Wednesday, October 30, 2019

Air Pollution in Beijing Essay Example | Topics and Well Written Essays - 1500 words

Air Pollution in Beijing - Essay Example Notably, PM2.5 is most usually associated with cardiovascular deaths as shown by most cohort studies. Notably, the focus on the above statement of PM is basically correct. Automatically, air emissions in conjunction with PM2.5 particles are generally responsible for cardiovascular diseases which causes health hazard to human being. Coal consumption is another huge factor that constitutes the challenge of air pollution in Beijing. In order to manage this pollution, the government of China must control the regional total coal consumption; replace urban coal consumption with another energy source and treatment of coal pollutant. Therefore, in order to cope with the severe air pollution brought about by coal combustion, pollutants such as nitrogen oxide and sulfur dioxide emission should be piped. In this regard, the state has come up with a DE-Nox subsiding scheme that releases thermal power industry pollution emission standards (GB3096-2012) that require all existing power plants to me et tighter pollutant emissions limits by 2014 (Greenpeace, 2012).In addition, it has recommended the shutdown of coal-fired industry boilers or their replacement with a more cleaner-energy industries. Disregard to environmental laws by citizens is another cause of the air pollution in Beijing. Currently, China`s charges for atmospheric pollutants are far much lower than the set costs of end of pipe contamination control. This has, to some extent, disheartened many enterprises from creating changes, and made it difficult to clearly define lawful and illegal pollutant discharging. A hike in pollution emission charges and strengthened supervision hard work could help make unlawful... This essay focuses mostly on air pollution levels in the capital city of China, Beijing, that has overtime become an ever increasing issue among environmentalist and residents in China. As the researcher states, any hopes of resolving this national calamity seems like just a mere dream. According to Beijing Municipal Environmental Monitoring Center, the current quality of air is reported to be above 300, which is considered hazardous by the World Health Organization. This is because dense smog hangs down the atmosphere affecting the people of Beijing. The monitoring stations also observed that atmospheric particulates known as PM 2.5 are mostly responsible for air pollution in Beijing. The researcher explaines the PM 2.5 can be described as small, invisible particles which affect and damage respiratory system. In conclusion it is summed up that, Beijing is a city powered by coal-fired electricity stations, which are responsible for air pollution and which continues to have potentiall y lethal impacts on China`s urban population. Polluted air consists of carbon dioxide, sulfur dioxide, and volatile organic compounds, which affect the respiratory system. When inhaled, they adversely affect the body by contributing to numerous respiratory problems, certainly for people susceptible to allergic reactions and asthmatic condition. Therefore, the researcher reccomends that the Chinese government should work on a plan on how to reduce air pollution more and make the atmosphere clean for all citizens.

Monday, October 28, 2019

Project Mercury and Its Legacy Essay Example for Free

Project Mercury and Its Legacy Essay In the twentieth century, the United States and the Soviet Union engaged in a competition called the Space Race. This was a race to who would be the first country to send a rocket and a human being up into space. Although the Soviet Union was the first to send both a rocket and a human up into space, the United States successfully carried out a space mission called Project Mercury. Project Mercury was carried out in 1959 and came to a conclusion in 1963. It was the first human spaceflight program that was undertaken by the United States National Aeronautics and Space Administration (NASA). From when it was first introduced, to when the space mission was carried out, and when it had succumbed to its end, Project Mercury became an important mission which left one of the greatest legacies in United States history. In the initiation of Project Mercury, the government began a search for seven great Americans who would become United Statess first astronauts. To be considered for the position, the Americans had to meet some requirements, which were as follows: needed to be test pilots, needed to be no taller than 511, needed to weigh no more than 180 pounds, needed to be under the age of forty, needed to have a Bachelors degree or equivalent, have 1,500 hours of flying time, and have qualifications for flying jets. In addition to the requirements, the pilots had to go through rigorous testing and training that would assure that they were capable handling problems the spacecraft and the flight may pose on them. Out of the handful of pilots who met these requirements, only seven were chosen to become Americas first astronauts who were Alan Shepard, Gus Grissom, John Glenn, Scott Carpenter, Wally Schirra, Gordon Cooper, and Deke Slayton. Since these flights were going to be manned, NASA contracted Max Faget as the primary designer, along with a team of engineers to build the Mercury Spacecraft. Its design was a cone-shaped one-man capsule with a cylinder mounted on top. Two meters (6 ft, 10 in) long, 1.9 meters (6 ft, 2 1/2 in) in diameter, a 5.8 meter (19 ft, 2 in) escape tower was fastened to the cylinder of the capsule. The blunt end was covered with an ablative heat shield to protect it against the 3000 degree heat of entry into the atmosphere (Mercury Spacecraft). This design would be the first capsule that would go up into space. Project Mercury was finally undertaken after all of the seven American Astronauts were physically and mentally prepared, the spacecraft was built, and the rockets were safe to launch. Before America could send the first human up into space, they needed to make sure that the rocket was not going to blow up as it had done in launch tests. Engineers and scientists were working hard to accomplish this, but trial after trial, the rockets were always blowing up. Finally, NASA was able to perfect the rocket, and on May 5, 1961, Alan Shepard was the first American to be launched into space on the spacecraft called Freedom 7. This event was one of the greatest moments for America which anticipated further launches into space to explore what is beyond Earths atmosphere. The second flight was manned by Gus Grissom who was launched into space on the spacecraft called Liberty Bell on July 21, 1961. He successfully was able to complete a suborbital flight, but as he landed, his spacecraft hatch blew open and NASA was not able to recover the spacecraft. The first American to orbit the Earth was the third flight using the Friendship 7 spacecraft that was manned by John Glenn on February 20, 1962. He was only able to orbit the Earth three times due to concerns about the spacecrafts heat shield. Then, on May 15, 1963, Gordon Cooper became the first American to be in space for over a day and successfully orbited the Earth twenty-two times using the Faith 7 spacecraft. He was also the last American astronaut to be launched into space alone. Ultimately, Project Mercury came to its end creating one of the greatest legacies of United States history. The overall cost for Project Mercury added up to $1.6 billion in inflation-adjusted dollars (Program Cost). There are numerous legacies that Project Mercury left to Americans. One of those legacies is the will of America to continue the space programs after President John F. Kennedy said that this nation should commit itself to achieving the goal, before the decade is out, of landing a man on the moon and returning him safely to the earth (President Kennedys Challenge). Also, Project Mercurys greatest legacy is that it was United States first successful human spaceflight program. Project Mercury also influenced author Tom Wolfe who wrote the book The Right Stuff, which was later developed into a movie directed by Philip Kaufman. In conclusion, from the inception and up to the end of the space program, Project Mercury was a prominent accomplishment for the United States, leaving one of the greatest legacies for America. It changed the game of how America would accomplish its goals of becoming the first country to send an astronaut to the moon. At the end, the seven American astronauts who were chosen to be part of the space program will always be part of United States history and Project Mercury will continue to be the reason for where we are today pertaining to Americas advanced space program.

Saturday, October 26, 2019

Essay on Character, Symbolism, and Language in Linda Pastans Ethics

Use of Character, Symbolism, and Descriptive Language in Linda Pastan's Ethics  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚      As people evolve from children to young adults and finally to maturity, they find that they are constantly faced with difficult decisions.   Learning to make the right choice in a difficult situation is one of the hardest lessons to learn.   Many people make choices without considering what the results may be.   They only look to the future for knowledge instead of considering the knowledge already discovered in the past.   In Linda Pastan's "Ethics," the author has painted a picture of the difficulty people have when they refuse to realize that the most difficult choices to make are also the most important.   Through Pastan's use of character, symbolism, and descriptive language, the theme of this poem is presented for thought.   While choices are made every day without much thought, Pastan has made clear that choices made without the benefit of wisdom are almost always regretted.    The portrayal of the speaker is one way the author has reinforced her theme.   The speaker is young and in school (1).   An instructor asks the class to make a difficult choice in a hypothetical situation.   Many young people today are faced with making these types of decisions everyday.   They try to make choices without considering all facts.   For example, many young adults are uninterested in heritage and history.   Like the speaker who sits "...restless on hard chairs..."(6), and makes a different decision each time "...always half-heartedly..." (9), young people today do not realize the importance of knowledge.   Some of them are in school only because their parents insist on it.   They show no interest in the rich history of society.   They are too busy... ... When the speaker declares that "...earth's most radiant elements burn through the canvas..." (22-23), the message that its never too late is clear.   People can start learning from the past and from past mistakes.    Pastan has created a vivid example of the difficulty of making choices in "Ethics."   People seldom realize the repercussions their choices may make.   As people grow older and learn more, they tend to see how ignorant some of their choices were.   The same can be said of society.   Although a great many wrong choices have been made along the way, it is not too late for society to once again put value on what it already has instead of what it might have.    Works Cited Pastan, Linda. "Ethics."   Literature: An Introduction to Reading and Writing.  Ã‚   4th ed. Ed. Edgar V. Roberts and Henry E. Jacobs.   Upper Saddle River: Prentice, 1995. 855. Essay on Character, Symbolism, and Language in Linda Pastan's Ethics Use of Character, Symbolism, and Descriptive Language in Linda Pastan's Ethics  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚      As people evolve from children to young adults and finally to maturity, they find that they are constantly faced with difficult decisions.   Learning to make the right choice in a difficult situation is one of the hardest lessons to learn.   Many people make choices without considering what the results may be.   They only look to the future for knowledge instead of considering the knowledge already discovered in the past.   In Linda Pastan's "Ethics," the author has painted a picture of the difficulty people have when they refuse to realize that the most difficult choices to make are also the most important.   Through Pastan's use of character, symbolism, and descriptive language, the theme of this poem is presented for thought.   While choices are made every day without much thought, Pastan has made clear that choices made without the benefit of wisdom are almost always regretted.    The portrayal of the speaker is one way the author has reinforced her theme.   The speaker is young and in school (1).   An instructor asks the class to make a difficult choice in a hypothetical situation.   Many young people today are faced with making these types of decisions everyday.   They try to make choices without considering all facts.   For example, many young adults are uninterested in heritage and history.   Like the speaker who sits "...restless on hard chairs..."(6), and makes a different decision each time "...always half-heartedly..." (9), young people today do not realize the importance of knowledge.   Some of them are in school only because their parents insist on it.   They show no interest in the rich history of society.   They are too busy... ... When the speaker declares that "...earth's most radiant elements burn through the canvas..." (22-23), the message that its never too late is clear.   People can start learning from the past and from past mistakes.    Pastan has created a vivid example of the difficulty of making choices in "Ethics."   People seldom realize the repercussions their choices may make.   As people grow older and learn more, they tend to see how ignorant some of their choices were.   The same can be said of society.   Although a great many wrong choices have been made along the way, it is not too late for society to once again put value on what it already has instead of what it might have.    Works Cited Pastan, Linda. "Ethics."   Literature: An Introduction to Reading and Writing.  Ã‚   4th ed. Ed. Edgar V. Roberts and Henry E. Jacobs.   Upper Saddle River: Prentice, 1995. 855.

