Friday, December 27, 2019

Essay about The Water Pollution Crisis - 1478 Words

Throughout history, Humans have created widespread urbanization, advanced technology, worldwide industries, and extraordinary markets. Humans are working toward a common goal of making profit. The problem with the desire for money is that humans will often sacrifice the environment to reduce costs. When this happens, nature suffers. There are government regulations to protect the environment yet many people choose to ignore these laws. One aspect of the environment that humans have been mistreating for centuries is water. Water is necessary for life of all living creatures yet humans still continue to contaminate the water systems. Water pollution is a problem throughout the world and it is not something that just effects a particular†¦show more content†¦Humans working for Royal Caribbean made the wrongful decision to allow the seas to be polluted which inevitably affects the environment. This was no accident or malfunction of any ship. In the case of the ever-famous Exxon Valdez oil spill, the accident took place because the company did not invest funds in the safe transport of such a harmful product. Australian waters have numerous problems with sea dumping. According to a report filed by the Australian government, there are vessels being dumped off the coast of Australia[4]. A law was passed to prohibit the dumping of vessels because they could potentially obstruct shipping channels or interfere with fishing. In the past, Australians have seen obsolete ammunition, organic refuse, chemicals and other wastes being dumped into their waters[4]. Non-point sources include numerous locations of drainage spread over an area. There are five main types of non-point sources of water pollution: agricultural fields, feedlots, construction sites, septic tank drainage, and street runoff. Agricultural fields are a major contributor to water pollution. When excess pesticides and fertilizers do not absorb correctly into the soil they wash away and contaminate the water system. Farmers must be careful handling and mixing nutrient products away from water sources. Animal feedlots create water pollution from the excess nutrients in the soil due to the animal excrement. Manure and livestock wastes mustShow MoreRelatedWater Shortage And Pollution Of Water Source Crisis3001 Words   |  13 Pagesfresh drinking water on Earth, and water shortage is becoming increasingly apparent. According to the national geographic, freshwater  makes up a very small fraction of all water on the earth. While nearly 70 percent of the world is covered by water , only 2.5 percent of it is freshwater. The rest is saline and ocean-based. Even then, just 1 percent of our freshwater is easily accessible, most of it trapped in glaciers and snowfields. Therefore, only 0.007 percent of the planet s water is availableRead MoreThe Water Pollution Crisis Essay1237 Words   |  5 Pagesresult of our own hands is water pollution. Humans are always in constant struggle with nature. We are always trying to overcome it, and many times we succeed. However, its those times that we turn our backs for that split second, that we will pay an eternity for. The world is involved and entangled in one of the biggest battles one could imagine. The great bodies of water are becoming contaminated before our eyes, and more importantly, by our own hands. Water pollution has turned into a global concernRead MoreEffects Of Water Pollution Worldwide Crisis1857 Words   |  8 PagesINTRODUCTION: WATER POLLUTION-WORLDWIDE CRISIS The earth is facing a lot of environmental crises today, which humans have caused. To make life more comfortable, Humans have advanced in technology to such extent that it has reached every corner of the world. Bent on improving the conditions of life for humans without giving attention to what affect this development will have on other types of life on earth. Everyone is so caught up in paying attention to the growing industries and the growth of theRead MorePollution And Its Effects On Humans1131 Words   |  5 PagesPollution 1. The Problem I. Pollution is killing Earth a. Smoke from cars b. Pesticides c. Toxic waste in water II. Air pollution a. Causes problems with Earth and Humans i. Allergies ii. Weaken immune system iii. Cause/ make asthma and bronchiolitis worse iv. Cause heart problems III. Water pollution a. Kill our source of food i. BP oil spill harmed many animals b. Flint water crisis i. No clean water to drink, shower, or cook with c. Causes diseases IV. Ways to clean up planet a. Change the wayRead MoreCauses And Consequences Of The Lake Erie1474 Words   |  6 PagesLast summer in Toledo, toxic algae blooms contaminated the drinking water supply of 400,000 people (Toledo water crisis, par. 1). Algae, like all organisms, normally grow in balance with their ecosystems, limited by the amount of nutrients in the water. But sometimes, algae can reproduce very rapidly, which causes damage. Harmful algal blooms have been increasing in the United States to the point where they occur along most of the coastlines and are common in many places: Specifically, Lake ErieRead More Adapting Canada to the Future of a World With Scarce Water Essay1623 Words   |  7 PagesIntroduction Water is just more than drinking water. Water is the most basic and vital resource that humans need to sustain themselves. Water is used for food production from irrigating crops to actually manufacturing them. Canada like the world, uses water for sanitation, cleaning, manufacturing and daily function. Demand and supply will soon be at a crossroad, as increasing population creates increases in pollution, waste-water and global warming (Baker, 2007). This paper will seek to examineRead MoreWater Crisis : A Clean Water Source1657 Words   |  7 PagesPhillips Ms. Willena Moye English 1101 20 April 2017 Water Crisis in Kenya In the United States, there is one trillion gallons of water wasted (Mooney). Water is being wasted every day in the US by: leaky faucets, malfunctioning toilets and faulty sprinkler systems. While water is being wasted in the US, many underdeveloped countries such as Kenya struggle to have clean water. Many of the Kenyan residents struggle every day to find a clean water source. In the continent of Africa there lies KenyaRead MoreThe Effects Of Water Pollution On African People1744 Words   |  7 PagesAn organization describes the effects of water pollution on the african people. Using a blog titled as â€Å"Ghana Water Project† to inform those who are coping with water pollution how serious the issue is, providing solutions to those who want to grasp the issue and take it in their own hands, and supply contact information to our research and the Safe Water Network. The Safe Water Network will receive donation that are given through our blog. The Safe Water Network is an o rganization that began inRead MoreIs China A Water Solution?914 Words   |  4 Pagesthis water crisis for decades yet have not anything extremely effective to combat the turmoil as a result of a corrupt government, political issues and lack of money in cities needing help the most. The state have made evident effort to combat water shortages yet limited efforts have been made to improve their water quality, consequently resulting in the water pollution worsening. The Chinese government, to reduce the amount of toxic waste and sewage polluting drinking sources, has built water treatmentRead MoreWhen Will Lebanon Ever Be At Peace? Essay1691 Words   |  7 Pagesgarbage is not new for Lebanese, but over the summer it had increased drastically, developing into a crisis with no solution until now. This problem began with the termination of Sukleen’s contact and the closure of some landfills. The reason behind finding no appropriate solution is unknown yet, whether it is blamed on the people or the government, but an answer must be found since this crisis not only wrecks the image of Lebanon for immigrants, but affects the health of everyone living in cities

Thursday, December 19, 2019

Jesus Cleansing of the Temple Review of Matthews Book

Introduction Jesus decision to physically cast out the moneylenders from the temple stands as one of the most interesting events of his life, because it represents what seems to be the only moment in the Gospel narratives where he becomes visibly angry to the point of physical action. While one could argue that Jesus is frequently (and justifiably) angry with the disciples from time to time, this is the only moment that Jesus anger moves him to physical force. Although the event is recorded in all four of the Gospels, this study will focus specifically on its rendering in Matthew, because when considered in the context of Matthews larger narrative, one can see how Jesus decision to cleanse the temple does not represent an aberration in either his character or theological message, but rather the natural culmination of Jesus life and works prior to that point, and demonstrates a kind of revolutionary, anti-authoritarian element of Jesus message of salvation that is all too often overlooked by Chris tians and critics alike. Context Before getting into the details of Jesus cleansing of the temple as outlined in the book of Matthew, it will first be necessary to provide some context to the narrative. The cleansing of the temple can be found in Matthew 21:12-17, but the rest of the chapter includes important contextual information that allows one to better appreciate this passage both in its immediate historical context and its larger theological one. The cleansing ofShow MoreRelatedOutline on Pontius Pilate Essay1551 Words   |  7 PagesThis week we will be looking at the area under Pilates command, and what Role pilate played in the government in Judea. Then over the next couple of weeks we will look into the life of Pilate, and then the important role he played into the death of Jesus, and how it played into the Passover. Introduction to Pontius Pilate 5th Governor Roman – Appointed by Rome and was not Jewish Valerius- Pilate succeeded him in his reign. Not much in the bible about him, so one must look at historicalRead MoreObserving on the Gospel of Matthew1804 Words   |  8 PagesGospel of Matthew Background This Gospel with precisely placed first as introductory PB and the Messiah, the son of the living God (Matthew 16: 16). Although the authors name is not mentioned in the Bible, the nas testimony all the church fathers who first (since c. 130 ad) stated that the Gospel was written by Matthew, one of the disciples of Jesus. If the Gospel of mark was written to the Romans and the Gospel of Luke for Theophilus and all non-Jewish believers the Gospel of Matthew was writtenRead MoreThe Divinity and Humanity of Jesus Essay1190 Words   |  5 PagesI am?† (Mark 8:27) is one of the most fundamental questions that Jesus asked his disciples. It is a question, from my personal viewpoint, that has a simple answer. Jesus is Lord! Needless to say, there is more to the identity of Jesus, but it is my belief that Jesus is the Messiah, the second person of the Holy Trinity. He is the promised Savior foretold in the Old Testament by the prophets. There is an endless list that gives Jesus titles such as Ruler and King, Master and Teacher, Savior and ChristRead More Comparing the Quest for Self in Jane Eyre and Villete Essay3561 Words   |  15 PagesQuest for Self in Jane Eyre and Villete      Ã‚   Why is Villette so disagreeable? Because the writers mind contains nothing but hunger, rebellion and rage. Matthew Arnold, 1853.    Matthew Arnold was certainly forthcoming about the defects of both Charlotte Brontes   mind and of her novel. Indeed he was not alone in his reaction to her; Anne   Mozley in The Christian Remembrancer ;in April 1853 wrote in reaction to   Brontes other great work of rebellion, Jane Eyre, that sheRead MoreSda Manual Essay101191 Words   |  405 Pagespermission. Texts credited to RV are from The Holy Bible, Revised Version, Oxford University Press, 1911. Printed in U.S.A. 09 08 07 06 5 4 3 2 1 ISBN 0-8280-1947-9 ISBN 0-8280-1948-7 hardcover paperback Printed and distributed by the Review and Herald ® Publishing Association Hagerstown, Maryland 21740 Table of Contents Introduction ...................................................................................... xix Historical Development of the Seventh-day Adventist Church

