Thursday, October 31, 2019

Effect of Bcl-2 on Lung Cancer Essay Example | Topics and Well Written Essays - 2000 words

Effect of Bcl-2 on Lung Cancer - Essay Example To be able to obtain an accurate and strongly reliable research finding and study conclusion, the research method should always be aligned with the research hypothesis at all times. Back then, it was hypothesized in the study of Xu et al. (2013) that there can be a strong connection between Bcl-2 with a person’s susceptibility to lung cancer and its prognosis among the Chinese men. Specifically, the research hypothesis of Xu et al. (2013) is very much in-line with its chosen research method. It means that the authors’ decision to make use of its research method is good enough to determine whether or not the research hypothesis presented in the said study should be accepted or not. For example, in the process of selecting and genotyping a total of 3 Bcl-2’s tagSNP (i.e. rs1564483, rs 1801018, and rs 2279115) in 1017 couple of Chinese male with lung cancer using the TaqMan assay, the authors were able to find out that the genotypes of rs1564483GA, AA, as well as GA+AA, were strongly related to the decrease in Chinese men’s susceptibility to lung cancer whereas the allele of rs1564483A increases Chinese men’s susceptibility of developing lung cancer particularly those who had family history of cancer and previous smoking habit. In this study, the clinical term â€Å"prognosis† is all about being able to foretell the possible long-term effects after a person has been diagnosed with lung cancer. Using the same research method, Xu et al. (2013) found out that research participants with Bcl-2 rs1564483 GA+AA genotypes are the ones who can experience longer survival rate and reduced risks of untimely deaths as compared to those Chinese men with rs1564483GG genotype. The primary exposure of interest in this study was genetic factors, in particular, the polymorphism of the Bcl-2 gene in the Chinese men. This was measured by genotyping using the TaqMan method that used a sequence detection system (Xu et al, 2013).

Tuesday, October 29, 2019

Quality Improvement Research Paper Example | Topics and Well Written Essays - 750 words

Quality Improvement - Research Paper Example The foundational frameworks of quality improvement include Quality Circles (where a group of employees interact to identify and resolve problems to ensure quality), Sig Sigma (which is about ensuring high quality and attaining cost-efficiency), Benchmarking (when a company compares its products or services against competitors’ market offerings), Reduced Cycled Time (complete business process in shortest possible time) and Continuous Improvement ( process and product innovation to ensure differentiation and high quality premium products). There are differences among the definitions given by healthcare stakeholders such as Managers, Clinicians, Patients, Industry analysts and Human research specialists because of personal experiences, attitudes, behaviors, education, past experiences, skills and lifestyles. Indeed, a patient if provided all major healthcare services under one-roof in a center will express that quality of healthcare is higher. Similarly, the professionals and clinicians will express improvement in quality only when they observe any developments and advancements in technology or computerized systems, increase in facilities within a center or hospital and improvements in immediate or emergency services all across the country etc. The reason behind it is the fact that computerized systems help in accurate diagnose that in turn improves quality of services provided to patients. Similarly, more facilities at healthcare centers and emergence of new centres enhance the reach thereby enabling customers to cons ult any nearby center for healthcare. Quality improvement is not only been adopted by core profit-maximizing business enterprises but also in Healthcare industry. The reason being the fact that top quality to patients by clinicians, physicians and others etc. will result in alleviating threats of major chronic and acute illnesses that in turn will reduce financial burden on government and concerned authorities.

