Saturday, August 31, 2019

Digital Fortress Chapter 13

Tokugen Numataka stood in his plush, penthouse office and gazed out at the Tokyo skyline. His employees and competitors knew him a sakuta same-the deadly shark. For three decade she'd outguessed, outbid, and out advertised all the Japanese competition; now he was on the brink of becoming a giant in the world market as well. He was about to close the biggest deal of his life-a deal that would make his Numatech Corp. the Microsoft of the future. His blood was alive with the cool rush of adrenaline. Business was war-and war was exciting. Although Tokugen Numataka had been suspicious when the call had come three days ago, he now knew the truth. He was blessed with myouri-good fortune. The gods had chosen him. â€Å"I have a copy of the Digital Fortress pass-key,† the American accent had said. â€Å"Would you like to buy it?† Numataka had almost laughed aloud. He knew it was a ploy. Numatech Corp. had bid generously for Ensei Tankado's new algorithm, and now one of Numatech's competitors was playing games, trying to find out the amount of the bid. â€Å"You have the pass-key?† Numataka feigned interest. â€Å"I do. My name is North Dakota.† Numataka stifled a laugh. Everyone knew about North Dakota. Tankado had told the press about his secret partner. It had been a wise move on Tankado's part to have a partner; even in Japan, business practices had become dishonorable. Ensei Tankado was not safe. But one false move by an overeager firm, and the pass-key would be published; every software firm on the market would suffer. Numataka took a long pull on his Umami cigar and played along with the caller's pathetic charade. â€Å"So you're selling your pass-key? Interesting. How does Ensei Tankado feel about this?† â€Å"I have no allegiance to Mr. Tankado. Mr. Tankado was foolish to trust me. The pass-key is worth hundreds of times what he is paying me to handle it for him.† â€Å"I'm sorry,† Numataka said. â€Å"Your pass-key alone is worth nothing to me. When Tankado finds out what you've done, he will simply publish his copy, and the market will be flooded.† â€Å"You will receive both pass-keys,† the voice said. â€Å"Mr. Tankado's and mine.† Numataka covered the receiver and laughed aloud. He couldn't help asking. â€Å"How much are you asking for both keys?† â€Å"Twenty million U.S. dollars.† Twenty million was almost exactly what Numataka had bid. â€Å"Twenty million?† He gasped in mock horror. â€Å"That's outrageous!† â€Å"I've seen the algorithm. I assure you it's well worth it.† No shit, thought Numataka. It's worth ten times that. â€Å"Unfortunately,† he said, tiring of the game, â€Å"we both know Mr. Tankado would never stand for this. Think of the legal repercussions.† The caller paused ominously. â€Å"What if Mr. Tankado were no longer a factor?† Numataka wanted to laugh, but he noted an odd determination in the voice. â€Å"If Tankado were no longer a factor?† Numataka considered it. â€Å"Then you and I would have a deal.† â€Å"I'll be in touch,† the voice said. The line went dead.

Friday, August 30, 2019

Management Institute Essay

In consulting Linton, there are two main components that would have to be closely analyzed: Deborah Linton’s leadership style and Lisa Benton’s ability to positively impact her new business environment. Lisa Benton is well educated and experienced in her field; yet, she allows dysfunction to distract her of her ability to contribute. Benton surrendered the power of her voice because she humbled to the intimidation perceived from her supervisor, coercive teammate, and questionable environment. LINTON MANAGEMENT PROFILE Deborah Linton is the average person in a leadership role who does not know the difference between management and leadership. Because she does not know the difference, her approach towards Lisa Benton is all wrong for the right reasons. Her initial address to Benton was out of fear versus confidence in her ability to manage a Harvard graduate. Linton’s fear warrants a close investigation of her management style, her conflict resolution, and her measurements of being a leader. Deborah Linton’s management profile has to be priority in order to accurately identify and effectively address in order to improve her effectiveness. If we were to complete a DiSC Assessment of Linton’s management style, Linton would most likely be a D (Dominance) style manager. Linton had a â€Å"sophisticated appearance and confident manner† by which she carried herself in the office. Upon meeting with Lisa Benton for the first time, Linton expresses her discontent with â€Å"MBAs [who] act like they know a lot more than they do† (Weber, 1994). This is reflective of the D style motivation of power and authority. And how blatantly noticeable Linton is  forceful and direct when addressing Benton. Immediately, she sets the tone of her position and authority by challenging Benton’s academic success with great insensitivity. Linton’s dominant management style is consistent throughout the article when she addresses Benton on a couple occasions or even her counterpart, Jack Vernon. The approach with Lisa Benton was misguided from the start which prompts the question, â€Å"Who would want to be led by [Linton]?† This question is significant because Goffee and Jones emphasize the importance of followers to leaders. They state that leaders â€Å"better know what it takes to lead effectively — they must find ways to engage people and rouse their commitment to company goals† (Jones, 2000). Linton does not give Benton any idea of the current state of the company or how she would like for her department to impact the company’s success. She did not share her vision for her department and what she expected to produce in a particular time frame. Benton had no clue as to how her role was to impact the Although Linton greeted Benton pleasantly, she negated the meeting by complaining her arrival was a week too early. Benton’s eagerness to contribute to the company’s success was not celebrated or welcomed. This attitude was perpetuated once Linton pushed-off Benton to another product manager, Ron Scoville. Linton has proven herself to be more of a manager versus a leader. Although Benton was new to the team, Linton places more importance on product management. Priority should have been placed on making sure Benton was properly trained. Linton focused her efforts on â€Å"the detailed steps that are necessary to get results† (Lecture, Wk 2). Benton felt like an intruder whenever she stepped to Linton’s office because she was refused regularly. Linton’s lack of concern towards Benton’s development further demonstrates her dominant management style. Linton not only managed with dominance, but also dealt poorly with resolving conflicts. Thomas and Kilmann would assess that Linton is unassertive and uncooperative when resolving conflict amongst subordinates. Evidenced when Linton resolved conflict between Benton and Scoville by adopting Scoville’s  perspective. She addresses Benton by stating â€Å"I understand you’re too good for copying† implying that Scoville’s assessment was accurate. According to Thomas-Kilmann, Linton sidesteps the issue and postpones dealing with the conflict. Linton expresses her knowledge of Scoville not being liked in the office despite her personal feelings towards him being â€Å"misunderstood† and â€Å"having a heart of gold.† In both instances, Linton never truly addressed or resolved the issues. She avoided the issues and encouraged Benton to do the same in the interest of results. Linton is weak in the area of emotional intelligence. She struggles in the key areas regarding emotional intelligence: Self-awareness, self-regulation, motivation, empathy, and social skill. Linton is not aware of her own emotional impact on her employees or their emotional challenges. Scoville definitely has emotional challenges made evident through his emotional outbursts with Benton. Benton herself dealt with a great deal of emotional challenges. Linton failed to recognize the emotional challenges and utilizing them to build up her team. Additionally, Linton did not motivate her team members to cooperate or collaborate. She is not able to motivate because she does not empathize with Benton. RECOMMENDATIONS FOR LINTON Using Jack Welch Winning as a mirror to Linton, there are some basic principles that must be established and practiced. First of all, Linton needs to learn her new team. She has a close relationship with Scoville; yet, she needs to consider the chemistry of the team now that Benton is on board. Instead of demeaning Benton and her education, she should set the standard for her performance by giving her a vision, a goal. Linton does not†define where she wants her team to go† (Lecture, Wk 1). Benton never received her objectives or given a set of expectations from which her performance would be measured. Linton does not know what it takes to be a leader. As mentioned previously, Linton is a manager who believes her position qualifies her as a leader. My first recommendation is for Linton to understand the difference between a manager and a leader. Kotter makes an interesting distinction between  management and leadership as being forms of coping. Kotter states that â€Å"management is about coping with complexity. Leadership, by contrast, is about coping with change† (Kotter, 2001). Linton does not cope well with the change of Benton, an MBA graduate of Harvard, joining the team. Linton needs to better understand what is characteristic of a leader. Jack Welch specifically details what leaders do. I would encourage Linton to adopt and immediately apply these rules. Of the eight rules that Welch identifies, several rules need to take precedence. â€Å"Leaders relentlessly upgrade their team.† Linton spent time pushing Benton away versus taking advantage of the time to coach her. Rule #2 states that â€Å"leaders make sure people not only see the vision, they live and breathe it.† Benton did not receive her objectives let alone understand where Linton wanted to take the company. â€Å"Leaders establish trust with candor, transparency, and credit,† as stated in Rule #4. Candor will be addressed later; yet, transparency and credit seemed none existent. Linton rarely met with Benton, let alone, allow herself to become open and transparent. In fact, Benton often felt like she was intruding. Lastly, Linton needs to apply the last couple rules of â€Å"inspiring risk taking† and â€Å"celebrating† her team members. Linton has to celebrate her team members for their contributions and skills they bring. BENTON LACK OF LEADERSHIP Lisa Benton is an experienced and educated potential leader who over-analyzes her own situation. Not that she was not qualified for the position, but the she allowed the circumstances to have a â€Å"muzzling voice† effect over her. Her prowess and proven success were immediately diminished from her first day on the job. Benton was excited about the opportunity resulting from her interview meetings with energetic employees of Houseworld. If she was to take the DiSC Assessment, Benton would definitely fall in the C (Conscientious) management style. Before even accepting the position at Houseworld, Benton based her decision not on her ability, but on which company would provide the training she felt was necessary. Benton did not have a vision to buy into or objectives to guide her efforts. Benton falls prey to her limitations of her management style by â€Å"overanalyzing† her professional situation and isolating herself with  respect to her department. Despite her professional and academic achievements, Benton went from success to failure in accepting the position at Houseworld. Benton aborted her leadership potential by committing a significant sin of leadership. She did not â€Å"give her self-confidence its due.† Jack Welch says that â€Å"self-confidence is the lifeblood of success† (Lecture, Wk 8). Benton also made the mistake of listening to rumors about Linton and Scoville having a personal relationship. This dictated her interaction with them and took away her lateral persuasion. Benton was not able to â€Å"commit to the success† of Linton. RECOMMENDATIONS FOR BENTON To sum up in one word a recommendation for Lisa Benton, believe. Benton needs to go back to believing in her own mastered knowledge and proven skills to succeed. Benton needs to identify a focus for her efforts. She attempts to invent work for herself absent of Linton’s objectives; yet, becomes extremely frustrated. Her frustration resides in Scoville’s condescending demands and Linton’s nonexistent leadership. Benton needs to follow the â€Å"10 Keys Transition Challenges.† She needs to â€Å"promote herself† to the ideal and expectations she had of herself coming into this position. Benton successfully â€Å"accelerated her learning, built alliances, and built her network† amongst colleagues outside of her department. Yet, Benton needs to step back and diagnose the situation at Houseworld so she can effectively apply her skills. Additionally, she needs to â€Å"build a good relationship with her boss, focus on strategic alignment, build her team, and secure early wins† for herself. Benton had already built the foundation of lateral leadership which she needed to trust more than fear. Because she feared it she was not able to have the influence with Linton and Scoville that was rightfully due. As suggested in the Art of Persuasion, Benton has to build â€Å"credibility† for herself by confidently performing for the reason she was hired. Then she needs to establish â€Å"shared benefits† and â€Å"memorable evidence† within her department. She has to â€Å"vividly describe a comparable situation† from her  prior professional successes. Lastly, Benton has to â€Å"show emotion† in a more passionate manner towards results and not the explosive fits of frustration. CONCLUSION Although it was not properly implemented, Benton’s performance evaluation was accurate. Linton identified that Benton possessed strengths that she refrained from using. Benton felt this was unjust because she was never really given true direction. Ultimately, Benton is well capable of performing the duties of the position she filled. Benton needed to rise to the occasion, utilize lateral authority and influence, and emphatically believe in herself despite the unfavorable environment. REFERENCES Welch, Jack,Welch, Suzy. (2005) Winning /New York : HarperBusiness Publishers Hill, Linda A. Lisa Benton (A). Harvard Business School Case 494-114, March 1994. (Revised May 1994.) Kotter, J. P. What Leaders Really Do. Boston: Harvard Business School Press, 1999. Thomas, K. W., & Kilmann, R. H. Thomas-Kilmann Conflict Mode Instrument. Mountain View, CA: Xicom, a subsidiary of CPP, Inc. 1974. DiSC Management. Profile Summary Goffee, R., Jones, G. Why should anyone be led by you? Harvard business review, Vol. 78, No. 5. (Sep 2000)