Wednesday, December 11, 2019

The Basic Principles of Arbitration Free Sample for Students

Questions: 1.The Basic Principle used in determining who should Pay the Costs of the Arbitration?2.Who should pay the Fees and Expenses?3.Who should pay the Parties Costs?4.In what Circumstances Basic Principles of arbitration are not Followed?5.The Respondent has offered to settle for a Sum greater than the Claimant has now been awarded. What Presumption as to costs will then apply?6.What is Relevance of Parties choosing the Seat or Venue of Arbitration.7.The Essential Requirements as to the form and Substance of an arbitration award if it is to be Enforceable? Answers: 1.The basic rule which is used to determine who should pay the cost in the process of arbitration, in court generally the successful party must be awarded his costs. There are no such difficulties aroused while such arbitration is applied in some simple cases, where the claim either succeeds or fails entirely. Where there is no such default part of the successful party. Practically some complications often arise. As an example, a claim may be succeeded in part or there may be a counterclaim present which also succeeds totally or in part or the respondent might have made an offer which the claimant should have accepted, another possibility costs may have been occasioned without any necessary by the successful.[1] 2.The arbitrators fees are looked after by the court and solved keeping in mind the criterion of the scale of relevance which can be seen in the law of Appendix III. The court can take into consideration whether the process can be accelerated or not, the arbitrators determination, whole spent time and the speed with which the proceedings and complexities of the disputes were tried to solve. It is done on the basis of the dispute amount that the scale tries to provide the maximum or minimum for an arbitrator.[2] The fees can be divided amongst the number of involved arbitrators. In special cases the fees can be fixed by the court on the basis of the high to low ranks of the arbitrators which shall actually be recovered from the application of the scale of relevance. 3.In respect of the arbitral procedure, certain advance costs are paid by both of the parties. This would ensure certainty of cost as well as negate any default in the payment of such costs, paid in accordance with a table of fees and costs. The scheme has already been adopted by the International Arbitration Centre. The International Centre for Alternate Dispute Resolution and Council of Arbitration also stipulate advance costs to be submitted by the parties. When a request is compiled without any advance cost, the arbitral tribunal may consider the claims withdrawn and proceed with the claims of the party who paid the advances on costs. Arbitration can be made more cost-effective if the parties are allowed to make informed choices about their cost-incurring practices, guided by the factors that the arbitral tribunal will finally consider when determining the allocations of costs at the conclusion of the arbitration[3]. 4.A party which is involved in arbitral proceedings, they do not follow the basic principles under some circumstances. The party which is involved in arbitral proceedings can apply to the court challenging an award on the matter of irregularity that affects the tribunal, the proceeding. The right of the party towards the object and the application can be lost considering this restriction. Serious irregularity is a type of irregularity where an irregularity of more than one type might be considered to provide injustice to the respondent and the claimant. The circumstances are such as failure by the tribunal to comply, the tribunal exceeding its powers. 5.Particularly when there is a case of international arbitration the granting of their security for definite cost is a kind of exercised power. But it is almost unheard of civil law jurisdictions. Obviously, there is no such hard type of statistics which can be related to the number of cases of which security for costs is ordered in an international context. This is suggested that a low number of cases reflects the principles that an order should be made in some exceptional circumstances. The available of the remedy is one such a thing which should be appropriate and definitely in international contexts. Under a contract subject of a foreign law, parties can be arbitrating there.[4] A much greater sum in advance by way of the security for costs to a respondent that takes advantages of which really a domestic remedy. Such presumptions which are discussed here can be applied. 6.The news which is included in the clauses of the arbitrator differs hugely considering different contracts. Several parties are present where in the clauses of the arbitration many regulations are applied on the basis of the enumerations of the arbitrators and also on their educational status and also their experiences, the linguistic part of the arbitrator, the places where they have done hearing practice and many more. It is also to encourage the explanations of the clause of arbitration to help in tackling of disputes.[5] The presence of recommendations should be prohibited. The most important characteristics of the clause of an arbitrator is the recognition of the place which is challenged to the situation where the hearings occur. This is actually known as the venue of arbitration. The process of selecting a seat depicts the governing laws and the ways of arbitration and most importantly the rights to be enforced towards the award of the arbitration. Article 14 can be cited as an example of the International Chamber of Commerce Arbitration Rules. Article 16 of the London Court of International arbitration Rules can also be cited as another example. It might not be compulsory for the arbitrations seat and the place to be similar as they have to travel to different parts for many hearings. In that case also the seat to be chosen will not be affected. 7.Court gives little essential ingredients for an agreement of arbitration that are presented here in the following ways, the parties should have been bonded in a genuine agreement, and those agreements might be blended to be a clause in the document which are signed by the different parties or in the conversion of ant telegrams or letters or in any communication where the phone is involved to give the record of the stated agreement or any interchange of statements of defense or claim. While referencing a contract towards the document which contains a clause of arbitration it should also be kept in mind the agreement of the arbitration, inclusion of the fact that the contract is provided in written format. There are also situations where the party tries to include past deeds or relate future aspects.[6] References Ahmed M, 'Arbitration Clauses: Fairness, Justice And Commercial Certainty' (2010) 26 Arbitration InternationalAlvarez H and Friedman M, 'What Should Parties Expect From Arbitrators And What Should Arbitrators Expect From Parties?' (2009) 24 ICSID ReviewGaliullin E, 'Practice Of Application Of Conciliation Procedure In Arbitration Proceedings' (2017) 7 Herald of Civil ProcedureLew D, 'Arbitration: Essential Concepts By Steven C. Bennett' (2003) 19 Arbitration InternationaMohtashami R and Tannous S, 'Arbitration At The Dubai International Financial Centre: A Common Law Jurisdiction In The Middle East' (2009) Webster T, 'Efficiency In Investment Arbitration: Recent Decisions On Preliminary And Costs Issues' (2009) 25 Arbitration Internationa partyT. H. Webster, 'Efficiency In Investment Arbitration: Recent Decisions On Preliminary And Costs Issues' (2009) 25 Arbitration International. H. C. Alvarez and M. W. Friedman, 'What Should Parties Expect From Arbitrators And What Should Arbitrators Expect From Parties?' (2009) 24 ICSID Review R. Mohtashami and S. Tannous, 'Arbitration At The Dubai International Financial Centre: A Common Law Jurisdiction In The Middle East' (2009) 25 Arbitration International. E.R. Galiullin, 'Practice Of Application Of Conciliation Procedure In Arbitration Proceedings' (2017) 7 Herald of Civil Procedure M. Ahmed, 'Arbitration Clauses: Fairness, Justice And Commercial Certainty' (2010) 26 Arbitration International D. S. Lew, 'Arbitration: Essential Concepts By Steven C. Bennett' (2003) 19 Arbitration International.

Wednesday, December 4, 2019

The Station Nightclub Fire

This fire occurred on February 21, 2003 and caused a death toll of 100 people in that club. 96 people died on that night whereas the remaining four succumbed to death while undergoing treatment in hospitals in Massachusetts and Rhode Island. Investigations carried out revealed that interior finish of the club played made fire ignite easily as well, as spread rapidly within the building.Advertising We will write a custom research paper sample on The Station Nightclub Fire specifically for you for only $16.05 $11/page Learn More The investigation also revealed that the presence of combustible interior finish in the area where fire started affected the capability of those inside to egress the building when fire broke out. It is believed, that fire brought conditions that hindered people from reaching the exits, which made them, be overcome by heat and smoke. Pyrotechnics got considered the initial cause of fire in the Station club. This is because in the ev ening that this fire broke out pyrotechnic devices referred to as garbs are the ones, which got activated in the middle of plat form. This latter turned into flames, which spread fast leading to spread of fire allover the place (Duwal 14-18). Following these causes of fire, NFPA codes were modified to curb further deaths that may result from such fires. Some of these changes were as following: NFPA 1126, which stress on use of pyrotechnics and their standards. This code states that pyrotechnics, as well as open flame devices, are not to be used assembly occupancy places. It says that if they have to be used then they have to compile with standards set out in NFPA 1126. There is also need to ensure no ignition occurs of every combustible substance. Every assembly place was required to ensure there is a main exit and entrance. This exit and entrance will be of width capable to accommodate one- half of the people within the building and should connect to a stairway, which lead to a str eet. New nightclubs were mandated to install fire sprinklers as in the case with assembly occupancies such as dance halls, bars and festival seating according to NFPA 101, 12.3. Building owners are required to have a look at all building egress, make sure there are no obstructions, and keep track of maintenance records of these egresses functioning condition.Advertising Looking for research paper on environmental studies? Let's see if we can help you! Get your first paper with 15% OFF Learn More A well-trained crowd manager should be present for all gatherings except the religious gathering. Incase the gathering is large then two managers are required to be present. Crowds exceeding 200 persons should not be provided by chairs. They are supposed to use festival seating whereby they sit on floor unless a life safety evaluation has been approved by the authority concerned. The main entrance and exit for new night clubs was adjusted from one-half to two third of the occup ants inside the nightclub. Other exits and entrances should be able to hold not less than one-half of total occupant loads. These other exits should have access to main entrances and exits. Any decorative materials must be constituent with NFPA requirements and any nightclub willing to decorate its premise must use only decorative materials approved by NFPA. Failure to comply with this will lead to heavy fine and even closure of the nightclub. The clubs doors should always be ajar and open on the outside. Fire alarms should be connected to the nearest fire fighting stations and should be audible enough for all to hear. Nightclub and other building owners should comply with fire prevention measures not only when applying for certificates after construction but at all times. Works Cited Duwal, Robert. â€Å"NFPA Case Study: Nightclub Fires.† NFPA Journal (2006): 14-18. Print. This research paper on The Station Nightclub Fire was written and submitted by user Brian Neal to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Wednesday, November 27, 2019

