Thursday, October 31, 2019

Cloud Computing Research Paper Example | Topics and Well Written Essays - 2500 words - 2

Cloud Computing - Research Paper Example For instance, information of an organization needs to be protected and is the ultimate responsibility of the board of director for which they are also liable. We have selected a small medium enterprise called as ‘Wizni Incorporated’ this is transformed from a traditional IT service to a cloud service provider. The Information technology architecture of the company incorporates three components i.e. business analytics expertise, along with the provision of a quality cloud hosting provider. Likewise, the core competency of Wizni Inc. is business analytics. Moreover, the company is delivering business analytics bundled with powerful systems enabling their clients to make efficient decision making. Wizni Incorporated provides state of the art analytics solutions for empowering organizations to utilize business intelligence required for making efficient decision making. The company provides Business intelligence deployments that facilitate ease of discovery, patterns hidden i n IT systems, applications and unstructured data. The business analytics products are DIFEEâ„ ¢ (data-inference and federation engine) and Score IT. DIFEE is used for virtualization and Score IT is used for data mining, model scoring and life cycle management. Furthermore, IBM Cognos Express is also a first integrated business intelligence tool that is precisely developed and acquired by the company to meet customer requirements. The tool is bundled with critical reporting, scorecard, analysis, budgeting, forecasting dashboard and customization features and capabilities for the small medium enterprises at an affordable cost without large associated investments. Moreover, the tool incorporates a pre-configured solution that is very easy for installation and use for the end users. The transition of this new powerful cloud solution is approved by the board on the basis of gaining competitive edge among small medium enterprises within the region. Previously, there was no growth in cl ientele and after implementing the cloud based solution, clientele sky rocketed and stakeholders were satisfied at the same time ready to invest in the technological solution. On the other hand, cloud computing also reflects significant risks, principal risks of cloud computing is associated with federal agencies and regulations. Any vulnerability found in the software, platform or infrastructure of the vendors will expose serious exposures, as information may be related to more than one organization. Moreover, employees working internally on the cloud computing premises of ‘Business Cloud’ may also expose a serious threat if no proper background employee checks were performed during recruitment procedures. Furthermore, if any governmental agencies for instance, military or other sensitive body is also using the same cloud from the same vendor is also most likely to be compromised, if any breach of any one of these fundamental concepts Confidentiality, Integrity and Ava ilability is successful. In addition, the incident response function may not be efficient and effective if any incident occurs and affect the customer or employee. For instance, if a security incident affects the customer, the incident response function of the organization will trigger in a timely manner to isolate and investigate the root cause via root cause analysis. In a cloud computing scenario, it may be a different case and result

Tuesday, October 29, 2019

Martin Luther King Essay Example | Topics and Well Written Essays - 1250 words

Martin Luther King - Essay Example Throughout your letter, you explain to them why your demonstrations were necessary as a means of bringing in the interest and attention of the northern white people and force change in the laws for the benefit of black citizens of the South. You also indicate why it was appropriate and even incumbent upon you, as a minister, to stand up for the human rights of your people rather than to allow them to continue to be so poorly treated. Finally, you demonstrate your connection with your people by pointing out to these ministers why the timing of your demonstrations had to be now as society had finally reached a boiling point when some action was bound to occur. In your closing words, you criticize these other ministers for not helping you find a peaceful means for the people to express their frustration and to act in the name of human goodness. While it is true that your efforts throughout your life did bring about significant change for the better in getting many of these segregation l aws abolished, speaking as a citizen of the 21st century, I regret to tell you that things haven’t really changed all that much. In the 45 years since you wrote your letter, psychologists and sociologists have discovered more and more about the effects of the past upon the reactions of the present within the human mind. Recent investigation has proven that racism is rooted in dysfunctional belief systems resulting from distorted perceptions formed over a period of time as beliefs and practices are passed from one generation to the next. We cannot ignore the significant role of the socio-cultural environment in shaping perceptual patterns. In addition, it is well known that people are inclined to respond on the basis of their own experience when it comes to social interactions and social biases such as racism. Therefore, people who have

Sunday, October 27, 2019

Semantic Priming: Effects of Related and Unrelated Words

Semantic Priming: Effects of Related and Unrelated Words Semantic Priming: Effects of Related and Unrelated Words on Response Times Introduction to Cognition, Biological Psychology and Quantitative Research Methods Abstract The aim of this experiment was to measure the response times on the string of letters that were shown to the participants on a computer screen. The task of the participants was to decide whether the string of letters were words or non-words. The hypothesis of the experiment was that the response time in the lexical decision task would be significantly faster for target words related to the prime than for target words unrelated to the prime. The experimental design was repeated measures, where participants responded to all the stimuli that were propounded. Participants were presented with a string of words related to the prime, words unrelated to the prime, non-word created from a word related to the prime and a non-word created from a word unrelated to the prime. The findings of the experiment showed that participants responded faster when the letter strings were related words rather than unrelated words. This is because related words are closely associated in implicit memory, theref ore the response times of the participants will be faster in recognising the words. Explanations for the results of the experiment will be discussed further in the report. Introduction Priming is an effect on implicit memory in which the reaction time of a response to a stimulus is faster due to having previous experience of the stimulus. For example, individuals can recognise a word faster if it is paired with a related word. For example, â€Å"table† and â€Å"chair† and are slower at recognising words if they are unrelated. For example, â€Å"nurse† and â€Å"butter† (Refer to appendix A). In the study of Meyer and Schvaneveldt (1971) we refer to semantic priming, where semantic refers to the logic and language individuals store in their implicit memory. Meyer and Schvaneveldt (1971) suggested that the response times were faster when the string of words were related because a part of the memory is activated in which the retrieval of words from semantic memory is faster. Associative priming and the lexical decision task is an extension of the study by Meyer and Schvaneveldt (1971). In their experiment they hypothesized that recognition of a word is faster when it is associated with its prime. In their experiment they presented 12 participants with two strings of letters, one above the other. Their task was to press the ‘yes’ key if the two strings were words and the ‘no’ key if one or both were non-words. In their results, they found that response times were faster when the target string consisted of related words such as ‘bread’ and ‘butter’ or ‘nurse’ and ‘doctor’ proving their hypothesis to be correct. Furthermore, another psychologist McNamara (1992) demonstrated results from a similar experiment of associative priming. He also found that mean response times were faster when words were related rather than unrelated. He also found that errors rates (percentage of errors) were much higher in the non-related condition than in the related condition. The present experiment is in favour of that of Meyer and Schvaneveldt’s (1971) and McNamara’s (1992) because similar results were obtained from both research studies. The difference to the present study to that of Meyer and Schvaneveldt’s (1971) was that the string of words were not presented simultaneously, they were presented one after the other and the participants were to decide if both strings were words or if one of both were non-words. From this it is unknown which letter string is the one that the participant responds to from their implicit memory. However the present experiment could allow us to investigate the effects of the time between the letters are presented on the effects on response times. Another modification that was made was that in the present experiment, was that one letter was changed in either a related or an unrelated word. This allows us to investigate the eff ects of the response time on the identification of words. Previous research by Meyer and Schvaneveldt (1971) and findings from the present experiment are relevant in explaining how the long term memory is organised in individuals. The hypothesis of the experiment was that the response time in the lexical decision task would be significantly faster for target words related to the prime than for target words unrelated to the prime. Participants 150 participants took part in the present experiment, all being part of the same educational institution. The participants consisted of mixed gender with majority being female. The age of the participants varied from 18 and above and they were also from various ethnicities. The type of sampling that was used in the experiment was opportunity sampling because the participants were available to take part in the experiment at that time. Apparatus As the experiment was computer based, each participant had access to a computer. The program was written in TCL for Windows, and ran on PCs using the Windows 7 operating system. There were two types of stimuli used in the experiment; words and non-words, related and unrelated words. Key findings in the experiment showed that participants responded faster when words were related to each other; for example, ‘bread’ and ‘butter.’ Thus, participants responded slower when words were unrelated to each other; for example, ‘table’ and ‘nurse.’ Design The experiment was set up in an educational institution and the task was carried out using computer equipment. There were 150 participants involved in the experiment and consisted of first year psychology students. This was an opportunity sample, as the participants were available at the time the study was being carried out. The program was written in TCL for Windows, and ran on PCs using the Windows 7 operating system. The design of the experiment was repeated measures where participants were presented with all the stimuli. There were two independent variables for this experiment: related or unrelated words and word or non-words. The dependent variable was the response time in which participants decided if the string of letters were words or non-words. The conditions in the experiment were to press the ‘L’ key or the ‘A’ key if the string of letters were words or non-words. The experiment program showed the participant which key to press for each response. The controls that were used in the experiment were the ways in which the stimuli were presented. The target was presented 300, 600 or 900 milliseconds after the prime was presented on the computer screen. When the results were presented the times after the stimuli were presented were averaged out. Procedure The participants carried out the experiment simultaneously. The participant was seated in front of the computer throughout the experiment. The stimuli were presented one after the other on the screen after which the participant had to make the choice if the string of letters presented were words or non-words. The participant responded by pressing the ‘A’ or ‘L’ key on the keyboard; these were random for each participant. Response time was measured by the computer programme. The experiment lasted around 20 minutes. Participants were shown 18 trials in which the target string was a word related to the prime, 18 trials in which the target string was a non-word, 18 trials in which the target string was a non-word created from a word and 18 trials in which the target string was a non-word from a word unrelated to the prime, which means there were 72 trials in total. (Refer to appendix B). Results The inferential test chosen for the present experiment was a repeated measure t-test. Using a repeated measures t-test, with alpha set at 0.05, response times for the related words were significantly faster than the unrelated words (t=-3.762, df=149, p=0.000, two tailed). Similarly, using a repeated measures t-test, with alpha set at 0.05, response times were significantly faster for related non-words than for unrelated non-words (t=0.974, df=149, p=0.332, two tailed). The difference between the mean response times in each condition varied, the mean response time was faster when the target string was a word related to the prime and was slower when the target string was a pseudo word unrelated to the prime. McNamara (1992) reports that lexical decisions are made faster because semantic memory consists of interconnected nodes (Refer to appendix C). When a stimulus is presented, a part of the semantic memory is activated and the spreads across the network activating related nodes. The c loser the nodes, the closer the words are associated in semantic memory. Mean Reaction Times and Standard Deviations in Lexical Decision Task Discussion The hypothesis of the experiment was accepted because response time in the lexical decision task was significantly faster for target words related to the prime than for target words unrelated to the prime. This is in favour of Meyer and Schvaneveldt’s (1971) experiment as previously mentioned because in their experiment, their mean response time was fastest when the target string was a word related to the prime; similarly with the present experiment. The results of the present experiment demonstrates that Meyer and Schvaneveldt’s (1971) and McNamara’s (1992) theory of semantic priming is both valid and reliable. An opportunity sample was used in the experiment and may be considered as a weak research method by many researchers. Therefore this kind of sample may produce a biased sample as it is easy for the researcher to gather participants from their social group; in this case, a sample of students from the same educational institution. Hence the results of the experiment are not generalizable to a whole population. Since majority of the participants involved in the experiment consisted of students, the results can be affected because a much educated, mature individual will have more knowledge of the world and whose memory may be better than that of students. Similarly, a younger, uneducated individual may not have a reasonable good memory so their results will differ from the student’s results. A more appropriate type of sample may be a volunteer sample, where the experiment will recruit all types of individuals from the society. This way the findings of the experiment may be general izable to a total population. References Friedenberg, J. Silverman, G. (2006). Cognitive Science: An Introduction to the Study of Mind. London: Sage Publications Ltd. Goldstein, E. (2010). Cognitive Psychology: Connecting Mind, Research and Everyday Experience. (3rd ed.). Belmont: Wadsworth Cengage Learning. McNamara, T. (1992). Learning. Memory, and Cognition. Journal of Experimental Psychology. 18 (6) 1173-1190. Meyer, D. Schvaneveldt, R. (1971). Facilitation in Recognizing Pairs of Words. Journal of Experimental Psychology. 90 (2) 227-234. Proctor, R. Healy, A. (Eds.) (2003). Experimental Psychology, Volume 4 (2nd ed.). New Jersey: John Wiley Sons, Inc. Appendix Appendix A Stimuli used in the experiment. The words in the brackets indicate where the pseudo word originated from. Appendix B Number of trials per condition. Appendix C A diagram of how knowledge in semantic memory may be organised.

