Wednesday, October 30, 2019

Choose Topic relevant to Human Services Research Paper

Choose Topic relevant to Human Services - Research Paper Example e implementation of the deliberations and assessing whether the proposed ideas and services are likely to be effective once they have been implemented. The main concerns that seemingly plagued the society were the inability to conduct early and timely/ helpful identification of symptoms, lack of knowledge on the activities that can help alleviate the onset of the disease in the sunset years of life, and care of the affected persons. The community felt ill equipped and prepared to handle the disease to the best of their abilities as they have been often left frustrated and fatigued in the process. It was clear that there was need to educate the society on the disease, how to avoid it, detect it early enough for swift interventions and how to care for the patients (whether at home or have the sick institutionalized). In addition, it was deemed important to introduce a scheme where families coping with the illness receive financial contributions from other households so that they can sufficiently manage the condition in terms of health care for the loved one and additional counseling sessions and therapy for the remainder of the famil y. Also, since the only known medical institution that is known to specialize on the condition was a distant away, it was observed as a necessity to have a local institution built that aids the community and its members in matters pertaining to the Alzheimer’s syndrome. The first part of tackling the problem is to involve the entire community in providing support to the families that have a patient living amongst them. This was to be in the form of moral support and visits where members are encouraged to be there for the affected families in times of their need such as in the evenings and also through financial support so that the families still had enough capital to look after the patient while still attending school and so on. Seeing members of the community more often can also aid the patient’s recovery and enhance memory and

