Thursday, October 31, 2019

National Assemblies of Kuwait Essay Example | Topics and Well Written Essays - 500 words - 1

National Assemblies of Kuwait - Essay Example 97). The subsequent National Assembly election was conduct in 1971, and it also produced an assembly that was deemed compliant with the wishes of the ruling family. Most of the former nationalist leaders, including al-Khatib, failed to re-enter the assembly. However, the 1971-1975 National Assembly made its voice heard during negotiations with major oil companies. It was during this session of the National Assembly that the opposition to Kuwaiti participation with the KOC began, starting Kuwait’s path towards nationalizing oil resources (p. 97). Nationalization of oil happened under the National Assembly of 1975, which also enthusiastically opposed other policies of the Amir. Finally, wary of the impact that a vibrant opposition would have on the ruling family, as well as with relations between Kuwait and other Arab states that disapproved of assemblies and the resulting Arab nationalist opposition groups, the Amir dissolved the assembly in 1976 (p.97). Kuwait remained without an assembly until elections were held in 1981. While they were relatively free and fair, the government subtly supported Islamist leaders as a counter-balance to the nationalists the government was still uncomfortable with. This meant that opposition pioneer al-Khatib was unable to rejoin the assembly again. Islamists formed the opposition core, while pro-administration Bedouins also made gains. The assembly was vocal in its opposition to the government to various government policies, including legislative-executive relations (p. 98). The next assembl y elections in 1985 saw the government encourage nationalists and Bedouins to run so as to reduce the Islamist influence. This assembly resulted in the formation of nationalist and Islamist opposition blocks that coordinated to block government bills. So effective was this assembly in opposing the government that, yet again, it

Tuesday, October 29, 2019

Step by step instructions to Write a Great Profile Essay Essay Example for Free

Step by step instructions to Write a Great Profile Essay Essay Composing a great exposition on your web dating profile can significantly expand your shots of being recognized and getting messages. It obliges thought, time and exertion ProPapersWriting.Com Buy Essay Online:Yes, that implies that it isnt possible in under a moment. Compose Short Paragraphs Writing short passages empowers your dating profile to seem clean and decipherable. ProPapersWriting On the off chance that a part discovers your dating profile and is promptly immersed with a thick woodland of apparently ceaseless words, they are no doubt going to skip it. Pick your words shrewdly and keep your sections short. Quickly Describe Your Personality On numerous web dating profiles, individuals continue forever about the kind of individual they are. Yes, it is your profile, yet that doesnt mean you ought to continue forever about how incredible of an individual you are. A couple of short sentences portraying your identity is sufficient. This is compelling in light of the fact that it gives different parts a concise outline of your identity without leaving the feeling that you have all the earmarks of being loaded with yourself. Buy Essay Online Give Examples Or Short Anecdotes Often, basically saying that you love to travel or recharge vintage autos is insufficient. Giving a concise record of where you went to and how that encounter was or a short record about the vehicle you as of late renewed works a considerable measure better. This empowers an alternate part who may have the same hobbies an open door to imagine and be there as soon as humanly possible you would say. Be Positive Having a general attitude of energy on your profile is extremely essential. You need parts who take a gander at your profile to like what they are perusing. Being certain basically implies that you abstain from depicting pitiful occasions or utilizing a negative tone. Occasions like specifying the late misfortune of an occupation or whining about how you are so disappointed with the entire dating diversion debilitates the advance of your profile.

Sunday, October 27, 2019

My Personal Teaching Philosophy Education Essay

My Personal Teaching Philosophy Education Essay Teaching. Teaching is a delivery of knowledge and giving impact on the next generation. In terms of teaching, I will discuss my roles as a teacher and a learner, narrate clearly about my teaching styles that I used to and will intend to apply. Relevant examples are given to cover the importance of the effectiveness of my teaching style as well as its downside. My teaching style is dominated by two preeminent styles: all-round flexible and adaptable teacher and big conference teacher. 1 These results are in line with what I have experienced. Currently, I lecture both theoretical and practical medical subjects. In small groups, I teach Problem-Based Learning (PBL) for theoretical subjects and Skills Laboratory as practical one. Whereas in large classes, I assist one of the lectures in Elective Block. As a medical teacher, I maintain my teaching roles as: 1. Motivator Dreams need a helping hand. As a teacher, I feel responsible to motivate learners. I energize students spirit when they fail, guide and coach them in achieving their dreams. Students should be given an understanding that no goals can be achieved without putting any efforts. Conversely, learning is built with frequent exposure and practising.2 2. Mentor As a mentor, I am alert to students aptitude and learning styles. This allows me to nurture their development and heighten their enthusiasm. To do this, I use inspiring quotations to pump out the students mood. Consequently, not only they enjoy the class, but also love the lessons. Quality time, a form of dedication, is highly important for both of us. 3 3. Role model Our words and actions create our own world. This motto keeps me to provide positive reinforcement for students continually. As a role model, I realize that there is a hidden curriculum that I have to nourish in students performance, particularly: attitude, communication skills, and social awareness. I do hope that my words and actions can inspire students to value other peoples lives, including patients lives. Encouraging learners to see all subjects holistically is equally important, thereby they will have a capability in making wise decision as junior doctors. 3 Learning. Based on educational theory, I found out that I am a Reflector and Pragmatist learner.4 This questionnaire enriched my previous perspective as a visual learner. I realize that being a constructivist learner also impacts my teaching methods. When I teach, for instance, I frequently provide examples and illustration, then relate them to my live experiences. 4-6 By sharing my experiences, I hope that learners compare them to their experiences. Classroom Effectiveness. I use various methods of teaching. This helps students to get accustomed to working collaboratively as a clinical team later. I love using dynamic and interactive methods, including: discussions, activities, games, field trip, and role play. When I teach, for instance, I form the class into small groups, present a few questions, then let them brainstorm. I structure my teaching for not more than two hours by imposing recess in the middle. The aim of this is to create an alive and conducive learning atmosphere, either in PBL or small group discussion. With good organization, I set aside my time prior to lectures to adjust materials and sequence appropriate with the time allocation. To facilitate, I provide up-to-date material, innovative teaching aids and media. Instructional technologies that I use include slides, pointer, flipchart, video, e-learning and simulation. I tend to prevent overload information. This is done by emphasizing most frequent cases and compiling similar topics into one module. Several steps that I perform in classroom: 1. Offer students a Pre-test and Learning Styles Survey I use Index of Learning Styles to find out deeply about my students preference and background.7 Over the years, most of the students are visual learners. Hence, it is advisable not to give lectures in one-way teaching method. For instance, I put visual aids like eye-catching pictures, diagrams, or video in class. 2. Define Learning Objectives Learning objectives are important for students to have a broad viewpoint of what knowledge or skills they will accomplish by the end of the class.8,9 I emphasize the importance of understanding the materials along with other subjects as a whole, not only certain chunks of organ systems. 3. Illuminate rules and roles for learners In large group settings, I discuss with students my teaching rules and learning outline at every first session.8,9 Whereas, in small classes, each student is given a chance to take turn in demonstrating the skills and procedures. I also provide them free time and rooms to practise out of class hours. Sometimes, there is an uncertainty in students own motivation. However, I have a belief, the more we restrict learners, the more they do not respect us. Principally, I trust them as an adult learner and let them learn freely without my full supervision or intervention. Students feedback showed that they favor my teaching methods because they feel valued for being treated as colleagues. Their marks and attitudes are generally excellent. Likewise, faculty members have described my teaching as flexible and professional. Students Background. My teaching is mostly based on class size, students background and interests. I had once a student who was always absent and come late. Previously, other stakeholders did not recognize his problems. After asking him in person, I came to know that he could not come to morning class due to consuming certain medicine. Next, I gathered the group which he involves in class. I asked the other students to help him participate in any discussions and project. Though his participation was slight in the first time, I could see a good progress of his passion to finish a degree. Later on, his internship performance was excellent and he graduated. Another case like students unwillingness to be a doctor is also plentiful to find. Being a sensitive teacher to students problems and conditions help me nourish their development and create an enjoyable environment for them to keep going. Downside. One of my biggest struggles in teaching is facing destructive learners, especially those who often fail the whole entire semester. In PBL settings, for instance, such student is more likely to interrupt and not willing to tolerate other learners perspective. Above all, I need to enhance my teaching capacity tremendously over time. To lead younger generations, I have to learn from others and understand the learners. This will allow me to ensure that all graduates are fit into the best practices as medical field is very much related to humans lives.

Friday, October 25, 2019

Internet Taxation Essay -- Internet Tax Taxing Essays

Internet Taxation The passage of the Internet Tax Freedom Act, on October 21, 1998 there has been an intense debate on whether to tax or not to tax Internet purchases. The conservative side is opposed to Internet taxation saying that it is too costly to collect tax on Internet purchases. They also believe that since Internet retailers do not have any of their operations in all the states, not every state should receive the sales tax made on the purchase. On the other hand, the liberal believe that taxation of the Internet should be lawful because states are losing valuable tax bases to Internet purchases. They believe that at current rates of online shopping, states are losing millions of dollars annually that are used for public roads, police protection, and education. Both sides of the Internet taxation argument use logos and ethos appeals. Logos appeals are the main form of argument for both sides. Plenty of examples and statistics are used to support the logos argument. Ethos appeals are not as prevalent as logos, but are enter strung throughout the articles to support both sides. Pathos appeals are almost non-existent in any articles found, so they are not a main contributing factor in the overall argument on Internet taxation. In the Issues & Controversies section of Clemson Universities Expanded Academic Search the article, â€Å"Internet Taxation,† both the pros and cons concerning Internet taxation are mentioned to establish both views concerning the issue facing the United States people. The conservative or con side on taxes mainly uses logos argument to make their point. Supports of the tax free Internet say that because of the way transactions are carried out on the web, electronic sales are vulnerabl... ...o adopt a unified sales tax for Internet purchases. They are a liberal group for Internet taxation, which recently got shot down with the onset of the extended Internet Tax Freedom Act. The coalition is not currently trying to persuade e-tailers to join their position on Internet taxation. Big names such as Amazon.com have not joined the talks for good reason. Online retailers do not want states to adopt a plan to implement taxes online since it would threaten the tax-free shopping advantage that these online retailers enjoy. Even with the onset of new rulings for a tax-free Internet there has not been a complete loss for the coalitions efforts. In a 1992 Supreme Court ruling states that e-tailers must collect sales tax in the states in which they have a physical presence. All in all efforts for both sides have resulted in a partial tax and tax-free Internet.

