytical error. Therefore, the OSHA could not rely on such colorimetric methods to measure the low amount of silica. Finally, OSHAââ¬â¢s analysis found the laboratories good agreement for the samples in the range of 49-70 à ¼g. Therefore, OSHA believes that a PEL of 50à ¼g/m3 is more appropriate in the workplaces (9). Possibility of Control Technologies According to possibility of control technologies the OSHA has conducted an analysis for both of general industry sectors and construction industry activities that are potentially affected by the proposed silica standard. 3.2.1. Possibility Findings for the Proposed Permissible Exposure Limit of 50à ¼g/m3 According to the results of findings, OSHA assumed that the proposed PEL of 50à ¼g/m3 is appropriate for all affected general industries as well as construction activities (9). Thus, OSHA discerned that the PEL of 50à ¼g/m3 will be sufficient to maintain in engineering and work practices. And for those few activities within an industry where the proposed PEL is not technologically achievable the workers can achieve the exposure levels at or below the proposed PEL by wearing the protective equipments such as respirators (9). 3.2.2 Feasibility Findings for an Alternative Permissible Exposure Limit of 25à ¼g/m3 Regarding to the results of possibility analysis, OSHA concludes that a proposed PEL of 25à ¼g/m3 would not be achievable for many industries, and using respiratory protection would have to be required in most operations to achieve compliance. However, there are several industries that have achieved an alternative PEL of 25à ¼g/m3 such as asphalt paving products, dental laboratories, mineral processing, and paint and coatings manufacturing in general industry, and drywall finishers and heavy equipment operators in construction industry. In these industries, small amounts of silica containing materials cause to have low concentrations of airborne respirable silica (9). The ferrous foundry industry would not be able to agree with the PEL of 25à ¼g/m3 without using the respirators. In the ferrous foundry industry silica is used and recycled to create castings and there is a big amount of silica dust during the process of recycling. Also, the high level silica dust is generated during the shakeout process. The engineering controls determine the exposures below 50à ¼g/m3, but the exposure above 25à ¼g/m3 still occur. Therefore, the engineering controls in place, reported the exposure range of 13 à ¼g/m3 53 à ¼g/m3, with many of the reported exposures above 25à ¼g/m3(9). The construction industry is similar to the ferrous industry with regarding the generation of dust. Thus, the engineering controls cannot comply to maintain exposures at or below the alternative PEL of 25à ¼g/m3. 3.3. Cost of compliance In this section the detailed assessment of the costs to establishments in all affected industry sectors was provided for supporting of the proposed silica rule of reducing worker exposures to silica to an eight-hour time-weighted average (TWA) permissible exposure limit (PEL) of 50à ¼g/m3.Table 1 describes the annualized costs of the proposed rule by cost category for general industry, maritime, and construction. The cost is including the engineering controls, respirators, exposure assessment, medical issue, training and regulating areas or access control. Table 1. Annualized Compliance Costs for Employers in General Industry, Maritime, and Construction Affected by OSHAââ¬â¢s Proposed Silica Standard (2009 dollars) (13) Table 1 depicts the total annualized costs of the proposed rule, $132.5 million by general industry, $14.2 million by maritime, and $511.2 million by construction. So, considering the economic feasibility, OSHA standards are economically feasible so long as their costs do not threaten the existence of, or cause massive economic dislocations within, a particular industry or alter the competitive structure of that industry. For example, firms that want to have a profitable line of business may have to increase prices to stay viable. Increases in prices typically result in reduced quantity demanded, but rarely eliminate all demand for the product. This decrease in the total production of goods and services results in smaller output for each establishment within the industry or the closure of some plants within the industry, or a combination of the two, is dependent on the cost and profit structure of individual firms within the industry. So, the economic matter is the controversial subj ect to discuss and there are always some contradictions in companies to accept the cost of new proposed PELs. Conclusion The limitations in the characterization of the precision of the analytical method preclude the Agency from proposing a PEL of 25à ¼g/m3. First, the measurement error increases by about 4 to 5 percent for a full-shift sample taken at 25à ¼g/m3 compared to one taken at 50à ¼g/m3, and the error would be expected to increase further as filter loads approach the limit of detection. Second, for an employer to be virtually certain that an exposure to quartz did not exceed 25 à ¼g/m3 as an exposure limit, the exposure would have to be below 21 à ¼g/m3 given the error of à ±16 percent calculated from the OSHAs Salt Lake Technical Center (SLTC) study. Based on the information presented in the technological feasibility analysis, the Agency believes that 50 à ¼g/m3 is the lowest feasible PEL. An alternative PEL of 25à ¼g/m3 would not be feasible because the engineering and work practice controls identified to date will not be sufficient to consistently reduce exposures to levels below 25 à ¼g/m3 in most operations most of the time. OSHA believes that an alternative PEL of 25à ¼g/m3 would not be feasible for many industries, and that the use of respiratory protection would be necessary in most operations most of the time to achieve compliance. Additionally, the monetary matter is the controversial subject that raises many contradictions in firms to accept the new proposed PELs by OSHA. References 1. Beaudry C., Lavouà © J., Sauvà © J-F., Bà ©gin D., Senhaji Rhazi M., Perrault G., Dion C., Gà ©rin M., (2012), Occupational Exposure to Silica in Construction Workers: A Literature-Based Exposure Database, Journal of Occupational and Environmental Hygiene, 10: 71ââ¬â77. 2. www.osha.gov/Occupational Health/Projects/Crystalline Silica Exposure.htm 3. Esswein E. J., Breitenstein M., Snawder J., Kiefer, M., Sieber WK., (2013), Occupational Exposures to Respirable Crystalline Silica During Hydraulic Fracturing, Journal of Occupational and Environmental Hygiene, 10: 347-356. 4. International Agency for Research on Cancer (IARC), (2012), A Review of Human Carcinogens. Part C: Arsenic, Metals, Fibres, and Dusts. Lyon, France: IARC. 5. U.S. Department of Health and Human Services (DHHS), Public Health Service (PHS), and the National Toxicology Program (NTP), (2011), Silica, Crystalline (Respirable Size). In Report on Carcinogens. Research Triangle Park, N.C.: DHHS, PHS, NTP, 377ââ¬â379. 6. Mossman B. T., Jimenez L.A. , Bà ©rubà © K., Quinlan T., Janssen Y.M.W.,( 2011), Possible Mechanisms of Crystalline Silica-Induced Lung Disease, Applied Occupational and Environmental Hygiene, 10:1115-1117. 7. Hewett P., Morey S.Z., Holen B. M., Logan P. W., Olsen G. W., (2012), Cohort Mortality Study of Roofing Granule Mine and Mill Workers. Part I: Estimation of Historical Crystalline Silica Exposures, Journal of Occupational and Environmental Hygiene, 9: 199-210. 8. Miles W. J., (2010), Issues and Controversy: The Measurement of Crystalline Silica; Review Papers on Analytical Methods , American Industrial Hygiene Association Journal, 60:396ââ¬â402. 9. www.osha.gov/silica/nprm.pdf. 10. National Institute for Occupational Safety and Health (NIOSH), (1974), NIOSH Criteria for a Recommended Standard: Occupational Exposure to Crystalline Silica. HEW (NIOSH) Pub. No.75ââ¬â120. U.S. Department of Health, Education, and Welfare, NIOSH. 11. International Agency for Research on Cancer (IARC), (1997), Silica, Some Silicates, Coal Dust and Para-aramid Fibrils. IARC Monographs, Vol. 68. Lyon, France: IARC. 12. ACGIH, (2006), Silica, Crystalline: à ±-Quartz and Cristobalite. Chemical Substances, 7th Edition Documentation. Cincinnati, Ohio: ACGIH. 13. U.S. Dept. of Labor, OSHA, Directorate of Standards and Guidance, Office of Regulatory Analysis, based on ERG (2007and 2013).