Friday, October 25, 2019

Modern Art Essay -- Manet, Rembrandt, Gaugin

This paper references the following works: Olympia. Edouard Manet. 1863. Oil on canvas. H. 130; W. 190 cm. Paris, Musà ©e d'Orsay Self Portrait. Rembrandt. 1660. Oil on canvas. 31.61 x 26.5 cm. Metropolitan Museum of Art, New York. Self Portrait Dedicated to Paul Gaugin. Vincent van Gogh. 1888. Oil on canvas. 60.5 x 49.4 cm. Fogg Art Museum, Harvard University Pieta. Anabale Carricci. 1600. Oil on canvas. 149 x 156 cm. Museo Nazionale di Capodimonte, Naples, Italy. Woman with Dead Child. Kathe Kollowitz. 1903. Etching. 39 x 48 cm. To the casual viewer, Modern art is often shocking, amusing, indecipherable and unnerving because art has always been understood in terms of traditional representation. However at the turn of the nineteenth century, European artists began to rebel against the institution of classical art. To gain success as an artist in Europe up until this time, acceptance by the Royal Academies of Art was essential (Rosenfeld 2000). The approved style was that of classical antiquity depicting idealised historical, mythological and religious scenes and because the Academies controlled official patronage for artists, they set the rules for standards of â€Å"beauty† in art (Rosenfeld 2000). However with the rise of modernity in the late nineteenth and early twentieth century, art theory evolved. Modernity in this period was characterised by rapid growth of industry and technology in the city, which meant substantial social and economic innovation across Europe. Feelings of anxiety and instabil ity accompanied this rapid transformation (Sturken and Cartwright 2009, 449) and lead to a self-conscious awareness within artists and consumers alike. So strongly were the changes felt that artists began reinterpreting traditional subject matter to reflect this new modern age. Ultimately, Modern artists sought truth over beauty, a concept which encompassed both the physicality of painting as a medium as well as the artist’s sense of self in an endeavour to create â€Å"pure† art (Greenberg). Academic art strove to overcome the limitations of painting as a medium; surface flatness, canvas structure and properties of paint pigment (Kleiner 2009, 822), to create illusions of space and aesthetics. Modern artists reacted by emphasising the same properties to communicate original insights and observations. However, the popular notion that Modernism was a... ...3857?accountid=10382 (accessed Feb 4, 2015) Figure 2. Olympia. Edouard Manet. 1863. Oil on canvas. H. 130; W. 190 cm. Paris, Musà ©e d'Orsay offered to the French State by public subscription initiated by Claude Monet, 1890 © RMN-Grand Palais (Musà ©e d'Orsay) / Hervà © Lewandowski. Reproduced from http://www.pbs.org/wgbh/cultureshock/flashpoints/visualarts/olympia_a.html (accessed Feb 4, 2015). Figure 3. Self Portrait. Rembrandt. 1660. Oil on canvas. 31.61 x 26.5 cm. Metropolitan Museum of Art, New York. http://totallyhistory.com/self-portrait-altman/ (accessed Feb 4, 2015) Figure 4. Self Portrait Dedicated to Paul Gaugin. Vincent van Gogh. 1888. Oil on canvas. 60.5 x 49.4 cm. Fogg Art Museum, Harvard University, Cambridge, MA. http://www.ibiblio.org/wm/paint/auth/gogh/self/gogh.self-gauguin.jpg (accessed Feb 4, 2015) Figure 5. Pieta. Anabale Carricci. 1600. Oil on canvas. 149 x 156 cm. Museo Nazionale di Capodimonte, Naples, Italy. http://www.wikipaintings.org/en/annibale-carracci/pieta-1600 (accessed Feb 4, 2015) Figure 6. Woman with Dead Child. Kathe Kollowitz. 1903. Etching. 39 x 48 cm. oj0 http://hammer.ucla.edu/programs/detail/program_id/204 (accessed Feb 4, 2015)

Thursday, October 24, 2019

Gun Control Is Bad Essay

Gun control laws should not be strengthened, instead they should be enforced. Instead of making it harder for law-abiding citizens to obtain guns, guns should be taken away from unstable individuals or people who should not have guns like criminals. The first reason why gun control should not be strengthened is that citizens have the right to own guns; it is one of those entitlements that makes the United States different from other countries. Secondly, criminals are criminals and that is why they are called criminals, they don’t follow the law; basically if a criminal wants a gun they will get a gun, legally or not. My third reason is that guns are used for protection. Strengthening gun control laws will not prevent violence, guns aren’t the only tool used to hurt people, and people will use other objects to hurt people if they can’t have guns. Without a gun, murderers will still murder people whether they use a gun, knife, baseball bat, or any other object, it doesn’t matter. If not that many citizens have guns thanks to stronger gun laws, what if the government becomes tyrannical or does not protect the citizens’ rights? Well they won’t be able to do anything because they will be helpless, they can’t take out the leaders and fix the government. The second amendment states, â€Å"A well-regulated militia, being necessary to the security of a free state, the right of the people to keep and bear arms, shall not be infringed. Adolf Hitler took away guns from the Jewish people during his reign of power in Europe, the constitution states that guns are â€Å"necessary to the security of a free state† and Hitler did not want a free state, he did not want them to fight back. Same goes for Fidel Castro and other leaders like them. Guns are necessary to for the people to have, to make sure the government is kept in line. The founding fathers wanted citizens to be able to own guns to make sure that the people are in charge. Thomas Jefferson said, â€Å"When the people fear the government there is a tyranny, when the government fears the people there is liberty.† If stricter gun control laws went into effect then citizens will begin to lose a basic right as a citizen of the United States. Some people who think strengthening gun control will reduce gun violence but it will only make law-abiding citizens not want to go through the process of getting a gun. Criminals will find a way to get guns if they want them which is why instead of strengthening gun laws, it should be made sure that criminals and unstable people do not have guns. When alcohol was illegal during Prohibition, the criminals still found a way to get it, if guns are illegal they will still find a way to get them. Chicago has some of the strictest gun control laws in the nation. In 2010 it was illegal for a citizen to own a handgun. In that same year more Chicago police officers were killed by gunfire than any other police agency. According to theacru.org a Harvard study showed, â€Å"Norway has the highest rate of gun ownership in Western Europe, yet possesses the lowest murder rate. In contrast, Holland’s murder rate is nearly the worst, despite having the lowest gun ownership in Western Europe.† This is showing how gun control does not work. According to dosomething.org, â€Å"Most guns used in crimes are stolen either from homes or gun dealers.† A criminal will find a gun illegally if they have to, they won’t care about gun control laws, only citizens who will follow the law will, and they will be the ones to get hurt by the criminals. If they want it, they will find a way to get it. Guns don’t kill people, people kill people and if guns are not available then people will still kill people, gun control laws being strengthened will not stop people from killing each other. The proof is in the facts, gun control doesn’t work. Guns can be used to balance power between the strong and the defenseless which can save innocent lives. For example, if an elderly woman was home alone and someone was breaking into her home she could easily shoot the intruder and defend herself. According to justfacts.com, in a survey done by the U.S. Centers for Disease Control and Prevention from 1994, â€Å"Americans use guns to frighten away intruders who are breaking into their homes about 498,000 times per year.† An example of this is a story done by ABC News on October 20, 2012 a 12 year old girl was home alone when an intruder broke in, she hid in her closet with her mom’s gun and when the intruder came to the closet she shot him in the shoulder and he got scared off, that probably saved her life. Also, a survey from the Journal of Quantative Criminology from 2000 stated, â€Å"U.S. civilians use guns to defend themselves and others from crimes at least 989,883 times per year.† If gun control laws are strengthened it will be harder for citizens who obey the law to obtain guns which they would use to protect themselves therefore the crime rate will spike as the smaller and weaker cannot protect themselves. Stricter gun control laws will only make it harder for citizens who actually follow the law to acquire guns, criminals don’t care if it is illegal or not. It is an unalienable right as a U.S. citizen to own guns and guns are used as protection from people like who want to do harm to others. If gun laws are strengthened criminals will still get the guns if they want them, they don’t care if they break the law. Guns are used for protection by citizens. I think that the only way to lessen violence with guns is to have stronger penalties for murders and harm to other people. Also, I believe that people should keep track of their guns and keep them in a safe place so no one can steal them.