Thursday, October 24, 2019

Information systems technology Essay

Abstract This paper discusses the scope of Information systems technology. Information Systems Technology can be defined as the use of electronic programs and machines and for storage, processing, presentation and transfer of information. Information Systems Technology also includes technologies of speech processing, speech recognition, speaker recognition (identification, verification, and authentication), word spotting, language and dialect identification, speech coding, and speech and audio signal enhancement. It is also inclusive of Machine learning, Information Assurance, detecting and interpreting attacks against large-scale network infrastructures, securing cyberspace, and evaluating the usage of various tools various environments. For Information Systems Technology to be adequate, static and dynamic analysis of software should be performed regularly, to uncover any vulnerabilities, correlate and prioritize alerts from network security devices, analyze attacks and potential propagation vectors against computer networks, and develop practical solutions of cryptographic protocols and approaches. Introduction It has been said that Survival is a matter of instinct which requires insight to succeed. Information technology is an absolute necessity for any individual or organization that wants to survive in this ever changing world. Information systems technology can be defined as the use of electronic machines and programs for the processing, storage, transfer and presentation of information. When the emphasis was on processing the terms electronic data processing EDP was common in earlier days. All aspect of human life is permeated by information technology; it is no longer confined to high number- crunching machines housed in air- conditioned computer halls. As evident to all, communication technology is today an important part of it. Devices such as the photocopying machine, telephone and the telefax and not only computers and their software should be included in our definition of information technology. Nowadays the use of information technology is no longer confined to huge number-crunching machines housed in air-conditioned computer halls but permeates all aspects of everyday life. Communications technology is today an important part of IT. Not only computers and their software, but also devices such as the telephone, the photocopying machine and the telefax should thus be included in our definition of information technology. Many of the functions of these devices are in fact increasingly integrated. With the latest generation of laptops computers, and is already possible to send and receive faxes and emails. Recently, many mobile phones which incorporate small microcomputers have started to appear on the market much more. (Bo-Christer Bjork 1999) Overview. Information technology and the systems that process it are among the most valuable assets of any organization. Fundamental management responsibility is adequate security of these assets. Each agency must implement and maintain a program to adequately secure its information and system assets, something that is consistent with office of Management and Budget (OMB). There is also increased integration in many functions of these devices Consistent with Office of Management and Budget (OMB) policy, each agency must implement and maintain a program to adequately secure its information. Agency programs must: 1) assure that systems and applications operate effectively and provide appropriate confidentiality, integrity, and availability; and 2) protect information commensurate with the level of risk and magnitude of harm resulting from loss, misuse, unauthorized access, or modification. Description of Framework The Framework approach begins with the premise that all agency assets must meet the minimum security requirements of the Office of Management and Budget Circular. The criteria that are outlined in the Framework and provided in detail in the questionnaire are abstracted directly from long-standing requirements found in statute, policy, and guidance on security and privacy. It should be noted that an agency might have additional laws, regulations, or policies that establish specific requirements for confidentiality, integrity, or availability. Each agency should decide if additional security controls should be added to the questionnaire and, if so, customize the questionnaire appropriately. (Federal Information Technology Security Assessment Framework 2000). References Bo-Christer Bjork (1999) Information technology in construction: domain definition and research issues. International Journal of Computer Integrated Design and Construction, SETO, London. Volume 1, Issue 1, pp. 1-16 Federal Information Technology Security Assessment Framework (2000) Prepared for Security, Privacy, and Critical Infrastructure Committee by National Institute of Standards and Technology (NIST) Computer Security Division November 28, 2000 The NIST Self-assessment Questionnaire will be issued in 2001 as a NIST Special Publication. Swanson, M (2001) Security Self-Assessment Guide for Information Technology Systems.