Wednesday, November 13, 2019
Free Essays on William Faulkners A Rose for Emily - Homicide :: A Rose for Emily, William Faulkner
A Homicide for Emily à ââ¬Å"A Rose for Emilyâ⬠is a short intriguing story written by William Faulkner.à This is because the way Emilyââ¬â¢s character is portrayed, the mysterious death of Homer Barron, and the way Faulkner uses the narrator to tell the story. à Emily is portrayed as a woman who kept to herself throughout her whole life.à In her younger years her father had driven all her suitors away.à No man was good enough for Emily.à Emilyââ¬â¢s solitude was especially evident after her father died and when her boyfriend Homer disappeared.à Her hair had turned an irony gray after her father died.à She had a black manservant throughout her whole life that went to the market, cooked and gardened for her.à During the end of her life the manservantââ¬â¢s visits were the only way that the townspeople knew that she was still alive.à After her father died Emily kept his body in her house.à A few days after Emilyââ¬â¢s fatherââ¬â¢s death a couple of ladies came to give their condolences.à But Emily came to the door dressed in casual clothes and showed no signs of grief.à The townspeople were about to resort to law enforcement when she finally broke down and told them that her father was dead.à The townspeople did not believe she was crazy, even though they knew insanity ran in her family.à They thought Emily did this because they remembered how the father drove all the young men away.à Now she was a figure that could be pitied by the town, alone and penniless. à Eventually Emily met Homer, a Yankee who came into town to pave sidewalks during the summer of Emilyââ¬â¢s fatherââ¬â¢s death.à They started seeing each other but Homer would rather hang out with the guys than hang out with Emily.à He was not the marrying type.à When Emily figured this out she bought some arsenic from a druggist.à The townspeople thought she was going to use the arsenic to kill herself.à However the next week they were sure homer and Emily would get married because Emily had been seen at the jewelerââ¬â¢s ordering a manââ¬â¢s toilet set in silver, with the letters H.B. on each piece.à à Two days later she was seen buying a complete outfit of menââ¬â¢s clothing, including a nightshirt.à Homer was not seen for a week or so but he eventually came back into town and a neighbor saw the manservant let him in at the kitchen door.
Monday, November 11, 2019
Branding versus Brand Equity
Branding is technically defined as a way to be able to provide the clients a perfect impression about a certain product to make them finally decide to purchase it (Business.. n. p. ). On the other hand, brand equity is technically defined as a way to calculate the value of the brand (Wikipedia n. p. ). This paper entitled, ââ¬Å"Branding versus Brand Equityâ⬠aims to look into the differences between two technical terms known as ââ¬Å"brandingâ⬠and ââ¬Å"brand equityâ⬠.There are several differences between ââ¬Å"brandingâ⬠and ââ¬Å"brand equityâ⬠and some of these are the following: First of all, branding carries the goal of a certain business or product wanting it to be the clientââ¬â¢s first choice (Business.. n. p. ). Brand equityââ¬â¢s goal, on the other hand, is to find out ââ¬Å"the value built up in a brandâ⬠(Wikipedia.. n. p. ). Second, to achieve the goal of branding as previously mentioned, what it takes for that to occur entails ââ¬Å"building and managing a brandâ⬠(Business..n. p. ).Meanwhile, in brand equity, the goal of branding may be reached by ââ¬Å"calculating then drawing a comparison between the expected future profits from the branded manufactured goods with the anticipated potential or upcoming revenue from an equivalent non-branded itemâ⬠(Wikipedia n. p. ). Third, branding can provide the prospective clients an unyielding idea of what they are about to purchase, making it easier for them to decide to make a purchase (Business.. n. p. ).On the other hand, brand equity, makes it a little excruciating for a client to buy a certain product simply because brand equity may either be positive or negative (Wikipedia n. p. ). Positive here means that it may provide prospective clients an unbending thought with regards to the product or negative, which means, it may give forthcoming clients to see a product not worthy of attention and money (Wikipedia n. p. ). Fourth, since branding is foun ded on the goal which is to become the best alternative for prospective client, then it is most likely to result in a positive outcome (Business..n. p. ).On the other hand, since brand equity is founded on a neutral goal, then it is most likely to result in a bad management, and eventually, a bad product as well (Wikipedia n. p. ). Fifth, branding may be utilized by all types of companies, big and small alike (Business.. n. p. ). Brand equity, however, cannot cover all types, it is limited to large companies since it entails calculations and comparison of branded and non-branded products (Wikipedia.. n. p. ).Last but not least, branding seeks to build a flourishing brand by: 1) paying attention to the wants and needs of the clients; 2) staying honest and believing in your own brand; 3) keeping the simplicity of the brand; 4) being extensive; 5) making sure of the employeesââ¬â¢ involvement and their believe and support on the brand itself; 6) proper articulation of the brand thro ugh print & television advertisements, leaflets, written communications etc so that the same slogan and idea is reinforced; 7) utilization of the same logo everywhere; 8) meeting the promises kept related to the ââ¬Å"brand promisesâ⬠and even exceeding if circumstances allow; and last but not least 9) looking for opportunities to improve the brand and continuously seeking for room for growth (Business.. n. p. ). Simply put, it focuses on what should be aware on, the quality, how much a client is aware of such, as the trend goes for brand equity (Wikipedia n. p. ). Conclusion Branding and brand equity are different in terms of goal, technique of reaching for that goal, in terms of appeal to clients, in terms of the size of the companies that it may serve, as well as, the focus (whether quality or quantity).
