Thursday, October 31, 2019

The Role of Computers in Industrial Espionage Research Paper

The Role of Computers in Industrial Espionage - Research Paper Example is, sharing sensitive information with suitable parties while protecting that information against competitors, suppliers, vandals, foreign governments, and customers. The attempt to gain access to a company’s plans, products and clients’ information, and whatever trade secrets are, is considered as industrial espionage. It describes activities such as theft of a business formula, practices, processes, design, instrument, pattern, or any vital information which is generally not accessible because these give the company leverage from competitors. Some other acts associated to this are bribery, blackmail, and technological surveillance. Intellectual property crimes are grave offenses in their own right, â€Å"not because they inflict physical injury or death upon a person, but rather because they steal creative work from its owner.† (Nasheri,) It is inevitable that a company aspires to know the business moves of a rival business and this has been the primary concern of some of the largest companies in the world. They have an annual budget and pool of people to handle these concerns. While it is true that to â€Å"survive in tod ay’s cutthroat business environment, [one] must be properly armed. And one of the most important arrows in the businessman’s quiver is accurate knowledge of his competitors and business environment – in other words, detailed knowledge of the enemy and the terrain of the battlefield,† (Rustmann, 2004) it is however unfortunate that commonly this said conduct is illegal. Oftentimes, rival companies will browse through public records in order to pre-empt actions about another company. However, when the search becomes private, industrial espionage is an unlawful act and punishable with financial penalties and sometimes jail time. Furthermore, this may lead businesses to bankruptcy and also affect the ties of friendly nations for when it already surpasses national boundaries it can make allied nations momentarily are indecisive and doubt

Monday, October 28, 2019

Philippine Land Law Expert Chatbot Essay Example for Free

Philippine Land Law Expert Chatbot Essay The researchers tend to work on an expert system with integration of Philippine land laws. They chose to focus on land laws since one of the major problems of the Filipinos who seek law experts’ advice are due to land. The researchers deliberates the possible ways on how can they share knowledge and guidance that works like a real lawyer advising a client but have not taking an account to replace to seek a real land law experts guidance. Also, putting an expertise into a machine happens in many ways. So, the researchers find a way on constructing an expert system on Philippine land law using different techniques. In giving solution to the stated problem of the researchers, this study implements techniques such as Natural Language Processing (NLP) with sub-processes of Tokenizing, Part-of-Speech Tagging, and Parsing for input abstraction and validation, as well as Natural Language Generation (NLG) for the construction of answer/s. The developed system entitled, â€Å"PHILEX: Philipine Land Law Expert Chatbot† focused on providing answers to the user’s questions. Such users who are in need of information, assistance and knowledge and those who seek counselling in regards to any Philippine land law or land rights can benefit from the said expert system but must always know that the researchers do not intend to substitute the land law professionals. Upon various tests that the researchers conducted aiming to know the accuracy, specificity and sensitivity of the system, researchers came up with such conclusions. A technique, Precision and Recall, was used to test the system’s capability of answering the user’s questions relying from correct result (true positive or tp), missing result (false negative of fn), unexpected result (false positive of fp), and correct abscence of result (true negative or tn). This study also intends to identify the evaluation of the experts when it comes to sy stem’s user-friendliness, speed of response, and completeness. Five (5) land law experts chose twenty (20) test questions used to assess the system’s competency. Conclusion made by the experts based on the results is PHILEX, being the system for giving answers to user’s questions pertaining to Philipine land laws, is acceptable as a reliable source of knowledge and guidance without intending to replace the professional practitioners. The system got an overall percentage in terms of accuracy, a 75%, specificity with the percentage rate of 55% and sensitivity with 80.8%. Summing up the scores in terms of user-friendliness, speed of response, and completeness resulted to an overall weighted mean of 4.36, 4.32, and 4.16 respectively, interprets that the system as an acceptable tool for land law consulations. In the future, the authors would like to extend their work and knowledge by making the system possible to access by everyone through web or what we called â€Å"web-base application†.