Sunday, October 27, 2019

Psychosocial Resources in a Therapeutic Relationship

Psychosocial Resources in a Therapeutic Relationship This essay considers the psychosocial resources implicated in a successful therapeutic relationship. Several fundamental theses seem to emerge from a review of the literature. Firstly, there is an abundance of relevant psychosocial factors, and these seem to vary across different settings. Secondly, factors such as empathy, trust, and warmth, seem crucial in most scenarios. Thirdly, the assumptions and beliefs of both therapists and patients regarding the therapeutic alliance need to be identified, and if necessary remedied, to achieve a successful interaction. The terms ‘patient’ and ‘therapist’ may denote slightly different things, depending on whether the scenario is medical (Douglass et al, 2003) or psychological (or psychiatric) (Johansson Elkund, 2004; Haarhoff, 2006). Psychosocial resources may play a much more important role where the therapy is psychological (e.g. psychoanalysis) and the therapist a psychologist or professional which similar training (e.g. social worker, counsellor). Peplau’s theory of the nurse-patient relationship provides a useful basis for conceptualising the role of psychosocial resources in successful therapeutic relationships (Peplau, 1965, 1974a, 1974b; Douglass et al, 2003). Although Peplau focused primarily on nursing care, her model seems applicable to most therapist/carer-patient scenarios. According to Peplau a favourable therapeutic relationship is essential for successful treatment outcomes. She identifies several psychosocial variables that are pertinent. These incl ude trust, interpersonal skills, effective communication, and anxiety. Crucially, these processes work gradually rather than abruptly as the patient and therapist develop a rapport, but what about empirical research? Studies suggest that basic psychosocial resources such as warmth, empathy, trust, and good communication, are integral to a successful therapeutic relationship (Lambert Barley, 2001). Hewitt and Coffey (2005) carried out a review of the relevant literature that highlighted several themes. Firstly, there is a plethora of psychological variables that seem essential to a successful therapeutic relationship. These include having a carer or patient that exudes trust, respect, sensitivity, warmth, is approachable and likeable, and has a sense of fair-play. It is important for the carer to show empathy, listen, tell the truth, share personal information, be supportive, explain professional jargon concerning treatment and value the patient, for example by involving them in decision-making (Barker et al, 1999). These psychosocial resources can be negated if the carer has a negative attitude towards the patient. This is particularly the case with mental health patients, for example those who commit deliberate self-harm. If a therapist believes that a patient is too disturbed or ill to participate in/contribute to his or her own treatment then the therapeutic relationship is bound to suffer (Repper, 2002). Above all, the personal qualities (i.e. personality characteristics) of the practitioner are paramount. Patients need to view the therapist as trustworthy, able to identify deeply with their problem, and keen to engage in conversation at a deep emotional level (Paulson et al, 1999; Gamble, 2002). Psychosocial factors are especially pertinent in psychotherapies, especially cognitive therapy. A successful therapeutic relationship is heavily influenced by what is referred to as a â€Å"therapeutic belief system† (Beck Beck, 1995; Rudd Joiner, 1997; Leah, 2001; Haarhoff, 2006). Both patient and therapist may have particular beliefs or assumptions about the course of treatment, themselves, and each other, which may trigger different emotional and behavioural responses. Consider for example a patient who perceives his therapist as impatient and overbearing. This negative thought may generate unfavourable emotions such as dislike and resentment. The patient may also become unnecessarily reluctant to follow psychological advice. The possibility of premature termination of treatment is increased, with detrimental consequences for the patients’ psychological health. Similarly, a therapist who views a patient as lazy and dishonest, may dislike the individual as a result, and be less enthusiastic in administering therapy. Haarhoff (2006) recently conducted a study that demonstrated the intricacies of such beliefs, and the potential impact they may have on the therapeutic relationship. Therapists enrolled in a cognitive behaviour therapy program were administered a ‘Therapist’s Schema Questionnaire’, which measures fourteen typical mindsets therapists may hold about therapy, themselves, or their patients, including ‘demanding standards’, ‘special superior person’, ‘excessive self-sacrifice’, ‘rejection sensitive’, ‘abandonment’, ‘autonomy’, ‘control judgement’, ‘need for approval’, ‘need to like others’, and ‘emotional inhibition’. Participants were required to indicate the extent to which specific assumptions within each domain applied to them. The most commonly identified assumptions were ‘demanding standards’, ‘special superior perso n’, and ‘excessive self-sacrifice’. The first item denotes a view that there is a correct way of doing things. This may be triggered by a patients’ slow progress, or non-compliance. The therapist may regard the patient negatively (e.g. lazy, irresponsible), believe that treatment should ‘work’, if only it were properly assimilated by the patient, and hence become overly demanding and controlling. The ‘special superior person’ mindset sees therapy as an opportunity to demonstrate ones excellence. The therapist feels special, unique, and superior to the patient. The result is a tendency to become overly close and idealise a patient who is improving, or distance oneself from patients who make little or no progress. ‘Self-sacrifice’ assumptions place too much emphasis on the patient-therapist relationship, leaving the practitioner perceiving the patient as needy and vulnerable, and bending over backwards to meet patient demands. Treatment boundaries aren’t set, or if the y are, aren’t adhered to, resulting in prolonged treatment session, lack of structure, and other laxities. Overall, Haarhoffs (2006) study illuminates important psychological processes that may enhance or taint relations. Crucially, therapists may be unaware of their beliefs or assumptions, let alone how these may affect relations with their patients. Patients perceptions matter a great deal. Since it is the patients’ (rather than the therapists) recovery that is the primary treatment objective, the success or failure of a therapeutic relationship is heavily dependent on the patients’ own appraisals of the interaction. This view is consistent with existential (Cooper, 1999) and phenomenological (Dermot, 2000) philosophies, which define reality as viewed by an individual rather than observers or objective inquiry. Like therapists, patients retain beliefs and assumptions about the therapeutic relationship, with potential implications for treatment outcomes. This is supported by some empirical evidence. Johansson and Eklund (2004) conducted a study to assess how psychiatric patients in an in-patient ward appraise the therapeutic relationship, and other related clinical characteristics (e.g. perceived ward atmosphere). Patients suffered from a range of mental health problems including behavioural disorders, schizophrenia , affective disorders, mental retardation, and neurotic, stress-related and psychosomatic problems. They received supportive therapy, social skills training and other interventions. All participants completed one questionnaire assessing the strength of patient-therapist relationship (Luborsky et al, 1996) and another assessing their perceptions of therapeutic relationships, specifically ‘involvement’, ‘support’, and spontaneity (Moos, 1974). Data analysis revealed that perceived support and spontaneity were strongly correlated with the strength of therapeutic relations: the