Saturday, November 9, 2019
Demat account Essay Essays
Demat account Essay Essays Demat account Essay Essay Demat account Essay Essay The trading on stock exchanges in India used to take topographic point through unfastened call without usage of information engineering for immediate matching or recording of trades. This was clip consuming and inefficient. This imposed bounds on trading volumes and efficiency. In order to supply efficiency. liquidness and transparence. NSE introduced a nation-wide online to the full automated screen based trading system where a member can plug into the computing machine measures of securities and the monetary values at which he likes to transact and the dealing is executed every bit shortly as it finds a duplicate sale or purchase order from a counter party. Screen based electronic system electronically matches orders on a rigorous price/time precedence and hence cuts down on clip. cost and hazard of mistake. every bit good as on fraud ensuing in improved operational efficiency. It allows faster incorporation of monetary value sensitive information into predo minating monetary values. therefore increasing the informational efficiency of markets. It enables market participants. irrespective of their geographical locations. to merchandise with one another coincident. bettering the deepness and liquidness of the market. It provides full namelessness by accepting orders. large or little. from members without uncovering their individuality. therefore supplying equal entree to everybody. It besides provides a perfect audit test. which helps to decide differences by logging in the trade executing procedure entireness. The sucked liquidness from other exchanges and in the really first twelvemonth of its operation. NSE became the taking stock exchange in the state. impacting the lucks of other exchanges and coercing them to follow SBTS besides. Today India can tout that about 100 % trading return topographic point through electronic order fiting. In order to advance dematerialization of securities. NSE joined custodies with taking fiscal establishments to set up the national securities depositary Ltd. ( NSDL ) . the first depositary in the state. with the aim of heightening the efficiency in colony systems as besides to cut down the threat of fake/forged and stolen securities. This has ushered in an epoch of dematerialised trading and colony. SEBI has made dematerialised colony mandatary in an of all time -increasing figure of securities in a phased mode. therefore conveying about an addition in the proportion of portions delivered in dematerialised signifier. There is an increasing penchant to settle trades. peculiarly in high value securities. in demat signifier. Such high degree of demat colony reassures success of turn overing colony. What is DEMAT In India. a demat history. the abbreviation for dematerialised history. is a type of banking history which dematerializes paper-based physical stock portions. Conversion of Securities from Physical ( Paper ) Mode into Electronic Mode is Called Dematerialisation. The Client opens Demat Account with any DP. Upon Demat. the Certificates are destroyed and recognition entry of precisely equal figure of Securities is created in Depository in Electronic manner. The B. O. history of holder is credited and the securities loose their individualities. The dematerialised history is used to avoid keeping physical portions: the portions are bought and sold through a stock agent. This history is popular in India. The market regulator. securities and exchange board of India ( SEBI ) mandates a demat history for portion trading above 500 portions. As of April 2006. it became compulsory that any individual keeping a demat history should possess a lasting history figure ( PAN ) . and the deadline for entry of PAN inside informations to the depositary lapsed on January 2007. Dematerialisation is the procedure by which physical certifications of an investor are converted to an tantamount figure of securities in electronic signifier and credited in the investorââ¬â¢s history with its DP. In order to dematerialise certifications ; an investor will hold to first open an history with a DP and so bespeak for the dematerialisation of certifications by make fulling up a dematerialisation petition signifier [ DRF ] . which is available with the DP and subjecting the same along with the physical certifications. The investor has to guarantee that before the certifications are handed over to the DP for dem at. they are defaced by taging ââ¬Å"Surrendered for Dematerialisationâ⬠on the face of the certifications. Aim of the Study The chief aim of the survey is to cognize about the potency of the market sing peopleââ¬â¢s covering in portion market. To cognize the function of Demat Account. To cognize the process of opening DEMAT ACCOUNT. The aim is to cognize that how many people in the metropolis are cognizant of the UNICON SECURITIES PVT. LTD. To cognize where people have already opened their demat a/c and on what footing. Procedure for Opening an History A demat history are opened on the same lines as that of a Bank Account. Prescribed Account gap signifiers are available with the DP. demands to be filled in. Standard Agreements are to be signed by the Client and the DP. which inside informations the rights and duties of both parties The DP functionaries will do available the relevant history opening signifier ( depending on whether the client is a retail investor or corporate client/clearing member ) and stipulate the list of paperss sing mentions that should be submitted along with the signifier. It will besides give a transcript of the relevant understanding to be entered with the client. in extra. The client will subject the duly filled in history opening signifier and client has to see personally for opening the history in DP. The DP functionaries have to make in individual confirmation and stick on the ââ¬Å"IN PERSON VERIFICATIONâ⬠cast on the history opening signifier. It should besides supply such paperss sing mentio ns. as specified by the DP. along with the history opening signifier. After put to deathing the understanding the client has to send on it to the DP. The DP functionaries will verify that the history opening signifier is punctually filled in. It will besides verify the enclosed paperss. if any. Incomplete signifiers will be forwarded to the client for rectification. For Corporate Clients. the DP functionaries will verify if the board declaration for the authorised signers is enclosed. In instance the paperss are non proper. the DP functionaries will reject the signifier and adumbrate the client of the same. saying the grounds for making so. If the signifier is in order ; the DP functionaries will accept the same and stick on the cast ââ¬Å"verified with originalâ⬠on each and every cogent evidence after seeing the original cogent evidence. After completion of all certification. the DP functionaries will verify the pan from income revenue enhancement web site. And affix the cast ââ¬Å"PAN VERIFIEDâ⬠with day of the month and mark on the cast. The DP functionaries will come in the client inside informations as mentioned in the history opening signifier in the DPM ( package provided by NSDL A ; CDSL to the Participant ) screen provided for the intent. In instance of NSDL A/c opening the SR. Assist will capture all the inside informations in the DPM and enter the clientââ¬â¢s signature ( on the signifier ) as specimen for mandates in the hereafter. After come ining client inside informations in the system. a client history figure will be generated by the DPM. The DP functionaries will come in this in the history opening signifier. After that the officers will verify the inside informations in the DPM captured by the SR. Assist. and activate the history. The DP functionaries are non allowed to give the demat a/c no to the clients until the a/c is activate. this is applicable for both NSDL A ; CDSL. When the demat a/c is activated the DP functionaries have to direct the client maestro and the transcript of understanding between DP and client at the clientââ¬â¢s reference DEMAT Process The registered holder of the securities makes the petition. Securities must be recognised by Depository as eligible. Client submits DRF A ; physical certifications to DP. DP checks securities. Client defaces certifications and DP clouts two holes on name of company. DP enters demat petition in system for Depository. DP despatchs certifications along with DRF to R A ; T. Depository records the inside informations and sends to R A ; T. R A ; T agent verifies the inside informations and confirms to Depository. Depository credits the demat securities to BO a/c of client and intimates DP electronically. DP issues statement to client