Thursday, August 29, 2019

Hindu Religion And Women

Hindu goddesses are traditionally conceived to be strong figures,even indomitable ones. By comparing his female characters to these goddesses, Rushdie attributes them with a force of character. He perceives India as a matriarchy, where maternal power, energy, and love is the means to social cohesion. (Jennifer Takhar) Durga, the washerwoman who had nursed Saleems son in his sickness, is an important figure in Saleems life. As we understand from the description of her (pg:445), she is a powerful woman who is an opposite image of the docile Indian woman. She may be representing the power that is repressed in these women. Saleem fears her as she symbolizes the hope that he has lost. Her name, even before I met her, had the smell of new things; she represented novelty, beginnings, the advent of new stories, events, complexities, and I was no longer interested in anything new. (pg:445) She is again the one who foretold Saleem’s death. So, these kind of women as witches inspired fear in Saleem. Like Durga, Parvati-the-witch, who is Shivas wife, is another important figure. She causes in creating their child which is necessary for the continuation. Mother was seen as a nation. There is parallelism between continuity of nation through having children. Women have roles in productivity; that is why they are important. Parvati acts as somebody restoring order. She helps Saleem return to Delhi by using her magic basket, making him invisible. Parvati reminded Saleem of things he had tried to put out of his mind. (pg:389) So, we can say that she influenced Saleem as other women, as being representator of a nation. When we come to other women in Saleems life, for example Mary Pereira. She is the one who gives birth to Saleem; she creates him in both biological sense and metaphorical sense. She changes the babies and at the same time fates. Out of guilt, she attaches her whole destiny to Saleems life by becoming his caretaker. She also influences the class positions of the babies. (Saleem and Shiva) The pickling process which is a process of preservation, linked to preservation and continuity of traditions metaphorically, is significant. This food process is under control of females and it is an important source of authority and identity for the women. It is the preservation of the past. The womens way is practical, oral; it is a way of transmitting tradition we can say. Pickling process is only a symbol of this transmission. So, Mary P. , like the other women in Saleems life has great effect on Saleem. Reverend Mother, on the other hand, who is the bride behind perforated sheet turns out to be the head of the family. She is also very powerful. She becomes the head after the marriage. She preserves identity of the nation. She is like the other women; asserts her authority in cooking. Her food, for example, revives Ahmed Sinai after freeze. She uses food as battleground where she wages her battles against her husband. We see the monitoring of food, so simple and practical but can influence men. It is this simplicity of mothers, their affection influnces Saleem. To Saleem women, like India, is nothing without its past. no escape from past acquaintance. What you were is forever who you are. (pg:368) And this connection to past is through these women. They are the ones who create nation and preserve it like the pickles. Amina, Saleems mother, changes and influences his life also. He sees her naked in the bathroom and witnesses her unfaithfullness on the phone. All this causes him to have some kind of explosion in his head and that explosion causes him to hear voices in his head. It is the birth of Midnights Children.. He sees mother, motherland, the nation-India-,earth is not pure as he identifies women with the nation. Identification is between the country and the body of the woman, especially mother. He sees the body of woman as the country and he should protect country as well as honor of mother. But seeing her motheris not pure, the discovery of impurity in mother will bring crisis in his head- the multiplicity of nation-. The body is homogeneous as anything. Indivisible, a one-piece suit, a sacred temple, if you will. It is important to preserve this wholeness. (pg:237) Padma,whom Saleem exchanges opinions about how to tell a story is another significant figure. While he writes, his illiterate listener, Padma, sits beside him showing her emotional responses to his stories, questioning their credibility. When Padma shows interest on her face, Saleem speeds on telling his story. She keeps questioning what is next.. She encourages him to write which is the only gift Sallem has for continuity, preservation. Padma is important as a caretaker; providing warmth, food, human kindness to Saleem. She is India for him, connected to all country as a mother. She has earthly characteristic. She emerges as an earthly, stable, real, practical woman that ties her to the motherland. That is why, according to me, she is the most important character in this novel. But although she is a preserver for Saleem, she unwillingly poisons him by feeding him with things she thinks hell be ni love with her. It is a poison which is also a cure; both nourishing, reviving, perserving and also poisonous,destructive. She is like India creating him. And ceratinly Padma is leaking into me. As history pours out of my fissured body, my lotus is quietly dripping in, with her down-to-earthery, and her paradoxical superstition, her contradictory love of the fabulous (pg:38) In short, women had important role in Saleems life. They are the mothers, the creators of men. If they were not on earth, no continuity would take place; there would be no world. Saleem is afraid of them also because although they create him as nation creates men; they also prepare the fall of men. They both give significance and at the same time destroys. They can take away the identity as in Saleem. Saleem is the nation also as he creates; he writes. He tries to create meaning and form. And women help Saleem create himself, his identity like the nation does to all human beings. But it can also unmake people. The women try to hold on to past and keep it safe as past is a country from which we have all migrated; that its loss is part of our humanity. (Imaginary Homelands; Essays and Criticism 1981-1991. London: Granta Books, 1991) And this statement teaches the migrants that reality is an artifact and it doesnt exist until it is made and it can be made well or badly, and it can also be unmade, like women did to Saleem. When we come to the question of why White Castle didnt give place for women might be because the childhood theme ook great importance in the book. For example, the grandfathers looking for his childhood at homeThat is why it gives much space for the child king. There is the continuous looking for the simple, untouched ide before recognizing sexuality, leaving the mother, to have potency. There is again the fear to lose the pureness, wholeness of the childhood. And because of it there are the speeches in this novel that tells about the childhood naughtiness. It is like the fear of the child. And if we relate this to the women ,as we said women are the creators and they are connected to past, there is no escape from it and when it involves naughtiness and things like a child fears. So, as the Hodja did, there is both an escape from it and at the same time looking for the past innocence. That is why there is no sexuality with women in the book. As they are feared, they can unmake men. The dangerous influence of women is not given permission in the book; only limited and innocent ones are implicitly told. Consequently, women and sexuality are barred and not given much importance as in Midnights Children happened the contrast. According to me, it is because it is known how influential women are and can be dangerous in creating. And when you want something wholly new and create your own identity, as the characters in White Castle wanted, it is not a good idea to include women and sexuality. The women can bring fall of men while creating them.

The benifits of nuclear medicine vs other forms of radiation exams Term Paper

The benifits of nuclear medicine vs other forms of radiation exams - Term Paper Example Today the stream of medical technologies has evolved to such an extent that almost all the medical specialists in medicine depend significantly on technology. In the following section this paper briefly describes the imaging modality called Nuclear Medicine. Although the imaging modalities like Nuclear Medicine, X-Rays, Computed Tomography, Magnetic Resonance Imaging, are categorized as modalities of medical imaging. Except for Nuclear Medicine which is also termed as Radionuclide Scanning, rest all belong to the field of radiology. The latter half of the paper presents a contrast between Nuclear Medicine and other above mentioned modalities of radiology. Nuclear Medicine: It is an old modality of medical imaging that was discovered accidently in middle of the twentieth century. Nuclear medicine is the conglomerate of physics, chemistry, mathematics, medicine, detectors and computer technology. It uses predetermined amounts of radioactive material to diagnose ailments pertaining to c ancer, heart etc. This noninvasive branch of medicine uses imaging modalities after a radioactive material also known as radiotracers is either injected into the subject through intravenous injection or the subject is made to swallow or it is inhaled by the subject. The radiotracer gets settled in the part of the body that is to be imaged or studied. These radioactive substances emit gamma rays – that is electromagnetic radiations consist of photons. These rays are detected by a gamma camera etc. These devices enable the specialist to understand the condition of the body part, on the basis on the level of radiation that is detected by the detector. Some of the imaging techniques used in nuclear medicine are Positron Emission Tomography (PET Scanner), Single Photon Emission Computed Tomography (SPECT), Bone Scanning and Cardiovascular imaging. Figure 1 shows a PET Scanner. Nuclear medicine is helpful in detecting cancers, inadequate flow of blood to various tissues in the body , improper functioning of organs. Figure 1. PET Scanner (Zwanger-Pesiri Radiology) Radiological Modalities: It is said that the invention of X-Rays by Roentgen in 1895 sparked off a trend of innovation in medicine. Clinical applications of X-Rays lead to the birth of radiology – one of the branches of medicine that has a significant role in other specialties like orthopedics and neurology. Computed Tomography (CT) scanning is an extension of use of X-Rays in medicine. Magnetic Resonance Imaging (MR) is another very important imaging modality that uses magnetic field and it was invented almost the same time as CT. Sideways radiology also saw the developments and use of ultrasounds in medicine. Nuclear Medicine vs. X-Rays, CT & MRI: Utility: Besides the anatomical (structural) information nuclear medicine (also called radionuclide scanning) also presents to the doctors the function of the body’s organ as well. This information enables the doctors to understand if the org an is functioning properly. In the case of other radiological modalities like X-Ray, CT etc, the information captured by them is purely anatomical. It is worth including here that the nuclear medicine images give lesser information about spatial resolution but the images obtained in nuclear medicine may help us to diagnose an ailment sooner than any other radiological

Wednesday, August 28, 2019

The Capital Asset Pricing Model is a very useful model and it is used Essay

The Capital Asset Pricing Model is a very useful model and it is used widely in the industry even though it is based on very strong assumptions. Discuss in the light of recent developments in the area - Essay Example recent developments to see if it can be considered a credible and reliable model for asset pricing and forecasting for today’s dynamic business environment. The CAPM is seen as an asset pricing method which gives a theoretical determination of the required rate of return of an asset, given the condition that the asset is being added to an existing well-diversified portfolio (Berk, 1995). This means that estimating the rate of return of an asset based on the CAPM requires that the asset in question will not be an independent asset being invested but part of a portfolio considered to be well-diversified. Again, Fama & French (2002) stressed that the use of CAPM in asset pricing must be based on the use of assets which are considered non-sensitive to non-diversified risks which come as either systematic risk or market risk. In short, the asset must be a risk-free asset which guarantees the repayment of interest and principal with absolute certainty (Banz, 1981). There are several determinants and variables used in the calculation of CAPM and hence the CAPM formula. There are generally traditional and modified formulas for CAPM but this pap er is limited to the use of the traditional formula. Fama & French (1992) stressed that for CAPM usage, it is important that the expected return on the capital asset E(Ri), which can only be known when the risk-free rate of interest Rf, sensitivity of the expected excess asset or beta ßi, expected return of the market E(Rm), and market premium E(Rm) – Rf are all known. With these known, it is possible to obtain the CAPM given as For the actual applicability of the equation and SML to function, there are very important assumptions that must hold. In all, CAPM makes use of nine assumptions which are briefly analysed as follows. The first is that investors aim to maximise economic utilities. Based on this assumption, investors would only want to go into investments that have asset quantities that are known and fixed so that the

Tuesday, August 27, 2019

Assignment Example | Topics and Well Written Essays - 250 words - 358

Assignment Example The counselor told him that if he obeyed the institutional rules he would go to school to get his GED and this would help him a lot. The kind of world the speaker has built in the text is the prison world because he describes where new cons are taken that is diagnostic center, he also explains the routine checkup that is four times a day in his prison world. The rules of this world are the prison rules like check up four times a day, their mode of dressing. Some people in this world are treated with respect others with fear example the guy who had cooked heroin was treated with respect. Those welcome are the punks as they can pay protection example we do was attacked with a toothbrush to pay for protection hence showing he was not welcome. Continuing themes are showing the author from different times of his life example his early life before he went to prison like how he used to help his grandmother with work and was happy, the new understanding being conveyed here is unity he had with his family. The exploration of these themes helps engage in complexity of humanity example ways of survival because in the passage he says you are on your own there as no one will help you not even family. According to the writer, only the heart helps them survive in prison as there is no past or future, it’s just the moment. Humanity is all about survival. Example the author’s father tries to quit drinking that shows some humanity in him and tries it for his wife, which shows survival or saving his marriage though still Cecilia the author’s mother still abandons him out of fear of his actions when he is