Saturday, October 26, 2019

Impact of Mergers and Acquisitions on Operating Performance

Impact of Mergers and Acquisitions on Operating Performance Chapter-1: Introduction 1.1 Introduction Along with boosting their own profits, businesses create gains for their shareholders and exist to serve customers. According to Ghosh and Das (2003) these aims can be achieved a) by reducing costs since this increases competitiveness and market share and so wins over more customers, b) by capturing wider markets through offering an increased range of products and services, c) by undertaking diversification operations, and d) by undertaking mergers to grow the company inorganically. Mergers and acquisitions (MAs) are suggested as measures to revive failing companies and as strategic tools. Conducive to strategic alliances and mergers in an increasingly competitive business environment are global economies, favorable policies and incentives, relaxed rules, and liberalization. New products, diversification, RD etc.have also been included as critical factors when businesses scale up operations and responsibilities along with increased roles in world economies as has been noted by Yadav and Kumar (2005). Due to brand building and PR exercises, a few MA deals may have taken place as pointed out by Malatesta (1983) and Roll (1986). One fact prevalent across numerous sectors relates to an increase in MA competence levels and competitiveness. Corporations involved in MA deals around the worldconsistAir France and KLM in the airlines sector, Daimler-Benz and Chrysler in the automobilesector, and SBC and ATT in the telecom domain. A lot of research on shareholder gains in the event of an MA exists today. When word gets out that an MA is imminent, the stock prices of both companies goes up tremendously and favorably impacts shareholder value. As the nature of the market reports why details of impending mergers are not leaked and could lead to stock crashes affecting prices many reasons are there. While MAs may lead to healthier bottom lines and improved cash flows as felt by most business managers, however, to the shareholders, some mergers and acquisitions may be loss making enterprises which are of no use. So to generalize that MAs always result in favorable circumstances for the shareholders is not always true. Due to the fact that in terms of synergy, expertise, and objectives, the companies do not match up some mergers may not be effective. If the following are not aligned correctly i.e. asset allocation, resources, and core strengths and if through a planned integrated approach, care is not taken to fuse the two companies into one then, along with an expose of operating weaknesses, share value can fall. This may lead to erosion and drying up of capital.The failures in MA deals are placed at over 60% as estimated by Schweiger (2003). 1.2 Background of the study Through the economic activities across Europe and the world it is clear that FDI activity has risen over the past decade. In addition, the merger and investment acquisition mode has risen sharply and as a percentage of all FDO risen as noted by Lipsey (2002). From 1995-2001 the Global Wave has been labeled as the most recent merger wave by Jobanovic and Rousseau (2002), through an emphasis on their importance and a move to more cross-border mergers. According to Jovanovis and Rousseau in the EU in 2000-2001, about 40% of all mergers occurred through cross-border deals and from 1991-2000 these deals accounted for about 100% of the total number of mergers in the EU. According to the EC (2001), to make acquisitions for euro-zone companies becomes easier by increased financial markets integration. Among the EU nations, a rapidly increasing number of cross-border MA were contributed to by an active market for corporate control given the boom of the 1990s. Similar to Ueng and Ojahsresearch (1998) the FDI wealth effects investigation the effects of these integrating transactions on form shareholders using methods are examined in this study. In the EU nations, the merger analysis and acquisition activity is warranted certainly as suggested by the importance of the international business community and increased activity. In the EU,of the integration process, a significant piece is owed to cross-border mergers and more than others, the benefits have filtered in to some countries. Therefore, it is important to understand who has gained or lost, and why. Instead of the individual states of the United States (US), the EU nations have greater political disparity. This would seem to imply that across the US the nations across EU are of greater importance in a level playing field in the business community. Within the US however, instead of a similar study of interstate transactions, this key factor makes this study much more interesting. 1.3 Statement of the problem In terms of markets, resources, technology, money, or skills, mergers have a high chance of taking place in terms of the size of the top managements of two similar companies and when they are evenly matched to register and contribute to the merger as observed by Samuel and colleagues (1990). Between equals, these mergers are mergers and generally, when the existing companies do not function as an entity anymore, they are complete and a new structure is created to merge the assets and resources of both the companies. The new companys shares are then redistributed among both the companies shareholders. In another scenario, giving them a majority shareholding by buying a large percentage of their shares, a company may acquire another company and become the new owners. This is termed an acquisition and the company acquired is merged into the existing business of the company. The target ceases to be an independent entity legally. Along with trading on the stock exchanges the shares of the acquiring company still exist. 1.7 Significance of the study In the industry involved the three big entities Lloyds TSB and HBOS have special significance as their merger provesthrough the rationale behind this topic.This merger sought to create the largest steel company and this leaves much scope for research. 1.8 Possible contribution to knowledge Based on the home country of the target and the acquiring firms, there are differentials in the average wealth effects of cross-border mergers and a study of this is the possible contribution of this research. From the EU averages it is clear that several EU nations differ significantly, which would imply that from cross-border mergers than those in other countries the owners i.e. shareholders of firms in particular countries stand to benefit more. Why these differences exist, the research continues to explain empirically and this is beyond showing that such country-specific differences exist. In Europe, by examining a small sample of cross-border mergers, it is evident that these findings are not unique to the EU. 1.9 Limitations of the study The research deals with a specific industry and that is the key limitation of the study. Hence, the implications of this study cannot be applied as every industry has its own conceptualization with regard to the effects of mergers and acquisitions. The country-specific nature is the other limitation, since these organizationswork within individual financial environments pertinent to these countries. 1.3. Purpose of the research and aims What is the impact of mergers and acquisitions on the operating performance of the firm? Objectives of the Research To critically analyze the impact of mergers and acquisitions on the operating performance of the firm in India. To strategically evaluate the impact on shareholders wealth post-MA. 1.4. Structure of the rest of the report Chapter 1- Introduction: Chapter one is the Introduction which will cover the brief aspects about mergers and acquisitions. Chapter 2- Literature Review: Chapter Two will dealwith Literature Review which will draw theoretical underpinnings on the subject area of the research. Chapter-3-Conceptual Framework: Chapter Three will discuss the Indian Banking Industry with the perspective of MAs. Chapter 4- Research Methodology: Chapter Four will be on Research Methodology and Process which will cover the process which is adopted by the researcher for conducting the research. Chapter 5-Data Findings and Analysis: Chapter Five will be on Data Findings and Analysis which will cover broadly the sectors which are involved in the mergers and acquisitions. Chapter 6- Conclusion: Chapter Six will be the Conclusion which will specify the way the entire research has been conducted and the end result of the same. Topic: A study of recent mergers and acquisitions in India and their impact on the operating performance and shareholder wealth: An analysis Banking Industry. Chapter-2: Literature Review 2.1. Introduction Investigators have been analyzing amalgamations and takeovers in the context of their characteristics and the impact on the development of both the entities over the past several years. In actuality, Weston et al. (2004) opine that the experts and researchers in the field have provided a large quantity of records related to the topic. There are many reasons why companies follow development policies related to amalgamations and takeovers. This permits rapid acceleration in addition to having a quick and instant approach to markets, both local and international. It is also likely to touch renowned brands, apply knowledge and skill, and widen the dimension and extent without losing time. In the sphere related to real estate, a participant (real estate firm) may want to promote a mutual organization for funding ventureson an individual basis. It may also consider entering into a joint venture with a construction enterprise in the domestic market so as to execute the venture as per assure d measurements and highlighted conditions as stated by Jensen (2006). Clients are reassured when they involve themselves with big enterprises, which have a great degree of brand reputation and remembrance. During these times, they articulate their backing, not merely as clients but also as financers as they buy stakes so as to invest money in the enterprise. It also possible for a company to advance by augmenting returns or managing expenses which in turn can be attained by reorganizing and reconfiguring finances apart from using creative methods and reengineering. Some enterprises may also purchase brands, goods, and utilities to expand the goods portfolio of the enterprise. The capability of an enterprise to undertake a development policy by reallocating its resources in creating different facets of its presence was maintained by Hogarty (2000). This could be denoted by its production unit, RD, and through creating and promoting its brands and setting up more projects in parallel or varied spheres. Firms may also purchase extant enterprises or amalgamate with others to attain their objectives. Amalgamations and takeovers assist in accelerating development as the roles pertaining to infrastructure, branding, and manufacturing are clearly set up. Superior mediums which endorse development comprise of contracts, treaties, and agreements for varied ventures for a pre-determined time. All across the world, international corporates and enterprises are entering into purchases of and amalgamations with new firms, forming joint ventures and such equivalent associations on a common basis. Nearly fifty percent of the contracts pertaining to amalgamations and takeovers in India have been initiated by global enterprises. In 2005 alone, India witnessed global contracts of around 58 percent, a number which was double compared to Japans agreements at 21 percent. Internationally, amalgamations and takeovers entail dogmatic frameworks particular to a specific nation and the labor unions of the enterprises. Post the 1990s, economic revolutions have been occurring globally and this has seen a growing attraction for amalgamations and takeovers. The financial segment witnessed a newness which saw modifications being made to possession and trade regulations, an increase in the disposable earnings and as a result, the capacity to discover newer marketplaces and newer chances. Firms are now fully utilizing the reduced interest rates and cost of capital. This has assisted several enterprises in broadening their scope of operations at the domestic and global levels through partnerships, associations, amalgamations, and takeovers. Additionally, the presence of many global media enterprises which publish information pertaining to contracts and partnerships on a large extentà ¢Ã¢â€š ¬Ã¢â‚¬ particularly in segments related to production, cars, retail and others. On the other hand, it is extremely crucial for companies to ensure specific advisory metrics before they perform their functions related to amalgamations and takeovers, especially in huge markets which have not been discovered. Amalgamations and takeovers also have the ability to shift the stakeholder worth affirmatively or adversely, which may result in a scenario, which eats away into the prosperity. When local takeovers in addition to global amalgamations get transformed into deficit-making and zero-worth developing patterns, all of these experience impediments. When stakeholders are not going to benefit from such projects, the costs of shares decline and thus, such agreements must consider all the primary essentials before opting for the linked choices. The influence of amalgamations and takeovers may be favorable or harmful to the development and this may take a long time and also be extremely costly for a total revival from an impediment. The existing segment also highlights the investigations and examinations undertaken on the topic by analysts. One needs to have sufficient data evaluation and also conduct hypothetical tests while assessing the influence of amalgamations and takeovers. Adequate links should also be deduced to comprehend the reason and impact correlations in amalgamations and takeovers in context to the criteria such as development of trade, stakeholder worth, productivity, and general performance. As the current study is linked to the influence of international amalgamations and takeovers, it is crucial to analyze the global amalgamations. Global partners who function from India while being based in the European Union framework have been examined depending on specific extant data. Additionally, domestic amalgamations and takeovers have also been analyzed. 2.2. Theoretical Background: Mergers Acquisitions (MAs) 2.2.1. Definition Amalgamations and takeovers can be superiorly comprehended as development polices to enhance the income of the enterprise and also, its capital foundation. Sometimes, for two enterprises, with similar or dissimilar trade functions, to amalgamate on specific ranks is a superior trade choice. An amalgamation of this type assists in imparting a blend of experience and finances. A commercial amalgamation of this type functions as a solitary body between edifying impacts and worth values of a commercial amalgamation and takeover (Jensen and Ruback, 2003). Though the phrases amalgamations and takeovers are frequently employed collectively, they are two extremely varied procedures. Amalgamations describe the merging of two different enterprises into a single entity. The two enterprises join each other, and shift all their resources and functions into a new one. This procedure includes the merging of all types of resourcesà ¢Ã¢â€š ¬Ã¢â‚¬ employees, manufacturing facilities, and functions into the new entity that is shaped. The new entity shaped out of this has its individual distinctiveness, edifying representation, and groups of convictions. It is pointless to state that they are possessed by both the parties which share their resources to develop the new identity (Huang and Walkling, 2007). A takeover is considered as the purchasing-out procedure of an enterprise by another with the goal to stimulate management of its assets, investments, and functions. Takeovers occur when a firm purchases a major share of another firms stakes, assets, and liabilities (Weston et al., 2004). Firms experience a supplementary benefit when this occurs as they get the management apart from the functioning assets, in contrast to when they purchase merely the stakes, in which scenario they have to only compete with the other shareholders. Purchasing assets includes more expenses and offers an extensive capital foundation (Singal, 2006). Now let us consider acquisitions. This phrase also has been employed for many perspectives and is understood also. Takeover is a vague expression and though it may denote a context similar to acquisitions; the two are actually varied types of trade agreements (Jensen, 2006). A takeover is when a purchase is conducted without acquiesce or permission of the ente rprise being taken over. Takeovers come with an adverse action that entails the attaining of another firm with the intent to manage it. When an enterprise desires to take over another firm, it tries to purchase all its shareholders. Takeovers are the ones which do not have the approval of the firm being purchased and they are often nearly undertaken as a hostile proposal. This now clearly explains the different expressions and implications attached to amalgamations, acquisitions, takeovers, partnerships, and associations and how their context is based in the situation in which they are being applied. 2.2.2. Types of Mergers Acquisitions Mergers can occur at parallel, perpendicular, or multinational levels. Each kind of amalgamation has not only its own typical characteristics but also a distinct impact on the work processes and trade functions. Horizontal Mergers When two enterprises or enterprises that have parallel trades, which amalgamate to develop an entirely novel trade enterprise, it is known as a parallel merger. The enterprises which enter into a parallel amalgamation combine their assets as individual enterprises to shape a novel entity. These enterprises are thus capable of making a more robust enterprise which has a wider capital base and greater resources. The rationale behind this is to acquire a larger market share and become a dominant force in the market (Shleifer and Vishny, 2009). Such parallel amalgamations provide several benefits. They enable larger presence and greater range in addition to optimal performance ability to the novel entity. The two previously distinct entities now have the benefit of augmented resources capable of executing procedures in a superior method to ensure consistent supply of goods, which are of much better quality (Mitchell and Mulherin, 2006). Even in India there are a few instances of parallel amalgamations, for instance, the amalgamation between Indian carriers which occurred between Lufthansa and Swiss International apart from Air France and KLM (Bottazzi et al., 2001). The United Kingdom (UK) has witnessed several parallel amalgamations. In reality, the results of several investigations have depicted that nearly 60 percent of all amalgamation agreements which have occurred post-2001 have been parallel amalgamations (Firth, 2000). The same notion is also put forth by Berndt (2001). He also states that most of the amalgamations which happened post-deregulation and liberalization of the economy were parallel in character. Another instance of a parallel amalgamation like the one ofBirla Cement and Larsen Toubro (LT) is related to the cement sector. Additionally, the amalgamation ofKingfisher Airlines and Air Deccan in addition to the one between Jet Airways and Air Sahara depict parallel amalgamations in the airlines sector. The Tatas and the Birlas are two huge corporate entities, which have amalgamated in the telecommunications sector. Vertical Mergers A perpendicular amalgamation is one in which enterprises which are elements in a supply chain or which function as utility suppliers or subsidies in the equivalent type of trade resolve to become one entity. It is noticed that such amalgamations occur when firms resolve to augment their forte in the supply aspect (Agrawal et al., 2002). Perpendicular amalgamations manage to keep rivals away by maintaining stress and managing their supply firms. The perpendicular amalgamation is thus capable of seizing a bigger market share for their goods while the supply group fails to back the goods of other contenders. This plan assists the enterprises to closely react to their clients needs. The element pertaining to the rivals is capable of keeping the prices from rising as the supplies are not reimbursed for (leanmergers.com). Logically, the outcome of this action is an extremely robust management and more revenues as the firms attain an upper hand over their contenders. An instance of perpendicular amalgamation is the one between Ford and Vauxhall who are car producers, who have acquired or purchased automobile enterprises. When Ford purchased Hertz, it was an instance of a perpendicular amalgamation (Loughran and Vijh, 2007). Another example of a perpendicular amalgamation in the telecommunication industry is that of Reliance Communication Ltds purchase of Flag Telecom. Conglomerate Mergers Multinational amalgamations occur amongst two entirely varied enterprises. Such enterprises are participants at distinct degrees and have no equivalents in the good variety, markets, clients, supply chain, or any other criterion. Multinational amalgamations occur amongst such enterprises and a novel association is shaped in addition to new trade contracts. Multinational amalgamations show only one line of power or authorization, which manages the trade functions from a solitary aspect of knowledge, resources, client power, and market experience which guarantee enhanced trade after the multinational trade which occurred before (Asquith et al., 2003). Multinational amalgamations are executed so as to diffuse the dangers over an extensive base and thus avoid any chief impediment for the enterprise (Huang and Walkling, 2007). Financial Acquisitions Monetary attainments are related to the capital and fiscal aspect of trade plans such as Management Buyouts (MBOs) or Leveraged Buyouts (LBOs). Such purchases are not considered in the same context as amalgamations and takeovers (Travos, 2007). 2.2. Stimulus for Amalgamations A large chance to develop the value of mergers is when incentives for the same are anticipated or envisaged by investors. Investigators such as Asquith et al. (2003), Agrawal et al. (2002), and AndrÃÆ' © et al. (2004) have developed comprehensive data related to the topic pertaining to the incentives for mergers. Mergers must be discouraged by varied reasons such as a superior geographic market, varied economies, superior capabilities and price efficient conduct, widening of the trade, the synergy incorporated, and shifting assets to superior administrators so as to maximize the assets and create superior results, which is the chief objective. It has been proved that mergers and amalgamations are distinctive mediums related to financing in the context of advancement by many investigators. The chief idea or objective behind attaining a profitable investment would be important, particularly if such a concept is considered. In the event of the presence of incentives such as professions or sometimes pure respect improvement occurrences, the possibilities of investments becoming valuable, particularly when there are totally varied incentives for the varied enterprise to triumph and create the line of business. In the event of mergers, at the point when the primary incentive shapes the real advantageous investment, one has to consider the reason why the merger may seem to be priceless. A primary reason may be the lack of the expanding capability to access an unexploited market. One may anticipate a merger so as to achieve these objectives in an effortless manner (Gugler et al., 2003). For a triumphant merger, one should ascertain aspects of robust revenues and synergies. The focus in this matter should also lie on comprehending the incentives for cross-border mergers. It is noticed that dissimilar to domestic mergers for cross-border mergers, one needs to develop an incentive evaluation (Conn et al., 2001). The FDI incentives would resort to internalization, ownership, and position advantages as good instances as mentioned by Moeller et al. (2004). In the context of cross-border mergers, a merger is not likely to have unique ownership advantages. On the other hand, locational advantages may be unclear. Thus, in lieu of purchasing an enterprise in a totally varied geographical market, there are many idea-procedures which happen constantly. The majority of crucial internalization advantages in the instance of cross-border mergers are when products are sold overseas by one nation to another. In the event of the incentives, the OLI framework provides a backdrop for the objective of cross-border mergers, but other factors are also very crucial. It is considered by Chen and Findley (2002) that there is a speed if the retrieval to international markets since those from Greenfield investment cannot be equaled. By the end of the initial ten years of the 21st century, the waves in mergers were analyzed by Danzon et al. (2004). This was later referred to as the Cross Border wave. In contrast to other waves of the century, Evenett explained the trends of the merger wave to be distinct. The utility segment displays how the merger wave comprises of more mergers since specific elements had become components of the Cross Border and more so, with the liberalization effects in addition to the industrial monetary facet, this has additionally intensified privatization. There had to be a greater milieu to assist cross-border mergers. With the chief investment, the incentives had to be linked to the dogmatic surrounding to guarantee an element of the merger wave as depicted by Evenett. For other such grounds, cross-border mergers rise as depicted by Nicholson and McCullough (2002). When the researcher has to handle the theoretical information pertaining to mergers, he tries to present an expansive literature for better understanding. In the context of mergers, a maximized direct policy contention seems to be the most superior and is accountable for the impact of the mergers. A reasonable facet of the investigation discusses how both, markets and clients in the market commence many types of mergers. There has also been a theoretical investigation relating to ideas such as benefit predictions, envisaged variations in the outlays, diversified and varied quantum, in addition to who will eventually gain or lose on account of mergers. These theoretical investigations found their crux in oligopoly markets. Oligopoly markets have been the only crucial markets to utilize the rationale behind mergers opine Conn et al. (2001). So as to manage such market situations, a firm which enjoys a monopoly generally cannot enter into a merger. In a merger of firms, there would be no impact on the market outcomes. In varied production scenarios, the strengths of demand and cost in varied types of oligopoly markets function in different ways while the emphasis of the literature is on studying mergers. 2.3. Cross-Frontier There are several literatures which pertain to theories related to mergers. In reality, none of these literatures actually differentiate that in the management of international merger procedures there must be variations. To achieve cross-border mergers several simultaneous investigations have been undertaken, which complement that there are several literatures dealing with the impacts of these mergers. In terms of globalization, it relies so this is a close expansion and additionally it fulfills international economy apart from varied types of market endeavours to expand international firms of their functions. With consistent methods related to cross-border mergers there is relevant contention for the perusal of Indianization of different segments as described by Ozawa (2002). On account of the absence of attempts in merging administrative techniques, business is the driving aspect behind communication and culture which is why different cross-border mergers were unsuccessful states F inkelstein (2009). Every type of merger is impacted by these matters instead of cross-border agreements which may be dominant. A further peril is that cross-border contracts are entered into merely to gain benefits. To regard the facets of wondering literature there are subjects and anxieties in context of the methods which incorporate cross-border mergers that have been completed. For cross-border mergers, informative differences are real in the hypothetical model facet as stated by Estrin (2009). In the process of achieving merger benefits, jargon, cultural problems, and official systems are cited as types of primary obstacles. The capabilities to draw attention of skills from other enterprises have been provided to differences useful influence procedures, attainment of communal mergers in firms and the particular speed. Generally, between the links amongst the merging methods of firms informative differences are the source of distrust, to which the triumph can be impeded by the communication matters. There is no clear theoretical model on the other hand, which is related to the impediments which harm the efficiency; despite it being a hypothetical exemplar. In contrast to domestic mergers, for a successful cross-border merger, however, this proves that the closer the facets, the more the obstacles, and these are limited to specific countries since many of th ese obstacles are linked to the regulatory and informative systems prevalent there. According to the origin of enterprises in context to the obstacles,there exist behavioral national variations which need to be expected and depend on the country. By being a source of synergy, informative differences can enhance merger ability in addition to generating benefits as opined by Fama (2009). However, impediments can be built by this, for expanded manner of spreading that is more possible. Instead of any of the domestic mergers participating in cross-border mergers as to gain more useful outlooks for the firms a theoretical exemplar method has been developed by Bjorvatn (2001) for the profit of handling cross-border mergers. By allowing varied mediums of entry in addition to cross-border mergers and for assessing and impacting triumph of cross-border mergers in addition to assessing entry outlays these are the primary variables, he employed to follow Fama (2001). Greenfield investment has been shifted into avenues which are minimally attractive by entry outlays, by methods using cross-border mergers augmented to the degree of revenue. On the other hand, in that market for achieving success as expected facets domestic mergers are regarded to be linked to a rise in the entry expenses. In contrast to the domestic ones in envisaging cross-border mergers success focus on hesitancy which is the outcome in this scenario. While choosing the expected outputs in addition to the entry outlays, the cross-border mergers can also provide access benefits to the distinctive market. In this regard, for both domestic and cross-border mergers, there is present, a theoretical merger literature. In terms of price uncertainty and demand exemplar depending on the matter of the doubt as put forth by Das and Sengupta (2001) both in domestic and cross-border mergers is the correct method. 2.4. Experiential Study MAs are expansion strategies that corporates adopt to increase scale and market share rapidly. They are also used to diversify business interests or acquire technological capability, capital, expertise, or enter new markets. From the business perspective, growth is seen in terms of capital, profits, and shareholder value, operations become more efficient, and busin