Wednesday, November 6, 2019
Training Session Report for Expatriates
Training Session Report for Expatriates Currently, a great number of people from the United States, Australia or the UK live and work in China. The main problem, which they encounter, is cultural and linguistic barriers. Poor knowledge of the Chinese language and culture often leads to misunderstanding or even conflicts. This training session aims to prepare expatriates for possible difficulties, which they may face, while living in this country. In particular, we need to focus on different behavior patterns, dress code, business culture, etiquette etc.Advertising We will write a custom report sample on Training Session Report for Expatriates specifically for you for only $16.05 $11/page Learn More First of all, foreigner, working in China, must stay in touch with their friends and relatives. This will prevent them from feeling lonely and home-sick. Yet, at the same time they must bear in mind that they must not avoid communication with local people. One should not become withdrawn, as this will o nly contribute to a sense of alienation. This person has to establish as many contacts as possible. This is the key step on his/her path to success. Apart from that, employees ought to be well-acquainted with the city, where they intend to live. They need to know about transportation, places of interests, its history, and so forth. For instance, when speaking about Beijing, an expatriate should remember that it is one of the most densely-populated cities in the world and transportation is a really challenging problem. This is why one has to know about the functioning of Beijing Subway, ring roads, railway stations, expressways, highways etc. This knowledge will be of great value to expatriates, who may need to travel across the city or even across the country. The third issue that has to be addressed during training sessions is cultural values and etiquette, and dress code. For instance, one has to be well-aware of the fact that Chinese people are more inclined to think by means of analogies, metaphors and story-telling (Street Matelski, 2008, p 151). This peculiarity often slows down the process of communication between local inhabitants and foreigners. Secondly, during these training sessions, we need to etiquette, because the Chinese pay much more attention to formalities than Americans or Australians (Bucknall, 2002, p 61). This knowledge will enable us them reduce the effects of culture shock to a minimum. Expatriates must not be afraid of making mistakes during intercultural communication as they are practically inevitable. The biggest mistake lies in avoiding this communication. Unwillingness to communicate with the Chinese partners is one of the reasons why many expatriates feel home-sick.Advertising Looking for report on ethnicity studies? Let's see if we can help you! Get your first paper with 15% OFF Learn More Finally, the employees, who are going to live in China for a considerable amount of time, must acquire at least the smattering of the Chinese language. In this case, we must concentrate on various speech situations such as introductions, greetings, thanking people, asking for apology and so forth. Of course, such knowledge of Chinese is only superficial; however, it will indicate that a foreigner genuinely tries to integrate himself into a new culture or society. Certainly, at the beginning a foreigner will require the services of a translator; nevertheless, he/she has to work on his Chinese language proficiency in order to achieve success in this country. On the whole, during these training sessions, an employee has to learn about similarities and distinction existing between two cultures. This will help him/her avoid many potential problems. The most important thing is to overcome the feeling of anxiety which is so common among Australian expatriates. Reference List Bucknall K. 2002. Chinese Business Etiquette and Culture. NY: CM Online Media, Inc. Street. N. L. Matelski M. 2008. American bus inesses in China: balancing culture and communication. NY: McFarland.
Monday, November 4, 2019
Perform a rhetorical analysis of a work of your choosing Essay - 2
Perform a rhetorical analysis of a work of your choosing - Essay Example His words became a basis for us to understand the social and political condition of the era. It was a moment for the blacks and even those whites and others who were subjected to inequality and racial subjugation to see the bright future when all human beings irrespective of their caste, color or creed would be treated equally on all social, political and cultural levels. The speech took the form of political treatise with the words getting a political favor and a rhythmic tone while making the use of imagery, frequent repetition and alliteration. There is simplicity in the speech yet was quite forceful to shake the foundations of the American decrees. The first part espoused not the America of their dreams but shattering nightmares of Americans when they had to face racial abuse in every sphere of their lives. As King proclaimed, ââ¬Å"we can never be satisfiedâ⬠(226), had deep political overtures which challenged the white ruling government that just mere ââ¬Ëwordsââ¬â ¢ now would have no effect on them and they should get their dues. The second half of the speech took the shape of the verbatim voice further exhibiting the cause of freedom. Now was no time to involve in tranquilizing the spirit of freedom gradually but this was a time of a drastic change and to make promises that would change the lives of each American. Anaphoric device used by King made the speech the most powerful form of expression and increased the rhetorical impact. ââ¬Å"I have a dreamâ⬠is repeated eight times throughout the text and has become one of the most cited examples of anaphora. Similarly other words like ââ¬Å"Now is the timeâ⬠¦Ã¢â¬ in paragraph 6, ââ¬Å"We mustâ⬠¦Ã¢â¬ in paragraph 8, and ââ¬Å"Go back toâ⬠¦Ã¢â¬ in paragraph 14 are all repetitive words intentionally used many times to make the world understand the intensity and depth of what he was speaking. Through these words, he made people realized that these were not merely spoke n words but to put the same into practice. Repetition helps the people to remember the words and also to imbibe them in their mind, heart and soul and King ardently applied this technique to stimulate them to carry the momentum of their struggle forward and towards their successful end. Martin Luther King explicitly implied direct quotations from historical and literary works to give thrust to his speech and at the same time implicitly made use of the allusions to arouse the consciousness of the audience towards his words. ââ¬Å"Five score years agoâ⬠in paragraph two of his speech from Gettysburg address had a deep emotional impact as the King spoke just at the Lincoln memorial. Referring to the United States Declaration of Independence, King retorted ââ¬Å"life, liberty and the pursuit of happinessâ⬠(225) would be the norm in America and from the Jeremiah 2: 13 he urged, ââ¬Å"Let us not seek to satisfy our thirst for freedom by drinking from the cup of bitterness an d hatredâ⬠(225). These pleas allowed the minds of all the listeners to get disposed towards his words as he said even the Declaration of the Independence and constitution had not given them their rights for which they were promised. By making people aware of this document, he insisted his brethren towards the real situation of racism which even after this promissory note was prevalent in their lives. King persuaded all to unite together for a common cause and be judged not by the color of their skin but by their attributes and character. These words created an