Monday, August 26, 2019

Business Strategic Essay Example | Topics and Well Written Essays - 2000 words

Business Strategic - Essay Example number of mergers and acquisitions over the years have seen AB InBev increase its production, market and distribution of about of its beer 200 brands that include the popular global brand Budweiser Beck’s. In addition to brands such as Stella Artois, Klinskoye, Bud Light, Leffe Hoegaarden, Skol, Jupiler, Brahma, Quilmes, Harbin, Sedrin, Michelob, Sibirskaya, Chernigivske and Korona (Reuters, 2014; Solitro, 2013). The company’s production and distribution is based on a division of its brands into global, multi-country and local beer in order to take advantage of different tastes of its customers based on geographical and regional presence. The beer brands produced by AB InBev has been further been categorized into premium brands, mainstream, and sub-premium brands to take care of the economic aspects of their customers (Reuters, 2014). This essay explores value chain analysis of AB InBev PLC that will provide a clear perspective on how the company achieves maximum process effectiveness. Therefore, this analysis will rely on key aspects of the value chain hypothesis introduced by Porter where the main activities under review will cover inbound logistics, operations, outbound logistics, marketing and sales, and service, which are all essential components in the operations of a company in the beverage industry (Porter, 2008). The importance of this value chain analysis is to find out how AB InBev PLC creates its competitive advantage and shareholder value that can only be attained through measures that ensure the cost of providing their products remains low. This is in order to generate a profit margin in addition to identifying and making assessment of competency in core areas of the company (Woodside, 2009). Inbound Logistics for any company covers all the necessary activities that take place to ensure uninterrupted supply of the necessary inputs and raw materials the company needs for a smooth production process (Dagoon, 2005). To have a have control over

Sunday, August 25, 2019

Large Scale Software Development Essay Example | Topics and Well Written Essays - 750 words

Large Scale Software Development - Essay Example The ensuing violence has led to the destruction of thousands of homes and farms and has forced nearly 170,000 people to settle in the makeshift camps (IRIN, 2008). The political situation in this province is certainly volatile and has attracted the attention and concern of the International Community. The biggest victim of this ethnic violence has been the education system in the Rift Valley province. The schools are sans any qualified teachers owing to the large scale migration of the teachers hailing from the ethnic communities to the safer regions (KEPNW, 2008). Most of the students have been uprooted from the areas where their schools are located. Those who are left behind are too scared to attend the local schools out of the fear of violence and bloodshed. Hence a large scale displacement of the teachers and the students and the prevailing levels of insecurity in the region call for an urgent customization of the education system so as to meet the special needs of the students staying in the camps. The Kenyan Ministry of Education is collaborating with the NGOs and the world organizations like UNICEF and Red Cross, to chalk out a 'response and recovery' plan to revive the primary and secondary education system in the region (KEPNW, 2008). The scarcity of the qualified teachers and the disinclination of the students to go to schools has manifold enhanced the relevance of computer aided instruction in the given scenario. Customized computer software can not only provide the students staying in the camps with an easy access to education, but can take care of all the important aspects of secondary education like, classification of students, preparation of time-table, allocation of learning resources, maintenance of progress reports, ensuring direct interaction, providing immediate feedback, developing problem solving and creative assignments, supplementing laboratory and practical work, revision, evaluation and guidance. Since ensuring an unhampered access to internet could prove to be a problem in the region under consideration, so it is imperative that the software used for educational purposes in the area offers ample control over layouts, users and bandwidth (WiredRed.com, 2008). Besides, the software to be used for educational purposes in the Rift Valley will have to be something much more then any ordinary video or web conferencing software. It will have to be amply self contained and aught to be loaded with relevant self learning modules that must include the set of activities intended to facilitate the students' achievement of a specific objective.Such self learning modules will have to be essentially self teaching and must be oriented to individuals working alone or in small groups. These modules will have to be such as to ensure easy usage by the students even in the absence of a teacher or any information giver. The software under consideration must also extend varying alternatives to the students in terms of language, mental ability and availability of resources and must aim at

Saturday, August 24, 2019

Critical thinking Article Example | Topics and Well Written Essays - 1250 words

Critical thinking - Article Example Brief Summary The authors Edwards and Hewitt enumerated the three possible options on how to therapeutically respond to patients who self-harm. These include preventing self-harm, allowing self-harm and supervising self-harm. The first option, to prevent it, presented two advantages which include a) prevention of inflicting harm and b) demonstration of commitment to patients which make them feel important. However, these positive arguments were countered by four criticisms. The first is that it will lead to increased risk of suicide. Another argument is that it will increase the risk that patients will self-harm covertly that they will become desperate to try more drastic forms. Third criticism points that removing this coping mechanism of patients means their self-integrity will be undermined. Lastly, this option sends the message to the patients that they cannot be trusted. The second approach, non-interference or to allow it, gives the patients their sense of control over their si tuation and at the same time respects their autonomy. However, this approach may cause more damage and unforeseen harm which might eventually lead to suicide, as well as lessen their self-worth due to abandonment and may also desensitize the nurses to this disturbing situation. The authors supported the last option, to supervise self-harm, because they believe that this will not compromise the autonomy of the patients as well as make them feel being cared for and the nurses will also understand the patients by befriending them. The article As the authors Edwards and Hewitt discussed and evaluated the three contending options on how to deal with patients who self-harm, it can be said that they really are aiming to recommend the last option of supervising patients and being with them during self-harm. This is because as they presented the advantages of preventing and allowing self-harm, there were more arguments against these two choices. There weren't any sustainable evidences that w ill prove the effectiveness of the above mentioned approaches. This poses a problem because it can be said that these advantages are merely claims without any proof to support. However, the flow of the article is clear and straight. There is no long discussion of any other topics aside from those needed to create this article. The aim of the Edwards and Hewitt were achieved so as to ensure that the readers will be convinced to support the supervision of self-harm as against preventing or allowing it. The approach can be considered as biased because during the introduction of the article, opposition and arguments of allowing and preventing self-harm were already being pointed out by Edwards and Hewitt. The authors questioned if suppression and noninterference are justifiable. The authors failed to provide more support and evidences to their claim that supervising the patients during self-harm is the most effective. This poses a questionable conclusion. However, the arguments of the a uthors are consistent. They have clearly stated from start to end of the article that they supported the supervision of self-harm rather than the two other strategies that they explained. There is clear hypothesis and problem stated. The authors claimed that of the three options, the prevention strategy is the least plausible while there is a clear support to a supervised self-harm. This is because according to the qualitative exploration of Hume and Platt as presented by

Friday, August 23, 2019

Live Clean Lives Grant Proposal Research Paper Example | Topics and Well Written Essays - 1250 words

Live Clean Lives Grant Proposal - Research Paper Example Statement of Need Zimbabwe has 45 million people. Out of these, two-thirds are determined to be at the risk of contracting gastrointestinal diseases because of poor hygiene (Pittet et al., 20111). The result of maintaining an ill health in these individuals is that most of them die from the diseases and those that survive live a miserable life because of the agony caused by the illness and the financial problem due to their absence from work as they recover. Moreover, children cannot go to school because they spend most of the time at school dispensaries and rushing to the toilet (Curtis et al., 2011). Program Description The Live Clean Lives Program will enable the people at risk of contracting diseases caused by poor hygiene to improve their health standards and, thus their quality of life. The program will involve massive sensitization of people in the areas concerning the risks they expose themselves to as a consequence of poor hygiene and also offer them what they need to maintain clean, healthy lives (Jayaraman et al., 2014). Sensitization will occur in all sectors of society, and even schools will be requested to squeeze in some time for the project team to show the community how to fight germs and the diseases that emanate from them. People will improve their economic condition because they will be at work most of the time. Also, students’ grades will improve because they will spend most of their time in class (Hayes, 2013).

Thursday, August 22, 2019

Business Modeling Essay Example for Free

Business Modeling Essay Ted Ralley is working on conducting a forecast for the upcoming year for an automobile part company. The data that will be used for this research has been collected from the quarterly sales from the previous four years. Ted wants to determine what is most accurate way to determine the forecast for 2008. The model should also help determined if the economic situation and oil prices are affecting significantly the sales of the company. The two models that were provided were thoroughly analyzed to determine which model was the most appropriate to utilize. These models were a regression model with factors, seasons and an additive Holt-Winters model. The forecasts also show that there is a significant change in the sales with the economic hardship and oil prices. It was concluded that the Regression with Econometric Variables would be the best method to use to forecast the sales for 2008, estimating a 255,927,955 for that year. Background With the economy continuously deteriorating everyone seems to be getting hurt financially, even the automotive industry, which has deepening the economic recession. Automotive part suppliers continued to experience heavy debt and overcapacity caused by production cuts by automakers, specifically including the big 3 (Ford Motor Company, General Motors and Chrysler). The suppliers  are also being pressed by higher energy and input materials’ costs. It has been determined by Industry analyst that automotive companies that accounted for more than $72 billion in sales have filed for chapter 11 protections in 2008. The number of Bankruptcies will continue to rise as the years go by. Domestically, Losing the big 3 to U.S affiliates of foreign- based manufacturers and imports in 2008 have caused a dramatic 50% drop in the market share. Most US suppliers are dependent on these three companies aforementioned. U.S suppliers are currently facing the challenge of penetrating automakers’ supply chains, mostly because these relationships have been long-established with home-market supplies. Ted Ralley is the director of a marketing research for a manufacturer of spare automobiles parts and it’s working on conducting a forecast for the upcoming year. Ted is aware of the forecasting errors and how costly they can be which is why these numbers must be as accurate as possible. In order to perform this forecast, Ted has collected the data on quarterly sales for the previous four years and ran several forecasts using time series forecasting methods. Ted noticed that economic activity and oil prices have impacted significantly the auto part sales and decided that the forecast will be more accurate using econometric variables. Problem Will the econometric variables be a better predictor of sales for the coming year, given the current economic activity and oil prices? Analysis This analysis consisted of the evaluation of the regression model with factors, seasons and the additive Holt-Winters method to generate an accurate forecast of how econometric variables have affected the Auto Parts industry. The analysis involved calculating the errors metrics for the three models (mean absolute percentage error (MAPE), root mean square error (RMSE), MAPE and Theils’ U-statistics (U)) and comparing them against each other. The error metrics were calculated by using the formulas shown below: Table 1.1 Error Metrics Formulas: After studying the data provided it could be determined that there is an upward trend with obvious seasonality. Another factor that played a role in these regressions was the removal of the first two years in order to meet Holt-Winters method guidelines. The first regression was conducted using  Factors was generated by utilizing the data that provided by Ted Ralley from a large manufacturer of spare auto parts for automobiles. The data consisting of the quarterly sales for the previous four years was the dependent variables and independent variables consisted of Time, quarter 2, quarter 3, quarter 4. In this regression quarter 1 was removed in order to avoid over forecasting and binary coding was used to generate dummy factors. After the regression was completed, the independent variables were tested to determine their significance, which was done by performing a regression on the data through Microsoft Excel. Quarter 4 was removed from the model due to the fact that it was statis tically insignificant. This was determined by using backward elimination, which means, a variable that has a P-Value that is greater than .05, is considered insignificant and should be removed from the data and a new regression should be completed. The results from the new regression, shown below, have a P-Value less than .05 being sufficient to reject the null hypothesis (Ha). A very strong positive linear correlation between sales and all the independent variables combined with a 95.47%, leaving an unexplained variance of 4.53 is also demonstrated. According to the textbook â€Å"the most common measure of overall fit is the coefficient of determination (R2)†. Another important measure is the â€Å"standard error (Se), which is derived from the sum of squared residuals for n observations and k predictors† (Poane, Seward, 2013). A smaller Se Indicates a better fit, in this case the Se will be off by around 3.9 million. The coefficients used to run the forecast for 2008 are the following: intercept coefficient + coefficient time x time 1 plus coefficient q2* code for Q2 dummy variable for q2 + plus coefficient q3. Square error was used to find the magnitude of the error; the absolute value of the error to the sale s was found and then preceded to calculate to numerator. Numerator and denominator will be calculated in other to use Thiels’ U. Numerator was calculated as follow: difference between sales minus the sale of initial sale (difference q1-2 sales) /divided by q1 and squared. Bibliography Poane, D., Seward, L. E. (2013). Business Modeling Customized Readings for QNT5040. : Mc Graw Hill Education. Microsoft Office Excel. (2007). Redmond, WA: Microsoft Corporation. Albright, Winston Zappe (2010). Business Modeling, Selections from 4e – QNT 5040 (4th ed.). Mason: Cengage Learning. Aczel,A Sounderpandian,J (2009). Complete Business Statistics 7th edition (592). : Mc Graw Hill Education. U.S. Automotive Parts Industry Annual Assessment. (2009, April 1). . Retrieved June 6, 2014, from http://trade.gov/mas/manufacturing/OAAI/build/groups/public/@tg_oaai/documents/webcontent/tg_oaai_003759.pdf