greater the level of support and spontaneity perceived the more successful the patient-therapist alliance. Clearly, this study demonstrates the importance of psychosocial factors, as perceived by the patient. Unfortunately, the correlational design precludes any inferences about causality. Thus, while it seems commonsensical that perceived support may strengthen relations with a therapis t, a successful therapeutic relationship may also engender greater levels of support (e.g. a therapist may be more supportive of a patient if he/she gets on well with the individual). Treatment models such as Peplau’s theory (1965, 1974a) conceptualise psychosocial variables as precursors and hence determinants of a successful therapeutic relationship. So, for example, trust and empathy purportedly lead to a favourable rapport between patient and practitioner. Unfortunately, a paucity of randomised controlled trials negates any conclusive inferences about direction of causality. It is entirely plausible that an initially favourable interaction between a patient and carer improves the patients psychosocial functioning, which in turn further enhances the therapeutic relationship, and crucially improves treatment outcomes. Simpson and Joe (2004) conducted a comprehensive longitudinal study in which the quality of therapeutic relationships at one point in time was used to predict psychosocial functioning and treatment outcomes after one month, as well as treatment retention after a year. The setting for this study was a community based outpatient methadone trea tment program in two urban areas. Participants were users of opiates/cocaine admitted to the program, and subjected to various treatments and follow-up assessments. The favourableness of the therapeutic relationship between counsellor and patient was assessed using a scale that gauged six perceptions counsellors may have about their patients: â€Å"easy to talk to†, â€Å"warmth and caring†, â€Å"honest and sincere†, â€Å"understanding†, â€Å"not suspicious†, and â€Å"not in denial about problems†. Favourable psychosocial functioning was conceptualised as high self-esteem, social conformity and decision making, and low depression, anxiety, and risk-taking. Analysis revealed that a favourable therapeutic relationship predicted positive psychosocial functioning and improved treatment outcomes (no drug use) after four weeks. All in all it is essential for practitioners to identify the system or beliefs and assumptions they have about their patients (Rudd Joiner, 1997). This can be achieved through self-administered questionnaires, such as the ‘personal belief questionnaire’ (Beck Beck, 1995; Leahy, 2001). Hewitt and Coffey (2005) highlight the importance of equipping therapists with the necessary skills to develop successful therapeutic relationships. But perhaps it is Haarhoff (2006) who offers recommendations specifically relevant to psychosocial factors. She highlights the importance of practitioners not blaming patients, loosing interest, getting bored, making too many demands, or being overly structured in the approach. Instead, therapists must try to develop more empathy, identify/challenge assumptions about treatment, themselves, and the patient, and allow patients take the lead in making decisions. References Barker, P., Jackson, S. Stevenson, C. (1999) What are psychiatric nurses needed for? Developing a theory of essential nursing practice. Journal of Psychiatric   Mental Health Nursing, 6, pp.273-282. Beck, A. Beck, J. (1991) The Personality Belief Questionnaire. Bala Cynwyd, PA:  Beck Institute for Cognitive Therapy and Research. Cooper, D. E. (1999). Existentialism: A Reconstruction, 2nd ed., Oxford, UK:  Blackwell. Dermot, M. (2000) Introduction to Phenomenology. Oxford: Routledge. Douglass, J.J., Sowell, R.L. Phillips, K.D. (2003) Using Peplau’s theory to examine  the psychosocial factors associated with HIV-infected women’s difficulty in  taking their medications. The Journal of Theory Construction and Testing, 7,  pp.10-17. Gamble, C. (2000) Using a low expressed emotion approach to develop therapeutic  alliances. In Working with Serious Mental Illness: A Manual for Clinical  Practice (Gamble C. Brennan G., eds), Balliere Tindall, London, pp.115-  123. Haarhoff, B. A. (2006) The importance of identifying and understanding therapist  schema in cognitive therapy training and supervision. New Zealand Journal of  Psychology, 35, pp.126-131. Hewitt, J. Coffey, M. (2005) Therapeutic working relationships with people with  schizophrenia: literature review. Journal of Advanced Nursing, 52, pp.561-570. Johansson, H. Eklund, M. (2004) Helping alliance and ward atmosphere in  psychiatric in-patient care. Psychology Psychotherapy: Theory, Research,   Practice, 77, pp.511-523. Lambert, M.J. Barley, D.E. (2001) Research summary on the therapeutic  relationship and psychotherapy outcome. Psychotherapy: Theory/ Research/Practice/ Training. 38, pp.357-361. Leahy, R.L. (2001) Overcoming resistance in Cognitive therapy. New York: The  Guildford Press. Luborsky, L., Barber, J.P., Siqueland, L., Johnson, S., Najavits, L.M., Frank, A. Daley, D. (1996). The revised Helping Alliance questionnaire (HAq-II): Psychometric properties. Journal of Psychotherapy, Practice and  Research, 5, pp.260-271. Moos, R.H. (1974) Community-oriented Programs Environment Scale. Palo Alto, CA:  Consulting Psychologists Press. Paulson, B.L., Truscott, , D. Stuart, J. (1999) Client’s perceptions of helpful  experiences in counselling. Journal of Counseling Psychology, 46, pp.317-324. Peplau. H.E. (1965) The heart of nursing: Interpersonal relations. Canadian Nurse 61,  p.273. Peplau, H.E. (1974a) Concept of Psychotherapy. San Antonio. Texas: RES.  Productions. Peplau. H. E. (1974a) Criteria for a Working Relationship. San Antonio, Texas: RES.  Productions. Pinikahana, J., Happell, B., Taylor, M. Keks, N.A. (2002) Exploring the  complexity of compliance in schizophrenia. Issues in Mental Health Nursing,  23, pp.513-528. Repper, J. (2002) The helping relationship. In Psychosocial interventions for People  with Schizophrenia (Harris N., Williams, S. Bradshaw, T., eds), Palgrave,  Hampshire, pp.39-52. Rudd, M. Joiner, T. (1997) Counter-transference and the therapeutic relationship: A  cognitive perspective. Journal of Cognitive Psychotherapy: An International  Quarterly, 11, pp.231-249.   Simpson, D.D. Joe, G.W. (2004) A longitudinal evaluation of treatment  engagement and recovery stages. Journal of Substance Abuse and Treatment,  27, pp.89-97.

Friday, October 25, 2019

International Business Essay -- International Business Management

International Business Question No 1: Describe the four basic levels of international business activity.Do you think any organization will achieve the fourth level?Why or why not. Question No 2: For each of the four globalization strategies, describe the risks associated with that strategy and the potential returns from that strategy. __________________________________ Answer for question No 1: The four general levels of international buisness activity are: 1.  Ã‚  Ã‚  Ã‚  Ã‚  Domestic business 2.  Ã‚  Ã‚  Ã‚  Ã‚  International business 3.  Ã‚  Ã‚  Ã‚  Ã‚  Multinational business 4.  Ã‚  Ã‚  Ã‚  Ã‚  Global business. Domestic Business: Is the one that acquires all of its resources and sells all of its products ot services within a single country.(8/143) Interational business: Is the one that is based primarily in a single country but acquires some meaningful share of its resources or revenues (ot both) from othe countries. (8/143) Multinational business: The one that has a worldwide marketplace from which it buys raw mateials, borrows money, and manufactures its products and to which it subsequently sells its prducts.(8/143) Global business: Is the business that transcends national boundaries and is not committed to a single home country.(8/143) In my opinion there is no opportunity for a business to achieve this level of Iinternationalization.The reason is that all business in all over the world are controled by the government which are committed.There is no way for a business ...