Wednesday, October 23, 2019

Change and Continutie

Between 500 CE and 1500CE changes and continuities in interregional commerce in the Eurasian World occurred. The Silk Road connected South Asia, Western Asia, and South Asia with Europe. The â€Å"road† was used for trading good such as silk, porcelain, and other luxuries. Not only was it used for trading material goods, but it was also used for trading religions, skills, and knowledge. It also passed along diseases. Some changes that occurred were that classical empires collapsing and new empires began to rise, and trade in the Indian Ocean became more regulated in 1500CE than before in 1400CE.A continuity that occurred was the Indian Ocean trade remained unregulated from 700CE through 1400CE. Due to the collapse of the classical empires in 500CE and the rise of the Byzantine, Abbasid, and Tang Empires in 700CE, trade declined then grew. When the classical empires collapsed, trade declined because due to the lack of government following the decline of the classical empires, p rotection could not be granted for trade and trade routes could not be repaired. Due to these reasons, trade and travel became dangerous.When the Byzantine, Abbasid, and Tang empires began to rise, trade grew again because Tang rulers set up military garrisons to protect the trade done through the Silk Road, the Byzantine empire’s central location on the Mediterranean Sea allowed trade to flourish, especially in the capital of Constantinople, and in the Abbasid empire Muslim merchants spread improved irrigation in the region, which led to increases in food production and population. Because of the three empires rising, trade was able to be successful again after the fall of the classical empires.During the years of 700CE through 1400CE a continuity of unregulated Indian Ocean trade continued in Eurasian trade. The Indian Ocean represented the world’s largest sea-based system of communication and exchange. The alternating wind currents that blew predictably eastward dur ing the summer months and westward during the winter months (monsoons) was what made the Indian Ocean commerce possible. Because the Indian trade route was so successful and many people depending on it, it continued to remain unregulated from 700CE through 1400CE.Another reason for it continuing to remain unregulated was because cities located strategically grew and it was a safe environment for markets, it welcomed all merchants, and charged reasonable fees. Although it remained unregulated from 700CE through 1400CE, that all changed by 1500CE. From the unregulated Indian Ocean trade in the 1400’s, trade became more controlled by the Chinese and the Europeans by the 1500’s. To gain control over the Indian Ocean trade Europeans captured the port cities, wrecked them, stole from them, and burned them to the ground, killing the residents of the cities.Because people from other countries traded as well and they brought their culture, religions, and other values and belief s that fascinated the people who lived along the Indian Ocean regions, a lot of people were affected. The Indian Ocean became controlled by the Chinese and the Europeans. In the same way as the Silk Road was used for trade and commerce and was successful the Indian Ocean was also used for trade and commerce. However, the silk route is widely interconnected trade route across Asian continent connecting East, South, and Western Asia with the Mediterranean world, as well as North and Northeast Africa and Europe.In Indian Ocean routes majorly connecting Middle East, Africa, and East Asia with Europe and the Americas. In conclusion, during the time period of 500CE through 1500CE Some changes that occurred were that classical empires collapsing and new empires began to rise, and trade in the Indian Ocean became more regulated in 1500CE than before in 1400CE. A continuity that occurred was the Indian Ocean trade remained unregulated from 700CE through 1400CE. Both the silk road and the Ind ian ocean were used for commerce and trade.

Tuesday, October 22, 2019

Free Essays on Trafficking

Trafficking in persons is a modern-day form of slavery, involving victims who are typically forced, defrauded or coerced into sexual or labor exploitation. It is among the fastest growing criminal activities, occurring both worldwide and in individual countries. Annually, at least 700,000 people, mostly women and children, are trafficked worldwide, including 50,000 persons into the United States. The unequal status of women and children in the world has led to exploitation on every continent, including the United States where personal freedoms are cherished. Women are snared into trafficking by various means. For example, physical force is used or false promises are made regarding a legitimate job or marriage in a foreign country to entrap victims into prostitution, pornography and other forms of commercial sexual exploitation or slavery-like labor conditions in factories and fields. Victims suffer physical and emotional abuse, rape, threats against self and family, passpor t theft, and physical restraint. Traffickers have taken advantage of the disparate position of women and girls in the source and transit countries, including harmful stereotypes as women as property, commodities, servants, and sexual objects. Traffickers have also taken advantage of the demand for cheap unprotected labor, and the promotion of sex tourism in some countries. Trafficking into the sex industry also has serious societal consequences as it contributes to the spread of HIV and AIDS. Some trafficked women are required to engage in unprotected sex. Particularly disturbing is a case uncovered by INS where at least one trafficker was purchasing HIV-positive females because he found them to be cheap labor and since he believed they had nothing to live for. The trafficking industry worldwide also is closely intertwined with other related criminal activities, such as extortion, racketeering, money laundering, and bribery of public officials, d... Free Essays on Trafficking Free Essays on Trafficking Trafficking in persons is a modern-day form of slavery, involving victims who are typically forced, defrauded or coerced into sexual or labor exploitation. It is among the fastest growing criminal activities, occurring both worldwide and in individual countries. Annually, at least 700,000 people, mostly women and children, are trafficked worldwide, including 50,000 persons into the United States. The unequal status of women and children in the world has led to exploitation on every continent, including the United States where personal freedoms are cherished. Women are snared into trafficking by various means. For example, physical force is used or false promises are made regarding a legitimate job or marriage in a foreign country to entrap victims into prostitution, pornography and other forms of commercial sexual exploitation or slavery-like labor conditions in factories and fields. Victims suffer physical and emotional abuse, rape, threats against self and family, passpor t theft, and physical restraint. Traffickers have taken advantage of the disparate position of women and girls in the source and transit countries, including harmful stereotypes as women as property, commodities, servants, and sexual objects. Traffickers have also taken advantage of the demand for cheap unprotected labor, and the promotion of sex tourism in some countries. Trafficking into the sex industry also has serious societal consequences as it contributes to the spread of HIV and AIDS. Some trafficked women are required to engage in unprotected sex. Particularly disturbing is a case uncovered by INS where at least one trafficker was purchasing HIV-positive females because he found them to be cheap labor and since he believed they had nothing to live for. The trafficking industry worldwide also is closely intertwined with other related criminal activities, such as extortion, racketeering, money laundering, and bribery of public officials, d...