Sunday, October 27, 2019

Development Of Emotional Resilience

Development Of Emotional Resilience What is emotional resilience and how does this develop? What might the consequences be for someone who has this process disturbed? Emotional resilience is not a unitary concept of the self but integral to the multi-faceted, wider process of psychological resilience; retaining homeostatic mental security in an eternally shifting, socially constructed world. Resilience develops through experiential maturation; a dynamic process of adaptation and resistance in the endeavour to maintain social identity within specific hereditary and adaptive cultures. This response proposes that emotion is the core of an embodied individual resilience within relational contexts; therefore to seek conceptual understanding, consideration must be made of biological, behavioural and phenomenological influences on the psychological state. Empirical evidence proposes that the templates of emotional resilience are formed from the first day of a new life (even in uteri) and develop within the attachments of familial and systemic structures, experiencing both positive and adverse environmental factors. This brief insight will offer the reade r some understanding of the specific concept of emotion in our Western world. It will lead to focus on the crucial factor of human attachments as they model individual psychological development, and it will become clear that emotional resilience is part of a development synthesis (Cairns 1979) assimilated into psychological, social and cognitive theories that accumulatively demonstrate the emotional range of culture. When this synthesis is disturbed or traumatised, the concepts of fear or anxiety are experienced and begin an organic protective conditioning that if continual, can become manifested as negative psychological conditions and maladaptive behaviour. In seeking therapeutic efficacy, emotions might therefore be explored in relation to individual needs. The complexity of the social-mind-body assimilation presents a fascinating challenge for reparative treatment; research leading to a modernity of thought and beginning pro-active application of preventative measures through va rying social programmes. What are emotions? From early philosophical consideration to date, emotion has been viewed as an interference with rationality; an echo of pre-sapient expression. Darwin (1872)  [1]  introduced the concept of emotion in The expression of the Emotions in Man and Animals as he defined specific emotions finding expression through facial movement and overt behaviour. William James (1884)  [2]  extended this perspective in an article in Mind as he proposed this as a result of a prior, emotional neural signal; the feeling of physiological change Is the emotion. James Lange (1890)  [3]  developed this hypothesis further defining the first systemic theory of emotion, proposing three stages of emotional elicitation and physiological response: a presented emotional stimulus arousal in the autonomic nervous system physiological feedback leading to experience of an emotion In adverse extremity, we might acknowledge this as the basis of the fight or flight stress response, however this concept was extended by the Cannon-Bard Theory (1929)  [4]  as it specifically identified the hypothalamus of the brain to be the organ that activated physiological changes. Whereas the James-Lang Theory argued that human experience of emotion depended on preceding bodily changes, the Cannon-Bard Theory claimed that emotional experiences and bodily changes are independent. Early thought therefore understood resilience to be embedded in neurological physiological states. These proposals held historical behavioural cognitive validity, however there was no clarity of how an emotional situation actually activated the thalamus, i.e. how did the cognitive system detect that a stimulus was threatening or innocuous? The question remained: do individuals experience emotion based on their bodily perception, or are there specific emotional neural patterns which respond to envi ronmental events that result in physiological and visceral expressions? Perhaps the fulcrum of research was Schachter (1922 -1977)  [5]  as he proposed that only a general stage of visceral arousal was necessary for the experience of emotion and the individual would present the experience in the language of cognition, i.e. thought, past experiences, environmental references. Historical witness gave rise to Schachters James theories taken in accordance; as visceral arousal being essential for emotional experience but the manifestation of the emotion dependent on the cognitive, perceptual evaluations of external environment. To connect our animal nature with the world in which it is embeddedemotions respond immediately to the truth of things. They are the most alert form of attention. Disgust turns away from decay, fear warns of danger, desire recognizes beauty and pity responds to need. Hillman (1972) The psycho-biological and social perspectives are therefore implicit to the concept of emotional resilience within experiential processes. Drever (1964) stated that emotion is a complex state of the organism, involving bodily changes of widespread character in breathing, pulse, gland secretion etc. à ¢Ã¢â€š ¬Ã‚ ¦and on the mental side, a state of excitement or perturbation, marked by a strong feeling, and usually an impulse towards a definite form of behaviour. Intrinsically connected the neurological and physiological systems create behavioural responses, evoking feelings and thoughts subsequently manifesting as learned behaviour and leaving a residue of experience. Drevers analysis alludes to trans-theoretical components which could initially be assumed to be in contextual concordance; cognitive, physiological, experiential, expressive and behavioural. These assumptions are integral to the research of Schachter Singer (1962) and their cognitive labelling theory  [6]  ; two f actors proposed as essential for emotional experience: high physiological arousal (neuro-psychological) emotional interpretation or label of the arousal, e.g. fear, pleasure, anger, (expressed through culturally shaped language). Critique could hold these assumptions as simplistic when considering Craske Craigs (1984) study of performing pianists, which typically found a lack of concordance of components during adverse situations. Whilst stress measurements of an individual component correlated significantly, trans-component measurements reflected little concordance, amplifying the complexity of emotion and its development of resilience. Why therefore can an individual appear to be very anxious or angry when one component of emotion is considered, but not when a different one is assessed? If the components were in correlation with each other, a singular measurement would only be necessary to understand an individuals emotional state. This observed lack of correlation supports consideration of integrative theoretical perspectives, as individuals have unique systemic foundations and neurological processing modalities. If as so far theoretically proposed, the origin of an emotion is an inherently organic and genetically pre-determined reaction to a stimulus; if the stimulus is adverse, how long can negative psychological impact be sustained without harm? Concepts of emotions and resilience are therefore embedded in a dynamic and interactive process of environmental interaction and socialisation, leading to a phenomenological consideration of experience. Phenomenological consideration reveals a diversity of emotional states identified at an experiential level. Mauss (1872 -1950)  [7]  and Mead (1901 -1978)  [8]  proposed individual minds to be penetrated by social and cultural practices; internal representations creating a dynamic view of the self. As we consider the socio-biological/cognitive proposals, it seems emotions are an individuals indicator of their human state in society and crucial to the defence of the self; therefore what of psychoanalytical thought? Freud purported emotions as a biological function, manifested as neuroses originating inner desires ; Jung (1875-1961)  [9]  proposed an archetypal self care system; for Adler (1870-1937)  [10]  self defence was socially based in the drive for success; existentialists such as Heidegger (1972)  [11]  and Kierkegaard (1960)  [12]  propose emotions as exposure of the threat of non-being; Ekman  [13]   Davidson  [14]  (1994) the evolutionary forc e that enables us to adapt to our life tasks and Hillman (1972),  [15]  emotions as symbols representative of the holistic pattern of the soul (Freshwater Robertson 2002). Is an individuals consciousness and internal world therefore systemically distorted to avoid anxiety? Within the psychodynamic realm, it seems individuals are not rational truth-seekers, attempting to accurately interpret the world, but defensive beings who distort reality in the avoidance of psychological pain. Within the interactive subtleties of the individual and social environment, two areas of thought occur in consideration of disturbed emotional resilience; the relationship with sustained, negative environmental forces and the impact of sudden trauma. Emotional resilience One of the most profound sources of anxiety is evoked through fear of a loss of identity or fragmentation and loss of self. The self evolves from birth as emotions develop from pre-verbal experiences, many of which are paralleled with another human being; the mother or primary care giver. Through the development of emotional resilience the crucial impact of attachments as familial and social interactions are internalised, not only to form emotional templates, but also the raw material of the self. Resilience of the self evolves if relations are stable; if not individuals will struggle to create a secure internal version of reality that enables assimilation with the external world. In healthy psychological development, everything depends upon a gradual humanisation and integration of the archetypal opposite inherent of the self as the infant and young child wrestles with tolerable experiences of frustration (hate) in context of a good-enough (not perfect) primary relationship.in as much as the traumatised child has intolerable experiences in the object world, the negative side of the self does not personalise, remaining archaic.the internal world becomes menaced. Kalsched (1996) Integral to the narrative of attachments, and the phenomenological experience fundamental to emotional resilience, Rothbart Ahadi (1994) proposed the element of genetic temperament. Encompassing differences in reactivity and self-regulation within a conjoint physiological and psychological concept, they identified the behavioural scales of surgency/extraversion (high intensity, pleasure v. impulsiveness and shyness); negative/affectivity (discomfort, fear v. satiability comfort) effortful control (inhibitory control, attentional focussing v. perceptual sensitivity). The first two dimensions of infant temperament; fearfulness and irritability correlate with childhood and adult dimensions of negative affectivity or neuroticism and reflect a parallel proposal to Eysencks (1916 -1997)  [16]  theory of arousal systems and the correlation with extraversion and introversion. Rutter Quinton (1984) found that children with heightened negative temperament and low malleability were like ly to elicit irritability and hostility from their parents; the formation of a negative attachment cycle. Rutter (1990) further suggested that this reflected a pattern in which the childrens attributes make them a focus for discord[increasing] the probability that exposure will set in motion a train of adverse reactions that will prolong the risk. Such cyclical behaviour leads us to note the socially constructed self formed through familial scripts and systemic legacies of beliefs and interaction; therefore as personality traits are considered, a set of variable responses may be interpreted as internalised habitual behaviour, thoughts, values, needs and goals. In the search of self, inner reflection arouses further emotions that might lead to additional adaptations, both negative and positive. Satinoff (1982) summarises; an organism behaviour at a particular time depends on the state of its nervous system, the stimuli in its immediate environment, its past individual history and the evolutionary history of its species. This analysis can be applied to the development of attachment as Bowlby (1969)  [17]  noted that adaptive function of proximity maintenance in the protection of human young, and simply identifying humans as social species therefore suggests the evolutionary functions of systems serve to keep individuals physically and emotionally close to others. If formulated on secure systemic attachments, there will be resilience of self; if conversely formulated on dysfunctional, avoidant or anxious attachments, emotional resilience is jeopardised. Social scripts and dogmas of early life, such as men dont cry can become exemplars of inappropriate relational paradigms which lead to conflict of an instinctual demand of attachment behaviour being socially accepted. When internalised distorted scripts remain active in the unconscious, they might severely restrict an adult ability to express emotion. The parody revealed is that through the formations within a psycho-social and behavioural paradigm, individuals who evolve within a negative or abusive environment, despite the continual experience of pain and anxiety, often continue to seek such relations and environments perpetuating the projective cycle of negativity with exposure to the risk of psychopathological development. Freshwater Robertson (2002) highlight the specific pathogenic personality of the parent(s) and the specific pathogenic atmosphere in which the child grew up that account for mal-developments, fixations and unsolvable inner conflicts characterising the adult personality; the correlation reflecting the breakdown in emotional resilience. Manifestation might then be seen in conditions such as social disorders, substance or alcohol abuse, obsessive compulsive disorder, depression, and in the extreme psychosis. What of the impact of sudden trauma? We are aware of the physiological response of the autonomic nervous system, however the psychological impact is not easily assessed as this is dependent on the formulated emotional resilience of an individual. Jung (1929) stated that certain complexes arise from painful or distressing experiences of an emotional nature leave lasting psychic woundsoften [crushing] valuable qualities in an individual. All these produce unconscious complexes of personal nature..others come from quite a different source.the collective unconscious.  [18]  The historical Western script in relation to psychological pain has been to ignore it; to get on with life. There has to be an element of stoicism to return to functional life; however the psyche is powerful in demanding remembrance of pain as poignantly recorded in the recent memorial to the liberation of Auschwitz 65 years later: So I was hiding out in the heap of dead bodies because in the last week when the crematoria didnt function at all, the bodies were just building up higher and higher. So there I was at night time, in the daytime I was roaming around in the camp, and this is where I actually survived. Bart Stern  [19]   Social scripts are changing but some denial still exists in corners of Western culture. Theorists have suggested that in the desire to block psychological pain, or to control or avoid emotional responses in accordance to this legacy of the collective unconscious, an emotional numbing becomes an automatic process; evoking symptoms of disinterest, detachment or denial. Avoidance of emotional material is thought to be a central factor in negative outcomes such as post traumatic stress disorder (PTSD). The emotional processing model proposed by Foa Kozak (1986) and the relational construct theory of human learning (Kelly 1905 -1967 )  [20]  give some insight to the effect and symptoms of PTSD. The theories account for the generalisation of trauma cues within learned behaviour, of memories of trauma and experiential and external, emotionally associated responses. Avoidance of emotion can lead to paradoxical increases in emotional experience; suppression of thoughts leading to target- related anxiety, i.e. situational factors. The crucial note of Jungian theory is that traumatic emotional experiences can remain in the psyche by becoming autonomous and adopting characteristics of their own, which can then dominate or even possess the conscious ego (Roemer Borkovec 1994). Following trauma, concealment of emotions has also been associated with diminished memory for information and cognitive ability interfering with an individuals ability to engage adaptively with the environment. Therapeutic efficacy in the maintenance of emotional resilience The complicity of factors relating to the disturbance of emotional resilience continues as a focal height of research. Salters et al (2002) highlighted areas of theoretical empirical evidence gaining credence in the link between and emotionally avoidant perception, social interaction and, in the area of therapeutic efficacy, the experience of clinical anxiety. Plagued by definitional and methodological challenges, the study of emotional resilience holds complex phenomena; however cross-theoretical approaches now contribute to holistic understanding. Craske Zucker (2002) proposed models for psycho-social interventions as they highlight several of the specific factors discussed that affect emotional resilience; anxiety, familial transmission, temperament, life stresses and co-morbidity. Their research focussed on buffer factors of emotional resilience through concepts such as hardiness and social support. Seligman (2000) had emphasised the importance of optimism as Rutter (1995) outl ined five categories of protective factors: reduction of adverse experiences, reduction of negative chain reactions, promotion of self esteem and self efficacy; the opening of positive opportunities and the positive cognitive processing of negative experiences. Davidson (2000) clarified these as a broad constellation of processes that serve to amplify, attenuate or maintain the strength of emotional reactions. It is identified that anxiety disorders are most likely to develop during critical developmental stages, dependent on the resilience of the emotional templates; (Blehar 1995) transitions such as adolescence and mid-life could therefore be crucial times for the support of a proactive-developmental-ecological approach (Winett et al 1989). Conclusion The area of research into emotional resilience is self perpetuating and too vast to address comprehensively in this short response. It is therefore hoped that some insight is offered to the complexity of emotions as structured phenomena, and resilience as the dynamic component of this. It has reflected a trans-theoretical combination of psychotherapeutic thought, and presented the evolution of human emotional resilience to be a synthesising process that demands positive adaptation to lifes adversity. Crucial to the maintenance of healthy emotional resilience within social interaction is the exposure to, internalisation of, and management of positive and negative stimuli. Emotions are not merely feeling states but internal states that when disturbed, the distinction between the collective and individual unconscious becomes obscured creating internal distress and continues to reflect what Jung described in1912 as the problem of our time. The Gestalt perspective exemplifies the struggle to address this problem and maintain a healthy emotional resilience as it presents the human psyche and body to be an organic function and ultimate experiential unit (Perls 1969).  [21]   I do my thing you do your thing. I am not in this world to live up to your expectations And you are not in this world to live up to mine. You are you and I am I And if by chance we find each other, its beautiful. If not, it cannot be helped. Gestalt Prayer [3209]

Friday, October 25, 2019

Daycare: The Effects On Children Essay -- essays research papers

With the successes of welfare reform and the high turnout of female college graduates mothers are increasingly, entering the workforce. As affirmed by the Wilson Quarterly (Autumn 98, Vol. 22 Issue 4), â€Å"Ben Wildavsky, a staff correspondent for the National Journal (Jan. 24, 1998), provides statistical background. In 1997, nearly 42 percent of women with children under six were working full-time, 5 percent were looking for work, 18 percent had part-time jobs, and 35 percent were not working outside the home† (p.115). Using these figures it is said that 65 percent of women with children aged younger than six are working or would like to be. Daycare is a necessity for the majority of working American mothers. Within the past 20 years child social developmentalists have accumulated evidence to show that unless children gain minimal social competence by the age of six years, they have a high probability of being at risk throughout life. (Denham & Burton, 1996) Thus peer relationships contribute a great deal to both social and cognitive development and to the effectiveness with which we function as adults. Others suggest that the number of caregivers and the amount of time children spend away from parents’ harms parent-child relationships thus, weakening cognitive and emotional development (Kelly, 2000). This paper will discuss the effects of daycare on children and how to choose one of high quality. Many daycare opponents believe bonding, a strong emotional attachment that forms between a child and parent, is disrupted when mothers and fathers rely on others to be substitute parents. Children who are securely bonded to parents are more confident in their explorations of their environment and have a higher sense of self-esteem than children who are insecurely bonded to their parents. Dr. Stanley Greenspan, a professor of psychiatry and pediatrics at George Washington University Medical School, who has authored several books including the recent book, The Irreducible Needs of Children says, â€Å"A warm, loving human relationship is very important for intellectual development. Children form their capacity to think and self-image based on these back-and-forth interactions. Fewer of these are happening, because families are so busy and more care is being done outside the home. Studies [show] that for all ages, 85 percent of day care is not high quality† (Kelly, 200... ...ay Setting. Child Study Journal, 28(3) (1998). 225-245. Kelly, K. (2000, October 30). Child Docs to Parents: Stay Home and Save your Kids. U.S. News & World Report, 129(4), 65 Oesterreich, L. Childcare Checklist for Parents: PM 1805 <a href="http://www.extension.iastate.edu/Pages/pubs/">http://www.extension.iastate.edu/Pages/pubs/. (December 1999) Schuetze, P., Lewis, A., & DiMartino, D. Relation Between Time Spent in Daycare and Exploratory Behaviors in 9-month-old Infants., Infant Behavior & Development 22(2) (1999), 267-276 Schumacher, R. B. & Carlson, R. S. Variables and Risk Factors Associated with Child Abuse in Daycare Settings., Child Abuse & Neglect, 23(9) (1999) 891-898. â€Å"The Battle Over Child Care,† Wilson Quarterly Autumn 98, 22(4), 115-116 Waterman, J., Kelly, R. J., Oliveri, M. K., & McCord, J. (1993). Behind the Playground Wall: Sexual Abuse in Preschool. New York. Guilford Press. Wilson, E. and Tweedie, P. S. Selecting Quality Child Care. National Network for Child Care: <a href="http://www.nncc.org/Choose.Quality.Care/select.care.html">http://www.nncc.org/Choose.Quality.Care/select.care.html. (December 1996).