Thursday, October 24, 2019

Coffee Shop Essay

â€Å"Closing Time† has the meaning set out in section 1. 3; â€Å"Contract† means a formal written contract between the City and a Preferred Proponent to undertake the Services, the preferred form of which is attached as Schedule B; â€Å"Evaluation Team† means the team appointed by the City; â€Å"Information Meeting† has the meaning set out in section 1. 4; â€Å"Preferred Proponent(s)† means the Proponent(s) selected by the Evaluation Team to enter into negotiations for a Contract; â€Å"Proponent† means an entity that submits a Proposal; â€Å"Proposal† means a proposal submitted in response to this RFP; â€Å"RFP† means this Request for Proposals; â€Å"Services† has the meaning set out in Schedule A; â€Å"Site† means the place or places where the Services are to be performed; and â€Å"Statement of Departures† means Schedule C-1 to the form of Proposal attached as Schedule C. Instructions To Proponents 2 Closing Time and Address for Proposal Delivery Proposals must be received by the office of the: Kam Grewal, BBA, CMA Acting Purchasing & AP Manager Address:6645 – 148 Street Surrey, BC V3S 3C7 on or before the following date and time (the â€Å"Closing Time†): Time: 3:00 pm local time Date: Monday, July 5, 2010. Submissions by fax [or email] will not be accepted. There will be no extension to the Closing Time for the submission of proposals. 3 Information Meeting An information meeting may be hosted by the City Representative to discuss the City’s requirements under this RFP (the â€Å"Information Meeting†). While attendance is at the discretion of Proponents, Proponents who do not attend will be deemed to have attended the Information Meeting and to have received all of the information given at the Information Meeting. At the time of issuance of this RFP a meeting has not been scheduled. 4 Number of Copies. Proponents should submit the original plus 5 hard copies (6 in total) of their Proposals. 5 Late Proposals Proposals received after the Closing Time will not be accepted or considered. Delays caused by any delivery, courier or mail service(s) will not be grounds for an extension of the Closing Time. 7 Amendments to Proposals Proposals may be revised by written amendment, delivered to the location set out above, at any time before the Closing Time but not after. An amendment must be signed by an authorized signatory of the Proponent in the same manner as provided by section 2. 3. Fax amendments are permitted, but such fax may show only the change to the proposal price(s) and in no event disclose the actual proposal price(s). A Proponent bears all risk that the City’s fax equipment functions properly so as to facilitate timely delivery of any fax amendment. 8 Inquiries All inquiries related to this RFP should be directed in writing to the person named below (the â€Å"City Representative†). Information obtained from any person or source other than the City Representative may not be relied upon. Kam Grewal, BBA, CMA Acting Purchasing & AP Manager. Address:City of Surrey – Purchasing 6645 – 148 Street Surrey, BC V3S 3C7 Phone: 604-590-7274 Fax:604-599-0956 Email:purchasing@surrey. ca Inquiries should be made no later than 7 days before Closing Time. The City reserves the right not to respond to inquiries made within 7 days of the Closing Time. Inquiries and responses will be recorded and may be distributed to all Proponents at the discretion of the City. Proponents finding discrepancies or omissions in the Contract or RFP, or having doubts as to the meaning or intent of any provision, should immediately notify the City Representative. If the City determines that an amendment is required to this RFP, the City Representative will issue an addendum in accordance with section 1. 9. No oral conversation will affect or modify the terms of this RFP or may be relied upon by any Proponent. 9 Addenda If the City determines that an amendment is required to this RFP, the City will post a written addendum on the City website at www. surrey. ca (the â€Å"City Website†) and upon posting will be deemed to form part of this RFP. Upon submitting a Proposal, Proponents will be deemed to have received notice of all addenda that are posted on the City Website. 10 Examination of Contract Documents and Site Proponents will be deemed to have carefully examined the RFP, including all attached Schedules, the Contract and the Site (as applicable) prior to preparing and submitting a Proposal with respect to any and all facts which may influence a Proposal. 11 Opening of Proposals The City intends to open Proposals in private but reserves the right to open Proposals in public at its sole discretion. 12 Status Inquiries All inquiries related to the status of this RFP, including whether or not a Contract has been awarded, should be directed to the City Website and not to the City Representative. Proposal Submission FORM AND contents 2 Package Proposals should be in a sealed package, marked on the outside with the Proponent’s name, title of the Project and reference number. 3 Form of Proposal Proponents should complete the form of Proposal attached as Schedule C, including Schedules C-1 to C-4. Proponents are encouraged to respond to the items listed in Schedules C-1 to C-4 in the order listed. Proponents are encouraged to use the forms provided and attach additional pages as necessary. 4 Signature. The legal name of the person or firm submitting the Proposal should be inserted in Schedule C. The Proposal should be signed by a person authorized to sign on behalf of the Proponent. 1 If the Proponent is a corporation then the full name of the corporation should be included, together with the names of authorized signatories. The Proposal should be executed by all of the authorized signatories or by one or more of them provided that a copy of the corporate resolution authorizing those persons to execute the Proposal on behalf of the corporation is submitted. 2 If the Proponent is a partnership or joint venture then the name of the partnership or joint venture and the name of each partner or joint venturer should be included, and each partner or joint venturer should sign personally (or, if one or more person(s) have signing authority for the partnership or joint venture, the partnership or joint venture should provide evidence to the satisfaction of the City that the person(s) signing have signing authority for the partnership or joint venture). If a partner or joint venturer is a corporation then such corporation should sign as indicated in subsection (a) above. 3 If the Proponent is an individual, including a sole proprietorship, the name of the individual should be included. evaluation and Selection 2 Evaluation Team The evaluation of Proposals will be undertaken on behalf of the City by the Evaluation Team. The Evaluation Team may consult with others including City staff members, third party consultants and references, as the Evaluation Team may in its discretion decide is required. The Evaluation Team will give a written recommendation for the selection of a Preferred Proponent or Preferred Proponents to the City. 3 Evaluation Criteria The Evaluation Team will compare and evaluate all Proposals to determine the Proponent’s strength and ability to provide the Services in order to determine the Proposal which is most advantageous to the City, using the following criteria: 1 Experience, Reputation and Resources The Evaluation Team will consider the Proponent’s responses to items in C-2 of Schedule  C including supplementary information. 3 Technical The Evaluation Team will consider the Proponent’s responses to items (i) to (vii) in C-3 of Schedule  C. 5 Financial The Evaluation Team will consider the Proponent’s response to C-4 of Schedule  C. (d)Statement of Departures The Evaluation Team will consider the Proponent’s response to C-1 of Schedule  C. The Evaluation Team will not be limited to the criteria referred to above, and the Evaluation Team may consider other criteria that the team identifies as relevant during the evaluation process. The Evaluation Team may apply the evaluation criteria on a comparative basis, evaluating the Proposals by comparing one Proponent’s Proposal to another Proponent’s Proposal. All criteria considered will be applied evenly and fairly to all Proposals. 4 Discrepancies in Proponent’s Financial Proposal If there are any obvious discrepancies, errors or omissions in C-4 of a Proposal (Proponent’s Financial Proposal), then the City shall be entitled to make obvious corrections, but only if, and to the extent, the corrections are apparent from the Proposal as submitted, and in particular: (a)if there is a discrepancy between a unit price and the extended total, then the unit prices shall be deemed to be correct, and corresponding corrections will be made to the extended totals; (b)if a unit price has been given but the corresponding extended total has been omitted, then the extended total will be calculated from the unit price and the estimated quantity; (c)if an extended total has been given but the corresponding unit price has been omitted, then the unit price will be calculated from the extended total and the estimated quantity. 6 Litigation In addition to any other provision of this RFP, the City may, in its absolute discretion, reject a Proposal if the Proponent, or any officer or director of the Proponent submitting the Proposal, is or has been engaged directly or indirectly in a legal action against the City, its elected or appointed officers, representatives or employees in relation to any matter. In determining whether or not to reject a Proposal under this section, the City will consider whether the litigation is likely to affect the Proponent’s ability to work with the City, its consultants and representatives and whether the City’s experience with the Proponent indicates that there is a risk the City will incur increased staff and legal costs in the administration of the Contract if it is awarded to the Proponent. 8 Additional Information. The Evaluation Team may, at its discretion, request clarifications or additional information from a Proponent with respect to any Proposal, and the Evaluation Team may make such requests only to selected Proponents. The Evaluation Team may consider such clarifications or additional information in evaluating a Proposal. 10 Interviews The Evaluation Team may, at its discretion, may invite some or all of the Proponents to appear before the Evaluation Team to provide clarifications of their Proposals. In such event, the Evaluation Team will be entitled to consider the answers received in evaluating Proposals. 