Village Volvo free essay sample

? Introduction and Overview Village Volvo was recently opened by two former experienced Volvo dealer mechanics. The owners of Village Volvo focus on provided their customers with custom care service at an affordable price. By providing their customers with a custom care service that is unavailable at other local dealers, they differentiate themselves from the competition. Village Volvo has four work bays, an office, a waiting room, and a storage room. In order to provide individual attention to each customer, they set aside specific times each week to devote to customers who need routine services preformed to their vehicle. If customers require a diagnosis and repair, Village Volvo’s encourages its customers to make an appointment. Upon bringing in their vehicle for service, a mechanic speaks with the customer to assure they understand exactly what is going on with the vehicle. From the moment the vehicle is dropped off until the time the customer picks it up, Village Volvo is in constant communication with their customers. We will write a custom essay sample on Village Volvo or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page They make the preliminary diagnosis and give the customer an estimation of the cost if unexpected problems occur before additional work is performed. When the customer picks up his/her vehicle, it has been cleaned and parts are returned to the customer. In addition, Village Volvo informs its customers of any problems that may occur in the near future. Village Volvo hopes that their customers leave with an experience that they have not had at any of the competing dealerships. Question 1: Describe Volvo’s service package. A service package is defined as a bundle of goods and services with information that is provided in some environment. The bundle of goods for Village Volvo is as follows: Supporting facility: The suburban structure that houses Village Volvo is the supporting facility. It is a Butler Building located in a suburban area with four work bays, an office, a waiting area and a storage room. In addition, the facility has an office, waiting area and storage room. There are some amenities in the waiting room to provide some extent of comfort to the customer while they wait for the quick, routine services such as tune-ups and oil changes. Facilitating goods: The goods that facilitate the service product include the vehicles brought in by the customers and the mechanical components identified by the mechanics that are required to repair customer’s vehicle. Information: Information provided by the customer to the mechanic who will be working on the vehicle. In addition to that, another source of information is the CCVD, which is a continuing file with the service history performed on the vehicle. Moreover, since Village Volvo develops a closer relationship with the customers, it allocates specific hours of discussions between the owner-mechanic and the customer to go through all aspects of the vehicle existing problems before the service is done. Feedback is continuously provided thru the CCVD records. Explicit services: The explicit services include the face to face customer consultation, the relaxing waiting room, the diagnostic and repair and/or maintenance of the vehicle, and the customer leaving Village Volvo with a smooth-running vehicle after the service has been performed. Implicit services: Customized service is provided to each customer by scheduling non-work hours during heaving customer contact times so that owners-mechanics can spend time with customers and discuss their issues. This customized care not only attracts, but maintains customers. Additionally, customers have the assurance of a reliable and on-time service within a reasonable cost, without exploiting the customers with unfair practices of changing car components without the proper need. Village Volvo also has a deeper understanding of the customers vehicle thru the database developed – CCVD. The following table illustrates the service bundle of Village Volvo: Service Bundle Matrix Element Core Service Example Busines Out-of-warranty Volvo Vehicles Core Quality repair at a resonable cost Peripheral Goods CCVD vehicle dossier Peripheral Service Waiting room amenities Variant Experience, customer-mechanic interaction, transparency on the repair, scheduled appointments, specific hours for tuneup and oil change, vehicle cleaning, vehicle test drive for quality assurance of the repair Question 2: How are the distinctive characteristics of a service firm illustrated by Village Volvo? Customer Participation in the Service Process Customers at Village Volvo rate their customer service by their experience. The quality of service is enhanced if the service facility is designed form the customer’s perceptive. The location of Village Volvo must be convenient for its customer base. If the repair shop were located in an area where people might not drive/be able to afford Volvos, it might miss an opportunity to locate itself closer to its customer base so that vehicle drop-offs and pickups are convenient. Village Volvo involves its customer in the service process by having the mechanic consult with the auto owner to discuss the repairs performed and repairs that will be needed in the future. Because the customer can wait onsite, they are also part of the service process by nature of the facility. Perishability The time-perishable capacity of the service offered by Village Volvo is illustrated by the fluctuations in demand experienced throughout the day and the fact that Village Volvo could miss out on a service opportunity if a mechanic is not available to service a walk-in guest.

Sunday, November 24, 2019

Introducing Shakespeares Dark Lady Sonnets

Introducing Shakespeares Dark Lady Sonnets The Dark Lady Sonnets (sonnets 127 – 152) follow the fair youth sequence. In sonnet 127, the dark lady enters the narrative and instantly becomes the object of the poet’s desire. The speaker introduces the woman by explaining that her beauty is unconventional: In the old age black was not counted fair,Or if it were, it bore not beauty’s name;†¦ Therefore my mistress’ eyes are raven black †¦ not born fair, no beauty lack. From the poet’s perspective, he is treated badly by the dark lady. She is a temptress described in sonnet 114 as â€Å"my female evil† and â€Å"my bad angel† which ultimately causes anguish for the poet. She seems to be linked to the young man in some way and some sonnets suggest that she is having a passionate affair with him. As the poet’s frustrations build, he begins to use the word â€Å"black† to describe her evil rather than her beauty. For example, the poet sees the dark lady with another man later on in the sequence and his jealousy boils to the surface. Notice how the word â€Å"black† is used with negative connotations in sonnet 131: One on another’s neck do witness bearThy black is fairest in my judgement’s place.In nothing art thou black save in thy deeds,And thence this slander, as I think, proceeds. Top 5 Most Popular Dark Lady Sonnets Sonnet 127: In The Old Age Black Was Not Counted Fair Sonnet 130: My Mistress Eyes Are Nothing Like The Sun Sonnet 131: Thou Art As Tyrannous, So As Thou Art Sonnet 142: Love Is My Sin, And Thy Dear Virtue Hate Sonnet 148: O Me! What Eyes Hath Love Put In My Head A full list of the Dark Lady Sonnets (Sonnets 1 – 126) is also available.

Thursday, November 21, 2019

World War 1 Essay Example | Topics and Well Written Essays - 1000 words

World War 1 - Essay Example However, there are outright reasons, which have been acknowledged across the board as the major contributing factors. These are for example the existence of alliances among like minded nations. Before the start of the war, it had emerged that nations across Europe were organizing them selves into formidable groupings, which were primarily for the purpose of protecting each other in case one of them was attacked by an enemy. Such defense agreements existed between countries such as Russia and Serbia, Britain and Japan, France and Russia, Germany and Austria Hungary as well as between Britain, France and Belgium (Gilbert 41). This means for example that if Germany attacked Russia, then this would have forced Serbia and France to come in and assist Russia, forcing Austria Hungary to join forces with Russia thereby triggering a major conflict. These countries had also joined hands with other countries to form the triple alliance and the triple entente. The triple alliance consisted of Ge rmany, Italy and Austria Hungary while the triple entente had Britain, France, and Russia who were the major participants though Japan, Spain and the US later joined the entente. However, these forces applied diplomacy in most of the conflicts arising before 1914 but in the real sense, there was the lack of trust and a lot of suspicion such that there only required a triggering force for a war to explode (Gilbert 63). This is to imply that if these defensive groups had not been established before 1914, probably the First World War would never have occurred. Nevertheless, it is important to note that apart from the alliances, these countries had been scrambling for territories in Africa and Asia, in search of raw materials for their industries as well as procurement of slaves to provide labor to these industries. As such, the diplomatic relation among the European countries had been soured owing to the fact that some, such as Britain and France, had already encroached vast territorie s in these areas and Germany and other European powers wanted a share of the economic advantages. On the other hand, Britain and France had to maintain their territories and if possible, expand them even if it meant invading the few territories that Germany had (Gilbert 101). However, these provocations did not warrant a world war but in the long run, they created a circumstance whereby each and every country was searching for a reason to go into war with each other. In addition, the arms race had been going on for a long time with the superpowers trying to outdo each other either on the land or at sea. This increased military activity in Europe and as a result, it enhanced the level of threat by facilitating motivation to build weapons and equipment capable of sustaining heavy fighting. In deed, the arms race helped much to deteriorate the level of trust between the would be super powers as each felt threatened by the existence of a rival with a much more military power and technol ogy capable of suppressing opposition and gaining uncontrollable influence in the region. Britain for example invested heavily on the navy as the country is well surrounded by water and as a result, Germany went ahead to spend a lot of money to procure the Dreadnought war ships for fear of being overpowered in case Britain decided to attack from the ocean (Hough 36). Despite these factors, the assassination of the Archduke Franz Ferdinand of Austria Hungary by a Serbian nationalist i.e. Gavrilo Princip, acted as the major direct triggering factor towards the WW1. Apparently, it has been observed that the murder was supposed to act as a sign to show Germany and Austria Hungary that the Slavic people were willing to go to any extent

Wednesday, November 20, 2019

KNOW HOW HUMAN RESOURCES ARE MANAGED Assignment Example | Topics and Well Written Essays - 750 words