Thursday, October 24, 2019

Are our actions truly our own? Essay

What we do, where we walk, how we act and what decisions we take; are they guided by our free will or by the hand of fate? Even if we do have free will; are we one hundred percent, truly free or is free will just training wheels carrying us along different paths to our predestined location? If so, we are inherently limited from birth in the aspects of our intelligence, success, and true freedom depending on how binding the shackles of fate truly are. We can’t control circumstances of our birth or generally life-altering things that are out of our control such as a random lightning strike or traffic accident, but perhaps we can control the broader course of our life through our actions. One who trains their body diligently and with supreme effort may become a famous MMA fighter with a body that the ancient Greeks would marvel at, but what if that person’s profession and training were stamped into him at birth? At conception? At the beginning of time itself? Possible, but what if he just made a decision one day and earned it? There simply is no way to know, short of speaking with the divinity that has assigned us all our fates if such a being exists. Say we are all prisoners in an inescapable prison of destiny. Perhaps some of us are given the opportunity to control our fates. Perhaps some of us are afforded a choice between the blue pill or the red pill; the choice to be a living puppet or to break into our own universal order and control our own lives. We will never know. The one thing we may know however, is that we may be given this choice one day, and this rift in the balance of the universe will afford us enough free will in the situation simply to make the decision between the blue pill and the red pill. We can know in our hearts what our decisions will be when we are handed our destinies and told to take control and become the master of our own destinies or release them back into the cosmic wind, and become a simple puppet once more. I can speak for no one but myself, but I know my answer in my heart. The thought of my life being anything but my own up until this point sickens me. I will not be a puppet,  I will not be led forcefully through my destiny by the imperceptible shackles of fate. I will take control of my destiny, steer my own ship; I will be the master of my own destiny if the expense is my life; because I know the life I led will have truly been mine.

Wednesday, October 23, 2019

Clothing, Handbags and Jewelry Industries in the Us

Clothing Accessories * The global clothing accessories industry is worth close to $16. 5 billion, according to research from Packaged Facts. During the economic recession, many consumers opted to buy accessories instead of more expensive items of clothing(Accessories can be sold even in recession). Spending patterns concerning accessories are slightly different than clothing purchases as accessories are often bought on impulse or as add-on purchases. The world clothing accessories market is expected to exceed $20 billion by 2012.The global clothing accessories market is expected to see growth resume in the post recession period. Consumer confidence is recovering from the lows of the economic recession, with shoppers more willing to splash out on luxury and non-essential items. As consumers become increasingly conscious about the environment, demand for environmentally friendly luggage will rise(focus more on environmental friendly products, could also be used as a marketing strategy) . Handbags This U. S. industry comprises establishments primarily engaged in manufacturing women's handbags and purses of any material (except precious metal).This 6-digit NAICS industry (316992) is under the hierarchy of Other Leather and Allied Product Manufacturing Industry (31699), Leather and Allied Product Manufacturing Subsector (316), and the Manufacturing Sector (31-33). Revenue, Profitability ; Foreign Trade Preview The industry's revenue for the year 2010 was approximately $351. 1 million USD, with an estimated gross profit of 51. 29%. Import was valued at $2. 3 billion USD from 111 countries. The industry also exported $256. 2 million USD worth of merchandise to 117 countries.Adding import value to and subtracting export value from the industry's shipment value, the total domestic demand for the industry in 2010 was $2. 4 billion USD. (This could be the biggest market for sale) Jewelry 1) Costume jewelry is considered a discrete category of fashion accessory, and display s many characteristics of a self-contained industry. Costume jewelry manufacturers are located throughout the world, with a particular concentration in parts of China and India, where entire city-wide and region-wide economies are dominated by the trade of these goods.There has been considerable controversy in the United States and elsewhere about the lack of regulations in the manufacture of such jewelry—these range from human rights issues surrounding the treatment of labor, to the use of manufacturing processes in which small, but potentially harmful, amounts of toxic metals are added during production. (lot of cadmium found) As part of the supply chain, wholesalers in the United States and other nations purchase costume jewelry from manufacturers and typically import or export it to wholesale distributors and suppliers who deal directly with retailers.Wholesale costume jewelry merchants would traditionally seek out new suppliers at trade shows. As the Internet has become increasingly important in global trade, the trade-show model has changed. Retailers can now select from a large number of wholesalers with sites on the World Wide Web. Some of these sites also market directly to consumers, who can purchase costume jewelry at greatly reduced prices. Some of these sites include fashion jewelry as a separate category, while some use this term in favor of costume jewelry.The trend of jewelry-making at home by hobbyists for personal enjoyment or for sale on sites like Etsy has resulted in the common practice of buying wholesale costume jewelry in bulk and using it for parts. 2) World costume jewelry market stands enthused by the increasing emphasis laid down by consumers on fashion and style(most important for the attraction of the customers). Demand for costume jewelry and fashion accessories, such as, rings, earrings, bracelets, bangles, lockets, and brooches, is waxing at a healthy pace, driven largely by consumer preference for affordable, yet fashio nable jewelry.Costume jewelry has tailored looks and styles borrowed from fine jewelry. However, updated impressions of these are needed to supplement and accessorize the latest apparel from couture houses and the fashion industry. Fashions in costume jewelry are generally reflected in the ready-to-wear apparel and accessories industry. Given the relative inexpensiveness and affordability of costume jewelry, purchases are predominantly impulsive especially for the younger generation(could be one of the main target markets).Designing of costume jewelry is closely in line with the apparel market. Strong economic development in developing countries, rise in GDP, standards of living, and disposable incomes, are all factors fuelling the market's growth. Growing sophistication of consumer tastes(what exactly does the customer wants? ) in the developed markets is fingered as a key reason for sales gain in these markets. Design innovations from manufacturers and fashion designers are helpin g attract fashion-savvy consumers.Unique designs, durability, and high quality are all variables for product success in the marketplace. General idea about the market for jewelry Costume jewelry market worldwide is dominated by the United States with an estimated 32. 49% share in the year 2007, as stated by Global Industry Analysts, Inc. Asia-Pacific represents the fastest growing market, mirroring a projected CAGR of 6. 93% over the period 2000 to 2010. In the Necklaces, bracelets & chains market, sales are forecast to rise by US$3,853 million between the period 2007 to 2015.Global sales of Brooches, Pendants & Pins are projected to reach US$2. 0 billion by the year 2015. Ear Rings market in Asia-Pacific is forecast to grow at a robust CAGR of 9. 52% over the 2011 to 2015 period. Leading players operating in the global costume jewelry market include Avon Products Inc, Adrian Buckley Jewellery, DCK Concessions Ltd, H. Stern Com. & Ind. S. A, K&M Associates, The Colibri Group, Roman Research Inc. , and Swank Inc. (we could implement their strategies)