Wednesday, October 23, 2019

Advertisement and Promotion in Business

Abstract With the increase in competition among different businesses across all industries, it is vital for companies to ensure that they implement ideal promotional strategies to maintain their competitiveness. This paper presents an in-depth analysis on several aspects of business advertisement and promotions. It addresses the scope of marketing strategies, which covers the process of communication in advertisement, the organization of the advertisement industry in the United Kingdom, the regulation of the industry and the current trends in advertising. It also covers the concept of below-the-line advertisement and suggests the promotional strategies that can be used by Pringles, a well renowned snack brand. Introduction Advertisement and promotion play a vital role in the marketing of products and services of any company by increasing brand awareness and attracting customers (Shimp & Andrews, 2013). It is one of the four components of the 4Ps of marketing, which comprise of product, price, promotion and place (Pride, 2013). Whereas there are different approaches to advertising and promotion, they all have the main objective of communicating about what companies have to offer to their target clients (Percy & Rosenbaum-Elliott, 2012). With the ongoing increase in competition across all industries, companies that fail to advertise or promote their products and services risk losing their competitive edge regardless of how proper the other elements of the marketing mix are (Reynolds & Lancaste, 2013). This paper covers different issues of advertisement and promotion. These include the marketing communications’ scope and below the line advertisement approaches that can be used to promote Pringles, one of their products. It also designs a plan for an integrated promotional strategy for Pringles. Task 1 – Scope of Marketing Communications1. Explain the communication process that applies to advertising and promotion.Communication in advertisement and promotion aims to ensure that that the messages that businesses intend to pass to their consumers are effectively relayed (Shimp & Andrews, 2013). There are different steps through which these messages undergo before arriving to their target audiences. In promotion and advertisement, the sender – in this case, the advertising company – encodes the message and relays it through a transmission device (Wharton, 2013). Encoding is the creative creation of cues that can either be verbal or non-verbal that will pass the intended message to customers in the most effective manner and also attract the highest possible attention among the target customers (Reynolds & Lancaste, 2013). After the message has been encoded, ideal transmission devices or avenues are used to pass the message (Wharton, 2013). With the different customer segments being targeted by companies, it is important to select the most ideal avenue through which the advertisement can be passed (Pride, 2013). The message is then decoded by the receiver, where it will trigger different actions in response to the advertisement, which include making purchases of the advertised products or services (Reynolds & Lancaste, 2013). Whereas companies expect the communication processes of advertisements to lack barriers, there are several that may limit the attainment of the intended advertisement objectives (Wharton, 2013). One of these is the presence of many other adverts by competing companies that may divide the attention of target consumers this is mainly referred to as clutter (Kaser, 2012).2. Explain the organisation of the advertising and promotions industry.The advertising and promotions industry com prises of different entities. These include advertisers, advertising agencies, media organizations and external facilitators (Friedlein, 2014). The roles played by all these parties contribute towards the success of the industry. To ensure effectiveness of this industry, different countries have different approaches of managing these involved parties (O’guinn et al., 2011). In the United Kingdom and Europe, there are different bodies that are involved in the running of the industry. These include the European Association of Communications Agencies (EACA), and the Promotional Marketing Council (PMC) (Warc, 2014). EACA represents media agency associations and full-service advertising across Europe (EACA, 2014). It is based in Brussels, Belgium, and focuses on the promotion for responsible effective and honest advertisement. The organisation also promotes high levels of professionalism and fosters close cooperation among different advertisers, agencies and media outlets in Europ e. PMC, on the other hand, represents the sales promotion industry. Some of the parties represented include suppliers, clients and agencies across several countries in Europe (Warc, 2014).3. Assess how promotion is regulated.Regulation involves the creation or certain rules and regulations to govern different activities in advertisement and promotion. In the United Kingdom, an advertising self-regulatory system for non-broadcast advertising was set up in UK in 1961. This step was taken to ensure that advertisements are responsible and achieve the purpose of making customers aware of products and their repurchase of the products. The UK regulates the promotion industry by using a combination of practice and legislation codes (Advertising Standards Authority, 2014). There are two regulatory committees that create, revise and monitor advertising codes. These are the Broadcast Committee of Advertising Practice (BCAP) and the Committee of Advertising Practice (CAP). The BCAP code creates broadcast advertising rules while CAP creates rules for non-broadcasting advertising, direct marketing and sales promotion (Farrell & Gordon, 2012). These rules are enforced by the Advertising Standards Authority (ASA). With the changes that are always taking place in advertising, these rules are regularly revised to increase effectiveness (Kaser, 2012). However, keeping up with this pace is quite challenging because of the increase in advertisement avenues that has been made possible by technological advancements. As a result, increasing numbers of customers are falling prey to advertisers that advertise inexistent or poor quality products (Cho et al., 2014).4. Examine current trends in advertising and promotion, including the impact of ICT.The current trends in advertising and promotion have majorly been influenced by the increase in the use of the internet and social networking among target customers, which has largely been as a result of ICT development (Friedlein, 2014). There are various internet related trends in product advertising and promotion. These trends include; social media, online display advertising and mobile advertising. Advertisements on the social media, such as Facebook and Twi tter, are on the rise and are referred to as sponsored content (Seth & Kapoor, 2014). Companies are taking advantage of the growing number of people using these avenues because in total, there are approximately 2 billion people signed up to different social media platforms (Tuten & Solomon, 2012). Online display marketing is on the rise, and involves the advertisement of company websites on other websites that target consumers frequently use (Kaser, 2012). According to Persaud and Azhar (2012), an increase in the use of smartphones has also given rise to internet mobile advertising. This is where advertisers reach consumers personally through platforms, such as social media or sending links to company websites, in the form of text messages (Persaud & Azhar, 2012). Whereas these developments provide a convenience of reaching a wide range of clients in a short time and on a smaller budget, there are also different associated demerits (Friedlein, 2014). One of these is the information risk that customers and companies may be prone to because of hacking (Cho et al., 2014). Social media has been regarded by some researchers as one of the fastest avenues through which information passes. Thus, any mistake by a company that may tarnish its reputation can be detrimental to its brand (Tuten & Solomon, 2012). Task 3: Primary techniques of below-the-line technique of sales promotion1. Explain primary techniques of below-the-line promotion and develop a BTL campaign for the brand, â€Å"Pringles†Below-the-line promotionBelow-the line advertisement is a promotional strategy that tends to use other mediums apart from the typical ones like the internet, broadcast, print and billboards (Kaser, 2012). Many companies in the present-day business environment utilize this strategy alongside above-the-line and through-the-line advertisement (Reynolds & Lancaste, 2013). One of the main attributes of this approach to advertisement is that it is less expensive. However, many companies combine this with above-the-line promotions so as to maintain a better market position, below-the-line promotion being just as complement (Gautam, 2013). Several below-the-line advertisement techniques are discussed hereunder. Field marketing or promotion: It is a process through which salespeople target customers on a one-on-one basis with the aim of promoting certain products and services (Stone & Desmond, 2007). One of the advantages of this approach is that it provides customers with a close interaction with the product being promoted and the salesmen. However, this is time consuming and some customers may not be quite welcoming to the salespeople (Sigala, 2010). The use of coupons: this below the line approach to promotion involves handing coupons to prospective purchasers of commodities and offering incentives or discounts to attract customers, especially those who are price-sensitive (Wharton, 2013). Given that such approaches often offer product at reduced prices for a short duration, there is always a risk of reduced sales when the company resumes its original prices (Kumar & Rajan, 2012). Loyalty programs: These are packages that offer rewards to the frequent buyers of commodities due to their loyalty to the retail outlets (Grewal et al., 2011). Such programs are common in the airline industry, where frequent flyers of a given airline numbering a specified number of flights are awarded for their loyalty in different ways, which may also include free flights. These programs are however more ideal for customers with easy accessibility to the company products (Kaser, 2012).A below-the-line campaign for PringlesPringles is a potato and wheat manufactured snack owned and run under the Kellogg Company (Pringles, 2014). Below-the-line advertisement can be used to compliment the current promotional strategies used. One of the below-the-line approaches that can be used to market Pringles is the field promotion or field marketing approach. To effectively implement this promotional strategy, it is vital for the company to recruit salespeople that have the experience and skills needed to enable them convince people they have never met before to choose the Pringles over competing products in the market (Kaser, 2012). Small samples ought to be distributed for free or be sold at a lower price. Considering that the company mainly targets teenagers and students (Gillespie & Hennessey, 2010), it is advisable for the company to use younger salespeople who are more aware of how to approach and appeal to teenagers. The most ideal places that promoters of this product can target are those with high population of teenagers, like schools, colleges or recreational parks. Though this marketing approach provides an excellent avenue for building a relationship between the target customers and the brand, companies have to invest heavily in training salespeople or promoters to enable them deal with customers of diverse tastes and backgrou nds (Sigala, 2010).2. Evaluate other techniques that can also be used in this BTL campaign.Apart from the above below-the-line approach that can be used by Pringles, there are several other methods that may be adopted to boost sales and promote the product. They are examined below. Pringles can use the Intercept method, where trained sales personnel are positioned at retail outlets besides the shelves holding Pringles in retail stores and supermarkets (Stone & Desmond, 2007). Their main role is to persuade incoming buyers into the stores to purchase Pringles by highlighting their advantages over other competing products. Whereas this approach can increase the sales for the company, it has been criticized for causing impulse buying among customers (Pride, 2013). Sponsorship is also an ideal below the line promotional strategy that can be used by Pringles. This is whereby the company supports events and activities through provision of funds and other resources that are valuable to the success of the event (Woisetschlager & Michaelis, 2012). For Pringles, this strategy can be implemented by sponsoring sports for schools and youth concerts. Awareness of the company or products can be increased by ensuring by printing T-Shirts, caps or any other apparel to be worn by those attending the event. Even with this convenience that the strategy offers to customers, it can be quite cost intensive for the company depending on the size or magnitude of the event being sponsored (Lee et al., 2012). This may have an adverse impact on the company’s return on investment. Task 4: Plan Integrated Promotional Strategies1. Follow an appropriate process for the formulation of a budget for this integrated promotional strategyAn integrated promotional strategy refers to an approach to promotion where a company uses different avenues to and tools to increase the awareness of products (Kaser, 2012). This section presents a plan for a promotional strategy that can be used to market Pringles. Even with the current success that it enjoys across the markets that it operates (Gillespie & Hennessey, 2010), there is still a need for the company to penetrate more in the market and further increase its market share. To implement a successful promotional strategy, it is vital for the company to identify the resources or activities that will be involved. After they are identified, the appropriate budgetary allocation will be done to facilitate the strategy (Reynolds & Lancaste, 2013). The avenues that will be used in this promotion strategy are TV commercials, billboards and online advertisement through social media outlets. The budget is summarized as below. Promotional TechniquesBudget allocation TV commercials?1 million Billboards?100,000 Social media promotion YouTube video advertisements?50,000 Facebook?50,000 Twitter?50,000 Total?1.25 million 2&3: Carry out the development of a promotional plan for the Pringles and plan the integration of promotional techniques into the promotional strategy for PringlesThe table above represents the promotional techniques that will be used in the promotion of Pringles. TV commercials will be used by airing advertisements of the product on channels that air programs that are mostly viewed by the company’s target customers, who are teenagers and the youth (Saxena, 2010). The most ideal channels on which to air these advertisements are music or sports channels. Billboards will be effective if they are located in areas that are densely populated and are located close to outlets of the products. With an increasing number of people who have signed up on Facebook and Twitter social networks, advertising products on these sites also increases their visibility among the target audience (Tuten & Solomon, 2012). It also enables the company to actively engage with the customers that it is tar geting. Thus, it will be imperative for Pringles to consider utilizing these avenues for promotion.4. Appropriate techniques for measuring campaign effectivenessThere are different approaches that can be used by companies in measuring the effectiveness of their promotional campaigns. One of these is the amount of feedback from customers. This is usually mainly in form of inquiries through different avenues about the product being marketed (Pride, 2013). When inquiries are high, it means that the advertisement strategy was effective, and vice versa. Another approach that can be used is the estimation of sales prior to and after the launch of the promotional campaign or the return on investment (ROI) (Kaser, 2012). Successful promotional campaigns ought to result in an increase in sales levels of the company and create revenues that surpass the investment that was put in the promotional activity. For social media advertisements, tools such as SentiStrength can be used to assess the re ception of consumers to the advertisements. SentiStrenth is a sentiment measuring tool that evaluates the level of positivity or negativity of short texts that are mainly used in commenting on social media sites (SentiStrength, 2014). Conclusion Advertisement and promotion are vital components of the marketing mix. Some of the roles that they play include increasing of awareness among target customers about a company’s products and attracting new customers. This paper has addressed different issues that relate to this component of marketing. Under the scope of marketing communications, the paper has explained how the communication works process in promotion. It has also discussed how the organisation and regulation of the advertisement industry in the United Kingdom. The concept of below-the-line advertisement and an integrated promotional strategy that can be used to market Pringles have also been presented. For companies that intend to maintain their competitiveness in the market and attract a wide range of customers, it s vital for them to ensure that their promotional strategies are relevant to their target audiences. Whereas this paper has provided an in-depth understanding on the concepts of advertising and prom otion, in future, primary research can be incorporated, with members of the marketing department and a section of its target customers as respondents. References Advertising Standards Authority, 2014. About Regulation. [Online] Available at: http://www.asa.org.uk/About-ASA/About-regulation.aspx [Accessed May 2014]. Cho, S., Huh, J. & Faber, R.J., 2014. The influence of sender trust and advertiser trust on multistage effects of viral advertising. Journal of Advertising, 43(1), pp.100-11. EACA, 2014. About Us. [Online] Available at: http://www.eaca.eu/ [Accessed 31 May 2014]. Farrell, T. & Gordon, R., 2012. Critical social marketing: investigating alcohol marketing in the developing world. Journal of Social Marketing, 2(2), pp.138-56. Friedlein, A., 2014. Six trends in advertising you need to know for 2014. [Online] Available at: http://www.marketingweek.co.uk/opinion/ashley-friedlein/six-trends-in-advertising-you-need-to-know-for-2014/4009135.article [Accessed May 2014]. Gautam, A., 2013. A study on (below the line) promotion strategies of telecom industry in western (Up) circle (India) with special reference to Reliance Communication. European Journal of Business and Management, 5(22), pp.74-79. Gillespie, K. & Hennessey, ?.D., 2010. Global Marketing. Mason: Cengage Learning. Grewal, D. et al., 2011. Innovations in retail pricing and promotions. Journal of Retailing, 87, pp.43-52. Kaser, K., 2012. Advertising and Sales Promotion. Mason, USA: Cengage Learning. Kumar, V. & Rajan, B., 2012. Social coupons as a marketing strategy: a multifaceted perspective. Journal of the Academy of Marketing Science, 40(1), pp.120-36. Lee, D.-C., Hung, L.-M. & Chen, M.-L., 2012. Empirical Study on the Influence among Corporate Sponsorship, Organizational Commitment, Organizational Cohesiveness and Turnover Intention. Journal of Management and Sustainability, 2(2), pp. 43-53 Mishra, P., 2009. Sales Management: Keys to Effective Sales. New Delhi: Global India Publications. O’guinn, T., Allen, C. & Semenik, R., 2011. Advertising and integrated brand promotion. Mason: Cengage Learning. Percy, L. & Rosenbaum-Elliott, R., 2012. Strategic Advertising Management. Oxford: Oxford University press. Persaud, A. & Azhar, I., 2012. Innovative mobile marketing via smartphones: are consumers readyMarketing Intelligence & Planning, 30(4), pp.418-43. Pride, W.M., 2013. Marketing 2014, 17th ed. Mason: Cengage Learning. Pringles, 2014. Products. [Online] Available at: http://www.pringles.co.uk/products [Accessed 31 May 2014]. Reynolds, P. & Lancaste, ?G., 2013. Marketing. New Jersey: Routledge. Saxena, R., 2010. Marketing Management 4E. London: McGraw-Hill Education. SentiStrength, 2014. Sentiment Analysis. [Online] Available at: http://sentistrength.wlv.ac.uk/results.php?text=Luois+Vuitton+have+nice+clothes+but+i+hate+their+prices&submit=Detect+Sentiment [Accessed 19 May 2014]. Seth, S. & Kapoor, K., 2014. Fostering Creativity & Innovation In Marketing Communication through Social Media. The International Journal Of Business & Management, 2(1), pp.19-24. Shimp, T. & Andrews, J.C., 2013. Advertising promotion and other aspects of integrated marketing communications. Mason: Cengage Learning. Sigala, M., 2010. The Handbook of Field Marketing: A Comprehensive Guide to Understanding and Outsourcing Face-to-face Direct Marketing. Journal of Product & Brand Management, 19(1), pp.67-68. Stone, M.A. & Desmond,J ?., 2007. Fundamentals of Marketing. London: Routledge. Tuten, T.L. & Solomon, M.R., 2012. Social Media Marketing. New York: Prentice Hall. Warc, 2014. Promotional Marketing Council. [Online] Available at: http://www.warc.com/ContentandPartners/PromotionalMarketingCouncil.info [Accessed May 2014]. Wharton, C., 2013. Advertising as Culture. Bristol: Intellect. Woisetschlager, D.M. & Michaelis, M., 2012. Sponsorship congruence and brand image: A pre-post event analysis. European Journal of Marketing, 46(3/4), pp.509-23.