KNOW HOW HUMAN RESOURCES ARE MANAGED - Assignment Example This description generally offers comprehensive information about the duties, purpose, scope, responsibilities and the working conditions of that particular job during the term or time period. The job description also offers information about the designation of the person whom the potential candidate is supposed to report for the duration of the job. In addition to that, he is offered all this information before the commencement of the interview regarding the job. When the employers are looking for filling up a specific post in their organization, they are looking for various qualities pertaining to that specific post. Take an example, if the employers are looking for filling the post of General Manager for a consumer products company. The first quality they look for is the management degree in that specific area. The second quality they look for is the experience in a similar company for 6-7 years. Also, they look for various personal skills such as team player, communication skills, flexibility, their initiative or record of management (Legace, 2007). Employment contract can be broadly defined as the contract between the employer and the employee that spells out the particulars and understanding between both parties regarding all matters and protect both parties in event of any issue (Withrow, 2015). There are many key features of the employment contract such as length of the contract, nature of compensation, specifics of the job, type of performance, position of both parties, benefits and other elements and most important, procedure regarding termination of contact and its terms. The skilled and experienced human resource plays a vital role in progress of any organization. So, these organizations do their best to attract the best candidates (Baird & Meshoulam, 1988). There are many methods with which any organization can attract the potential candidates. Some of them are salaries, bonuses, incentives and stock options, increasing facilities in the

Sunday, November 17, 2019

Crisis management Essay Example | Topics and Well Written Essays - 1250 words

Crisis management - Essay Example While some crisis as the Cuban missile crisis was resolved within a period of 13days, others such as the World War I took over 4 years before they were finally settled. This essay seeks to evaluate the success factors of conflict resolution and analyze how they were applied in the Cuban missile crisis and the World War I. Kouzmin (17) points out that the timeliness of the response is a critical factor that determines the ability of the government or the involved parties to resolve their conflict. Crises are emergency situations that often have adverse effects to the social political system if prompt actions are not taken. The more the time that is taken to resolve a conflict, the more likely that the impact of the war is likely to be felt in the affected regions. While it is important to define a good background to resolve a conflict and to avoid hurried decisions that may fuel the war, there is need to develop a quick plan to initiate resolution strategies to reduce the ill effects that come along with such situations of war. Caldwell (6), a professor and a political analyst, commends President Kennedy for his prompt action to neutralize the looming danger of a heated nuclear war in a time of emergency. When the Cuban president stationed missiles in Cuba, there was already high tension that the two countries would engage in big fights whose repercussions would be out of magnitude. At this time, President of America prioritized this issue and focused on the emergency situation. First, he immediately dropped his support for North Korea attack on South Korea and engaged a consultative meeting to come up with a plan to resolve the conflict. Consequently the conflict was resolved within 13 days and no impacts of the looming war were experienced in America. Crisis management in the World War I seems to have taken a slow pace. Mulligan (73) points out that the reason why this war took too long to solve is because the governments had an attitude that any attempts to l aunch a crisis management plan would be futile. The impact of this delay is that World War I became one of the most catastrophic crises in the world history as many people lost their lives. The magnitude of the crisis is a factor that cannot be ignored while designing a strategic plan to mitigate the effects of a crisis. The geographical scope of a disaster is used to measure the intensity of a crisis and the population that is likely to be affected by the effects of the conflict. A disaster that involves only a few countries has less impact compared to one that affects the entire world. While planning the conflict resolution strategy, it is important to consider the applicability of the strategy to all the nations especially in a conflict that spans out in several countries. Kouzmin (7) warns that the domain of the threat has to be considered if the intervention strategy has to be successful. The First World War was a worldwide disaster the war was manifested in different ways in v arious countries. Mulligan (227) states that this war was a result of various threatening forces and determining the motives of the war was quite a complex issue, a factor that delayed the process of peace making. Governments took longer to agree on the best procedure to conflict resolution and this slowed the process while more people continued to suffer