Wednesday, August 21, 2019

Beckett’s Main Themes Essay Example for Free

Beckett’s Main Themes Essay Samuel Beckett explores the purposelessness of life, lack of meaning and memory in Waiting for Godot. Aspects such as repetition, change, recognition, blind faith, silences and pauses illustrated the forgetfulness and purposelessness of the lives of Vladimir and Estragon. ‘Waiting’ is doing both something and nothing simultaneously; Vladimir and Estragon recognize this which is why they are in search for something to ‘do’. VLADIMIR: We are happy. ESTRAGON: We are happy. (Silence.) What do we do now, now that we are happy? VLADIMIR: Wait for Godot. (Estragon groans. Silence.) Things have changed here since yesterday. ESTRAGON: And if he doesnt come? VLADIMIR: (after a moment of bewilderment). Well see when the time comes. (Pause.) Their words are as empty and futile as their actions. There is a silence after they say that they’re â€Å"happy† which makes it apparent that they are just forcing the emotion on to themselves. The silence allows the audience to inquire if they really are happy and if their happiness is of value. Being happy doesn’t provide a function in life; Estragon wants to ‘do’ something now that they were supposedly happy. To ‘do’ something constructive is important to pass the time; the closest they can get to a functional action is to talk to each other. Having a purpose in life is probable to come with the emotion of happiness, since Estragon and Vladimir have convinced themselves to believe they encompass a purpose in life, they require the emotion of happiness to validate it. Rather than just telling Vladimir to ‘do’ something as they were â€Å"happy†, he asks him which is a technique to create conversation. The characters have blind faith in Godot, they don’t know what would happen if he didn’t come. Vladimir is bewildered when he comes to the moment of reality of contemplating that this being true would make their wait purposeless. He doesn’t want to admit that if Godot didn’t come then their long wait would have been for nothing, instead he says â€Å"We’ll see when the time comes†. This is a meaningless statement because if Godot never does come then the time will never come. However, Vladimir shows indication of acknowledging this when he starts talking about ‘change’ which is not only changing the subject but also implying that change in something proves that time is passing and that time will soon come. Moreover, towards the end of the extract when Estragon asks â€Å"What do we do now?† and Vladimir replies â€Å"Wait for Godot†. He ends the sentence there because he doesn’t know what would happen after h e did come and where their lives would lead. They show no reason to wait for Godot which highlights again the purposelessness of their lives. As Vladimir and Estragon are waiting, it is vital for time to pass and the thing to establish this is for things to change. VLADIMIR:†¦I was saying that things have changed here since yesterday. ESTRAGON; Everything oozes. VLADIMIR: Look at the tree ESTRAGON: it’s never the same pus from one second to the next VLADIMIR: The tree, look at the tree. The characters do not really have a conversation which follows in a logical pattern; they often misinterpret each other. Although the two pass their time, they pass it in ‘useless banter’ which is meaningless and gives their life no purpose. Estragon occasionally drifts off with his own thoughts but Vladimir brings him back to his. They both have their own ideas on change, Vladimir refers to the tree to prove that things have â€Å"changed† while Estragon notices ‘pus’ changing, even though they’re in their own individual worlds they both perceive a significance in ‘change’. Change is essential to them because they want assurance they have passed the time, and the only way to do so is to see change in their surroundings; change would also initiate some form of purpose. However, their dialogue in general dwells on their past and present which suggests that they are trapped in their current situation. The tree in the landscape helps illustrate a purpose because it is changing, it has to be changing for a purpose; Vladimir sees it as a sign of hope. There is only one tree rather than lots, this makes the landscape seem dull and gives a boring imagery. It is a symbol of life and contrasts with the bleak lifeless environment it’s in. Recognition comes conjointly with memory which Estragon doesn’t have. Estragon doesn’t find that there is any point in recognizing things. He says â€Å"what is there to recognize?†. Estragon lacks memory which is why he gets frustrated. He distinguishes physical things which he receives like Lucky kicking him and Pozzo giving him a bone. These things make a difference to Estragon which is why he remembers it. He realizes that he had just â€Å"crawled about in the mud† all his life which entails that he only recognizes the purposelessness of his life and the meaning it lacks. It is a commonly established idea that one’s experiences define a person. Vladimir says â€Å"He’s forgotten everything!† with regards to Estragon. Memory is important to them because what they went through yesterday was an accomplishment for them, if they can’t remember it then it is worthless. If Estragon can’t remember then Vladimir has no one to reminisce their achievement with, however reminding Estragon and describing it to him gives them something to talk about and passes the time. Since they both lack memory of most of their experiences, their individuality is unclear. Vladimir tries to compare the difference of their current landscape to the â€Å"Macon country† but Estragon fails to remember it, and derides at the word and states that he spent all his life in their current location, the â€Å"Cackon country†. The sound of the word is harsh and he says it as if it is meaningless to him even though that is where he is ‘Wa iting for Godot’, the place where they are establishing their decided purpose of life. Silences and pauses are uses to transport the meaning to the audience or reader; during the short intervals they realize the meaningless conversation Vladimir and Estragon indulge in. The two begin describing â€Å"All the dead voices† which â€Å"murmur†, â€Å"rustle†, â€Å"whisper† and â€Å"make a noise like feathers†. The silences are disseminated and their dialogues after each of the silences are repetitive which is parallel to their nearly reiterated everyday routine and dialogues. The silent and empty stage is filled with the sound of the ‘dead voices’; viewers are made to imagine the voices as Vladimir and Estragon describe them using similes. The dead voices contribute to the tedious mood of their lives; they argue over trivial things which is parallel to their depressed condition because they are too weak to make it better. The voices reflect the situation of the two characters, they murmur, rustle, whisper in their actions while they wait for Godot. Repetition of the dialogues conveys the forgetfulness of Vladimir and Estragon and their pointless lives. The extract begins with the characters speaking in ‘useless banter’ but as it nears towards the end of the extract, Vladimir and Estragon’s speech lessens and becomes quieter as they run out of things to say. This illustrates their life cycle, the beginning is a bustle of activity as they were younger and searching for a purpose and meaning for life, they did things like â€Å"pick grapes for a man† and go to â€Å"the Macon country†; but as they grow older, energy and enthusiasm decreases as they discover no purpose. Vladimir panics after the â€Å"Long silence†, because he doesn’t want to think of the reality of their situation; talking and actions distract their attention from reflection. Vladimir tells Estragon to â€Å"Say anything at all!† in â€Å"anguish†, he suffers a mental despair or distress if nothing is said or done because then he will apprehend the reality of their meaningless wait. It is as if their terrible actuality is in his subconscious mind which he keeps on pushing away. Estragon further confirms that the reason for their ‘useless banter’ is so they won’t â€Å"think†; language is utilized to neglect silence. To further emphasise their reiterated life, when they run out of things to say, they remind themselves of their purpose of their existence and the reason behind their endless wait which is to â€Å"Wait for Godot†.