Thursday, October 24, 2019

Food Insecurities Essay

Have you ever seen a person yell at his colleague or his partner, overreacting on a particular matter that has caused not only the person who got yelled at to feel annoyed, but also third parties who know about it or have witnessed the scene? For the many who do not wish to get into the mess, or has enough logic sense to not judge immediately, they will most likely give out a fair statement and try to reason out that person’s overreaction by saying he probably had a bad day or he probably has dilemma at home. However, if we take a bit closer and look closely, all of us will eventually realise that it all goes down to one matter; insecurity. Insecurities are not something new and unfamiliar to the human kind. Everyone has insecurities, regardless of whether they realise it or not. The Oxford Dictionary defines insecurity as the uncertainty or anxiety about oneself or lack of confidence. Insecurities exist in every living soul on this planet. Till today, it is still seen as a negative matter as not many have addressed this issue in proper ways using proper mediums. Most parents don’t even talk about it and shove it away when their children decide to speak up about it. Little do people know that the slightest things in life are the ones that add up to our insecurities. The amount of insecurity in a person differs from one to the other. The types of insecurities that one possesses also vary. The most common type of insecurity is physical insecurity. Let’s face it; human beings are never satisfied. Even when you have all the parts of the body needed to sustain and go through your daily routine with ease, you still beg for more. Some want healthier and shiner hair, some want to be taller, but most importantly, everyone wants something. It is not just human beings as an individual who face insecurities, but also countries and states. Currently, the world is looking at the issue of food insecurity, which is also classified as a type of insecurity. Food security may be said as the availability of food and one’s access to it. Hence, the United Nations have defined food security as all people at all times having both physical and economic access to the basic food they need. For more than 2 billion of people on this planet, they are lucky to not worry about this form of insecurity. However, we might not realise this but this matter is more complicated than it seems. Food securities may result from many different causes. It is imperative that we focus on why are the food insecure, and why are the people are food insecure. Among the most common causes of food insecurities are drought and extreme weather changes. This setback, which is very commonly faced by third world countries, usually ranges from overnight floods to droughts. In short, the climate changes faced by these countries are extreme. In most African countries, like Nigeria, droughts are not new to them. It has been a setback since the time of their ancestors; nonetheless, they are helpless at it and have no comeback on solving this matter. In many comparisons throughout time, some of the most severe food crises were all preceded by drought or by other similarly extreme weather events. These extremities result in poor and failed harvests which in turn results food scarcity and high prices of the available food. As mentioned in the Climate and Development Knowledge Network report entitled ‘Managing Climate Extremes and Disasters in the Agriculture Sectors: Lessons from the IPCC SREX Report’, such force of nature causes impacts which will include not only food insecurity, but changing productivity and livelihood patterns, economic losses, and impacts on the infrastructure. Besides that, the natural resource base for the poor and food-insecure is invariably narrow and, in many areas, fragile. With the exception of Uganda only 4 to 10 percent of the land area is classed as arable, and just a small area of land suitable for rainfed cultivation. The greatest numbers of poor people are concentrated in the arid and semi-arid ecosystems and on marginal land in the higher rainfall parts of the region. It has become axiomatic to say that poverty is one of the main causes of environmental degradation. This can be seen all too clearly in the farming of steep slopes, which takes place as an increasing population is forced to cultivate marginal land. The falling crop yields that characterize the marginal areas are a result of the loss of massive quantities of topsoil throughout the region, declining soil fertility as fallow systems are replaced by continuous cultivation, reductions in soil organic matter as manure is burnt for fuel, and shrinking holding sizes. However, the poor are also the most vulnerable to environmental degradation because they depend on he exploitation of common property resources for a greater share of their incomes than richer households do. In the rangelands, the evidence for long-term secular environmental degradation is ambiguous. The successive cyclical growth and decline of herds reflects cycles of rainfall and rangeland productivity, and is perfectly normal. As animals die in large numbers, the rangelands recover remarkably quickly. However, when there i s a major drop in the number of animals, the people who depend on them for their livelihoods also suffer. Development programmes that have sought to increase animal production on rangelands through water development and animal disease prevention have all too often failed to find, at the same time, sustainable ways of increasing animal nutrition, so the resulting increased numbers of animals may wreak havoc on the range itself. Many of the available freshwater resources are in river basins and lakes that extend beyond the boundaries of individual nations. Shared water resources include lakes Victoria, Albert, Edward, Kivu and Turkana and major rivers such as the Blue Nile, White Nile, Atbara, Awash and Shebele. The potential for developing irrigation from these sources is constrained by the problem of achieving agreement on sharing the resources and avoiding conflict. Although natural climatic factors have played their part in the process of desertification, in general, it is increased population and the related development of unsustainable production systems that have had most negative impact on the fragile natural resource base. Wood and manure have remained the main sources of domestic energy, even in urban centres. This situation has contributed to depleting the forest and range resources, resulting in an overall decrease in biomass and biodiversity, reduced water infiltration and increased runoff and soil erosion. These factors, which contribute to the impoverishment of ecosystems, have led to a vicious circle of environmental degradation, lower system resilience to erratic rainfall, decreased agricultural productivity and increased poverty and food insecurity. Not only that, the cause of food insecurity in these third world countries are also caused by the poor state of development and maintenance of roads and transport, energy sources and telecommunications in the marginal areas of countries in the Horn of Africa makes it difficult for these areas to become integrated into the national and regional economy. As with all other indicators of development, the countries of the region have some of the worst figures worldwide with respect to access to roads and water supply. A recent report suggests that, in terms of access to infrastructure, the gap between Africa and the rest of the world has widened over the past 15 years. The sparse road and communications network hampers emergency relief operations as well as the commercialization of the rural economy. The density of the road network in the countries of the region gives an idea of both how difficult it is to reach people in rural areas with services and the problems such people face in participating in the market economy. For example, in Ethiopia, every kilometre of road serves 72 km 2 and 3 000 people, compared with only 8 km 2 and 850 people in North Africa. Even after strenuous efforts by development agencies and NGOs, access to a clean water supply is still an unobtainable luxury for most rural inhabitants in the Horn. Piped systems are uncommon in rural areas and protected wells and hand pumps are the best that rural communities can expect. The burden of collecting water, as with so many other menial tasks, falls almost exclusively on women in the communities, who must spend many hours each day collecting water from unsafe sources. The statistics on access to water and sanitation reveal wide differences within the region. In three countries, namely Eritrea, Ethiopia and Somalia, only one-quarter of the population has access to safe water, and in two others (the Sudan and Uganda) the figure is less than 50 percent. Access to sanitation is as low as 13 percent and, except for Kenya, barely exceeds 50 percent anywhere. In addition to that, the indicators of access to social services in the countries that face the setback of food insecurity are also among the lowest in the world. While the average figures are bad enough, they mask fundamental inequalities in access to services within the region. Again, rural areas, especially remote, low-potential areas are the least well served. Nomadic and semi-nomadic pastoralists are the most difficult populations to provide services to and, consequently, they are invariably the ones with the poorest health services and least education. All these indicators, combined with malnutrition and poor access to safe water, have adverse consequences for productivity and for the long-term physical and cognitive development of people in the region. Also, let us not forget the fact that crop and plants as well face diseases. Diseases affecting livestock or crops can have devastating effects on food availability especially if there are no emergency back-up plans in place. For example, an epidemic of stem rust on wheat which was spreading across Africa and into Asia in 2007 caused major concern. A virulent wheat disease could destroy most of the world’s main wheat crops, leaving millions to starve. The fungus had spread from Africa to Iran and may already be in Pakistan. A different threat, on the other hand, has attacked the African continent’s second biggest crop; wheat. In 1999, 50 years since the last outbreak, a contemporary and virulent strain of stem rust attacked the Ugandan crops. Its spores then travelled to Ethiopia and Kenya, before appearing in Iran last year. The Food and Agriculture Organisation of the United Nation (FAO) has given warning to six other countries in the Central and South Asia to be prepared and keep an eye for symptoms of this new strain while scientists in the United States of America are working diligently in searching for a resistant that combats this problem. It is important that the remedy for this will be obtained quickly as in India alone; more than 50 million small-scale farmers are at risk because they depend on wheat for their food and earnings. Most importantly, we must not overlook that politics and dictatorship also play a role in food insecurity. Many do not realise that politics play a part in something as serious as this. As mentioned by Nobel Prize-winning economist Amarya Sen, â€Å"There is no such thing as an apolitical food problem. It is more often than not that the administration of the country that determines its severity, or even whether the famine will occur. If truth be told, the 20th century is full of examples of governments undermining the food security of their own nations. Let us take a look at Nigeria, Africa’s most densely inhabited state, where a legacy of corrupted governance and an economy based primarily on oil exports has left the agriculture sector significantly undermined, leaving millions of N igerians in deep hunger. True, the neighbouring countries export food to Nigeria in exchange for money, but remember; the people in these neighbouring countries need food too. And they are much poorer than those living in Nigeria. It was reported by the United Nations that thousands of children in countries neighbouring Nigeria died because of malnutrition. These kids paid the price not because of food shortage in their country, but because of food shortage in Nigeria. The distribution of food is often a political issue in most countries. The government will always give priority to urban areas and cities, since most influential and powerful families and enterprises are located there. The ruling government over and over again for generations overlooks the subsistence farmers and rural areas in general. In other words, the more rural an area, the less likely the government will pay attention to solving its needs. What’s more is that the governments of these countries would normally keep the price of basic grain at extremely low levels that subsistence farmers cannot accumulate sufficient capital to make investments to improve their production. Hence, they are prevented from getting out of their precarious situation. In addition, food has always been a political arsenal by the dictators and warlords, where they reward their supporters and deny food supplies to those areas that are against them. Under this condition, food has become more like a currency instead of a basic need that cannot be denied rights of. Food has become the money to buy support and used against the opposition. Even in Guatemala, income inequality is amongst the worst in the world, with indigenous communities at a disadvantage. In some areas, an estimated 75 percent of the children, ranging from infants to children ages six and seven years old, are severely malnourished. And this is a shocking statistic relating food scarcity coming from a country that is merely a four-hour flight away from the USA. Furthermore, it was pointed out in William Bernstein’s 2004 publication entitled ‘The Birth of Plenty’ that individuals without property will lead to starvation and it is much easier to bend the fearful and the hungry to the will of the state. If a farmer’s property can be arbitrarily threatened by the state, that power will inevitably be used to intimidate those with different political and religious opinions. It is fundamental and crucial that we understand and be aware of the consequences of this global food scarcity. The effects might be similar to the effects of malnutrition and hunger, where, at the outset, the human population will be affected greatly in the sense where stunted growth may occur. The stunting starts in when the baby is still in the mother’s womb and happens till the age of three. Once stunting happens, giving proper nutrition to these helpless children will not help in reversing the damage or improving the child’s condition. Pregnant mothers who do not receive the correct amount of nutrition needed may risk of having a higher chance of infant and child mortality later on, which is, of course, a very heartbreaking circumstance. Apart from that, severe malnutrition during one’s early childhood also leads to defects in cognitive development. Stunted individuals also have a higher chance of getting diseases and illnesses as compared to those who have not experienced stunting. It must also come to the attention that food insecurity is also associated with various developmental consequences for children in the United States. A research was conducted by Diana F. Jyoti, Edward A. Frongillo, and Sonya J. Jones to prove that food insecurity is linked to specific developmental consequences for children, and whether these consequences may be both nutritional and nonnutritional.

