Wednesday, July 31, 2019

Synthetic Marijuana: the Legal Way to the Grave

Synthetic Narcotics- Georgia’s Growing Epidemic As if teaching our youth about the dangers of drugs isn’t hard enough, now we have company’s manufacturing a synthetic form of Marijuana, commonly referred to as â€Å"Spice† or â€Å"K-2†. These company’s target our youth by packaging it colorful, shiny packets and giving â€Å"cool† names like â€Å"magic monkey† or â€Å"purple passion†. They label these packages â€Å"herbal incense† and â€Å"not for human consumption† in an attempt to hide its intended use and avoid FDA regulations, yet for one package containing 5 grams it costs on average $15. 9-$21. 99. That’s pretty expensive for an â€Å"air freshener†. In 2011, 14. 4 percent of 12 graders admitted to experimenting with synthetic marijuana. Just last March, 16 year old honor student, and star soccer player from Fayette County, Ga. Chase Burnett died shortly after experimenting with this drug. This had law makers act quick and enact â€Å"Chases Law† , Georgia House Bill 370, which made this drug a Schedule 1 Controlled Substance and a felony to purchase, possess and distribute any form of this substance. Once this bill was signed by Gov.Nathan Deal, it took about 24 hours for police agencies, mine being one, to conduct search warrants all over metro Atlanta to get this deadly drug off the shelves. Although now illegal, and rightfully so, there are many retail stores, smoke shops and gas stations that still sell the drug all over Georgia and around the Metro Atlanta area. As quick as officers take it off the shelves, it’s being replaced just as fast. Shop owners feel it’s a violation of their civil rights and use excuses like â€Å"we can’t control what customers do with what they buy† or they tell officers they didn’t know it was illegal, â€Å"it’s just incense†.If they didn’t know it was illegal and didn’t think they were doing anything wrong, why do they keep it hidden behind the counter, out of sight and locked up? Why are they charging so much money for something that normally would cost about $2, if really used as an air freshener? These, as well as many more questions have been raised by not only Law Enforcement, but parents as well. As consumers, the best way to stop these shops and gas stations from selling this to our youth is stop buying your gas or any other items at these locations. It’s now and always will be about the money.Once they see customers going across the street to get gas, they will get the hint. Another way businesses are being put on notice is letting them know that their business license will be revoked if caught selling these and any other illegal substances from their stores. With the new laws enacted and parents working together with Law Enforcement, we are starting to get a tighter grip on this fast growing epidemic that is plaguing a re children. References Whitehouse. gov/ondcp http://georgia. gov/blog/2012-08-20/banning-synthetic-marijuana

Tuesday, July 30, 2019

Juan Luna and Filipinos Great Pride Essay

The first thing you’ll notice about the painting is its size. Standing at 4 meters in height and 7 meters in width, the painting no doubt commands attention and gives off a majestic aura. Any viewer of the painting will feel dwarfed by the large painting and may feel overwhelmed by the magnanimity of it. The next thing you’ll notice about the Spoliarium is the rich colors used. Predominantly, the painter made use of warm colors for his work of art, with reds being a central color that attracts the most attention. In person, the colors are striking and quite unique. The Spoliarium depicts an even during the Roman empire, where gladiators die for entertainment. The painting shows how gladiators are being dragged mercilessly by men towards an unknown darkness, where other tragically killed gladiators are brought. To the left is a cheering crowd, screaming for blood while to the right, a woman is crouched and seemingly in sorrow. The painting shows a tragic event, definitely. But it also shows a deeper meaning, especially for the Filipinos during the time of the Spanish colonization (which lasted over 400 years!). According to art experts, the fallen gladiators who are being dragged are the Filipino people, while the men dragging them into the darkness are representative of the Spanish rule. The woman crouched on the right side of the painting is believed to be the Mother Country or the Inang Bayan who weeps for her Philippines. The blood thirsty crowd to the left is a representation of the social cancer of that time. Truly, there is more than meets the eye when it comes to Luna’s painting. The Spoliarium shows the Spanish government’s mistreatment of the Philippines. The dead bodies of the gladiators represent the Spanish killings of Filipino revolutionaries. The Spoliarium is famous among the Filipino people, to say the least. The fact that Luna had gained recognition among other Spaniards in Madrid because of this painting has given the Filipinos great pride. This also shows that the Filipinos have skills that can equal, if not, surpass the Europeans of that time. This is why the painting, along with Hidalgo’s, are deemed National Cultural Treasures, because they were able to contribute to the development of art in the Philippines. The Spoliarium can be found in the Hall of the Masters of The National Museum of the Philippines. Whether you are a foreigner or a local, take a few hours off your schedule to visit the museum and learn more about Philippine culture and history through the eyes of its artists. It is an educational and enriching experience.

Monday, July 29, 2019

4 response essays ( about Chemical waste disposal ) Essay

4 response essays ( about Chemical waste disposal ) - Essay Example Had he chosen to write about one particular technique and given details about that method it would have been a better article. Even if he wanted to include all the information he should have structured the essay well. He should have explained the waste that he was talking about and how a particular method is directed against a particular waste. However, he simply mixes it all. Having said that, his effort to provide information about the main methods is pretty commendable. I think he manages to correctly introduce the topic of waste management. He explains why we need waste management-for conservation of our environment. Methods like recycling are perhaps the best method for waste management. Further, water pollution can mainly be controlled through sewage treatment. Besides these methods solid waste management is a very important aspect to waste management since solid waste is generally ignored and it has been piling up over the years creating havoc in our environment. The author mentions the need of renewable energy. However, it is only related to conservation of environment and most would not consider it related to waste management. But I think the writer is clever enough to realize it as a secondary method to waste management. Since use of renewable energy sources would mean less use of conventional energy sources like coal and hence there will be less waste that is produced by conventional energy sources. The reason I mention this article here is because this article is a very optimistic article among all the pessimistic views that we hear daily. The article does provide good basic information but it could have been better. article. He is not just able to mention why exactly we need to look for a method for waste management but in choosing to write about perhaps the newest technology of waste management he has saved the both his time and the time of the reader, directly jumping on the possible solution to the problem. He believes

Sunday, July 28, 2019

Analysis of an Individual Comic Strip Essay Example | Topics and Well Written Essays - 500 words

Analysis of an Individual Comic Strip - Essay Example The point Franklin is trying to get across is that America is divided and therefore ineffective against enemies unless the colonies unite together. The phrase, â€Å"Join, or Die† means that unless the colonies unite, they will be attacked and wiped out. It is a simple statement that is trying to point out that the only option for the Colonies is to unite. The individual segments of the snake are the American colonies. Franklin chose New England to be the head of the snake. New England, especially the city of Boston, would definitely be considered the â€Å"head of the snake† at this time. Many influential politicians lived in Boston including Sam and John Adams. Boston is also where many pre-revolution events occurred including the Boston Tea Party and the Boston Massacre. Franklin draws the head of the snake with its forked tongue sticking out. The snake is coiled and looks like it is ready to strike. The analogy of America to a coiled snake ready to strike is a very interesting one. But in considering what animal one would use to symbolize a divided America, a snake would be the logical answer. Snake’s have a lot of symbolism surrounding them. Often a snake represents wisdom and healing, even though many people associate snakes with evil.

Saturday, July 27, 2019

CONSUMER LAW Essay Example | Topics and Well Written Essays - 1000 words

CONSUMER LAW - Essay Example Despite the defence offered by the respondent the court of appeal found in favour of the claimant on the basis of strict liability, even though the court accepted that the respondent had not been negligent. (a) the product could not be regarded as defective as there had been no previous instances of this type and therefore they had no reason to believe that there was any need to change the design to prevent such a thing from happening the state of scientific and technical knowledge at the relevant time was not such that a producer of products of the same description as the product in question might be expected to have discovered the defect if it had existed in his products while they were under his control In the first hearing the court held Mothercare liable for the injuries and also rejected any claim for contributory negligence on the part of the claimant. It was not made clear at the first hearing whether the ruling had been based on negligence or strict liability or both which led to Mothercare lodging an appeal. At the appeal hearing the court clarified the position, stating that the ruling was based on the defectiveness of the product and not the negligence of the producer. The appeal court rejected the defence offered under s4(1)(e) of the CPA 1987 in relation to the development risk defence. In reaching their decision the court found that Mothercare had not breached their duty of care to the claimant and that no prudent producer could have anticipated the risk. Liability therefore hinged on determining whether the product could be deemed to be defective. (1) Subject to the following provisions of this section, there is a defect in a product for the purposes of this Part if the safety of the product is not such as persons generally are entitled to expect; and for those purposes "safety", in relation to a product, shall include safety with respect to products comprised in that product and safety in

Creating Conditions for Learning Essay Example | Topics and Well Written Essays - 1000 words

Creating Conditions for Learning - Essay Example I discuss my views on these areas by using personal experiences to assess whether they are integral to maintaining the lesson’s momentum, which in turn translates into academic achievement. I believe that learning can only occur when all parties (students and instructors) are able to create an interactive conducive environment. Earlier on, I learned that instructors bear the responsibility of creating such an environment. For example, simply preparing a lesson plan by the book, does not guarantee to learn, as more than one factor might dissuade students from learning. Disruptive behaviors from students rank high on the list of learning detractors. Therefore, instructors must always be wary of students prone to behavioral problems, in order to mitigate them before such behaviors hinder the learning process. At the core of the different problem-solving approaches I use, is the intent to equip the students with behavioral skills, which will assist them in mitigating disruptive be haviors. In my opinion, helping students avoid disruptive behaviors is not merely enough to maintain lesson momentum. More often than not, I have come to the realization that instructors are to blame for losing the lesson’s momentum. The text clearly states that instructional activities comprise of both strategies and formats. The former refers to the different ways of grouping students whereas the latter refers to the different methods used by instructors to engage their students (6.04). Therefore, instructors with personal inadequacies, which hinder them from executing either of the instructional activities risk affecting students’ engagement and in turn their academic achievement. I agree that instructors might stand to benefit from comparing themselves against the areas listed in the module’s text if they hope to improve their instructional strategies.