Tuesday, October 22, 2019

Comparison of Two Sequences

Comparison of Two Sequences The sequences taken from the films To Live and The Road Home can present a different use of formal elements; however, one can argue that both of them eloquently portray the despair of women who has lost people extremely dear to her.Advertising We will write a custom essay sample on Comparison of Two Sequences specifically for you for only $16.05 $11/page Learn More This paper is aimed at discussing and comparing the way in which different techniques are used by film-directors in effort to highlight the experiences of these characters. Close attention will be paid to such aspects as non-diegetic sounds, the movement of camera, and its distance since they help the authors to explore the feelings and emotions of people. They can be regarded as tools that evoke the empathy of a viewer. These are the main issues that should be examined in greater detail. One of the main similarities that can be identified is the use of non-diegetic sounds that play an important p art in both movies. They are supposed to intensify the visual effect of these sequences. The source of these sounds cannot be identified by the viewer and it cannot be attributed to any physical phenomenon that can be observed in the movie. Overall, they are supposed to highlight the emotions experienced by the female characters who have to accept the idea that their beloved ones can never be returned. They have to reconcile themselves with this idea. This argument is particularly applicable to the final shots in the sequence from the movie To Live. It seems that music prompts the viewers to feel even deeper compassion for a mother whose child passed away. The music reminds that the woman comes to the grave of her son and brings dumplings. This is one of the details that produce a strong impression on every person who watches this film. Similar approach can be observed in the film the Road Home. In this case, non-diegetic sounds are essential for demonstrating the despondency of a w oman who has to be departed by the man whom she loves. Close attention should be paid to the scene when she stumbles down and understands that her chase was futile. This is one of the similarities that can be identified in these sequences. Additionally, one should speak about the functioning of the camera, especially its distance. It is possible to choose those cases, when the directors prefer to take close and straight-on shots in order to emphasize the feeling of loss that the female characters had to overcome. This technique is particular useful when the director wants to show the facial expression of a person. It is possible to argue that in each of these sequences both music and camera distance are supposed to show the emotional distress that the female characters try to overcome. These are the main similarities that can be identified. The film-makers apply these techniques to make the scene much more vivid.Advertising Looking for essay on art and design? Let's see if w e can help you! Get your first paper with 15% OFF Learn More Nevertheless, there are certain differences that should be taken into consideration by the viewers. One can speak about the movement of camera in these sequences. One can say that the authors prefer to move the camera in different ways. For instance, one should mention that in the movie The Road Home the director decides to rely on tracking shots that are done with the help of a camera dolly. This technique is particularly suitable in those cases when one has to depict moving objects. It seems that this technique is quite justified because in this way the film-makers were able to illustrate the desperate effort of a girl who tries to catch up with her beloved. Moreover, the viewers can look at this character from different angles. Furthermore, this method makes the sequence more dynamic. This is one of the main distinctions that can be identified. In contrast, the movie To Live is based on a different techn ique. The cameraman focuses on the woman who mourns the loss of her son. This sequence consists of rather long shots that can last for approximately ten seconds. Furthermore, the camera is almost not moved in any way. Additionally, when a new shot is taken, the cameraman takes a sufficient amount of time to show the facial expressions of the characters and their jestures. Overall, these examples suggest that formal elements can help film-makers express very complex ideas. Additionally, one can say that by paying more attention to formal elements, viewers can gain a better understanding of these movies and the ideas that the authors attempted to express. The movies discussed in this paper can differ dramatically in terms of plot, genre, or cinematographic techniques. Nevertheless, each of these films shows that cinematography can explore the experiences of people who have to struggle with emotional distress. The sequences which were analyzed have several similarities. For example, on e can say that music and camera distances assist the film-makers in portraying the emotions and feeling of different characters. In turn, the movement of camera is one of the differences that can be identified in these sequences.

Monday, October 21, 2019

Darn Form Essays

Darn Form Essays Darn Form Essay Darn Form Essay We communicated with the client using clear language and she seems to understand everything we said although she did not respond. I was assigned to the patient by my clinical Instructor. Unfortunately, he was hospitalized. I asked my clinical Instructor another client to assign to as a student. I asked the nurse, who worked in my West side, where I could find information about my client. She explained me that most of information about the linen I could find in the computer. The nurse in our side was so nice. She explained every her step without any secret. With my team mates we were able to participate in measured blood glucose level, injection of Morphine, Nitroglycerin patch, TAB shot. Become familiar with the computer system in our facility, clinical instructor was provided training for us. I have been used any opportunity to connect with my team mates, professor, and nurse. As a team, we participated in fire drill and communicated with clients. With the variety of racial and ethnic patients in hospitals today, nurses are faced with the problem of accurate assessing non-English speaking patients. In my clinical day, I used knowledge of background languages such as Hebrew and Russian to help my team mates to understand some clients. In reflecting on my experience this week, I would say I am not alone in clinical, and my clinical instructor, team mates, and nursing staff all there to help each other in any situations. After clinical week, I feel that everyone helps each other. With my team mates I realized that we are team and need to help and collaborate with each other. The clinical week was cognitive and essential. I was really enjoyed working with clinical professor, team mates, and nursing staff. There were a lot of necessary and Interesting information. It was a good experience to provide care for clients with such health conditions as Dementia and Alchemists disease. Next time I need to remember that we are students and some time feel Inexperience and uncertainty. To overcome all of these feelings I also need to remember that there are people to help me. I do not hesitate ask and offer assistance to others students, nurses, and SSW. I learned that being a nurse Is not Just about ladling In providing prescribed medications, doing vital signs, and taking care of the client. Every aspect, communicating, and working together as a team all lead to becoming an excellent nurse. Now that I have experienced and practiced one day In clinical, I feel that with clinical instructor, team mates, and nursing staff I will be able to improve and strengthen my Skills. Communication Ana adjectively working Walt can toner this is I look forward to implementing all my learning skills in clinical situations.