Tuesday, October 22, 2019

Cretaceous Period Essay Example

Cretaceous Period Essay Example Cretaceous Period Essay Cretaceous Period Essay The Cretaceous period was 144-65 million years ago. It was the last period of the Mesozoic era. The Cretaceous period was first defined by a Belgian geologist named Jean d’Omalius d’Halloy in 1882, using the strata in the Paris Basin and named for the extensive beds of chalk (calcium carbonate deposited by shells of marine invertebrates, principally coccoliths), found in the upper Cretaceous of Europe. The name Cretaceous was derived from latin creta, meaning chalk. The name of the island, Crete, has the same origin. The Cretaceous period had a relatively warm climate and high eustatic sea level. The oceans and seas were populated with now extinct marine reptiles and on the land, dinosaurs. And at the same time mammals, birds, and flowering plants appeared. Flowering plants spread during this period although they did not become predominant until the Campanian stage near the end of the epoch. Therid evolution was aided by the first appearance of bees. At the same time, some earlier Mesozoic gymnosperms like Conifers continued to thrive. On land, mammals were a small and still relatively minor component of the fauna. The fauna was dominated by the Archosaurian reptiles, especially dinosaurs which were the most diverse. Pterosaurs were common in the early and middle time of the period, but as the Cretaceous proceeded they faced growing competition from the radiation of birds, and by the end by the end of the period, only tow specialized families remained. During the Cretaceous, insects began to diversify, and the oldest known ants, termites, butterflies, moths, grasshoppers and wasps appeared. In the seas, rays, modern sharks and teleosts became common. Marine reptiles such as the ichthysosaurs were in the early to middle time of the Cretaceous, plesiosaurs throughout the entire period, and mososaurs in the late Cretaceous. There was a progressive decline in biodiversity during the Maastrichtian stage of the Cretaceous period prior to the suggested ecological crisis induced by the events of the mass extinction. Biodiversity required a substantial amount of time to recover from the events of the mass extinction, despite the probable extinction of many species. Despite the severity of this boundary event, there was a significant variability in the rate of extinction between and within different fossils. Species which depended on photosynthesis declined or became extinct due to the reduction of solar energy reaching the Earth’s surface because of atmospheric particles blocking the way of sunlight. Evidence suggests that herbivorous animals, which depended on plants as their food, died out because as their food sources became scarce. Consequently, top predators, such as the Tyrannosaurus Rex also perished.