Friday, November 15, 2019

The Department Of Social Work Social Work Essay

The Department Of Social Work Social Work Essay The needs of older people are rarely considered outside of their age-related ailments. Community services remain geared towards the younger generation more specifically children and young people, while older peoples needs tend to be looked at peripherally. A question that springs to mind is how risk is assessed in an older person with mental health issues. A starting point could be to look at a definition of risk. Risk can be defined as the possibility of beneficial and harmful outcomes and the likelihood of their occurrence in a stated timescale (Alberg et al in Titternon, 2005). Risk is also a common feature in assessment frameworks by agencies and policies in social care and health. Hence the need to attach significance to risk issues in several public inquiries. However, these seem to be primarily related to child death inquiries where risk assessment and risk management are seen as the ongoing needed requirements to improve best practice. Most available research studies of risk and older people seem to focus on falls and other everyday risks they might encounter when seeking to return home after a hospital admission. Langan Lindlaw (2004) comment that mental health service users have become increasingly defined in terms of risk and dangerousness, despite consistent research evidence that their contribution to violence in society is minimal. They further stipulate that continued focus upon risk means that there is a danger that people so defined will be excluded from decision-making about their lives. This could be related to theory and research evidence that suggests that although older people with mental health needs are at increased risk of admission to long-term care, staff tend not to be well informed about their mental health needs (Nicholls, 2006). This could be related with mental health issues coexisting with other medical conditions in later life, leading to this client group being commonly treated in mainstream settings rather than mental health related institutions. In regards to legislation and policy that incorporates risk assessment, we have the NHS and Community Care Act (1990) which spells out the duty to assess those in need of community care services. More specifically to risk related interventions, these should be the least restrictive and clients ought to be encouraged to use their own resources or develop new ones as per Mental Health Act (1983), Mental Capacity Act (2005) and Safeguarding Adults. Moreover in context of the National Service Framework for Older People (2001) person-centred care is key, where the aim is for older people to be treated as individuals and receive appropriate and timely packages of care which meets their needs as individuals, regardless of health and social services boundaries (DH, 2001). The No Secrets guidance (2000) encourages services users to have greater control of their lives by being given the opportunity to take and manage risks. There is also the Risk and Choice Framework (2007) which provides guid ance on risk assessment and tools. However, current policy and legislation seems to hold long-held ageist assumptions about capacity and capability. For instance, the NSF for Older People (2001) and Essence of Care (2003) require service providers to ensure that care for this client group is fully integrated and holistic in nature. Hence the intended use of the FACS (Fair Access to Care Services) criteria to ensure equality. Yet, these eligibility criteria can prevent an important focus on an older persons biography in terms of the strengths and abilities they gained over their transitional experiences. In this instance, policy relating to risk assessment needs to consider the impact of age and life course stage. Moreover, has concluded by McDonald (2010) legislation alone will not change the way in which professionals respond to older people and further analysis is needed in regards to the factors that influence decision making in the context of risk. Through our lifespan risk can be perceived as beneficial and part of everyday life as it enables learning and understanding. However, one cannot dismiss the negative consequences of risk and subsequently the need for it to, at times be monitored and restricted. Thus risk assessment becomes a significant element of many frameworks. Risk assessment has been defined as the process of estimating and evaluating risk, understood as the possibility of beneficial and harmful outcomes and the likelihood of their occurrence in a stated timescale (Titterton, 2005: 83). In that context, such process should look at a situation or decision, identify the risk and qualify/rate it in terms of likelihood, harmfulness or even low, medium or high risk. Thus, a risk assessment will only identify the probability of harm a risk may have to the related client and others. Subsequently, intervention strategies should aim at reducing harm. Irrespective of this a risk assessment cannot prevent risk (Hope and Sparks, 2000) and most models of risk assessment recognise that it is not possible to eliminate risk, despite the pressure on public authorities to adopt defensive risk management (Power, 2004). This defensive risk management is perhaps in response to some of the high profile cases dominated in the media over the recent years, which has directed the focus of community care policy to minimise risk. Also the government current emphasis on risk when it comes to mental health related incidents/cases conveys a highly misleading message to the public which in turns seems to contribute to the defensive nature found in the professionals that carry assessment and are meant to support this client group. As commented in the Health Select Committee (2000) the current blame culture risks driving away much needed staff from mental health services. The parallel concern becomes what are acceptable risks and how these might conflict with the agenda of person-centred assessments and user empowerment. As put in Carr (2011) defensive risk management or risk-aversive practice may result in service users not being adequately supported to make choices and take control, hence being put at risk. Risk assessment is not only about negative labelling with adverse consequences. It has the value of promoting safety and, where necessary, identify appropriate intervention and support for service users. The methods most used in assessing risk in social work are: actuarial and clinical methods. Adams, Dominelli and Payne (2009) state that the actuarial method involves statistical calculations of probability where an individuals behaviour is predicted on the basis of known behaviour of other in similar circumstances; clinical assessment employs diagnostic techniques relating to personality factors and situational factors relevant to the risk behaviour and the interaction between the two. This latter is the more familiar method in social work practice. Both methods have limitations in terms of generalising behaviour (actuarial method) and risk assessment being a subjective process (clinical methods), i.e. influenced by assessors background, values and beliefs. As such, it is central fo r professionals to be aware of the limitations of risk assessment tools. Thus far, risk and its assessment seem to vary which reinforces the need for partnership and collaborative working as a way forward in integrating health and social care to provide a person centred support to mental health service users. Alaszewski and Alaszewski (2002) found that users, families and professionals had differing views about risk and safety. Nicholls (2006) refers to the Green Paper on Independence, Well-Being and Choice, which found that service users believe that professionals are too concerned about risk, and that this gets in the way of enabling service users to do what they want to do. In relation to older people, the Single Assessment Process stipulates the need for a coordinated approach by which health and social care organisations work together to ensure person-centred, effective and coordinated care planning (Nicholls, 2006). This entails sharing information, trusting one anothers judgement, reducing duplication, and together ensuring that the range and complexity of an older persons needs are properly identified and addressed in accordance with their wishes and preferences. Such collaborative working between professionals and service users can address potential conflict, evaluate strengths, needs and risk where the effectiveness of intervention is likely to be improved and the outcomes for service users more positive (Adams, Dominelli and Payne, 2009). The implications for social work practice is that the needs for service users with mental health issues frequently cross organisational and professional boundaries. For example, professionals working with older people with mental health issues are more than likely to work alongside a range of practitioners from different health and social care disciplines and organisations. Thus, one needs to consider how organisational cultures may impact or influence on how risk is perceived as subsequently assess. As put by Neil et al (2009, p.18) risk decision making is often complicated by the fact that the person or group taking the decision in not always the person or group affected by the risk. Waterson (1999) further suggests that professionals and users tend to disagree on the levels of risk, not least because risk is subjective and can apply to environments as well as to people. Alaszewski and Manthorpe (1998) equally argue that risk is perceived differently by different professionals and allocating blame is one of the main concerns of public enquiries into failures of community care interventions. As current society develops into a culture of blame and risk-aversion, there is an emphasis on the need to minimise uncertainty about risks and attribute individual culpability. As put by Parton (1998) blaming society is now more concerned with risk avoidance and defensive practice than with professional expertise and welfare development. This defensive form of social work in risk assessment put at risk effective and open collaborative and partnership working. Todays dominance of individual accountability (or culpability) might make social work lose sight of their traditional values where service users are meant to be empowered to make informed decisions about the risks they are prepared to take and the support they feel they might need. As stated in Carr (2011) practitioners are less able to engage with individuals to identify safeguarding issues and enable positive risk tasking. As a result issues of discrimination, inequality and anti-oppressive practice start emerging with a clie nt group that is already vulnerable. Both stigma and discrimination against older people is further accentuated by a diagnosis of mental health. It is reported that older people with mental health needs are at greater risk of abuse than other groups of older people (Nicholls, 2006). In regards to risk assessment, literature stresses the need for mental health service users to be included in that process, to have choice and opportunities to take risks towards maintaining their independence and self-determination, as put by Lawson (1996: 55) risk taking is choosing whether or not to act to achieve beneficial results in an awareness of potential harms. As mentioned before risk taking is part of life, but too often for older people the presence of an element of risk results in the prescription of care solutions or admission to residential care which may not be the older peoples own wishes. For example, in placement experience when older clients were admitted to hospital the local authority primary goal was to ensure clients remained at home for as long as possible however the package of care was delivered in accordance with the local authoritys interpretation of these clients needs such as dictating bedtime routines and dismissing the need for social interaction. In this instance, the risk assessment tended to focus on the workers interpretation of perceived need. This could relate to the findings of Langan Lindlaw (2004) study where service user involvement in risk assessment was variable and depended upon individual professional initiative. The concern here is that being overpreoccupied with risk can be to the detriment of assess ing needs suggesting a primary concern with organisational procedures and resource-allocation over service users wellbeing. As put by Munro (2002) social work should be much more than minimising risk, it should be about maximising welfare. Carr (2011) further suggests that this also impacts of practitioners ability to engage with service user to enable positive risk-taking, leaving clients unsupported in taking control. Discrimination may also occur has a result of the level of risk attributed to a service user. Whereby over-estimation can lead to unwarranted labels and under-estimation lead to inappropriate service provision and/or risk to others (Langan Lindlaw, 2004). Inflexible labelling is both unhelpful and often stigmatising. As found in research, people with mental health problems are a far greater risk to themselves than they are to the general population and while there are instances where intervention is required this should not be done in a way that pigeonholes this client group as if the category of dangerousness (Tew, 2011) is solely related to mental heath issues. In an attempt to answer the initial question, of how risk is assessed in an older person with mental health issues, risk assessment of older people with mental health issues is more likely to take place in crisis situations. Hence interventions might be more reactive rather than proactive, where professionals focuses on weaknesses and inabilities rather than strengths and abilities. Professionals may play safe by minimising risk at the expense of user empowerment. To better understand how risk, strengths and difficulties are assessed in regards to risk assessment in older people with mental health needs (and other mental health service users) we need to put it in the context of current political and social perception. The latter being significant given that research into causes and effects of mental health in older people are limited, also there is limited research on how mental health service users manage risk. Therefore, it is essential that risk assessment moves from a one-size fit all approach or a sort of tick-box exercise to being an inclusive process where the individual involved brings expert knowledge that needs to be incorporated into the assessment of risk. As found in Langan and Lindlaw (2004) few service users were fully involved in risk assessment. Similarly, Stalker (2003) makes reference to the omission from research of services users who are perceived to be at risk or a risk. Littlechild Hawley (2010) suggest that little is k nown about how social workers actually assess risk and that judgements made by individual professionals can vary when using the same risk assessment tools. Petch (2001) adds that overemphasising the importance of accurate risk assessment may lead to misleading conclusions about the level of risk posed by someone and as such expose this group to unnecessary restrictions. From some of the literature review and research available risk can be viewed as a social construction, perception of risk differs between professionals (and service users) and society has its own normative views on risk and its overtly concerned with the consequences of risk behaviour in relation to mental health. Moreover, the role of the media in shaping and, one could argue, amplifying some of these concerns must also be acknowledged. Nonetheless, this does not make risk inexistent. The key seems to be for the needs and risk of mental health service users to be assessed from a holistic approach, avoiding judgements, placing the service user at the centre and valuing their perspective as a contributing expert while at the same time recognise that risk is contextual as well as its fluid, i.e. risk can change. Risk assessments need to be comprehensive and build on a bigger picture of the service user by drawing on their strengths and aspirations. Tew (2011) reiterated that the dominant discourse around risk tends to pathologise service users where social and environmental context is not considered. Also that this leads to a paternalistic practice where service users needs are provided for without considering their rights. The concept of risk is complex, making its assessment challenging. This is reflected in the different ideas and approaches to risk assessment as well as the inkling that we are moving to a risk dominated society. As a result, the attitudes and behaviours of such society are weighed in policy and practice in relation to service users with mental health issues whereby isolated incidents involving people with mental health issues become exaggerated to generate perceptions that such client group are inherently dangerous and need to be controlled and confided (Gould 2010). Undisputedly, it is a major challenge to get the right balance when making difficult risk decisions. On the other hand, risk assessments are needed to improve the validity and reliability of decision making particularly where there may be concerns about an individuals capacity to make informed judgements. However, risk can never be eliminated altogether, and occasionally decisions will be made in good faith, on the best evidence available. As proposed by Stalker (2003) more studies are needed to address the complex nature of risk as well as positive-risk taking in regards to service users with mental health needs. This in addition to the need for research to include services users perspectives as well as other variables such as race and gender. In regards to older people, if as a social group they tend to be institutionally marginalised then it might be equally easy to negate the views of people with mental health problems who equally challenge societys assumptions of capability in regards to managing risk. Risk assessment is central to social work practice; however it must not depersonalise the service user and merely identify them through a compilation of risk variables. Additionally the discourse around risk assessment needs to move from a concern about risk adversity to a probability of negative and positive risks. Equally antagonistic is the use of the term dangerousness to define vulnerable service users. Such language can impact on collaborative and partnership work between professionals and service users. Moreover, as put in Tew (2011) the ongoing rituals of risk assessment may impact further on service users sense of self and undermine their capability to manage risky situations. Also, as stated in Petch (2001) the re will always be people in the community who pose risk, whether or not they suffer from mental health, and singling out or blaming a particular group of professionals will not change this. Thus, a risk assessment is made on a balance of probabilities rather than exact conclusions. While striving for uniformity within risk assessment is a move towards equity, flexibility is also important given the subjective contexts of risk and mental health needs. Peoples lives involve many changing and interrelated variables which will always create some difficulty in balancing risk assessment. In the end, life cannot be without risk and risk-taking is part of the process that makes us who we are, complex beings.

Tuesday, November 12, 2019

Bio of Jonathan Swift :: essays papers

Bio of Jonathan Swift Jonathan Swift was born in Dublin on November 30, 1667. His father had died before his birth, and soon after he was born, his mother returned to Leicestershire. He was left in the care of his three uncles, particularly his Uncle Godwin. It is believed that this situation, along with his unstable homelife, led to a sense of insecurity and abandonment that he carried with him for the rest of his life. At age 6, he was sent to the best school in Ireland, the Kilkenny School. Then at age 15 he entered Trinity College, located in Dublin. He did not pay much attention to his studies, and in 1686 he received his degree speciali grata (by special favor). He continued studies at Trinity in hopes of gaining an advanced degree, but because of political unrest he was forced to move to England in 1689. In England, he worked as a secretary to Sir William Temple at Moor Park, Surrey. Swift worked with Temple, a diplomat and writer who was preparing his memoirs, for the next 10 years. It was here that he met Esther Johnson, the love of his life, whom he nicknamed Stella. Simultaneously, he attended Oxford where he receive his M.A. in 1692. He wished to enter politics but settled instead for the church, in which he was ordained in 1694. In January of 1695 he was ordained priest , Prebend of Kilroot. In 1697 he wrote The Battle of the Books, which was later published in 1704. In the later 1690’s he wrote The Tale of the Tub, his first published work. When Temple died in 1699, Swift went back to England as chaplain to the Earl of Berkely. In 1700, he became one of the canons of St. Patrick’s Cathedral and wrote articles and letters for the English Whigs. In 1702 he moved back to England in hope of political appointment, and it was here that he published A Tale of the Tub. It was a satire on corruption in religion and learning. Battle of the Books was a mock heroic satire. The dazzling irony of these works earned him notoriety but no appointment. The Bickerstaff Papers (1707-09), some of which first appeared in Richard Steele’s Tatler, a newspaper to which Swift often contributed, demolished the pretensions of John Partridge, a popular astrologer.