12 Multiple Preferred Proponents and Changes to the Proponent Team The City reserves the right and discretion to divide up the Services, either by scope, geographic area, or other basis as the City may decide, and to select one or more Preferred Proponents to enter into discussions with the City for one or more Contracts to perform a portion or portions of the Services. If the City exercises its discretion to divide up the Services, the City will do so reasonably having regard for the RFP and the basis of Proposals. Likewise, the City reserves the right to ask for changes in the member/s comprising the Proponent Team as it deems beneficial to the overall composition of the Team and without any obligation to justify its preference. In addition to any other provision of this RFP, Proposals may be evaluated on the basis of advantages and disadvantages to the City that might result or be achieved from the City dividing up the Services and entering into one or more Contracts with one or more Proponents. NOT APPLICABLE 14 Negotiation of Contract and Award If the City selects a Preferred Proponent, then it may: (a)enter into a Contract with the Preferred Proponent; or (b)enter into discussions with the Preferred Proponent to clarify any outstanding issues and attempt to finalize the terms of the Contract, including financial terms. If discussions are successful, the City and the Preferred Proponent will finalize the Contract; or. (c)if at any time the City reasonably forms the opinion that a mutually acceptable agreement is not likely to be reached within a reasonable time, give the Preferred Proponent written notice to terminate discussions, in which event the City may then either open discussions with another Proponent or terminate this RFP and retain or obtain the Services in some other manner. General Conditions 2 No City Obligation. This RFP is not a tender and does not commit the City in any way to select a Preferred Proponent, or to proceed to negotiations for a Contract, or to award any Contract, and the City reserves the complete right to at any time reject all Proposals, and to terminate this RFP process. 4 Proponent’s Expenses Proponents are solely responsible for their own expenses in preparing, and submitting Proposals, and for any meetings, negotiations or discussions with the City or its representatives and consultants, relating to or arising from this RFP. The City and its representatives, agents, consultants and advisors will not be liable to any Proponent for any claims, whether for costs, expenses, losses or damages, or loss of anticipated profits, or for any other matter whatsoever, incurred by the Proponent in preparing and submitting a Proposal, or participating in negotiations for a Contract, or other activity related to or arising out of this RFP. 6 No Contract By submitting a Proposal and participating in the process as outlined in this RFP, Proponents expressly agree that no contract of any kind is formed under, or arises from, this RFP, prior to the signing of a formal written Contract. 7 Conflict of Interest A Proponent shall disclose in its Proposal any actual or potential conflicts of interest and existing business relationships it may have with the City, its elected or appointed officials or employees. The City may rely on such disclosure. 8 Solicitation of Council Members and City Staff. Proponents and their agents will not contact any member of the City Council or City staff with respect to this RFP, other than the City Representative named in section  1. 8, at any time prior to the award of a contract or the termination of this RFP. 10 Confidentiality All submissions become the property of the City and will not be returned to the Proponent. All submissions will be held in confidence by the City unless otherwise required by law. Proponents should be aware the City is a â€Å"public body† defined by and subject to the Freedom of Information and Protection of Privacy Act of British Columbia. Schedule A. SERVICES 1. GENERAL This RFP is inviting potential Proponents to submit Proposals to act as the tenant and sole vendor for a proposed coffee shop (the â€Å"Coffee Shop†) at the Surrey City Centre Library (the â€Å"Library†), currently being constructed at 10350 University Drive, Surrey, BC. The successful Proponent will be responsible for the managing and daily service of the Coffee Shop located on the ground floor of the Library. There will be an opportunity for the successful Proponent to provide catering for meetings and other similar functions, although it is not mandatory for the client to use the Coffee Shop for catering. 2. BACKGROUND As part of the Surrey City Centre plan review and update, the Surrey City Council has approved the construction of a new 5-level library. While the project is currently in the design phase, construction has commenced due to the fast track nature of the project. Currently excavation is complete on the basement and the ground floor slab and reinforcement is being set. It will be poured by Friday June 18, 2010. The Library is conveniently located near bus loops, transit and SkyTrain. The Library will eventually become part of a plaza where community celebrations will take place. Once completed it will be Surrey’s largest library at 75,000 square feet. The City’s new Library will be a unique state of the art environmentally friendly landmark that provides access to the broadest range of information, learning opportunities, and diverse cultural experiences. The new Library will be: The centrepiece for Surrey’s City Centre; adorned in architectural excellence for the 21st century, the library will contribute to the vitality of the city and put Surrey in a class with other great cities. A foundation for the City’s future success by boosting economic and cultural activity and attracting visitors from all parts of the country. A source of pride and a great public space, where the community gathers to celebrate, reflect, connect and share information, knowledge and culture. 3. PROJECT GOAL The goal of this project is to identify a coffee and related food services operator for the Library. 4. THE COFFEE SHOP An exciting opportunity exists on the ground floor to operate a commercial Coffee Shop. The Coffee Shop is located in a high traffic area, between the two main entrances, elevators and new book display. The licence awarded to the successful Proponent would also include a seating area where customers can sit. The consumption of food within the Library itself is allowed. There are several meeting rooms and a large room which can host community events, along with teen areas, study areas, children’s areas and much more. It is also expected that the Library will be utilised by SFU students on a constant basis. 5. LIBRARY HOURS Library opening hours are: Monday to Friday9:30am – 9:00pm Saturday10:00am – 5:00pm Sunday 1:00pm – 5:00pm 6. 2009 PEDESTRIAN TRAFFIC The following figures represent the estimated visits at all the public library branches for 2009. |BRANCH |VISITORS | |Cloverdale | 163,605 | |Fleetwood | 262,717 | |Guildford | 582,361 | |Newton | 357,045 | |Ocean Park | 193,167 | |Port Kells | 7,410 | |Semiahmoo | 305,162 | |Strawberry Hill | 357,166 | |Whalley | 276,406 | It is estimated that traffic for the Library will mirror that of the Whalley branch, and is expected to increase due to the development taking place in the area. 7. EXPECTATIONS OF THE SUCCESSFUL PROPONENT The City would require the successful Proponent to offer a variety of food and beverage choices that include healthy and nutritious options for all customers, many of whom are school-aged children. The Surrey Public Library Board has approved the policy (policy 3. 8 Healthy Food Options) that the Library provides a healthy food option for programs, special events and contests. No alcohol is to be allowed. There is to be no food smell generation if preparation is required and there is to be no electric grinding (e. g. coffee beans) on the Coffee Shop floor due to noise levels. All grinding can be done in the storage room, manually or prior to Library opening hours. Loading of stock for the Coffee Shop can be done via the west entrance of the ground floor or via the elevators from the underground parkade. Persons meeting in the conference rooms are permitted to cater from external companies although there is the opportunity for the successful Proponent to cater these functions if prior arrangements are made between the two parties. The opening date for the Coffee Shop is yet to be determined, however, it is expected to be up and running by early Summer of 2011. The Coffee Shop is expected to be operational during Library opening hours. Opening times for the Coffee Shop are to be from the Library’s opening time to half an hour prior to the Library’s closing. The successful Proponent would be able to enter the building half an hour prior to the Library’s opening time. The successful Proponent is to supply any equipment needed for the Coffee Shop to function including, but not limited to, coffee machines, refrigerator, signage, counter cooler case, etc. All business licences and food permits are the responsibility of the Proponent. 8. SUCCESSFUL PROPONENT’S WORK RESPONSIBILITIES a) Should there be any structural changes which have been reviewed and approved by the City prior to the execution of such changes, the tenant is to supply all tenant improvement plans signed and sealed by professional engineers or architects to be approved by the City. b) The tenant is to provide evidence of insurance for the City`s approval as specified in the License Agreement (refer to Schedule B – License Agreement). c) The tenant is expected to supply all equipment needed to sufficiently run the coffee shop including, but not limited to, coffee machines and espresso equipment, undercounter refrigerators, shelving in the storage room, display cooler case, paper towel dispenser, milk cooler, microwave, cash register and trash bins. 9. COLD DRINK BEVERAGES The City has an agreement with The Pepsi Bottling Group (Canada), Co. (â€Å"Pepsi†), for the exclusive supply of cold drink beverages for all City facilities, including the Library. Therefore, the successful Proponent is to work directly with Pepsi for the supply of cold drink beverages, including: †¢ Carbonated soft drinks †¢ Teas other than fresh brewed †¢ Juices. †¢ Juice-based products †¢ Lemonade †¢ Isotonics †¢ Sports drinks †¢ Energy drinks †¢ Bottled water Excluded Beverages: †¢ Milk †¢ Flavoured milk †¢ Cold coffee †¢ Branded or unbranded fresh brewed coffee or tea †¢ Hot chocolate †¢ Unbranded fresh squeezed juices †¢ Smoothies and milkshakes The agreement with Pepsi is to expire in 2011. 