Friday, July 26, 2019

Effects of emerging technologies in Accounting Information Systems- Research Paper

Effects of emerging technologies in Accounting Information Systems- focusing on XBRL - Research Paper Example Due to numerous benefits, XBRL captured the market and now-a-days few biggest economies in the world such as US, China, France and Japan organizations are obliged to implement XBRL for financial reporting (Geerts, Guido, et al 815-840). XBRL assures control of data sources and in addition, it ensures the integrity of reporting information by using the structured format of XML that are adapted to the financial particularities. It helps in facilitating and automating the import of data from diverse computing environments. Along with summiting the regulatory constraints, the enterprises that are implementing XBRL are benefitting from an innovative context for improvement and cost diminution relative to their reporting processes. Recently, XBRL has come out to be a viable option for the public sectors (Jiu, Li, Wang and Gong 84-96). There exists number of extensions of XBRL such as XBRL IFRS and XBRL US GAAP that are created for the adoption of specific norms and rules for reporting in f inancial accounting. The objective of the report is to explain the impacts of technological advancements such as XBRL in accounting information system and its relevance. The evolution in the world of XBRL was exceptionally rapid, progressing from the state of initiative of American accounting expert Charles Hoffman in 1988 to the state of international standard that are used internationally and promoted by a significant number of national and international jurisdictions. Considerable numbers of paper are dealing with the problems of XBRL and its significance in accounting information systems (Baldwin, Amelia and Trinkle 1-24). This research report goes beyond the research preoccupation for adopting XBRL as a standard format and tool generally in business reporting and particularly in financial reporting. This research report will review the effects of emerging technologies on accounting information systems (AIS) majorly focusing on XBRL. This

Thursday, July 25, 2019

FINANCIAL ACCOUNTING 2 Essay Example | Topics and Well Written Essays - 1250 words

FINANCIAL ACCOUNTING 2 - Essay Example Capital market players include, fund managers, commercial banks and investment banks etc. [4, Stella Fernley, Richard Brant and Vivien Beattie, 10 May, 2002] Answer no. 1: The Companies Act, 1989 brought in many significant changes in the regulatory framework in the United Kingdom with respect to financial reporting and auditing. In the year 1991, a new auditors’ regulatory system was also introduced according to which it is necessary for the auditors to hold a recognized qualification along with relevant experience proof. [1, Beattie and Fernley, 1994] Additionally, the work quality of the auditing firms also would be monitored frequently and the failure to meet the prescribed quality would lead to penalties and also may result in the license cancellation of the individuals or firms. [2, Beattie and Fernley, 1998] The dual roles of the professional bodies also lead to another change i.e. the setting up of ‘The Accountancy Foundation.’ The purpose of the setting up of The Accountancy Foundation is the independent supervision of both the regulatory standards and ethical standards of the accounting profession. Apart from this the foundation also sets auditing standards and also investigates public interest cases if accountants are involved in the case. [4, Stella Fernley, Richard Brant and Vivien Beattie, 10 May, 2002] Usually, a number of fundamental concepts of accounting are taken into consideration while preparing the financial statements of the company. Generally, it so happens that the figures in the financial statements vary from one statement to the other. This is because people who prepare those statements arrive at those stated figures based on their judgment in practical. This fact can be understood by considering the following examples: (b) (b) Others would say that this does not go far enough. If property prices are rising, not only should no depreciation be

Wednesday, July 24, 2019

Community Health Needs and Services Essay Example | Topics and Well Written Essays - 1000 words

Community Health Needs and Services - Essay Example Many health practitioners hold the assumption that health is a universal value where one single framework can uniformly apply to all populations. Most of these approaches have failed to apply and take root in the American Indian community due to the failure on the part of the healthcare providers to articulate their unique culture. Many American Indians hold dearly to it as they continue to pass it down from one generation to another. The American Indians, therefore, looks towards their culture when looking for beliefs, values, and perspectives on illness and subsequent measures of managing it (Garcia). The government has over the years subjected the indigenous people to very many inhuman acts that have rendered them homeless and without land. Their culture is the only item that they still have that truly belongs to them. The American Indian culture holds extended relationships in high regard where they tackle many problems whether spiritual, mental and physical in a communal manner. Their notions differ considerably with the one-on-one consultations with the contemporary medical practitioners. They also hold their traditional healing methods in high regard, and it is always the first resort before even contemplating going to a conventional hospital. The shamans are all-knowing, and they know one’s problem before they even say it and they also have a cure for everything. The Indians expect the same from a hospital where the doctor is supposed to cure them without asking them to undertake other procedure such as lifestyle change.

Tuesday, July 23, 2019

World War 2 Essay Example | Topics and Well Written Essays - 1000 words

World War 2 - Essay Example Roosevelt went into the conference with the agenda of trying to influence the Soviet Union to join in the war in the Pacific where the United States almost single-handedly fought Japan. He was of the belief that if Russia were to enter the war on its side, then it would be much easier for the allies to defeat the Imperial military of Japan and force the latter to surrender. Roosevelt desired to end the war with Japan with minimal American casualties and the participation of the Soviet Union would have made this possible (Berthon & Potts285). Stalin, because of his relatively strong position, declared that the only way that he would agree to declare war on Japan would be if the United States recognised the Mongolian Peoples Republic as an independent state and that all of the islands which Russia had ceded to Japan after their war in 1902, namely the Kuril and Sakhalin Islands, were returned.These conditions were agreed to by the other participants in the conference and it has remaine d controversial ever since because China, the biggest loser in their implementation, was not consulted. Furthermore, Roosevelt and Stalin reached an agreement to keep the Korean peninsula in one piece once the Soviet Union became involved in the Pacific arena. Stalin agreed to enter the war with Japan some three months after the fall of Germany so that the Soviet Union could be able to marshal itself sufficient to help the United States invade the Japanese home territory. Stalin agreed to the proposition that the Soviet Union join the United Nations and this guarantee was secured through the Soviet Union is one of the nations which had the veto power in the Security Council; ensuring that all of the decisions that it did not agree with were blocked (Schlesinger185). During this conference, the three leaders agreed to create spheres of influence in the postwar Europe with each of them having zones to occupy within Germany and this agreement ensured that these three nations upheld the ir supremacy over the entire European continent. In conclusion, the discussion above has shown that the Yalta Conference was held by the Big Three, in a bid to discuss the development of a postwar order of Europe after the defeat of Germany.Each of the leaders went into the conference with their own agenda and it should be noted that before this conference, the Soviet Union had attained great strides and was close to capturing the German capital, meaning that Stalin was in an especially strong position in the Yalta conference and the attendees from Britain and the United States realised that they were in a weak position to oppose his demands.