Effects of Vitamin C on Chemotherapy Outcome | Claim Review

Effects of Vitamin C on Chemotherapy Outcome | Claim Review Media Claim on ‘Vitamin C’ gives chemotherapy a boost’ The headline ‘Vitamin C’ gives chemotherapy a boost’ suggested by a US scientist was a misleading and inaccurate statement as the study was looking specific at late stage ovarian cancer. From the study, scientists did not find high dosage of vitamin C help with cancer survival nor reducing the risk of cancer (Ma and Chapman et al., 2014). Yet, the study did show that there was a slight chance of reducing minor chemotherapy side effect. Therefore, the study has been oversimplified and misinterprets results and statements which can lead to assumptions from general public misunderstanding this article resulting in toxicity of vitamin C when overdosed. Overdose of vitamin C can lead to other problems and health disease such as indigestion, diarrhea and iron poisoning which only occurs in people who have rare iron overload disorders – hemochromatosis (Zobel, 1976), lack of vitamin C in the diet can also cause scurvy (Naidu,2003). ‘Vitamin C’ gives chemotherapy a boost’ was published in BBC Health website on 9th February 2014, written by Helen Briggs and science editor. Comments were from Dr Jeanne Drisko, lead researcher Qi Chen and Dr Kat Arnet – science communications manager for Cancer Research UK. The claim is based on a study that was carried out by researchers from University of Kansas in the US and world cancer research fund (WCRF) and American Institute for cancer research (AICR). The article itself was published in the peer-reviewed journal, Science Translation Medicine. Cancer is a condition where specific cells in parts of the body grow and reproduce uncontrollably and forming tumours. Cancer cells can invade and destroy surrounding healthy tissue and organs (King and Rotter et al., 1992). Cancer may also spread to more distant parts of the body through the lymphatic system or bloodstream (Mendelsohn, 2008). Many factors have been identified which can increase risk of cancer such as tobacco use, dietary intake, certain infections, environmental radiation, lack of physical exercise, obesity and genetics which potentially can damage genes and causes mutation in cells (Kushi and Byers et al., 2006). Many researchers have found that there are over 200 different types of cancer cells (Schram and Ng, 2012). However, according to Jemal and Bray et al., 2011, many cancers can be prevented by living healthier life styles, one of the factors is reducing excess smoking which can preclude the risk of getting lungs cancer, plus eating plenty of fresh vegetable and fruits, and reducing the intake of meat and carbohydrates can prevent other health factors such as obesity. Ovarian cancer is where cancer cells are found in ovaries. However, the exact causes of cancer still remain unknown (Hunn and Rodriguez, 2012). Women who have had menopause and have not had any children would have a higher chance of developing ovarian cancer (Vo and Carney, 2007). However, ovarian cancer can affect all ages. There are three types of ovarian cancer – epithelial ovarian cancer; germ cell tumours and stromal tumours (Bandera and Era, 2005). The best and effective treatment for ovarian cancer are the combination of surgery and chemotherapy, all treatments are depending on the stages of cancer (Ehrlich and Teitelbaum et al., 2007). Vitamin C also known as ascorbic acid acts as an antioxidant; an oxidative stress; an enzyme cofactor for the biosynthesis, also most importantly vitamin C acts an electron donor for enzymes (Vobecky and Shapcott et al., 1975). Acting as an antioxidant prevents free radicals during oxidation reaction to form chain reactions in cells which can damage or kill cells. Instead, antioxidant interacts with those chain reactions by removing free radicals and inhibits other oxidation reactions in the cells, protecting against lip peroxidation, reducing nitrates and stimulating the immune system (Bender, 1993). Vitamin C has also shown to inhibit formation of carcinogens and protects DNA from mutagenic attack and most vitamin C is found in critic fruits (Combs, 2012). Furthermore, Ma and Chapman et al., 2014 stated that the study was looking if vitamin C could potentially be a cancer treatment and the study was mainly looking into women who are in their late stage ovarian cancer. BBC’s report on this study was miscellaneous as there were some bias comments towards the study, but BBC did include some accurate quotes from the study such as the sample size only 22 patients were participated which showed that the study was not reliable as the sample size was too small to prove whether vitamin C helped to kill cancer cells or increase survival rate (Park, 2013). Moreover, the title ‘Vitamin C’ gives chemotherapy a boost’ was misleading as the study found no supportive evidences that vitamin C can prevent cancer, only can inhibit some mechanisms and reduce the risk of cancer development (Ma and Chapman et al., 2014). However, the study did show that vitamin C may reduce side effects from treatment for women, yet, the sample s ize was too small which was unable to support the outcome. However, the expert from the study quoted that in order to find out if high-dose vitamin C has an effect on cancer cells, further studies and large clinical trials are needed to ensure safety and effectiveness (Ma and Chapman et al., 2014). Additionally, BBC may have been over analysed the press release from the University itself, as it claimed that ‘Researchers establish benefits of high-dose vitamin C for ovarian cancer patients’. This statement was supported via Park, 1985‘s research which stated that ‘vitamin c is involved in the mechanism of action of the intracellular oxidation state changes which is an identification of genes or protein synthesis.’. This suggested that vitamin C has the ability to regulate specific cellular phenotypes which potentially could improve the efficacy of cancer therapies. Nevertheless, the report stated that the vitamin C treatment worked along with standard chemotherapy drugs which slow down tumour growth in mouse studies, not human. Therefore, the benefits of high-dose vitamin C for cancer cells cannot be taken into account due to the fact that human and mouse have different types of genes and intracellular mechanism (Park, 1985). As a result, there ar e not any beneficial effects on human, but there are beneficial effects on mouse. In addition, within the small group of patients that were tested on, they have found fewer side-effects when vitamin C was given out along with the chemotherapy. According to WCRF and AICR‘s report on diet and ovarian cancers, it showed that vitamin C has no effect on ovarian cancer which do not decrease nor increase the risk of cancer. However, according to Part 2 evidence and judgements and Part three Recommendations chapter twelve- public health goals and personal recommendations from WCRF and AICR, it suggested that the population should consumption an average of non-starchy vegetables and of fruits to be at least 600g (21 oz) daily. This is because there are evidences that diets high in vegetable and fruits could protect against oesophagus cancer not ovarian cancer (Mikirova and Casciari et al., 2012). According to BBC, the researcher’s injected vitamin C into human ovarian cancer cells as well as mice in the laboratory conditions. BBC stated that ‘researchers found ovarian cancer cells were to be sensitive to vitamin C treatment, but normal cells were unharmed (De Laurenzi and Melino et al., 1995). High dosage of vitamin C could prevent cancer was originally suggested by chemist and double Nobel Prize winner Linus Pauling in 1970s in which the clinical trial was abandoned due to failed to replicate the expected results to the theory behind vitamin C and cancer (Cameron and Pauling, 1979). The method used in the study was by injecting vitamin C straight into the bloodstream as it is safer, can be effective, low-cost (Head, 1998). The rate at which human body excrete vitamin C through oral ingestion is a lot faster than by injection through bloodstream (Cameron and Pauling, 1979). Furthermore, patients were not completely blind tested as most of them knew what they were given vitamin C and placebo, therefore, many physiological effects have been taken into account toward the analysis of results. In conclusion, due to lack of supportive evidences, vitamin C has no significant back story in supporting the evidence of beneficial effect on ovarian cancer even though from the study some beneficial effects did show on mice. Furthermore, the clinical trial was tested unfairly as participants knew about the comparison test with placebo, which might have had effected the results, in which the results are not accurate and reliable as the sample size was consisting of 22 participants. Nevertheless, the study did find moderate result from patients who have taken parts in the vitamin C trials; as a result, vitamin C might reduce the side effects of chemotherapy. References Bandera and Era, C. A. 2005. Advances in the understanding of risk factors for ovarian cancer. The Journal of reproductive medicine, 50 (6), pp. 399406. Bender, D. A. 1993. An introduction to nutrition and metabolism. London: UCL Press. Cameron, E. and Pauling, L. 1979. Cancer and vitamin C. Combs, G. F. 2012. The vitamins. Amsterdam: Elsevier/Academic Press. De Laurenzi, V., Melino, G., Savini, I., Annicchiarico-Petruzzelli, M., Finazzi-Agro, A. and Avigliano, L. 1995. Cell death by oxidative stress and ascorbic acid regeneration in human neuroectodermal cell lines. European Journal of Cancer, 31 (4), pp. 463466. Ehrlich, P. F., Teitelbaum, D. H., Hirschl, R. B. and Rescorla, F. 2007. Excision of large cystic ovarian tumors: combining minimal invasive surgery techniques and cancer surgery—the best of both worlds. Journal of pediatric surgery, 42 (5), pp. 890893. Head, K. 1998. Ascorbic acid in the prevention and treatment of cancer. Alternative medicine review: a journal of clinical therapeutic, 3 (3), pp. 174186. Hunn, J. and Rodriguez, G. C. 2012. Ovarian cancer: etiology, risk factors, and epidemiology. Clinical obstetrics and gynecology, 55 (1), pp. 323. Jemal, A., Bray, F., Center, M. M., Ferlay, J., Ward, E. and Forman, D. 2011. Global cancer statistics. CA: a cancer journal for clinicians, 61 (2), pp. 6990. King, R. A., Rotter, J. I. and Motulsky, A. G. 1992. The Genetic basis of common diseases. New York: Oxford University Press. Kushi, L. H., Byers, T., Doyle, C., B, Era, E. V., Mccullough, M., Gansler, T., Andrews, K. S. and Thun, M. J. 2006. American Cancer Society Guidelines on Nutrition and Physical Activity for cancer prevention: reducing the risk of cancer with healthy food choices and physical activity. CA: a cancer journal for clinicians, 56 (5), pp. 254281. Ma, Y., Chapman, J., Levine, M., Polireddy, K., Drisko, J. and Chen, Q. 2014. High-Dose Parenteral Ascorbate Enhanced Chemosensitivity of Ovarian Cancer and Reduced Toxicity of Chemotherapy. Science translational medicine, 6 (222), pp. 2221822218. Mendelsohn, J. 2008. The molecular basis of cancer. Philadelphia, PA: Saunders/Elsevier. Mikirova, N., Casciari, J., Rogers, A., Taylor, P. and Others. 2012. Effect of high-dose intravenous vitamin C on inflammation in cancer patients. J Transl Med, 10 p. 189. Naidu, K. A. 2003. Vitamin C in human health and disease is still a mystery? An overview. Nutrition Journal, 2 (1), p. 7. Park, C. H. 1985. Biological nature of the effect of ascorbic acids on the growth of human leukemic cells. Cancer research, 45 (8), pp. 39693973. Park, S. 2013. The effects of high concentrations of vitamin C on cancer cells. Nutrients, 5 (9), pp. 34963505. Schram, F. R. and Ng, P. K. 2012. What is Cancer?. Journal of Crustacean Biology, 32 (4), pp. 665672. Vo, C. and Carney, M. E. 2007. Ovarian cancer hormonal and environmental risk effect. Obstetrics and gynecology clinics of North America, 34 (4), pp. 687700. Vobecky, J., Vobecky, J., Shapcott, D., Cloutier, D., Lafond, R. and Blanchard, R. 1975. Vitamins C and E in spontaneous abortion. International journal for vitamin and nutrition research. Internationale Zeitschrift fur Vitamin-und Ernahrungsforschung. Journal international de vitaminologie et de nutrition, 46 (3), pp. 291296. WCRF- AICR Diet and Cancer Report. 2014. [online] Available at: http://www.dietandcancerreport.org/cancer_resource_center/downloads/chapters/chapter_12.pdf [Accessed: 10 Mar 2014]. Zobel, M. 1976. Toxicological Evaluation of Some Food Additives Including Anticaking Agents, Antimicrobials, Antioxidants, Emulsifiers and Thickening Agents. Who Food Additives Series, No. 5. 520 Seiten. Geneva 1974. Preis: Sw. fr. 23,—. Food/Nahrung, 20 (6), pp. 681682.

Tuesday, August 20, 2019

Pendleton Civil Service Act :: essays research papers

Pendleton Civil Service Act Since the beginning of the government, people gained and lost their jobs whenever a new president took office. These jobs were political pay-offs for people who supported them. Many people did not take their jobs too seriously because they knew they would be out of their office soon. As Henry Clay put it, government officials after an election are "like the inhabitants of Cairo when the plague breaks out; no one knows who is next to encounter the stroke of death." Over the years the flaws that were made and the problems that resulted became more obvious. After an election you could open a newspaper and find many advertisements, which offered government jobs that were filled before the election. On January 16, 1883 the U.S. legislation established a law, which gave employment based on merit rather than on political party affiliation that leads to corruption in the government system. Widespread public demand for reform in the government was stirred after the Civil War by accusations of incompetence, corruption, and theft in federal departments. After a guy who was refused an office job that he was capable of assassinated President James A. Garfield in 1881, civil service reform became a leading issue in the elections of 1882. In January 1883, Congress passed a comprehensive civil service bill sponsored by Senator George H. Pendleton, providing for the open selection of government employees and guaranteeing the right of citizens to compete for federal jobs without regard to politics, religion, race, or national origin. The new law covered only about 10 percent of the positions in the federal government, but nearly every president after Chester A. Arthur, who signed the bill in to law, broadened its scope. By 1980 more than 90 percent of federal employees were protected by the act. The Pendleton Civil Service Act classified certain jobs, removed them from the ranks, and set up a Civil Service Commission to oversee a system based on merit and not political stance. The commission draws up the rules governing examinations for those positions that Congress places in the classified civil service.

Monday, August 19, 2019

Automotive Energy Consumption Essay examples -- Automobiles Transporta

Automotive Energy Consumption In the United States, the automobile has come to be more than simply a means of transportation, but also a status symbol and a symbol of autonomy. As a status symbol, automobiles have gotten larger and more expensive, with little or no regard for efficiency or environmental impact. With the proliferation of the Sport Utility Vehicle (SUV), the average fuel efficiency of cars in the United States has begun to fall from a peak over a decade ago. With technological and material advances made in the last decade, it seems counterintuitive that average fuel economy had begun to decline. In order to understand the advances made in internal combustion engine technology, one must have a basic understanding of engines and the fuels they burn. Four Stroke Internal Combustion Engines The 4-stroke, internal combustion engine at the heart of most automobiles on the road today is relatively inefficient and produces high levels of pollutants. Even the most efficient gasoline burning internal combustion engines convert only 30-40% of the energy available in the fuel in to work. The rest of the energy is lost to heat, and is thrown away into the environment through a heat exchanger (radiator) or through exhaust gases. Exhaust gases account for much of the pollution generated by internal combustion engines. Gasoline, for example produces Greenhouse gases such as Carbon Monoxide (CO), Carbon Dioxide (CO2), Nitrogen Oxides (NOx’s) and releases unburned hydrocarbons (fuel) into the atmosphere. Greenhouse Gases are responsible for much of the depletion of the ozone layer, lead to global warming and pose health threats to humans. In addition to these drawbacks, fossil fuels are not in endless supply and co... ...ssil fuel supplies. In order for any course of action to have widespread success, the people must stand behind it. In the case of this investigation, the citizens of the United States need to understand the necessity of conservation and the consequences of non-conformance. This may require government- imposed penalties to businesses and individuals who don’t do their part to conserve. The exact details of such a system are not crucial at this moment, but rather a simple understanding of the outlook for the future. Without swift action in the near future to curb hydrocarbon consumption, both the environment and the world economy stand to suffer significantly. Sources http://www.gm.com/ http://www.energy.gov/ http://www.epa.gov/ http://www.fossilfuels.org/ http://www.thinkmobility.com/ http://www.afdc.doe.gov/ http://www.fueleconomy.gov/