Sunday, November 10, 2019

Health Care Spending Paper Essay

This paper will include: the current health care expenditures whether spending is too much or not enough, where the nation should add or cut, how the public’s health care needs are paid and provide a forecast for: the future economic needs, why these needs must be addressed, how I envision these needs will be financed and conclusion. Current Health Expenditures Health care costs have been rising for several years. Expenditures in the United States on health care surpassed $2.3 trillion in 2008, more than three times the $714 billion spent in 1990, and over eight times the $253 billion spent in 1980. Stemming this growth has become a major policy priority, as the government, employers, and consumers increasingly struggle to keep up with health care cost. Hospital spending, the largest share of overall health care spending, is a major driver of increased costs The current national expenditure have tripled over the last decade especially in hospital care, physician/clinical services and drug ( Kaiser, 2010). The United States is at an all time high in health care. In the health care system there are some factors that contribute to this increase. It is getting to the point that more and more Americans cannot afford health care, because of the cost of health care is getting harder to maintain for their families. Whether Spending is too much or not enough It is difficult to pin point one exact factor why spending is escalating. The chart below states that hospital care, physician/clinical services and prescription drugs are where the most spending is taking place (Kaiser, 2010). This shows we are spending too much, especially in these top three categories listed. When health care cost is steadily increasing, so we are spending a great deal in the list above. National Health Expenditures, 2008 [pic] Source: Centers for Medicare and Medicaid Services, Office of the Actuary, National Health Statistics Group Where the Nation Should Add or Cut Medicare and Medicaid account for a significant share of health care spending (Kaiser, 2010) and also according to the above chart we could cut in the hospital care, physician/clinical services and prescription drugs. This is why we need to cut as far as the nation is concerned because these government programs Medicare and Medicaid are funding health cost at a steady growth. We have to work on controlling this program before it controls us. If we do not start cutting from somewhere we will be in a serious deficit for health care in the United States. Then we need to cut prescription drugs cost, so it can be affordable to everyone, so the government needs to intercede the pharmaceutical companies closely to manage this expense. How the Public’s Health Care needs are Paid Although Americans benefit from many of the investments in health care, the recent rapid cost growth, coupled with an overall economic slowdown and rising federal deficit, is placing great strains on the systems used to finance health care, including private employer-sponsored health insurance  coverage and public insurance programs such as Medicare and Medicaid ( Kaiser, 2010 ). The public’s health care payments are paid by Medicaid and Medicare if eligible for this government health program and other private health insurance companies, for example: Blue cross and Blue Shield, Aetna, Cigna and United Health Care are just a few the public health care is paid. There are some people who pay out of pocket, whether they can afford it or not. Forecast: the Future Economic needs Scott Donahue, vice president of Triple Tree healthcare advisory group, agrees, pointing to statistics such as those found in the 2009 PricewaterhouseCoopers Health Research Institute study that revealed nearly one half of the $2.2 trillion the United States spends each year on healthcare is wasted. â€Å"While it is impossible to point to any single breakdown contributing to the waste, it is clear from the study’s findings that this is an industry that has significantly underutilized technology to improve efficiencies,† he says, adding that cloud computing could help mend a healthcare system that is stuck in the inefficiencies and limitations found in older legacy systems (Chavis, 2011). There needs to be an investment in our technology system for health care for example: electronic medical records (EMR) to better serve the patients and technology that is being required to give quality service and modify the provider’s wages, since in the hospital this is the biggest cost. This is a start in the direction to accommodate the Americans who cannot afford health care. These small changes can contribute to a clear forecast in health care. Forecast: why these needs must be address This issue needs to be address because health care cost is soaring and if we do not intercept and make some real changes the American people will not afford medical services. The health provider’s and facilities are making big money and they need to work with the people to help with this expense we have made. The government can help by fine tuning the Medicare and Medicaid  program, so people can benefit fairly from it. We need to get proactive in prevention, so we our bodies will stay healthy for a long life. Forecast: how I envision these needs will be financed I envision a new administration making some major changes to make health care affordable for all Americans. The private insurance companies will need to work on some alternative health care package to their consumers for health care cost. The government in Washington to stop thinking of them and focus on health care cost, so all can manage health expense and get continued quality care also. Conclusion The bottom line we need to concentrate on cutting cost of health care and quality care, which we all deserve as human beings. There is not just one factor that contributes to the health expenditure but several pieces to this puzzle that makes this a major health cost issue. We need to find ways to decrease spending too much, so people can benefit from their health plan. The nation should consider cutting hospital care, clinical services and prescription drugs, since these are the top expenses for health care. This would definitely clear a path for reduced cost. The public can barely afford to pay premiums to their private health insurance companies but if they want coverage they have to pay. The one’s who qualify for Medicare and Medicaid will get help from this government program for health care cost and yes some people still pay out of pocket to maintain their health conditions. Technology is one investment to keep up with the growing health care needs of people. We must address these health cost concerns or they will get out of control, so we need to be proactive getting health care financially in shape to accommodate medical service to all. I envision that all people will be covered by health care regardless of economic background. Americans need to get resources to take better care of their health and invest in prevention, so our health will not result in a chronic illness or an incurable disease. Then maybe the law makers in Washington will make sound  decision about our health care plan from other health care providers, so we can benefit and help with cost diminishing. References Access My Library. (2004). Health Care Spending Hits 1.6 Trillion in 2002, Rising More Than Twice as Fast as U.S. Economy. Retrieved from http://www.accessmylibrary.com/coms2/summary_0286-19942976_ITM Chavis, S. (2011). Cloudy Forecast for Health. For the Record, 23(4), 10. Getzen, T., Moore, J. (2007). Wiley Pathways health care Economics (1st. ed.). John Wiley & Sons. Kaiser. (2010). U.S. Health Care Costs. Retrieved from http://www.kaiseredu.org/Issue- Modules/US-Health-Care-Costs/Background-Brief.aspx#.

Friday, November 8, 2019

Demonstrative speech outline Essay Example

Demonstrative speech outline Essay Example Demonstrative speech outline Paper Demonstrative speech outline Paper How to Make Vegan Peanut Butter Chocolate Chip Cookies General Purpose: To Inform Specific Purpose: I will teach my audience how to make a vegan peanut butter chocolate chip cookies. Central Idea: You dont need eggs to make cookies Introduction A When you think of cookies I bet you most likely think of eggs and milk, but what if I tell you, you dont necessarily need those ingredients to make delicious cookies? Good morning. My name is R Have you ever wanted to make cookies and realized you were out of eggs? R Im sure that at least some of us have O Today I will teach you how to make vegan peanut butter chocolate chips cookies W I will share with you a recipe for cookies that does not require eggs Body I The first step Is assembling all of your necessary tools and Ingredients A. For this easy recipe you only need cups peanut butter, 1/3 cups vegan butter, % cups sugar, h cup almond or simile, h teaspoon vanilla extract, h teaspoon salt, I-teaspoon baking powder 2 cups flour, and h cup vegan chocolate chips. B. You will also need a medium mixing bowl, parchment paper, cookie sheet and a tablespoon-measuring scoop. Transition: You can start once you have the Ingredients. II. First, take your milling bowl add the peanut butter and the vegan butter and mix everything together. B. Then add the vanilla extract and the almond milk and stir it up again. C. Last, but not least fold in the vegan chocolate chip cookies. Find some parchment paper and put it on a cookie sheet. Take your cookie dough scoop it out with the tablespoon-measuring spoon to form little balls. Dip the cookie dough balls and roll them in some sugar. D. After that you put them on the parchment paper and pop the cookies in the oven on 350 degrees for 10 to 12 minutes. When you take them out take a fork and make the cookies flat. E. Let them cool down for 10 minutes and then hey are ready to enjoy. Conclusion Now, you may not want to make vegan cookies and I am in no way saying that they are better than regular cookies, but it is nice to know that you can make cookies without eggs and they still turn out great. You can Just take your regular butter and milk and leave the eggs out.

Wednesday, November 6, 2019

Free Essays on Hedonist VS. Epicurus

Hedonist VS. Epicurus At first glance Epicurus’ philosophical views and hedonist philosophy may appear to be one in the same. They both believe in doing what is pleasurable and don’t particularly have anything to do with behaving in a manor to make a God happy. Epicurus’ views can almost be thought of as a type of hedonism, one could even call it Epicurean hedonism. Hedonism gives pleasure a central roll, what is pleasure is right. This general belief in hedonism can leave many open possibilities. What is it causes pleasure not and pain later? What if your pleasure causes another’s pain? Epicuris did not agree with the â€Å"Eat, drink, and be merry, for tomorrow you die† because prudence is the key to all virtures in a happy life. Epicurus realized that pleasures can be categorized into a few different types including vain, natural, necessary and unnecessary desires or pleasures. Not all pleasures are good, or the right thing to do. Individuals must make intelligent choices that will give them a happy life and not a pleasurable moment. Epicurus made references to physical pleasure of the stomach and that is should be determined by quality not quantity. A glutton overindulges in food, although it may taste good that moment, it will cause them pain in the future. The same basic idea applies to someone who commits a crime because it is desirable at the time, but spends the rest of his or her life in jail. Individuals must make decisions for a happy life to follow the study of Epicureanism. Pleasure not always achieved by doing something pleasing; it can come from the â€Å"absence of pain from the body and disturbance from the soul†. An individuals past also determines pleasure. To a starving person, eating bread and butter is very pleasurable but most other people will not look at this the same way. Epicurus also believes that God(s) exist but do not concern themselves with our world. So this wou... Free Essays on Hedonist VS. Epicurus Free Essays on Hedonist VS. Epicurus Hedonist VS. Epicurus At first glance Epicurus’ philosophical views and hedonist philosophy may appear to be one in the same. They both believe in doing what is pleasurable and don’t particularly have anything to do with behaving in a manor to make a God happy. Epicurus’ views can almost be thought of as a type of hedonism, one could even call it Epicurean hedonism. Hedonism gives pleasure a central roll, what is pleasure is right. This general belief in hedonism can leave many open possibilities. What is it causes pleasure not and pain later? What if your pleasure causes another’s pain? Epicuris did not agree with the â€Å"Eat, drink, and be merry, for tomorrow you die† because prudence is the key to all virtures in a happy life. Epicurus realized that pleasures can be categorized into a few different types including vain, natural, necessary and unnecessary desires or pleasures. Not all pleasures are good, or the right thing to do. Individuals must make intelligent choices that will give them a happy life and not a pleasurable moment. Epicurus made references to physical pleasure of the stomach and that is should be determined by quality not quantity. A glutton overindulges in food, although it may taste good that moment, it will cause them pain in the future. The same basic idea applies to someone who commits a crime because it is desirable at the time, but spends the rest of his or her life in jail. Individuals must make decisions for a happy life to follow the study of Epicureanism. Pleasure not always achieved by doing something pleasing; it can come from the â€Å"absence of pain from the body and disturbance from the soul†. An individuals past also determines pleasure. To a starving person, eating bread and butter is very pleasurable but most other people will not look at this the same way. Epicurus also believes that God(s) exist but do not concern themselves with our world. So this wou...