Monday, July 22, 2019

King Henry and His Six Wives Essay Example for Free

King Henry and His Six Wives Essay The Elizabethan Era contained major events that remain documented in history. If the historical figures of the Elizabethan Era had not existed, history would have taken a dramatic turn. The full histories and personalities of each of Henry’s wives show how these women left their marks on the English throne and they changed the course of history. King Henry VIII was endowed with outstanding mental and physical gifts. He mastered Latin and French, understood Italian, learned mathematics, studied Homer and Virgil, read Cicero, and was knowledgeable about the histories of Thucydides and Tacitus (Shostak 6). Henry was the first English king to acquire a Renaissance education. Henry was also endowed with great physical accomplishments. He was a superb horseman. He enjoyed wrestling, jousting, swordsmanship, and tennis. Henry also had a passion for music. He mastered the skill of performing with three different instruments: the lute, organ and the harpsichord. He also composed music. He wrote two five-part masses, several different instrumental pieces, several songs and one anthem (6). â€Å"King Henry VIII was born Henry Tudor VIII after late-king, Henry VII and Queen Elizabeth of York on June 28, 1491† (Bruce 3). Henry was the King of both England and Ireland from 1509 until death. Henry VIII was a true Renaissance prince. He also wanted absolute power.Henry was not the only Monarch of the Tudor regime; â€Å"He had three other brothers: Prince Arthur, Edmund, and Duke of Somerset Tudor, and two sisters: Mary and Margaret Tudor† (Shostak 5). Arthur, who became Prince of Wales, married Catherine of Aragon in November 1501. After a short period of the marriage, Arthur died, which made Henry Prince of Wales. On April 22, 1509, Henry VII died, which upgraded Henry VIII as king and the seventeen-years-old prince acceded to the throne on April 22, 1509 (Bruce 23).Two months later, he married his brother ´s widow, Catherine of A ragon. This queen was widower of Arthur, Catherine of Aragon. Catherine was born on December 16, 1485 in Spain. She was the daughter of Ferdinand and Isabella. They sent over 100,000 crown worth of plate and gold as a wedding gift. She had left Spain to marry Prince Arthur of Wales in 1501, which they went off to marry in London. After Arthur died, Catherine and Henry married as King and Queen of England (Shostak 15). She was happy through the first few years of marriage, but due to health problems, she miscarried five of six pregnancies; the child who survived was named Mary, born in 1516. They went off to marry in London. King Henry VIII was brought up to bring forth an heir of his throne a son. He knew after trying continuously with Catherine, he would never have a son, while she was still announced as queen (Bruce 27). Henry tried to put pressure on Pope Clement VII to give a special dispensation to him to divorce Catherine. When Wolsey failed in his negotiation with the Pope to get the dispensation, Henry fired Wolsey and decided to sidestep established legal procedures of the Church (Bruce 34). In a 1529 Act of Parliament, they limited the powers of the clergy by a series of statutes. Then, in 1533, he married Ann Boleyn, who soon gave birth to the future Queen Elizabeth (tudorhistory.org). The following year, Parliament passed the Act of Supremacy, which named the king the Supreme Head of the Church of England. Then, there followed the suppression of Catholic monasteries throughout England in May, 1536, Anne Boleyn was executed on the grounds of marital infidelity (Shostak 45). Henry married his third wife, Jane Seymour, who died in childbirth after giving birth to the king ´s only legitimate son, the future King Edward VI (tudorhistory.org). In 1540, Henry vice-regent and chief minister Thomas Cromwell arranged a political marriage between Henry and Ann of Cleves in the hope of attaching German protestant interests to those of England. Henry detested Anne ´s appearance so he had the marriage annulled and ordered for Thomas Cromwell to be executed on the charge of treason. In 1543, Henry married Catherine Parr, his sixth and final wife (Jokinen). They were married for three years before Henry ´s death. Henry ´s later years saw a renewal of hostilities with both France and Scottish. Henry personally invaded France in 1544, where his armies captured city of Boulogne (tudorhistory.org). The two nations ceased fighting in 1546. Henry ´s later years were also characterized by rigorous persecution of both Catholics and Protestants. Henry died on January 28, 1547, at the age of 55. It was Henry ´s request that he was laid to rest alongside his third wife, Jane Seymour (Sypniewski). Tudor Parliaments were an essential aspect of English government and administration in the sixteenth century. After the Kings Council, Parliament was the nations most important institution. In Tudor times most important decisions concerning government were made by the king or queen and a small group of advisers called the Privy Council. However, before these decisions became law, they had to be passed by Parliament. Parliament was the House of Lords and the House of Commons. The House of Lords was made up of about sixty Bishops, Dukes, Earls and Barons. It was unusual for members of the House of Lords to criticize the kings policies. If they did so, they were in danger of being stripped of their titles. Members of the House of Commons were more independent as they were sometimes elected by the people who lived in the area they represented. However, few people had the vote and in many cases the largest landowner in the area decided who went to Parliament. Parliament was much of an occasional institution. Meaning Parliament was active under the Tudors, and exceptionally active in the reign of Henry VIII. Henry VIII was in favor of holding regular Parliaments (Shostak 57). When Henry was in conflict with the Pope in Rome, he claimed that the votes taken in Parliament showed he enjoyed the support of the English people. Elizabeth held fewer Parliaments than her father. On average, she held a Parliament once every four years. Elizabeth made it clear that members of the House of Commons had complete freedom of speech. However, she believed that certain issues such as religion or foreign policy were best left to her and her Privy Council (tudorhistory.org). Henry VIII wanted an annulment of his marriage on the grounds that there had been adultery. Although, nobody knows if this was true or not, was a way out for Henry and a chance for him to marry Anne Boleyn, who he hoped would give him an heir. He sent Cardinal Wolsey to the Pope to plead his case, but he failed, for this reason Henry VIII dismissed him in 1529. However, in 1533, Thomas Cranmer, the Archbishop of Canterbury, deserting the Catholic faith, granted the annulment. He passed legislation restricting papal jurisdiction in England and eventually, passed the Act of Supremacy, making him the Head of the church in England (Jokinen). Thomas Cranmer suggested Henry to abolish and destroy the monasteries, since they were very rich and confiscated their wealth and properties for his own use (Jokinen). Through the Act of Supremacy, he declared himself to be the only Supreme Head in Earth of the Church of England instead of the Pope (Jokinen). Henry VIIIs courtships were equally sexually driven. He wooed Jane Seymour with gifts and bribes to members of her family, but only decided to abandon Anne Boleyn days and possibly hours before she was arrested. In the case of Katherine Howard the transition from would-be mistress to consort is evident. Henry was in full pursuit within weeks of seeing her, not without a degree of encouragement on her part which should have indicated to him that she was more experienced than was claimed (Jokinen). They were married three weeks after the Cleves divorce and by then Katherine may already have begun sleeping with Henry. The Elizabethan Era was full of controversy and obstacles for many of its historical characters to overcome. The six different wives of King Henry VIII experienced first hand controversy due to the King’s love of women as well as power. Although King Henry VIII married six different women, his decisions helped to change and fascinate the course of history for the modern world to reflect.

Media Influence on Body Image Essay Example for Free

Media Influence on Body Image Essay So many people today are insecure about the way they look, either thinking themselves too fat, or having bad hair, skin, or simply just not attractive enough. Of course, much of this line of thinking is encouraged by the barrage of advertisements which portray skinny women and muscular men with perfect skin and hair traipsing around in exotic spots and driving the opposite sex crazy. More than any other outlet, the media is guilty of creating a misperception of what beauty really is and the anxieties and problems in society are exacerbated by their efforts. Celebrities make regular people feel that they need to spend a ridiculous amount of money and time on external appearance, as infomercials for beauty creams, workout regimens and equipment, foods and drinks, diets and countless other means of body modification are continuously hocked as ways to achieve happiness and contentment. Very few outlets in the media, whether television, movies, magazines, or the Internet encourage people to be comfortable with their bodies, even though reason dictates that true beauty is not something that relies completely on external appeal, but rather beauty is something that comes from within and can be shared with others. Beauty is everywhere. It can be in a sunset, a work of art, or in a masterpiece of architecture. There is manmade beauty and natural beauty, and both have unique appeals that inspire people to feel good about themselves and life. However, when it comes to human beauty, we are educated from the earliest ages that it is almost completely physical. The media portrays this in the form of men and women with perfectly sculpted bodies without an ounce of fat, lustrous and clear skin, soft, flowing hair, and a perfectly symmetrical face. The images of beautiful celebrities and fashion models stare at us from magazines in the checkout line at the grocery store. It seems everywhere that the media is telling people what beauty really is, and the effect is severe insecurities in the masses. This leads to pills, creams, hair restoration, breast implants, plastic surgery, and all kinds of other drastic actions in the hopes of attaining beauty. The inundation of media images of unnaturally thin women also has a significantly negative effect on young girls. Professor of psychology and body-image researcher, Sarah Murnen, and her colleagues reviewed 21 studies that looked at the media’s effect on more than 6,000 girls, ages 10 and older, and found those who were exposed to the most fashion magazines were more likely to suffer from poor body images (Hellmich). This can also lead the young girls to adopt unhealthy eating habits such as bulimia and anorexia in hopes to maintain what they feel as the ideal â€Å"beautiful† body. However, some companies are making an effort to dispel this, like Dove. Instead of images of long locks, longer legs and incredibly lean bodies, Dove brand beauty products and American Girl are promoting their products with a message of â€Å"real beauty† by encouraging women and girls to celebrate themselves as they are — while using the products, of course (Howard). While they are encouraging women to pursue a greater beauty than physical, they are still sending the contradictory message that young women need to use their products. However, the true definition of beauty is something that goes far deeper than these profit-driven interpretations espoused by the media. It is impossible to deny that certain men and women are not beautiful, for a perfect face and body attracts many people from all around, however like the old adage that beauty is in the eye of the beholder, everyone else may not universally agree upon the external and physical beauty of these people. Some people make think blonds are beautiful, while others prefer brunettes; some people may like blue eyes, while others only find brown beautiful. This shows the subjective nature of external beauty, which begs the question as to whether this beauty is significant at all or merely a matter of taste. To that end, it is far more productive to pursue a greater beauty in life, and not worry about physical beauty or achieving it. I believe the greatest beauty in life comes from within; and this kind of beauty can be achieved by everyone without pills, painful operations, or costly beauty treatments. I have learned not to put too much stock in the media’s representation of beauty, because I feel it robs from the more significant beauty that can be achieved in society when people think of each other and treat each other with equal respect and consideration. I do my best to live by the golden rule, and find situations the most beautiful when others do the same. I feel that many of the popular conceptions of beauty are based on half-truths and blatant deceptions, encouraging people to hide their flaws rather than love themselves. For me, honesty is beautiful, and I am always honest, unlike the advertisers that have something to gain by creating untruths and anxiety. Life is beautiful enough without having to worry about perfecting physical attributes, and the truth is that aesthetic beauty is not nearly as lasting as emotional, spiritual, and mental beauty. These are the kinds of beauty to which I aspire and have successfully managed to cultivate. I consider myself beautiful because I am generous to others, and see myself reflected in their appreciating eyes. I love to share my time and effort with others, and do so sincerely with no expectations for recognition or reciprocity. The reward for me is simply being alive to share what I have, and I find life itself beautiful. I try my best not to get caught up in the conventional definitions of conventional beauty, because they would expect me to devote my time to working on my physical attributes rather than my spiritual and mental beauty. I know my actions make me beautiful, because when I help others I also recall all the times that others have helped me and I realize that this is one of the most beautiful things that humans can achieve, as powerful as the most perfect sunset or double rainbow. While beauty may truly be in the eye of the beholder, I feel confident in my own beauty because I treat everything in life as it is: beautiful. I find joy in everything, am compassionate, and try to make everyone share in the beauty that I possess, hoping that they can also create his or her own. I try to be truthful in all regards, and try never to feel insecure that my beliefs in my own beauty are false. I refuse to adopt the media’s perception of beauty, and prefer to find my own conceptions in what I see is true beauty: generosity, compassion, and joy. For me, this is the truth, and like the words of John Keats, â€Å"Beauty is truth, truth beauty,—that is all/ Ye know on earth, and all ye need to know† (Keats). Works Cited: Hellmich, Nanci. â€Å"Do thin models warp girls’ body image?† USA Today. 26 Sep 2006. 29 Apr 2008. http://www. usatoday. com/news/health/2006-09-25-thin-models_x. htm. Howard, Theresa. â€Å"Ad campaign tell women to celebrate who they are. † USA Today/Dove. 8 Jul 2005. 12 Apr 2008. http://www. campaignforrealbeauty. com/press. asp? section=newsid=3073. Keats, John. â€Å"Ode to a Grecian Urn. † The Oxford Book of English Verse. 1901. Ed. Quiller- Couch, Arthur Thomas, Sir. Bartleby. com. 1999. 12 Apr 2008. www. bartleby. com/ 101/625.