Sunday, August 18, 2019

Interpreting the Constitution Essay -- essays research papers fc

  Ã‚  Ã‚  Ã‚  Ã‚  When the Federalist party was organized in 1791, those people who favored a strong central government and a loose constitutional interpretation coagulated and followed the ideals of men such as Alexander Hamilton. The first opposition political party in the United States was the Republican party, which held power, nationally, between 1801 and 1825. Those who were in favor of states rights and a strict construction of the constitution fell under the leadership of Thomas Jefferson. These Jeffersonian republicans, also known as anti-federalists, believed in strict adherence to the writings of the constitution. They wanted state’s rights and individual rights, which they believed could only be granted under strict construction of the constitution. Thomas Jefferson, the third president, and James Madison, his successor, were close friends and lifelong political associates. Long regarded as advocates for liberty, Jefferson and Madison believed in the principles of government and sought to restore the spirit of the revolution of 1776. These republicans spoke out against anti-monarchial attitudes and opposed the aristocratic and elitist attitudes of the federalists (Peterson, 1975). A weaker central government by the people was the goal of the republican party. Thomas Jefferson and James Madison, were two presidents who believed in the theory of the republican party, but due to circumstances within the parties and the increasing conflicts between Britain and France abroad, they found it increasingly difficult to act in a manner which coincided with their republican beliefs and at times had to reconcile their actions.   Ã‚  Ã‚  Ã‚  Ã‚  Jefferson’s victory in the presidential election is notable because this was the first transfer of national authority from political group to another that was accomplished by peaceful and strictly constitutional means. He began his presidency with a plea for reconciliation and described his election as a recovery of the original intentions of the American Revolution (Ellis, 2000). In his true ideology, Jefferson said that a republic did not require a powerful central government to flourish. In fact, he felt that the health of the nation was inversely proportional to the power of the federal government. ******In Document A, Jefferson writes of the preservation of the constitution and the princ... ... 1801 to 1807, Jeffersons policies initially reflected these Republican priorities, which meant decreasing the power of the federal government and the army and navy, and ending federal taxation as well as placing the national debt on the road to extinction. By 1807, circumstances dictated that Jefferson take some actions which seemed to contradict his ideals. From 1808 to 1817, threats to the United States’s strength as a nation and domestic and political struggles, forced James Madison to also veer away from the ideology that he initially preached. Both men exhibited a conflict between idealogy and practice of that idealogy. Bibliography 1. Ellis, Joseph. J, American Sphinx: The Character of Thomas Jefferson. New York: Vintage Books, 1996. 2. Ellis, Joseph. J; Maier, Pauline, et al. Thomas Jefferson: Genius of Liberty. New York: Viking Studio, 2000. 3. Ketcham, Ralph. James Madison; a Biography. Charlottesville: University Press of Virginia, 1990. 4. Peterson, Merrill, D. The Portable Thomas Jefferson. New York: Penguin Books, 1975. 5. Rutland, Robert A.,ed. James Madison and the American Nation, 1751-1836: An Encyclopedia. New York: Random House, 1994

Saturday, August 17, 2019

Course Reflection

At the beginning of this course, I was a little bit scared because it was my first online class. I almost considered dropping the course, but now I can’t believe I am at the end of it. I found this course very interesting and productive. In the first instance, I think the syllabus, which is an outline of course of study, a summary or the list of topics of a course or lectures that student’s collect from their teachers perfectly explained everything regarding the course ranging from the book requirement to the grading system.Nevertheless, I sometimes get nervous when there is not enough information but this is usually outside the class environment. I also did not have to worry about MLA format, because the sample for each assignment was always on a Blackboard. Moreover, I learned new information on MLA format and online research. I am sure that these skills that I have acquired will be of invaluable help to me in the future. Similarly, I enjoyed reading during this class . I think it was the purpose of our instructor to make this course more interesting and exciting by giving out such famous books for the class.Even though I read these books before, I enjoyed them better when I went over them again. In my opinion, the course was great. Our professor minimized students’ worries and inconveniences by providing numerous and well organized information. I think this is important for any class most especially for online classes. Today, as I engage my cerebral neurons in the pensive thoughts of those sweat experiences, the fascinating endearment and the academic fun derived from my online course without the losing my focus, it corrects my previous notion that there cannot be serious academic work in the atmosphere where there is some fun.

Friday, August 16, 2019

Powerful and moving poem Essay

   The vulnerability of a country that is vast and until this point as pointed out â€Å"in worth and name†. Though time has passed and â€Å"smokes dark bruise/ has paled†, it is a â€Å"wound† that is exposed beneath such bruising. The personification of the smoke highlights the weakness in humans, and then being carried onto the country itself, yet it is â€Å"soothed† by nature, â€Å"dabbed at and eased by rain†. It is as if the environment is attempting to heal the ‘exposed wound’. However the use of yet use of the word â€Å"exposing† highlights the scale of this devastation; it is as though it has been uncovered and peeled back- the country’s vulnerability is exposed and it is manifested in destruction and loss. The fact that the smoke â€Å"has paled† highlights that time has passed in which the wound has become clear to onlookers, and this wound is not only literal but metaphorical- the country is injured and was exposed to threat at that precise moment. The image of the ‘half-excoriated Apple Mac’ is presented as a metaphor for the attack that has affected the big apple. The Apple-Mac is â€Å"half –excoriated†- flayed, stripped of its skin, much like the country itself. The word â€Å"excoriated† is almost onomatopoeic as it mimics the stripped flesh (which is associated with great pain). This would cause great grief across the intended audience, and it will most likely bring back memories across the listeners. It is also significant that the Apple-Mac is described to have been â€Å"half –excoriated†- flayed, stripped of its skin, which is a similarity at this point of time as the country itself; America. The fact that the computer ‘still quotes’ Dow Jones, although it would take one person’s knowledge to know that the stock markets that day had crashed. This will also show how not only did America suffer from the losses, and ruin, but they did financially. The use of â€Å"hindsight† and â€Å"retrospect† in the sixth and seventh stanzas is indicative of the time that has passed to now look back upon the attack, perhaps in disbelief, shock, horror, and in some aspects we find ourselves awing and this suggested by the reference to the â€Å"weird prospect / of a passenger plane beading an office block†. The â€Å"force† is a nameless enemy, it does not have shape or form or identifying features and this reinforces its threat and perhaps its inevitability â€Å"moving headlong forwards, locked on a collision course†. The use of locked creates the impression that such a â€Å"collision course† is indeed inescapable- there is no getting away from that which is locked, it is immoveable and in this case pre-destined. In the Last stanza Armitage recalls the time when television footage showed helpless victims jumping from the flaming towers. The worlds which â€Å"thinned to an instant† make â€Å"furious contact†- this implies a fusion of anger and great energy, the fury spelling out wrath and pain. †. This moment of time is explored by Armitage in the final stanza; â€Å"during which†- highlighting the passage of time in which the media â€Å"framed/ moments of grace†. â€Å"Earth and heaven fused. † Armitage draws together celestial and earthly beings in the collision of earth and sky, life and death, terror and peace to mere â€Å"moments. Here the knowledge of the reader is called upon as one recalls the television footage of helpless victims jumping from the flaming towers. From this we determine that Armitage has made this poem with a hidden yearn to try and move the reader and intended audience with his strong choice of words. Whilst being simplistic, they are ‘given’ power by the genre and situation they are put into. By Arjun Nazran 10H Page of 2 Show preview only The above preview is unformatted text This student written piece of work is one of many that can be found in our GCSE Other Poets section.

South America vs. North America

Audrey Hepburn March 4, 2013 Mr. Miller AP U. S. History South vs. North 1800-1850 FRQ: In spite of sharing a country, the Northern and Southern areas of America had many differences and distinctions, which ended up dividing the nation. During the first part of the 1800's the North and the South grew in different ways. In the North, cities were centers of wealth and manufacturing. There were many skilled workers. In the South there was not much manufacturing. There were not many skilled workers. Most of the people were farmers. Money came from plantation crops, like cotton, and slavery was a major piece of their economy.Their respective societies were also diverse. The period between 1800 and 1850 brought rapid population growth throughout the United States. In the North the overall population rose from about 5 million to 31 million during this time. Part of this increase was due to massive immigration. Between 1830 and 1850 over 2 million Irish, German, and other northern Europeans arrived in the United States. Most of them settled in the North. The population of the South was made up of white Americans and enslaved Africans. By 1800 there were about 4 million slaves in America and the United States was the largest slaveholding republic.The total population of the South reached 12 million. The South was an overwhelmingly agricultural region of mostly farmers. Most farmers lived in the backcountry on medium sized farms, while a small number of planters ran large farms, or plantations. The South was ideal for agriculture and had the ability to grow crops in large amounts. However, only one-fourth of the Southern population owned slaves, and most of these were the planters. The rest of the population was made up of white independent farmers, tenant farmers (who rented land and paid the landowners in crops or money), laborers, or frontier families.Most Southerners lived on farms, scattered along the coastal plains and the small farmers in the backcountry. Since th e economy was based on agriculture, industries and towns developed at a slower pace than in the North. There were many small towns along the banks of rivers and the coasts. Only a few large cities developed as trading centers in the South. Plantations were so large and so distant from each other that they became almost self-sufficient, like small towns. Cities in the North thrived as centers of commerce. They were set up along the Atlantic coast and served as centers of trade between the North and Europe.They were hubs of manufacturing of textiles (cloth goods) and other products. Many people from rural New England moved to the cities looking for employment opportunities. In 1800 about 5 percent of the population lived in cities, but by 1850 nearly 15 percent did. Increased trade and manufacturing drew many laborers to town to work. Cities were often crowded and dirty. Not until after 1830’s were harbors and streets improved, sanitation systems were started, and police forces were created. Public services such as education began to take root. The Southern economy was based on agriculture.Crops such as cotton, tobacco, rice, sugar cane and indigo were grown in great quantities. They were raised on large farms, known as plantations, which were supported by slave labor. After Eli Whitney invented the cotton gin in 1793, cotton took over as â€Å"king† of the southern economy. Whitney invented the cotton gin, a machine that separated the seed from the cotton fiber much faster than could be done by hand. This caused a rapid growth and expansion of cotton production. In 1793 Southern farmers produced about 10,000 bales of cotton. By 1835, they were growing over 1 million bales a year.Cotton exports made up two-thirds of the total value of American exports. To clear land and grow cotton, Southerners used slave labor. Slavery was essential for the South’s prosperity. The South had little manufacturing, and Southerners wanted cheap imports. Since t hey exported most of their cotton and tobacco, they believed that high tariffs-–taxes on imported goods—would scare away the foreign markets that bought their goods. For these reasons the South was against tariffs. The North, however, favored high tariffs to protect its industries from foreign competition.The Northern economy was based on many different industries. These included shipping, textiles, lumber, furs, and mining. The majority of people lived on small farms and found that much of the land was suited for subsistence farming—raising food crops and livestock for family use—rather than producing goods to export, or send to other countries. Northerners stated to use their â€Å"ingenuity† to manufacture all kinds of goods. With the use of waterpower and coal for steam plants, manufacturing developed quickly. People realized that the many surrounding waterfalls were cheap source of energy, and the waterpower began to be used to run the factori es. Items such as textiles, iron, and ships were manufactured in great quantities. These goods were traded for foreign products, as well as transported to and from all continents by trading ships. The growth of trade, manufacturing and transportation brought many changes to cities in the North. Cities took on an increasingly important role in determining the culture of the North. Merchants, manufacturers, wage earners, and new business owners brought new ideas to the North. The majority of Northerners were Protestant believers.Villages became strong centers of community activities. Cities were important centers of art, culture, and education. Most cities printed newspapers and books and provided many forms of recreation, such as dancing, card playing, and theatre. Both religion and education were organized institutes. Most towns had both schools and churches. Public education grew in the north after the 1830s, but few boys went to secondary school, and college was reserved mostly fo r the wealthy. There were few schools or churches in the South, since neither education nor religion were very organized.The best educated were the sons of planters. On plantations there were sometimes small schools, and often planters hired private tutors to teach their children until they could be sent off to private schools. Small farmers had little or no education. Life in the South revolved around the small, wealthy class of planters and the agricultural system they controlled. Planters were the aristocracy—the upper class—of the South. They lived like country gentleman of England and ran the political and economic life. Plantations were far apart and developed their own communities.Recreational activities included such things as fox hunting, dancing, horseracing, and watching cockfights. During the first half of the 1800s transportation vastly improved, and the size of the United States more than doubled. Methods of long-distance transports, such as steamships an d railroads, affected the South because products could more easily be sold to more distant markets. By 1850 about 9,000 miles of railroad spread across the Southern states. Meanwhile, hundreds of steamboats moved Southern crops to the North and to European markets.Still, this was not nearly as vast a railroad system as the North. Most of the new rail lines were in the North, spanning out to the west. By 1850, 30,000 miles of railroad tracks connected distant parts of the United States. . Canals, mostly built in the North, were also a cheap source of transportation. The Erie Canal was clearly a success for New York commercial activities. Many other cities began to follow suit and within a decade a system of over 3,000 canals provided water transportation between the Eastern seaboard and rivers in the West. By 1850 there were over 88,000 miles of surfaced roads.Although the Northern and Southern states shared many things, in the period of 1800-1850, their disparities began to outshine what they had in common, which helped to lead into the Civil War. Their economies were polar opposites, with the Northern industrializing and the South farming and exporting; their societies were based on two diverse things, the South being an almost aristocratic system and the North focusing on factory work and industrializing. Their governmental ideals differed, especially and so blatantly emphasized in their opinions on tariffs.