Sunday, November 3, 2019

Advise UK Commodities Assignment Example | Topics and Well Written Essays - 1500 words

Advise UK Commodities - Assignment Example One issue that arises under the incoterms is the CIF1. This term refers to the Cost Insurance Freight. In this case, the issue of CIF Southampton arises, and this involves the costs, and Insurance Freights of delivering the products to Southampton. In CIF, the seller insures the products during the course of transportation and delivery. FOB Southampton on the hand denotes that the buyer will have to bear all the risks, and costs associated with the transportation of the goods once the goods pass through the ships rail. In this case, UK commodities contracted Dutch grains, to supplier 45,000 bags of wheat, in March. The supplier had to ship them directly to Southampton, from Rotterdam. As shippers, the company arranged to transport the cargo and the goods were at the port by 25th of March. However, the ship delayed till the 2nd of April and despite this, the ship master issued the goods with a clean bill of lading without checking. The ship used another route that of Calais, instead o f that of Rotterdam. The result of this breach of the contractual agreement was that the price of wheat fell, and a large quantity of wheat under transit was damaged. Dutch Grains breached the contract in the following ways, 1. Did not transport the commodities at the required time. Section 29 of the 1979 sale of goods act outlines the rules concerning the delivery of a product or goods. Section 29 part 1 of the sale of goods act denotes that it is the stipulations of the contract to determine who will transport the goods to the buyer’s premises. Section 29, part 3 of the act denotes that the seller must send the goods to the buyer, at within the agreed time, and if the time period is not agreed, the seller must send the goods to the buyer within a reasonable time, and this time must depend on the matter of facts. Section 13 of the 1979 Sale of Goods act denotes that a buyer can refuse to accept the goods if they do not meet the description contained in the contractual agreem ent2, and this also includes the time when the goods are supposed to be delivered. In our case above, the carrier hired by Dutch grains did not transport the grains within a reasonable time, because they were to transport it on March, and they failed. They also used a longer route that contributed to the delay in delivery of the wheat. On this basis, they breached the provisions contained in section 29 parts 3 of the 1979 sale of goods act. Section 29 part 5 of the act denotes that if this is breached, the contract can be rendered void3, and thus the buyer can refuse to accept the goods. 2. Did not supply the goods in the right quality. Another breach by the carriers is that they supplied the wheat products when they were already damaged. Section 35 part 2 of the 1979 sales act denotes that a buyer who has never examined the goods under consideration has not accepted the goods until he has examined them in order to ascertain if the goods are in accordance to the agreements stipulate d in the contract. Subsection (b) of part 2 denotes that if the sale of the goods is by sample, the buyer must ascertain that quality of the goods under consideration, matches the quality of the sample. In our case above, a large proportion of the wheat were damaged4. On this basis, the buyer can reject the goods under consideration. This argument is reinforced by the provisions contained in Section 35A part 1(a) which denotes that the buyer has a right to reject goods brought to him by a seller, if he breaches the contractual agreement. Part (b) of the same section denotes that a buyer can reject some of the goods that have breached his contractual obligation with the seller. In our case abov

Friday, November 1, 2019

Globlasing world Essay Example | Topics and Well Written Essays - 2250 words

Globlasing world - Essay Example This movement that is limited to surrounding localities has increased significantly to a point that people have been able to cross borders and travel far and wide for business, educational or exploration purposes. This has led to imminent sharing of cultures, ideologies and interaction between different nations and continents. The processes involving all these activities are referred to as globalization. Extensively, it is described as the integrations of all the activities involved in globalization including transportation, information sharing and rise of new communities (Ritzer, 2005, 78). This has been accustomed to advances in technology, the internet, robust road network, reliable air travel and trusted transport system. Centuries ago human interaction over long distances was a daunting task but still feasible. This was made possible by the fact that people needed to trade the goods they had for what others had. They occasionally used animals such as donkeys, horses and camels t o travel over long distances. Globalization is not just about crossing borders and settling on the other side. It also involves close interaction and relationship building between people and systems already set in such places. Such systems include labor unions, immigration and education policies. People have been able to interact through other avenues like international events such as the Olympics, which has been able to unite people of different nationalities and cultures (Sua?rez 2004). For instance, soccer is clearly a global sport that unites and socializes nearly the entire world. It is understood as a re design of social topography marked by the growth of transnational and inter territorial interactions between people. There have been significant gains derived as a result of globalization. Economic Scholars and economists regard increasing capital accounts liberties and unregulated capital flows as a stumbling block to global financial stability. This is attributed to constant change in the market price of the popular goods and leading currency earners such as coffee. This has led to calls for capital controls and introduction of taxes on international Asset trade. Other scholars have argued that increased transparency in the market have brought about stability in countries that are already industrialized and brought an improvement in the upgrade of income of developing countries. This is as seen lower class to middle class. Finance in a globalizing world requires that countries and major economies make relevant economic policies in order to stay in the world economic platform. Many developing nations are still in their infancy stage of financial globalization and therefore look up to the already developed nations for financial opening. Developing countries do face numerous challenges in their quest to make a significant step towards improving their economy. A lot of decisions have to be made concerning the policies that need to be laid down for these co untries and the rate at which they are to be implemented. Financial globalization has more than often been blamed for the economic crisis that faced a number of developing countries. When decision on economic prosperity is made without considering the impact it may have on the global market may lead to major risks including large scale bankruptcies. For instance, the financial turmoil that rocked Latin

Wednesday, October 30, 2019

Cover Letter Essay Example | Topics and Well Written Essays - 250 words - 9

Cover Letter - Essay Example High collaboration and teamwork skills have assisted in maintaining quality co-ordination with previous workmates during the internship. My presentation and interpersonal skills have also made it possible to share ideas with board members. I am qualified in project management, and this has made it possible for me to attain my goal in building an orientation course for new engineers. I have professional affiliation with various organizations, the Society for human resource management being one that I have been privileged for being part of. Other associations include The Arabic Language Club, International Students’ Organization, Men’s Soccer Club, and College of Technology Student Leadership Council. These organizations have been influential in my career advancement for they have assisted me in learning and advancing myself career wise. Lastly, attached is a Curriculum Vita with my academic and professional