Sunday, October 20, 2019

Andersonville Prison in the Civil War

Andersonville Prison in the Civil War The Andersonville prisoner of war camp, which operated from  February 27, 1864, until the end of the American Civil War  in 1865, was one of the most notorious in U.S. history. Underbuilt, overpopulated, and continuously short on supplies and clean water, it was a nightmare for the nearly 45,000 soldiers who entered its walls. Construction In late 1863, the Confederacy found that it needed to construct additional prisoner of war camps to house captured Union soldiers waiting to be exchanged. As leaders discussed where to place these new camps, former Georgia governor, Major General Howell Cobb stepped forward to suggest the interior of his home state. Citing southern Georgias distance from the front lines, relative immunity to Union cavalry raids, and easy access to railroads, Cobb was able to convince his superiors to build a camp in Sumter County. In November 1863, Captain W. Sidney Winder was dispatched to find a suitable location. Arriving at the tiny village of Andersonville, Winder found what he believed to be an ideal site. Located near the Southwestern Railroad, Andersonville possessed transit access and a good water source. With the location secured, Captain Richard B. Winder (a cousin to Captain W. Sidney Winder) was sent to Andersonville to design and oversee the construction of the prison. Planning a facility for 10,000 prisoners, Winder designed a 16.5-acre rectangular compound that had a stream flowing through the center. Naming the prison Camp Sumter in January 1864, Winder used local slaves to construct the compounds walls. Built of tight-fitting pine logs, the stockade wall presented a solid facade that did not allow the slightest view of the outside world. Access to the stockade was through two large gates set in the west wall. Inside, a light fence was built approximately 19-25 feet from the stockade. This dead line was meant to keep prisoners away from the walls and any caught crossing it was shot immediately. Due to its simple construction, the camp rose quickly and the first prisoners arrived on February 27, 1864.   A Nightmare Ensues While the population at the prison camp steadily grew, it began to balloon after the Fort Pillow  incident on  April 12, 1864, when Confederate forces under Major General Nathan Bedford Forrest massacred black Union soldiers at the Tennessee fort. In response, President Abraham Lincoln demanded that black prisoners of war be treated the same as their white comrades. Confederate President Jefferson Davis refused. As a result, Lincoln and Lt. General Ulysses S. Grant suspended all prisoner exchanges. With the halt of exchanges, POW populations on both sides began to grow rapidly. At Andersonville, the population reached 20,000 by early June, twice the camps intended capacity. With the prison badly overcrowded, its superintendent, Major Henry Wirz, authorized an expansion of the stockade. Using prisoner labor, a 610-ft. addition was built on the prisons north side. Built in two weeks, it was opened to the prisoners on July 1. In an effort to further alleviate the situation, Wirz paroled five men in July and sent them north with a petition signed by the majority of the prisoners asking for POW exchanges to resume.  This request was denied by the Union authorities. Despite this 10-acre expansion, Andersonville remained badly overcrowded with the population peaking at 33,000 in August. Throughout the summer, conditions in the camp continued to deteriorate as the men, exposed to the elements, suffered from malnutrition and diseases such as dysentery. With its water source polluted from the overcrowding, epidemics swept through the prison. The  monthly mortality rate was now around 3,000 prisoners, all of whom were buried in mass graves outside the stockade. Life within Andersonville was made worse by a group of prisoners known as the Raiders, who stole food and valuables from other prisoners. The Raiders were eventually rounded up by a second group known as the Regulators, who put the Raiders on trial and pronounced sentences for the guilty. Punishments ranged from being placed in the stocks to being forced to run the gauntlet. Six were condemned to death and hanged. Between June and October 1864, some relief was offered by Father Peter Whelan, who daily ministered to the prisoners and provided food and other supplies.   Final Days As Major General William T. Shermans troops marched on Atlanta, General John Winder, the head of Confederate POW camps, ordered Major Wirz to construct earthwork defenses around the camp. These turned out to be unnecessary. Following Shermans capture of Atlanta, the majority of the camps prisoners were transferred to a new facility at Millen, GA. In late 1864, with Sherman moving toward Savannah, some of the prisoners were transferred back to Andersonville, raising the prisons population to around 5,000. It remained at this level until the wars end in April 1865. Wirz Executed Andersonville has become synonymous with the trials and atrocities faced by POWs during the Civil War. Of the approximately 45,000 Union soldiers who entered Andersonville, 12,913 died within the prisons walls- 28 percent  of Andersonvilles population and 40 percent of all Union POW deaths during the war. The Union blamed Wirz. In May 1865, the major was arrested and taken to Washington, DC. Charged with a litany of crimes, including conspiring to impair the lives of Union prisoners of war and murder, he faced a military tribunal overseen by Major General Lew Wallace that August. Prosecuted by Norton P. Chipman, the case saw a procession of former prisoners give testimony about their experiences at Andersonville. Among those who testified on Wirzs behalf were Father Whelan and General Robert E. Lee. In early November, Wirz was found guilty of conspiracy as well as 11 of 13 counts of murder. In a controversial decision, Wirz was sentenced to death. Though pleas for clemency were made to President Andrew Johnson, these were denied and Wirz was hanged  on November 10, 1865, at the Old Capitol Prison in Washington, DC. He was one of two individuals tried, convicted, and executed for war crimes during the Civil War, the other being the Confederate guerrilla Champ Ferguson. The site of Andersonville was purchased by the Federal government in 1910 and is now the home of Andersonville National Historic Site.

Saturday, October 19, 2019

The future of a business and why it depends on sustainable approaches Essay

The future of a business and why it depends on sustainable approaches that it adopts - Essay Example Survival of a company largely, depends on strategies that it develops. Sustainable business approach does not only address how the firm will increase its profit margin, but also addresses planet and people. The only viable future for business is to become a sustainable business in a sustainable society. The future of a business depends on sustainable approaches that it adopts. This concept is quite broad thereby necessitating critical structures that would handle the business towards achieving its goals. This paper will address the following core concepts. The first section will address economic viability of a business that focuses on modalities of creating profit. Ethical viability will focus on the business and its influence in the environment. Social viability will address manageability, system viability, and sustainability. The second section of the paper will address the concept of business sustainability. Sustainability has broad concept that include resource consumption, socia l mandate, political support, environmental impact, and image. Analysts contend that the definition of viability with respect to business is the ability to survive (Sarkis, et.al. 2010:104). Many entrepreneurs peg viability to profit margin. The projection within the working environment should indicate that the organization would be able to make some profit. Entrepreneur’s expectation is that their businesses will be able to pick up and justify their investment by generating profit. When the business projects its viability into the future the situation would create sustainability. Sustainability means the ability of the business to remain viable into the future. Sustainable activities of the business would not only look at economic viability, but also the environment. Economic viability A business that intends to be viable in the future has to operate within ethical and socially acceptable manner. The idea behind such operations looks at the interest of the consumer with resp ect to company products. Consumer behaviors influence the profit margin of a firm. It means that the business must produce products that address needs of the consumers without harm or exploitation. When a form engages in a business that depletes the resources with the environment, the survival of the business would be at stake because it would not be able to generate products in the market (Richards, 2009:175). A firm that does not demonstrate sustainable methods of operation does not respect the ethical measures within the society. For instance, business operation has to create a room for the consumers to buy similar product in the future. What would be the condition of the market condition in an event of product depletion? The outcome of the market condition would be economically dead. Thus, economic viability of the business addresses the issues of continuity. Business, which gets huge profit margin for a short term, would not be economically viable because it does not have the c apacity to survive in the future. Entrepreneurs evaluate conditions of market or the environment where they intend to create their enterprises. Economic viability as a consideration would address the following factors accessibility of raw materials, costs associated with business operation, government policies, effects to the environment and future development among other factors (Richards, 2009:174). Practices, which influence the

Friday, October 18, 2019

Winslow Homer and his Eight bells Essay Example | Topics and Well Written Essays - 2000 words

Winslow Homer and his Eight bells - Essay Example The essay "Winslow Homer and his Eight bells" explores Eight bells of Winslow Homer. Some major artists create popular stereotypes that last for decades; others never reach into popular culture at all. Winslow Homer was a painter of the first kind. Even today, 150 years after his birth, one sees his echoes on half the magazine racks of America. Homer was not, of course, the first ‘sporting artist’ in America, but he was the undisputed master of the genre, and he brought to it both intense observation and a sense of identification with the landscape — just at the cultural moment when the religious Wilderness of the nineteenth century, the church of nature, was shifting into the secular Outdoors, the theater of manly enjoyment. If you want to see Thoreau's America turning into Teddy Roosevelt’s, Homer the watercolorist is the man to consult. That’s perhaps the most apt description of the man who have been a sincere chronicler of natural life in fin de sià ¨cle eighteenth century America, almost in a similar way that Thomas Hardy’s Edwardian poems related to that of England. But Homer was also in elements when he drew the sea, especially how humans react and relate to it when the water universe is at its most fierce. Homer’s place in Amercian art is secured though he was largely a self-taught artist who in the beginning of his career worked as a commercial illustrator. â€Å"†¦(Homer) received little instruction from masters or in art schools. He has studied nature faithfully and he has found his way.

Management principles Essay Example | Topics and Well Written Essays - 1250 words

Management principles - Essay Example Our company will strive hard to develop itself as a foremost local fast food brand in the market. We plan to offer the most enchanting services to our customers when they visit our outlet or surf through our website. What we endeavor to deliver, is satisfaction and quality, so that we can establish mutual trust with our customers. Paramount Fast Food Services will sell quality products such as fries, hamburgers, pizzas, hot dogs, sandwiches, ice creams and soft drinks. At our restaurant, customers will enjoy the proactive support of our people. The restaurant will be designed in a manner to deliver the most relaxed atmosphere to customers. Paramount Fast Food Services restaurant will range from 80 – 100 meter square and will seat from  35-40 guests. The restaurant will remain open all through the week from 8 in the morning to midnight. We will set up the most comfortable furniture in the restaurant along with the installation of air conditioners and heaters. We will also ensure that our brochures and posters are well distributed in all the parts of the city in order to reach out to our customers. Our restaurant will be adorned with the posters and photographs that highlight our products. In addition to that, we will also be installing a television at the restaurant so that customers can enjoy the foo d while watching their favourite soccer or cricket match. We will be making special arrangements for the children by allocating a separate play area for them where they can enjoy a variety of games. Thus, the atmosphere will be such that gratifies all our customers. Moreover, take away system is also an essential part of our restaurant and it will be one of our priorities to ensure smooth progress of it. Our restaurant will be located in the heart of London near the Oval Cricket Stadium. This location is quite popular in London as people of all ages often come to watch matches during the cricket season. This area is also populated with