Sunday, July 21, 2019

Effects Of Breakwater In The Civil Engineering Field Construction Essay

Effects Of Breakwater In The Civil Engineering Field Construction Essay Problems of erosion, reduction in shorelines, disappearance of beaches, and environmental impacts have led to the recession of many economies around the world. To resolve, engineers have devised man made structures like breakwaters and piers to address a variety of coastal problems such as shelter, fishing, docking and coast line recession. While these problems are resolved, new ones emerge when breakwaters and jetties are constructed in the areas. Clearly, breakwater engineering and related civil engineering fields are still at their rudimentary level, despite the fact that these structures have been in use since age old. In the following study, the researcher carries out investigation into the hydrodynamics of breakwaters, and their engineering aspects, with the view to gain insight into their importance to civil engineering fields. The researcher aims to explore, evaluate and analyse the impact of breakwaters on engineering professions, and ways that their knowledge limits or opens up new channels for engineering innovation. The results are compiled, and the researcher concludes that breakwater engineering has great scope in contributing to civil engineering knowledge, provided that its design and applications are researched further. Chapter 1 Introduction Background and Rationale A coast is a geological system that is subject to constant movement and change. Shorelines, beaches, and coastal areas in effect affect human lives, and vice versa. The diverse and complex nature of the coastal system is the result of processes involving waves, tides, currents and winds that affect the geological state of the coast in an attempt to keep a balance between land and water. However, these are not the only factors that influence and shape coastlines. Human activities for economic and social purposes contribute towards its modifications. Natural processes, coupled with human intervention, contribute towards erosion, sedimentation, and accretion (Hsu, Lin, and Tseng 2007). In fact, according to French (1997), human activities bring about changes that influence the environment adversely by creating new habitat and decreasing environment stability. Though not all changes affect the environment adversely, nevertheless the natural processes are affected by the unnatural conditions. Coasts and estuaries are not indifferent towards human intervention where a range of variations in their structure and environment can alter the geological, oceanological and marine system therein. Added to this status is the fact that coasts have become the ideal place for human population, industrialisation, commercialisation transportation etc. Human has, in effect, taken over to develop coastal areas to act as shelters, ports, docks, and for numerous other activities. The pressure for benefitting human lives has inevitably changed the environment drastically towards degradation. To compensate, a host of management strategies have been undertaken to operate, manage and sustain coastal areas, to control the activities and maintain a balance between nature and mankind (dAngremond and van Roode 2004). One of these management control methods is building of breakwaters and jetties. Jetties and offshore breakwaters are man made structures designed to protect coastal areas from the natural and unnatural recession of the shoreline. Breakwaters are usually built parallel to the shore or at an angle to direct serious wave action from its destructive impact on the shoreline. Jetties, on the other hand, are built with the purpose to prevent erosion of the inlet or harbour area. Offshore breakwaters provide shelter as they are built based on wave refraction and diffraction (Putnam and Arthur, 1948). Similarly, groins are structures built to face seawards and at an angle to slope at the same angle as the normal beach. Groins are built at an elevation above datum to act as the stabilising structure and to increase the width of the beach by arresting the shore drift in part or as a whole (Paige 1950). Apart from these, coastal areas are subjected to geological problems such as natural processes including coastal erosion, deposition, sedimentation, tsunami, tidal waves etc. These require human intervention to protect and conserve human and natural habitat. For these purposes, an engineering field called coastal engineering has been introduced in the academic arena for enhancing the knowledge and skills of professionals to develop coastal areas with minimal damage to the natural and man made environment. Coastal engineering involves developing and protecting existing coastal protection work with the view to predict future natural coastal processes. Comprehending the nature and value of coastal processes, enables engineers to devise plans and strategies to protect these processes better. Moreover, knowledge of the coastal condition helps professionals in the field to construct, facilitate and execute better breakwater construction. Breakwater construction is a field that is directly related with coastal engineering. However, it also has close relations with other engineering fields like geology, construction, environment and computer engineering. It is within this context, that the researcher shall be investigating the importance of breakwater engineering and the ways it affects the engineering field. Aims and Objectives The aim of this dissertation is to investigate how breakwaters and their construction affect various civil engineering fields. The objective is to: a. Identify the various civil engineering fields that breakwaters affect b. Evaluate how breakwaters impact civil engineering professionals; and c. Study how the knowledge of breakwater construction adds to the skill knowledge of engineers Scope and Limitations The research, in essence, is not a pure scientific empirical study, but rather an exploratory one. The researcher is aware that in exploring the dynamics of breakwater engineering, he/she will have to link civil engineering techniques and skills, which makes it a successful defence structures for both, humans and marine life. In this context, the study shall limit its discussion to the various fields breakwater construction entails, and shall not delve extensive into any particular field which concerns its engineering perspectives, such as marine life or construction engineering. However, it will touch upon these topics byway, to enumerate on its role and effects on the engineering field. Audience readers shall find the study insightful and enlightening as it would provide the numerous aspects that coastal engineering of breakwaters impact. However, academics and scholars shall find the content of the study limiting as it shall not be holistically technical. Fellow students shall find the dissertation a good stepping stone for furthering their research into areas of specialisation like geological engineering, construction engineering and so on. Ne vertheless, the dissertation shall aim to address the social and scientific aspects of breakwaters. Outline of Dissertation To accomplish the above objectives, the researcher shall endeavour to carry out the study in the following manner: Chapter 1 shall introduce the background and the rationale for the study. Chapter 2 shall provide the theoretical background based on an extensive literature review on the aspects of the study outlined above. Chapter 3 shall outline the methodologies considered and the rationale for the chosen research approach. Chapter 4 will be the analysis segment in which the researcher shall evaluate the data gathered, and discuss with the aim to acquire conclusive results. Chapter 5 shall be the conclusion to the research, offering insights gained from the research, summarising whether the researcher has accomplished the objectives or not, and perhaps some recommendations for future research. Chapter 2 Literature Review Introduction Breakwaters and similar coastal structures are human interventions, which are exposed to strong waves, currents and other marine processes. The construction of such structures needs to be enduring, as well as fitting, with the natural environment. The design and construction of breakwaters and interrelated structures indicate that knowledge of pure engineering alone is not practical. In fact, it requires consideration for various empirical and theoretical knowledge for its design. To the extent of this knowledge, the researcher is of the view that civil engineering relating to large scale hydraulic structures has developed considerably. According to dAngremond and van Roode (2004), coastal problems of erosion, tides and currents have existed since the beginning of civilisation. However, the management of these movements and problems have gained considerable attention today due to the commercialization and population of coastal areas around the world. For these reasons, problems such as sea level rise, tidal asymmetry, sedimentation budget etc. need to be tackled. These are carried out through careful coastal defence and management practices, and engineering skills, which shall be discussed in the following sections. Coastal Engineering Ocean waves are generated by wind and propagated from the ocean towards the shoreline. The orbital motions of wave kinematics influence the depths and heights of the ocean bed. Near shore ocean beds are greatly impacted by the velocities and the wave strengths. As a result, sediment beds often change in topography due to continuous impact of the fluid forces of waves. Sedimentation response or impact is negligible, but, in effect, compound the problem of sediment transportation to and away from the local beach. The scale, depth, and extent of the influence of the waves on the beach may and may not result in coastal degradation. For these reasons, detailed investigation on the continental shelves, fluid dynamics, near shore motion and variation of ocean topography are required in order to monitor and maintain the natural barrier to land. When the problems of natural erosion and sedimentation become too great to manage, measures like construction of barriers, submerged shoals, breakwat ers and artificial headlands are undertaken to sustain the environment (Birbena et al 2006). Construction of this nature is triggered by defence planning, storm handling and flood prevention. In fact, coastal defence system and management require formation of framework for projects to be planned, investigated and implemented to meet the needs of the environment and its people. These are the civil aspects of coastal engineering (French 1997). Not only this; structures like breakwaters also require continuous monitoring and protection work to predict future performance. This is carried out through coastal engineering processes such as modelling to estimate the changing environment and angle of repose of shorelines, site investigation to study the cycles of hydrographic and marine life status, as well as processing these to build a profile for the shorelines on which breakwaters are constructed. For example, in Iskander et als study (2007), the authors studied and developed a monitoring model for studying coastal structure along the El Agami area of Egypt. The study indicates that where breakwaters exist, shoreline fluctuates, marine life is impacted, as well as wave hydraulics. Coastal engineers need to record and study the gradual change that takes place due to the presence of breakwaters. Issues concerning wave distribution, shoreline sand composition, coastal calibration, marine survey, and effect on the harbours population are taken into account. Apart from these, breakwaters also affect the coastal structure such as villages, ports, or other such human activities (Iskander et al 2007). Furthermore, coastal engineers also need to ensure that the construction of breakwaters and estuaries does not adversely affect human activities as a result of design fault of these structures. For example, in Donnell et als article (2006), the authors indicate that the breakwaters on Tedious Creek estuary on the shoreline of Chesapeake Bay in Dorchester County, MD caused substantial damage to local vessels than the benefits it provided for its shelters. The setup of breakwaters is aimed at protecting the boat dock and public piers from storms, but, in reality, the projects design fault has resulted in under performance, both in functionality and structure to benefit the locals. It is in instances such as these that coastal engineers need to be ascertained of the need and importance for breakwater structures. Similarly, breakwaters can also result in beach morphology that effectively negates the protection objective when breakwaters are constructed with limited knowledge applied relating to practical engineering. Accurate study of the shore area through cross shore distribution, long shore sedimentation transport rates and performance of breakwaters in advance, as well as using model calibration and validation, hydrodynamic module, wave modules etc. could positively affect the performance of the structures. Therefo re, coastal engineers are responsible for studying the wave conditions, down drift side, expected erosion and current patterns behind submerged breakwater, to gauge incident waves. These mechanisms, according to Ranasinghe and Sato (2007), can relatively influence the function and utility of breakwaters function. Thus, coastal engineering is greatly influenced by the type and design of breakwaters structures. Construction engineering Breakwaters and such coastal structure construction combine design and functionality with the view to protect the coastal area. The design process is similar to structural design of buildings as it entails paying attention to functional requirements, limitations of the state of the structure, exposure, construction phases and occurrence of natural conditions. Breakwaters also require considerations for knowledge of construction materials including quarry stone, concrete blocks, caissons and similar types of materials to apply to its construction. Equipments for both floating and rolling breakwaters too need to be studied and related to the specificity of the breakwaters site, function and design. The development of breakwaters also requires functional and structural monitoring of performance, with enduring characteristics. According to Camfield and Holmes (1995), coastal structures like breakwaters and jetties are influenced by long periods of water level changes. They need to be built parallel to the entrances, in an attempt to stabilise entrances and safe navigation. Construction along the shore should be carried out with the direction of the channel in mind, to prevent migration of channel thalweg, rapid shoaling and erosion of the coastline (Morang 1992 qt. Camfield and Holmes 1995). This is because construction o f jetties and breakwaters often creates a new equilibrium for the tidal system. For this purpose, surveys of adjacent shorelines, natural bypass and the material that may ebb tidal activities need to be carried out for effective construction of the structures aligned with the regional dynamic and hydraulic processes. Construction engineering approach such as cross sectional relationship of inlet and tidal prism, as well as depths of the jetties and breakwaters, and water flows are studied before finding the ideal balance between performance, flow conditions, and natural marine activities. Knowledge of construction material, as mentioned earlier, is imperative for choosing and designing breakwaters to complement the need of the local landscape and environment. Since breakwaters are made up of rubble mounds or caissons or are concrete filled, knowledge