Tuesday, October 22, 2019

Counter Transfer As A Professional Social Work Essays

Counter Transfer As A Professional Social Work Essays Counter Transfer As A Professional Social Work Essay Counter Transfer As A Professional Social Work Essay In my point of position, it is inevitable that persons ever have their ain bounds to exceed, for those precisely are the real-selves and human nature. No 1 s perfect and nil s the lone pick. I was been taught to separate between the good people and bad people since I was a kid, turning up bit by bit, I realize that there is no restrict boundary line or criterion to justice people. No affair the one is ugly or beautiful, looked nice or shabby. I know that the visual aspect of persons can non be tantamount to who are they, what we saw sometimes is non what truly is. Though, these rules and principles are rather sensible and persuading, there is still acquiring opportunities to be self-asserting and judgmental towards person. Possibly people merely experience bad about certain specific group out of inherent aptitude for some grounds are difficult to be cognizant of. But as a possible societal worker, I need to research more about myself and calculate out how to get by with the failings in human nature through insistent pattern and to a individual with the minimal bias and judgement every bit less as possible. 1 the ground why I choose MSW The Social Work had non been a really clear construct until I decided to use for this major of the University of Hong Kong, for I was majored in the Public Affairs Management of the undergraduate schooling. At that clip, a general thought came to my head that the Social Work is specialized in the concrete affairs. It is besides the ground why I choose this major for I hope to larn the practical accomplishments instead than the abstract and practical academic cognition. However, there has been a concern bing in my bosom that I am afraid what if I can non make anything to those who are seeking aid and aid, though I know it is merely because my old major are rather irrelevant the current one which make me a small spot nervous, for I am the sort of individual that if I feel I am non qualified to assist people so I will non prematurely offer aid. So I need to be well-equipped myself in order to assist people readily at any clip. I think the biennial Master of Social Work plan is besides a journey for me to make the self-exploration. I am an ordinary individual with defects in personality, but I hope to better myself through the graduate student. 2 The impeditive factor from the past experience In the sphere of societal work pattern, it can be imagined that we as the possible societal worker will take assorted instances and confront with different sorts of clients. And I deem that we will non hold excessively much right to take which client we will cover with. In my positions, I think I need to develop myself to be a qualified societal worker with a wide head and high credence and tolerance. After contemplation, I think the clients who looked fierce and barbarous might arouse images of my past experiences, particularly my childhood experience. I was a really diffident and timid when I was a kid. After reexamining my yesteryear, I deem that there are two grounds lending to my cowardice. The deep ground is the over-protection from my household members. Because my female parent gave birth of me about in dystocia, I ever got illness for the non good physical quality. Therefore, all of my households and relations particularly took attention of me. Particularly my parents hardly allowed me to play with other kids after dinner, for they thought I was vulnerable easy to acquire injury, which contributed me to a quite speechless and a coward kid at that clip. I frequently could non show my feelings good. For illustration, I hardly talked back or defended for myself when the other kindergarten schoolmates bullied me. For this ground, I stilled remembered my female parent taught me many clip to protect myself. But I still did non alter a spot in my childhood. And there is a piece of panicky memory in my childhood. It was a lingering memory that I was about kidnapped at 3 old ages old and a half. In the anteroom of a local infirmary, my female parent put my down and she went to bring the medical specialties, a alien merely keep me in his weaponries when I was waiting for my female parent and intended to take me off, coincidentally meeting my uncle who was traveling to hospital to take us place around the gate of the infirmary. I did non retrieve the exact expression of that alien but a really barbarous image in my head. Since so I was highly afraid of people with ferocious and fierce expression and hardly daring to speak to the 1s with that expression. 3 The analysis of the Social Work Practice position Though now I am a grown-up with critical thought and rational judgement, I can command my fright when confronting with such sort of individual. Sometimes I feel that there is still a spread between myself and the feeling of that sort of individual, and I still seek to maintain distance with those sorts of people. Therefore, it is necessary to happen out the possible influence on the future societal work pattern. After reexamining some books and articles, I think my fright about specific group would perchance trip the countertransference in the future societal work pattern. At one manus, I know the fright of the expression like barbarous client is bing in my head ; one the other manus, I hope I still can supply efficient aid to him/her, and I do non desire my pervious experience to impede the intercession procedure. Sometimes, I am even doubted whether it is merely an alibi for me to entree something new. This self-inconsistency is what I am disquieted about. First, I need to calculate out what is countertransference. The proficient term of countertransference was first clip mentioned in 1910 by Freud ( Gelso A ; Hayes, 1998 ) . He thought that the countertransference is happened during the therapy session, because of the patient s influence on the healer, the profession might respond unsuitably against the professional demand Reich ( 1951 ) subdivided the countertransference into two types: the chronic and the ague . The former is based on the personal features which have the cardinal influence on the human behaviours ; the latter will perchance go on on the status that facing with the specific client in some specific circumstance. Contemporarily, mentioning to Bouchand, Normandin and Seguin, there are three types of countertransference: 1 ) Objective-rational countertransference as the impersonal type ; 2 ) Reactive countertransference as the conflictive 1 ( something about the client might remind the societal worker of non good p ast experience ) ; 3 ) Brooding countertransference as the positive 1 ( will actuate the societal worker to hold deeper penetration into the client ) ( 1995 ) .The modern-day positions the countertransference from professions reactions to clients related to one s present/ yesteryear experiences or the features of clients ( James, 2008 ; Knight, 2006 ; Nichols, 2006 ) . In my position, the countertransference can be summarized as the ineluctable overt or covert reactions from the societal worker triggered by some characteristic or experience of the clients, during the innovation procedure or realized by societal workers themselves, and the implicit in ground for the reactions is the unresolved issues of the societal worker. Second, the possible effects of the countertransference can be positive for the societal worker every bit good as the clients. The countertransference plays an of import and influential function in the psychotherapeutics. Every coin has two sides, if the societal worker can take the advantage of the countertransference, so the therapy procedure will be more good for the client on the ground that the societal worker will give more energy and clip on behalf of the client. In the visible radiation of the basic cognition of the Social Work and the counsel of the Code of Practice for Registered Social Worker from NASW, some societal workers can acquire an consciousness of the emotional or feeling reactions towards the certain clients, so if they start to review the implicit in reason-their yesteryear experiences, it will be non merely a good opportunity for the societal worker to cognize herself/himself better and decide the past issues but besides provide more efficient assist the client s from the deep penetration of the contemplation. 4 Personal program of get bying with countertransference 4.1 Coping with fright Harmonizing to the typical professional countertransference reactions summarized by Knight ( 2006 ) and Etherington ( 2002 ) , my state of affairs is rather similar to the disliking certain types of clients ( Papalia, 2009 ) . For my instance, I think my internal feeing is fear for those looked barbarous people and I might transpirate with some covert disfavors if facing them. It can be seen that my fright stems straight from the first feeling. Based on the feeling, it is prone to do anticipation or expectancy of the people I first clip meet with. Therefore, foremost, I should to larn to avoid the primacy consequence by giving the psychological suggestion to myself like He/she is merely a client non precisely a bad individual ; I should be professional and so on , merely like a self-talk, with several times of deep breath, which will assist me clam down. Second, happening something in common can alleviate the fright. When you undertake a high-stakes anticipation, maintain looki ng until you find some common land, something you portion with the individual whose behaviours you seek to foretell -this will assist you see the state of affairs as he perceives it. 4.2 Making the regular self-contemplation Though life in a metropolis with rapid life pacing, there is still indispensible to squash clip for myself and believe about what I have been through. In my positions, I can do the self-contemplation through 3 different ways, foremost is the self-reflection, affecting an analytical gestural duologue with myself in order to detect and screen out the beginnings of feelings and perceptual experiences. Everyday, a period of clip is required to do retrospection and self-introspection, which I think it is a good manner to develop myself holding a peaceable head. For case, I have a ready to hand notepad, really I have already written out a twosome of them of thoughts or short journals since the first twelvemonth in senior high school. Now I non merely necessitate to compose what I am believing about but besides make some analytical thought on what I have expressed on the journals. Second, communicating with close friends and relations is besides a good channel to cognize myself better. Mere ly as the old stating bystander is ever clear-minded , I would wish to speak to them acquiring some edifying positions if I feel scared about person. Third, watching movies and the other mass media, I want to obtain positive support that the non good looking people are non ever the bad people. 4.3 Learning self-denial and alleviating the negative emotion accomplishments Mentioning to the work of Hayes and Gelso, they put frontward five effectual factors of countertransference direction. First is the self-integration, which is important in placing with clients and set the necessary boundaries. Second is the anxiousness direction. The trait of anxiousness is really typical in countertransference relationship between societal worker and client. Third is the conceptualizing accomplishment. It is a cognitive procedure for the societal workers to get the hang. Fourth is the empathy, by seting to client s feelings, the more likeliness of societal worker will run into the client s demand. The fifth is the self-insight. This point is rather similar with the self-reflection ( 1991 ) .Through these five managing factors, societal workers can make some self-training to command their negative emotions for the interest of turning away to impede the therapy. 5 Decisions Actually, I think it is the merely the beginning of self-reflection. In the hereafter, there will be more quandary for me to undertake and some clients might remind me of the other negative emotions or unpleasant memories, therefore, I need to maintain the wont of contemplating and introspecting as an imperative portion of my day-to-day life. Merely in this manner can I be reasonable and acute to the emotional alterations of my ego. What we think will direct our behaviours. No affair what I will acquire through in the hereafter, I will seek my uttermost to hone myself in order to function people with the consistent enthusiasm and eternal attempts.

Monday, October 21, 2019

The Story of Eight Remarkable essays

The Story of Eight Remarkable essays When you think of the American Revaluation and the people who impacted it most, you think of Gorge Washington, Paul Revere, Thomas Jefferson or John Adams. Most people over look the significance of the other players, that we really dont hear or talk about. When you think of women who have played roles in the American Revelation you think of Betsy Ross the women who made our countrys flag. People don t look at the other amazing women like the 8 women of this book Glory, Passion and Principle: The Story of Eight Remarkable Women at the Core of the American Revolution. In the past people have disregarded the roles that women have played in our countrys birth. This book introduces the reader to eight women of the American revaluation. Melissa Bohrer, the author introduced us to Sybil Ludington, Phillis Wheatly, Abigail Adams, Mercy Warren, Lydia Darragh, Molly Pitcher, Deborah Sampson and Nancy Ward. Sybil Ludington was the female Paul Revere. She rode over 40-miles, twice that of Paul Revere to warn the militia that British troops were burning Danbury, Connecticut at the age of 16. To hear her story is unbelievable. Gen. Howe himself put a bounty on her fathers head, COL. Ludington. In April, 1777, the British army made a surprise attack on Danbury to seize and destroy Continental Army supplies stored there. A messenger told Col. Ludington that the British were coming so Col. Ludington began to organize the militia. The militia was scattered across Connecticut getting ready for the spring harvest, so it was hard for the messenger to find the militia. The massager soon became exhausted and he was not familiar with the area, and could not be find all of the militia volunteers. Sybil Ludington, who had just turned 16, was very familiar with the area, and volunteered to sound the alert. She left for her now-famous ride at approximately 9 PM into the rainy night, traveling 40 miles from her home in what is now the ...