Thursday, October 17, 2019

Analysis of corporate governance of Home Depot Essay

Analysis of corporate governance of Home Depot - Essay Example It has been observed that shareholders participate in sharing of the profits that the organization earns but they do not frame a part of the responsibilities being undertaken within the organizational operations. Corresponding laws have been imposed in order to limit the shareholders’ liability for the organizational activities that ultimately results in their involvement within the operational processes. It can thus be ascertained that Board of Directors of any company endures certain obligations pertaining to the decision-making process that might affect the organization in the long run in the forms of Corporate Governance. Corporate governance basically relates to the relationship of shareholders, top management and Board of Directors for designing and planning the procedures and performances of the organization (Wheelen and Hunger 43-71). 2.1 – Board of Directors. The Founders of Home Depot included Arthur Blank, Kenneth Langone, and Bernard Marcus (Wheelen and Hung er 43-71). The current board of directors includes F. Duane Ackerman, Frank Blake, Ari Bousbib, Gregory D. Brenneman, J. Frank Brown, Albert (AI) Carey, Armando Codina, Helena B. Foulkes, Bonnie G. Hill, Karen L. Katen and Mark Vadon. Correspondingly, F. Duane Ackerm has been ascertained to be serving as a part of board of directors since 2007. ... Ari Bousbib has been serving as the Director since 2007. Previously, he had served as the President of Otis Elevator Company from 2002 to 2008 and prior to this he had also occupied the position of Chief Operating Officer from 2000 to 2002. He is required to perform wide range of activities particularly concerning over-sighting information technology, supply chain and other activities dealing with developing strategies of the company. Furthermore, with his experiences in the field and dedicated expertize, Mr. Ackerman provides advance managing skills and competencies to Home Depot by handling the most complex situations efficiently (Wheelen and Hunger 43-71). Gregory D. Brenneman has been serving as the Director of Home Depot since 2000. He has showed his competencies as a business leader in many of the well-known established organizations. His involvement and expertize within the management decisions has changed the entire scenario of many organizations. Prior to this, he had served as President and member of the Board in Continental Airlines Inc from 1996 to 2001 and Chief Operating Officer from 1995-2001. He renders his valuable service in terms of general management of the company as well as delivers his expertise concerning corporate finance, marketing and international aspects of the company. He also endures expertize in the corporate finance, supply chain and international matters among others. Mr. Brenneman is currently working as the chairman of CCPM Capital Advisers. This company is a private equity firm. Furthermore, he has also been employed as a chairman and in the position of a CEO of the company TurnWorks incorporation. Moreover, in his working career, he

Movie Review, Review Example | Topics and Well Written Essays - 1500 words

, - Movie Review Example According to the due procedure of law, the law protects life, offers freedom or affluence. As the movie unfolds, Gideon is put behind bars, faces trail in the court of law and then imprisoned. Another significant thing to know about the procedures of the law is that, the law is above everyone, and this is defined under the 14th amendment. It falls under the clause referred as the Equal Protection Clause. According to this clause, everyone must receive justice as stipulated by the law. In the movie, this clause is reflected when; Gideon appears before Abe Fortas to get an appellate. Abe Fortas applies this clause to illustrate that a common person needs a lawyer. Together with that, attorney’s rights are not in the statute. Amendment 6th and 14th defines attorneys’ rights. According to this statute, the court of law should provide a lawyer, in case the defendant is unable to hire one. Gideon fought for the right of getting a lawyer from the state. With the assistance fro m Abes Fortas, Gideon managed to petition to the Supreme Court, and the appeal was successful. He was to have another trial, and the state gave him a lawyer and he was innocent. Lastly, for fair judgment, there should be change venue. In the second trial, Gideon wished to have his trial in other venues in order to receive fair judgment from different people. This paper shall discuss â€Å"Gideon Trumpet† with a view of evaluating the right to counsel. ... He wanted to know the conditions that necessitate one to have an attorney. Similarly, there is an on ongoing case about Betts vs. Brady, which is a 21 tears decision of the Supreme Court. The lower courts’ decisions are overruled by the Supreme Court decision, which holds that Bets of Mary was not provided with the attorney during his trial. During Maryland’s’ trial, an attorney was given to a person who was unable to hire a Lawyer, but this was only possible if the cases was classified under rape or murder. Having such a decision on hand, the Supreme Court held that, cases that were not classified under ‘rape or murder’ could not take advantage of having a lawyer provide by the state. These cases were classified as special cases, and it was held that, a lawyer was necessary if the defendant was regarded as uneducated, uninformed, having a mental disease of encountering an intricate situation. A major challenge with the special rule implemented was t hat, uneducated person was not entitled to petition for a case. The issue was very twisty that, uneducated person who does not get the advantage of getting an attorney was not capable of petitioning for case since he was incompetent in filling paperwork. Gideon was excluded from this provision and his insistence assisted him in filling for an appeal in the Supreme Court. It is very imperative to recognize the social and legal environment applied. Most of the appeals subject to â€Å"right to counsel issue† and the Supreme Court accept the petitions on different grounds. It is difficult for the Supreme court to implement a precise rule over that matter, and this means that, trials held by the lower courts are always

Wednesday, October 16, 2019

Analysis of corporate governance of Home Depot Essay

Analysis of corporate governance of Home Depot - Essay Example It has been observed that shareholders participate in sharing of the profits that the organization earns but they do not frame a part of the responsibilities being undertaken within the organizational operations. Corresponding laws have been imposed in order to limit the shareholders’ liability for the organizational activities that ultimately results in their involvement within the operational processes. It can thus be ascertained that Board of Directors of any company endures certain obligations pertaining to the decision-making process that might affect the organization in the long run in the forms of Corporate Governance. Corporate governance basically relates to the relationship of shareholders, top management and Board of Directors for designing and planning the procedures and performances of the organization (Wheelen and Hunger 43-71). 2.1 – Board of Directors. The Founders of Home Depot included Arthur Blank, Kenneth Langone, and Bernard Marcus (Wheelen and Hung er 43-71). The current board of directors includes F. Duane Ackerman, Frank Blake, Ari Bousbib, Gregory D. Brenneman, J. Frank Brown, Albert (AI) Carey, Armando Codina, Helena B. Foulkes, Bonnie G. Hill, Karen L. Katen and Mark Vadon. Correspondingly, F. Duane Ackerm has been ascertained to be serving as a part of board of directors since 2007. ... Ari Bousbib has been serving as the Director since 2007. Previously, he had served as the President of Otis Elevator Company from 2002 to 2008 and prior to this he had also occupied the position of Chief Operating Officer from 2000 to 2002. He is required to perform wide range of activities particularly concerning over-sighting information technology, supply chain and other activities dealing with developing strategies of the company. Furthermore, with his experiences in the field and dedicated expertize, Mr. Ackerman provides advance managing skills and competencies to Home Depot by handling the most complex situations efficiently (Wheelen and Hunger 43-71). Gregory D. Brenneman has been serving as the Director of Home Depot since 2000. He has showed his competencies as a business leader in many of the well-known established organizations. His involvement and expertize within the management decisions has changed the entire scenario of many organizations. Prior to this, he had served as President and member of the Board in Continental Airlines Inc from 1996 to 2001 and Chief Operating Officer from 1995-2001. He renders his valuable service in terms of general management of the company as well as delivers his expertise concerning corporate finance, marketing and international aspects of the company. He also endures expertize in the corporate finance, supply chain and international matters among others. Mr. Brenneman is currently working as the chairman of CCPM Capital Advisers. This company is a private equity firm. Furthermore, he has also been employed as a chairman and in the position of a CEO of the company TurnWorks incorporation. Moreover, in his working career, he

Tuesday, October 15, 2019

Musical Autography Essay Example | Topics and Well Written Essays - 750 words

Musical Autography - Essay Example This essay suggests that through music, various important mysteries in the society have been able to be solved. Music has therefore for a long time presented itself as a tool of expression and mediation among different groups of individuals. Music usually expresses who people are and how they feel, thereby bringing them closer and together. Music has been used by the society as a tool of self-expression, since through music, various people have the chance of expressing their joys, fears, secrets etc. It is therefore significant for the researcher to look at how various sons or instrumental pieces relates to political, cultural and religion identities. It is stated that musical autobiography has had an impact to both the cultural, religion and political spheres. The general tastes and preferences of individuals change over time. Personally, my tastes and preferences for music have changed from the â€Å"Asian like† type of music to that of more westernized ones. This has been l argely due to the education that the researcher has acquired abroad which has enabled him to mingle with people from other communities. However, these tastes differ with those of my other family members who still prefer the Asian type of music and they have not been influenced to listen to other genres. In conclusion, the researcher mentiones that music has helped the researcher to construct his identity in various ways, and through music he has been able to interact with people from various geographical locations.

The first law of thermodynamics Essay Example for Free

The first law of thermodynamics Essay The first law of thermodynamics states that energy can neither be created nor destroyed; it can only be converted from one form to another. This can be illustrated using the example of steam power. Thermal energy is stored in steam. This steam can be used to drive an steam engine which converts this thermal energy in the steam into kinetic energy of the unit (say steam driven train). In thermal power plants, fossil fuel is burnt to produce steam and the thermal energy in the steam then drives the turbine to produced electricity. Thus thermal energy of the steam gets converted into electrical energy. From these two illustrations it becomes obvious that energy can neither be created nor destroyed it can only be converted from one form to another. Three types of non-renewable power plants and the fuel consumed by these power plants are listed below. Fuels cells use the electrons produced in a chemical reactions to produce electricity. One example is Hydrogen – Oxygen Fuel cell. In this case Hydrogen is oxidized at anode into hydrogen ions plus electrons and oxygen is reduced at cathode into oxide ions at cathode. Anode and cathode is separated by solid electrolytes and connected by a metallic wire. The electrons move from anode to the cathode through the metallic wire and thus electricity is produced. This is very clean source of electrical energy. Criteria for acceptability of energy alternatives are listed below. Technological feasibility – It should be technologically feasible to convert the energy into usable forms like electricity etc. Abundance – The energy source should be available in abundance. Reliability – The energy source should be reliable. This is particularly relevant for wind energy and solar energy in the regions of unpredictable sky conditions and wind conditions. Capital Expenditure – Generally capital expenditure requirements are high and act as major barrier for exploiting renewable energy sources.