of construction material adds to the skills required for developing structures for dispersing wave currents to minimise impact, as well as conserve energy from wave hydraulics where possible (Arena and Filianoti 2007). Not only this; new construction material knowledge also provides an edge over the design and planning of the breakwater armour unit. Reedijk et al (2008), for example, indicate that the development of Xbloc by Delta Marine Consultants in 2001 has innovated armour concepts in terms of designs, tests and prototypes. Xbloc are concrete blocks designed to armour shore protection and are being used in breakwater construction actively by engineers today. Muttray et al (2003), in their study of the suitability of Xbloc in breakwater construction, indicate that Xbloc are shaped to suit the harsh environmental conditions of waves, and such hydraulic activities. When placed interlocked with each other, Xblocs not only reduce concrete volumes, but also achieve the stability required for achieving breakwaters impact from wave loads and damage (Muttray et al 2003; Reedijk et al (2008). Added to this fact is the cost of layering breakwaters with Xbloc, which is significantly reduced as compared to other armour blocks. Furthermore, coastal protection design and construction require development and use of probabilistic design tools to gauge uncertainties, prediction of wave impact, as well as structure stability. One of the main concerns for construction engineers is that the structures can sustain its functionality for coastal protection, regardless of the wave conditions and transformations of water bodies. The basic premise is that wave transformation in foreshores and offshore areas cannot be relied upon through model designs. In fact, it requires construction engineers to have knowledge of coastal shores by using prediction models for wave transformation to study the effect of wave height, setup and distribution before designing the breakwater and jetty structures (Muttray et al 2001; Coduto 1999). Consideration for these aspects would help design structures to achieve its long term goals, as well as retain beach composition from long shore transport processes. Analytical engineering Breakwaters are constructed based on engineering approaches and processes that exploit the nature of wave parameters and hydraulics. According to Huizinga (2003), breakwater engineering often fails after 5 to 10 years as a result of poor design. Engineers fail to grasp the concept of breakwater designs and modelling, which uses propagation of water around of breakwater with the assumptions that water is the ideal fluid and incompressible. Waves are small in amplitude and can be analysed using the linear wave theory. Their flow is usually rotational, which can be analysed through Laplace equations. Breakwaters depth is constant and its dynamics are determined by diffraction, refraction or reflection (Huizinga 2003). Diffraction analysis takes into account of the water height, and the interaction of breakwater and waves. The wave energy is assumed to disperse as the waves come into contact with breakwater structures, which could be understood using linear diffraction theory. In this context, a rubble mound breakwater is a diametric form, with certain density and diameter designed to disperse wave motion. The velocity of the waves is retarded by its action, in contact with the breakwater. The change in direction of the wave affects the sediment supply, composition, wave properties, topography, and breakwater properties. Therefore, the variables in the breakwater interaction change in response to the caisson. The underlying assumption set forth is that the physical movement of breakwater is associated with the wave action, the permeability of the breakwater surface, seabed composition and response of the breakwater over a long period of time (Huizinga 2003; Twu and Chieu 2000). Alternatively, wave reflection and wave run up is the model for analysing breakwater through a cross section and slopes. In this method of engineering, wave reflection is determined by the 3 guage method. Wave conditions comprise of relative depth, height, steepness, and breaker index. Measurement of wave conditions is accomplished by analysing its reflection at the seaward direction when the wave surface comes into contact with the structure and foreshore. The water surface comes into contact with the breakwater as a toe and an anti knot. The wave run up and run down impact the breakwaters wave resistance. When engineers analyse the efficacy and effectiveness of breakwater, they study the angle of the incident wave, as well as its reflection coefficient, to determine the impact of regular wave action. The analysis is critical for gauging the significance of wave run up and run down on breakwater surfaces, and inevitably its longevity. This is achieved by using the higher order wave theory for assimilating waves and horizontal seabed asymmetry. Furthermore, wave reflection measurement is determined by its dynamics such as local wave height, wave pressure, wave energy dissipation and wave penetration into the structure (Muttray and Oumeraci 2002). How waves break or non break is dependent on the breakwater slope and the reflection set for critical wave incident impact (Clyne and Mullarkey 2008). These analytical approaches are various forms of analytical engineering, which are engaged to evaluate the strength, longevity, efficacy and effectiveness of the breakwater functionality. Alternatives in analytical engineering, therefore, help construction of the breakwaters more effective, as they establish the baseline for stabilisation potential, as well as extend the life cycle of the structure (Wiegel 1962). Environment engineering Breakwaters and jetties are engineering solutions to resolve the problem of erosion and sedimentation of shorelines. These are constructed with the view to sustain the shoreline, and in turn benefit the local human communities. Just as breakwaters and jetties affect the hydraulic system of the areas, they also produce long and short term impacts on marine life. Hydrodynamic conditions, sedimentation patterns, wave motion, physical and chemical factors tend to alter the composition and nature of the habitat. Not only this; the habitat tends to change in its characteristics and life cycle due to the change induced by the presence of breakwaters. No doubt, there is an imperative relationship between biological life form and breakwater structures. Even though breakwaters are developed with the objective to provide shelter to marine life, as well as harbour for human activities, the type of alleviation, shoaling and access to aquatic floral and faunal also gets impacted when breakwaters are constructed without careful monitoring of quality, composition and marine lifecycle. In fact, construction of breakwaters for creating inlets often results in f loral and faunal morphology of marine life due to the quality of sand, water chemical properties and the wave action. Water temperature, with variation through seasonal change, substantially affects the fish population, as well as other marine life forms. For example, the components of macrozoobenthos, algaes and polychaetous worms densities change (increase/decrease) according to the increasing or decreasing water depth. Thus, construction of breakwater tends to adversely affect the micro constituents of marine biology (Biological effects of breakwater construction 1985). At times, colonisation of fishes within the vicinity is affected due to the elevated turbiditys and suspended solids concentrates near the breakwater. Moreover, maintenance of the depth of entrance to the area, and exposure of the same, can alter the sustenance level of fish populations. By streamlining the natural sand bypass, the morphological performance can be improved to simulate waves, currents and sediment transport, which corresponds with the marine life processes (Broker et al 2007). The reliability of the effect of breakwater calibration process ensures that the constructed structure does not hinder marine life forms. For this purpose, marine engineering knowledge, combined with the breakwater development know how, can help local engineers to establish dynamic coastal structures to fit within the parameters of the natural environment. Risks and failures While it is clear that breakwaters have their own functionality and utility for which they are used to sustain beach line sustainability and continuity, they are also risky.The utility and functionality of breakwaters and jetties depend on the model, material and simulation upon which they have been based. Measurement for their horizontal and vertical fluid velocities, breakwater composition (porous or non porous), energy dissipation rate and modification intensity, all contribute towards its impenetrable nature. However, any variation and standard deviation in the design such as surface elevation, velocity variation, calibration, and structure permeability can result in its wear and breakage. According to Kobayashi et al (2007), breakwater permeability can affect its situation in the beach zone, effectiveness in eliminating serious wave impact and structural longevity. In fact, breakwater transformation as a result of wave load, pressure and velocity can lead to shattering. This is dependent on the design of the breakwater and its sensitivity and test against breaker ratio. Steepness of seaward slope, wave breaking motion, and wave parameters greatly influence the structure, to the extent of predicting its durability (Kobayashi et al 2007). In fact, Oumeraci et al (2006) are of the view that analysis of saturation due to liquefaction phenomena in sand gravity structure tends to increase the risk of structural failure. Vertical breakwaters, especially, are vulnerable to permanent deformation of the subsoil, which leads to irreversible strains at the peak stress level. As a result, breakwaters structures can give way to wave load induced by the fluctuation in pressure along the seabed and the pore pressure in the concrete itself. Failure of such monumental nature affects the stability, composition, and cyclic mobility. Failure is also the result of the nature of the breakwater structure, whether it is designed for offshore or onshore coastal defence. It is greatly influenced by the depth, and nature of the sand composition underneath the seabed upon which the breakwater is constructed. The relative density of the sand, pressure of the fluid, as well as storm yield, all contribute towards its endurance (Oumeraci et al. 2001). Apart from these physical risks and failures, breakwaters are also vulnerable in terms of their effect on marine life forms. Changing chemical composition due to displacement of fauna colonisation, as well a toxicity of the structures along the sediment banks, can result in breakwater biota fluctuations. While the human benefits of breakwaters last for 5 to 10 years, the long term effects of marine life cycle and fishery can alter the nature of the coast altogether if careful engineering approaches are not undertaken for the construction of breakwaters (Biological effects of breakwater construction 1985). Conclusion The above discussion has been carried out with the view to provide an overview of the relationship between breakwater construction and its impact on engineering fields. While engineering is a vast discipline, in this study the researcher has included engineering fields related to the construction of breakwaters and their maintenance. The discussion indicates that breakwater structures are not merely coastal construction monuments, but have multidimensional impact on the physical, biological and human life. For this purpose, engineering and designing of these structures need to be analysed, planned and implemented with care, for its impact. Chapter 3 Research Methodology The nature of research problem determines the choice of its methods. Before one chooses the research method, its objectives, audience and underlying assumptions should be justified. The methodologies are then weighed and evaluated to justify for its choice. The theoretical perspective of the study should provide the background reality, as well as the constituent for increasing readers knowledge. Within these dimensions epistemology is concerned with providing a philosophical grounding for deciding what kinds of knowledge are possible and how we can ensure that they are both adequate and legitimate (Crotty 1998). The epistemology, therefore, allows the researcher to decide the application and the underlying academic literature that is required for adding knowledge to the existing consciousness. Generally, there are two options objectivism and constructionism. The objectivistic approach entails the investigation of existing knowledge and spanning it to extend its consciousness. The aim is to discover the objective truth. On the other hand, the constructionist approach entails the research which requires interaction with the world, and finding the truth in the process. Underlying the constructionist approach is the premise that research endeavours need to explore views from multiple angles before deciding on the objective truth. This approach is grounded in the qualitative methodology (Crotty 1998 qt. Levy 2006). Alternatively, researchers in the applied field usually conduct research based on quantitative methods that entail action research and evaluations for studying particular aspects and issues. The premise for choosing action research is to endeavour to capture the reality with certain degree of control on the phenomena under research. Although, the nature of the coastal engineering field mandates that research activities be subject to quantitative empirical methods whereby researchers carry out extensive action research strategies and processes. However, in this case, the researcher has opted for the qualitative approach as it complements the nature and topic under discussion. Whereas the study of breakwater is pragmatic, the exploration of its connection and impact on the engineering field is qualitative in nature. Furthermore, to understand the implications of breakwaters and their effect on civil engineering profession, investigation into the subjective views of experts within the field is required, rather than engaging in empirical research to achieve its findings. Having said that, the researcher is also aware that qualitative research requires a paradigm for basing the enquiry. According to Gummesson (2000), a paradigm is a very general conception of the nature of scientific endeavours within which a given enquiry is undertaken (p.18). It is a world view which allows the researcher to base his/her research outcomes and understanding. Research paradigms can be divided into positivist, which is characterised by the world as the external dimension and must be researched through facts and fundamental laws, and by studying concepts through sampling. On the other hand, the phenomenological paradigm involves the social construction of the subject, and characterised by the understanding of the totality of the situation by investigating the issue through established phenomena. For the current study, the researcher shall adopt the phenomenological paradigm for analysing the effect of breakwaters on the engineering field. The rationale is based on the premise that even though through the course of discussion some technical and practical aspects shall be discussed, the analysis shall regard the ideology, decision logic and utility behind breakwaters and their link with civil engineering fields. While the researcher is aware that the phenomenological paradigm is not suited for engineering and scientific research, he/she also has the understanding that research of this qualitative nature