Thursday, October 24, 2019

Movie: Wolfgang Amadeus Mozart Essay -- essays research papers

Movie: Wolfgang Amadeus Mozart   Ã‚  Ã‚  Ã‚  Ã‚  The movie takes place in Vienna, Austria in the 1700's. The film begins with the attempted suicide of Antonio Salieri, a court composer of the Austrian Emperor. He is placed in a mental asylum where a priest visits and asks for his confession. Salieri claims to have caused the death of Mozart. The rest of the movie is a narration by the court composer, mostly in flashbacks, of how he caused this death.   Ã‚  Ã‚  Ã‚  Ã‚  Salieri recounts that while he was playing games as a boy Mozart was playing music for the King. At the age of four, Mozart composed his first concerto, at seven, his first symphony, and at twelve, his first opera. He was considered a child prodigy. Salieri wished to become a famous composer, like his idol. However, his father would not allow this. He didn't want his son to be a ‘trained monkey, on tour around Europe performing tricks like a circus'. Salieri prayed to God and what he considered a miracle happened: his father dies and he was able to pursue his musical studies. He eventually became a popular musician and teacher in the Emperor's court. When he heard Mozart was coming to Vienna from Salzburg, he eagerly sought him out. He finally found him at a party, way from the other guests, acting like a silly animal, chasing a young woman. However, as soon as he heard his music starting without him, he changed into a serious musician, rushing to take his place as conductor. Salieri noticed that Mozart conducted without notes. Although he recognized that Mozart was a ‘giggling, dirty-minded creature', he was also able to see the genius in him. He couldn't understand why God had chosen a ‘obscene child to be his instrument'. At another time, Mozart's wife presents to Salieri some of his work in an attempt to get him a job as a teacher. Salieri sees that the music sheets have no corrections and no notes. Mozart simply composed from his head onto paper. It is then that Salieri is overwhelmed by his brilliance. He realized that God has given to Mozart the skills and genius that he has always prayed for, and all he gave to Salieri is the ability to recognize it. It is at this point that he turned away from God and set out to ruin Mozart.   Ã‚  Ã‚  Ã‚  Ã‚  Salieri then describes what Mozart was like. Mozart drank too much, he partied all day and composed all ni... ...live to suffer. As the movie ends, Salieri is being wheeled through a room of mentally ill patients and this is where he will spend his remaining days.   Ã‚  Ã‚  Ã‚  Ã‚  I think that Hollywood may have over-exaggerated Mozart's behaviour. In my reading there is no evidence that he was like this. I wonder if Salieri really hated or was jealous of Mozart. Did Salieri really plan to kill the composer? The World Book Encyclopedia states that Mozart did try to earn money by teaching pupils. There is no mention of any abnormal behavior.   Ã‚  Ã‚  Ã‚  Ã‚  Whether the movie is true or false, I think the movie tries to show that genius is next to madness. A person may excel in one subject, yet the growth of the other parts of his behavior may be stunted. The movie also points out that jealousy brings misery. Salieri was well paid and popular, had a high position, and had respect from other people. Yet he remained unhappy and even ruined his life, all over the fact that another musician was better than he. Finally, it's a great tragedy that Mozart died so young and penniless.   Ã‚  Ã‚  Ã‚  Ã‚  The movie was well acted, and the music was beautiful to hear.