Sunday, October 13, 2019

The Ancient Concept Of Diplomatic Immunity And Relations Across Borders Law Essay

The Ancient Concept Of Diplomatic Immunity And Relations Across Borders Law Essay INTRODUCTION Diplomatic immunity is considered as an ancient concept concerning relations across borders. It even dates back to Ancient Greece and Rome. Today, it is a principle that has been codified into the Vienna Convention on Diplomatic Relations 1961 and this regulates past customs and practices. Indeed, as the ICJ indicated in US v. Iran  [1]  , a large number of the provisions of the Convention reflect customary international law. Moreover, it was found that almost all disputes relating to diplomatic law could be resolved by referring to the Convention or the obligations contained in it. The term Diplomatic immunity and privileges connotes a form of legal immunity and a policy held between governments. This aims at ensuring that  diplomats  are safe in the host State and that they are not liable to  lawsuit  or  prosecution  under the laws of the receiving State. It is noteworthy to state that there is a distinction between an immunity and a privilege but these are known to have been used interchangeably  [2]  . Various authors like Morton, Stefko and Makowski have tried to distinguish between the meanings. Although each of them described the terms in his own words, they basically have a common denominator. Privileges can be defined as benefits or rights that other persons do not have while Immunities can be considered as exemptions from the jurisdiction of the law of the receiving State.  [3]   The traditional tasks of the diplomats can be summarised as follows: analytical assessment of the receiving State, protection of citizens of the sending State who are present in the host State and relation building between the two States. However, today, diplomats also deal with issues such as the promotion of trade, peacemaking, environmental concerns, nuclear weapons and drug abuse across borders amongst others. According to Brownlie, diplomacy exists to create and maintain communication between States so that objectives regarding commercial, political and legal activities can be pursued.  [4]  It can be argued that, today, instantaneous communication can be made via modern devices. Yet, long-distance communication can in no way rival the personal and confidential meetings between the representative of the sending State and the Government of the receiving State. As such, diplomats are granted some immunities and privileges to perform the tasks to which they are accredited efficiently.  [5]   Unfortunately, diplomats started overusing or abusing of the immunities and privileges they were benefitting from. Indeed, immunities ranging from personal immunity from jurisdiction to the inviolability of the diplomatic bag led to abuses of the protection afforded by the VCDR. Furthermore, since the staff and families of diplomatic officials also enjoy privileges and immunities, there were abuses by them also. Hence, members of diplomatic missions and their families are immune from local punishment and they seem to be above the local law. Although the VCDR provides remedies against diplomats, staff and families who commit abuses, it seems that these are not enough to suppress wrongdoings. Nevertheless, the receiving States are not left to their misfortune without remedies. Indeed, certain measures are provided for in the VCDR to hinder the condemnable acts of the diplomats such as the declaration that the diplomat is persona non grata. Additionally, various acts in the UK, the US and the Republic of South Africa will be analysed in order to show which measures were taken by a few Governments to try to curb diplomatic abuses. Without any doubt, the VCDR did not prepare for some eventualities and measures to deter the unwarranted acts by diplomats are lacking. Although it would be difficult to totally eliminate the abuses, measures can be taken to reduce them considerably. It is to be noted that only selected articles of the VCDR which deal with immunity, privileges and abuses will be dealt with in this dissertation. Moreover, for illustration and analysis purposes, some cases prior to 1961 will be used throughout the dissertation. This dissertation will firstly explore the history behind Diplomatic Relations and the theories which moulded diplomatic immunity and privileges (Chapter 1). Secondly, the different types of immunities and privileges granted to diplomats will be elaborated upon (Chapter 2). Next, abuses by diplomatic agents and their families will be dealt with (Chapter 3). Furthermore, an overview on existing measures to curb abuses will follow (Chapter 4). Finally, several suggestions have been put forward to hinder such abuses (Chapter 5). Ó Ãƒâ€œÃ‚ Ãƒâ€œÃ‚ Ãƒâ€œÃ‚ Ãƒâ€œÃ‚ Ãƒâ€œÃ‚  Ó Ãƒâ€œÃ‚  CHAPTER 1: HISTORICAL ORIGIN AND SOURCES OF LAW OF DIPLOMATIC IMMUNITY Modern Diplomatic Law was shaped by events and ideas since time immemorial. According to some authors  [6]  , diplomatic immunity existed since the era of cavemen -who would probably communicate with one another to draw the limits of their hunting grounds. This chapter will deal with the most important parts of the historical development of diplomatic relations (1.1). Then, the VCDR will be analysed (1.2). Eventually, an overview will follow on other important sources of Diplomatic Law (1.3). HISTORICAL DEVELOPMENT OF DIPLOMATIC RELATIONS There were many stages of development of diplomatic relations in the past (1.1.1). As from antiquity itself, modern forms of protection were given to envoys. It is found that diplomatic relations were also influenced by Natural Law from the 12th to the 17th century and positivist writers after the 17th century.  [7]  Finally, there were also theroies which shaped diplomatic immunity (1.1.2). DIPLOMATIC RELATIONS IN THE PAST The preamble of the VCDR states that: à ¢Ã¢â€š ¬Ã‚ ¦Recalling that peoples of all nations from ancient times have recognized the status of diplomatic agentsà ¢Ã¢â€š ¬Ã‚ ¦ Building on this statement, it is affirmed that Diplomatic Immunity has undeniably been a facet of diplomatic relations for countless years. In fact, it is regarded as one of the oldest branches of International Law. Indeed, since time immemorial, envoys were selected and sent to forward messages, obtain replies and give report on news from receiving States. Necessity was a principle which forced most States to give diplomats protection, both within the host State and in States of transit.  [8]   In Antiquity, diplomatic immunity was regarded as a divine right. The main factors ensuring immunity and privileges were culture, language and religion. The ideas and customs of the Roman community concerning immunity have been categorically established and these created the foundation of modern practices. The earliest record of organised diplomatic law is found in Ancient Greece whereby the Greek Government gave special status to foreign representatives.  [9]   During the Renaissance, scholars and others laid emphasis on the idea that Natural Law gave a strong argument for the protection of envoys during their official functions.  [10]  The most important principle of the Naturalist doctrine was that of necessity; it was necessary to protect ambassadors because of the importance of their functions.  [11]  Grotius, a naturalist writer, arrived at the conclusion that immunity was based on Natural Law; he argued that the safety of diplomats was far more important than any advantage which could be derived from the punishment of his crimes. His security would be challenged if he were to be prosecuted by States other than the sending State.  [12]   By the 19th century, Natural law declined and there was a shift to positive law. One positivist theorist, Van Bynkershoek, pointed out that the law of Nations was based on the common consent between Nations through international customs or through treaties. He continued by expanding the concept of immunity and justifying it, whether there were questionable acts or not, by saying that an ambassador acted through wine and women, through favours and foul devices  [13]  . Certainly, the evolution of diplomatic relations did not stop here. Immunities and privileges developed partly as a result of sovereign immunity and the independence and equality of States.  [14]  Further, as there were more and more permanent missions as compared to ad hoc ones, Sovereigns accepted the importance of ambassadors to negotiate and collect information.  [15]  In 1815, it is found that Vienna was the first site of a Congress for diplomatic agents. Next, the first international attempt to codify the Diplomatic Law was in 1895 with the Draft Convention of the Institute of International Law.  [16]   In 1927, the League of Nations Committee of Experts for the Progressive Codification of International Law made a report analysing existing customary law of diplomatic privileges and immunities. This aimed at providing a temporary instrument until a more comprehensive codification could be written.  [17]  Eventually, Diplomatic Law further progressed with the Havana Convention on Diplomatic Officers 1928. According to its preamble, diplomats should not claim immunities which were not fundamental in performing his official tasks. THEORIES WHICH SHAPED DIPLOMATIC IMMUNITY With a further step towards modern immunity with the creation of resident or permanent embassies, three theories were developed and these moulded diplomatic law since the 16th century.  [18]  These theories are Exterritoriality, Personal Representation and Functional Necessity. Each played a prominent role during different periods in history. (a) PERSONAL REPRESENTATION The basis of this theory was that diplomats received immunity as if they were the foreign sovereign. This was out of respect and avoided any form of conflict as the sending State was pleased. In other words, a diplomats immunity arose because he was an extension of the ruler sending him. The representative was treated as though the sovereign of that country was conducting the negotiations, making alliances or refusing requests  [19]  . The great theorists of the 16th and 17th century like Grotius, Van Bynkershoek, Wicquefort, Montesquieu and Vattel supported the use of this theory  [20]  . In The Schooner Exchange v McFaddon  [21]  , the Court held that, by regarding the ambassador as the sovereigns representative, it ensured their stature. If they were not accorded exemptions, every sovereign would cast a shadow on his own dignity when sending an ambassador to a foreign State. (b) EXTERRITORIALITY This theory is based on the Roman law principle whereby a man took his own lands law with him when he went to another land  [22]  . The crux of this theory is that the offices, property and homes of diplomats and even their persons were to be treated, throughout their stay, as though they were on the territory of the sending State. Any crimes committed by the members of that embassy could not be lawfully prosecuted in the receiving State. This theory soon developed and extended to the staff and family of diplomats. Authors like Emmerich de Vattel and James Lorimer emphasised that an ambassadors house and person are not domiciled in the receiving State, but in the sending State  [23]  . In King v Guerchy  [24]  , an English Court did not prosecute a French ambassador for an attempt to assassinate another Frenchman. The Court held that an ambassador owes no subjection to the Courts of the country to which he is sent. He is supposed, by a fiction of law, to be still resident in his own country  [25]  . In Taylor v Best  [26]  , Jervis CJ declared that the basis of privilege is that the ambassador is assumed to be in his own country. The Attorney-General in Magdalena Steam Navigation Co v Martin  [27]  expressed similar opinions. (c) FUNCTIONAL NECESSITY Functional necessity aims not only at allowing the individual diplomat to function freely and effectively, but also ensuring the efficient functioning of the diplomatic process as a whole. This requires the fullest protection be given even if the diplomat goes beyond his function  [28]  . This is based on the idea that immunity is necessary and recognised for the efficient functioning of the diplomat. This theory gained impetus due to the expansion of permanent resident embassies. It is incorporated in the VCDR as the dominant theory in the preamble. Functional necessity limits immunities and privileges to those functions performed by the diplomat in his official capacity. When performing an official task, diplomats need to be able to move freely and not be obstructed by the receiving State. They must be able to observe and report with confidence without the fear of being reprimanded  [29]  . This immunity may be understood to mean that diplomats may break the law of the receiving State in order to fulfil their functions. Grotius stresses that an ambassador must be free from all coercion in order to fulfil his duties  [30]  . Vattel placed the greatest emphasis on the theory in order for ambassadors to accomplish the object of their appointment safely, freely, faithfully and successfully by receiving the necessary immunities  [31]  . In the 18th century, the Lord Chancellor in Buvot v. Barbuit  [32]  declared that diplomatic privileges stem from the necessity that nations need to interact with one another. Similarly, in Parkinson v Potter  [33]  , the Court observed that an extension of exemption from jurisdiction of the Courts was essential to the duties that the ambassador has to perform. THE VCDR  [34]   Further along the time-line, in 1961, an international treaty was born to codify the past practices: the VCDR. This is the main source of Diplomatic Law and which is embodied into a comprehensive and widely accepted international treaty which was signed by 179 parties. It was adopted on 18 April 1961 during the UN Conference on Diplomatic Intercourse and Immunities held in Vienna. This Convention bears testament to the efforts of States to reach agreement for the common good. Its provisions marked progression of custom into settled law and resolved areas of contention where practices conflicted  [35]  . The Convention contains 53 articles that govern the behaviour of diplomats, 13 of which address the issue of immunity. Due to the comprehensive formulation of a wide range of aspects of diplomatic law, the VCDR met with a lot of success. Indeed most states were satisfied because of the presence reciprocity  [36]  which renders each state both a sending and a receiving state. It is to be noted that diplomatic immunity should not be confused with Consular immunity  [37]  , State immunity, UN immunity  [38]  and international organisations immunity  [39]  . Importantly, the VCDR focuses only on permanent envoys and does not deal with ad hoc envoys which are covered by another Convention  [40]  . This section will deal with working towards the VCDR (1.2.1). For a better understanding of the VCDR, a brief study on the provisions of the VCDR will follow (1.2.2). 1.2.1 WORKING TOWARDS THE VCDR Before 1961, Diplomatic Law was, to a large extent, customary and it was accompanied by some attempts to codify certain rules  [41]  . None of those attempts addressed the field in sufficient detail. In 1957, following the General Assembly Resolution 685, the ILC accepted to prepare a draft Convention on Diplomatic Relations. The drafters had the burdensome task of incorporating the concerns of all countries involved in the early 1960s and a history dating as far as the first civilised settlements. The ILC requested information and opinions from governments so that a worthy document could be drafted. This was necessary in order to eliminate diverging views and customs. While formulating the Convention, the drafters also considered the absolute immunity granted to diplomats since ancient times. In 1961, the Conference was organised to discuss the draft and this was attended by 81 States and several international organisations as observers. These States were able to reach consensus on many issues. The VCDR, based on a series of draft articles, was agreed upon. It solved dissensions concerning State practice, made available additional rules and agreed that customs would govern field which were not dealt with in the VCDR  [42]  . It is to be noted that although the VCDR successfully codified several practices, not everyone got what they wanted. For instance, the US argued unsuccessfully for retaining many diplomatic privileges while other States like Italy and Argentina wanted limited immunity. Colombia, Egypt, India and Norway amongst others proposed the prohibiting of diplomatic personnel from engaging in commercial activity. 1.2.2 PROVISIONS OF THE VCDR  [43]   The VCDR provides certain immunities and privileges to different levels of diplomatic officials, their staff and families. For example, diplomats benefit from inviolability of their person, immunity from the law of the receiving state and inviolability of their property. Furthermore, the missions premises and documents are also protected from violation. The VCDR also grants many fiscal privileges and limited customs exemptions. Next, the VCDR gives definitions of some typical functions of the diplomatic mission such as representing the sending State in another state  [44]  . The VCDR also lays importance on the duties and rights of the receiving State. Examples are the rights to disapprove a potential head of mission, to decide that a member of the diplomatic mission is persona non grata and to limit the size of the mission amongst others. Additionally, the host state must protect the premises of the mission as well as its communications. Furthermore, the receiving state has to provide adequate facilities so that the mission can function smoothly. It is noteworthy to stress that an accredited person is not exempt from the obligation to obey local law. In fact, he is under an express duty to do so. OTHER IMPORTANT SOURCES OF DIPLOMATIC LAW Apart from the VCDR, Diplomatic Immunity is regulated by other sources of law. Indeed, they deal with aspects which are not covered under the main Convention. As such, there are Optional Protocols (1.3.1), a Convention covering the prevention and the punishment of internationally protected persons (1.3.2) and Municipal Law which is very important for States which are not directly influenced by International Law (1.3.3). 1.3.1 OPTIONAL PROTOCOLS During the UN Conference on Diplomatic Intercourse and Immunities held in Vienna, 2 Optional Protocols were also adopted. Countries may ratify the main treaty, that is, the VCDR, without necessarily ratifying these optional agreements. These are the Protocol: Concerning Acquisition of Nationality which mainly dictates that the Head of the mission, the staff of the Mission and their families shall not acquire the nationality of the receiving country. Concerning Compulsory Settlement of Dispute. In brief, disputes arising from the interpretation of the VCDR may be brought before the ICJ. As such, article 1 of that Protocol states that: Disputes arising out of the interpretation of the Convention shall lie within the compulsory jurisdiction of the International Court of Justice and may accordingly be brought before the Court. 1.3.2 THE  UN CONVENTION ON THE PREVENTION AND PUNISHMENT OF CRIMES AGAINST INTERNATIONALLY PROTECTED PERSONS, INCLUDING DIPLOMATIC AGENTS 1973 (CPPCPP) The CPPCPP provides that States parties must consider attacks upon diplomats as crimes in internal law and obliges them to extradite or prosecute offenders. Also, in exceptional cases, a diplomat may be arrested or detained on the basis of self-defence or in the interests of protecting  human life in the receiving State. A series of kidnappings of senior diplomats occurred in the late 1960s and early 1970s. The object of the kidnappings was always to extract a particular demand from a government. The threat of the execution of a diplomat and the failure to fulfil the demand leads to the refusing government being held responsible for his death. As a consequence of the high incidence of political acts of violence directed against diplomats and other officials, the General Assembly of the UN adopted the CPPCPP. The foreseen offences are primarily murder, kidnapping, attacks upon the person, violent attacks upon official and private premises, and any threats or attempts to commit any of the above offences.  [45]   Nations ratifying the Prevention and Punishment Convention make these crimes punishable with appropriate penalties, which take into account the gravity of the offence and either extradite offenders or apply the domestic law. Where there is a threat to the safety of a diplomat, such as a mob attack or kidnapping, the receiving State should provide special protection, like an armed guard or bodyguards. 1.3.3 MUNICIPAL LAW Many states are not bound by international law. Indeed, there are rules that treaties made do not have direct effect in national law. As such, it is necessary that those provisions of the Conventions be transformed into municipal law. There are, therefore, a number of Acts of parliament which mirror the VCDR and which also complement it or substitute some of its provisions. In the UK, these include the Diplomatic and Consular Premises Act 1987, providing that the consent of the Secretary of State for Foreign Affairs is required before land can become diplomatic or consular premises and giving him certain powers in respect of disused premises and the Diplomatic Privileges Act 1964 which reflects the provisions of the VCDR. In the Republic of South Africa, there is the Diplomatic Privileges Act  [46]  which repealed the Diplomatic Immunities Act of 1932 and the Diplomatic Immunities Amendment Act of 1934. In the Republic of Mauritius, the Constitution is the supreme law of the land  [47]  and International Law has no effects without ratification. As such, laws must be passed at parliamentary level, for example, the Consular Relations Act  [48]  reflecting the Vienna Convention on Consular Relations 1963 and the Diplomatic Relations Act  [49]  which reflects the VCDR. Ó Ãƒâ€œÃ‚ Ãƒâ€œÃ‚ Ãƒâ€œÃ‚ Ãƒâ€œÃ‚ Ãƒâ€œÃ‚  Ó Ãƒâ€œÃ‚ 