Sunday, October 20, 2019

Woodrow Wilson 28th President of the United States

Woodrow Wilson 28th President of the United States Woodrow Wilsons Childhood and Education: Born on December 28, 1856 in Staunton, Virginia, Thomas Woodrow Wilson soon moved to Augusta, Georgia. He was taught at home. In 1873, he went to Davidson College but soon dropped out due to health issues. He entered the College of New Jersey which is now called Princeton in 1875. He graduated in 1879. Wilson studied law and was admitted to the bar in 1882. He soon decided to go back to school and become an educator. He earned a Ph.D. in Political Science from Johns Hopkins University. Family Ties: Wilson was the son of Joseph Ruggles Wilson, a Presbyterian Minister, and Janet Jessie Woodrow Wilson. He had two sisters and one brother. On June 23, 1885, Wilson married Ellen Louis Axson, the daughter of a Presbyterian minister. She died in the White House while Wilson was president on August 6, 1914. On December 18, 1915, Wilson would remarry Edith Bolling Galt  at her home while he was still president. Wilson had three daughters by his first marriage: Margaret Woodrow Wilson, Jessie Woodrow Wilson, and Eleanor Randolph Wilson. Woodrow Wilsons Career Before the Presidency: Wilson served as a professor at Bryn Mawr College from 1885-88 and then as professor of history at Wesleyan University from 1888-90. He then became a professor of political economy at Princeton. In 1902, he was appointed President of Princeton University serving until 1910. Then in 1911, Wilson was elected as the Governor of New Jersey. He served until 1913 when he became president. Becoming the President - 1912: Wilson desired to be nominated for the presidency and campaigned for the nomination. He was nominated by the Democratic Party with Thomas Marshall as his vice president. He was opposed not only by incumbent President William Taft but also by Bull Moose candidate Theodore Roosevelt. The Republican Party was divided between Taft and Roosevelt which meant that Wilson easily won the presidency with 42% of the vote. Roosevelt had received 27% and Taft and won 23%. Election of 1916: Wilson was renominated to run for the presidency in 1916 on the first ballot along with Marshall as his Vice President. He was opposed by Republican Charles Evans Hughes. At the time of the election, Europe was at war. The Democrats used the slogan, He kept us out of war, as they campaigned for Wilson. There was much support, however, for his opponent and Wilson won in a close election with 277 out of 534 electoral votes. Events and Accomplishments of Woodrow Wilson’s Presidency: One of the first events of Wilsons presidency was the passage of the Underwood Tariff. This reduced tariff rates from 41 to 27%. It also created the first federal income tax after the passage of the 16th Amendment. In 1913, the Federal Reserve Act created the Federal Reserve system to help deal with economic highs and lows. It provided banks with loans and helped smooth out business cycles. In 1914, the Clayton Anti-Trust Act was passed to help labor have more rights. It allowed important labor tools like strikes, pickets, and boycotts. During this time, a revolution was occurring in Mexico. In 1914, Venustiano Carranza took over the Mexican government. However, Pancho Villa held much of northern Mexico. When Villa crossed into America in 1916 and killed 17 Americans, Wilson sent 6,000 troops under General John Pershing to the area. Pershing pursued Villa into Mexico upsetting the Mexican government and Carranza. World War I began in 1914 when Archduke Francis Ferdinand was assassinated by a Serbian nationalist. Due to agreements made among  the European nations, many eventually joined the war. The Central Powers: Germany, Austria-Hungary, Turkey, and Bulgaria fought against the Allies: Britain, France, Russia, Italy, Japan, Portugal, China, and Greece. America remained neutral at first but eventually entered the war in 1917 on the side of the allies. Two reasons were the sinking of the British ship Lusitania which killed 120 Americans and the Zimmerman telegram which revealed that Germany was trying to get an agreement with Mexico to form an alliance if the U.S. entered the war. America officially entered the war on April 6, 1917. Pershing led American troops into battle helping to defeat the Central Powers. An armistice was signed on November 11, 1918. The Treaty of Versailles signed in 1919 blamed the war on Germany and demanded huge reparations. It also created a League of Nations. In the end, the Senate would not ratify the treaty and would never join the League. Post-Presidential Period: In 1921, Wilson retired in Washington, D.C. He was very sickly. On February 3, 1924, he died of complications from a stroke. Historical Significance: Woodrow Wilson played a huge role in determining if and when America would get involved in World War I. He was an isolationist at heart who attempted to keep America out of war. However, with the Lusitania, the continued harassment of American ships by German submarines, and the release of the Zimmerman Telegram, America would not be held back. Wilson fought for the League of Nations to help avert another World War which won him the 1919 Nobel Peace Prize.

Saturday, October 19, 2019

Marketing strategy of Fiat Grande Punto Abarth Essay

Marketing strategy of Fiat Grande Punto Abarth - Essay Example Adding the Abarth treatment will especially appeal to the youth segment of Fiat's market. The formation of a racing and rally team comes off as an attractive progression to the market when the Grand Punto Abarth S2000 won the Italian and European Rally Championships in 2006. Marketing schemes include promotional clothing and merchandise. As announced, the new Abarth division within Fiat comes off strong in experienced manpower support, "with a total of 113 experts, including 26 engineers, 43 on the manufacturing side of the business and nine dedicated purely to motorsport." The use of the scorpion emblem on the new Grande Punto shown in the recent Geneva Motor Show also is a particularly strong and visceral image that communicates well that Fiat's small car has power and "sting". Further, the marketing of the new Grande Punto Abarthe uses in full force the Abarthe legacy within Fiat that has been long relegated to the company's in-house tuning division. Absorbed by Fiat in 1971, the Abarth company founded by Carlo Abarth produced sporty versions of Fiat models. The last stand-alone Abarth model produced by Fiat was 1984 Ritmo 130 TC Abarth according to the Carblogger website. The strategy of reviving the Abarth marque within Fiat seems to be half-measure towards a full return of the Abarth model in the automaker stable of brands. The strategy is still to infuse Fiat models with the Abarth interpretation of a motorsports power and allure as it has done in the past. However, the more visual return of the marque (i.e the use of the scorpion logo) has started with the successful Grande Punto model, and Fiat has announced that the next car models to get Abarth treatment will be the Bravo and the Fiat 500. While not in itself a brand, the new marketing moves seems to communicate that this is so.And if this is so in full practice, Fiat may have created an all-new and stand-alone and modern Abarth brand that incorporates its traditional hold on motorsport glory and Fiat's known hold on the market for its pricing affordability. Instead of a piecemeal approach to allow the public to sample the Abarth treatment in every Fiat model, the company could have tested the Fiat Grande Punto Abarth market response in so far as to create an all-new market for a stand-alone Abarth brand. Thus, the marketing strategy may communicate well with existing and loyal Fiat buyers, and create even bigger demand within the captured market of Fiat, especially the young and bolder segments. However, this may not happen as effectively or as successfully to the market not yet reached by Fiat or those who have never bought Fiat cars in the past. For one, the brand is still in fact tied to "interpreting" its mark on Fiat's existing and successful car models. While marketing promotions as a communication strategy will add a notch over-all

Friday, October 18, 2019

The Apollo Group Case Study Analysis Essay Example | Topics and Well Written Essays - 500 words

The Apollo Group Case Study Analysis - Essay Example The University of Phoenix Company has grown over time as a for-profit university. The university has the adult working population being its main target other than the high school leavers who enroll in the traditional classroom educations. In addition, the University seeks to give affordable and quality online education to the adult population who are reachable through intensive marketing strategies of recruiters. However, their marketing strategies are against the federal laws and therefore, the university has to adopt different marketing and education strategies to maintain profitability. The key issues that face the University of Phoenix include technological advancement and traditional college expansion weakness. The University of Phoenix needs to upgrade its technology for quality and effective e-learning among its students. Technology would mean that the company must incur extra costs that are potentially huge, and thus may affect its profitability. The sophisticated virtual college platform has a negative potential on the profitability of the company, since its total cost will increase while revenue remains constant. Moreover, the need for expansion of the traditional classroom education will also imply that the university will have to incur extra classroom setup costs. Online learning faces the challenge of massive student dropouts and lack of quality in the online education sector. The company has therefore undertaken to provide quality instructor contact with a small number of students per instructor. The company also faces the problem of retaining students and changing its marketing strategies to be consistent with the federal law. Primarily, federal law prohibits the marketing strategy of the University of Phoenix, where high pressure recruitment strategies were against the federal regulations.  

Public speaking Assignment Example | Topics and Well Written Essays - 1500 words

Public speaking - Assignment Example This paper analyzes the TV, online and print advertising strategies of the Trojan brand using an argumentative approach divided into the categories of ethos, pathos and logos as aspects of persuasive advertising (John 2004, 107). Print advertising Print advertising refers to advertisements printed on some form of paper handled by the potential customer and includes offers posted in newspapers and sent via mail. A print advertisement can only be said to be a success when people see it and act upon it as it aims to attract people to products as they are reading or probing through publications. People have a tendency to be receptive to new information and observation of matters of interest when looking through publications (Fujishin 2012, 102-105). This strategy of advertising was the first to be utilized by the Trojan brand on a pharmacist magazine that would then stock their drugstores with the product as it continued to gain popularity. In print advertising, the Aristotle principle o f logos means the process of persuading the consumer by use of reasoning. Providing reasons is the foundation of any argumentation enabling the readers to draw a conclusion about the message being put across. Logos refers to the internal clarity of the claim, perception of its reasons and the value of its supporting indication.The argument in logos is to provide the explicit reasons that the writer provides to support his claim (Armstrong 2010, 226).For example, the Trojan brand would be advocating for the practice of safe sex by the sexually active component of the population. The first approach to analyze the supporting reasons provided in an argument is by considering all the premises the author seems to provide. For example, unsafe sex could lead to unwanted pregnancies and sexually transmitted diseases (STI). This is a process of judgment in itself. The second step is to question which of the premises identified as objects of agreement, the author consider as given. Objects of value in this case are either facts or values of the author about the product that may not be parallel to the reader’s facts and assumed values.For example, Trojan is a trust brand to provide maximum protection against STI’s and pregnancy. Basically, every print advertisement argument should arrive to certain objects of agreement shared between the author and audience.The use of inductive logic is whereby the advertisement designer provides the readers with several similar examples and allowing then to draw a general conclusion. Deductive logic on the other hand provides the readers with general propositions and then allowing the readers to draw a conclusion from a specific truth. The society has generally favored the use of inductive method of logical appeal following an already established truth as opposed to the deductive approach that allows for every individual to believe in their own opinion which may or may not be true. The influence of an operational print ad i s distant from being extinct although there are more options available following technological advancements. It is clear that while conducting an inventory, the marketing team of the Trojan condom company have to be more creative so that their prints don’t fall behind. Online advertising Online advertisement uses the World Wide Web and internet to promote marketing messages to attract customer.Since the strategy began in 1994, Trojan condoms revenue in the United States increased significantly

Thursday, October 17, 2019

The Health Protection Scheme Essay Example | Topics and Well Written Essays - 2250 words