Wednesday, October 23, 2019

Discovering what Democracy Means

Democracy is most simply and conventionally defined as the type of government wherein the power rests in the people, or at least, majority of a nation’s citizens. A government that allows people to vote and choose their leaders, a Constitution that is created exactly to protect the welfare of such people, equality in the access of power and universal recognition of rights and liberties are principles that characterize democracy as a government and as a political theory.Bill Moyers believes in the power of â€Å"we†. He believes in the principles of equality and liberty. He believes in all principles that speak of democracy. However, there is something different about Moyer’s portrayal of democracy. His speeches, shows and works, all suggest not only a man who knows and believes in principles but also a man who is passionate in his advocacy of bringing these principles into actuality, not by inciting revolt or actual participation in a revolution but through refle ctive words that inspire and incite the dignity and humanity in man.Bill Moyers starts Discovering What Democracy Means (2007) by defending social scientists, artists and scholars, and arts and humanities as teachers of the mind. While the Congress is being skeptical about allocating funds to arts and humanities, doubting its actual and practical contribution to the society, Moyers’ answer is simple: â€Å"They are worth listening to†.How are they worth listening to? Moyers doesn’t present the Congress with a ledger of beneficial consequences, because surely he can show none. But he cites a series of quotes from such public thinkers, pointing to these quotes as something that would have taught the members of the Congress the questions shared by the people, and would have put their minds in a position to judge the status of the society in relation to the people’s capacity and reservoir of creativity. At one point he intimated that arts and humanities bring the good in people, even at least in their fantasies:â€Å"They would have heard the filmmaker David Puttnam tell how as a boy he sat through dozens of screenings of A Man for All Seasons, the story of Sir Thomas More’s fatal defiance of Henry VIII: â€Å"It allowed me the enormous conceit of walking out of the cinema thinking, ‘Yeah, I think I might have had my head cut off for the sake of a principle.’ I know absolutely I wouldn’t, and I probably never met anyone who would, but the cinema allowed me that conceit. It allowed me for one moment to feel that everything decent in me had come together.†Ã¢â‚¬  (Moyers, 2007)This quote may also be interpreted as putting premium on vicarious experience. After all, a person is not expected to experience everything that can be experienced in one lifetime. Arts and humanities provide a medium for allowing people to experience more than what their limitations (imposed by reality and self-impressions) allow them to experience. It allows people to feel a sense of empowerment, or a sense of pride that they can do much more or know much more than what they routinely experience and perceive every day.If viewed in light of the above quotation, this interpretation also says that the Congressmen would have had a wider world view, and therefore better understanding of humanity and its interactions if only they allowed themselves to be taught by arts and humanities.This is Moyer’s meaning of democracy. It is more than being concerned with the improvement of the lives of each individual; It nurtures individual freedom and ability. In other words, democracy should be more than a government structure; True democracy also uplifts humanity. In this sense, Moyer’s democracy can be equated with the principles of humanism.Moyers, taking from Cleanth Brooks of Yale, identified both the enemies and allies of democracy. The enemies of democracy are identified as the â€Å"’bastard mu ses’ propaganda which plead, sometimes unscrupulously, for a special cause or issue at the expense of the total truth; sentimentality, which works up emotional responses unwarranted by, and in excess of, the occasion; and pornography, which focuses upon one powerful human drive at the expense of the total human personality† (Moyers, 2007).To counter these, the allies of democracy must be cultivated. These include â€Å"the ‘true muses’ of moral imagination,† which not only arms us â€Å"to resist the little lies and fantasies of advertising, the official lies of power, and the ghoulish products of nightmarish minds, but also open us to the lived experience of others—to the affirmations of heightened consciousness—to empathy† (Moyers, 2007). Is Moyer speaking about the media?Moyers think that the media have left people to become mere receptacles of information, which unfortunately has been corrupted by pundits and biased, conceite d, politicized opinions, and newsfeeds pervade the society. All are fronts for specific political interests, creating principles that are anti-democracy.It is only through liberal education that a person can be liberated from circumstances that are beyond his/her control. Moyer believes that people have been institutionalized in a way that each person has become locked in a separate reality, parochial loyalties and fixed self-perceptions, and everybody becomes a stranger to everybody. Democracy will prosper only if such bonds that separate individuals from one another are destroyed in order to allow â€Å"a life of free and enriching communion† (Moyers, 2007).The present crisis does not involve the existence of problems, issues or lack of policies. The problem is the lack of conversations about the real meaning of democracy—that it is not merely a means of governance but a means of empowering and dignifying people so that they can truly attain freedom, both morally and politically. An entrusted democracy is not true democracy. Moyer thinks that it is time for the people to repossess democracy.Bill Moyers ends his speech by praising Woodrow Wilson for being advocate of democracy. This is quite a surprise for someone like Moyers who is passionate about espousing democracy in its â€Å"deeper† meaning. Woodrow Wilson, based on some of his actions, manifested an undemocratic leaning. It was he, for example, who brought to the US the Federal Reserve which controls or creates monetary policies that some would describe as undemocratic. It was he who brought troops into Mexico and who took the US into WWI.His idealism favored a top-down structure of society controlled by the elite. Lastly, Woodrow Wilson is also known for his support of the Ku Klux Klan, a domestic organization in the United States having national scope and is known for doing acts of violence to further â€Å"white supremacy†. What could be a better manifestation of anti-de mocratic sentiments than a person’s support for the freedom and equality that were the legacy of the forefathers of the United States?Moyer’s sentiments against the media, the government and the â€Å"enemies of democracy† as well as his discourse about the need to discuss the meaning of democracy, and take it from the hands of the elite are well and good but the problem is that he offers no solution in order to help the people and the society to move forward from its current undemocratic and lamentable state. Moyer’s words may have inspired many but the time when such inspiration will be turned into something more tangible is yet to come. Reference Moyer, B. (2007). Discovering What Democracy Means. Retrieved 01 May 2009 from http://www.worldproutassembly.org/archives/2007/02/discovering_wha.html.

Tuesday, October 22, 2019

The History of Rubiks Cube and Inventor Erno Rubik

The History of Rubiks Cube and Inventor Erno Rubik There is only one correct answer- and 43 quintillion wrong ones- for the Rubiks Cube. Gods algorithm is the answer that solves the puzzle in the least number of moves. One-eighth of the worlds population has laid hands on The Cube, the most popular puzzle in history and the colorful brainchild of Erno Rubik. Erno Rubiks Early Life Erno Rubik was born in Budapest, Hungary during World War II. His mother was a poet, his father an aircraft engineer who started a company to build gliders. Rubik studied sculpture in college, but after graduating, he went back to learn architecture at a small college called the Academy of Applied Arts and Design. He remained there after his studies to teach interior design. The Cube Rubiks initial attraction to inventing the Cube was not in producing the best selling toy puzzle in history. The structural design problem interested Rubik; he asked, How could the blocks move independently without falling apart? In Rubiks Cube, twenty-six individual little cubes or cubies make up the big Cube. Each layer of nine cubies can twist and the layers can overlap. Any three squares in a row, except diagonally, can join a new layer. Rubiks initial attempt to use elastic bands failed, his solution was to have the blocks hold themselves together by their shape. Rubiks hand carved and assembled the little cubies together. He marked each side of the big Cube with adhesive paper of a different color and started twisting. An Inventor Dreams The Cube became a puzzle  in the spring of 1974 when the twenty-nine-year-old Rubik discovered it was not so easy to realign the colors to match on all six sides. Of this experience, he said: It was wonderful, to see how, after only a few turns, the colors became mixed, apparently in random fashion. It was tremendously satisfying to watch this color parade. Like after a nice walk when you have seen many lovely sights you decide to go home, after a while I decided it was time to go home, let us put the cubes back in order. And it was at that moment that I came face to face with the Big Challenge: What is the way home? He was not sure he would ever be able to return his invention to its original position. He theorized that by randomly twisting the Cube he would never be able to fix it in a lifetime, which later turns out to be more than correct. He began working out a solution, starting with aligning the eight corner cubies. He discovered certain sequences of moves for rearranging just a few cubies at a time. Within a month, he had the puzzle solved and an amazing journey lay ahead. First Patent Rubik applied for his Hungarian patent in January 1975 and left his invention with a small toy making cooperative in Budapest. The patent approval finally came in early 1977 and the first Cubes appeared at the end of 1977. By this time, Erno Rubik was married. Two other people applied for similar patents at about the same time as Rubik. Terutoshi Ishige applied a year after Rubik, for a Japanese patent on a very similar cube. An American, Larry Nichols, patented a cube before Rubik, held together with magnets. Nichols toy was rejected by all toy companies, including the Ideal Toy Corporation, which later bought the rights to Rubiks Cube. Sales of the Rubiks Cube were sluggish until Hungarian businessman Tibor Laczi discovered the Cube. While having a coffee, he spied a waiter playing with the toy. Laczi an amateur mathematician was impressed. The next day he went to the state trading company, Konsumex, and asked permission to sell the Cube in the West. Tibor Laczi had this to say on first meeting Erno Rubik: When Rubik first walked into the room I felt like giving him some money, he says. He looked like a beggar. He was terribly dressed, and he had a cheap Hungarian cigarette hanging out of his mouth. But I knew I had a genius on my hands. I told him we could sell millions. Nuremberg Toy Fair Laczi proceeded to demonstrate the Cube at the Nuremberg toy fair, but not as an official exhibitor. Laczi walked around the fair playing with a Cube and managed to meet British toy expert Tom Kremer. Kremer thought Rubiks Cube was the wonder of the world. He later arranged an order for a million Cubes with Ideal Toy. Whats in a Name? Rubiks Cube was first called the Magic Cube (Buvuos Kocka) in Hungary. The puzzle had not been patented internationally within a year of the original patent.  Patent law  then prevented the possibility of an international patent. Ideal Toy wanted at least a recognizable name to copyright; of course, that arrangement put Rubik in the spotlight because the Magic Cube was renamed after its inventor. The First Red Millionaire Erno Rubik became the first self-made millionaire from the communist block. The eighties and Rubiks Cube went well together. Cubic Rubes (the name of cube fans) formed clubs to play and study solutions. A sixteen-year-old Vietnamese high school student from Los Angeles, Minh Thai won the world championship in Budapest (June 1982) by unscrambling a Cube in 22.95 seconds. The unofficial speed records may be ten seconds or less. Human experts now solve the puzzle in 24-28 moves on a regular basis. Erno Rubik  established a foundation to help promising inventors in Hungary. He also runs the Rubik Studio, which employs a dozen people to design furniture and toys. Rubik has produced several other toys, including Rubiks Snake. He has plans to start designing computer games and continues to develop his theories on geometric structures. Seven Towns Ltd. currently holds the rights to Rubiks Cube.