Saturday, November 2, 2019
Assessment Essay Example | Topics and Well Written Essays - 500 words - 9
Assessment - Essay Example Frustrating sights from yellow leaves bring disbelieve as pest and disease had invaded the some trees and spreading to others. With time, the leaves wither and fall forming a carpet of dry and crusty leaves as some trees succumb and dry up. Additionally, gusty whirlwinds introduce flames of withering serenity while carrying everything to the sky. My choice for this description paper is Pillsbury Crossing. It was with joy that I wrote about this amazing place that offered numerous positives and negatives and a mix of numerous first impressions. Whereas peacefulness and calmness were striking features of the floodplain, the nature parkââ¬â¢s beauty is under threat from human activities (Stokes n.p). My first sentence explained the mood of the entire paragraph. The sentence ââ¬Ënatureââ¬â¢s language whispers in my earsââ¬â¢ emphasize the calmness and quietness one finds in this place. Amidst the quietness is harmony from water, birds, and the wind working in inadvertent harmony. Contrasting this harmony is ââ¬Å"grief has had her way hereâ⬠. The introduction of grief presents an unpleasant tone. However, without the grief the nature would lose its relevance. Defining the tone was a daunting task, but with the tone defined, I identified and chose the right words to use. I was careful to adhere to the intended mood of the description. I defined the atmosphere as filled with ââ¬Å"gentle harmonious tunes making it pleasant. For a person who has never been to Pillsbury Crossing, the words are compelling and it would prompt plans for a visit. However, the ââ¬Å"frustrating sightsâ⬠from my negative description reveal the ambiance as under attack by harmful and cruel elements. I also describe leaves. The positive description acknowledges them for their ââ¬Å"attractive amber, crimson, gold, and ochre hues.â⬠Conversely, the leaves die after ââ¬Å"fallingâ⬠to form a leave carpet on the ground. Similes and metaphors satisfactorily created numerous
Thursday, October 31, 2019
Slavery Essay Example | Topics and Well Written Essays - 2000 words
Slavery - Essay Example In many bygone civilizations, slavery was the mainstay that enabled them to achieve the glory and reputation that they still enjoy to this day. Ancient civilizations such as those of Egypt, Greece, and the Roman Empire were all built on the backs of thousands of slaves. The modern worldââ¬â¢s main superpower would also base its economy, during the early years of its existence, on the institution of slavery. SLAVERY IN THE ANCIENT WORLD Egypt According to Redford, the civilization of Ancient Egypt existed between 5500 B.C. and 332 B.C (Redford 31). During this 4,200-year time line, slaves created numerous structures in the different dynasties; the most famous of which were the pyramids that still remain today. In the course of its colorful existence, the civilization of Ancient Egypt developed an advanced socio-political establishment and even developed schools for its scholars. According to Redford, it is slaves who worked in extremely dangerous conditions, with thousands of them dying in the process, to create structures such as the famous pyramids of Giza (Redford 32). Egyptian records from this bygone era have also shown that slaves were not just presumed to be the property of their masters in the physical earthy life but also their chattels in the afterlife. It was not unusual for the slaves of a rich man, along with his favorite wives, to be murdered upon his death so that they could continue to serve their master in the next life. The most famous account of the existence of slaves in Egypt is found in the Old Testament where the record of the Israelite slaves living in Egypt between 1400 and 1200 BC is documented. It is unlikely that only Jewish slaves were kept in Egypt (Redford 34). There were probably slaves of different ethnicities working in Egypt. From recorded documents, it is evident that there were even instances where poor families sold their children to be slaves in wealthy families. This would ensure that their children were fed constantly while allowing them also to be able to feed the remaining family members. People who ran into debt could also sell themselves into slavery or become the indentured servants of the people whom they owed money. Even though slaves occupied the lowest rung of Egyptian society, the ones who worked for rich masters such as temple priests, wealthy businessmen, or the royal family fared better than the peasants who owned land. This is because peasants had to give a part of their crops as taxes whether they experienced good harvests or not while slaves were dependent on their mastersââ¬â¢ largesse. Ancient Greece In ancient Greece, which existed between the Bronze Age and remained until around 1000BC, slavery was also a recognized institution in society. According to Reilly, for every free citizen in Athens there was a slave (Reilly 62). Any male citizen in Greece who had a modest salary could procure the services of a slave to perform duties in his business, as a servant in his home, or even for personal services. In ancient Greece, slaves were often prisoners of war, or people who had been born of slaves. Moreover, there were many slaves who had actually been kidnapped from their home nations and brought to Athens to be sold as slaves or male and female concubines. In city states such as Athens, slaves could aspire to become physicians. They were given more freedom; and, depending on their masters, were treated with respect for the
Tuesday, October 29, 2019
English-language films Essay Example for Free
English-language films Essay Many people wonder these days if peoples lives revolve around the choices they make. This is absolutely true. Everyone in this world is responsible for who they are today. Their choices and ideas pave the road for their future. A quote from Confucius says this, Peoples lives are the result of the choices they make-or fail to make. The path one takes in life is not arbitrary. Choices and their consequences determine the course of every persons life. All people, whatever their circumstances, make the choices on which their lives depend. Confucius is absolutely right. It is a well-known fact that if you take wrong turns in life, you will end up in a wrong state. The regular human psychology states that when a person goes and ends up in a bad state, they blame others and most of the time never take responsibility for it. Take a look at this scene, and look carefully cause this happens all the time no matter the circumstances. There is no way and it is impossible for a child who takes drugs, does alcohol, doesnt obey their parents to find themselves at an Ivy-League college. Sometimes, people change their paths along the way and somewhat improve. But if you keep going in the wrong direction for your entire life, you will not get anywhere. Think about the people who are successful in this world. For examples, lets observe Mark Zuckerberg. He is the youngest billionaire in the world. He was focused, he was determined. In fact he was so passionate about programming that he dropped out of Harvard, the number one school in America. He used his talents, worked his choices and made Facebook. Not all of his choices were good. Some were actually bad; some choices actually got him into trouble with others. This is where the trouble comes in. Wait if some of my choices are good, and some are bad, then whats going to happen with