10. SNACK FOODS The City has an agreement with Ryan Company Ltd. (â€Å"Ryan Vending†), for the exclusive supply of a healthier snack foods program and vending services for all City facilities, including the Library. Therefore, the successful Proponent is to work directly with Ryan Vending for the supply of snack foods. 11. CITY’ RESPONSIBILITIES The City is to complete the Licence Area, as set out in Schedule B, in a good and workmanlike manner, at the City’s cost, using new materials and to the following extent: a) Interior wall taped and sanded drywall to code, painted white; b) Ceiling is to be painted concrete; c) The floor will be finished with a rubber covering; d) Counter tops on the horizontal front counter is to be a white laminate; e) The vertical section of the counters shall be an East Coast maple; f) The counter at the back of the shop floor containing the sink, and the backsplash, is to be white Corian; g) There will be an apple ply edging where the vertical edge of the counters meets the horizontal at the front counter; h) There is to be recessed lighting fixtures above the back counter, surface mounted fixture on painted concrete ceiling to light signage and menu and pendant fixtures at the front counter; i) All signage, including Menu board, must be approved by the City and the design team (Bing Thom Architects). The preferred signage for the Coffee Shop is electric flat screens, however, the design team is open to ideas regarding electronic signage from Proponents. This will have no impact on the evaluation of the Proponent’ Proposal; j) The City will provide the main sink and handwash sink located in the back counter; k) A 25mm domestic hot and cold water line with backflow preventor will be installed for refrigerator and coffee machine; and l) A 20mm domestic hot and cold water pipe and a 40mm sanitary drain will be installed for each of the two (2) sinks. term The Proponent will provide the Services set out in this Schedule  A and A-1 for a term not to exceed five years (including renewal) commencing in the early Summer of 2011 (the â€Å"Term†). A. The Licensor is the owner of those lands and premises located at 10350 University Blvd within the City of Surrey, Province of British Columbia, and more particularly known and described as: Parcel Identifier: 028-179-951 Parcel 1 Section 27 Block 5 N Range 2 West New Westminster District Plan BCP44240 (the â€Å"Lands†) on which is located theCity Centre Library. B. The Licensee wishes to obtain from the Licensor a licence to use those portions of the building located on the Lands as follows: 1. Area A Concession and Storage Room (â€Å"Licence Area A†) which area is approximately 141. 9 sq. ft. and shown on the plan attached hereto as Schedule â€Å"A†; and 2. Area B Seating Area (â€Å"Licence Area B†) as shown on the plan attached hereto as Schedule â€Å"A† (collectively the â€Å"Licence Area†) C. The Licensee intends to use the Licence Area for the retail sale of coffee, tea, and other products as outlined in this Licence. D. Licence Area A shall be for the exclusive use of the Licensee, and Licence Area  B shall be for the non-exclusive use of the Licensee. NOW THEREFORE in consideration of the sum of ONE DOLLAR paid by each of the parties to each other and other good and valuable consideration (the receipt and sufficiency of which each party hereby acknowledges) the parties hereby covenant and agree as follows: 1. In this License the parties agree that: (a)†Additional Rental† means the moneys payable hereunder, together with all other sums of money, whether or not designated as Additional Rental, to be paid by the Licensee whether to the Licensor or otherwise under this License save and except Minimum Rental and Percentage Rental; (b)†Commencement Date of Term† means ______________, 2011; (c)†Gross Revenue† means the entire amount of the sales price, whether wholesale or retail, for cash, credit, or otherwise of all sales of merchandise and services, and all other receipts and receivables whatsoever of all business conducted at, in, upon, or from the Licence Area, including, without limiting the generality of the foregoing, receipts and receivables in respect of any sale effected by the Licensee using any computer. Electronic, telephone, internet, or like system, where the Product is sent via the Licence Area or by the Licensee directly to a consumer, orders taken at or received at the Licence Area, although such orders may be filled elsewhere by the Licensee, deposits not refunded to customers, the selling price of gift certificates, charges to customers in the nature of interest or carrying or financing charges, sums, and credits received, and settlement of claims for loss of or damage to goods. No deductions shall be allowed for uncollected or uncollectible credit accounts. There shall not be included in Gross Revenue: (i)any sums shown separately from the price and collected and paid out for any direct retail sales tax imposed by any duly constituted governmental authority; (ii)the exchange of goods and merchandise between the stores of the Licensee, if any, where such exchange of goods or merchandise is made solely for the convenient operation of the business of the Licensee and not for the purpose of consummating a sale which has previously been made or agreed to be made at, in, from, or upon the Licence Area or for the purpose of depriving the Licensor of the benefit of a sale which otherwise would be made at, in, from, or upon the Licence Area; (iii)the Licensee’s original cost of returns to suppliers or to manufacturers; (iv)the amount of merchandise sold when such merchandise is thereafter returned by the purchaser and accepted by the Licensee, and a complete credit is given to the purchaser; and (v)the selling price of gift or merchandise certificates or coupons sold other than from the Licence Area, provided that such gift or merchandise certificates or coupons shall be included in the calculation of Gross Revenue at the time of their redemption. (vi)Each sale upon an installment or credit basis shall be treated as a sale for the full price in the month in which that sale is made regardless of the time when the Licensee receives payment, whether full or partial, from its customer; (d)†Lands† means as hereinbefore defined in recital A; (e)†Licence Year† means a 12-month period commencing with the first day of January in one calendar year and ending on the last day of December of that year, providing that the first Licence Year shall commence on the Commencement Date of Term and end on the last day of December next following and the last Licence Year shall end on the last day of the Term and commence on the first day of January preceding that date; (f)†Licence Area† means Licence Area A and Licence Area B; (g)†Licence Area A† means those portions of the building located on the Lands shown highlighted in pink and marked as Area A. Concession and Area A Storage room, which area is approximately 141. 9 sq. ft. ; (h)†Licence Area B† means those portions of the building located on the Lands shown highlighted in yellow and marked as Area B. Seating Area; (i)†Minimum Rental† means the minimum annual rental reserved hereunder payable by the Licensee; (j)†Product† means coffee, tea, soft drinks, juices, pastries, sandwiches and related items as specified in the menu attached as Schedule â€Å"C† which menu may be amended from time to time with the agreement of the Licensor and the Licensee; (k)†Percentage Rental† means the percentage rental reserved hereunder and payable by the Licensee; (l)†Real Property Taxes† means all taxes, rates and assessments, whether general or specially levied or assessed for municipal, school, general or any other purposes by any lawful government authority payable by the Landlord in respect of the Demised Premises and shall include any other taxes payable by the Landlord which in the future are levied in lieu of or in addition to such taxes, rates and assessments the whole as finally determined for each calendar year as a result of assessment, appeal or judicial review, and shall include any legal fees, or appraisers fees incurred by the Landlord in respect of such final determination. (m)†Rental† means Additional Rental, Percentage Rental, if any, and Minimum Rental; and (n)†Term† means _______ (__) years commencing on the Commencement Date of the Term and ending on the _____ day of ________, 20__. 2. The Licensor hereby grants to the Licensee a licence to occupy and use Licence Area A on an exclusive basis and Licence Area B on a non-exclusive basis commencing on the Commencement Date of Term for Term unless sooner terminated as hereinafter provided. 3. To use Licence Area for the retail sale of the Products and to use Licence Area B to provide a seating area for the benefit of visitors to and staff of the City Centre Library and for no other purpose during the Term. 4. The Licensor covenants and agrees to pay to the Licensor, in lawful money of Canada, on the days and at the times hereinafter specified, Rental which shall include the aggregate of the sums required to be paid: (a)Minimum Rental and Percentage Rental: The Tenant shall pay the greater of: (i). Minimum Rental of $________ per month commencing on the Commencement Date of Term and the 1st day of each and every month thereafter throughout the Term; or (ii)the Percentage Rental which shall be ___% of Gross Revenue per Licence Year; (b)Additional Rental Any sums, costs, expenses or other amounts from time to time due and payable by the Tenant to the Landlord or to any third persons under the provisions of this Licence, including, without limitation, all amounts payable under Section 4. 3 and Article 5 and all amounts payable by the Tenant by way of indemnity, whether expressed in this Licence to be Basic Rent or Additional Rent or not shall be treated and deemed to be Rent and the Landlord shall have all remedies for the collection of such sums, costs, expenses or other amounts, when in arrears, as are available to the Landlord for collection of Rent in arrears. The Licensee shall also pay for: (i)the removal of garbage generated by the Licencee to the main garbage receptacle, cleaning of spills and pick up of litter in Licence Area B, and any other like service rendered to the Licence Area for the benefit of the Licensee and paid by the Licensor. (ii)the amount of Real Property Taxes applicable to the Licence Area in every Licence Year during the Term or any renewal thereof as and when prescribed by the Landlord.