Monday, October 21, 2019

Koran And Women Essays - Women In Islam, Quran, Feminist Theory

Koran And Women Essays - Women In Islam, Quran, Feminist Theory Koran And Women The Korans Attitude Towards Women The Koran is a book following the religion of the Muslim people. In it, many aspects of their ways of life and their attitudes towards different people are addressed. It mentions the strong feelings of the true believers towards Jews and Christians, however it gives a view of women that is taken two ways. A major part of their religion is the way women should be treated. This idea is a controversial topic as seen from a person that is not a true believer, or a Muslim. Conventional thinking brought out by the media have led non-Muslim people to perceive the treatment of women as suppressive. The Koran shows the reader both sides of the coin, and therefore, the reader must form an opinion of the way they thing women are treated. After reading The Koran, one would think that it belittles women, such as the way they are treated, and the role they play in society. However, with respect to their society habits, rituals, ways of life, and their religion, Muslim women are actually treated wi th more respect, and with more decency. The people of the book have very strict ideas about how society is to be run based upon their religion and culture. They are given certain rules and are expected to follow them. They have a proper understanding of how they are to live their life and how they are to treat other people. In the case of women, The Koran is very specific when it comes down to how they are to be treated and their role in life. Women shall with justice have rights similar to those exercised against them, although men have a status above women. As long as you are not a true believer, you will never really know what this exactly means. Obviously in The Koran, men have more rights than women. But then how is this statement to be understood? In The Koran, men and women have rights that are far more gender bias; men are guided more towards money and power, while women are guided towards a family and the home. It is a society in which the woman is in charge inside of the house while the man has more power outside . People would think of this as degrading towards women, but it is done to look after them. As a protection to women, men are forced to go outside of the house into the world that is cold and evil. They are told that they must do this everyday and bring home money to provide for their family and wife. The woman is to stay home in a safe place and take care of what she knows best. This is not mean to make women feel inferior but to make them feel safe and free from the world. There are many reasons why people believe that women are treated without respect in the Islamic nations. First and foremost, it says in The Koran that women may be beaten: Men have authority over women because God has made the one superior to the other, and because they spend their wealth to maintain them. Good women are obedient. They guard their unseen parts because God has guarded them. As for those from whom you fear disobedience, admonish them, forsake them in beds apart, and beat them. Then if they obey you, take no further action against them. (64) Many people see this as wrong, but why? It is clearly stated in the Islamic religion that women may be beaten if they are disobedience. Why then, would a woman do something defiant if she knows that she will be hurt? She should realize that she must be a true believer and not be insubordinate; and if she is, then she must realize that she did something wrong, and according to her religion, she must be punished. She will know that she has done something wrong, and unfortunately will get beaten; however, if she is smart, she will know not to do it again and obey her husband. Another point that is stated in The Koran is that if a woman feels like she is being treated unfairly by

Sunday, October 20, 2019

What special responsibilities do computer professionals have with respect to under

What special responsibilities do computer professionals have with respect to under Privacy ranks as among the very important factors that many computer users consider when making the decisions about how to approach the concept of information technology.Advertising We will write a custom essay sample on What special responsibilities do computer professionals have with respect to under-standing and protecting the privacy rights of their fellow citizens? specifically for you for only $16.05 $11/page Learn More In the present day, there are many who have built lucrative businesses out of collecting data about computer users and some organizations even finance their activities mainly through selling marketing data or even selling lists with the names and details of potential customers. From an interpersonal perspective, some individuals even utilize internet-based services to spy on personal backgrounds of other individuals. A common example of this is the use of search engines by employers to look into information about employees and potential employees over the internet. Criminals also use the internet to search for personal details which they then use for identity theft. It is because of such security concerns that computer professionals have special responsibilities in relation to understanding, respecting and protecting the privacy rights of other computer users and this essay shall explore these. Given that internet use is an international phenomenon, it is impossible for computer professionals and policy makers to control all the content of the data that is transferred online. Be that as it may, computer professionals still have some responsibility of protecting the rights of fellow citizens one of which is to come up with mechanisms to protect copyright and intellectual property rights. The main aim of copyright is not only to prevent illegal copying of information, including the information stored in digital format which can be copied, altered and transmitted through electronic networks with relative ease (Lopez, 1998). The practical challenges that owners of digital data face are very important for governments trying to apply or extend existing copyright laws to digital means. It is the responsibility of computer professionals to push the authorities to enforce laws that protect intellectual properties. At an international level, it is the responsibility of computer professionals to contribute to the efforts of bodies such as the World intellectual property organization (WIPO) towards the facilitation of the protection of property rights. As noted by Welfens (2002), the internet has greatly contributed to expanding individuals’ learning horizons but the ease with which information has become accessible is raising concerns among citizens in relation to the exposure to offensive material. Parents and educators have also raised concerns about the negative influence that the internet is having on young minds.Advertising Looking for essay on ethics? Let's see if we can help you! Get your first paper with 15% OFF Learn More As a way of addressing these concerns, computer professionals have contributed to the formation of civil liberty organizations such as the Electronic Frontier Foundation (EFF) and the Computer Professionals for Social Responsibility (CPSR) which supports legal and legislative towards the protection of user’s civil liberties and protects the privacy and civil liberties of online users, respectively (Dhillon, 2003). Computer professionals can also help computer users protect their privacy while using the internet by recommending a few measures that they (users) could apply while using their computers. One such measure would be to disable cache and history functions in individual computers whenever the can. This will prevent a malicious individual from using this information track the sites that the user have visited. The computer professionals could also advise users not to release their personal identification inform ation to anyone else as this information could be used against them. The number of computer users is increasing by the day but not all users have the knowledge of how to protect their privacy while using the internet. It is therefore the responsibility of computer professionals to take all the necessary steps that would help preserve the privacy of computer users, some of which have been mentioned in this essay. References Dhillon, G. (2003). Social Responsibility in the Information Age: Issues and Controversies. Hershey, PA: Idea Group Inc. Lopez, X.R. (1998). The dissemination of spatial data: a North American-European comparative study on the impact of government information policy. Greenwich, CT: Ablex Publishing Corporation. Welfens, P.J.J. (2002). Internet economics dot net. New York, NY: Springer.

Saturday, October 19, 2019

Management And Leadership Development Essay Example | Topics and Well Written Essays - 3250 words

Management And Leadership Development - Essay Example Motivation is a crucial concern in modern organisation because it influences other fundamental issues such as the performance, creativity and problem solving (Salaman, Storey & Billsberry, 2005). Drive theory is an understanding of needs and motivation created by unfulfilled needs. Maslow’s Hierarchy of Needs is a motivational theory that suggests that the needs and motivation of people differ according to their needs. McClelland theory also classified needs into the need for achievement, affiliation and power. The company conducts opinion surveys to find how their staff feels about their job (Houldsworth & Jirasinghe 2006). Job satisfaction is measured using questionnaires or interviews administered to the staff in the organization. In BAT, leaders have maximized the opportunity to satisfy the needs of the workers. Managers share the concerns of researchers in order to create satisfaction of the employees in their daily tasks. Therefore, employee satisfaction in BAT is high t hereby contributing to the low employee turnover and the exceptional reputation of the organization. For this reason, lack of job satisfaction results in employees looking for jobs in other companies where there the salaries are better (Dychtwald & Morison 2006). BAT attempts to reduce staff turnover by offering their employees chances to develop and grow their careers by training. Employees are offered challenging and interesting position where they consider they are best apt to work in thus, employees are motivated. Transactional theories can also be applied to focus on the employee’s rewards and punishments in accordance to performance (Durai 2010). Management by objectives is practiced where performance of the employees is measures against the... This essay stresses that managers and leaders are required to create an environment in the workplace where employee’s satisfaction is achieved. Staff turnover is one issue which is directly related to job satisfaction. Job satisfaction is the extent to which employees enjoy their jobs and lack of it has been described as negatively affecting their job performance. Herzberg two factor theories suggest that motivation at work is affected by factors related to the job. This paper makes a conclusion that globalization and technology advances have a great influence in management and leadership development of any organization. Organization such as BAT implemented the new SAP HR system which has benefited it in many ways that includes the effective usability and empowerment of employees. The system allows future upgrades and additions. The main aim of the system was to harmonize the human resource process globally by automation of the Hr administrative process. It is true that managers’ positions are highly competitive due to a looming shortage predicted in the next few years. In BAT, training of future leaders is enhanced by the initiative program that involves graduates for two year. This is a strategy of developing leadership and managing the supply of future leaders in order to ensure that the right people in the organization who can deliver a change performance are available. BAT is a multinational organization and it is important for it to be able to have a vibrant human resource and a competent management team.

Friday, October 18, 2019

Application of Nursing Theory Research Paper Example | Topics and Well Written Essays - 1500 words - 1

Application of Nursing Theory - Research Paper Example The aim of this paper is to provide a core reflection of what nursing entails and do the comparison of their values and images of nursing and the one written down by theorists. The nursing theory has many issues that the report will show in steps that are having finer details on the main topic. From the literature available, it is clear that the role of the nurse is not easily illustrated by the theorists from within the profession failing to agree on the exact nature of nursing. In cases, that the nursing models are using the base for the practice and development of nursing knowledge is increasingly bringing the issue of critics and questions by nurse scholars for not providing realistic descriptions of nursing. Studies show that the way forward is to develop the region of nursing knowledge, as this will make nurses to clear their operations. A general theory of nursing or a general model in nursing that combines the whole profession is to ignore. This statement brings a point on the basis that the variety in nursing prevents the emergence of an overall theory of nursing. The nursing theory provides an idea from which to define what of the nursing, to describe whom, specifically clients of nursing and the time that the nursing activities are done. There is also the identification of the boundaries and the goals of nursing therapeutic operations. In this case, theory is a very important principle to effective nursing practice and research. The idea of professionalism in nursing has been in the rise steadily through the development and using of nursing theory (Algase, 2008). The idea of nursing theory develops in order to describe the process and occurrence of the nursing concept. The nursing theory clearly separates nursing from other areas of disciplines and operations that elaborate the purposes of prediction, explanation and controlling favorable results of nursing care operations. The core purpose of the theory in the scientific arena

Non-current assets Essay Example | Topics and Well Written Essays - 1250 words

Non-current assets - Essay Example The paper will look at two standards by the IAS, which are the IAS 16 and IAS 38 regarding non-current assets. This paper attempts to analyze the standards that IAS sets regarding accounting of non-current assets. It sets these guidelines on how organizations and companies should handle both tangible and intangible non-current assets. IAS is responsible for setting international auditing standards so that they act as guidelines for auditors and accountants to follow regarding non-current assets (Kirk, 234). Each part in the accounting profession has its own standards as a guide on how to handle it. For instance, handling plant and machinery under IAS 16 is different from dealing with intangible non-current assets under IAS 38. This creates a form of independence when dealing with various aspects in the accounting process. IAS standards on Property, plant, and equipment IAS 16 defines handling of property, plant and equipment which is different from IAS 38 which defines handling of in tangible assets in financial statements. Property, plant and equipment are all fixed tangible assets; therefore, adoption of a common method when dealing with them in the accounting process. ... The first guideline is their initial measurement which entails the initial cost and all other cost necessary to make the assets ready for use. It also includes capitalization of interest costs. The other step is the subsequent measurement of the fixed assets which entails depreciation and disposal of assets (Kirk, 234). The rule of Impairment and disposing of the assets indicates how to dispose of such assets in terms of the guidelines. Accounting standards regarding these three assets provides a guideline on how to classify long-lived assets that are held for sale and those held for use. Long-lived assets that are meant to be held for sale do not depreciate; therefore, their presentation should be separate. They should be placed separately in a statement of financial position. This is because they are not in the business for use, rather they are for sale; hence, their selling price does not fall. The accounting standards provide rules and formula regarding how to measure this type o f fixed assets (Kirk, 250). The other guideline regarding plant, property and equipment is the discontinued operations for those assets held for sale and those held for use. The impairment test and recoverability test give rules regarding recoverability of fixed assets and those that are not recoverable. There are also rules on the impairment loss on plant, property and equipment under the accounting standards. The standards provide for impairment loss that can be reversed, and that is unversed. This indicates how these types of losses are recognized when preparing financial statement (Alexander, 359). The standards also give conditions on when such losses cannot be reversed, for instance in situations where there is an increase in the fair value of plant,