Monday, October 21, 2019

Post Sigmoid Coletomy Care Essays

Post Sigmoid Coletomy Care Essays Post Sigmoid Coletomy Care Essay Post Sigmoid Coletomy Care Essay This paper will critically examine the care needs and management of Mr Braun. An appropriate framework will be used, namely the ABCDE. Alternative treatment will be analysed using the 5 WHs critical decision making too (Jasper, 2006)l. His care will be based upon the nursing process ensuring that patient outcomes are agreed, implemented and evaluated. The assessment framework to be used is this assessment is the ABCDE assessment framework. The ABCDE framework looks at Airway, Breathing, Circulation, Disability, and Exposure/Elimination. The reason for choosing this framework is that it uses a systematic method of assessing, it aids with elimination of post op complications. In addition, it is a commonly accepted framework which is widely used and can be used in critical care situations, pre post-operative care and emergency situations. Furthermore, it allows the nurse to use her skills in accessing the patient’s needs. The disadvantages of the framework are that it is a medical model in the sense that it looks specifically at the biological aspects of care and lumps emotional/psychological/cultural/social care under the exposure/elimination catergory. Therefore it does not promote exploring these issues in great detail (Younker, 2008 Hargan 2012) Cancer Physiology Bowel cancer normally starts in the rectum or sigmoid colon. It starts as adematous polyps and then progresses to adematous carcinomas. It spreads by direct extension via the bowel circumference, submucousa and outer bowel wall layers. It can also spread to other areas by direct extension, for example, to the liver, pancreas and spleen. Metastasis is normally by way of the surround lymphnodes. Primary cancerous cells can also travel into the lymphatic and circulatory system causing secondary cancer in other organs such as liver and pancreas (LeMone Burke, 2003). Mr Braun is undergoing an operation for his sigmoid colon cancer. One route to take would be the traditional method. This consists of open bowel surgery. This entails making a large opening. A bowel prep is given prior to surgery, there is a longer starvation process, which can cause dehydration and electrolyte imbalance. Furthermore, it causes stress on the body, insulin resistance in the body is longer and the recovery period is longer. In addition it causes longer paralytic ileus (Siddiqui et al. , 2012). The alternative treatment to the traditional method would be the laparoscopic method. Mr Braun would have a smaller incision, therefore making a quicker recovery. He would be in less pain and would be able to mobilise quicker. He would have a quicker return of GI function and a lesser period of paralytic ileus. He would be able to deep breath better as he would not be experiencing a lot of pain, therefore he would be at less risk of contracting a chest infection. This would all work towards him having an earlier discharge, for example, 3-5 days post op compared to anywhere between 8-12 days on the traditional method. Research has also shown that community rehabilitation is much quicker, 2-3 weeks rather than 6-8 weeks on the traditional method (Jenson 2011). Further research shows that patients undergoing laparoscopic surgery have fewer complications post discharge (Hargan 2012). It appears then the laparoscopic route has better outcomes for the patient and in addition, the NHS. Being able to discharge a patient between 3-5 days who experience fewer complications post operatively not only frees up beds but costs less to treat the patient. Therefore, after weighing up the pros and the cons of both the traditional and the laparscopic it would seem that Mr Braun would be better off having the laparoscopic route. It appears from research that the lapascopic route is the route which is used in almost 90% of colorectal surgery. However, the route that is taken ultimately depends on the surgeon’s choice. Prior to collecting the patient from the recovery room Before collecting Mr Braun from the recovery room I will need to check the bed area. This includes checking that the oxygen is working. I will need to ensure that there is a nasal tube and a venturi mask. I will also need to check the suction is working and ensure that a new tube is present by the bedside. I will also need to make there is a yonker. I will put a dynamap beside the bed which will allow me to take Mr Braun’s clinical observations on return to the ward. I will also ensure that a drip stand is next to the bed as he may be on fluids or have a PCA on his return to the ward (Nicol et al. 2012). Collecting the patient from the recovery room On collecting the patient from recovery, I will take with me a kidney bowel in case the patient needs to be sick on his return journey, a pair of gloves, a oropharyngeal (geudel) airway in case his airway becomes compromised in anyway and a pocket mask for mouth to mouth. My first priority is to ensure that Mr Braun is safe to return to the ward. I will check his level of consciousness using the AVPU tool. This tool looks at whether he is Alert, whether he responds to Voice or whether he only responds to Pain and whether he is Unconscious. I will then take a handover from the recovery nurse. This should include informing me of the procedure Mr Braun has had, how well he has responded to the surgery and his current responsiveness/consciousness level. I would need to check with the recovery nurse whether his vital signs are within the normal range. This is for patient safety which is paramount and is at the centre of nursing care. This would need to be checked against the Early Warning Score (EWS) system which includes level of consciousness, the physiological parameters, for example, temperature, blood pressure, Oxygen saturation (SATS), respiratory rate, pulse and urine output. The EWS gives an overall score which informs me whether or not it is safe to take Mr Braun back to the ward. The recovery nurse would also inform me which medications he has had, information regarding IV fluids, how long they should run for and whether more are needed when it finishes and check they are written up on the drug chart. In addition, I would need to see the wound bed. This would help with later assessment on the ward where I would be able to compare whether there has been any further bleeding or leakage. I would need to see the stoma site. The recovery nurse would inform me whether Mr Braun had a urinary catheter and whether there had been any urine output. After handover I would say hello to the patient and manually take his pulse so that I can get an indication of his heart rate (Nicol et al. 2012). On the ward On returning to the ward I will orientate the patient. I will inform him of every procedure that I do so that I can gain informed consent (NMC 2012). I will immediately carry out a set of clinical observations. This is so I can make a comparison with his perioperative baseline. Although doing the clinical observations with the dynamap, I will manually take his pulse as it is vital that I know whether it is regular/irregular, strong or weak. ABCDE Assessment Airway The best way to check the airway is to speak to ask the patient and get him to respond to you. If he is able to talk in normally, this will be indicative of his airway being patent. I would need to listen to whether there are any sounds, like barking or gurgling as this could indicate that there is partial obstruction. I would also need to check whether Mr Braun is experiencing any nausea or vomiting. If Mr Braun is experiencing this I would need to immediately administer an anti-emetic as per drug chart instruction. This would help prevent the risk of pulmonary aspiration. I would also need to check whether Mr Braun has any allergies. I would ensure that he is wearing two red wrist bands with the allergies clearly written on them so that other staff members are aware. His allergies would be documented in his nursing notes and on his drug chart with information on what sort of reaction he experiences. Assessing whether Mr Braun has any allergies is extremely important as allergic reactions can cause swelling of the tongue and in the throat which would compromise his airway and leave him with difficulties breathing (Resuscitation Council UK, 2012). Breathing I would now assess breathing by checking Mr Braun’s respiratory rate (RR). The normal range is between 12-20 breaths per minute. In PAC, his RR was slightly raised. This could have been due to anxiety but was more than likely due to his anaemia (this will be looked at further under circulation). I will be able to gain a comparison and start looking for a trend. It is important that the RR is counted for a full minute. His breathing may be irregular and therefore not counting the full minute would give an inaccurate measurement. I would also check Mr Braun’s SATS. The normal range should be 95%. Checking his SATS will inform me whether he is getting enough oxygen and whether his tissues are being perfused adequately. Lack of oxygen can cause hypoxia which if not managed will lead to multiple organ dysfunction and ultimately death. I will also therefor check for cyanosis as this will also inform me whether he is lacking oxygen. It is important to look at how Mr Braun is breathing. For example, is he struggling to breath, is he breathing deeply or is it shallow. Does he have to use his accessory muscles to help him breath. I would check whether his chest is rising equally on both sides. I would also speak as him a question to ascertain whether he is able to speak in full sentences because someone who is struggling to breathe is unable to speak in full sentences. I would look at whether he is breathing fast or slow. Furthermore, I would look at how he is sitting, for example, is he leaning to one side. Also when you are assessing breathing it is important to listen for any wheeze or stridor. RR is one of the first things to alter when a patient is deteriorating. It is vital that if Mr Braun is experiencing any of the above, the nurse responds quickly. The first thing would be to check whether he is written up for any more oxygen and if so to increase it. The nurse would then have to check in RR and SATS again after 15 minutes to ascertain whether there was any improvement or further deterioration even. If the patient was deteriorating further the nurse would need to involve the doctor who would be able to review Mr Braun immediately and give further instructions on his care (Queen Mary University City University, 2006). Circulation An assessment of Mr Braun’s pulse needs to be undertaken. This will allow the nurse to ascertain his heart rate. In addition, it would allow me to feel whether his pulse is strong or weak and whether it is regular or irregular. The normal resting pulse should be between 60-80 beats per minute (bpm). In the PAC, Mr Braun was slightly tachycardic, which could be due to anxiety of his diagnosis, hearing about the treatment he would receive or his prognosis. By taking his pulse it will allow for a baseline, pre-operative and peri-operative comparison. His blood pressure (BP) would also be assessed. The normal ranges are 90/60-140/90. Mr Braun’s BP in PAC was 135/80. Although this is still within the normal range, it is slightly high. However, this would be an appropriate BP given his age. It is vital that clinical observations are carried out every 15 minutes for the first two hours post-op as there is a higher risk of complications occurring and clinical signs are the physiological parameters which tell you whether a patient is deteriorating or improving. For example, if a patient is tachycardic and hypotensive this could be indicative of hypovolaemic shock which would need to be managed immediately as this can lead to potential death. It is vital when taking clinical observations that the nurse is aware that she should not only rely on the measurements. This is because a patient can be in hypovolaemic shock and still have a normal BP. This is because in hypovolaemic shock, the compensatory mechanisms take over and the body will do everything it can to keep the BP at normal level. Therefore, it is vital that the nurse also observes what the patient looks like, for example, does he look palor, he is sweaty or clammy. These are all important factors when carry out clinical observations. When a patient undergoes surgery he has enforced reduced mobility. Mr Braun will be in bed for a while and due to these factors is therefore at risk of Deep Vein Thrombosis (DVT), which is one of the highest cause of PE leading to hospital deaths. The nurse should check whether he still has his TED stockings on and check that they are not rolled down or creased as this may prevent them from achieving good prophylaxis. Furthermore it could compromise his skin integrity. Mr Braun will probably also be prescribed oral or subcutaneous anticoagulants as a further prevention of DVT. Mr Braun’s Hb levels should be checked to ensure that his anaemia is improving. If Mr Braun was assessed in PAC as having met the criteria, which is expected to make a good recovery, for the ERP, his anaemia would have been dealt with prior to him being admitted. He would have been assessed for any co-morbidities and his GP would have been involved to treat his anaemia. If his anaemia had not been treated, prior to his admission, it is likely that Mr Braun would have undergone a blood transfusion during surgery. This would mean that he would have a cannula in situ which would need to be assessed to check for phlebitis. This would need to be documented on the VIP chart (Hargan 2012). The cannula needs to be checked to ascertain whether it is patent. The date of insertion should also be noted on the VIP chart as it is not allowed to stay in for longer than 72 hours. Mr Braun will also have a catheter in situ. Therefore it is important to check for urine output. Mr Braun should have a urine output of 0. 5ml/kg/hr, in other words half his body weight per hour. Therefore if Mr Braun weighs 80kg, he should have a urine output of 40mls per hour. If going through the traditional method, Mr Braun would have to have a low residue diet approx. 2 days prior to the operation. He would only be allowed clear fluids approximately 12-18 hours before surgery and would then be starved from the midnight before the day of surgery to prevent aspiration. Research has shown that prolonged starvation causes dehydration and electrolyte imbalance. It causes the body to experience insulin resistance for longer and cause the body more stress (Burch Slater 2012). In contrast, he would have been given carbohydrate loading prior to surgery in the form of iso-osmolarity which 90% passes through the stomach within 90 minutes therefore he would have been able to have it one and a half hours prior to surgery. This would cause less insulin resistance and put his body through less stress. He would be able to come off any IV fluids as he would be encourage to eat and drink at will post operatively.

Sunday, October 20, 2019

Romeo And Juliet-Comparison Essay Essays - Free Essays, Term Papers

Romeo And Juliet-Comparison Essay Essays - Free Essays, Term Papers Romeo And Juliet-Comparison Essay Romeo and Juliet by William Shakespeare and Romeo and Juliet interpreted by Zeffirelli are two versions of a classic tale of two young lovers. In reading Shakespeares Romeo and Juliet and viewing Zeffirellis Romeo and Juliet one becomes aware of many differences between them. Although the basic storyline remains the same, the differences are obvious. These differences can be found in the setting, characters and their speeches, and the culmination of the story. These differences between the versions produce two entirely different interpretations of the story. Zeffirelli changed the story by changing important scene by use of omitting characters or switching the order of the events. For example in Act V, when the Prince gave his final speech, Friar Laurence was supposed to be present to give his own confession, but was left out by Zeffirellis version. This left the explanation of why the lovers were truly dead for the watchers to question. Shakespeare had Montague raise a statue in Juliets honor, signifying the end of their feud. Zeffirelli, on the other hand, chose only to show the two lords together making for a weaker end. The omission of characters from important scene was not the only change noted between the two. Zeffirelli also took poetic license in the creation of Romeo and Juliet. He gave his lines to characters when in Shakespeare they were spoken by another. This was shown during the party scene, Act I, scene V when Lord Capulet was to rebuke Tybalt and call him.......saucy boy......... The line was instead given to Lady Capulet. This exchange of lines between the characters does not always help in the understanding of the story. The use of adding lines to characters created different personalities and gave the characters greater insight than in Shakespeares version. It added in helping understand the characters motives more. Zeffirelli also had some positive differences than that of Shakespeare. Since the setting was in the same time period as Shakespeares rendition the reader could visualize the environment and dress of the era. This made the characters and story more life-like than trying to picture it from a written page. Zeffirelli also fleshed-out the characters, giving them more depth and emotion than in Romeo and Juliet. This is shown when the nurse goes to Juliet and finds her dead. She runs out of Juliets chamber screaming and flailing her arms in a frenzy. The audience was able to interact with the characters and their emotions by seeing Romeo and Juliet visually, also making the language more understandable. An example of this is when Romeo kills himself and Juliet sees him, hears guards, and you are able to see Juliet frantic. As a result of this, the scene is made more complete, causing the audience to experience greater tension than reading the play. Even though Zeffirelli gave more definition to some characters, Shakespeares Romeo and Juliet was more enjoyable. Although he did not give as much information as to what was happening, he allowed the reader more freedom to interpret the situations on their own. Without the reader having readShakespeares Romeo and Juliet most of the symbolism in Zeffirellis version would not have been understood. The two different authors used a variety of techniques to change the story or to have the audience understand the siuations. Though they may seem different at times, the storyline never changes, it always remains about two young lovers who tragically die as a result of snap-decisions.