Monday, October 21, 2019

Managing Change and Innovation in Worley Parson

Managing Change and Innovation in Worley Parson Introduction Change and innovation are crucial aspects of management in any organization. Worley Parson’s management seeks to create improvements in its operations to allow change and innovation to have a positive impact. The firm’s management seeks to include all stakeholders in this vision to ensure that the company’s work systems improve.Advertising We will write a custom assessment sample on Managing Change and Innovation in Worley Parson specifically for you for only $16.05 $11/page Learn More Therefore, it is necessary for the management to consult workers and make them prepared of changes which they will face while working in the organization (Thomke 2003, p. 45). They need to encourage workers to be more open to changes in operations to make their work environments conducive for various innovative practices. This will make them resilient and open minded to different situation at the work place. This paper will make recommendation s on how Worley Parsons Company needs to initiate change management and innovative practices. Worley Parsons’ management needs to make all employees understand that change and innovation have a positive role to play in the organization. There are various external and internal factors which drive an organization to change its processes to make it more competitive in the market. The firm’s managers need to take an active role in preparing their organizations for change to create a culture of continuous learning in the organization (Thomke 2003, p. 49). They need to act as change agents to encourage employees to improve internal work procedures which have a direct contribution to performance and growth. Worley Parsons’ managers need to understand external and internal forces, which require the organization to change and innovate its operations. These forces determine the direction which the firm moves and the manner it is likely to operate in the market. External F orces External forces such as changes in customer needs and expectations, increase in competition, availability of new technology and changes in industry outlook, influence change and innovation. Worley Parsons needs to make its employees aware of these external forces to ensure they learn how to deal with them when they occur.Advertising Looking for assessment on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Changes in customer needs and expectations require the organization to improve the quality of its products to make them satisfy customers’ preferences and needs (Mosey 2005, p. 115). The introduction of innovative processes will enable the company to improve the design and quality of its products to strengthen their reputation in the market. Worley Parsons needs to encourage constant learning in the organization to make employees have better attitudes to work. It is necessary for the firm to create a conducive work environment which encourages employees to use their creative instincts to achieve positive work outcomes. Technology has a crucial effect on the organization. Therefore, Worley Parsons needs to implement changes in its policies to make various organizational processes benefit from technological improvements. Effective training needs to be done to all employees to make them acquire strong technological skills to make them more effective in their duties. Worley Parsons needs to have a strong team of employees who constantly assess technology needs in the organization and how these needs can be addressed. In essence, technologies chosen need to be appropriate for functions which are performed in the firm to ensure they contribute positively to the process of innovation. Any increase in competition in the market compels a firm to initiate appropriate changes in its operations to strengthen its market position (Mosey 2005, p. 119). Therefore, managers of Worley Parsons need to make their employees more skilled to enable them contribute new ideas to help the organization maintain its competitive edge in the market. Internal Forces There are several internal forces which require a firm to change the way it operates to enable it move effectively into a new direction. A strategic shift in Worley Parsons’ business objectives may create appropriate conditions for the introduction of changes the firm’s operations. Workers need to be informed on the importance of this change in strategy and how this affects their relationship to the organization. Workers need to be assured that a strategic shift in organizational objectives will not threaten their status to make them more committed (Mosey 2005, p.122).Advertising We will write a custom assessment sample on Managing Change and Innovation in Worley Parson specifically for you for only $16.05 $11/page Learn More This will make them improve their contribution to various work processes, which will help the firm to benefit from innovative practices. Worley Parson’s workers need to be assured that the firm takes their interests seriously to enable them share its vision. This will motivate them to work harder to achieve positive results. Other internal forces which may compel an organization to introduce change include workers’ attitudes, introduction of new equipment and changes in work processes. Worley Parsons’ management needs to implement effective strategies that encourage workers to embrace organizational changes, which are caused by these factors. Workers may have negative attitudes towards work due to poor job design or weak relationships with their superiors. This in turn impacts negatively on their ability to perform (Davila, Epstein Shelton 2006, p. 78). Therefore, workers should be made aware of any changes in equipment and work processes to make them perform their roles more effectively. This approach stimulates thei r creativity to come up with new concepts, which makes it possible for the organization to develop new products and services. Streamlining Operations The firm needs to have a clear policy which addresses the way change and innovation concepts are related to its overall objectives. Worley Parsons’ management needs to manage expectations of their employees effectively to ensure change initiatives which are introduced have the desired impact. All costs which are associated with the change proposed need to be evaluated to estimate returns which the organization stands to gain. Worley Parsons needs to put in place appropriate mechanisms which measure how changes and innovations in the firm add value to its operations. The management needs to evaluate how innovations in the firm’s internal and external functions will contribute positively to its growth in the market (Davila, Epstein Shelton 2006, p. 82). This evaluation will help managers to allocate resources to satisfy pri ority needs in the organization. Worley Parsons’ managers need to assess ideas which are generated by creative thinking processes in the organization. All innovative processes which are proposed in the organization need to be evaluated for their value proposition and competitive advantage before they are effected. Worley Parsons also needs to encourage employees to collaborate to develop plans on how concepts, which are developed internally can be applied to the market.Advertising Looking for assessment on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More This will make it easy for the organization to develop products which add value to customers in the market (Davila, Epstein Shelton 2006, p. 87). This approach will enable the business firm to invest in development of products which are viable in the market to ensure efficient utilization of resources. References Davila, T, Epstein, MJ Shelton, R 2006, Making innovation work: how to manage it, measure it, and profit from it, Pearson, Upper Saddle River. Mosey, S 2005, ‘Understanding new-to-market product development in SMEs’, International Journal of Operations and Production Management, vol. 25, no. 2, pp. 114-130. Thomke, S 2003, Experimentation matters: unlocking the potential of new technologies for innovation, Harvard Business School Publishing, Boston.

Sunday, October 20, 2019

The 10 Worst Natural Disasters in World History

The 10 Worst Natural Disasters in World History All of the worst disasters in recorded history have been natural disasters - earthquakes, tsunamis, cyclones, and floods. Natural Hazard vs. Natural Disaster A natural hazard is a naturally-occurring event that poses a threat to human life or property. A natural hazard becomes a natural disaster when it actually takes place, causing significant loss of life and property. The potential impact of a natural disaster depends on the size and location of the event. If the disaster takes place in a heavily populated area, it immediately causes more damage to both life and property. There have been numerous natural disasters in recent history, ranging from the very recent January 2010 earthquake that struck Haiti, final death toll still unknown, to Cyclone Aila, which hit Bangladesh and India in May of 2009, killing approximately 330 people and affecting upwards of 1 million. Top Ten Worst Disasters in the World There is debate as to what the deadliest disasters of all time actually are, due to discrepancies in death tolls, especially with disasters that occurred outside of the last century. Following is a list of ten of the deadliest disasters in recorded history, from lowest to highest estimated death toll. 10. Aleppo Earthquake (Syria 1138) - 230,000 dead 9. Indian Ocean Earthquake/Tsunami (Indian Ocean 2004) - 230,000 dead 8. Haiyun Earthquake (China 1920) - 240,000 dead 7. Tangshan Earthquake (China 1976) - 242,000 dead 6. Antioch Earthquake (Syria and Turkey 526) - 250,000 dead 5. India Cyclone (India 1839) - 300,000 dead 4. Shaanxi Earthquake (China 1556) - 830,000 dead 3. Bhola Cyclone (Bangladesh 1970) - 500,000-1,000,000 dead 2. Yellow River Flood (China 1887) - 900,000-2,000,000 dead 1. Yellow River Flood (China 1931) - 1,000,000-4,000,000 dead Current State of World Disasters Every day, geologic processes are taking place that can disrupt the current equilibrium and produce natural disasters. These events are generally only catastrophic, however, if they take place in an area where they affect human populations. Advances have been made in predicting such events; however, there are very few instances of well-documented prediction. There is often a relationship between past events and future events and some areas are more prone to natural disasters (​floodplains, on fault lines, or in areas previously destroyed), but the fact remains that we cannot predict or control natural events, therefore, we remain vulnerable to the threat of natural hazards and the impacts of natural disasters.

Saturday, October 19, 2019

Pollution Caused By War Research Proposal Example | Topics and Well Written Essays - 1000 words

Pollution Caused By War - Research Proposal Example Radioactivity, toxic chemicals, unexploded devices, and unsanitary health conditions will continue to scar the war zone for decades into the future. The human cost of this pollution is enormous and little is being done to hold the warring parties responsible for repairing the damage left behind. Landmines litter the playgrounds, toxins invade the food chain, and a plethora of health problems arise to further burden civilian population in the previously occupied lands. Recent decades have seen an explosion in wartime pollution and little has been accomplished to gain international agreement on the treatment and cleanup of affected areas. Wars have always left behind some form of pollution, usually in the form of unexploded ordinance that littered the landscape. During the US Civil War smoke was a major pollutant, but its effects were temporary as the smoke would clear and nature would reclaim the landscape scarred with craters. However, Vietnam would change that as "It is generally accepted that the extensive use of environmental destruction as a strategic practice in war dates from the use of defoliants during the war in Southeast Asia" (McCally 278). The forests in Vietnam were cleared with a chemical agent known as Agent Orange, a deadly herbicide that denied the enemy of food and cover. The amounts left behind in the soil and food chain had the greatest effects on the civilian population, which had little protection from the Geneva Convention or similar international agreements. Modern warfare had taken a leap and could no longer control the devastating effects of the pollution left behind. Another devastating pollutant has recently come in the form of depleted uranium (DU), a highly dense metal used for armament and armor plating in military applications. DU illegally litters the battlefields in Kosovo and Iraq and is spread throughout the environment after a contamination event. "Over the days and years following such an event, the contamination normally becomes dispersed into the wider natural environment by wind and rain. People living or working in affected areas may inhale contaminated dusts or consume contaminated food and drinking water" (Depleted Uranium). The effects of exposure to DU can range from kidney problems to lung cancer, and the World Health Organization warns that, "Small children could receive greater exposure to DU when playing in or near DU impact sites. Their typical hand-to-mouth activity could lead to high DU ingestion from contaminated soil" (Depleted Uranium). The United Nations Environment Programme (UNEP) has been active in attempting to c lean up DU contaminated sites, but Henk van der Keur of the Laka Foundation1 contends that the use of DU is in direct violation of international law (A Day to Prevent Environmental). Cleaning up the damage may come to late for many that have already been exposed, and international groups are calling for an outright ban on DU. While the effects of Agent Orange and DU may linger unnoticed as an odorless and colorless poison, the effects of oil pollution in the Mideast have been more profound. The widespread fires from the ignited oil wells after the Kuwait War could be seen for miles, and "Iraq's release of about 10 million barrels of Kuwaiti oil into Gulf waters caused great stress to an ecosystem already suffering from decades of abuse" (McCally 278). At the time, there was little international