Land law Essay Example | Topics and Well Written Essays - 1250 words - 1

Land law - Essay Example In the current case, Stone Construction Limited is not bound by any covenant that Steve undertook with Joan. Moreover, a covenant can only take effect and be respected if the benefit of the covenant comes to the party bearing the burden of the covenant. Under Austerberry v Oldham Corporation2, any agreement between the covenantor and the covenantee only holds between the original parties and not between successors unless: such stipulations are mentioned in the covenant; such stipulations are passed onto successors with their full knowledge and acceptance. Hence, the burden of a covenant does not pass to the successor through title at common law. The burden can only be passed under equity if: the covenant is negative in effect; covenant benefits the covenantee’s land; the burden of the covenant was designed by the original parties to run with the land3; the succeeding party was provided notice of the covenant at purchase. Given the ruling under Tulk v Moxhay4, it is clear that Hans cannot be provided benefit under equity either since the covenant was not designed to run with the land and the successor, Stone Construction Limited, had not notice of the covenant. However, the burden of a restrictive covenant passes to the successor in title only under equity but not under law. In the current situation, Hans tends to be affected more by equity based rules rather than contract based rules. Under common law, Hans cannot be provided benefit of the covenant since he was not a party to the original contract. Acting in Hans’ favour using a contract law position would signal a disregard for common law so Hans cannot be given advantage. Alternatively, Hans could have been provided some benefit under Section 56(1) of the Land and Property Act (LPA)5 if he were named and described under the original covenant. However, this is not the case since Joan, the covenantee, had failed to describe or name Hans with the original covenantor Steve. On another note, Hans ma y receive some relief under Section 1 of the Contract (Rights of Third Parties) Act6 since Hans stands to benefit from the covenant along with other future land owners. In order to analyse the burden and the benefit of the covenant, it is pertinent to consider equitable rules. The benefit of the covenant could only pass in equity if: benefit of the covenant was attached to Joan’s land; benefit of the covenant was moved through express declaration of Joan to the successor in title Hans; the concerned land was part of a development scheme7. Alternatively, under the decision for P&A Swift Investments v Combined English Stores Group PLC8, it was provided that a covenant may pass at common law in case that the covenant concerns the dominant land so as to benefit any successors and the covenantee personally. However, under the judgement provided under Smith and Snipes Hall Farm Ltd v River Douglas Catchment Board9 using Section 78 of the LPA, it would be necessary to provide or pro ve that Hans’ land is damaged by the actions of Stone Constructio

Thursday, October 17, 2019

Emerging leadership theories Essay Example | Topics and Well Written Essays - 1250 words

Emerging leadership theories - Essay Example However, Greenleaf believes that there must be a soul of the organization that does not change and is always there to help people with the change. This unchanging core that helps should be the core principles of the organization and should be determined by laws that are predetermined and are universal (Greenleaf & Spears, 2001). According to Greenleaf (2001), servant leaders live by the conscience which is the inward sense of what is morally right and wrong. The difference is that other leadership styles including servant work but the one that always endures is servant. The Servant leader has learned how to respect others and yet work toward organizational goals. The vision of that leadership is often integral to the character of that person. For example, the leader may believe that "I do Servant leadership because that is who I am." (Bell & Habel, 2009). In Servant leadership one would have a basic set of values which they would always use. In comparison, Full Range Leadership Theory (FRLT) is a rendition of the Transformational leadership style which affects the nine dimensions of leadership behavior. Transformation leadership as well as FRLT is very popular leadership styles at this time. This type of leadership is about charisma and the ability to move people forward because they want to work for you. Transformational leadership according to the literature works (Northouse, 2010), but is it as Greenleaf asks, enduring The answer to that is not really known at this time due it being a farily new style. Ethical leadership is the ability to understand ones core values and to use them to lead and advance the common good. Thos leaders that are concerned with ethical leadership have a core value of integrity. They find who they are and then the reach out and develop a vision as to how the world could be different and then use their voice to help change it. They also lead by example using values, vision, voice and virtue (ethicaleadership.org, 2010). These three leadership styles do have some things that are alike and some that are different. Each one has a dimension of moving the organization forward by helping employees to understand "get aboard the train" where the organization needs to go and why. In all three cases, the employees want to follow these leaders so they do. Transformational or FRLT leaders have charisma which makes them well liked by the staff and therefore the staff likes to work for them. Ethical leaders are always doing what is needed for the common good so the staff feels cared for and in Servant leadership, it is all about the staff but from the perspective of a leader who has strong core values and is the stable part of any change. A Situation Leadership in nursing must deal with many things. It is a field of caring and sometimes in a task environment that is forgotten. That can and does happen easily when one of our own is in need. Leadership then becomes more important than ever. In this case, the nurse was diverting drugs. At first, this is a strongly ethical issue for us that are quite difficult to figure out. One must remember, however, that a Servant leader has a strong core that does not change, even

Canada's capital region report Essay Example | Topics and Well Written Essays - 1500 words

Canada's capital region report - Essay Example Education†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦...†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.19 3.1.3. Economy†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..†¦.†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.19 3.1.4. Culture†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.19 3.2. The SWOT analysis†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦...†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦...20 3.4. CONCLUSION 3.4.1. Summary and Recommendations†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦....†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..21 3.4.2. Implementation Plan†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.21 3.5. References†¦ †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦23 EXECUTIVE SUMMARY The National Capital Commission (NCC) obligation is to increase Canadians pride in their Capital and to instill enduring and stronger relationship between Canadians and their Capital. The National Capital Commission’s in-house marketing and communication experts, after a comprehensive market research and input from stakeholders in the business, cultural and tourism sectors, has ascertain that despite the fact that there is positive perception towards the Capital, there is still inadequate appreciation for its relevance among sections of the national audience. This is a serious challenge facing the National Capital Commission in its attempt to increase Canadian’s perceptions of and visits to the National Capital Region (NCR). This report focused on the research that was conducted by Ipsos-Reid together w ith other lifestyle and demographic trends to help in identifying two important target markets. The research shows that the perception of the Canadians towards NCR is significantly better after a visit. The report analyzes the habits and preferences and proposes a combination of features of the National Capital Region be packaged for each market section. The report recommends a strategic approach that mainly concentrates on influencing visits by two identified market segments. These two target segments exhibit characteristics that make it possible to access them through combination of social media and outlets together with several well established groups that can become advocates for the cause. This approach will make it possible to reach a large number of positively pre-disposed sightseers and therefore helps in generating vital buzz around the National Canadian Region. STATEMENT OF THE PROBLEM The Capital of Canada is found in the border of two provinces, Quebec and Ontario. The c apital belongs to all Canadians and most importantly, it represents them as: A place of national symbols The seat of government Canada’ face to the world A place of cultural showcase As stated above, the primary role of NCC is marketing and communication plan aimed at ensuring that Canada’s Capital Region (CCR) remains a source of pride for all Canadians. In regards to the Ipsos-Reid research findings, the following valuable statement was developed. â€Å"Canada’s Capital is an inspiring reflection of the people, values and achievements that define this country and will continue to drive it forward. Canadian Pride is Capital Pride† This statement serves as the backbone for guiding conceptual development, creative development and serving as a measure against which creative ideas can be evaluated. Every NCC efforts contribute to the brand value and equity of the capital. This requires the implementations of

Wednesday, October 16, 2019

Land law Essay Example | Topics and Well Written Essays - 1250 words - 1

Land law - Essay Example In the current case, Stone Construction Limited is not bound by any covenant that Steve undertook with Joan. Moreover, a covenant can only take effect and be respected if the benefit of the covenant comes to the party bearing the burden of the covenant. Under Austerberry v Oldham Corporation2, any agreement between the covenantor and the covenantee only holds between the original parties and not between successors unless: such stipulations are mentioned in the covenant; such stipulations are passed onto successors with their full knowledge and acceptance. Hence, the burden of a covenant does not pass to the successor through title at common law. The burden can only be passed under equity if: the covenant is negative in effect; covenant benefits the covenantee’s land; the burden of the covenant was designed by the original parties to run with the land3; the succeeding party was provided notice of the covenant at purchase. Given the ruling under Tulk v Moxhay4, it is clear that Hans cannot be provided benefit under equity either since the covenant was not designed to run with the land and the successor, Stone Construction Limited, had not notice of the covenant. However, the burden of a restrictive covenant passes to the successor in title only under equity but not under law. In the current situation, Hans tends to be affected more by equity based rules rather than contract based rules. Under common law, Hans cannot be provided benefit of the covenant since he was not a party to the original contract. Acting in Hans’ favour using a contract law position would signal a disregard for common law so Hans cannot be given advantage. Alternatively, Hans could have been provided some benefit under Section 56(1) of the Land and Property Act (LPA)5 if he were named and described under the original covenant. However, this is not the case since Joan, the covenantee, had failed to describe or name Hans with the original covenantor Steve. On another note, Hans ma y receive some relief under Section 1 of the Contract (Rights of Third Parties) Act6 since Hans stands to benefit from the covenant along with other future land owners. In order to analyse the burden and the benefit of the covenant, it is pertinent to consider equitable rules. The benefit of the covenant could only pass in equity if: benefit of the covenant was attached to Joan’s land; benefit of the covenant was moved through express declaration of Joan to the successor in title Hans; the concerned land was part of a development scheme7. Alternatively, under the decision for P&A Swift Investments v Combined English Stores Group PLC8, it was provided that a covenant may pass at common law in case that the covenant concerns the dominant land so as to benefit any successors and the covenantee personally. However, under the judgement provided under Smith and Snipes Hall Farm Ltd v River Douglas Catchment Board9 using Section 78 of the LPA, it would be necessary to provide or pro ve that Hans’ land is damaged by the actions of Stone Constructio

Tuesday, October 15, 2019

Canada's capital region report Essay Example | Topics and Well Written Essays - 1500 words