Monday, October 28, 2019

Chaotic Nature Essay Example for Free

Chaotic Nature Essay ‘The chaotic nature of the Nazi Government structure explains the failures in German war production during the Second World War’. Discuss. There is ample evidence that Germany’s war production levels increased during the Second World War in 1942, when ammunition, tanks and total arms increased by significant percentages due to Albert Speer relaxing constraints on businesses, and increasing the number of workers. However, one cannot not deny that the chaotic nature of the Nazi Government structure undermined war production excessively, due to the fact the German economy was not fully mobilised for war. It is also evident that the shortage of raw materials and labour affected the economy massively, furthermore with the SS remaining loyal to themselves; murdering six million Jews instead of seeking labour. The key factor of the failures in German war production is that the Nazi state was too chaotic and remained loyal to their ideology rather than to the war effort, with too many agencies competing for any consistent policy to be formulated; thus slackening war production. Certainly, the chaotic nature of the Nazi Government is the most significant factor of Germany’s failed war production. Hitler planned to start the war in 1942, 3 years later than when it officially started, additionally he didn’t plan when and how he was going to attack the USSR. The actual mobilisation of the German economy was marred by inefficiency and poor co-ordination. Additionally, Nazi leadership was shocking, as the pressures resulting from the premature outbreak of war created problems, due to many agencies’ projects encouraged being ready for 1943. As a result, all the agencies continued to function in their own way, and not together which created conflict. Thus, the Nazi economy was characterised by shortages, duplicates and waste; with Britain spending half as much and producing 50% more. Therefore, with all the Nazi agencies working on their own to impress Hitler, and not together, there was no clear plan in how to increase war production, just ways in which to electrify the Fuhrer and not total war. Additionally, Gauleiter also had different aims than the state, and aimed to Germanise and not develop the war economy, which also lead to mass shortages in labour and raw materials. Indeed, the SS played a huge role in limiting Germany’s war production. The SS were in charge of all the occupied concentration camps, and towards the end of the war they were in charge of 150 firms exploiting slave labour to extract raw materials and manufacture textiles, armaments, and household goods. Additionally, the SS never exploited occupied countries’ economy, thus did not use their industries successfully. Heinrich Himmler, the leader of the SS clashed with Speer; due to the fact concentration camp factories were inefficient, as Speer preferred using paid labour in occupied countries. In conjunction with this point, labour in the concentration camps contained horrific conditions, thus workers could not work efficiently in the camps to produce the amounts anticipated. Therefore, if the SS exploited occupied countries’ economies, then they would have been able to use paid labour, resulting in the workers working harder to the war effort; thus producing more raw materials vital to the war effort. In addition, the SS were in the process of exterminating 6 million Jews, wasting ammunition, raw materials, and supplies on them keeping them in concentration camps. One cannot contradict on the fact that Nazi ideology limited Germany’s war production. The Nazis viewed the war as a ‘radical war’, in which the superior Aryans would triumph over the Slavs and inferior groups and they aimed to make the whole of Europe become ‘Jew Free’. The Nazis had utilised the Great Depression to gain support, promising ‘bread and work’. As a result, Hitler always believed that he needed to give the people bread and butter at the same time as supporting a war economy; thus Hitler wanted to keep up with the production of consumer goods. By doing this concentrating on consumer goods as opposed to total war production vastly slowed down the production of armaments, ammunition, and many more materials essential to the war effort. These nationalistic beliefs also undermined labour, as conscription of women was ideologically based, with the Nazi view of women revolving around ‘Kinder, Kuche, and Kirche’ (children, kitchen, church). Consequently, due to such nationalist views and remaining loyal to Nazi ideology, war production could not increase due to a huge shortage in labour, with women persisting to be viewed as the stereotypical housewife, thus if women were conscripted to the labour force, war production would have been of vast improvements. Additionally, the Jewish race could have been used as a labour force to the war effort, instead of being held captive at concentration camps waiting to be murdered. However, putting a side Nazi ideology, it is said that Albert Speer nearly worked a miracle, by employing women and making concentration camps as labour camps; so there was some success in the war economy. Finally, because of the catastrophic nature of the Nazi Government, labour and raw materials were extremely short, thus resorted to total war as an attempt to quickly increase war production. Natural resources such as iron, coal, oil and many more needed to be produced at tolerable standards that were needed for a sustained war effort. In order to fight a major war, Germany needed the annex of other nations’ resources, which initially failed due to the failure of military Blitzkreig in 1942. Additionally, these shortages of raw materials were due to the lack of labour in Germany, as women’s labour declined from 14. 6 million, to 14. 1 million. However, women’s labour peaked to 14. 9 million in 1944, due to the actions of Speer, who employed more women in arms factories; which did however increase Germany’s war production. Speer’s actions were effective during total war, in the process of rationalisation when he made huge improvements in the economy. So yes, during total war and rationalisation, Germany’s war production was looking positive, but due to the small production of raw materials and a shortage of workers, Germany could not produce enough to make a real significance in the war effort. Undeniably, Germany did see some success in war production due to the actions of Albert Speer, having such a good relationship with Hitler; he was able to relax constraints on businesses that were made to fit the Nazis’ wishes. Thus, this encouraged his programme of ‘industrial self-responsibility’ to provide mass production in Germany; which inevitably succeeded. Nevertheless, there is no denying the reality that it was primarily the chaotic nature of the government that caused failure within Germany’s war production. Due to Nazi ideology, there was no intense loyalty to the war effort shown by any agencies, as they all acted to impress Hitler, thus did not work together stalling war production massively. In conjunction with this, the chaotic nature of the Nazi government deeply effected labour, with a shortage of female workers. Finally, as a result, raw materials were significantly behind, thus there was no proper sustained war effort.

Saturday, October 26, 2019

Escape From the City :: Rocky Mountain National Park Wildlife Essays

Escape From the City On any given weekend, thousands of Americans flock to the mountains to escape the rigors of city life. An escape from their bustling, smog coated, deadline driven lives, is a necessary part of 21st century life in an American city. Mans desire to commune with nature can be traced back to the earliest civilizations, and while that desire may have lessened somewhat in the past couple hundred years, the enjoyment of nature still remains. In Colorado, a mixture of big city life surrounded by wondrous miracles of nature can be found. Thus, every Friday in summer time one can observe long lines of vehicles traveling the vast highways leading out of the city and up into the Rocky Mountains. An often sought destination is Rocky Mountain National Park. The U.S. government originally purchased the 358 square miles that compose the park in 1803 as part of the Louisiana Purchase. In 1915 it was officially declared a national park, and later became an enormously popular tourist attraction for the nearby town Estes Park. Today this national park is comprised of some 150 lakes, 450 miles of river, and over 265,000 acres of land. Nearly three million people visit the park annually. Surrounded by massive purple and blue peaks, the tallest which rises over 14,000 feet, one is truly awestruck at the power and beauty of Mother Nature. The winding roads which encircle these mountains mark mans ascent and discovery of the surrounding lands, but also provide the opportunity to reach higher into the heavens then most dreamed possible a mere century ago. The breathtaking view over the surrounding lands, which was once only available to the adventurous mountain climber, is now readily available for all to see. One of the most popular of these roads is aptly named Trail Ridge Road. Construction began on this mountain pass in 1929 and was completed three years later in 1932. Workers were only able to work on the road four months out of the year due to the harsh mountain weather, and even today with all of mans wondrous technology, Mother Nature still reigns supreme allowing the road to be open only a handful of months. In mid April of each year, plowing beings to remove the snow covering the icy landscape allowing people to labor up the sometimes 7% sloping highway. Escape From the City :: Rocky Mountain National Park Wildlife Essays Escape From the City On any given weekend, thousands of Americans flock to the mountains to escape the rigors of city life. An escape from their bustling, smog coated, deadline driven lives, is a necessary part of 21st century life in an American city. Mans desire to commune with nature can be traced back to the earliest civilizations, and while that desire may have lessened somewhat in the past couple hundred years, the enjoyment of nature still remains. In Colorado, a mixture of big city life surrounded by wondrous miracles of nature can be found. Thus, every Friday in summer time one can observe long lines of vehicles traveling the vast highways leading out of the city and up into the Rocky Mountains. An often sought destination is Rocky Mountain National Park. The U.S. government originally purchased the 358 square miles that compose the park in 1803 as part of the Louisiana Purchase. In 1915 it was officially declared a national park, and later became an enormously popular tourist attraction for the nearby town Estes Park. Today this national park is comprised of some 150 lakes, 450 miles of river, and over 265,000 acres of land. Nearly three million people visit the park annually. Surrounded by massive purple and blue peaks, the tallest which rises over 14,000 feet, one is truly awestruck at the power and beauty of Mother Nature. The winding roads which encircle these mountains mark mans ascent and discovery of the surrounding lands, but also provide the opportunity to reach higher into the heavens then most dreamed possible a mere century ago. The breathtaking view over the surrounding lands, which was once only available to the adventurous mountain climber, is now readily available for all to see. One of the most popular of these roads is aptly named Trail Ridge Road. Construction began on this mountain pass in 1929 and was completed three years later in 1932. Workers were only able to work on the road four months out of the year due to the harsh mountain weather, and even today with all of mans wondrous technology, Mother Nature still reigns supreme allowing the road to be open only a handful of months. In mid April of each year, plowing beings to remove the snow covering the icy landscape allowing people to labor up the sometimes 7% sloping highway.

Thursday, October 24, 2019

Importance of Chemistry in Chosen Profession Essay

The international year of Chemistry (2011) should be the key point in a significant growth of the diffusion of chemistry to show society its importance, how it is necessary, which can provide, in order to put it in the appropriate place to be considered by the public. Different activities have been carried out in almost all the science faculties of the Spanish Universities during 2011 to develop the interest in chemistry. Those activities also include the collaboration with teachers in levels before to the University. The Faculty of Science of the University of Extremadura, as well as, in our case, a group of professors, PhD and PhD students are carrying out actions of divulgation of science including chemistry. The aim is to carry out chemical laboratory experiences for high-school students. Experiences in the laboratory were structured in response to different levels of difficulty and looking those more attractive or those that could hit the students. Addressed aspects were related to spectroscopy, surface tension, oxidation, reduction, precipitation, acidity, chromatography, liquid – liquid distillation, etc. The students worked in each activity in groups no larger than 4-5 students and they carried out the experience with the help of the instructor. It is noticeable the great number of activities described in the literature, in the network, etc., for the diffusion of chemistry. However, a crucial aspect is the form in which those experiences are carried out, as well as the participation of the students is active and the goals such as awaken the interest in science in general and chemistry in particular are achieved. Another point is to involve the university community especially the youngest in the necessity to spread the knowledge and the interest in science. We present a catalog of chemical experiences and a plan to be developed extensively to all the levels previous to the university, including primary school level. . Answer: Chemistry has a reputation for being a complicated and boring science, but for the most part, that reputation is undeserved. Fireworks and explosions are based on chemistry, so it’s definitely not a boring science. If you take classes in chemistry, you’ll apply math and logic, which can make studying chemistry a challenge if you are weak in those areas. However, anyone can understand the basics of how things work†¦ and that’s the study of chemistry. In a nutshell, the importance of chemistry is that it explains the world around you. Chemistry Explains†¦ * Cooking Chemistry explains how food changes as you cook it, how it rots, how to preserve food, how your body uses the food you eat, and how ingredients interact to make food. * Cleaning Part of the importance of chemistry is it explains how cleaning works. You use chemistry to help decide what cleaner is best for dishes, laundry, yourself, and your home. You use chemistry when you use bleaches and disinfectants and even ordinary soap and water. How do they work? That’s chemistry! * Medicine You need to understand basic chemistry so you can understand how vitamins, supplements, and drugs can help or harm you. Part of the importance of chemistry lies in developing and testing new medical treatments and medicines. * Environmental Issues Chemistry is at the heart of environmental issues. What makes one chemical a nutrient and another chemical a pollutant? Importance of Taking Chemistry Everyone can and should understand basic chemistry, but it may be important to take a course in chemistry or even make a career out of it. It’s important to understand chemistry if you are studying any of the sciences because all of the sciences involve matter and the interactions between types of matter. Students wanting to become doctors, nurses, physicists, nutritionists, geologists, pharmacists, and (of course) chemists all study chemistry. You might want to make a career of chemistry because chemistry-related jobs are plentiful and high-paying. The importance of chemistry won’t be diminished over time, so it will remain a promising career path.