Saturday, October 19, 2019

International Human Resource Management Essay Example | Topics and Well Written Essays - 3000 words

International Human Resource Management - Essay Example The success or the failure of such organisations largely depends on their human resources and their management. Human resources are considered to be an integral and crucial part of an organisation. The success of an organisation depends on the management of its resources related to production but it is greatly reliant on the way it manages its workforce or human resources. Proper management of the human resources would facilitate in triggering and delivering the actions desired by the organisation. These desired actions contribute significantly towards the success of the organisations (Ashamalla 1998). Therefore, it can be well understood that for such international firms or multinational enterprises an appropriate human resource management is quite essential and crucial for the reason of their success. It can be stated that International Human Resource Management is related to the understanding and functions of the entire behaviours associated with the human resource management as t hese behaviours or performances as they have been observed to create an influence on the way of controlling and handling human resources in organisations in the international environment (Briscoe et al. 2008). In the paper, the impact of international regulation in terms of Human Resource on a Multinational Enterprise (MNE) called Royal Philips Electronics would be investigated and explored. Outline of the Context and Structure of Royal Philips Electronics Royal Philips Electronics is a Multinational Enterprise and is considered to be amongst the largest global companies and is stated to be the leading electronics company in Europe. The company is believed to be an international leader in lighting, picture tubes for colour television along with monitors, colour... The intention of this study is Royal Philips Electronics as one of the largest global companies and one of the leading electronics company in Europe. The company is believed to be an international leader in lighting, picture tubes for colour television along with monitors, colour televisions, electric shavers and products of one-chip television. The company has its strong presence in over 60 countries and engages 233, 700 people as its employees. The company is proactive in the fields of consumer electronics, components, medical systems, IT services, lighting, domestic appliances, semiconductors and business electronics. The company is listed on the London, Amsterdam, and New York Stock Exchanges (NYSE) and in different other stock exchanges as well. The company ranks eighth amongst the leading 30 international electronics corporations. Royal Philips Electronics is considered to be the global leader in the field of digital technologies that forms a part of wireless communications, vi deo compression, optical products, displays, speech recognition, and storage products along with fundamental technology related to semiconductor which facilitates the achievement of these infiltrations possible. Royal Philips Electronics was initially founded by Gerard Philips in Netherlands for the purpose of developing various electrical products and incandescent lamps. The company during its early years focused on manufacturing lamps with carbon-filament and it had been included among the biggest manufacturers of Europe in the early parts of the twentieth century.

Friday, October 18, 2019

Human resource Essay Example | Topics and Well Written Essays - 1750 words - 1

Human resource - Essay Example Human resource management also has the responsibility to build a good relationship between employees and management; once goodwill is established, employees will work effectively towards achieving the goals laid down by the organization. Human resource management is also strategic in nature. It assists the organization in attaining its goals by taking care of the needs of its employees and motivates them to align their personal goals with those of the organization. In the context of human resource management, there is no universal model for managing employees that is applicable on a global level. There are basically three types of HRM models being practiced worldwide namely, the European model of HRM, American model of HRM and National/Asian model of HRM. The reason for this classification is strictly based on two factors: Beyer (1991) states in his book what truly determines the success of an organization is its human resource management. When you look at the management literature, you will see that a lot has been written and discussed about Asian (mostly Japanese) and US models of human resource management and rarely would you come across anything that is related to the human resource management of Europe. This is because of the trade union legislations, history, culture, employment laws that vary from one country to the other within Europe. According to Brewster, C. (1993), the presence of unions is significant however; the meaning, concept and reliability of these unions are different in all European countries. In countries such as Germany and France, the laws have made it mandatory for all organization to consult unions regarding the strength and size of employees whereas in other European countries, there is no existence of such rules. The importance of unions can be understood from the fact that there is a certain percentage of union membership of working residents such as for

Contract Law Case Study Example | Topics and Well Written Essays - 4000 words

Contract Law - Case Study Example The Director General of Fair Trading v. First National Bank [2001] 1 AC 481, was a test case, which has garnered a considerable amount of attention and controversy on the issues of fairness (equality) and reasonableness. Albeit the case is a local one, before the test is completed it will have far reaching implications and impact throughout the entire European Union. The issue of fairness is one which we are all compelled to deal with on a daily basis. Consequently, we are all familiar with its challenges, even for the most reasonable of men, we are perplexed by the paradigm of how does one be fair to one, and without being unfair to the other. The issues in this case gives it a special flavor, as it is spiced with social dimensions, economic ramifications as well as psychological overtones. It is not to be taken lightly, that there are elements present in this legal montage, which will take quite sometime (if ever) to untangle. Because it involves reasonableness, it is my contention that the initial remedy which will be presented by the court on these legal principles will be remedial, and the absolute relief will evolve over time. Given the fact that large financial institutions and the human element are at the forefront of these issues, the battle will be waged on the economic necessity battlefield of persuasion and influence. Nonetheless, I am convinced that the judiciary is prepared to serve the public good and preserve the human element.... similar substantive facts or circumstances and align them with the existing statutes which are applicable to the surrounding facts of the case. These facts are aligned with the pertinent statutes in an attempt to determine whether the defendant has committed a breach or to determine the level or severity of the alleged breach. In that the determination of a breach is referenced against the existing statute and aligned with the cases which are similar within this continuum, it is not often that a standing opinion is overturned. This is particularly true in a judicial climate where the bench is dominated by a number of strict constructionist judges; these persons interpret the constitution and statutes exactly as they are written and allow little or no room for expanding interpretations. Nonetheless, the expansion of interpretations or a broad reading of the statute can and does result, albeit rarely; there has to be at least two critical variables present to bring about the change of existing law; (1) The plaintiff must be able to show convincing and corrabarated proof to the court, documented history of a particular breach or number of breaches by a particular or specific group of defendants against a specific person or class of persons, and (2) reasonableness; the most intangible and transitional3 variable attached to the court or judges decisions. There is no question that this variable. Is intangible and the transitional state of reasonableness on an issue can be one thing today, yet another tomorrow; there are any number of situations or reasons which could

Principles of Operations Management Assignment Example | Topics and Well Written Essays - 1250 words

Principles of Operations Management - Assignment Example Receipt of raw materials and dispatch of products From the requirements projected it is learned that this firm has a receipt of raw materials and dispatch of produced goods in quite reasonable quality. This demands the following. a) Receipt area should be near to the road, b) Receipt area has sufficient vehicle parking area. c) Receipt area has sufficient space for material handling equipments and men to work. d) Dispatch area should again be near to road e) In order to avoid difficulties in traffic management ,both receipt and dispatch area is required to be at both axis. Re-Layout of shop floor Generally when considering a re lay out the following should be kept in the mind. a)saving space by utilizing unused areas, b)save resources by reducing distances between similar machineries and related process, c) arrange the equipments/machineries/steps in progressive manner, d) save man and machine efforts by placing more of raw/incomplete products in a given sequence to achieve shorter distance, e)further developments :- always think 10 years in advance and anticipate the automation and use of robots for all production activities. Justification of layout of sections 1. Saw Sawing is given 90 sqm according to the requirement. It need to be near the entrance to facilitate easy movements of raw materials to the shop. Since here the receipt of raw materials is involved there will be lot of movements of personnel consignment carriers had own supervisors and workers. Hence it is located next to the walkway .IT is placed near to the road at the approach to facilitate sufficient parking space to the vehicles. safety of the workers is very important at this sect. 2. Press 1 This is a process required immediately after sawing. Hence need to be next or near to sawing area to

Thursday, October 17, 2019

Briefing a case---Near v. Minnesota Case Study Example | Topics and Well Written Essays - 500 words

Briefing a ---Near v. Minnesota - Case Study Example The Court was of the judgment that the restraining order violated the First Amendment of the Constitution (Near v. Minnesota). Since the Press was barred against publishing and circulating information on prejudice and anti-Semitism, the Court indicated that the media was simply censored. The press had to enjoy its freedoms and restrains would only be applicable in contexts such as the media publishing stories that touched on overthrowing the government, matters on national security, war, incitement and indecency (Near v. Minnesota). Who won the conflict? What is the legal holding? : The Saturday Press won the conflict. The legal holding focused on the fact that the statute did not allow for censorship control by the media. Censorship for the Saturday Press was, therefore, not permitted (Near v. Minnesota). The state in this context, did not have the mandate to determine what would be published or not. The Court also noted that issuing sanctions to the media prior to their publications would be a clear infringement of the freedom of the press. Prior restraints were therefore not applicable. Why?: The logic that supports the majority opinion is the fact that the First Amendment was to protect the press, and more so from interference from the government that strives to make restraints on the media (Near v. Minnesota). A precedent that emanates from the case relates to how the government makes constant attempts to restrain speech especially on ideas that do not support the government. This case will be used a guide to future cases on restraints on speech.in the event that the government opts to regulate the media, this ruling will be useful to giving rulings. Concurring and dissenting opinions: Three judges among them Justice Butler wrote dissenting opinions that the statute needs not operate on restraints on publications. According to the judges, the

Property Essay Example | Topics and Well Written Essays - 5000 words

Property - Essay Example It is in this scenario that the concept of property development & management comes into the picture, which provides the developer with a rigid framework for the effective development of a property. The present report will evaluate the viability of developing a small office site in a suburban London town location. All along, the report will concentrate on the information gathered on the property and will attempt to assess the viability of developing the property based on a series of valuations, funding proposals and elevations of the completed scheme. The report will initially consider, outline and assess the various important factors that will influence the decision to build and develop the property. The report therefore, would emphasize on planning the development of the property in the context of urban development, construction, quantity surveying, and design & property development. The report would then list out all the factors governing the development of the small office site and would proceed with discussing the development appraisal that was initiated as a major constituent of the property development scheme and will also model the cash flow involved. Therefore, the report would evaluate the viability of the small office site property development proposal on the whole. FACTORS AFFECTING THE DEVELOPMENT OF THE PROPERTY The concept of property development especially with regards to commercial spaces has been a subject of constant debate and a plethora of literature is available in this regard. Among the literature available, major topics of discussion have been focusing on evaluating commercial property sites on the basis of nearness to the target customer base & urban centres, location of transport facilities, the government legislation and the political situation etc. The current section will aim to outline the basic set of factors that were currently prevalent at the small office cite in suburban London.The first and the foremost factor that influenced the development of the small office site were the availability of the land, and the presence of other critical facilities. Even though the land was available, it was important to assess whether the quality of the soil was good enough for construction purposes. A civil engineer who conducted surveys of the land and certified that the proposed site was suitable evaluated the land. In addition it was also important to determine the nearness of the property to hotels and cafeterias for the purposes of the employees who would be working in the office site. It was additionally important to determine the availability of drinking water in the area. Fortunately, the area was quite populated and as such, both these needs were not a problem at all. The area was abundant with hotels and the local water department ensured a constant supply of clean drinking water. Thus, the prime concern under the property development scheme was to assess the proposed site for its physical suitability for development.The next major consideration under this was to dig into the legal restrictions of the area. This was important as certain areas had a different pattern of construction norms and adhering to the law of the land was extremely important. For this, the help