my life? Nothing will actually. All that matters is that the majority will overcome the system. If you have more bad than good, you are more likely to take a wrong turn. If you have more good over wrong, you will most likely take a good turn. Even I have taken wrong turns and bad choices. Everyone has. Nobody in this world is perfect. In fact, taking all good choices and all good turns in life ends up as a bad choice. Even though nobody is perfect, its your own self that will determine your future, what you want to become, your status in life. Thats why its good to switch your determination in life if you are on a bad path. Stick with someone and change your mood. Change your attitude, fix your choices, and keep yourself organized. If you are a person reading this essay, lets say about 12 or 13, even 14 to 18. You still have time. You have so much future ahead of you, dont give up hope cause your choices sometimes do tell your future. Sometimes these choices of yours will end you up in a bad place if you dont work hard. A wise person, my own father once told me that it doesnt make you a bad person if you take bad choices. It makes you a bad person if you dont learn from your bad choices. He also told me that if you want to be someone when you grow up, work hard. In elementary, in middle school, and in high school, work hard so that you can build your base for the future. He concluded with me that once you pay off all your duties, go to college, and graduate, you have the rest of your life to enjoy. Whether its doing your dream job, making millions of dollars, then retiring into a large estate. This is called a dream. If you have more good choices in life, your dream will come to. Trust me, its always worked before.
Sunday, October 27, 2019
Investigative Tools and Equipment for Crime Scenes
Investigative Tools and Equipment for Crime Scenes Homicides are punishable criminal acts that involve the killing of an individual by another person. Homicide cases can be either intentional or unintentional. Voluntary homicides are premeditated with the intent to kill such as murders, whilst unintentional homicides occur by mistake or negligence as in cases of fatal traffic accidents. However, these are tackled using the same investigative approach which comprises in using the correct apparatus and techniques to collect evidence from the crime scene, in filing of reports, in conducting searches, in interviewing witnesses and in interrogating suspects in order to arrest, prosecute and punish the offender. Investigative tools and equipment To help the investigator in collecting all available evidence, a list of apparatus that is necessary to keep all proof intact and clean are brought on the crime scene. Universal Precautions such as a disinfectant and disposable gloves, jumpsuits, hair covers, shoe covers, purification masks, and face shields are important to help the investigator in safely touching the environment without tampering evidence and leaving fingerprints. An investigative notebook and stationary such as pens, markers, and pencils are also needed for writing down scene notes. Time reading is very important during the collecting of data such as time of arrival so a wristwatch would be ideal. Official identification of the investigator is also necessary since not everyone is allowed within a crime scene enclosed by crime scene tapes and barrier sheeting (Reno, Marcus, Robinson, Brennan, Travis, 1999). Body bags are brought to the scene to remove the body of the deceased safely from site and ID tags along with evidence seals are attached before removal from site. Cameras are needed to provide visual evidence for later study and measurement instruments such as tape and rulers are needed to record specific lengths or distances. Special containers such as specimen containers are needed to carry and preserve blood, general fluids, and other evidence items to the laboratory. Medical equipment kits are useful for gathering evidence that are complicated to obtain such as scissors to cut clothing samples or cotton-tipped swabs for picking out fluid samples. A trace evidence kit, a first aid kit, a latent print kit, a gunshot residue kit, a blood test kit, a thermometer, local maps, a pair of boots, portable lighting, and reflective vests, are some other important tools for the investigator. Finally, some basic hand tools such as screwdrivers, hammers, shovels, paintbrushes, and bolt cutter s can help investigators to access areas thoroughly (Reno et al., 1999). The Investigation Process Analysing the crime scene The first responder to arrive at the crime scene is usually a police officer and is in charge of the preliminary investigation. S/he has the responsibility of checking whether the suspect is still armed at the crime scene or in the surrounding area. The first responder must render medical assistance to any injured persons and be prepared to write down notes in case of any dying declarations. In case of the latter, the police officer must ask the right questions (such as built, race, hair and eye colour, clothing ect) to try to determine who the culprit is. Afterwards when the dead body is located, death must be confirmed. Thus, the victims pulse, respiration, and reflexes must be checked. Any witnesses should be identified and asked for personal details such as name, address, and mobile/telephone numbers so that they may be contacted later for investigative purposes. It is important that witnesses be separated in order to avoid discussion of the event of crime and thus, contamination of individual accounts of events (Truro Police Department, 2004). The next vital step is to note all weather and environmental conditions, and to protect the crime scene and the evidence found in it until the investigation team arrives on site. This is done by isolating the crime scene from unauthorised persons and by verifying that no evidence is touched prior to the investigation teams arrival on site. The first responder should also establish physical boundaries, park vehicles securely and safely, remove any animals from site, and control traffic. Scene safety is important for all the people involved in the investigation therefore such environmental and physical threats that can cause injury must be removed prior to the crime scene investigation. However, this should be done without damaging and contaminating the integrity of the scene and the evidence. In addition, it is important that the first responder keep a record of all the people that visit the scene, and only allow persons who are needed in the investigation (Reno et al., 1999). Once the investigation team arrives on site, the first responder must report the details to them as accurately and fully as possible. Each member of the investigation team is assigned a specific task to make sure that all the area is covered adequately and to save time. A scene walkthrough should also be established so that entry and exits paths, physical and fragile evidence, and the deceased are identifiable. Depending on the number of investigators, a spiral, grid, linear, or quadrant pattern should be walked so that no area is left unsearched and location of evidence should be marked, photographed. and sketched. This is also essential to avoid alteration and contamination of fragile evidence that includes blood, body fluids (froths, substances from orifices ect), hair, fibres, and fragile evidence that is easily contaminated, lost, or modified. It is important that photographs and sketches indicate the location and patterns of all evidence that is to be collected, preserved, tran sported, and documented so that it can be admissible in court (Reno et al., 1999). An accurate rough sketch of the crime scene containing the case number, location, and case name, can serve as a map to indicate the position and location of the body and any other evidence. All objects should be tied-measured according to stationary landmarks and measurements of the scene taken. A North indication is always appropriate to