Thursday, August 15, 2019

Sale & Attachment of Property in Execution Decree

Chapter – I Introduction & Research Methodology 1. Introduction: The passing of a decree by a competent court conclusively determines the rights of the parties with regard to all or any of the matters in controversy in the suit, thus creating substantive rights in favour of the decree-holder. However, lately it has been seen that instead of following the terms and conditions of the decree, judgment-debtors have been placing a number of obstacles in the way of a decree-holder. In fact, such a trend has become so prevalent that it has forced the Supreme Court to opine that ‘the difficulties of a litigant begin when he has obtained a decree’. Conscious of the significance and importance of giving effect to the decree and orders passed by competent courts, the Code of Civil Procedure provides for elaborate rules for the execution of decrees. In an attempt to ensure that a decree-holder is able to realize the benefits out of the decree, the Code of Civil Procedure gives a number of modes for the execution of decrees. One of these modes of execution of decrees is the process of attachment and sale of the properties of the judgment-debtor. Since, a decree holder does not by virtue of the judgment, get a right to the property, he cannot get the right by way of filing a suit but by attachment and sale in execution. While through the process of attachment the court informs the world that the property so ordered to be attached is â€Å"in its view† and â€Å"no existing rights and liabilities should be altered†; through the process of sale of the properties of the judgment-debtor, the Court diverts the money so collected to the decree-holder in satisfaction of his claim. However, by its very nature property may be of different types. Therefore, a judgment-debtor may possess either movable or immovable properties, or both. Thus, keeping in regard the differing characteristics of these two types of properties, the Code of Civil Procedure prescribes different procedures for the attachment and sale of movable and immovable properties. It is the endeavour of this project to examine the process of attachment and sale of movable and immovable property in a money decree and to intellectualize the reasons for the different process for the attachment and sale of movable and immovable property. 2. Research Methodology: The research scheme undertaken by the researcher is comprised of doctrinal study of the books available at the library of the Institute of Law and besides that the researcher has also taken the help of the internet to look into some of the Interpretation of some cases and principle of natural justice and the researcher the also taken in view the various cases which are relevant for the research work. 3. Research Hypothesis: †¢ What are the conditions under which attachment & sale of property becomes necessary, can it be done & how it is done. . Aim of Research: The aim of this project is to find out why sometimes it becomes very much necessary for the attachment of property even after the judgement has been declared & to examine the different ways under Code of Civil Procedure which provide for sale and attachment of property. 5. Scope & Limitation of Research: The scope of this project is limited to the study of the various provisions regarding attachment and sale of property in execution of decrees provided for in the Code of Civil Procedure. Chapter – II Attachment of Property . General: Section 51 (b) empowers the court to order execution of decree by attachment and sale or by sale without attachment of any property. The court is competent to attach the property if it is situated within the local limits of the jurisdiction of the court. [1] It is immaterial that the place of business of the judgement – debtor is outside the jurisdiction of the court. The words attachment and sale in clause (b) of section 51 are to be read disjunctively. Therefore, the attachment of the property is not a condition precedent. Hence, the sale of the property without an attachment is not void or without jurisdiction and does not vitiate the sale. It is merely an irregularity. An order of attachment takes effect from the moment it is brought to the notice of the court. Rule 54 provides for the attachment of immovable property and the procedure for the proclamation of such attachment. The object of Rule 54 is to inform the judgement – debtor about the attachment so that he may not transfer or create encumbrance over the property thereafter. [2] The code enumerates properties to be attached and sold in execution of a decree. 3] Likewise, it also specific properties which are not liable to be attached or sold. [4] It also prescribes the procedure where the same property is attached in execution of decrees by more than one court. [5] The code also declares that a private alienation of property after attachment is void. In Ghanshyam Das v. Anant Kumar,[6] while dealing with the provisions of the Code of Ci vil Procedure relating to the execution of decrees and orders, the Supreme Court had stated that the Civil Procedure Code contains elaborate and exhaustive provisions for dealing with the question of execution of decrees. More specifically, Section 51[8] of the Code of Civil Procedure enumerates in general terms the various modes of execution of a decree, one amongst which is the attachment of the property of the judgment-debtor. Procedure enumerates in general terms the various modes of execution of a decree, one amongst which is the attachment of the property of the judgment-debtor. 2. Object of Attachment: Execution of a decree takes place by attachment of property of judgment-debtor. In fact, the attachment of the judgment-debtor’s property s the preliminary step to the sale of property in execution proceedings and the underlying object of attachment of the property is to give notice to the judgment-debtor not to alienate his property to anyone and also to the general public not to purchase or to deal with the property of the judgment-debtor attached in execution proceedings. 3. Effect of Attachment: Section 64 of the Code of Civil Procedure makes it manifest that attachment has merely the effect of preventing private alienation to the prejudice of claims under attachment. It conveys no title, charge, lien or priority in favour of the attaching creditor. In fact, in Subbarao v. Official Receiver[7] the Andhra Pradesh High Court while dealing with the involuntary sale of the judgment-debtor’s flat under a decree of a court, stated that an order of attachment does not prevent a transfer by operation of law and nor does it create any interest or lien. 4. Property which can be Attached: Section 60 of the Code of Civil Procedure enumerates the properties, which are liable to attachment in execution of a decree. It states that all saleable property (movable or immovable) belonging to the judgment-debtor or over which or the portion of which he has a disposing power which he may exercise for his own benefit may be attached and sold in execution of a decree against him. More specifically, in State of Punjab v. Dina Nath,[8] wherein the right to officiate at funeral ceremonies was held to be not saleable, it was stated by the Supreme Court that Section 60 of the Code of Civil Procedure is not exhaustive and specific non-inclusion of a particular species of property under Section 60 is therefore, not of any consequence if it is ‘saleable’[9] otherwise. However, regard must be had to the proviso to sub-section (1) of Section 60, which enumerates certain properties such as necessary wearing apparel, cooking vessels, beddings, tools of artisans, implements of husbandry, houses of agriculturalists, wages, salaries, pensions and gratuities, compulsory deposits, right to future maintenance etc. and declares that the properties specified therein are exempt from attachment and sale in the execution of a decree. . Attachment of Movable Property: The attachable property belonging to the judgment-debtor may be either movable or immovable in nature. Rules 43 to 53 of Order 21 of the Code of Civil Procedure lay down the different ways in which the movable property belonging to the judgment debtor is to be attached keeping in regard the nature of the specific movable property sought to be attached. 1. Attachment Of Movable Property (Other Than Agricultural Produce) In Possession Of The Judgment-Debtor: Rule 43 of Order 21 of the Code of Civil Procedure deals with the mode of attachment of all movable property, other than agricultural produce and property not in the possession of the judgment-debtor, for both of which provision is made in Rules 44 to 46 of Order 21 of the Code of Civil Procedure. Under Order 21, Rule 43, the attachment is legally effected only by actual seizure. Significantly, keeping in view the varied nature of the movable properties that may be attached under this rule the Proviso to Order 21, Rule 43 of the Code of Civil Procedure provides that when the property seized is subject to speedy and natural decay, or when the expense of keeping it in custody is likely to exceed its value, the attaching officer may sell it at once. 2. Attachment of Debt, Share & other property not in Possession of Judgement – Debtor: Rule 46 of Order 21 of the Code of Civil Procedure deals with the mode of attachment of debt, share and other movable property not in the possession of the judgment-debtor. Under Order 21, Rule 46 of the Civil Procedure Code the attachment of debts (other than negotiable instruments), shares in a corporation or other movable property not in the possession of the judgment-debtor is legally effected by a prohibitory order, as contradistinguished from the requirement of actual seizure under Order 21, Rule 43. . Attachment of Negotiable Instrument: Rule 51 of Order 21 of the Code of Civil Procedure deals with the mode of attachment of negotiable instruments, which are neither deposited in the court nor in the custody of a public officer. Under Order 21, Rule 51 of the Civil Procedure Code the attachment of negotiable instruments, which are neither deposited in the court nor in the custody of a publ ic officer, is legally effected by actual seizure. As regards negotiable instruments it does not matter whether the negotiable instrument is in possession of the judgment-debtor or not. Furthermore, the actual seizure of the negotiable instrument is necessary as there is always a danger that third parties may bona fide become possessed of the negotiable instrument, and if a prohibitory order is held to be a valid attachment, they would be prejudiced by such an order of which they may know nothing. 4. Attachment of Salary or Allowance: Rules 48 and 48-A of Order 21 of the Code of Civil Procedure deal with the mode of attachment of salary of the judgment-debtor. Under Order 21, Rules 48 and 48-A of the Civil Procedure Code the attachment of judgment-debtor’s salary or allowance is legally effected by issuing a prohibitory notice to the dispersing officer but if such prohibitory notice is not served to the dispersing officer, the order of attachment will have no effect. Furthermore, the territorial jurisdiction is not considered in this case, and wherever the judgment-debtor is working his salary can be attached. 5. Attachment of Immovable Property: The attachable property belonging to the judgment-debtor may also be immovable in nature. Rule 54 of Order 21 of the Code of Civil Procedure lays down the directions as to the mode of attachment of immovable property, which are mandatory in nature and not merely directory. Under Rule 54 of Order 21 of the Code of Civil Procedure the attachment of immovable property is legally effected by the issuance of an order by the Court prohibiting the judgment-debtor from transferring or charging the property in any way, and all persons from taking any benefit from such transfer or charge. Such an order is to be proclaimed at some place on or adjacent to such property by beat of drum or other customary mode, and a copy of the order shall be affixed on a conspicuous part of the property and then upon a conspicuous part of the Court-house. Also, where the property to be attached is a land paying revenue to the Government, a copy of the order is to be affixed in the office of the Collector of the District in which the land is situate and, where the property is land situate in a village, also in the office of the Gram Panchayat, if any, having jurisdiction over that village. Chapter – III Sale of Property 3. 1. General: A decree may be executed by attachment and sale or by sale without attachment of any property. Sections 65 to 74 and Rules 64 to 106 of Order 21 of the Code of Civil Procedure deal with the material provisions relating to sale and delivery of properties. 3. 