Wednesday, October 16, 2019

Principles of Operations Management Assignment Example | Topics and Well Written Essays - 1250 words

Principles of Operations Management - Assignment Example Receipt of raw materials and dispatch of products From the requirements projected it is learned that this firm has a receipt of raw materials and dispatch of produced goods in quite reasonable quality. This demands the following. a) Receipt area should be near to the road, b) Receipt area has sufficient vehicle parking area. c) Receipt area has sufficient space for material handling equipments and men to work. d) Dispatch area should again be near to road e) In order to avoid difficulties in traffic management ,both receipt and dispatch area is required to be at both axis. Re-Layout of shop floor Generally when considering a re lay out the following should be kept in the mind. a)saving space by utilizing unused areas, b)save resources by reducing distances between similar machineries and related process, c) arrange the equipments/machineries/steps in progressive manner, d) save man and machine efforts by placing more of raw/incomplete products in a given sequence to achieve shorter distance, e)further developments :- always think 10 years in advance and anticipate the automation and use of robots for all production activities. Justification of layout of sections 1. Saw Sawing is given 90 sqm according to the requirement. It need to be near the entrance to facilitate easy movements of raw materials to the shop. Since here the receipt of raw materials is involved there will be lot of movements of personnel consignment carriers had own supervisors and workers. Hence it is located next to the walkway .IT is placed near to the road at the approach to facilitate sufficient parking space to the vehicles. safety of the workers is very important at this sect. 2. Press 1 This is a process required immediately after sawing. Hence need to be next or near to sawing area to

Tuesday, October 15, 2019

Property Essay Example | Topics and Well Written Essays - 5000 words

Property - Essay Example It is in this scenario that the concept of property development & management comes into the picture, which provides the developer with a rigid framework for the effective development of a property. The present report will evaluate the viability of developing a small office site in a suburban London town location. All along, the report will concentrate on the information gathered on the property and will attempt to assess the viability of developing the property based on a series of valuations, funding proposals and elevations of the completed scheme. The report will initially consider, outline and assess the various important factors that will influence the decision to build and develop the property. The report therefore, would emphasize on planning the development of the property in the context of urban development, construction, quantity surveying, and design & property development. The report would then list out all the factors governing the development of the small office site and would proceed with discussing the development appraisal that was initiated as a major constituent of the property development scheme and will also model the cash flow involved. Therefore, the report would evaluate the viability of the small office site property development proposal on the whole. FACTORS AFFECTING THE DEVELOPMENT OF THE PROPERTY The concept of property development especially with regards to commercial spaces has been a subject of constant debate and a plethora of literature is available in this regard. Among the literature available, major topics of discussion have been focusing on evaluating commercial property sites on the basis of nearness to the target customer base & urban centres, location of transport facilities, the government legislation and the political situation etc. The current section will aim to outline the basic set of factors that were currently prevalent at the small office cite in suburban London.The first and the foremost factor that influenced the development of the small office site were the availability of the land, and the presence of other critical facilities. Even though the land was available, it was important to assess whether the quality of the soil was good enough for construction purposes. A civil engineer who conducted surveys of the land and certified that the proposed site was suitable evaluated the land. In addition it was also important to determine the nearness of the property to hotels and cafeterias for the purposes of the employees who would be working in the office site. It was additionally important to determine the availability of drinking water in the area. Fortunately, the area was quite populated and as such, both these needs were not a problem at all. The area was abundant with hotels and the local water department ensured a constant supply of clean drinking water. Thus, the prime concern under the property development scheme was to assess the proposed site for its physical suitability for development.The next major consideration under this was to dig into the legal restrictions of the area. This was important as certain areas had a different pattern of construction norms and adhering to the law of the land was extremely important. For this, the help

Game and Football Team Bonds Essay Example for Free

Game and Football Team Bonds Essay It’s the most fun, most competitive, team-oriented sport in the earth. We do anything to win a game. Ladies love us guys want to be us. Everybody loves the game, people are always playing it, and it is the soul of the universe. When you put on the pads, lace up the spikes, and buckle your helmet you walk onto the field with a swagger and nothing else matters. You will forget if you failed a test, fought with a friend, or lost some money. Football is the sport I love the most because of three things. The bond on a football team is like no other sport. Another reason is the hardwood and dedication you put in. Lastly why I play football is to win it all The way a football team bonds with each other over the summer and overnight camps is unbelievable. We don’t all hang out with each other on the weekends, but on Saturdays we are a family. If your team wants to be successful you have to trust that the 10 other players on the field will do their job each and every play. Unlike in most sports you need more than one great player on a team, in fact I’d rather have a team with a bunch of good players. Than have a team with just one or two amazing players. Why do we run back and forth day after day? Hitting and running so hard we ache everywhere. Pushing it so hard we listen to our hearts beat rings in our head, while our lungs desperately gasp for air. Early mornings, late nights, Saturdays and Sundays, an endless amount of pain, deep bruises, broken bones, and torn muscles and ligaments. We hustle thru it all, because we live off our adrenaline, because the game frees your soul, because the party after the big win is spectacular, because you are invincible once you step onto the field. A big play could make you smile all day long and the next day as you joke about it with friends. The rattling of the crowd, the feel of the ball, the image of the spikes in the dirt, it’s a glory to live by. Because it is possible to hustle hard enough you can leave your worries behind. Sweat is the cologne of our accomplishments, Why should anyone push themselves so hard? It’s not for the money, it’s not for the girls, it’s not for bragging rights, and it’s not for the fame. We do it because we love it. And we love the feel of victory. There’s nothing better than after of working your butt of for 3 hours than walking off the field held high. The satisfaction knowing all those sprints and hills you do during the weak all paid off. The feeling that you can’t explain when you beat your cross town rivals knowing you just earned bragging rights for the year. The feeling that you were champions is the one feeling that I am missing I we were won win away from feeling that. But I am going to work hard, so next year I will finally feel what it’s like to be a champion. Why I love the game of football because not everyone can play it. You might be able to play two hand touch with your friends, but can you take the beating? That’s the question. Fans’ cheering you on as the fourth quarter is coming to an end in a close game. The greatest game to be played if football, everyone wants to be like us, but fail when they try.