help understand the general layout of the sketch. If possible, a scale should be included to help calculate distances and sizes of objects. If the crimes scene is indoors, apertures and furniture should be included, whilst if the crime scene is outdoors, trees, fences, vehicles, or any other structures are to be sketched. Afterwards a finalised and accurate version of the sketch is to be drawn so that it can be presented in court. This can also be drawn using computer design software (Bertino, n.d.). Photographic scene documentation helps in providing instant and permanent images of the scene that can be used to recreate the crime and when in doubt about certain details in the report, witness statements, and position of evidence. It is important to include a wide-angle view of the crime scene in order to make the location identifiable. Photographs should be provided with scales and taken at different angles to provide different views of areas. Triangulation of stationary objects should also be included in the photos as reference points. This will also help to uncover any additional evidence that is not noticed by the naked eye (Reno et al., 1999). In addition, photographs with and without measurements, of the initial position of the body, the face of the deceased, objects removed, and the terrain beneath the body should be taken. This is essential to keep record of the position, appearance, clothing, identity, marks and scars, injuries, and final movements of the victim. A detailed record of the evidence such as weapons, cartridge cases, footprints ect, and any necessary measurements along with its relationship to the body should be taken. Volume, patterns, spatters, and other characteristics of blood and body fluids should also be recorded. This also applies for any odours, lights, temperatures, and other fragile evidence. It is important to note that whilst performing these tasks the condition of the body and evidence should never be moderated. Fingerprints, dental, radiographic, and DNA comparisons; personal belongings; photos of tattoos and physical characteristics can all aid in the investigation as these can lead to rela tives if identification of the body is made (Reno et al., 1999). The cause, manner, and time of death can all be determined from post mortem changes such as state of livor mortis and rigor mortis, degree of decomposition, insect and animal bites, and the difference between the temperature of the body and the environment. Documenting such details can help the investigator realise when the witness statements are corroborated and when the body of the dead was transported from a primary location. When the location of death is different from the place where the body is found, it is important for the investigation team to find such a place. Determining the location of death is important to discover how the body was transported to the secondary scene. This can be found by searching on the body and clothes of the deceased and for any drag marks and post-injury marks (Reno et al., 1999). A record of the details of the person/s who discovered the body; the details of where, when and how the discovery was made; and the details of what was exactly was discovered is also necessary for the subsequent investigation and judicial processes. Documenting pre-terminal medical and mental records, and possible incidents and symptoms prior to death and obtaining the relevant ante mortem specimens is essential to determine the deceaseds condition before death. These also help in distinguishing between medical treatment/disease and trauma/injury, and thus determine the cause and manner of death. Marital, family, sexual, educational, employment and financial information, as well as any routines, habits, friends and associates of the dead all help to develop a profile of the deceased that will aid in establishing the cause and manner of death (Reno et al., 1999). Furthermore, the investigation team is also in charge of making sure that the body is protected from further trauma and/or contamination; that all belongings and clothing of the dead victim are properly inventoried, that all evidence items are identified; that all blood and/or vitreous samples are collected; that the body in the body bag is correctly identified and removed from the scene; and that all of these are securely transported to the adequate laboratories and examining agencies. It is also the investigation teams responsibility to notify all next of kin about the death of their relative and to record this (Reno et al., 1999). Documenting and arranging for the secure transportation of body from the scene for autopsy or storage, maintains jurisdiction and chain of custody over the body by the investigation team. In fact, jurisdiction is only released when the body is given to the funeral director. The next step is to perform exit procedures to make sure that: all evidence has been collected, that no materials used in the investigation were left behind; and that all dangerous items were reported. Finally, the family should be informed of any autopsy and support services, and be given a timetable of events such as that of the time of body release and when the test results will be available (Reno et al., 1999). Evidence Evidence can be either direct such as first hand observations of eyewitness testimonies and confessions or circumstantial. Circumstantial evidence is indirect evidence that may prove a link between the crime scene and the suspect. The latter can be divided into physical (fibres, weapons, bullets, shoe prints, blood) and biological evidence (body fluids, hair, plant parts, fingerprints and natural fibres). Biological evidence or individual evidence is many times preferred since this is likely to lead to a specific person, unlike physical evidence or class evidence that leads to a specific group of individuals (Bertino, n.d.). After the evidence is collected from the crime scene, it is usually sent to forensic laboratories to be examined more closely. Test results are important for reconstructing the crime-scene, this means creating a hypothesis to explain the sequence of events from before the commission of the crime to its commission. The investigator should then determine how the evidence fits into the crime and compare it to witnesses statements. Evidence analysis is essential to determine the reliability of such witnesses, to identify suspects, to release any imprisoned innocents, and to verify if the crime scene has been staged (Bertino, n.d.). Evidence such as fingerprints and biological samples from a crime scene can aid in the investigation especially if such biological information is loaded into a database. In this case, links between the new record and a pre-existing record can be established, thus ameliorating detection rates. Such information can then be used to arrest suspects and as evidence in court (Nuffield Council on Bioethics, 2007). Autopsy In cases where the cause and circumstances of death cannot be verified by the investigator or a doctor, the Magistrate in charge of the case may order an autopsy to be performed on the body by a forensic pathologist. An autopsy allows the examination of the dead person both from the outside and inside. This is done to examine any structural alterations, injuries, toxicological substances, and any other biological material such as blood, saliva, semen, and urine to find out the identity of the person and the cause, time and circumstances of death (Chapter 8, n.d.). Searches Sometimes in the investigation of a crime, searches in buildings, vehicles, and other locations as well as on persons must be conducted in order to look for and seize suspicious evidence. Such searches should always be conducted after the issue of a warrant from a Magistrate (Criminal Code Chapter 9, Articles 355E, and 355L (2)). Interviews Witness interviews can be a good source of information for the investigation. Witness interviews should not interfere with human rights. In order to get as much information out of