The Health Protection Scheme - Essay Example As the essay states Hong Kong has had private health insurance for many decades in various forms. In 2009, about four million policies covered two million individuals and over 1.5 million groups. This was representative of 34% of HK’s population being privately insured. The number of people buying private insurance has gone up in the past four years. Private health insurance has contributed 12% of HK’s financing in health care between 1998 and 2009, while it has continued to grow at 9% every year with regards to total health expenditure share during the same period. In 2010, hospitals in the private sector spent a quarter of their entire expenditure on caring for inpatients, of which at least half was covered by insurance from the private sector. According to the research findings the Food and Health Bureau, through a study on private health insurance, outlined various challenges and inadequacies that insurers, providers, and consumers were confronted with, particularly in the private health insurance sector. This led to proposals on the health protection scheme, which sought to address several issue. With regards to the insurers, it sought to address rising and non-transparent medical fees, unnecessary admissions and moral hazards because of investigations, non-disclosure and anti-selection when underwriting, and the challenge of public insurance that was dimming attractiveness for private health insurance.... Despite these statistics, the Food and Health Bureau, through a study on private health insurance, outlined various challenges and inadequacies that insurers, providers, and consumers were confronted with, particularly in the private health insurance sector (Gauld & Gould, 2012). This led to proposals on the health protection scheme, which sought to address several issue. With regards to the insurers, it sought to address rising and non-transparent medical fees, unnecessary admissions and moral hazards because of investigations, non-disclosure and anti-selection when underwriting, and the challenge of public insurance that was dimming attractiveness for private health insurance (Dembe & Boden, 2000). For consumers, it sought to address uncertainty of charges and coverage and lack of quality assurance and medical fees that were non-transparent. Finally, it sought to address coverage of procedures for outpatients and inadequate coverage for private doctors and hospitals (Shek, 2012). A rgument for Health Protection Scheme One area that the HPS will help the situation is in financing, particularly with two tiers in the HK health system, i.e. public and private. The private sector mainly gets its funds from private sources like out-of-pocket payments and private insurance. In contrast, the public health insurance sector gets heavy subsidies from the Hong Kong government that come from taxes (Wong et al, 2011). While the HK government spends relatively less compared to countries from the west, the expenditure trend has been increasing. The health protection scheme has proposed to improve controls on expenditure through inclusion of voluntary participation in premiums by individuals. The government is encouraging HK citizens to join the scheme to enjoy

Emergency Management Research Paper Example | Topics and Well Written Essays - 2500 words

Emergency Management - Research Paper Example The mission of the Base emergency management is to direct and deploy assets to mitigate risk. It is clearly indicated from this mission that the Base EOC is only aimed at making sure that risks are adequately mitigated through directing and deploying of available assets. In the process, they use various resources that includes; professional personnel, the various tools used in the emergency such as fire extinguishers and water, transportation materials, active communication channels, and the support from the relevant authorities (Hughes, 2012). The resources mentioned here are crucial for the emergency management process to be effective both in the short run and long run. It is due to this that most managers consider them to be assets in their organization which come to help in the management of the risk. However, the availability of such assets is not always guaranteed for every organization that is in charge of controlling emerging situations in our society. Therefore, it was cruci al that we consider if these valuable resources are available to the Base EOC. Consideration of the availability of these assets can help in determining if the Base emergency management is going to achieve its mission of mitigating risks through deploying of assets in the affected regions.

Wednesday, October 16, 2019

Teenage Pregnancy Essay Example | Topics and Well Written Essays - 750 words

Teenage Pregnancy - Essay Example 1-2). a) Threat to life of the person with mortality rate four times higher for those between 15 to 19 years old than those women aged 25 to 29. While pregnancy of teens from 10 to 14 years old is more life threatening and if the fetus is born, it will have serious health conditions or may soon die. e) Seeking support from social welfare institution. With majority of them unmarried, 75 percent ask for financial support within the next five years after childbirth. Research has shown that some teenagers prefer getting pregnant in order to get support from the father, a survival approach in poverty-ridden areas. f) Children of teenage mothers suffer retardation in psychological and social developments, as well as malnutrition effect upon the mind and body. Teenage mothers do not possess parenting skills, do not know the needs of the child, and do not understand the importance of touch, smile and communication in the development of the child. g) Socially unacceptable behavior of children. The result of lack of parenting skills and unpleasant environment can cause the child to grow up with anti-social behaviors. The rate is three times higher for boys to become a criminal offender and land in prison than the common criminals. Girls, on the other hand, have the tendency to become pregnant at a tender age (Agarwal par. 2-9). h) Delay in prenatal care. Of the 1 million teenage pregnancy in the US, 7.2 percent received no prenatal care while the rest received delayed prenatal care (Sams par. 1). Prenatal care is necessary to maintain the health of the teenager and her unborn child. i) Mix emotions such as excitement, confusion, fear, anger and frustration. While a motherly instinct of protecting the unborn child is developing, it is coupled by confusion and fear of how to handle the unplanned pregnancy (Causes and Effects pars. 8-9). The primary cause of teenage pregnancy is the absence of

Emergency Management Research Paper Example | Topics and Well Written Essays - 2500 words

Emergency Management - Research Paper Example The mission of the Base emergency management is to direct and deploy assets to mitigate risk. It is clearly indicated from this mission that the Base EOC is only aimed at making sure that risks are adequately mitigated through directing and deploying of available assets. In the process, they use various resources that includes; professional personnel, the various tools used in the emergency such as fire extinguishers and water, transportation materials, active communication channels, and the support from the relevant authorities (Hughes, 2012). The resources mentioned here are crucial for the emergency management process to be effective both in the short run and long run. It is due to this that most managers consider them to be assets in their organization which come to help in the management of the risk. However, the availability of such assets is not always guaranteed for every organization that is in charge of controlling emerging situations in our society. Therefore, it was cruci al that we consider if these valuable resources are available to the Base EOC. Consideration of the availability of these assets can help in determining if the Base emergency management is going to achieve its mission of mitigating risks through deploying of assets in the affected regions.

Tuesday, October 15, 2019

A Christmas Carol Essay Example for Free

A Christmas Carol Essay The Ghost of Christmas Past is the epitome of the contradictions of youth and age as well as winter and spring. The ghost has a beam of light jetting from his head and Scrooge extinguishes the light when he feels that he is unable to bear any of the other memories that the ghost is showing him. By showing Scrooge his past, the ghost has makes him realize that he has changed drastically from who he was when he was young and that his interests have turned from people to money. The Ghost of Christmas Present is a friendly, generous giant who shows Scrooge the homes of Bob Cratchit as well as Scrooges nephew, Fred. In both homes, good will is extended toward Scrooge although he has never shown the same good will to either his clerk, or his nephew. As the time passes the ghost, who was young when he first appeared to Scrooge, seems to age in the way that the present changes to the past with the passing of time. Then, just as he is approaching his last moments, the ghost shows Scrooge that want and ignorance are two products of society that will destroy it if not combated against by those who can prevent both social ills. The Ghost of Christmas Yet to Come is a dark phantom, and the only part of this ghost that Scrooge sees, beyond his black robe, is a hand with which he points at the things Scrooge is to take notice of. This ghost shows Scrooge how he will die, and it is a sad scene. Scrooge begs the ghost to tell him that this fate can be changed if he changes his ways, but the ghost doesnt answer him. Scrooge is left only with the knowledge that he must change and become a more charitable person if he is to alter the fate that the ghost revealed to him. Last of the major characters is Tiny Tim who is Bob Cratchits youngest son. He is a lame boy with a cheerful nature despite his ailments and symbolises hope. At the Christmas church service, Tim hopes that people will look at his ailment and be reminded of how Christ healed the lame and blind. Tiny Tims guileless nature impresses Scrooge, and when he learns from the Ghost of Christmas Present that Tiny Tim will die soon, Scrooge is saddened. The Ghost of Christmas Yet to Come also shows the Cratchit house without Tiny Tim, and the vision is a sad one. Scrooge is touched by the gentleness of the little boy and wishes to prevent this fate from occurring. There are also some minor characters in A Christmas Carol but who also play an important part of the story. Firstly there is Fred, Scrooges nephew (his deceased sisters son), is a pauper, but a cheerful man nonetheless. He comes to the counting house to wish Scrooge a merry Christmas and invite his uncle to dine with himself and his wife on Christmas Day. Scrooge, however, refuses to associate with his nephew. Fred actually pities his miserly uncle because although he has all that money, he is still alone and unhappy. Fred insists that he will visit Scrooge at Christmas every year no matter whether or not Scrooge ever agrees to dine with Fred and his wife. After his visitation by the three ghosts of Christmas, Scrooge attends the Christmas dinner at Freds home and enjoys himself immensely. Secondly there is Mr. Fezziwig who was Scrooges kind and generous employer. He revisits the memory of his employment with Fezziwig when the Ghost of Christmas Past shows him Fezziwigs great Christmas party. The memory of this kind employer makes Scrooge feel a twinge of regret at how poorly he treats Bob Cratchit, his own employee. Last of the minor but nonetheless important characters is Belle, the young woman who once loved and was loved by Scrooge. Unfortunately, his love for her was replaced by his love for money, and she did not want to be second in favour to gold. She left him and went her own way after that and married. Scrooge remained alone. The Ghost of Christmas Past reminds him of why Belle left him and shows him where his life began going the wrong direction While reciting A Christmas Carol I noticed some themes that were entwined within the story, the most important themes of the story are stated more or less clearly by characters in it. The first of these might be Marleys saying, Business Mankind was my business. Where Scrooge sees business in the familiar sense of trade and finance, Marley now sees that ones business is what one should do in life, duty or obligation. Mankind is or was not just Marleys business of course, but Scrooges business, your business and mine, in fact, everyones. Secondly, Scrooges unkind remark that poor people should die and reduce the surplus population brings us to another theme of the story. When Scrooge asks if Tiny Tim will die he is reminded of these words. Why? Because the surplus population is not an abstraction but real individuals. Scrooge is told by the Ghost of Christmas Present to find out What the surplus is, and where it is before making such statements. Another theme is that change is possible however set we are in our ways. Dickens imagines the most miserable and hard-hearted man he can, and shows how he can be reformed if he sees his responsibilities. The message that Dickens is trying to get across is one of happiness. If you live your life in seclusion, only speaking to those who you must and always being nasty, you can never be truly happy. Dickens uses Scrooge as the epitome of selfishness and we are supposed to realise this and contrast it with Tiny Tims attitude of caring and sharing. Tiny Tim is the epitome of joy and hope; he is the person in the book with who we are supposed to learn from. The ghosts are the conduit from which we are to understand the past, present, and future of an unhappy man.