2. Power of Court: Rule 64 of Order 21 of the Code of Civil Procedure states that any Court executing a decree may order that any property attached by it and liable to sale, or such portion thereof as may seem necessary to satisfy the decree, shall be sold, and that the proceeds of such sale, or a sufficient portion thereof, shall be paid to the party entitled under the decree to receive the same. However, it must be noted that in Desh Bandhu v. Anand,[10] wherein the Court, while confronted with the twin issues of sale of properties situated outside the territorial jurisdiction of the Executing Court and the failure of the judgment-debtor to take objection in time, it was opined that: â€Å"The term â€Å"may† in this rule does not confer a discretion on the Court to order or refuse to order a sale; it is obligatory on it to do so when a valid application for such order and a valid attachment has been made. † 3. 3. Sale by Whom Conducted and How Made: Rule No. 65 of Order 21 of the Code of Civil Procedure enacts that every sale in execution of a decree shall be conducted by an officer of the Court or by such person as the Court may appoint in this behalf, in a public auction. 3. 4. Proclamation of Sale: A proclamation of sale is necessary for providing information to the intending purchasers. Thus, Rule 66 of Order 21 of the Code of Civil Procedure enacts that the Court shall cause a proclamation of the intended sale to be made in the language of the Court. Such a proclamation is to be drawn up after the notice to the decree-holder and the judgment-debtor. An absence of a notice causes irremediable injury to the judgment-debtor and sale without such a notice will be a nullity. 3. 4. 1. Purpose of a Proclamation: It has been stated that a proclamation of sale is meant for the information of intending purchasers and not of the judgment-debtor. However, in Narayanappa v. Akkulappa,[11] it was stated that the purpose of issuing a proclamation is two-fold: (a)  Ã‚  Ã‚   it protects the interests of the intending purchasers by giving them all material information regarding the property to be sold; and (b)  Ã‚   it protects the interests of the judgment-debtor by facilitating the fetching of proper market price for his property and by preventing it being knocked down at public auction for a price much below the market price. 3. 4. 2. Contents of the Proclamation: Rule 66 (2) of Order 21 of the Code of Civil Procedure enacts that the proclamation, which is to be drawn up shall state the time and place of sale, and specify as accurately as possible, the following particulars – (a)  Ã‚  Ã‚   the property to be sold, or, where a part of the property would be sufficient to satisfy the decree, such part; (b)  Ã‚   the revenue assessed upon the estate or part of the estate, where the property to be sold is an interest in an estate or in part of an estate paying revenue to the Government; (c)  Ã‚  Ã‚   any encumbrance to which the property is liable; (d)  Ã‚   the amount for the recovery of which the sale is ordered; and (e)  Ã‚  Ã‚   every other thing which the Court considers material for a purchaser to know in order to judge of the nature and value of the property. 3. 4. 3. Mode of making Proclamation: In order to protect the judgment-debtors and for the purpose of ensuring that the properties of such persons shall not be put to s ale unless due publicity is given to the fact that a sale is to be held and a proper opportunity is afforded to bidders to attend the sale after notice is given’ Rule 67 of Order 21 has been incorporated in the Code of Civil Procedure. Rule 67 of Order 21 of the Code of Civil Procedure provides that every proclamation shall be made and published in the manner prescribed by Order 21, Rule 54 (2) for attachment for immovable property, i. e. , a copy of it shall be affixed on a conspicuous part of the property, and then of the Court house, and in the Collector’s office, in the case of revenue paying land. Also, if the Court so directs, it shall also be published in local Official Gazette, or in a local newspaper, or in both. 3. 5. Time for Sale: Rule 68 of Order 21 of the Code of Civil Procedure provides that there shall be an interval of fifteen days in the case of immovable property and seven days in the case of movable property between the date of sale and the date of affixing the copy of the proclamation in the Court-house. However, it should be noted that the seven days rule does not apply to a sale of movables subject to speedy and natural decay. 3. 6. Sale of Movable Property: Rules 74 to 81 of Order 21 of the Code of Civil Procedure provide for specific provisions for the sale of movable properties. 3. 6. 1. Place of Sale of Movable Properties: Sale of all movable properties in execution of a decree should ordinarily be held at some place within the jurisdiction of the court ordering such sale. In the case of Lakshmibai v. Santappa,[12] where certain ornaments were attached in Banaras and the judgment-debtor urged that they should be directed to be sold at Bombay on the ground that they would probably fetch a better price and it was found by the Court that a fair price could be had on the spot, it was held that there was no good and sufficient reason to depart from the usual practice. 3. 6. 2. When Sale Becomes Absolute in Movable Properties: Sub Rule 2 of Rule 77 of Order 21 of the Code of Civil Procedure enacts that the sale of a movable property becomes absolute as soon as the purchase money is paid to the officer or other person holding the sale and no order of Court is necessary as in the case of the sale of immovable property. 3. 6. 3. Sale of Agricultural Produce: Rule 74 of Order 21 of the Code of Civil Procedure makes special provision for the sale of agricultural produce. It provides that in case of agricultural produce, the sale shall be held on or near the land on which the crop is standing or where the crop has been harvested, at or near the place where the crop is lying. It is also pertinent to note that Sub Rule 2 of Rule 74 of Order 21 states that such a sale can be postponed, if the court feels: (i)  Ã‚  Ã‚  Ã‚   that the fair price is not offered; and (ii)  Ã‚   the owner thereof applies for such postponement. 3. 6. 4. Sale of Negotiable Instruments and Shares in Corporations: Rule 76 of Order 21 of the Code of Civil Procedure makes special provision for the sale of negotiable instruments and shares in corporations. It provides that in case of negotiable instrument or a share in corporation, the court has power to order sale through a broker instead of by public auction. It is pertinent to note here that this rule is only permissive. A court is not bound to authorize the sale of negotiable instrument or share in a corporation through a broker. 3. 6. 5. Effect of Irregularity on Sale of Movable Property: Rule 78 of Order 21 of the Code of Civil Procedure stipulates that even in case of irregularity in publishing or conducting of sale, the sale of moveable property in execution decree cannot be said aside. Thus, the sale does not ipso facto become void for reason of violation of provisions relating to the sale. However, a person sustaining any injury by reasons of irregularity in the sale at the hand of any other person may sue such a person for compensation, or, if such a person is the purchaser, for recovery of the specific property and for compensation in default of such recovery. 3. 7. Sale of Immovable Property: Rules 82 to 96 of Order 21 of the Code of Civil Procedure provide for specific provisions relating to the sale of immovable properties. 3. 7. 1. Courts Competent to Order Sale: Rule 82 of Order 21 of the Code of Civil Procedure stipulates that except the small cause court, any other court can give the order of sale of immovable property. 3. 7. 2. Postponement of Sale: In order to prevent the sale of the immovable property of the judgment-debtor in cases where the decree can be satisfied by private alienation of such property, Rule 83 of Order 21 has been incorporated into the Code of Civil Procedure. It provides that on an application by the judgment-debtor, the court in its discretion may give the judgment debtor some more time, to try and alienate the property in order to raise the requisite some of money. 3. 7. 3. Deposit and Payment of Price: Rule 84 to 87 of Order 21 of the Code of Civil Procedure deal with the deposit and payment of price in cases of sale of immovable property. Immediately after the sale of immovable property, the purchaser must deposit 25 percent of purchase money, unless such requirement is dispense with by the court. The purchaser must pay the balance of the purchase-money within fifteen days of sale. In case of a failure on the part of the purchaser to deposit the amount, the advance may be forfeited and fresh sale ordered, after the issuance of a fresh notification. Explaining the ambit and the scope of the provisions of Rules 84 to 86 of Order 21 of the Code of Civil Procedure, the Supreme Court in the case of Manilal Mohanlal v. Sayed Ahmed,[13] has stated that: â€Å"Having examined the language of the relevant rules and the judicial decisions bearing upon the subject we are of the opinion that the provisions of the rules requiring the deposit of 25 per cent of the purchase-money immediately, on the person being declared as a purchaser and the payment of the balance within 15 days of the sale are mandatory and upon non-compliance with these provisions there is no sale at all. The rules do not contemplate that there can be any sale in favour of a purchaser without depositing 25 per cent of the purchase-money in the first instance and the balance within 15 days. When there is no sale within the contemplation of these rules, there can be no question of material irregularity in the conduct of the sale. Non-payment of the price on the part of the defaulting purchaser renders the sale proceedings as a complete nullity. † 3. 7. 4. Setting aside of Sale: Rule 89 to 92 of Order 21 of the Code of Civil Procedure deal with the setting aside of sale. They provide that when a property is old in execution of a decree, an application for setting aside sale may be made under these provisions by the persons and on the grounds mentioned therein. 3. 7. 5. Confirmation of Sale: In contrast with the provisions relating to the sale of movable properties, â€Å"no sale of immovable property shall be come absolute until it is confirmed by the Court. † Also, Rule 92 of Order 21 of the Code of Civil Procedure, which deals with the procedure for confirmation of sale, provides that where no application to set aside the sale is made under Rules 89, 90 or 91 or where such application is made and is disallowed by the Court, the court shall make an order confirming the sale, and thereupon the sale shall become absolute. Chapter – IV Conclusion It has been said that the difficulties of a litigant â€Å"begin when he has obtained a decree. The execution process, which commences with the filing of an application for execution, aims at the enforcement of a decree by a judicial process. Aware of the fact that a number of obstacles are placed in the way of a decree-holder, who seeks to execute his decree against the property of the judgment-debtor, the Code of Civil Procedure provides for elaborate rules and procedures for the execution of decrees. In an attempt to enable the decree-holder to realize the fruits of the decree passed by the competent court in his favour, the Code of Civil Procedure allows for the attachment and sale of the properties of judgment-debtor as one amongst the various modes of executing a decree. However, the nature of the properties of judgment-debtor liable for attachment is usually varied. The properties belonging to the judgment-debtor, which are sought to be attached and sold, may be movable or immovable. Since, movable and immovable properties by nature have differing rights; there are different legal regimes governing these two types of properties, and therefore the court has to cater to these different rights and proceedings. Thus, in an attempt to ensure that attachment and sale of the property of the judgment-debtor remains a viable and effective mode of execution of decrees the Code of Civil Procedure has prescribed different procedures for the attachment and ale of movable and immovable properties in execution of money decrees. This is best illustrated in the prescription of actual seizure of the property in cases of attachment of movable property, as in these cases a very real threat exist that the property might escape the jurisdiction of court. Chapter – V Bibliography 1. Basu’s , ‘The Code of Civil Procedure’, Ashok Law House, New Delhi, 10th Edn. , Vol. 2, 2007. 2. Majumdar’s, ‘Commentary on the Code of Civil Procedure, 1908’, Orient Publishing Company, 6th Edn. , Vol. 1, 2010. 3. Justice Nandi & Gupta Sen, ‘The Code of Civil Procedure’, Kamal Law House, Kolkata, Vol. 1, 2009. 4. Rao’s V. J. ‘The Code of Civil Procedure, 1908’, ALT Publication’s, 5th Edn. , Vol. 1, 2008. 5. Jain, M. P. , â€Å"The Code of Civil Procedure†,2nd Edn. , Lexis Nexis ButterWorths Wadhwa,Nagpur. 2008. 6. Prasa, B. M. , & Sarvaria, S. k. , â€Å"Mulla The Code Of Civil Procedure†,14th Edn. , Lexis Nexis ButterWorths Wadhwa,Nagpur, 2011. ———————– [1] Raoof v. Lakshmipathi, AIR 1969 Mad 268. [2] Desh Bandhu v. N. L. Anand, (1994) 1 SCC 131. [3] S. 60(1). [4] Proviso to S. 60(1). [5] S. 63. [6] AIR 1991 SC 225 1. [7] AIR 1965 A. P. 52 [8] (1984) 1 SCC 137 [9] ‘Saleable’ means saleable by auction under the orders of a Court [10] (1994) 1 SCC 131 [11] AIR 1965 A. P. 215 [12] AIR 1964 Bom 342 [13] AIR 1954 SC 349