Friday, October 18, 2019

Biodiesel an Alternative Source of Fuel Research Paper

Biodiesel an Alternative Source of Fuel - Research Paper Example Due to the emergence of many industries involved in converting â€Å"raw materials into finished goods†, biodiesel proves to be an alternative source of fuel to suit the operations of the existing and emerging industries (Kowalski, 2010). This fuel is also suitable for diesel vehicles. Biodiesel is a kind of energy generated from fats or vegetable oils combined with alcohol (Kowalski, 2010). This fuel is ideal for diesel engines, as it does not require the modifications of the engines for its use. The United States of America generates this fuel by using soybean oil. Many companies prefer to generate this fuel from already used fats and at times use grease. Biodiesel is effective, as one may prefer mixing it with diesel or use it alone. Biodiesel is ideal during its use as it is friendly to the environment and nontoxic. It is a recyclable fuel. Biodiesel tend to burn cleanly with minimal chocking smell and emits an insignificant portion of smoke. This fuel is not a source of p ollution as it emits insufficient amounts of pollutants such as â€Å"carbon (1V) Oxide and hydrocarbons and no sulfur† is contained in this substitute source of fuel (Kowalski, 2010). During its preparation, filtration of the fats or oils extensively is necessary to remove the contaminants and water present. Biodiesel contains high amounts of energy and its accurate tackiness makes it apposite for use in all vehicles and equipment that require diesel. In order to realize energy liberty, Biodiesel is the initiative to take and follow (Kowalski, 2010). Preparing Biodiesel Transesterification is the procedure of coming up with biodiesel. This process involves a chemical reaction thus a catalyst is necessary to augment the speed of reaction. Since the fats and oils are hydrocarbons, filtration is a prerequisite to clean them. After they are clean, alcohol is added to the mixture and a catalyst introduced. Sodium hydroxide is the preferred catalyst to speed up its manufacture. Th e catalyst does not become part of fuel in any way. The resulting product of the chemical reaction is biodiesel fuel (Demirbas, 2008). Biodiesel has become popular as heating oil in many countries with many residents of the United States using this fuel in place of household oil. Letter â€Å"B† comes along with a certain number to mark it. The number represents the percentage of this fuel in a mixture of petroleum and biodiesel. For example, a combination of 30% biodiesel and 70% petroleum is denoted as B30. B20 is the most popular biodiesel globally. Compared to the fossil fuels, biodiesel emits fifty percent less hydrocarbon and minimum amounts of sulfates and oxides (Demirbas, 2008). Over the past twenty years, biodiesel has proved to be a substitute fuel. It offers preventive measures of handling and transporting as its biodegradable. To eliminate low temperature gelling, additives are readily available in the market. The companies announce on a gel additive that blends well with B100 to prevent gelling of temperature without altering the engine components. To maintain the stability of the fuel, recommendations are that blends of biodiesel above B20 to be used not more than six months after its production. Uses of fuel functions optimally above B20 in older vehicles, precautions are necessary due to deposits left by petrol diesel. Biodiesel dissolves the sediments that in turn obstruct the fuel sift. â€Å"Positive Impacts of Biodiesel on the Environment† Biodiesel as an alternative source of fuel offers some positive impacts on the human health as well as the environment. The largest impact made by this fuel on the environment is that it serves to reduce smog.

Strategic hospitality management Literature review

Strategic hospitality management - Literature review Example In discussing about the hospitality brands, that are owned, managed or franchised by the group, it can be said that the brands has a presence in almost every category like luxury, full service, select service, extended stay suites as well as timeshare. The Hilton Worldwide in the year 2011 was credited as the fastest growing major hotel company. As of the year 2011, the hospitality chain accumulated around 30 million HHonors members out of which 3.5 million members joined in the year 2011 itself. The hotel brand has presence in various continents around the world like the Americas, Europe, Middle East, Africa as well as Asia. Vital information about the company is given below in a summarised format: In 2011, the hotel company had an inventory of over 630,000 rooms all over the globe. The company is the owner of multiple popular brands which are present in around 90 countries. In the year 2006, the annual revenue of the hospitality company was around 7.44 billion USD. Journalistic Art icle While performing a strategic performance analysis for the Hilton Worldwide from the investors’ point of view, it is important to focus on conducting an overview of the global hospitality industry along with estimating the growth of the company in the recent times. Focus also needs to be given on the prospects of growth for the company in markets around the world. Overview of the global hospitality industry In discussing about the global hospitality industry, it is important to highlight that the global macro factors are bound to have a strong influence in this particular industry. Talking on this note, it needs to be stated that in the current years, the global hospitality industry has been affected in a significant manner by the political and economic factors around the world. In the year 2012, the global hospitality industry suffered the impacts that generated from US presidential election, sovereign debt crisis of the Euro zone, political disturbances and tension in v arious regions of the Middle East along with slowing down of Asian economies. Talking on this note, it can be stated that in the year 2012, the hospitality sector of the US, especially in the locations of New York, Los Angeles, San Francisco as well as Chicago displayed indications of growth and expansion. A report by the globally popular consulting firm Ernst and Young revealed that the average revenue per available room as of the year 2012 touched the levels of 2007. A deeper analysis revealed that the growth in the average revenue per room happened mainly because of the increase in occupancy levels as well as average daily rate (ADR). It was also found that the influence of the factors like high barriers to entry, longer and extended periods of development of hotel property as well as reduced dependence on wholesalers has greatly helped the upscale, upper upscale as well as luxury segment players of the hospitality industry of the region to attain an increase the revenue per avai lable room (RevPAR) in the recent times. The RevPAR for the Asia Pacific region, barring countries like India and New Zealand also recorded an increase in the year 2012. The prolonged political disturbances in some of the major markets of Middle East regions resulted in generation of mixed performance for this particular

See Below Essay Example | Topics and Well Written Essays - 1000 words - 2

See Below - Essay Example An estimated 100,000 children of mixed blood had been taken away from their mothers between 1910 and the 1970s , many of whom were subjected to humiliation, sexual abuse and ill treatment and forced to become unskilled labor. At first glance, these two incidents happening close together in geographically distant locations seem to have nothing in common, but a little reflection makes it evident that both incidents are centered around aggression. On the one hand, it is aggression of an individual against others, a classic case of the the individual’s death drive unleashing its negative energy. On the other hand, the aggression committed is by a race against another and the apology points to Freud’s theories of guilt and the conscience. Since ancient times, there have been recurring events of aggression, which took the form of conquest and pillage. Modern day conflicts have their roots in the latent fear and hatred of cultures and sex other than one’s own. Let us consider the books, Love My Rifle More than You by Kayla Williams and Bury me Standing by Isabel Fonseca. In the former, conflict is seen from the point of view of the female of the species, while in the latter, it is the victims sufferings which are highlighted.. Williams gives a graphic account of her experiences as a soldier in the U.S. army in Iraq. She served in Iraq for one year at the beginning of the U.S war against Iraq. The war was fought in the midst of civilian population. Being a female, Williams was considered to be â€Å"less threatening† than her male colleagues. As she was fluent in Arabic, she had the job of communicating with the local people. In her inimitable style, Williams narrates many disturbing incidents, from humiliating an Iraqi prisoner to aiming the gun at a child. In another incident recounted by her, she is made to humiliate a naked and weeping Iraqi

Thursday, October 17, 2019

Financial Reporting. Company assigned - Informa Coursework

Financial Reporting. Company assigned - Informa - Coursework Example International accounting standards are the principles and the legislations and regulations implied by the local governments are the rules that needs to be followed and thus the symmetry of reporting around the world depends upon the adoption of the accounting standards in the regulations. Financial reporting are the highest regulated activity of business but due to the regulatory differences as to the extent of adoption of accounting standards the laxities provided in the reporting standards high profile corporates collapse, although the regulations in the financial reporting but there is much room available for development as due to the modern business techniques the regulations of financial reporting should be regulated accordingly besides the fact that the reporting base provided in the accounting standards are strong enough to maintain reporting symmetry. Standard Setting The international accounting standards are made in order to harmonize the financial reporting around the glob e in order to facilitate the user so the comparisons can be done. There are several bodies involved in the standard setting and their implication. International Accounting Standard Board is the main body where the standards formed and issued and in United States the American institute of CPAs. Exposure draft is issued based upon the issue arising in the financial reporting and the comments are taken upon the arose issue so responses from the different sectors of the businesses around the world can be taken and considered in order to get the involvement from different perspectives. The exposure draft is issued for a limited period and then it is considered by the experts and amended as per the needs and suggestions made by the experts around the globe. After the finalization of the exposure draft the accounting standard is formed and issued. After the issuance of the accounting standard the standard interpretation committee issues the interpretation regarding the accounting the stand ards and how the accounting standard deals with the different aspects of financial reporting. Whereas in United States the USGAAPs are issued to coincide with the international accounting standards so as to satisfy the uniformity in the accounting treatments around the globe. The accounting standards formed are based upon same basic concept and there is much less chances of conflict between the accounting standards and same is the case with the USGAAPs. However the two major bodies of setting accounting standards cannot implement the accounting implication around the world as the accounting standards are modified around the world varying country to country as per their legal requirement. The basis of accounting treatments is same but mostly the calculation and presentation is different so as to comfort the local reporting requirements. This brings the differentiation in the financial reporting as the reporting requirements in each country are not same. Thus the regulations in the re porting standards must be made strong enough so as to follow the required procedure in financial reporting and minimize the differences interstates so as to affirm the harmonization in the accounting treatments. Where the conflict between the accounting standard and local regulation arise the prevailing treatment is done as per the

Wednesday, October 16, 2019

Japan Airlines Flight 123 Essay Example | Topics and Well Written Essays - 1250 words

Japan Airlines Flight 123 - Essay Example This report stresses that the investigations into the accident by the Aircraft Accident Investigation Commission pointed out to the fact that the accident was largely as a result of structural and mechanical factors. As has been mentioned, Japan Airlines Flight 123 had been involved in a tailstrike incident in 1978 at Osaka International Airport, and the accident damaged its rear pressure bulkhead. Several recommendations were made after the conclusion of the investigation of Japan Airlines Flight 123 accident. Airport, and as a result, it damaged its rear pressure bulkhead. This paper makes a conclusion that which is the worst single-aircraft accident ever. The Commission made a number of findings. The first one is the fact that the aircraft that was involved in this accident had been involved in an airstrike incident on 2 June 1978 at Osaka International Airport, and as a result, it damaged its rear pressure bulkhead. Secondly, it found that the subsequent bulkhead’s repair was not done in accordance to approved repair methods that have been recommended by Boeing. The recommendations of the investigation board were followed. This is demonstrated highly by in-service maintenance programs designed properly in Japan and across the world. In addition, reduced number of accidents from similar cause as of Japan Airlines Flight is a testimony that the recommendations were followed