Monday, October 14, 2019

Strategic Analysis Of Carnival Corporation And Plc Tourism Essay

Strategic Analysis Of Carnival Corporation And Plc Tourism Essay Humans have since time immemorial been fascinated with ships, seas and oceans. Whilst ships have in the past been used mainly for transportation of goods and people and of course for war, seafaring has always been associated with travel to new and strange destinations, excitement and romance. With the contemporary day and age being firmly focused on new alternatives for leisure, excitement and life experiences, the western tourism industry has astutely used this human fascination with the seas to develop an extremely desirable tourism option; namely sea and ocean cruises. Such cruises offer exciting and pleasurable vacation options for people. They are offered by specialised cruise liners and provide customers the experience of travelling on the high seas in large, well appointed and luxurious ocean going vessels. Cruise holidays provide customers with luxury experiences and opportunities to engage in numerous leisure activities like (a) sun bathing on expansive ocean liner decks, (b) use of large swimming pools, (c) a range of body comfort activities through the use of spas, gyms and Jacuzzis, (d) various types of eating and dining options, and (e) a range of on ship holiday activities like games, contests, singing and dancing. The modern day cruise industry emerged in the 1970s in North America (Dowling, 2006). Whilst cruises originally aimed to provide customers with luxurious trans-ocean transportation options, the industry has since then transformed into a vacation alternative for people to travel to land based destinations or to sightseeing locations in the oceans (Dowling, 2006). A cruise now stands for a complete start-to-finish experience in luxury, comfort and the good life, rather than an option for travelling from point A to point B (Dowling, 2006). Whilst cruise vacationers still form a very small segment (just about 2%) of the global tourism industry, their volumes grew from 500,000 passengers in 1970 to 6.6 million passengers in 2000 (Gisnas et al, 2008). Such volumes have continued to grow during the last decade and are estimated to be 17 million annual passengers today (Gisnas et al, 2008). The industry experienced significant growth in the 1970s, when it first emerged, and has been growing at between 8 and 9% since then (Gisnas et al, 2008). Sectoral growth in the cruise sector has also not been cyclical like other shipping segments (Gisnas et al, 2008). Carnival Corporation and plc (Carnival Corporation) is the worlds largest operator of cruise ships. With 11 individual brands and a total fleet of 96 vessels, the organisation operates cruises in North America, Europe and Australia (Carnival, 2010). Whilst the global recession affected the travel and tourism industry significantly and also affected the revenues of the company to some extent, Carnival Corporation expects to grow significantly in the coming years, as recessionary forces weaken and individual and business spending starts moving upwards once again (Carnival, 2010). This specific analysis attempts to (a) examine the operations and mechanisms of the cruise industry, (b) analyse the strategies and operations of Carnival Corporation, and (c) recommend suitable future growth strategies for the company. 2. Overview of Cruise Industry 2.1. Brief history of Cruise Industry The first cruise route, historical records reveal, was established by British PO in 1882 with the introduction of S/Y Ceylon for pleasure cruising (Cartwright Baird, 1999). The ship operated on the western coast of Norway and was well known to wealthy UK citizens (Cartwright Baird, 1999). The most famous example of a cruise liner of those days is that of the Titanic, which sank on her maiden voyage from Southampton to New York, in April 1912, after a collision with an iceberg (Cartwright Baird, 1999). Whilst trans-ocean services between North America and Europe expanded greatly between the two great wars, the emergence of commercial aircraft after the closure of the Second World War led to the elimination of human transportation through ships (Cartwright Baird, 1999). The years that followed the closure of human transportation through ships however saw the emergence and the steady growth of pleasure and tourism oriented cruises (Cartwright Baird, 1999). The cruise market is currently dominated by three important organisations namely, Carnival Corporation (the subject of this study), Royal Caribbean International and Star Cruises. Whilst the industry was home to a number of players in the 1970s and 1980s, progressive mergers and alliances have led to the formation of oligopolistic market situation that is dominated by three strong entities (Gisnas et al, 2008). Carnival Corporation leads the business with a 45% market share, followed by Royal Caribbean (21%) and Star Cruises (10%) (Gisnas et al, 2008). Appendix 1 provides details of the capacities of the major cruise liners. The cruise market is divided into two main geographic segments, (a) the US market and (b) the European market. The US market, which includes North America and the Caribbean, forms 62% of the total market, whereas Europe accounts for 24% of cruise users (Kamery, 2004). The European market, whilst smaller than the US market, is growing swiftly and is expected to increase by more than 9% per annum in the coming years (Kamery, 2004). The UK market has until now been the dominant European market, even as the German, Scandinavian, Benelux, Austrian and Swiss markets are showing strong growth (Kamery, 2004). Cruises can be segmented into five main categories, namely contemporary cruises, budget cruises, premium cruises, luxury cruises and special cruises. Appendix 2 provides details of the different types of cruises. The industry can otherwise be segmented by languages, which surprisingly is an important point of differentiation (Gisnas et al, 2008). Individuals prefer to go on cruises with people who speak the same language (Gisnas et al, 2008). Important market segments are (a) American families, (b) senior citizens from the EU, (c) conferences and incentives, (d) themes and (e) adventure (Gisnas et al, 2008). In North America the target population for cruises companies comprises of adults, who are more than 25 years in age and earn more than 40,000 USD per annum (Gisnas et al, 2008). The target market includes (a) people who have cruised before, (b) vacationers who have not previously engaged in cruises and (c) non vacationers as well (Gisnas et al, 2008). The segment makes up practically 44% of the US population (Gisnas et al, 2008). Whilst the average age of passengers has come down to just below 45 in the US, The average age of passengers in the UK is also coming down significantly (Gisnas et al, 2008). The potential of the market is high because the existing penetration rate at 3% for North America, 1% for Europe and 2% for UK is very low. The main markets continue to be North America and Europe. The Asian market is however growing very slowly. Appendix 3 Provides details of passengers both by nationality and by origin. 3. Analysis of Carnival Corporation 3.1. Company Overview Carnival Corporation plc is the market leader of the cruise industry. Carnival Corporation was founded in 1972 by Ted Arison (Carnival, 2010). Both Carnival Corporation and Carnival plc have grown organically, as well as through mergers that have led to significant increases in organisational operations (Carnival, 2010). The present organisation came about from a merger between Carnival Corporation and PO Princess Cruises plc, wherein it was agreed that PO would be listed on the London Stock Exchange (Carnival, 2010). The organisation is thus dually listed on the London and New York Stock Exchanges and has head offices at Miami, USA, and at Southampton, UK (Carnival, 2010). The company has 11 cruise line brands, each of which controls a geographical location. To elaborate, AIDA cruises controls the German business, Carnival Cruise lines, Holland America Line, Princess Cruises, and the Seaborne Cruise Line operate in the United States, Cunard Line, Ocean Village, and PO Cruises service the UK market, Costa Cruises controls the Italian business, Iberio Cruises controls the Spanish business, and PO Cruises Australia controls the Australian business (Carnival, 2010). The organisation earned revenues of 13.1 billion USD in 2009 compared to 14.65 billion USD in 2008. It owns 93 ships, has a passenger capacity of 180,746, and employs 85,000 people. Carnival Corporation carried 8500 passengers in 2009 (Carnival, 2010). 3.2. Operational Performance The operations and financial performance of the company suffered significantly in 2009 compared to 2008. The sales and net income figures for these two years are provided below. Year 2009 2008 Sales Million USD 5912 6550 Percentage Movement (10%) Net Profits Million USD 885 1090 (19%) Net Profit Ratio 0.15 0.16 Whilst the company management states that they have been able to cushion the impact of the recession effectively, the financial analysis of key performance indicators reveals a different picture. Both sales and profits have come down sharply (Carnival, 2010). It also needs to be noticed that the sales of the organisation have come down by 10 %, even as the cruise industry overall contracted only by 3 % in 2009 (Carnival, 2010). Other operational and profitability ratios like ROI and have also come down in the wake of reduction in sales and profitability. 3.3. PESTEL Analysis The PESTEL frame works helps analysts to examine environmental factors in a methodical manner (Porter, 1980). The specific examination of political, economic, social, technological, environmental and legal factors assist in understanding key change drivers and external influences on the working of organisations (Porter, 1980). A PESTEL analysis helps organisational managements in aligning organisational strategies with environmental realities and work towards ensuring that organisations do not purposely follow strategic rules that are at variance or in opposition to environmental forces (Porter, 1980). With cruise lines essentially being international in the nature of their operations, their working can be significantly affected by terrorism related conditions (Porter, 1980). Increase in terrorism activities invariably leads to stricter immigration laws and to reduction in tourism enthusiasm (Porter, 1980). Apart from terrorism, cruise activity can also be affected by political instability in geographical locations that are part of the cruise network, as well as by tourism related taxation policies in different countries (Porter, 1980). Tourism, being an essentially discretionary activity is strongly influenced by changes in global economic conditions (Porter, 1980). The last two years have seen reduction in tourism business and cruise activity. Apart from the economic environment, the movement of exchange rates can also affect tourism and consequently cruise activity. Whilst tourism is currently going through a difficult phase, (having reduced by 4% in 2008 and 2009, and expected to grow by 0.3% in 2010) a post recession boom is likely considering that tourism contributes approximately 10.6% of global GBP. Social and cultural features play important roles in the cruise industry (Porter, 1980). The majority of cruise customers come from affluent and western social segments and place great stress on lifestyle quality (Porter, 1980). The market for cruises has until now been dominated by customers from the advanced western nations. Cruise liners are constantly investing in technology to make their ships more customers friendly as well as easier to operate. Internet sales enable customers to reduce costs through elimination of intermediaries (Porter, 1980). The tourism industry, because of the associated travel costs, is strongly associated with emission of green house gases. Any sort of rationing of petroleum products can as such lead to significantly adverse effects upon the tourism and cruise sector. The cruise business can also be influenced to some extent by trade laws and customs procedures and regulation. The existing global visa regime is tremendously skewed in favour of the inhabitants of rich countries and this can affect the growth of cruise customers from the emerging nations. 3.4. Critical Success Factors Analysis of available information leads to the conclusion that success in the shipping industry will depend essentially upon economies of scale and degree of differentiation (Gisnas et al, 2008). Extending this concept to the cruise industry, the critical success factors in the industry can be narrowed down to the four following factors (Gisnas et al, 2008). Exploitation of scale economies: Economies of scale can be achieved in different operational areas like vessel size, maintenance programmes, and economies of hotel operations Product Differentiation: This can be achieved through the conceptualisation and implementation of different types of cruises. Generation of Customer Loyalty: This will enable companies to obtain higher shares of repeat customer business Management of Strategic Investments: This will enable an organisation to get infrastructural advantage through optimisation of investments, both in terms of money and costs. 4. Strategic Recommendation Carnival Corporation is currently experiencing difficult environmental conditions because of the global recession that was triggered off by the housing collapse and the subprime crises in the USA (Porter, 1980). With the economies of affluent North American and European countries, wherein the brunt of the crises, global tourism was significantly affected during the past two years (Porter, 1980). The bulk of the cruise industry services the citizens of the United States, the UK and other affluent European nations and a sharp economic downturn in these nations will expectedly have significantly adverse on the sales and operational performance of the members of this sector (Porter, 1980). The strategic growth plans for carnival Corporation must accordingly incorporate the impact of the extra ordinarily difficult current environment (Porter, 1980). Whilst the current economic environment is challenging the companys operational and financial capabilities, it is also providing significant opportunities to strong existing players (Porter, 1980). The growth recommendations for Carnival Corporation have been based upon the information obtained from the PESTEL analysis, the utilisation of strategic theories like Porters generic growth strategy and Ansoffs growth matrix, the critical success factors for members of the industry and the opportunities and threats that exists in the current environment (Porter, 1980). Michael Porter, in his seminal contribution towards corporate strategy forwarded the theory that companies can achieve competitive advantage only through the adoption of specific strategies, namely cost leadership, differentiation, or niche occupation (Porter, 1980). Porter went on to state that whilst many organisations feel the need to adopt more than one of such strategies, such an attitude was essentially faulty, and the desire by company managements to adopt essentially distinct operational strategies could lead to loss of focus, confusion in growth objectives and engagement in contradictory and self destructive actions (Porter, 1980). Carnival Corporation has constantly followed a strategy of differentiating of products from that of its competitors. Whilst the organisations growth is also due to its origin and operations in the extremely strong US and British markets, the company has constantly differentiated its offerings through innovation in the types and lengths of cruises to its customers. The company is otherwise strongly focused on sustainability and is taking action to reduce its carbon footprint through the lowering of energy use on its ships, preserving clean air, and reducing operational waste. The PESTEL analysis reveals that whilst the industry is vulnerable to global terrorism actions and the political instability of countries that form part of the operational area of the industry (Porter, 1980). Apart from such political factors, the industry is vulnerable to economic downturns. It is however becoming obvious that the downturn has possibly bottomed out and that western economies are moving towards recovery (Porter, 1980). Whilst recent economic developments in Greece and Spain are disquieting, broad economic indicators show the possibility of some economic improvement in 2010 and firm upward economic movement in 2011. This situation provides abundant opportunities to the companys growth plans. Whilst 2009 has seen a dip in the companys sales and profitability, financial reports reveal that the company has a very strong cash position and comfortable leverage ratios. With its considerable financial ability and its experience in growth through buyouts and acquisitions, the current economic circumstances should provide significant opportunities for the company to acquire smaller and financially weaker organisations, who would be finding it difficult to survive in the present circumstances. Igor Ansoffs model of growth stipulates that companies move in their growth curve from selling currently available services in existing markets through various phases to selling new products in new markets (Tutor2u.net, 2009). Ansoffs growth model is provided in appendix 4. Carnival Corporation should clearly follow a carefully formulated strategy of external and internal growth. External growth should be targeted through the search and acquisition of attractive cruiser lines whose operations and viability has suffered because of the crises. The corporate management should aggressively scout for acquisition and use its strong financial resources to good effect. Such a strategy will also lead to better scale economies and will of course need efficient management of strategic investments (Tutor2u.net, 2009). The company, in accordance with Ansoffs model should steadily pursue strategies for differentiating their services through the conceptualisation and implementation of different cruise themes. It is also opportune for the company to seriously look at the emerging Asian tourism sector, preferably through the acquisition of a local cruise operator. The Asian economy is fairing much better than the European economy and significant accretion is occurring in the upper middle class segments of China and India. Such population segments are totally unexposed to cruise vacations and provide fertile ground for Carnival Corporation to thrust their Asian operations. Carefully conceived strategic plan of organic and acquisitive growth will enable the company to consolidate its leadership position and exploit current environmental opportunities (Tutor2u.net, 2009). 5. Conclusions