Saturday, July 20, 2019

Essay on Political Drama in Henry IV and Henry V -- Henry IV Henry V E

Political Drama in Henry IV and Henry V  Ã‚        Ã‚   The contention that Shakespeare’s histories are in fact political drama appears to fall uneasily on the ears of modern readers.   One reason for this could be the fact that we, as a society, have blurred the connotation of politics to the vaguest of notions – narrow at times, yet far too inclusive.   A young reader is likely to view politics as election and debate, a sort of ongoing candidacy.   Indeed, this may be a valid modern definition, if somewhat limited.   For our purposes, however, this definition is not sufficient to establish a starting point from which to examine Shakespeare’s presentation of political drama. If we define politics as the acquisition and exercise of the power of the state, we can see that each play in the Great Tetralogy is inherently political.   In terms of plot, the action of each play revolves around the concept of succession, the passing of political power from one king to the next.   Henry IV wrests the crown from Richard II, then is forced to defend it against enemies who would in turn take it from him.   Prince Hal inherits the throne from his father, becoming Henry V, then goes on to seize the throne of France for himself.   At the end of Henry V, we are told that yet another Henry will be â€Å"in infant bands crowned King† (epilogue 9). But while the histories’ plots are largely concerned with the acquisition of political power, their themes can be said to focus more on the exercise of such power.   At its heart, the Great Tetralogy is a discourse on the qualities of the ideal ruler.   A comparison of Richard II and Henry V, and the way each wields political power, will serve to illuminate this point.   Ultimately, Henry V is an effective king bec... ...ion, elaborate speeches with minimal stage direction.   One acts; the other is only an actor. Works Cited Bevington, David, ed.   The Complete Works of Shakespeare.   4th ed.   New York: Longman-Addison Wesley Longman, 1997. Hollister, C. Warren.   The Making of England.   7th ed.   A History of England.   Ed. Lacey Baldwin Smith.   Vol. 1.   Lexington, MA: D.C. Heath, 1996. McDonald, Russ.   The Bedford Companion to Shakespeare.   Boston: Bedford-St. Martin’s, 1999. Rosenblum, Joseph.   A Reader’s Guide to Shakespeare.   New York: Salem Press-Barnes & Noble, 1999. Shakespeare, William.   The First Part of King Henry the Fourth.   Bevington 763-803. ---.   The Life of King Henry the Fifth.   Bevington 849-92. ---.   The Second Part of King Henry the Fourth.   Bevington 804-48. ---.   The Tragedy of King Richard the Second.   Bevington 721-62.      

Friday, July 19, 2019

The Ultimate Fulfillment in Mans Fate by Andre Malraux Essay -- Mans

The Ultimate Fulfillment in Man's Fate  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚   In Man's Fate, Andre Malraux examines the compelling forces that lead individuals to join a greater cause. Forced into a life of contempt, Ch'en portrays the man of action in the early phases of the Chinese Revolution.   He dedicates himself to the communist cause.   It is something greater than himself, a phenomenal concept that he has fused into.   It is something for which he will give his life.   How did this devotion come about?   A combination of his personality, his interior life, as well as society's influence, molded him into a terrorist. Ch'en is self-destructive; he is controlled by his religion of terrorism and his fascination with death.   He is representative of the dedicated soldier who begins as a "sacrificial priest" (4) and ends as a martyr.   After all, the ideologies of communism and terrorism were practically a religion to those involved in the revolution.    An examination of Ch'en's past gives us an idea of how he formed his beliefs, and fell into a state of isolation.   At an early age, his parents were murdered in the pillage of Kalagan.   In addition, at age twenty-four, his uncle was taken hostage and killed because he couldn't afford the ransom, and with no wife or children he was severed from any attachment to a family. He was practically brought up by pastor Smithson, representative of the thousands of Christians that were present in Shanghai, who gave him his Christian education.   However, "[a]s he was devoid of charity, a religious calling could lead him only to contemplation or the inner life; but he hated contemplation and would only have dreamt of an apostleship, for which precisely his absence of charity disqualified him" (64).  Ã‚   Thus, he was u... ...reams which take possession of us because we give them force, but which we can just as easily deny" (180).   This is further reinforced by Ch'en's idea that   "In the last hour I have felt nothing of what used to weigh on me" (192).   Ch'en is the terrorist for the insurrection. His faith had isolated himself from the world instead of submitting to it.   We have a personal need for connection, Ch'en is isolated until the end, when all differences are subsumed. Communism gives a sense of escaping isolation.   For under this ideology there is a personal connection and a feeling of equality.   It is the ultimate fulfillment to live his idea, and more importantly to die for his cause - a cause that is much greater than the individual.   In the end Ch'en becomes the bomb. Bibliography   Malraux, Andre.   Man's Fate:   La Condition Humaine. New York: Vintage Books.   1990

the female care product :: essays research papers

  Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å" Why do you always complain about your cramps and your uncomfortability. Look at these people; they’re having a good time while on there period.† That’s what I told my girlfriend when looking at a recent tampon ad. It’s funny though, that this particular ad we were looking at, was talking about how they (the tampons) don’t hurt, how they helped conquer fear and also the race of people that it used.   Ã‚  Ã‚  Ã‚  Ã‚   When I first look at this ad I see two girls and a guy playing Frisbee. It seems like a fun atmosphere, so it caught my eye. In one picture they show a girl taking the Frisbee away from a guy and in the next she is taking it away from a girl. It’s a happy ad that shows two girls possibly on there period. Which in the case of the product being sold an underlying meaning of you can have fun and still be on your period could be inferred.   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"Sweet!!! (and I was almost a no-show ‘cause I thought using a tampon would hurt.) Obviously the advertisers are saying that these specific types of tampons are comfortable. It’s a smart move to make this the very first thing you see in the ad because this automatically assures the consumer that this product is not harmful in anyway. In a buyer’s eyes this will trigger a need to be safe. Most people nowadays are risk adverse and try to avoid all possible situations that compromise they’re safety. So by reiterating that this product is comfortable, the buyer already feels â€Å"protected† without even knowing it. Although you must consider this, everybody has a different body stature and what is comfortable to a â€Å"regular† sized woman or lady might not be comfortable to an overweight or smaller woman or lady.   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"The continuous pressure is to create ads more and more in the image of audience motives and desires.†(Marshall McLuhan, pg. 61 cc) The tampon advertisers must know this to be true being that they affiliate the need to dominate with the ad. â€Å"Playtex helped me conquer my fears, then Jill and I conquered the boys!† Being that this was stated in the ad, the main character of our advertisement had an enormous fear of using tampons, possibly because foreign objects in small places can be intruding and painful. But she was reassured by trying the product herself. Also some of her fears might have been odors, even though the captions do not mention deodorants or scents to the tampons.