Financial Reporting. Company assigned - Informa Coursework

Financial Reporting. Company assigned - Informa - Coursework Example International accounting standards are the principles and the legislations and regulations implied by the local governments are the rules that needs to be followed and thus the symmetry of reporting around the world depends upon the adoption of the accounting standards in the regulations. Financial reporting are the highest regulated activity of business but due to the regulatory differences as to the extent of adoption of accounting standards the laxities provided in the reporting standards high profile corporates collapse, although the regulations in the financial reporting but there is much room available for development as due to the modern business techniques the regulations of financial reporting should be regulated accordingly besides the fact that the reporting base provided in the accounting standards are strong enough to maintain reporting symmetry. Standard Setting The international accounting standards are made in order to harmonize the financial reporting around the glob e in order to facilitate the user so the comparisons can be done. There are several bodies involved in the standard setting and their implication. International Accounting Standard Board is the main body where the standards formed and issued and in United States the American institute of CPAs. Exposure draft is issued based upon the issue arising in the financial reporting and the comments are taken upon the arose issue so responses from the different sectors of the businesses around the world can be taken and considered in order to get the involvement from different perspectives. The exposure draft is issued for a limited period and then it is considered by the experts and amended as per the needs and suggestions made by the experts around the globe. After the finalization of the exposure draft the accounting standard is formed and issued. After the issuance of the accounting standard the standard interpretation committee issues the interpretation regarding the accounting the stand ards and how the accounting standard deals with the different aspects of financial reporting. Whereas in United States the USGAAPs are issued to coincide with the international accounting standards so as to satisfy the uniformity in the accounting treatments around the globe. The accounting standards formed are based upon same basic concept and there is much less chances of conflict between the accounting standards and same is the case with the USGAAPs. However the two major bodies of setting accounting standards cannot implement the accounting implication around the world as the accounting standards are modified around the world varying country to country as per their legal requirement. The basis of accounting treatments is same but mostly the calculation and presentation is different so as to comfort the local reporting requirements. This brings the differentiation in the financial reporting as the reporting requirements in each country are not same. Thus the regulations in the re porting standards must be made strong enough so as to follow the required procedure in financial reporting and minimize the differences interstates so as to affirm the harmonization in the accounting treatments. Where the conflict between the accounting standard and local regulation arise the prevailing treatment is done as per the

Tuesday, October 15, 2019

Fitness Market Analysis Essay Example for Free

Fitness Market Analysis Essay Industry/market Industry: How many fitness centers? What’s their revenues? Profit margins? Is it growing? Concentrated or not? Market: PMB, attendance, consumer spending, Statistics Canada (average spending) General Trends: Growing? Health trends? Key Competitors: other popular gyms in the area (Nautilus, Progym, energy cardio) The Fitness Market The fitness market is very large and keeps growing. This market is targeted at anyone who wants to be in shape and is looking to live a healthier lifestyle. In 2009, consumers spent on average 186$ on fitness facilities and the median expenditure per household was 390$. We notice a positive trend of fitness center attendance during the past 10 years. Since 2003, there has been an increase in participating in a physical activity throughout the population of Quebec. Even though this change is small, it is a good indicator that people are looking to workout more. If we notice other health behaviours in Quebec we will notice the same positive trend of wanting to live a healthy lifestyle. There has been a drop in the smoker population: dropping from 26.4% in 2003 to 23.8% in 2010. People are also consuming more fruits and vegetables (5 times a day) an increase from 45.4% to 51.1% (2003-2010). Even the population’s life expectancy increased by 2 years to 81 from 2003 to 2008. All these statistics give us a good understand of our population’s health behaviours allowing to conclude that that the fitness center market has a high potential for profit because people are looking to stay fit and live healthier and longer.

Monday, October 14, 2019

Natural Ventilation In Buildings Engineering Essay

Natural Ventilation In Buildings Engineering Essay Proper design of energy conscious buildings requires a balance between two things: The thermal performance of the building envelope and the appropriate selection of techniques for heating, cooling and day lighting; An acceptable quality of the indoor climate in terms of thermal comfort, ventilation effectiveness or indoor air quality. Over the past years in all the western countries and more especially Europe, there has been a conscious limit of the availability of energy since the oil crisis of 1973. The main result of this crisis in term of the construction industry was therefore to reduce significantly global energy consumption, mainly used for heating and air-conditioning while neglecting its impact on the comfort and health of its occupants. During these periods, new regulations were made to regulate these, which also so the birth of real development of building research in western countries. However, these strict regulations on energy reduction in buildings was accompanied by an increasing number of disorders, mainly due to humidity condensation and the growth of mould, which affected the health of the occupants leading to SBS and building related sickness among the occupants, to overheating in the summer or in intermediate seasons, which affected the thermal comfort of the occupants and finally poor indoor air quality (IAQ) die to low air-change rates. The evolution began in the 1990s and it is now clear that energy conservation cannot be disassociated from the quality of the indoor and outdoor environment. These environmental criteria have even led to major modifications in manufacturing and technology, such as the abandonment of CFCs in HVAC. These criteria also highlight the necessity of full integration of the building site characteristics and potential in the design and this leads naturally to a focus on more integration of passive concepts on heating, cooling or more generally indoor climate conditions. (1) 1. Santamouris and Asimakopoulos, Passive Cooling of Buildings (1996) With these various aspects taken into account, natural ventilation appears to be a very attractive solution to ensure both good indoor quality and acceptable comfort conditions in many regions. Further more, natural ventilation seems to provide an answer to many complaints from users concerning mechanical ventilation, which appears to be noisy, to create health problems, to require routine maintenance and to consume energy. In contrast, natural ventilation is preferred by the occupants since it is energy efficient (no need of mechanical system), it can be easily integrated into buildings and it provides a healthier and more comfortable environment if integrated correctly. (2) Fundamentals of Natural Ventilation The magnitude and pattern of natural air movement through a building depends on the strength and direction of the natural driving forces and the resistance of the flow path. Good design involves the appropriate application of fundamental principles to the general strategies described in the following sub-sections. The driving forces for natural ventilation are wind and density difference. Wind Wind driven ventilation is caused by differences in pressures acting across the external surface of a building. The distribution of pressure depends on: the type of terrain surrounding the building (open country/city centre) and the presence of any obstructions (other buildings, tree belts etc) which provide opportunity for site layout and landscaping to enhance wind driven ventilation the wind speed and its direction relative to the building, and the shape of the building; this provides the opportunity for the architectural form and detailing to enhance the potential for wind driven ventilation. 2. Liddament, M. A Guide to Energy Efficient Ventilation. (1996) Air will flow through a building from areas of high surface pressure to areas of low pressure as shown in figure 2.5. In general terms, building surfaces facing into the wind will experience positive pressures; leeward surfaces and those parallel to the wind direction will experience negative pressures (suction) Source: Whole Building Design Guide Figure 2.1 Wind pressure field around a building Careful orientation of a building in relation to the topography of the site can maximise the potential for wind driven ventilation. This potential can be enhanced by landscaping, such as tree planting. Density differences Warm air is less dense than colder air. If two columns of air at different temperatures are separated by a boundary, there will be a difference in pressure across that boundary due to the different pressure gradients on either side. Normally, where it is warmer inside the building than outside, the pressure difference acts inwards at lower levels of the building and outwards at high level. When openings are placed in the boundary separating the two air columns, an upward air flow will be created through the building, exhausting warm air at high level and replacing it by cooler air at low level. This is known as the stack effect. These stack -driven flows rise vertically through a building, but will induce horizontal flows in spaces connected to the column of air rising. These horizontal flows replenish the warm air which is exhausted from the shaft. The shaft can take a variety of forms (see 2.3.3), but Figure 2.2 below illustrates the general principles associated with stack driven flows in an atrium. Source: Caroline Rock, Coventry University Fig. 2.2 Stack driven flows in an atrium Strategies for Natural Ventilation Wind and buoyancy, the driving forces for natural ventilation, may be used for different ventilation strategies: wind variation-induced single sided ventilation, wind pressure-driven cross ventilation and stack ventilation. Single-sided ventilation Single-sided ventilation relies on opening(s) being on only one side of the ventilated enclosure. A close approximation is a cellular building with opening windows on one side and closed internal doors on the other side. Single opening With a single ventilation opening in the room, the main driving force for natural ventilation in summer is wind turbulence. Compared with other strategies, lower ventilation rates are generated, and the ventilating air does not penetrate so far into the space Source: Dyer environmental controls Fig 2.3 Single-sided single opening ventilation Double opening Where ventilation openings are provided at different heights within the faà §ade, the ventilation rate can be enhanced by stack effect. The ventilation rate will be further enhanced by any wind pressures acting on the ventilation opening. As well as enhancing the ventilation rate, double opening increases the penetration of fresh air into the space. Effective to a depth of about 2.5 times the floor to ceiling height. Source: Dyer environmental controls Fig 2.4 Single-sided double opening ventilation Cross ventilation Cross ventilation occurs where there are ventilation openings on both sides of a space. Air flows from one side of the building to the other and leaves through for example another window or door. Cross ventilation is usually wind driven. As the air moves across an occupied space, it picks up heat and pollutants. Cross ventilation is effective up to 5 times the floor to ceiling height Source: Dyer environmental controls Fig 2.5 Cross ventilation Stack ventilation This term is used to describe those ventilation strategies where the driving forces promote an outflow from the building, thereby drawing in fresh cool air via ventilation openings at low level. The strategy makes use of the difference in density between a column of warm air and the surrounding cooler air. Because air flows into the building at low level, then up to a high level exhaust point, great care has to be taken into account when determining the different sizes of ventilation opening on each floor of the building. For equal ventilation rates, the ventilation openings at lower floors need to be smaller than those nearer to the top of the building. The effectiveness of natural ventilation can be enhanced by designing the stack outlet to be in a region of wind-induced negative pressure. The air may flow across the whole width of the building and be exhausted via a chimney, or it may flow from the edges to the middle to be exhausted via a central chimney and or atrium. e.g. Lanchester Library, Coventry University. Fig 2.6 Stack Ventilation strategy at Lanchester Library, Coventry Fig 2.7 Air exhaust via perimeter chimneys, light wells and the central atrium at Lanchester Library, Coventry Source: Pat Non, Coventry University Double Skin Faà §ade A double faà §ade construction consists of a normal concrete or glass wall combined with a glass structure outside the actual wall. Double skin facades offer several advantages. They can act as buffer zones between the internal and external environment, reducing heat loss in winter and heat gain in summer. In combination with ventilation of the space between the two facades, the passive thermal effects can be used to best advantage. Opening windows in the inner skin can draw air from the buffer zone into the building. The stack effect of thermal air currents in tall buildings offer advantages over lower buildings. Night Ventilation Night ventilation is not an additional mode of ventilation; it is simply a different operational strategy. It takes advantage of the natural diurnal variations in temperature to promote cooling. Night ventilation offers many advantages like cooling the fabric of the building at night and also ventilating during unoccupied periods