Wednesday, October 23, 2019

Genetic engineering †Maize Essay

Introduction Genetically modified, by definition, is a term denoting or derived from an organism whose DNA has been altered for the purpose of improvement or correction of defects. (dictionary. com) Genetically modified foods are foods that have been altered to enhance certain traits for the purpose of making them more desirable to consumers. Since the development of this process, modified foods have become more common throughout the years, and with their increase in production there has also been great controversy. History of Genetically Modified Foods In 1994, the first genetically modified food the Food and Drug Administration deemed safe enough for human consumption was a tomato called the â€Å"Flavr Savr,† produced in California. The purpose of altering the tomato was for it to be resistant to rotting and decaying as quickly as tomatoes usually do. They were not labeled as being genetically modified and they were between two and five time more expensive than ordinary tomatoes, but consumers still purchased them. However, due to competition, brought on by a tomato made conventionally and with a longer shelf life, the Flavr Savr tomatoes were not profitable. Genetically modified tomatoes were then made into a tomato puree and sold in Europe in the mid-1990s, but a couple years later controversy arose over the concept of genetically modifying food. In 1998, a doctor from Aberdeen, in Scotland, published results from a research study he conducted suggesting that genetically modified potatoes, injected with an insecticide gene from the snowdrop plant, were toxic to rats. A year later it was announced that beginning in 1999, there were to be trials of genetically modified crops engineered to be resistant to herbicides. The purpose of the trials was to uncover the effects of these crops on farmland wildlife. However, this was criticized to be potentially dangerous to nearby crops, as well as honey that could be affected by cross-pollination. Sure enough, later that year pollen from genetically modified oilseed rape, a plant that is used to produce canola oil, was found at beehives almost three miles away. Two out of nine samples of honey being sold in supermarkets were contaminated in May 2000. At this point in time, nine out of ten people were against the idea of genetically modifying foods. (dailymail. co. uk) Despite the controversy surrounding genetically modified plants and foods in earlier years, technologies have advanced, and in 2006, 10. 3 million farmers planted 252 million acres of transgenic crops in 22 countries. The United States, Argentina, Brazil, Canada, India, China, Paraguay, and South Africa grew 97% of these crops. Soybeans, corn, cotton, canola, and alfalfa were modified to be herbicide and insect resistant, whereas other crops, like sweet potatoes for instance were modified to be able to survive harsh weather conditions. (Ornl. gov) The process of genetic modification Genetically modifying foods changes their genetic makeup in some way. The purpose of doing this is to enhance certain aspects of the food, for example, increasing its resistance to herbicides or its nutritional value. Traditionally, this has been done by way of selectively breeding plants or animals for specific genetic traits, however this method has proven to be potentially inaccurate and very time consuming. Genetic modification on the other hand can physically isolate a particular gene and insert it into another substance, enabling it to then posses that quality. This is done very quickly and accurately. Plants can be made insect resistant, virus resistant, or more tolerant to herbicides. Bacillus thuringiensis is a bacterium that produces a gene for toxin production that is safe for human production. To achieve insect resistance, the gene is injected into the crops that will then be able to produce this toxin on their own, leading to a decreased need for insecticides. To achieve virus resistance, crops must be introduced to the gene from that particular disease-causing virus. This results in less susceptibility to the disease and higher crop yields. Similarly, to achieve herbicide tolerance, a gene from a bacterium that will transmit resistance to some herbicides must be injected into the crops, in turn reducing the amount of herbicides used. Purpose of genetically modifying foods. There are many reasons for producing and selling genetically modified foods over those that are traditionally produced. Originally, the intent was increased protection of crops. This is still one of the process’ objectives, however there are many additional benefits recognized today. Both consumers and producers who feel that genetically modified foods are advantageous believe that these foods can be cheaper, more durable, and more nutritional. Genetically modifying foods is also a way to ensure that with a world population that is predicted to double in the future, a food shortage will not be encountered. In addition to increased protection from diseases, pests and herbicides, there are other key reasons for genetic modification. Many crops are destroyed due to troubling weather conditions. Frost can come at unexpected times causing destruction to sensitive crops. Cold water fish have an antifreeze gene which, when introduced to plants like tobacco and potatoes, can lead to a higher tolerance to cold temperatures. Similarly, plants can also develop the ability to withstand droughts. A very important quality of food is the nutritional value that is possesses. Malnutrition is quite prevalent, especially in third world countries where people tend to rely on only one crop to fulfill their dietary needs. If however, these crops could be genetically modified to contain the amount of vitamins and nutrients necessary to sustain a healthy diet, it would be a great advantage. For example, in third world countries blindness caused by a vitamin A deficiency is very common, so researchers at the Swiss Federal Institute of Technology Institute for Plant Sciences have developed what they call, â€Å"golden† rice, which contains uniquely high levels of vitamin A. The hope in this development is that this rice, funded by the non-profit organization Rockefeller Foundation, can be sent to any countries that request it. Vaccinations and medicines can be very difficult to produce, and they can also be very costly. Through genetic modification there is hope that the ability to produce foods with edible vaccinations in them will become a possibility. Common Genetically Modified Foods According to a WebMD article, experts say that about sixty to seventy percent of processed foods sold in the United States contain genetically modified ingredients. Soybeans, , corn, cotton, and rapeseed oil are the most commonly genetically modified foods. In other words, any foods that contain field corn, high-fructose corn syrup, soybeans, cottonseed oil, or canola oil all contain genetically modified ingredients. These ingredients are extremely common in most foods, much more so than most people are aware of. According to a study funded by the United States Department of Agriculture, only 52% of Americans are aware that genetically modified foods are even sold in grocery stores. The United States is the largest producer of corn in the world, and in 2000 it was estimated that 25% of corn crops growing in the United States were genetically modified. Corn is an ingredient in beer, salad dressing, margarine, flour, and anything containing corn syrup. The corn sold in stores is not necessarily intended to be genetically modified, however the concern for cross contamination between crops is there, since corn is wind-pollinated. Soy is the most heavily modified crop, and more than half the soy in the world was made up of genetically modified strains in 2007. There are different reasons for the modification of soy, including an added resistance to insects, and increasing its vitamin or fat and protein content in order to be suitable for animal feed. Soy is also used for creating chemicals used in pharmaceuticals. The likelihood of products in the United States containing genetically modified materials if they contain soy is very high, despite the lack of any labeling stating so. Tofu and soy milk are obviously effected products, however soy is also present in bread, cereal, ice cream and chocolate. Milk can be made from a genetically modified hormone called the recombinant bovine growth hormone. The function of this hormone is to produce more milk by keeping cells to produce milk alive in cows for longer periods of time. There is no proven difference between milk produced with the hormone versus that produced without it, however cows injected with the hormone are more prone to disease which can in turn have negative effects on the milk. Rapeseed oil, or canola oil, is one of the most genetically modified crops used. 80% of canola crops in Western Canada have been genetically modified. It is modified in the area of herbicide resistance. Also, modified rapeseed crops produce the main pollen used in the making of honey, suggesting that most honey from Canada could likely qualify as genetically modified. Advantages of Genetically Modified Foods Genetically modified foods offer several advantages. As already mentioned, an increased resistance to pests and diseases, the tolerance against bad weather conditions, and an increase in food supply are all obviously positive aspects. Crops have a better taste and quality when they are modified and they also have increased nutrients, yields, and stress tolerance. The time it takes for crops to mature is reduced as well. As far as the advantages for animals, they develop an increased resistance, productivity, and feed efficiency. They also produce more food, and their health can improve. The environment can benefit from genetically modifying foods as well. Firstly, the bioherbicides and bioinsecticides are environmentally friendly. Because genetic modification improves the resistance of plants and reduces their maturation time, soil, water, and energy can also be conserved. There is better natural waste management associated with genetic modification, and food processing is more efficient. Disadvantages of Genetically Modified Foods Despite the advantages of genetically modifying foods, the disadvantages of doing so seem to greatly outweigh the positive aspects of it. The most common criticisms against GM foods are in regards to the environment, health risks, and economic worries. Firstly, there have been several harmful, yet unintended effects on organisms in the environment. Monarch butterfly caterpillars have suffered an increased mortality rate due to the gene injected in corn crops. Though the caterpillars do not consume corn crops, they consume milkweed plants in neighboring fields, where the wind could easily transfer the pollen. There was a study done to test this theory, and the study did in fact support it. Another environmental concern is that the genes used to enhance certain crops will be transferred over to species unintended to contain the gene. For instance, in the case of crops that are introduced to a gene enabling them to develop an increased resistance to herbicides, the gene can potentially spread into the weeds themselves, causing them too to develop a higher herbicide resistance. This could cause problems because the weeds would then become very difficult to combat which could possibly ruin the crops. The concern for human health risks in regards to genetically modified foods is very high as well. Firstly, food allergies are very common among people in Europe and the United States, and in some cases these allergies can be fatal. The possibility that adding genes to plants could cause allergic reactions in susceptible people is there, and it is a very threatening possibility. Secondly, genetically modified foods pose an unknown overall threat to human health. Despite the lack of proof that foods made of genetically modified materials can be harmful to people, there have been studies showing that certain GM foods are in fact harmful to the digestive tract of rats. Just the fact that the effects of GM food on people are still not completely known also poses a huge threat in itself. From an economic perspective, genetically modifying foods is very costly. With new technologies that are continuously surfacing, companies are starting to want to patent their ideas, and this raises the concern that with patents will come a raise in price of seeds, making business very difficult for farmers who will not be able to afford them. This would result in the domination of food production throughout the world by only a few companies if GM foods reached such a high existence. It would also increase the dependence of developing countries on industrialized nations. Lastly, it could also result in biopiracy, or foreign exploitation of natural resources. There are ethical issues surrounding genetic modification as well. Many people question if it is unethical to alter nature by taking the genes of one species and mixing it with another. There is also the question of whether or not it is ethically wrong to violate the essential values of organisms. This process can stress animals as well, as their natural ways of life and food production are being compromised in ways that are having essentially unknown effects on the animal. The ethicality of labeling foods as genetically modified is a very controversial issue. In the United States, labeling foods is not mandatory and to the many people who do not want to consume these foods, this is viewed as very unethical. Laws of Genetically Modified Foods The laws and governmental regulations of genetically modifying food varies throughout the world, yet a common factor is that all of these different governments are in fact working towards establishing regulatory processes. In Japan, as of April 2001, testing GM foods was made mandatory. In the United States, regulation is achieved by several different governmental agencies, such as the US Environmental Protection. Agency, the US Department of Agriculture, and the US Food and Drug Administration. The EPA is responsible for regulating the substances used that may cause possible harm to the environment and human health, pesticides for example. Farmers need to obtain licenses in order to use such chemicals, and the amount they are permitted ot use is regulated. The USDA includes different divisions each responsible for their own branch of assessment. â€Å" Among these divisions are APHIS, the Animal Health and Plant Inspection Service, which conducts field tests and issues permits to grow GM crops, the Agricultural Research Service which performs in-house GM food research, and the Cooperative State Research, Education and Extension Service which oversees the USDA risk assessment program. † (Csa. com) The FDA is involved when companies producing GM foods have issues they feel they want to consult with them about. They are not required to go to the FDA though. The future of Genetically Modified Foods Currently, genetically modified ingredients are present in many foods, however the process is mostly limited to altering the ingredients in the area of improved sustainability. In the future, there are plans to genetically modify much more. For example, there are plans to try to produce foods with the ability to produce human vaccinations. There are also plans to genetically alter food animals, like pigs, cows, and most recently salmon. Conclusion Genetically modified foods have come a long way since their first introduction into the market. They have great potential to solve many problems and improve upon many conditions. However, there are many challenges facing governments as far as the advancement of genetically modified foods is concerned. Regulations, food testing, and uncovering more of the possible effects on both human health and the environment are all great issues involved. The concept of genetic modification is also very controversial. However, regardless of the obstacles and controversy surrounding this phenomenon, it is becoming much more widespread throughout the world. Works Cited â€Å"Genetically Modified Foods: Harmful or Helpful? † CSA. Web. 24 Oct. 2010. . â€Å"Genetically Modified Foods and Organisms –HGP Ethical, Legal, and Social Issues. † Oak Ridge National Laboratory. Web. 24 Oct. 2010. . â€Å"Development and History of GM Foods – Genetically Modified Foods (UK). † Comphrensive Advice on Genetically Modified Foods at Genetically Modified Foods (UK). Web. 24 Oct. 2010. . Chapman, By James. â€Å"History of Genetically Modified Food | Mail Online. † Home | Mail Online. Web. 24 Oct. 2010. . Jibrin, By Janis. â€Å"Genetically Modified Foods (Biotech Foods) Pros and Cons. † WebMD – Better Information. Better Health. Web. 1 Nov. 2010. . dictionary. com.