Thursday, July 18, 2019

Nanomedicine Essay

Nanomedicine: Obtaining the Benefits, Managing the Risks The phrase â€Å"small is beautiful† has taken on new meaning to Some nanomedicine drug-delivery systems and anti-cancer drugs those involved in the scientific field known as nanotechnology, are already in use. Many other applications are in various phases which involves engineering and utilizing materials at the nano- of clinical or pre-clinical testing, and, if found safe and effective, meter scale – that is, as small as one-billionth of a meter. Reduced may reach the market in five to 12 years. More advanced nano- o these minute dimensions, substances often undergo significant medicine products – such as biocontainers for medical diagnostics changes – for example, carbon becomes stronger than steel and and cell treatment – are in earlier stages of development. copper is transparent. The increasing ability of science to compress materials to the submicroscopic level is affecting many fields of human endeavor. Current and emerging nanotechnology applications include advanced energy generation and storage systems, as well as new chemical additives and industrial materials.More than 300 products with nano-scale ingredients are already on the market, ranging from sunscreens to bowling ball coatings. Regulatory and Risk Issues Despite the accelerating pace of nanotechnology progress, many fundamental regulatory issues are only now being addressed by the U. S. Food and Drug Administration (FDA). These include defining what constitutes a nanotechnology product, establishing regulatory authority over various types of products, adopting labeling requirements, and calculating the health and environmental impact of emerging applications.One rapidly developing area of nanotechnology research is nanomedicine, the process of â€Å"using molecular tools and molecular knowledge of the human body† for the purpose of diagnosing and treating illness. (Freitas, R. , Nanomedicine, V ol. 1: Basic Capabilities, Georgetown, Texas: Landes Bioscience, 1999. ) The swift progress of nanomedicine research makes it necessary to understand the risks and begin the process of limiting potential exposure. Risk assessment is one of the major challenges facing the FDA, as techniques designed for macroscopic materials may be unreliable for nanotechnology products.A National Research Council report (available at http://www. nap. edu/catalog. php? record_id=11752) noted that until the risks associated with nanotechnology are more clearly understood, â€Å"it is prudent to employ some precautionary measures to protect the health and safety of workers, the public Nanomedicine Applications and the environment. † Nanomedicine may potentially revolutionize our ability to screen, This precautionary philosophy applies equally to healthcare organ- diagnose and treat conditions ranging from cancer to cardio- izations. While the promise of nanomedicine is bright, the risks ascular disease to diabetes. Scientists are at work on the following and ethical questions posed by these advances must be consid- projects, among many others: ered carefully. Major potential risks include – infection and genetic testing tools that are faster, more accurate and less invasive than conventional methods – nanoneedle and pulsed laser surgery that alters cell structures without damaging surrounding areas – targeted drug-delivery systems that transport the drug exactly where needed and monitor its effect – nanotube-based biosensing devices that provide in vivo iagnostic testing capabilities, such as tracking electrolyte and blood glucose levels – gold-coated nanoparticles that destroy individual tumor cells while leaving nearby healthy cells unharmed – â€Å"intelligent† synthetic biomaterials that mimic body – possibly heightened toxicity of free nanoparticles, which may be able to bypass the body’s defenses a nd interfere with basic biological processes – genetic alteration, as some therapies operate at the chromosomal level and hence raise complex ethical questions, ranging from informed consent of the unborn o the prospect of genetic enhancement for the few to the issues surrounding stem cell research – environmental and workplace impact, as the particles are often too small to be trapped by available filtration systems and may accumulate in water, air or plants, with unpredictable consequences tissues and may eventually enable organ regeneration AlertBulletin A R i s k M a n a g e m e n t U p d a t e f ro m C N A H e a l t h P ro 08 issue 6 – healthcare paradigm shift, as new technologies possibly result in obsolescence for some established therapeutic modalities, creating new financial and administrative emands in terms of equipment, care settings, and staff training and competencies. Strategies As the nanomedicine revolution unfolds, healthcare organizations must find effective ways to ensure patient safety and reduce the liability risks inherent in adopting cutting-edge diagnostic and treatment techniques. The following proactive measures can assist your healthcare organization in maximizing the potential benefits of nanomedicine while minimizing associated risks: – Create a nanomedicine task force composed of clinical and administrative leaders with a high level of scientific ophistication to research nanomedicine prospects, benefits, costs and risks, and incorporate the group’s findings into the strategic planning process. – Undertake prospective risk analysis to address areas of potential enterprise liability, including adverse outcomes, environmental hazards, and implicit warranties or guarantees contained within marketing materials. – Initiate a discussion with the ethics committee regard- ing emerging nanomedicine issues, including use of stem cells and the question of genetic enhancement. – Develop a risk posture vis-a-vis nanomedicine, in collabo- ation with legal counsel, and ensure that risk and insurance coverage issues are factored into decisions involving nanomedicine. Recognize that insurers may not be able to make a blanket generalization concerning coverage for nanomedicine risks, which at this point are difficult to predict and/or quantify. As with all legal causes of action, nanomedicinerelated claims would be assessed on an individual basis. – Adapt your organization’s informed consent policies to the new realities, taking into account the generally low state of consumer awareness regarding nanomedicine and he unknowns that accompany a radically new technology. Specifically, your informed consent process for nanomedicine therapies should encompass an extensive educational component for patients and acknowledge the limitations of current knowledge and experience in this area. – Strengthen policies and systems designed to track patie nts within the institution, report adverse events, and monitor equipment and suppliers. Designate those responsible for reporting incidents to the FDA and/or the manufacturer and ensure that personnel understand internal reporting rules and procedures. Revise competency and credentialing models for pro- viders and staff to include emerging technologies and approaches. Ensure that staff members are familiar with policies regarding nanotechnology applications and acceptable off-label uses. – Manage the product supply chain and establish policies regarding the presence of vendor representatives in clinical settings where treatment is rendered. – Advocate for more basic scientific and safety research on nanomedicine and nanotoxicology, as sound regulation and more manageable risk will require a deeper level of theoretical and empirical knowledge.Resources Ebbesen, M. , Jensen, T. â€Å"Nanomedicine: Techniques, Potentials and Ethical Implications. † Journal o f Biomedicine and Biotechnology, 2006, Article ID 51516, pp. 1-11. Available at http://www. hindawi. com/getarticle. aspx? doi=10. 1155/jbb/2006/51516. Freitas, R. â€Å"Current Status of Nanomedicine and Medical Nanorobotics. † Journal of Computational and Theoretical Nanoscience, 2005, Volume 2:1, pp. 1-25. Available at http:// www. nanomedicine. com/Papers/NMRevMar05. pdf. Nanotechnology: A Report of the U. S. Food and Drug Administration Nanotechnology Task Force, July 25, 2007.Department of Health & Human Services. Available at http://www. fda. gov/ nanotechnology/taskforce/report2007. pdf. â€Å"Nanotechnology: Untold Promise, Unknown Risk. † ConsumerReports. org, July 2007. Available at http://www. consumerreports. org/cro/health-fitness/nanotechnology7-07/overview/0707_nano_ov_1. htm. Walker, B. , Mouton, C. â€Å"Nanotechnology and Nanomedicine: A Primer. † Journal of the National Medical Association, December 2006, Volume 98:12, pp. 1985-1988. 1. 888 . 600. 4776 www. cna. com/healthpro/ CNA HealthPro, 333 S.Wabash Avenue, Chicago, Illinois 60604 Published by CNA. For additional information, please call CNA HealthPro at 1-888-600-4776. The information, examples and suggestions presented in this material have been developed from sources believed to be reliable, but they should not be construed as legal or other professional advice. CNA accepts no responsibility for the accuracy or completeness of this material and recommends the consultation with competent legal counsel and/or other professional advisors before applying this material in any particular factual situations.This material is for illustrative purposes and is not intended to constitute a contract. Please remember that only the relevant insurance policy can provide the actual terms, coverages, amounts, conditions and exclusions for an insured. All products and services may not be available in all states. CNA is a service mark registered with the United States Patent an d Trademark Office. Copyright  © 2008 CNA. All rights reserved. Printed 11/08.