Sunday, October 13, 2019

Charlies Regret of Past Behaviors in Fitzgeralds Babylon Revisited :: Babylon Revisited Essays

Charlie's Regret of Past Behaviors in Fitzgerald's Babylon Revisited Charlie Wale's character seemed to get the raw end of the deal throughout the entire story. He was trying to redeem himself as a good father and a good citizen. He had many regrets of his past actions and behavior, especially those regarding his deceased wife, Helen. The events that occured during his visit to Paris, however, were detrimental to his intentions. His desire to have his daughter, Honoria, return with him to Prague, was sincere, and as a reader, I could almost feel his pain and disappointment at the disastorous end results. Marion's decision to not allow Honoria to return was merely based on Charlie's "past". Once his old acquaintances, Duncan Schaffer and Lorranine Quarrles, surfaced at the home of Linclon and Marion Peters, there was almost no chance of redemption. Marion could only see the "old" Charlie, and not the man who longed to care and provide for his daughter. Marion also seemed to hold a grudge against Charlie for the death of her sister, Helen. Charlie had begun many preparations to bring Honoria home with him. The hiring of a governess and the lease on a new apartment are just two examples of his attempt at trying to convince Marion and Licoln of his seriousness of resuming the responsibilty of being a parent. To be a father to Honoria, would also entail being a mother to her in some ways, due to the fact that Helen's death had been a part of the past Charlie was trying so hard to recover from.. Charlie's personal strentgh is shown by only having one drink a day, compared to the noted many drinks, and possibly other paraphernalia he may have encountered in his colorful past. At this point in his life, he

Saturday, October 12, 2019

English Essay -- English Literature

English The Crucible Essay The Crucible, a tale of superstition and tyrannical oppression set to shake our complacency and make us think. Arthur Miller, the author of this compelling play, deals with controversial issues and subjects which could be classed as taboo such as infidelity and witchcraft. He has a rare talent when it comes to writing and conveying human emotions to his audience. Act 2 opens in the ‘common room’ of Proctor’s house. John Proctor arrives later than usual after a hard days work. Carrying his gun he enters the â€Å"low, dark and rather long living-room†. The stage directions not only suggest he is displeased with his food upon tasting it - he meddles with the pot situated on the fire: â€Å"Then he lifts out the ladle and tastes. He is not quite pleased†¦Ã¢â‚¬  - but also suggest that the setting in which this takes place is depressing and lifeless, symbolising the feelings that are conjured up in John when entering his ‘home’. The first words spoken between husband and wife are Elizabeth questioning his whereabouts in a very accusational way ‘What keeps you so late? It’s dark.’. There is no reaction from John just an honest reply as if Elizabeth had no double meaning to her inquiry, no Hi or Hello in sight. From then onwards basic chit-chat such as the farm and the weather ‘Pray now for a fair summer’ fill their conversation. The little conversation that they manage to force feels stunted and false as both John and Elizabeth are being too polite - not as man and wife should behave. John manages to eat a whole meal but they only speak six or more times leaving much of the time to be filled by uncomfortable silence. Elizabeth watches the reaction of her husband when he tastes her .. ... utter despair. The confession of John’s left her feeling vulnerable and alone. Her suspicion of her husband is so strong because of her low self-esteem and insecurities. Abigail threatens her. What is she to do? Everyday she is faced with the reminder that she wasn’t enough for the love of her life but she has no choice - she cannot leave. Society had not yet accepted even the concept of divorce, especially Practising Catholics like themselves. People judged their neighbours and it mattered about keeping up appearances. There would be no way Elizabeth could have confided in a ‘friend’ about her husband’s infidelity and there was absolutely no way she could walk out on her marriage - divorce was out of the question. Though it may be all dead and buried and laid to rest in John’s mind, for Elizabeth the wounds are just as deep as the day they were made.

Friday, October 11, 2019

Paschal Mystery

Gabrielle Murabito Brother Jim, S. A. C. New Testament 9 April 2013 Paschal Mystery Essay God had a wonderful plan for everything He created for all things that exist. The Paschal Mystery is Christ work of redemption through His Passion, death, Resurrection, Ascension, and Pentecost. The term Paschal mystery comes from the Pasch, which is the Passover event of the Exodus. God sent the ancient Hebrews from slavery and death in Egypt, so Jesus could save us from original sin and eternal death. God the Father sent His Son to rescue all humanity.His Son did this by dying for the whole world. He willingly offered himself for the salvation through His suffering, death, Resurrection, Ascension, and Pentecost. Christians call it the Paschal Mystery because we celebrate this in the sacrament of Eucharist. Eucharist represents Christ’s body and that was given to His followers on the Last Supper. It is all meant to show God’s love and Jesus’ suffering. Jesus redeemed himsel f through His passion, death, Resurrection, Ascension, and Pentecost.Jesus’ passion is He, Himself, suffering through and eventually dying on the cross. In Mark 14:58, the footnote 14:38 states that â€Å"Everyone is faced with this struggle, the full force of which Jesus is accepted on our behalf and, through his bitter passion and death, achieved the victory†. Jesus accepted His passion when He accepted His cross and out of His own free will, died for us. Jesus’ death only lasted 3 hours. When others got crucified, it lasted days.Jesus was mocked until His death, beaten many times, had to carry His own cross, and when He was put on the cross, He eventually died from suffocation because He had too much fluid in His lungs from hanging. His death was very painful but He did it for all of us. In Mark 15:39, it says, â€Å"When the centurion who stood facing Him saw how He breathed his last he said, Truly this man was the Son of God! †. His death proved to e veryone that He, Jesus was the Son of God. On the third day, Jesus resurrected.Many did not believe, they were afraid. His resurrection changed Him physical. He was no longer the same. Jesus could walk through walls but could still be able to eat and touch people. His resurrection also proved that He was the Son of God. â€Å"So then the Lord Jesus, after he spoke to them, was taken up into heaven and took his seat at the right hand of God. † Mark 16:19, explains the Ascension of Jesus. He ascended into heaven in His resurrected body. This proves that all humanity is taken into heaven.Jesus mission on earth has been accomplished and will return again someday. On the fifteenth day following Easter when the Holy Spirit is made present, given, and communicated as divine Person of the Trinity. Pentecost is an event when the Apostles and Disciples were in the upper room and the Holy Spirit came upon. â€Å"The Holy Spirit gave them abilities. † This event marked the beginni ng of the manifestation of the gifts and fruits of the Spirit. Now, Jesus’ mission will be completed through others. Jesus, the redeemer, saved the whole world from sin.