Saturday, October 12, 2019

Mark Twain :: essays research papers

Mark Twain Mark Twain's works are some of the best I've ever read. I love the way he brings you into the story, especially with the dialogue used, like in Tom Sawyer or Huckleberry Finn. Mark Twain is my favorite dead author. Mark Twain was never "Mark Twain" at all. That was only his pen name. His real name was Samuel Langhorne Clemens. Samuel was born in Florida, Missouri in 1835. He accomplished worldwide fame during his lifetime for being a great author, lecturer, satirist, and humorist. Since his death on April 21, 1910, his great literary reputation has further increased. Many writers such as Ernest Hemingway and William Faulkner have declared his work-especially Huckleberry Finn- a major influence on 20th-century American fiction. Twain was raised in Hannibal, Missouri, a town on the Mississippi river. After the death of his father in 1847, Twain joined his brother Orion's newspaper, the Hannibal Journal. During this time he became accustomed with much of the frontier humor of the time. From 1853 to 1857, Twain worked in many cities as a printer, and wrote articles for his brother's newspapers under various nicknames. After a visit to New Orleans, he learned how to pilot a steamboat. That became his job until the Civil War closed the Mississippi River, and it set him up for "Old Times on the Mississippi" and "Life on the Mississippi." In 1861, Twain traveled to Carson City, Nevada, with his brother Orion. After attempts for silver and gold mining had failed, he continued to write for newspapers. It was in 1863 when Samuel Clemens adopted the name "Mark Twain", a riverman's term for "two fathoms" deep. In 1884 Twain went to San Francisco and reached national fame with his story, "The Celebrated Jumping Frog of Calaveras County." He then took a trip to Hawaii which started him on a very successful career as a public speaker. His trips to the Mediterranean and the Holy Land were recorded in letters to a San Francisco newspaper, and later formed into The Innocents Abroad, which was popular all over the world. In 1870 Mark Twain married Olivia Langdon. He then abandoned journalism to focus on serious literature. From 1870-1875, Twain produced many novels, including the famous tale, Tom Sawyer. A European vacation in 1878-1879, inspired novels like The Prince and the Pauper and A Connecticut Yankee in King Arthur's Court. Meanwhile, he established his own firm, Charles L. Webster and Co., and after that, completed his masterpiece, Adventures of Huckleberry Finn, in 1884. In 1891, Twain was forced to move to Europe because of financial problems. In 1894, because of the failure of his firm and other reasons, he had to declare