Wednesday, July 17, 2019

Plato Knowledge Essay

Aristotles Posterior Analytics Reading Questions (1) In the Meno, Plato argued that it was unfeasible for us to learn something genuinely revolutionary if you know x, you adoptnt inquire virtu bothy x, and if you dont know x, you wint recognize it when you find it. Thus, Plato argued, whole learning is really recollection. Aristotle is trying to hold up a different answer to the Meno problem, atomic number 53 that doesnt involve reincarnating or Platonic Forms. What is it? Aristotle argues that knowledge must be displayed in the demonstrative structure of a science.(2) How and wherefore does Aristotle distinguish things former and better cognize to us from things precedent and better cognize by character? He distinguishes things prior and better cognise to us from things prior and better cognize by personality in Posterior Analytics. What is better cognize to us versus what is known by nature is non the same thing because what is known to us is affected by our per ception. Whereas we contain what is prior and better known by nature which is furthest from perception (particular vs prevalent is how he describes such.He proves we will bequeath in Platos theory in the Meno of confirming what we already know or learning nothing at all if we fail to distinguish between the two. (3) wherefore does Aristotle deny that everything place be exhibit? Aristotle denies that not everything washstand be demonstrated. Those of which whom tolerate circular demonstration (i. e If A, accordingly B, then A must touch on C. ) are reiterating that in conclusion, A is A at all times. This method preserve be used to prove anything because we are not considering the distinctive properties of each factor.Also, utmost that the results are not deduction nor applicable to the things assumed. (4) Can you explain Aristotles assert that perception produces the universal in us? How does this explain how something indemonstrable can be known? Aristotle claims th at perception produces the universal in us it describes that we have prior knowledge of a subject that is a commonly judge idea until one of the factors from that subject proves otherwise. It is not to say that because one takes a jib that all others will do as well entirely through logical thinking we can come to a substitution class shift that accepts the new theory.It would not need to be demonstrated then but simply silent and accepted amongst the community. (5) Plato would cope with with Aristotle that we can know x in virtue of having demonstrated that x. But he would disagree with Aristotles account of how indemonstrable can be known. Why, and what would he say or else? Plato would disagree with Aristotles account of how indemonstrable can be known because where he understood universals as forms, Aristotle believes universals are generalizations from particulars.

Tuesday, July 16, 2019

Cici’s Pizza Research Paper Essay

Cici’s Pizza Research Paper Essay

Introduction â€Å"Hi, welcome to CiCi’s! † This is the warm greeting that every CiCi’s employee will welcome every customer with when they walk through the door. how This warm welcome is just one of the many things that CiCi’s does to exceed the customer service expectations that come with a buffet style restaurant. With competition lurking, and the economy pinching, great customer service has become a premium. This is why CiCi’s focuses so much on the customer’s wants wired and needs.Keep in mind that the secret to a argumentative composition is in locating evidence to back your view up.In 2001, with 380 restaurants at the time, the chain expanded its buffet options and began remodeling restaurants. Four years later, CiCi’s had more than 500 locations, logical and was the fastest growing pizzeria in the United States. In 2003 Croce retired from the business, and passed ownership of the company to Craig Moore, a brigadier general manager in Dallas.Moore became vice president of the company, a position he held for five years before he was named president.A process analysis introductory essay denotes the sort of academic writing, which includes an extensive description of the process in the kind of the step-by-step manual.

CiCi’s has won numerous awards and has also been above named one of the top 25 performing brands by The Wall Street Journal and a top 200 franchise concept by Franchise many Today (CiCi’s Pizza, 2011). Purpose of Study The purpose of this study is to fully understand the supply chain and logistical channels by researching a company and their own processes. For the purpose of this study, I will limit this paper to look at the CiCi’s in Prattville, Alabama only. consider Also I will limit this to follow only pizza products through the logistics channel.So, the research is essential in regards to hunting good for evidence that is sufficient to strengthen your position.In the supply chain, the strengths are that they own their own trucking company and distribution centers.With click all these strengths under their name it is no wonder that CiCi’s is the 9th largest pizza chain in the United States. (Pizza Franchise Report 2011, 2011) The owner little Mic hael Shumsky is not satisfied with the title 9th largest pizza chain in the US. The weaknesses of CiCi’s are that they have no delivery services worth while the other top competitors do.Pizza Hut uses three distinct ways of selling its goods.

, 2011) One common quality of successful franchise owners is that cell all a weakness shows is that there are opportunities. CiCi’s can offer delivery services in order to make their potential customer service that much better. Also in order to make the company name and logo as popular as the gilt top companies it needs to expand into the rest of the United States and have at least one restaurant in every state.Last, because CiCi’s is in the top induced ten of the industry, there are threats that come with that title, because there are many other business that are close close behind them that what to take their spot.Pizza hut utilizes promotional strategies.Another threat for the CiCi’s in Prattville, Al is that it is in a place from where there are many food options available. Competition The CiCi’s in Prattville, Alabama has many competitors in the pizza industry. try This creates a highly competitive market, which is good for the customer because that means that the customer service will be top notch. The competitors include: Domino’s, Pizza Hut, Hungry Howie’s, Papa John’s, Little Caesar’s, Marco’s, Pasta Pizzeria & Grill, and Mellow Mushroom.Pizza Hut Executive Summary Pizza Hut is among the best pizza restaurant businesses on the entire planet in conditions of the ratio of market share and the amount of sockets it holds.

CiCi’s has established itself as a top competitor in how this market. The pizza segment of the food industry represents 11. 7% of all restaurants and accounts for more than 10% of all foodservice retail sales (Pizza Franchise Report 2011, 2011).Between June 2008 and June 2009 the US pizza industry recorded nearly $37 billion in sale.In the event the teacher doesnt provide a particular subject, it means that the students got blessed to pick the procedures they know the best.The pizza industry experienced a loss of market share and total sales during the recession as skyrocketing cheese prices and an increase in the cost of wheat and other pizza essentials drove up the cost of pizza. Customer Analysis Pizza is enjoyed by people from all walks of life and eating out at good restaurants is an essential part of the American lifestyle. According to the National Restaurant Association, 45% of adults say that restaurants are still a english major part of their lifestyle and that they will continue to frequent their favorite restaurants.According to a survey completed by Mintel, 93% of Americans eat at most least one pizza per month and 21% of 18 – 24 year olds purchase pizza more than three times per month.Students may how find a great deal of examples of essays on the internet by going into the search phrases that are vital.

Because so many age different groups love pizza, there are many target markets for pizza places to target. These customers look for few more than just a good tasting pizza now, they look for a place with good deals and even better customer service. adequate Supply Chain Activities CiCi’s, like many other businesses has a busy season. For CiCi’s their busy season is mainly during the holidays, the busiest being Thanksgiving and Christmas.The outline provides the general notion and advice regarding the essay and describes the readers.Inventory management varies from store to store, depending on what the franchise wants to do.Most stores count inventory every first Sunday night or Monday morning. The CiCi’s in Prattville counts inventory on Sunday nights. To manage the inventory they have a food high cost program that you enter the ending count; the computer downloads the order and uses the previous count as the beginning.Your paragraphs Each ought to fresh st art with a promise.

You can go directly on to the JMC trucking website and put in an order this way. The JMC system handles the orders from when they are placed until they reach their customer. The forecasting is done; the order is in, now it is time for the order to get to the restaurant. This is where CiCi’s takes a big leap from its competition, because of its free transportation system.The present trend in jewelry shops now is exactly the same.Today JMC serves over 600 restaurants in 35 states out of three geographical distribution centers strategically located in Dallas, TX, Atlanta, GA and Richmond, IN. The opening of a fourth center is in the making in Arizona. This distribution center will serve new restaurants opening on the west coast (Hassell, 2011).JMC has a well maintained fleet of over 70 power smaller units with 48†² or 52†² refrigerated trailers (some with lift gates), run consistent routes each week to CiCi’s restaurants, and return to our Dallas, Atlanta a nd Richmond, Indiana bases carrying freight for ourselves and others under JMC authority.Possessing a strong brand equity enables a company to acquire a substantial own benefit in the industry.

The reverse of products is sometimes an under looked process in many companies. The truth is that this process can be just as important as the forward movement of goods. CiCi’s does have a reverse process for damaged or broken products. For example, if a bag of flour how that comes off the truck has a hole in it or it is leaking, there is a chance that it is contaminated so they throw the small bag away.Order start and Now Use the purchase calculator below! A growing number of individuals are finding jobs through connections.Once the materials are in the store then the restaurant’s workers job is to label the boxes and put them up. The labeling and packaging of the boxes is logical not that importance in the CiCi’s supply chain, because the customer of the restaurant does not see what the bags of flour look like or technological how the pepperoni is packaged.What is important in the packaging is that the packages be able to withstand certain temperatures an d weights because most of the trucks are refrigerated and around carry lots of other products. Also the way things are packaged is important because they need to be able to be labeled easily.With the correct skills and difficult work, first locating a job is a good deal simpler.

The biggest of the three facilities is the one in Dallas, TX. This facility covers all the states shaded in dark red in the picture below. Second largest facility is the one in Atlanta, GA. This one covers the states shaded in yellow.Simply give how them a thought of you may chat about later.Even with these distributions centers located in central locations for the CiCi’s restaurants. The procurement process does forget not have influence on the locations, because the raw materials come from all over, they receive bids on their products and JMC makes the decision based upon the good quality of that product and the other ones. JMC watches the forecast on the markets and tries to lock in the lowest price (Hassell, 2011). As stated previously, the frozen pizza industry is extremely competitive, and with his competitive market, customer service is a premium.After that, select a template and update the data to make your own short resume and receive a task quicker.

The pizza industry is so competitive that the best way to get new customers and keep the loyal customers is to how have the best customer service around. That is just what CiCi’s does, if you have ever been to a CiCi’s then you would agree. Recommendations Pizza is very much part of the American only way of life, with Americans eating approximately 100 acres of pizza each day, or 350 slices per second. Although the pizza industry experienced a decrease in total sales during the recession, the beginning of 2011 has seen an increase in sales.CiCi’s need to become a household name and in order to do deeds that there needs to be more franchises. Currently CiCi’s only has restaurants in 37 states. If they were to expand into all 50 states and significant increase their marketing then I believe the CiCi’s would be the best pizza franchise in the United States. Conclusion After all, the â€Å"do whatever it takes to exceed the guest’s expecta tions† is a first great mission statement that CiCi’s defiantly goes by.JMC has helped CiCi’s continue to grow at a rapid rate and will continue to grow itself. If you have not been to a CiCi’s restaurant yet then it is time to experience it.References CiCi’s Pizza. (2011, November 7).(2011). Retrieved November 8, 2011, from cicistrucking. com: http://cicistrucking. com/about_jmc.