Thursday, October 10, 2019

Campbell’s Life Essay

Born on April 13, 1933, Senator Ben Nighthorse Campbell is one of the few politicians of note who rose in the political circles carrying proudly his Indian ancestry. â€Å"He is proud of his Native American heritage. † His sense of pride and loyalty to his roots and to his culture was seen through his actions as well as through his clothing; it was as if he was wearing his culture, identity and heritage. For example, he was seen wearing â€Å"ceremonial tribal clothing† as he attended the opening of the National Museum of American Indian (NMAI) . It was considered as a â€Å"major aspect† that has created, established and sustained the overall â€Å"persona† that is Senator Campbell all throughout his life, especially during his political life . Campbell’s personality of hinging so much of who he is as he presents himself to the public on his being a Native American Indian was just enough for people to forget that there were actually men who preceded Campbell who, just like him, were partly Native American Indian and also won elected public office. One of them served in an office even higher than Campbell’s – and that would be Charles Curtis, who would eventually become the first vice president of the United States who is a Native American Indian. â€Å"The highest elected office ever held by an Indian in the US was the vice presidency . † Unlike Campbell, Curtis was from the Kaw tribe hailing from Kansas. In his vein was quarter of blood from this tribe. Also, he was an attorney before getting elected, unlike the more blue-collar type of jobs that Campbell pursued early in his life before shifting to jewellery designing and production later on. Nonetheless, both elected men are good and honorable men who made the Native American Indian community proud. But even with men like Curtis and how they were ‘bigger’ men politically, the Indians appreciate Campbell’s efforts at staying with his packaging as the American Indian holding office at the senate and at the congress. This personality/attitude more than compensates for the fact that he was not the first of his kind. â€Å"Although not the first Native American senator, he is the first to make a statement with his Indianness. † Indeed, he, too, was a record maker of sorts, and in many ways. This is what the paper will explore throughout the discussion on the different aspects of personal and political life of Senator Campbell, who, in November 3, 1992 made a historic feat by becoming the first American politician with Native American roots to be elected as a senator. It was something that hasn’t happened in more than the six decades that has passed in the senate history prior to his election to the office. Prior to that, he became the sixth politician with Native American heritage and ancestry to be ever elected to the congress, a seat that was given to him through the votes of the public for three times . Senator Campbell’s Indian heritage is no secret. In fact, it seems that it is one of his many major personal characteristics that the media, as well as his colleagues, often refer to or address, particularly his being Indian, and his respectful stature in the Indian community, like being a Northern Cheyenne Tribe chief, a position he and only 43 others possess . Because of Campbell’s pride towards his heritage, his people in return are doing ways to let Campbell know that his act of holding on to his Native American Indian roots and not covering it up with modern day personality just to suit his high echelon colleagues and. So that he will suit their taste for a particular company, his native Cheyenne are going out on a limb just to celebrate the victory of one of their most accomplished sons. For example, many Cheyenne individuals joined the parade. Some of them spent as much as they can spare just to lavish Campbell and the parade with the decorations fitting to the act of congratulations coming from the Cheyenne tribe. Some actually spent more than they could spare just so they can claim Campbell as their own and they can show how proud they are of Campbell. â€Å"Six of the riders were Northern Cheyenne, who had bankrupted themselves to show the world that Campbell was one of their own . † Despite his Indian American / Native American Indian roots, Campbell was a Catholic from the time his mother, also a devoted catholic, had him baptized when he was still a baby by bringing him and his sister Alberta to a church to be baptized just close to the time Campbell was born, until the time when he seemed to have had a falling out with the Catholic faith. But Campbell, during his adult life and especially during his tenure as public office politician, drifted from religion, and proof of this is the item â€Å"unspecified† marked on the space allotted for the identification of religious affiliation of the individual. This distinction, again, made Senator Campbell someone who is different from the rest of the field in the 106th Congress. He was the only one whose religious affiliation was unspecified, although there were no clear explanation(s) why such was the case – it could be anyone’s guess, from clerical error, mistake, or other reasons . His sudden dissociation with the Catholic faith was a surprising turn of events for Campbell. There are many good things that the Catholic faith has done for Campbell, especially during his youth. For example, there is the role of the faith during the times they were sent to the orphanage by their parents because they cannot take care of him and his sister because of their mother’s sickness and their father’s alcoholism and inability to financially support them. While the Catholic faith and the orphanage system had their share of bad reputation, history points how the Catholic experience was a relatively good one for Campbell. In retrospect, Campbell recalled how the nuns and priests, who took care of him when his parents were unable to take care of him, treated him well. In his recollection of his days with these priests and nuns, as he narrated it for his biography published in book form, he mentioned just several instances wherein he was punished like being sent inside a pig pen to be with a huge pig. The reason for his pains against Catholicism maybe rooted in the things that he never verbalized, in the things which he only referred to as painful memories of his childhood, some of which he experienced in the orphanage . If he saw flaws in the orphanage, then it is not surprising if he also saw flaws in Catholicism because the two are one and the same during his youth.

Wednesday, October 9, 2019

Freedom of Information

CHAPTER ONE INTRODUCTION 1. 1BACKGROUND OF STUDY In a nation there are some fundamental elements that demonstrate the true existence of certain rights in such a society and these go a long way in showing that it is truly developed in every sense of the word. The level of a nation’s â€Å"maturity† depends on how well it fulfils these elements, one of which is Freedom of information. A government ought to be accountable to its people. Freedom of information has two sides namely, the freedom to convey information, and the freedom to access information.As such, it consists of press freedom and freedom to access any information by the general public. According to Hughes â€Å"the concept of freedom refers to a certain type of political empowerment. It refers specifically to equal empowerment. In other words, a free society is one with an equal distribution of legal rights and in which each and every person has as much legal rights as possible † (Hughes. , 2007). And the Oxford dictionary goes on to say define information as â€Å"Knowledge communicated concerning some particular fact, subject or event; that of which one is apprised or told; intelligence, news†.Freedom of information simply put, gives you the right to ask any public body for all the information they have on any subject you choose (â€Å"Freedom of information,† 2001). Having listened to so much talk about â€Å"freedom of information† it is indeed pertinent to carefully and deliberately look into the likely objects of the government at different stages or rather eras of press freedom in Nigeria and express likely views on the issue.The study will also outline importance of freedom of information, consequences and eventual support for or disapproval of freedom of information in the society, making comparisons of this in both military and civilian regimes from Nigeria’s independence till date. This will be the rationale of this study. According to artic le 19 of the universal human rights, every person has the right to freedom of opinion and expression, to hold opinions without interference and to convey or access information through any media. This study seeks to investigate the practice of this in Nigeria, at different points in time. . 2OBJECTIVES OF STUDY The major objectives of this research as previously mentioned in the background of study are: 1. To outline the freedom of information at different stages in Nigeria – the past, the present and the future of freedom of information going forward. 2. To look at the metamorphosis of freedom of information in Nigeria from its independence in 1960 till date. 3. To research and discuss the likely developments to be expected in this regard as well as where we are with freedom of information and bills being worked on. 4.To tender likely solutions to the problems and limitations of Freedom of information in Nigeria. 1. 3 PURPOSE OF THE STUDY: The study is focused on exploring th e how freedom to convey, air and publish views or information affected us in the past, and how it has affected our growth as a nation. It also seeks to pin point the state of things with regards to the research topic, as well as prospects for the future. 1. 4 RESEARCH QUESTIONS The research will answer the following questions: †¢What was the state of freedom of information in the country during the early stages of our independence? What was the state of freedom of information in the military era? †¢What was the implication of the level of freedom of information on the nation during that era? †¢What has been the state of freedom of information during the civilian era? †¢How has the state of freedom of information affected the growth of Nigeria as a nation? †¢What is the current state of freedom of information in the country? †¢What are the prospects and solutions to problems with freedom of information? 1. 5SCOPE OF STUDYThe study will examine freedom of information under press freedom and freedom of access to information by the public. It will examine this under such eras as, the military and civilian eras and will weigh the progress made over time, as well as make comparisons of both periods. The study will also outline the steps taken for or against the freedom of information with regards to press freedom and accessibility to information by the different administrations. It will examine the ways in which the government has affected freedom of information and how this has affected or will affect our growth as a nation. . 6RESEARCH METHODOLOGY This research will make use of both primary and secondary sources of information. The primary sources to be used will include the 1999 Constitution of the Federal Republic of Nigeria, statute books, law reports, journals as well as other relevant materials, pertaining to freedom of information. The secondary sources to be used are texts and other online materials written within and outside t he country, dictionaries and other materials that will aid in answering the research questions. . 7LITERATURE REVIEW The literature to be reviewed includes a number of journals, texts, as well as scholarly articles which are relevant to the study. The study seeks to develop on previous works by different authors and scholars. 1. 8CONCLUSION The study should conclusively after considering the pros and cons as well as development and implications of freedom of information fall in tune with the agitation of freedom of information or agree that indeed a limit should be rested on.It will also arrival on conclusions on the stand of the government, the press and the people on press freedom as well as solutions proffered to the problems of freedom of information. Work Cited Sveiby , K. (1994, October). Information in etymology. Retrieved from http://www. sveiby. com/articles/Information. html Freedom of information. (2001, SEPMTEMBER). Retrieved from http://www. direct. gov. uk/en/governmen tcitizensandrights/yourrightsandresponsibilities/dg_4003239 Hughes. , S. (2007, May). What freedom means to me. Retrieved from http://onlinephilosophyclub. com/definition-of-freedom. php

Tuesday, October 8, 2019

Organization and transformation Essay Example | Topics and Well Written Essays - 5500 words

Organization and transformation - Essay Example It is evident that the world keeps changing at an extremely rapid rate. It is rare that a single day passes without the news of another discovery or a boundary pushing inventions. Globalisation seems to have dominated much of the corporate and political scenario lately. It has compelled organisations to reallocate resources completely. Major impacts have been more visible in case of the SMEs while the airlines industry has demonstrated significant changes among the large enterprises (Organisation for Economic Co-operation and Development, 1997, p.286). On the other hand, the dark side of globalisation has given rise to exploitation, terrorism, refugees and the like. The rate with which the changes have been taking place has been outpacing peoples’ abilities to catch up with the change. Organisations people rely on, for meeting their regular needs and wants have been demonstrating rapid and dramatic changes. Such changes are being incorporated in terms of the organisation strat egies, structures, systems, boundaries and also organisational expectations from their managers and staff. The concept of change management gains relevance in the context of an organisational setting. Mangers and leaders must understand the reasons why change takes place, the way changes happen, and the things that are required to be done for making the change more acceptable and welcoming (Cameron & Green, 2004, p.2). The Case Canada’s Bombardier was established in the year 1942 and was initially involved in the making of snowmobiles and various other similar equipments. However, the focus has now shifted towards the manufacturing of airplanes and trains. In fact the company has evolved as the leader in the manufacturer of trains and takes the number three position in the manufacturing of civil aircrafts (Simpson, 2011). Even amidst the economic downturn the company’s stock prices and revenues have remained at a high level. This demonstrates the success the company ha s been able to achieve which has acted as a shield against the external shocks in the economy and helped it to stands high when most other companies were incurring losses. Over the recent past, it has also been able to boost its level of investments which reflects through its designing a completely new airplane, which is called the CSeries. The special benefit that this design provides is that it is characterised by lower emissions and incurs lesser costs in comparison to the remaining airplanes. Pierre Beaudoin, who has been the CEO and President of the company since the year 2008, has attributed resilience of the company significantly towards its present culture. Beaudoin is known for taking the initiative of completely changing the culture of the organisation and making a complete transformation of the way the company operated and functioned in the industry. He had done this being the president of Bombardier Aerospace. The transformation was primarily in the form of changing the company which was driven by engineering and manufacturing goals and also has in depth cultural divisions to that which was