Monday, October 14, 2019

Dictyostelium as a Predictive Model for Bitter Tastant

Dictyostelium as a Predictive Model for Bitter Tastant Developing Dictyostelium as a Predictive Model for Bitter Tastant Identification INTRODUCTION Bitter tastant (emetic) research utilises a variety of animal models for the identification of the emetic susceptibility of novel compounds and aim to characterise the underlining mechanisms that give rise to emesis. There are two categories of animals used in this type of research, those that have the ability to vomit (ferrets, dogs and cats), and those that lack the emetic reflex (rats and mice) (Holmes et al., 2009). In addition to this, there is a different sensitivity to emetic compounds amongst these animal models, due to the existence of multiple pathways for the emesis induction. There are also differences in the receptor pharmacology and distribution, and metabolic pathway regulation. This makes it very hard to use a unique animal model for emetic research, pushing research towards a multi-model approach, therefore increasing the utilisation of animals (Robery et al., 2011). Ingestion of bitter tastants can lead to innate aversive behaviour, reduced gastric emptying, nausea and vomiting in mammals and as such bitter tastants are thought to provide a potentially vital warning sign of toxicity (Robery et al., 2011). Humans recognise thousands of different compounds as bitter. Despite this ability only around 25 taste 2 receptors (TAS2R) have been identified. Common bitter ligands include cycloheximide, denatonium, PROP (6-n-propyl-2-thiouracil), PTU (phenylthiourea), and ÃŽ ²-glucopyranosides (Meyerhof et al., 2010). As previously stated, bitter substances are detected by a specific subset of taste receptors, known as BITTER TASTE-SENSING TYPE 2 receptors (TAS2Rs) (Meyerhof et al., 2010). These are part of the superfamily of G protein-coupled receptors (GPCRs) and can be found on cell surface that mediate gustatory taste perception on the tongue. Signal transduction of bitter stimuli is accomplished via the ÃŽ ±-subunit of gustducin (Gulbransen et al., 2009). This G protein subunit activates a taste phosphodiesterase and decreases cyclic nucleotide levels. The ÃŽ ²ÃŽ ³-subunit of gustducin also mediates taste by activating IP3 (inositol triphosphate) and DAG (diglyceride). These second messengers may open gated ion channels or may cause release of internal calcium. Although all TAS2Rs are located in gustducin-containing cells, knockout of gustducin does not completely abolish sensitivity to bitter compounds, suggesting a redundant mechanism for bitter tasting (unsurprising given that a bitter tas te generally signals the presence of a toxin). One proposed mechanism for gustducin-independent bitter tasting is via ion channel interaction by specific bitter ligands, similar to the ion channel interaction which occurs in the tasting of sour and salty stimuli (Gulbransen et al., 2009). The properties of TAS2Rs are different from other GPCRs, because of the ability of binding a wide range of compounds with low specificity and affinity. TAS2Rs have recently been suggested to have important extra-oral functions in the respiratory and gastrointestinal tracts. In the human airway epithelium TAS2Rs are expressed on the solitary chemosensory cells and ciliated epithelial cells, where they sense chemical irritation and promote ciliary beat frequency, respectively. Thus TAS2Rs may be protective and part of the defence against inhaled noxious compounds (Zhang et al., 2013). Recent studies have found that in resting primary airway smooth muscle cells, bitter tastant activate TAS2R-dependent signalling pathway that results in an increase in [Ca2+]i levels, although to a level much lower than that caused by bronchoconstrictors (2-adrenoceptor agonist) (Zhang et al., 2013). Under physiological circumstances, bitter tastants can activate TAS2Rs to modestly increase [Ca2+]i levels without affecting contraction, but in the situation of muscle constriction, they can block L-type calcium channels to induce bronchodilation (Zhang et al., 2013). TAS2R agonists showed both greater relaxation and inhibition of airway hyper-responsiveness than a ÃŽ ²2-adrenoceptor agonist in mouse airways. Given the large selection of known natural and synthetic agonists recognized by the 25 TAS2Rs, the findings have introduced bitter taste receptors as a potential new family of targets for asthma pharmacotherapy (Zhang et al., 2013). Dictyostelium as  a biomedical model organism D. Discoideum is a well-established research model organism, especially in investigating chemotaxis. D. Discoideum is a social amoeba that feeds on bacteria as its staple food source. Once the food supply is exhausted, cells start a developmental program leading to the production of spores that are able to survive in hostile conditions (Frey et al., 2007). Starving cells produce a chemo-attractant, cyclic AMP (cAMP), which serves as a signal for 1 x 105 neighbouring cells to aggregate, which then develop into a mature fruiting body (after 24 hours), where 20% of the cells form a stalk that supports a spore head incorporating 80% of the remaining cells as spores. When food sources are available again, the spores germinate into amoebae, completing the life cycle (Figure 1) (Frey et al., 2007). (Frey et al., 2007) Figure 1 D. Discoideum, develops from a single vegetative amoebae (0hrs) through to the generation of the mature fruiting body (24hrs). Aggregation is caused by the chemotaxis of cells toward cAMP waves to give rise to a multicellular aggregate. Aggregation results in the creation of a mound, then a tipped mound, and as development proceeds, the tip prolongate and forms a finger. Ultimately, the finger collapses to form a slug or continues to form a fruiting body. During final stage of the development, the cells differentiate into vacuolated stalk cells that sustain a spore head containing spores, which can tolerate a wider range of environmental conditions. The full developmental process from starvation of vegetative cells to the formation of a mature fruiting body is accomplished in 24 h (Frey et al. 2007). D. Discodeum has been extensively utilised to investigate a range of fundamental biological processes such as cell migration, signal transduction, phagocytosis and signalling during morphogenesis and cell differentiation. The fully sequenced genome contains 34 Mb of DNA (84-fold smaller than the human genome). D. Discoideum has a genome that encodes for a variety of proteins that are human homologues, associated with a variety of disorders (Boeckeler et al., 2007). Therefore, it has been suggested that the primary role of those proteins can be analysed in the model to understand their related disease function. Nausea and vomiting are common but serious side effects associated with many therapeutic drugs. Whilst the physiological mechanisms behind the generation of the vomiting response are well characterised, the diverse range of emetic stimuli that can generate the response are poorly understood. The potential of using D. Discoideum, a eukaryotic amoeba, as a model for predicting emetic liability was examined in this thesis. The effects of a diverse range of known emetic and aversive compounds on Dictyostelium cell behaviour was investigated, resulting in the identification of a small number that strongly inhibit cell behaviour in a concentration-dependent manner. Recent studies using Dictyostelium as a simple model system for bitter related (emetic) research has shown the validity of using this approach for the reduction of animals in testing for emetic liability. Even though Dictyostelium does not contain genes encoding homologues to T2R proteins associated with bitter compounds detection, it has been identified the molecular mechanism responsible of PTU detection. The screening of mutants resistant to the effects of PTU on growth identified a putative G-protein coupled receptor mutant, GrlJ-. Translation of this discovery to human context identified an uncharacterised human gamma-aminobutyric acid (GABA) type B isoform, with a relatively weak homology to GrlJ. The expression of the human GABA-B receptor restored GrlJ- sensitivity to PTU, implicating this human protein as a novel receptor for PTU. In addition, GrlJ only partially controls PTU detection but not detection for all bitter substances. This research was carried out by monitoring the cell behaviour (motility, circularity, protrusions formation and displacement) following exposure to a range of known emetic compounds. Results show that bitter tastants cause an acute, marked and concentration dependent effect on cell behaviour. Therefore, this suggests that Dictyostelium may guarantee a new model for the analysis and screening of novel bitter/emetic compounds, and therefore reducing the utilisation of animal models by identifying the best candidates in a range of molecules. In this study a range of eight compounds were tested to investigate their effects on Dictyostelium random cell movement. The compounds list was specifically created to understand if the model system was able to predict the bitterness of those compounds and ultimately obtain a ranking order comparable to the in vivo rat brief access taste aversion (BATA) and human sensory panel models (Rudnitskaya, et al., 2013). The set of substances consisted of both organic and inorganic – azelastine, caffeine, chlorhexidine, potassium nitrate, paracetamol, quinine and sumatriptan. Results have shown that the bitterness ranking order obtained by using random cell movement assays was comparable to the one obtained with the BATA and the human sensory panel models. In particular, amongst those compounds, Azelastine, a selective (non-sedating) H1 antagonist structurally similar to other anti-histaminic molecules has shown to be one of the most potent compounds in the inhibition of Dictyostelium cell behaviour. This bitter-tasting compound is pharmacologically classified as a 2gen antihistamine, with relative lack of CNS (central nervous system) activity. Clinical trials, in vitro and in vivo studies have shown the combined effect of direct inhibition and stabilisation of inflammatory cells. In vitro studies suggest that the affinity of azelastine for H1 receptors is several times higher than that of chlorpheniramine, a 1gen H1 antagonist. Azelastine directly antagonizes TNF-ÃŽ ±, leukotrienes, endothelin-1, and platlet-activating factor. In vivo studies in a guinea pig model have demonstrated that both histamine-related and h-independent bronchoconstriction were inhibited by azelastine (Williams et al., 2010). The second most potent compound tested is Chlorhexidine (CHX), a broad spectrum antimicrobial agent, frequently used in dental-care to inhibit bacterial growth and in periodontal disease prophylaxis. It is classified as antibacterial, but it can also interfere with the proteolytic activity of some periodontal pathogens. This inhibitory effect is associated with its chelating properties (Trufello et al., 2014). One of the chemicals used as standard for bitterness measurements is Quinine, a natural occurring alkaloid with different medicinal properties, such as antipyretic, antimalarial, analgesic, and anti-inflammatory activities. Methods D. discoideum discoideum maintenance Cells and spores were stored at -80  ºC, and every month an aliquot of the frozen stock was collected and placed on a Raoutella planticola bacterial lawn. After 3-4 days, plaques of growth were visible, which were then scraped and transferred into liquid dishes. Culture dishes were kept in absolute sterile conditions at the constant temperature of 21  ºC. Cells needed for experiments were transferred into shaking cultures (120 rpm/min) or washed off every 2 days. In order to make shaking cultures, cells were washed off the plate, transferred to a G0 media (Ax medium containing 100 µ/ml Penicillin and 100 µg/ml Streptomicin), and kept in the shaking incubator at 21  ºC and counted and or diluted every day. Cells were utilised for experiments after 2-3 days of shaking and flasks were kept for one week before replacing them with fresh cultures. The liquid content in flasks was 1/5 of the total flask volume, in order to maintain ideal growth conditions (oxygen and surface area) , and they were be kept between 2 and 5 x 106. Development assay Dictyostelium development assays were performed in triplicate experiments. Cells were plated onto membranes at the concentration of 1 x 107 per membrane (in KK2), then the membranes were transferred onto millipore filters embedded with the selected drug. Cells were placed in small petri dishes (6 cm diameter) and kept at 22  ºC for 24 hours in humid environmental conditions. Development images were taken after 24 hours at different magnification resolutions (x2, x3.2, and x4 side at 45-degree angle). D. discoideum Permanent stock At least 1 x 107 cells were collected from fresh culture plate, and resuspendend in 200ÃŽ ¼l D. discodeum freezing medium (7% DMSO, Horse serum), and frozen to -80 ºC using isopropanol freezing containers for two hours, then stored at -80  ºC in liquid nitrogen. Live cell microscopy To prepare D. discodeum cells (Ax2) for behaviour analysis experiments, cells were grown in shaking suspension in Axenic medium (Formedium Co. Ltd, Norfolk, UK) for at least 48hrs. Cells were washed and resuspended in phosphate buffer at 1.7 x 106 cells/ml. Cells were then pulsed for 5 hours with 30 nM cAMP at 6 min intervals whilst shaking at 120 rpm. Cells were then washed in phosphate buffer, resuspended at 1.7105 cells/ml, and 250  µL aliquots of cells were added to into a Lab-Tek 8-well chambered coverglass wells (Thermo Fisher, Leicestershire, UK), and allowed to adhere for 10-15 min, and for each experiment double concentrated drugs (250  µl) were administrated at the 15th frame by using a P1000. Cells movement was investigated using an Olympus IX71 microscope at 40X magnification, and images were recorded with a QImaging RetigaExi Fast1394 digital camera. Images were acquired every 15 seconds over a 15 min period for each compound, and at each concentration, with a minimu m of three independent experiments for each drug/concentration and an average cell number of 10 cells quantified per experiment. Solvent only controls were carried out for all experiments to ensure readouts were based upon compounds listed, with for example, no effect of DMSO shown at 1% – the highest concentration used in the experiments described here. References Ayana Wiener; Marina Shudler; Anat Levit; Masha Y. Niv. BitterDB: a database of bitter compounds. Nucleic Acids Res 2012, 40(Database issue):D413-419. Bachmanov AA, Beauchamp GK (2007). Taste Receptor Genes. Annual Review of Nutrition 27: 389–414. Choi, D.H. et al., 2013. Evaluation of taste-masking effects of pharmaceutical sweeteners with an electronic tongue system. Drug development and industrial pharmacy, 9045, pp.1–10. Available at: http://www.ncbi.nlm.nih.gov/pubmed/23786206 [Accessed October 10, 2013]. Finger, T.E. Kinnamon, S.C., 2011. Taste isn’t just for taste buds anymore. F1000 biology reports, 3(September), p.20. Available at: http://www.pubmedcentral.nih.gov/articlerender.fcgi?artid=3169900tool=pmcentrezrendertype=abstract [Accessed December 9, 2013]. Finger, T.E. Kinnamon, S.C., 2011. Taste isn’t just for taste buds anymore. F1000 biology reports, 3(September), p.20. Available at: http://www.pubmedcentral.nih.gov/articlerender.fcgi?artid=3169900tool=pmcentrezrendertype=abstract [Accessed December 9, 2013]. Gulbransen, B. D., Clapp, T. R., Kinnamon, S. C., Finger, T. E. (2009). NIH Public Access, 99(6), 2929–2937. doi:10.1152/jn.00066.2008.Nasal Holmes, a M., Rudd, J. a, Tattersall, F. D., Aziz, Q., Andrews, P. L. R. (2009). Opportunities for the replacement of animals in the study of nausea and vomiting. British Journal of Pharmacology, 157(6), 865–80. doi:10.1111/j.1476-5381.2009.00176.x Margolskee, R.F., 2002. Molecular mechanisms of bitter and sweet taste transduction. The Journal of biological chemistry, 277(1), pp.1–4. Available at: http://www.ncbi.nlm.nih.gov/pubmed/11696554 [Accessed December 4, 2013]. Meyerhof, W. et al., 2010. The molecular receptive ranges of human TAS2R bitter taste receptors. Chemical senses, 35(2), pp.157–70. Available at: http://www.ncbi.nlm.nih.gov/pubmed/20022913 [Accessed October 17, 2013]. Pulkkinen, V. et al., 2012. The bitter taste receptor (TAS2R) agonists denatonium and chloroquine display distinct patterns of relaxation of the guinea pig trachea. American journal of physiology. Lung cellular and molecular physiology, 303(11), pp.L956–66. Available at: http://www.ncbi.nlm.nih.gov/pubmed/22962016 [Accessed September 19, 2013]. Pulkkinen, V. et al., 2012. The bitter taste receptor (TAS2R) agonists denatonium and chloroquine display distinct patterns of relaxation of the guinea pig trachea. American journal of physiology. Lung cellular and molecular physiology, 303(11), pp.L956–66. Available at: http://www.ncbi.nlm.nih.gov/pubmed/22962016 [Accessed September 19, 2013]. Robery, S. et al., 2011. Investigating the effect of emetic compounds on chemotaxis in Dictyostelium identifies a non-sentient model for bitter and hot tastant research. PloS one, 6(9), p.e24439. Available at: http://www.pubmedcentral.nih.gov/articlerender.fcgi?artid=3169598tool=pmcentrezrendertype=abstract [Accessed October 10, 2013]. Rudnitskaya, A. et al., 2013. Assessment of bitter taste of pharmaceuticals with multisensor system employing 3 way PLS regression. Analytica chimica acta, 770, pp.45–52. Available at: http://www.ncbi.nlm.nih.gov/pubmed/23498685 [Accessed October 10, 2013]. Ueda, T. et al., 2003. Functional interaction between T2R taste receptors and G-protein alpha subunits expressed in taste receptor cells. The Journal of neuroscienceà ¢Ã¢â€š ¬Ã‚ ¯: the official journal of the Society for Neuroscience, 23(19), pp.7376–80. Available at: http://www.ncbi.nlm.nih.gov/pubmed/12917372. Wiener, A. et al., 2012. BitterDB: a database of bitter compounds. Nucleic acids research, 40(Database issue), pp.D413–9. Available at: http://www.pubmedcentral.nih.gov/articlerender.fcgi?artid=3245057tool=pmcentrezrendertype=abstract [Accessed October 17, 2013]. Williams, P.B., Crandall, E. Sheppard, J.D., 2010. Azelastine hydrochloride, a dual-acting anti-inflammatory ophthalmic solution, for treatment of allergic conjunctivitis. Clinical Ophthalmology, p.993. Available at: http://www.dovepress.com/azelastine-hydrochloride-a-dual-acting-anti-inflammatory-ophthalmic-so-peer-reviewed-article-OPTH [Accessed February 3, 2014]. Zhang, C.-H., Lifshitz, L. M., Uy, K. F., Ikebe, M., Fogarty, K. E., ZhuGe, R. (2013). The cellular and molecular basis of bitter tastant-induced bronchodilation. PLoS Biology, 11(3), e1001501. doi:10.1371/journal.pbio.1001501 Available at: http://www.pubmedcentral.nih.gov/articlerender.fcgi?artid=3589262tool=pmcentrezrendertype=abstract [Accessed October 15, 2013]. Trufello, a M. et al., 2014. Subclinical concentrations of chlorhexidine inhibit gelatinase activity of carious dentine in vitro. Australian dental journal, pp.1–6. Available at: http://www.ncbi.nlm.nih.gov/pubmed/24494744 [Accessed February 10, 2014].