Canada's capital region report - Essay Example Education†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦...†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.19 3.1.3. Economy†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..†¦.†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.19 3.1.4. Culture†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.19 3.2. The SWOT analysis†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦...†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦...20 3.4. CONCLUSION 3.4.1. Summary and Recommendations†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦....†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..21 3.4.2. Implementation Plan†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.21 3.5. References†¦ †¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦.†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦23 EXECUTIVE SUMMARY The National Capital Commission (NCC) obligation is to increase Canadians pride in their Capital and to instill enduring and stronger relationship between Canadians and their Capital. The National Capital Commission’s in-house marketing and communication experts, after a comprehensive market research and input from stakeholders in the business, cultural and tourism sectors, has ascertain that despite the fact that there is positive perception towards the Capital, there is still inadequate appreciation for its relevance among sections of the national audience. This is a serious challenge facing the National Capital Commission in its attempt to increase Canadian’s perceptions of and visits to the National Capital Region (NCR). This report focused on the research that was conducted by Ipsos-Reid together w ith other lifestyle and demographic trends to help in identifying two important target markets. The research shows that the perception of the Canadians towards NCR is significantly better after a visit. The report analyzes the habits and preferences and proposes a combination of features of the National Capital Region be packaged for each market section. The report recommends a strategic approach that mainly concentrates on influencing visits by two identified market segments. These two target segments exhibit characteristics that make it possible to access them through combination of social media and outlets together with several well established groups that can become advocates for the cause. This approach will make it possible to reach a large number of positively pre-disposed sightseers and therefore helps in generating vital buzz around the National Canadian Region. STATEMENT OF THE PROBLEM The Capital of Canada is found in the border of two provinces, Quebec and Ontario. The c apital belongs to all Canadians and most importantly, it represents them as: A place of national symbols The seat of government Canada’ face to the world A place of cultural showcase As stated above, the primary role of NCC is marketing and communication plan aimed at ensuring that Canada’s Capital Region (CCR) remains a source of pride for all Canadians. In regards to the Ipsos-Reid research findings, the following valuable statement was developed. â€Å"Canada’s Capital is an inspiring reflection of the people, values and achievements that define this country and will continue to drive it forward. Canadian Pride is Capital Pride† This statement serves as the backbone for guiding conceptual development, creative development and serving as a measure against which creative ideas can be evaluated. Every NCC efforts contribute to the brand value and equity of the capital. This requires the implementations of

Reflection on The Use of Force Essay Example for Free

Reflection on The Use of Force Essay The short story The Use of Force is a story which is narrated by a character, the doctor. The main character is a normal doctor which appreciates his job and is ready to fulfill his duty; to find out what his patients problems are. In the story, he seems to care allot about the childs health. At one point, he gets mad because all his cooperation with the youngster is getting them nowhere. Anger starts to be felt in the doctors cabinet; this is when the patient will have to be forced to get examined by the doctor. The doctor in the story knows how to apprehend patients, he starts out smoothly with the girl, knowing that children usually respond with a good attitude if you are friendly with them. The doctors duty is to know exactly what you are sick of, which the girl, for unknown reasons didnt want to be examined closely. She refused to admit she had a sore throat. The fact that her ignorance could kill her made the doctor insane, he then became more insistent about using physical force to help her out. Even though the doctors effort didnt work, he knew that if he had the full support of her parents, they finally would come to an end with the problem. The doctor enjoyed the feeling of insane anger towards the child; it made him go through the hard struggle of opening the childs mouth. The anger expressed by him was not directly linked to the girl, but to the situation, he did want to help out the ignorant, suffering girl from the sickness she was hiding. The two characters which bring an essence to the main goal of the story are the doctor and the child. The Doctor then finds pleasure in using force in diagnosing the unpleasant child, which happens to cause her pain. The child therefore, still is fighting back and will not abandon her cause. The child creates the turmoil without being conscious, she is being a painful patient and she is not able to tell whether what she does is good or wrong. It shows us that she is probably a spoiled and rebellious girl, who easily stands out when things arent what she wants. The doctor is also part of the undesired situation, he is a key element in the turmoil. He enjoys using force upon  the child to help her out, he wants to prove her she is wrong to act as such. The doctor feels no remorse’s of the actions he took for the child, all he seeks for is satisfaction by proving himself he is helping the young child. The use of force was needed to resolve the situation. It was necessary to have a proper diagnosis of her health to save her. What really came down to the use of force was that the doctor was determined to find out what troubled the parents of the child. It was also that she made him so angry about being stubborn and so hard to handle that he became more and more persistent. To conclude, both of the characters want to win a fight, with misconduct. The doctor is faced with a problem of self discipline and the young girl has a lack of obedience.