the witnesses as possible, the investigator should interview the witnesses as close to the event as possible to avoid the forgetting of certain details. It is better to create a favourable atmosphere to conduct the interview in order to make the witness as comfortable as possible. Calming down excited and upset persons and conducting the interview in a private and quiet area is also beneficial. During the interview, the investigator must write down notes unless video recording the whole conversation. Although spoken words are important, the investigator must also understand and record any body movements, emotional outbursts, and/or any sudden silence, as these can mean that further probing or clarification is needed on specific topics (Truro Police Department, 2004). Since witnesses can turn out to be the culprits, investigators must be careful not to reveal important case information. Furthermore, it is also important not to ask close-ended questions so that the person is encouraged to open up to the interviewer. In fact when faced with a shy or reluctant witness, the investigator should try to persuade the individual to be truthful and to appear in court. Putting words in the mouth of the witness by asking leading questions and interrupting the witness constantly during the interview is also wrong since this could result in the witness narrating what the interrogator said rather than his/her account of events (New Mexico Survivors of Homicide, Inc.; Official website of the San Jose Police Department). Interrogations Prior to the interrogation, Miranda warnings must be given to the suspect in an unhurried manner and in a way that s/he fully understands his/her constitutional rights. When an advocate is requested by the suspect, the interrogator must wait for such a person to arrive before initiating the interrogation. In cases of language barriers, underage persons, mental infirmity, influence of drugs or alcohol, wounds, and shock, waivers of Miranda warnings may be suppressed (Truro Police Department, 2004). The interrogation of a suspect may be the only chance for the investigator to obtain an admission or confession. Thus, the investigator must establish a good rapport with the suspect regardless of the type of crime committed and the lack of remorse shown by the suspect. This means that no type of coercion, threatening behaviour or bribes shall be used to obtain a confession (Official website of the San Jose Police Department). If the interrogator is lucky, s/he will get a voluntary confession that can be attained either in response to a question or by the free will of the suspect. In this case, the suspect should not be interrupted. On the other hand, if this is not the case, the interrogator should be tactful, patient, and reassuring whilst asking the questions. Furthermore, just like in witnesses interviews the interrogation is best conducted in a quiet and private room. Questions should be in simple and plain language, and asked consecutively without the use of sarcasm, interruptions, or suggestions of answers. A written record or video recording of all interrogations must be kept in all cases and must include the time and place of the interrogation and the names of the people present in the interrogation room (Truro Police Department, 2004). Reports In all stages of the investigation, the investigation team must keep a detailed report of each action undertaken in the course of the criminal investigation. All facts of the case must be reported since an investigation is only complete when it is accurately reported (New Mexico Survivors of Homicide, Inc.). An accurate report is important because without it, it is impossible to have a strong case against the suspect. All written records must include the name and identification number of the person taking action; the place, date and time of the action; details of the persons present; the case number; and the name of the suspect (Chapter 8, n.d.). The report must include a summary of facts in narrative form (so that the reader can see a clear picture of the event before reading the whole report); a list of evidence listed according to size and using consecutive numbers for separate items (include: what, where, and from whom the item was seized, where it is being stored, and any other specifications such as if the item was used for testing and by whom); any processes that have to do with the investigation such as lab testing and search warrants; a list of witnesses, their testimony and connection with the case; copies of preliminary and follow-up investigation reports; statements of victims and perpetrators; background of deceased and defendants; examination results; photos; and status reports. However, the report should not include opinions of the writer and any other irrelevant material (New Mexico Survivors of Homicide, Inc.). Follow-up investigations Sometimes the initial investigation is not enough to close the case and as a result, follow-up investigations need to be conducted. This is many times done after the case report is reviewed and the investigator realises that additional evidence is needed. A follow-up investigation may include: additional interviews and interrogations; reviews of previous case records, analysing laboratory test results; obtaining information from informants; conducting other crime scene searches; checking criminal records for potential culprits; identifying and capturing suspects; and assisting in court prosecutions (Truro Police Department, 2004). Arrests In cases where there is sufficient evidence that lead to one or more persons as being the perpetrators of the crime, the police have the right to arrest such person/s if in possession of an arrest warrant from the inquiring Magistrate. Arrests can be conducted inside or outside of a police station. However, if the arrest is performed outside the police station, the arrested should be taken to the nearest station and the inspector in charge must be informed (Criminal Code Chapter 9, Articles 355v, 355AE). Court processes Once the arrests are made and the investigation is complete, the investigator can present the case to the courts. If the evidence presented is sufficient and well organised to prove the guilt of a suspect beyond reasonable doubt, charges against the person are filed so that s/he will appear in court in front of a jury. On the other hand, if the evidence is not admissible in court, the case is rejected and dismissed. Therefore, it is in the hands of the investigator to compile a good casebook that will result in the prosecution and punishment of the culprit. After all this is the aim of an investigation to collect enough evidence, to identify and arrest the culprit, and to assist in the successful prosecution of the offender in a court of law (Official website of the San Jose Police Department). References (December 2012). New Mexico Survivors of Homicide, Inc. [On-line]. Retrieved from http://www.nmsoh.org/homicide_investigator_checklist.htm (December 2012). Official website of the San Jose Police Department [On-line]. Retrieved from http://www.sjpd.org/BOI/homicide/glimpse.html (n.d.). Chapter 8: Investigation of a criminal offense. Retrieved from http://www.usip.org/files/MC2/MC2-11-Ch8.pdf Bertino. (n.d.). Chapter 2: Crime-Scene investigation and evidence collection. Retrieved from http://www.cengagesites.com/academic/assets/sites/4827/bertino_chapter2.pdf Criminal Code. Chapter 9. Articles 355E, 355L (2), 355V, 355AE. Nuffield Council on Bioethics. (2007). Chapter 4: Criminal investigation. In The forensic use of bioinformation: ethical issues (pp. 37-61). London. Reno, J., Marcus, D., Robinson, L., Brennan, N., Travis, J. (1999). Death Investigation: A guide for the scene investigator. Washington DC: U.S. Department of Justice, Office of Justice Programs. Truro Police Department. (2004). Criminal investigation. Retrieved from http://www.truropolice.org/On%20Line%20Manuals/Criminal%20Investigations.pdf
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