Sunday, October 13, 2019

Victorian Era Life: Inspiration Revealed Essay -- Literary Analysis, T

Is it not true that events from the past can subsequently affect or influence the events of the future? This is certainly demonstrated in the poetry of Alfred Lord Tennyson. His nineteenth century background is clearly evident in his poetry. Inspirations for majorities of his works were from people he knew, occurrences in his life, imagery of trials, tribulations, love, and death in the Victorian era. His literary works in Poems of Tennyson 1830-1870 and The Poems and Plays of Tennyson strictly show the effects of his background during his adolescence and early adulthood. Tennyson was born in 1809 in Somersby, Lincolnshire, England; the fourth of twelve children (Everett). After leaving grammar school in 1820, his father, a rector, managed to give him a broad literary education, despite difficult conditions at home (â€Å"Tennyson†¦Ã¢â‚¬ ). As a precocious young man, Alfred learned to write in styles of John Milton, and Alexander Pope, as well as established an exceptional understanding of Elizabethan dramatic verse (Everett). William Wallace Robson says that by Tennyson’s early teens, â€Å"Lord Byron was a dominant influence on the young Tennyson† (Robson). Such an influence gave way to the young Tennyson’s The Devil and the Lady, a previously unpublished collection of poems, later published in 1930 with clear inspiration from his favorite childhood writers. Perhaps Tennyson’s father should have been an English teacher instead of a clergyman. While at the rectory, the Tennyson children found their own resources. In this respect, it is said, â€Å"All writers on Tennyson emphasize the influence of the Lincolnshire countryside on his poetry: the plain, the sea about his home, â€Å"the sand-built ridge of heaped hills that mound the sea,† and... ...on of war from the influence from this historical part of his Victorian era background certainly facilitated his fame and success. Mesmerized by his surroundings and culture, Tennyson used everything he could from his life experiences to compose poetry with relevance and meaning to his time, which could also fit in the future. He used circumstances in his life to denote his own opinions. His poetry presents audiences with new outlooks on particular issues of his era, and further into our own. From death, depression and war, to love and ecstasy, Tennyson used what he was most familiar with in order to write lyrical verses that one can easily comprehend. His poetic works in Poems of Tennyson 1830-1870 and The Poems and Plays of Tennyson show the myriad ways that his background during his adolescence and adulthood affected his literary accomplishments overall.

Saturday, October 12, 2019

British TV Drama :: essays papers

British TV Drama To what extent has British television drama contributed to a public discourse on major political and social issues, both in the recent past and during the 1960s. Please draw on specific examples in presenting your argument. In this essay I will discuss how political and social issues have been raised in British television drama and also how they relate to public discourse in Britain. I will discuss TV dramas such as Our Friends in the North, Talking to a Stranger, Cathy Come Home, and Boys from the Blackstuff. There are various issues, which could be identified as social and political in a TV drama, some of them are race, ethnicity, class and gender. Most people are influenced by television, believing what they see to be ‘real’ so it is useful to make a successful programme on hard-hitting issues as it will have deep impact on the audience. From the mid-50s on there has been an increase in original TV drama with a broader appeal. The preference for original drama was a reaction to the theatre’s preoccupation with middle-class concerns. So the ‘angry young men’ playwrights were established. They wrote about ‘real’ issues, about ‘problems faced by the members of a broader audience in their daily lives’. This can be seen in the 1960s, with the arrival of innovative dramas such as Cathy Come Home and Talking to a Stranger. In the 50s, 60s, 70s and 80s programmers were taking risks allowing new talent space to grow, but now TV drama tends to be more genre-based. Jeremy Sandford’s Cathy Come Home (1966) bought the issue of homelessness into the public’s eye by showing Cathy’s slide into poverty and despair. Cathy Come Home is ‘deeply concerned about aspects of our society and deals with the plight of the unfortunate, the misunderstood, the ignored’. Policies were promptly changed after this programme was aired; the homeless charity ‘Shelter’ formed four days after Cathy Come Home was screened. Cathy Come Home used an innovative documentary style by using lightweight cameras and by taking the action out of the studio. The director Ken Loach rejected the used of the studio and instead opted for 16mm film. Cathy Come Home offered ‘a harsh and jarring realism which depended on energetic editing, creative use of sound and dialogue, and techniques borrowed from documentary.