Sunday, October 13, 2019

Customer Driven Organization Essay -- essays research papers

THESIS SENTENCE A customer driven organization with detailed customer relations can result in optimal effectiveness and efficiency in the workplace. FORMAL OUTLINE I.  Ã‚  Ã‚  Ã‚  Ã‚  Maintaining an effective environment through a customer driven organization A.  Ã‚  Ã‚  Ã‚  Ã‚  Empowerment – the ability to help people use their powers and truest potentials to extend themselves, rather than restricting themselves. 1.  Ã‚  Ã‚  Ã‚  Ã‚  Involvement of the employees Staff Development via in-house training a.  Ã‚  Ã‚  Ã‚  Ã‚  Technical – train in the specifics of a particular job b.  Ã‚  Ã‚  Ã‚  Ã‚  Quality – training in the principles of total quality combined with technical (i.e. computer programs) required to implement quality assurance and implementation. c.  Ã‚  Ã‚  Ã‚  Ã‚  Specific Skills – specialized classes Financial – Accounting (A/R, A/P) Selling Technique Languages Interviewing skills d.  Ã‚  Ã‚  Ã‚  Ã‚  Activity - â€Å"Outward Bound† -Type of course in which people learn about leadership and teamwork by engaging in physical tasks such as rock climbing. 2.  Ã‚  Ã‚  Ã‚  Ã‚  Personal growth and development a.  Ã‚  Ã‚  Ã‚  Ã‚  Higher Education (continuing education) Managerial – provide expertise and knowledge in fields such as strategy, change of or implementing management. Identify and work on developing skills directly related to â€Å"REAL† corporate problems. b....

Saturday, October 12, 2019

Essay --

Cauvery River Dispute - The Cauvery river dispute is one of the longest river dispute today. The dispute began in 1974 when the 50 year old agreement between the Karnataka and Tamil Nadu Collapsed. The Cauvery basin covers majorly 3 states and 1 UT – i.e. it originates Talacauvery in Coorg in Mysore state and then flows to Tamil Nadu, Kerala and Puducherry. But the Use and development of Cauvery Waters were regulated by agreements of 1892 and 1924, which were solely between the Mysore and Tamil Nadu. According to the Karnataka government the 1924 agreements states the discontinuation of the water supply to Tamil Nadu after 50 year. In 1990, SC directs centre to constitute Cauvery Water dispute tribunal (CWDT). The tribunal heard both the parties and reached a conclusion that Karnataka should release 205TMC of water to Tamil Nadu, every month. Karnataka denied the ruling and argued that it is impossible to implement the decision as in failed monsoons many areas of Karnataka are left without water. In that case they have to transfer water at the cost of their own people. In August 1998 the Centre constituted the Cauvery River Authority to ensure the implementation of the CWDT. The Cauvery Water Disputes Tribunal (CWDT) announced its final verdict on 5 February 2007, after 16 years. The Tribunal made the two agreements of 1892 and 1924 functional. According to the verdict, Tamil Nadu was supposed to get 419 billion ft ³ of Cauvery water while Karnataka was supposed to get 270 billion ft ³. But the Karnataka still didn’t release the water as per the tribunal ruling. On 19 September 2012, Prime Minister Manmohan Singh, and also the Chairman of the Cauvery River Authority, ordered Karnataka government to release around 9,000 cus... ...sing rapidly.† Karnataka depends heavily on Cauvery to fulfil its drinking needs where as Tamil Nadu depends on Cauvery for irrigation. Wide scale Rice cultivation in Tamil Nadu is one of the reasons that Cauvery needs so much water. The question is why the food security of Tamil Nadu depends heavily on rice, as TN doesn’t have the resources to grow rice in such quantities. According to R K Sivanappan, former head of the Water Technology Centre of the Coimbatore Agricultural University, â€Å"Tamil Nadu could meet all its municipal water requirements by reducing the area under paddy cultivation by just 2 per cent from the present level of 2.7 million ha†. Bothe states should start looking for other methods to solve their water woes or should try to get into a mutual understanding, instead of politicising the issue. Nishant Sharma Radio Stream Essay -- Cauvery River Dispute - The Cauvery river dispute is one of the longest river dispute today. The dispute began in 1974 when the 50 year old agreement between the Karnataka and Tamil Nadu Collapsed. The Cauvery basin covers majorly 3 states and 1 UT – i.e. it originates Talacauvery in Coorg in Mysore state and then flows to Tamil Nadu, Kerala and Puducherry. But the Use and development of Cauvery Waters were regulated by agreements of 1892 and 1924, which were solely between the Mysore and Tamil Nadu. According to the Karnataka government the 1924 agreements states the discontinuation of the water supply to Tamil Nadu after 50 year. In 1990, SC directs centre to constitute Cauvery Water dispute tribunal (CWDT). The tribunal heard both the parties and reached a conclusion that Karnataka should release 205TMC of water to Tamil Nadu, every month. Karnataka denied the ruling and argued that it is impossible to implement the decision as in failed monsoons many areas of Karnataka are left without water. In that case they have to transfer water at the cost of their own people. In August 1998 the Centre constituted the Cauvery River Authority to ensure the implementation of the CWDT. The Cauvery Water Disputes Tribunal (CWDT) announced its final verdict on 5 February 2007, after 16 years. The Tribunal made the two agreements of 1892 and 1924 functional. According to the verdict, Tamil Nadu was supposed to get 419 billion ft ³ of Cauvery water while Karnataka was supposed to get 270 billion ft ³. But the Karnataka still didn’t release the water as per the tribunal ruling. On 19 September 2012, Prime Minister Manmohan Singh, and also the Chairman of the Cauvery River Authority, ordered Karnataka government to release around 9,000 cus... ...sing rapidly.† Karnataka depends heavily on Cauvery to fulfil its drinking needs where as Tamil Nadu depends on Cauvery for irrigation. Wide scale Rice cultivation in Tamil Nadu is one of the reasons that Cauvery needs so much water. The question is why the food security of Tamil Nadu depends heavily on rice, as TN doesn’t have the resources to grow rice in such quantities. According to R K Sivanappan, former head of the Water Technology Centre of the Coimbatore Agricultural University, â€Å"Tamil Nadu could meet all its municipal water requirements by reducing the area under paddy cultivation by just 2 per cent from the present level of 2.7 million ha†. Bothe states should start looking for other methods to solve their water woes or should try to get into a mutual understanding, instead of politicising the issue. Nishant Sharma Radio Stream