Monday, October 14, 2019

Ethical Issues In Video Games Media Essay

Ethical Issues In Video Games Media Essay The industry of Electronic-gaming has developed into one of the most successful industries in the present technical world. According to an article issued by Entertainment Software Association (ESA, 2011), this particular industry has a huge target market of approximately USD 25 billion. The electronic-gaming industry has turned out to be one of the most successful businesses around the world. The current era is where people depend on connectivity through technology. In addition, the computer gaming industry has brought in tremendous job opportunities by providing nearly 120,000 jobs to the global business market (ESA, 2011). Meanwhile the disadvantages faced due to computer usage are also rising steadily not only in countries like USA but also in all the European countries where people are going through a lot of issues with regard to video-games. Researchers around the world are coming out with the bitter fact that most of the teenagers are being affected by the amount of violence involved in these video games which would cause psychological impacts and bring about addiction. The negative effects of video games are rising drastically along with the advancements of the technologies. Initially the target markets of the electronic gaming industry were youngsters, but nowadays people of all age categories seem to be addicted to video-games. According to the statistics of ESA (2011) it was publicized that 42% of the gamers are females and 58 % of gamers comprise of male players. At the same time another research states that about 72% of household American citizens are playing computer or video games whereas the average of 29% represent people above 50 years. Thus, the aforementioned points brings in to light that the evolution of video-games resulted due to rapid technological advancements. However, it should also be noted that there are always two sides for a coin, in this case the pros and cons involved within the industry should be looked at. The issues in relation to this particular industry can be identified as health issues, legal issues, social issues, professional issues and most importantly ethical issues that are rising on a daily basis. The major social concern associated with electronic gaming is violence and serious aggression towards the society. According to the research conducted by Jummy Et Al, (n.d) of Indiana University School of Medicine, about violent games, it was proved that playing a violent video game directly influences self-control and attention, which not only impacts the player but also indirectly affects the society as well. These kind of serious issues are attracting public awareness in an immense scale. The violence attached to the video-games has been subjected to extensive debate over the years. Jimmy et al, (n.d) also states that violent Video-games reflect a more harmful approach than violent movies and television-dramas due to the interaction between the game and the players. This social issue also opens up different perceptions where an example can be quoted as such games spread disgraceful incidents among the teenagers and children, enabling them to get used to such incidents and consider them as a normal behaviour. According to AFP (2010) a 14 years old boy killed his father by using a sledgehammer since his father had disturbed his computer game. Consequently, it can be concluded that the teenagers mind-set has been changed and dominated by violence and serious aggression. This violence he exposed to the society was because of the game that he used to play. David Walsh (2007) states that playing violent games directly stimulates physiological problems such as pro-social effects, concerns, etc. To rationalize more, we are living in a country where most of the people are with sentimental values, so feelings and behaviours are more important to us. By playing violent video-games, it first affects our feelings as human beings where we have to respect others as our culture is based on good feelings and good behaviours. As mentioned above, playing aggressive games will affect both the feelings and behaviours of humans and as a result, an individual would lose the value of humanity. In addition, Davi d Walsh (2007) signifies that 63 % of the students who are playing aggressive video-games have more tendencies to be involved in physical fights or violent activities as such which enables in changing the teenagers mind-set as per the game. Therefore as a result, playing violent video-games is a serious antagonism that would affect the society and the individual humans behaviour. For an example according to Cleancutmedia (2009) biggest story of video game related to violence history was re-written due to Danil Petric who was 23 years old, who viciously shot his mother and father where mother was dead at the incident and luckily Danils fathers life was rescued. The reason for this unusual behaviour was that he was addicted to a violent aggressive game called Halo 3 which contained very violent pictures and videos. One day his father didnt let him play that particular game and this was the cause of this incident. After this incident, reporters identified that he used to play that game up to 7 hours per day. This meticulous incident proves the mentioned point above because violence and serious aggression cause many social issues since playing violent games do not only affect the individual who is playing that game, but it also affects the family that he/she belongs to and their society as well. The society can be affected due to violence and serious antagonism; therefore this point can be categorized as a social issue. Considering the above mentioned issues with the social public interests, the society is not benefited at all by playing violent video-games and they have exposed their serious aggression towards the society which have already affected the people in a harmful way and also can affect the society in future as well. As mentioned above these social concerns brought another critical aspect in to light which is known as health issues. According to Sciencedaily (2011), it demonstrated that video-games may have substantial behavioural problems such as pro-social effects and concerns, varying psychological problems and etc. To justify within this range Mitchell (2011) also favours the earlier argument saying spending lots of time with video-games lead to situations with addiction, isolation, depression, social phobias and it would directly drag that person into various physiological issues. As Sciencedaily (2011) explains, pathological gamers usually play games approximately 31 hours per week and due to those reasons it will directly affect the human physical body as well. Latest research reveals that playing games for long hours directly affects the muscles, joints and can cause back and neck pains as well. Especially teenagers who play for at least 5 hours a day will experience the above mentioned h ealth issues (Better Health, 2011). According to BBC News (2005) a South Korean person who almost played StarCraft 3 for more than 50 hours nonstop with very few breaks died due to a heart failure. Another real world incident took place in Northern China where a man who was addicted to playing online games was reported dead after spending lot of time for online gaming, and the doctors identified that his blood pumping was improper which caused that death (Spencer, 2007). By only considering these two incidents we cannot come to a conclusion but undeniably these incidents justifies that playing games for long hours can seriously cause damage to human physical body. According to Dillner (2011) video-games also make teenagers put on weight because they just play the video-games with full comfort and there is insufficient physical exercise. So according to her explanation it also affects the hand and fingers due to the constant contact with the keyboard or joystick. Dr. Douglas, A. Gentile who conducted many researches based on video-games addiction and human psychology, argued that spending lot of time in playing games or anything cannot be clarified as addiction. He also states that it might be a symptom of addiction (Dr.douglashn, n.d). His research clearly agrees that addicted gamers reflect serious issues with society since they dont like to make friends, lack of socialization and also there are possibilities of them having many health issues as well; for example sleep disturbances, headaches etc. In this modern world people are also concerned about personal health in that way spending too much time on video-games will eventually cause a darker tomorrow as health issues directly affects the society in a harmful way. Hence, the above mentioned points identify health issues to be one of the main concerns of electronic gaming. Video games have positive and negative sides while looking into social issues. By considering the above given examples it was clearly pictured, showing how a society is affected by various violent and aggressive video-games. According to Professor Mark Griffith (n.d.) of Nottingham Trent University, video games are proved to be a distraction for those undergoing painful cancer treatments. In a study which was conducted in year 2004 by Butch Rosser, a surgeon of Laparoscopy, he studied the surgical skills of surgeons playing video games and surgeons who did not. It was astonishing to know from the results, that surgeons playing video games were faster in action and made lesser mistakes during work than those who did not play video games. Video games that include simulation of real world scenarios are becoming popular. A game called Americas Army introduced by United States, replicates a real wartime experience which is going to help and train new recruits. It is a known fact that violent aggressive video games do not positively contribute to an individual or societal development. But such games could stabilize violence as a familiar and acceptable option in order to deal with conflicts. In this case there are various positive video games being introduced in order to educate youth about some of the societal issues around the world. Examples of such games would be: Food Force, Darfur is Dying, UNICEF World Heroes, Peter Packet and etc. These types of games could serve as valuable tools in educating our youth about ways in which video-games could bring in positive societal changes by increasing the helping tendency, reducing violence and etc. When it comes to the ethical aspect of video-games it is not straight forward as the above mentioned social issues. Addiction to these aggressive games could be classified as the most debated ethical concerns during the past decade. According to Jimmy Dan et.al (n.d), some of the Video-games such as Mortal combat, Warcraft and Grand-theft-auto are highly addictive. In the same report they have disclosed a real example of how addiction affects an individuals life. These real stories justify that addiction to violent games affect negatively for a particular individual. Arguments might arise as to why people are addicted to violent video-games. According to ESA (2011)s research, it reveals that only 3.8 % people buy video games based on strategy, fight category represent 8.4% buying behaviour, whereas 15.8% of people buy shooting based video-games. These statistics simply exhibits the buying behaviour and most importantly a considerable percentage likes to buy action or fight category b ased video-games rather than buying a normal game. As already mentioned game developers target the teenagers and they produce insistent games because most of the teenagers are drawn towards them. Consequently, targeting a specific age group and producing violent video games directly violates the universal ethical principles such as respect for others, honesty and fairness. To sustain and survive in the electronic-gaming market, the developers will not stop creating such aggressive video-games since it has a huge demand. But really is it wrong to create or develop violent video-games? Are playing and creating such violent video-games the only factors that affect the social responsibility of a person? These video-games provide a virtual world to do things that we cannot do in our real world. It gives an opportunity to experience these things in a virtual manner without harming anyone. But then again considering the above mentioned issues, the society is not benefited at all by playing violent games. They have exposed their serious aggression towards the society which has already affected the people in harmful ways in the past and this can affect the society in the future as well. As mentioned previously, ethical issues can be addressed in both ways but according to the studies and incidents just because the industry targets on achieving greater profits its ethically wrong to encourage abnormality in people. Even to validate this action we can use deontological theory. The ethical concerns have brought in another very crucial aspect which forms the cheats for video-games. According to Morch (2003) cheats in most of the games happens in MMOG (Massive Multiplayer Online Games) such as WarCraft III and Air Warrior. Cheating opens up different perceptions such as, if the players could use cheats and if the game is easier to play why do we have to play without cheating? Is it ethical to cheat the game where the other players do not use cheats in their games? Many researches were conducted to rationalize that particular argument. According to Morch (2003) it clearly says that 35% of the online games were being hacked in 1997 and undeniably now it is expected to rise more because nowadays technology is much more advanced than the good old days. According to Aboukhadijeh (2009) hackers or cheaters are a real challenge to the game developers and these people are violating the ethical principles such as respecting others, treating others as equal, honesty and acting with integrity. Hackers or cheaters who are cheating in video-games are taking unethical advantage over the particular game, by undertaking various strategies. Importantly after cheats and bugs were released into the society the value of a particular game would gradually decrease. Besides Morch (2003) mentioned that due to modifying original game into cheatable game the value will reduce significantly. For example, after the launch of a game called Battlefield in 1942, the game market was very high but after sometime it drastically went down due to cheats. According to Morch (2003), it mentions that usually game cheaters use two different methods to cheat in games such as cheating by conspiracy or cheating by modifying games software or data. They simply do this fo r different purposes where some game cheaters make fraudulent money in some game competitions. Because of these unethical practices the virtual gaming world is being destroyed constantly and also by cheating or getting unethical advantage over the game process is directly violating several ethical principles such as fairness, equality, honesty etc. In order to justify, deontological theory also says that cheating in video-games action itself is wrong. So cheating in any form of the game is clarified as an ethical issue because there is no regulation for its avoidance. When it comes to Law and Regulations for video-games it represents many faces in todays world. Video-games related to legal issues have many aspects and first legal concern would be selling highly adultery content games to under aged. This concern is debated all over the world but no country has been able to fulfil all the hauls in selling adultery content to under aged. Outlaw (2008) indicates that due to technological improvements and various other facilities gaming industry have witnessed a lot of criticism on various social attributes, politics etc. Selling adultery content to under aged can affect the retailer who knowingly sells it. According to Outlaw (2008), previous law was not a successful one because the percentage for retailers for defending their side was high. In the same article it mentions that 87% of teenagers playing highly adultery contented video games. And in the particular case of Online retailers caught selling adult games to under-age boy (Hussain, 2013), the online sellers have sold adultery games to an under aged boy. These distributions of sexual video-games among under aged children directly violates Video Recording Act of 1984 (UK) under section 7 (classification certificates section), under section 2 both (A) and (B) and it also violates PEGI (Pan-European Game Information) rating system 2011 (UK). Hantsweb (2012) indicates that some game companies who produces heavy sexual behaviour related content, criminal activities, horrific pictures and video clips in their video-games has to submit it to the BBFC (British Board of Film Classification) and then obtain a certification before the game can be released to the market. Even in this case most of the companies undervalue this process and they simply reduce the age range instead of submitting the video for BBFC. Hence, this is another anxiety that arises in courts and opens to society, therefore not submitting the games for BBFC classification can be guilty and the company will have to pay around GBP 20,000 as penalty or they might even have to accept 6 months of imprisonment. The above mentioned legal issues can have another perception where the games are based on extreme content of nudity and continuous disturbing sceneries in any form. In order to protect gaming industry from various bad influences and crimes, certain countries such as UK, USA and many European countries build their own voluntary regulations such as PEGI (Pan-European Game Information) etc. Nevertheless, extreme nudity within the video-games may affect the laws and regulations by creating a computer game that contains extreme nudity and violence. This may directly affect the countrys civil constitution. So if the game contains of any nudity or extreme violence, it will clearly violate Digital Economy Act 2010 (UK), Section 2 of the Video Recordings Act 1984 (UK) Conditions relating to video games (section 2- a, b, f and h) and can be penalised accordingly. Mitchell (2010) mentions that heavy rain game was officially banned from U.A.E due to extreme nudity and violence but initially it was approved by PEGI. Various researchers highlighted that these games initially got the approval from PEGI but were banned in the country because that game may affect the civil regulations which are prevailing in the country. GamesLatest (2010) gives another example that God of war III was also officially banned from Dubai due to high level of nudity and violence. These electronic games create a huge number of negative ethical impacts as shown in the above context, but there are a comparable number of positive impacts as well. Entertainment Software Rating Board (ESRB) rating is a method where positive impacts could be brought in where parents could identify which game is good and suitable for their children. It is the responsibility of the government to implement an improved rating system with greater features given to the extent of violence and aggression in the games. This scheme would educate parents and help them use the rating tool and to identify the best suitable games for their children. Along with these social, ethical and legal issues video-games do have professional issues as well. First professional concern would be in terms of the developers point of view relating to the current computer rating system which is critical for identification of that particular game. As already mentioned the developers make their game for a target group of people; for example, ESA (2011) states that most teenagers enthusiasm is towards buying an action or fight based computer game. Therefore it sets the conditions for the developers to consider that particular segment in addressing their developing agendas. Onyett (2010), mentions that top 10 video-games contains 7 action games and among that 7 action games, five are rated as 17+. This clearly demonstrates the video-game customers buying behaviours. Many video-games are being miss-rated for their own benefits and some of them are miss-rated accidently as well. According to Sinclare (2006), ESRB has miss-rated the best-selling Elder S crolls IV: Oblivion game as Teen and then they have rerated it as Mature. The customers who would have bought the game already would have been affected by its miss-rated content. This has clearly breached BCSs code of conducts under Public Interest Section (A) and Under Duty to the profession Section (A). In this case they have been only concerned about their business benefits and they have neglected the concern towards the public. Another critical concern about professional issues is when creating video-games, do the game developers follow professional code of conducts. Vitally some video-game developers build their video-games to address various hidden things. According to Clark (2008), it is stated that in a game called Muslim Massacre, virtual people represented by the players in the game as soldiers and enemies were characterized as Muslims. The development of this kind of games directly affects a particular ethnic community. This clearly violates BCSs code of conducts under public interest section A and B. Maintaining the professional code of conduct would prevent negative issues and bring in positive issues which would enhance good professional practices. Video-games have been a great invention to virtualize the real world scenarios and it gives people an opportunity to do almost anything in these virtual environments. By referring to the issues mentioned above we may conclude that video-games do have issues related to social, ethical and professional aspects to address. In order to minimize the negative impacts caused by electronic games, parents will have to implement necessary steps before the child gaining bad experiences by playing video-games. A method of prevention by parents could be by confining their children playing aggressive video-games before they fall into the stage of addiction. Another way of handling these types of circumstance is always to convert the childs necessity by providing an alternative game instead of violent video games. The best preventive method to create a change in the childs mind is that the parents ability to educate their own children about video-games and essentially what so ever the game is, pare nts should allocate a specific time period for their children to play. This can reduce the children getting addicted to video-games. Addictive situations could also be prevented by not letting a person alone when he or she is playing a video game, as it could bring in addiction and isolation. Members of the family or parents being around would be a reminder of the real world and would prevent the player being consumed by the virtual environment. Further it is also advisable that parents have a control over the type of games that are purchased and given to the children. In addition research and case studies denote that most of the people living alone would have a higher chance of getting addicted into these video-games. Moreover medical science proves that an individual could involve in certain activities like chatting with friends instead of being alone which could reduce the addictive situation. The modern world is driven by technology and there is very less human interaction. Outd oor games and gathering among friends and family have reduced by a large scale enabling teenagers to draw a circle around them and be in isolation. Companies are driven purely by profit-making motives and there is less importance given for ethical and professional conduct. The benefit and welfare of the society at large is ignored. The electronic gaming industry at its initial stages had more strategy games that provide greater space for creativity and strategic thinking. Eventually the movie industry moved towards heightened violence and to be in line with the trend companies included more and more violence within these video games as well. Hence manufacturers of these games should take into consideration the damage that is caused to the community and develop games in a way that is less harmful to the human psychology. Regulators and professional bodies should also ensure that appropriate certification is given prior to these games being released to the market. Stringent penalties should be put in place for companies that violate these laws. Finally, the gaming industry, just as all other commercial industries, would have profitability and sustainability at its core but achieving its objectives in an ethical and professional way should be as equally important so that a better society can be nurtured.