Tuesday, October 22, 2019

Repression Essays - Freudian Psychology, Mental Processes

Repression Essays - Freudian Psychology, Mental Processes Repression When forming a memory, the brain takes what we see, hear, smell, feel, and or taste, and fills in the blank spots with information that we have perceived from common knowledge and stores it as a memory. But sometimes something happens that is so shocking that the mind grabs hold of the memory and pushes it underground, into some inaccessible corner of the unconscious. There it sleeps for years, or even decades, or even forever- isolated from the rest of mental life. Then, one day it may rise up and emerge into consciousness. When the unconscious tucks away a memory, to hopefully be forgotten, it is called Repression. Repression is a defense mechanism derived from Sigmund Freud near the beginning of the century (Gay 18-19). But if a person cannot recall a memory, was it ever really a memory? Did it ever really happen? If so, can the conscious be manipulated and made to think that, through controversial methods such as hypnosis or a truth serum called sodium pentathol, a false event ac tually happened? (Accused) And if these false events are believed, then can the manipulated mind be used in court cases to sue the people who caused the traumatic experience? When Freud discovered the idea behind repressed memories he then had to come up with a way to recover then. A process known as psychoanalysis was formed. The theory of repression and recovery became a corner stone to understanding some of our own neurosis (Gay 18-19). When Freud began to use this method frequently, he did not know what psychologists would do with the theory today, nor did he realize that people would ever use this as a method of fraud. In 1990 a case went to trial against a man accused of murder 20 years earlier. He was accused of killing his daughters best friend. The daughter, now an adult, began to remember slowly events that occurred and pieced together enough information to convict her father. He was the first man to ever go to trial and be convicted of murder of the grounds of a recovered memory (repressed memories). In this particular case, was the daughter beginning to remember these events before she began therapy or was this such a traumatic event that in order to settle it within her own mind, she had to come up with her own solution? When a memory becomes locked away, it can be permanent or temporary depending on the severity of the traumatic experience. Through psychoanalysis, the memory can be brought back. The process is a detailed inquiry of the persons past and past relations and events, which are recorded and analyzed. (Gay 479) Through this process, the psychologist then can determine whether or not there is more there to be brought out. This is where hypnosis and other controversial methods can come into play. When you are under hypnosis, you are completely vulnerable and susceptible to influence. Memories can then be implanted by use of descriptive details, inserted characters and fictitious plot elaboration. (Accused) There are also three ways in which memory can be affected: when it is stored, while it is being stored and when it is retrieved. During each of these times something could be misunderstood, or implanted. Psychologists are not the only influences our brain has. Recollections of horror movies, comic books, nightmares, anything on TV are liable to get garbled in our memories and tossed around to confuse us. Possibilities of retrieval of lost memories are plentiful. Memories of these things can come out in the hypnosis therapy and therapists think it to be true and valid information. But not only is it up to the techniques reliability, but it is also up to the mind and soul of the person to distinguish these other influences and recapture the true event. Knowing that evidence exists that memories can be implanted and that the mind is so easily mislead, it makes you wonder about your own past. It makes you almost want to remember things that your not even sure existed. It also makes you wonder why people would want to dredge up memories if they are not real. There is no easy answer or explanation to the theory of

Monday, October 21, 2019

The Crucible By Arthur Miller †Theatre Essay

The Crucible By Arthur Miller – Theatre Essay Free Online Research Papers There are a number of characters of interest in the play the â€Å"Crucible†, by Arthur Miller, but one of the most interesting for me is Thomas Putnam. I think, he is a static hero. At the beginning of the play we know that Thomas Putnam was the eldest son of the richest man in the village. He had fought the Indians at Narragansett, and was deeply interested in parish affairs. He undoubtedly felt it poor payment that the village should so blatantly disregard his brother for one of its more important offices, especially since he regarded himself as the intellectual superior of most of the people around him. He had good facilities for life and he was a smart man who thought only about himself. His vindictive nature was demonstrated long before the witchcraft began. Thomas and his brother John had Burroughs jailed for debts the man did not owe. Putnam felt that his own name and the honor of his family had been tarnished by the village, and he meant to right matters however he could. He also attempted to break his father’s will, which left a disproportionate amount to a stepbrother. As with every other public cause in which he tried to force his way, he failed in this. So it is not surprising to find that so many accusations against people are in the handwriting of Thomas Putnam, or that his name is so often found as a witness corroborating the supernatural testimony, or that his daughter led the crying-out at the most opportune junctures of the trials. He was the selfish man from the very beginning of his life and he doesn’t stop on his way of getting as much money as possible when accusations of witch trials started. Tomas Putnam is not the key character of the play and it is even more interesting for me. He doesn’t play a big role in moving the plot of the story along, but his role of additional character is shown very well. I think that the author wanted to show us an intelligent and selfish person who will always follow his way, no matter what. This situation is very vital for our society today. People take care about themselves and their plans, and not paying any attention to other people’s lives and life that don’t involve money or personal satisfaction in it. Thomas Putnam is thinking only about himself and he plays the role of the machine that wants to get money and only money. He doesn’t care about his family and witchcraft in the village as long as it doesn’t bother his reputation and wallet. Thomas doesn’t want to worry and believe in witchcraft when Betty become sick, because it will leave a blemish on his good name. He is talking about his status in the village and respect, when he should care about her health and other things that happen around him. Putnam is ready to fight and kill a person for the land and forest on a property that he claims his property. He says: †You load one oak of mine and you will fight to drag it home!† It also shows his selfishness. Thomas thinks that he is a very important person on the village, but people don’t care about him a lot. They didn’t support his brother in the elections when he thought they were going to win. Thomas Putnam is also trying to make o ther people behave themselves the same way he is and put himself in better situation. He said that he’s never heard Proctor worried about society. He is telling this to make people think bad about everyone else except him. Also Thomas is afraid of authority. He doesn’t want any kind of troubles and arguments with the Court. He would better sign any papers, confess or accuse anybody in witchcraft then have any argument with anybody, who is stronger than he is. All these events don’t change Putnam’s view of life. They play a big role in his life, because he can make plans and fight for his interests against his enemies accusing them in witchcraft and giving the â€Å"evidence† to the court. Thomas doesn’t change through the play. Putnam was a selfish man at the very beginning and at the end he is thinking about his own interest. He even made his own daughter cry about witches and witchcraft, just to get the cheap land from people who are in jail. In the court he denies that he did that, but people already know. So, everything he does, he does to become a wealthy man, to get more money and get respect in the village. Thoughts about money is the engine inside his head that makes him live with one physical aim, to get this financial advantage on people. He is a contradiction to Proctor and Rebecca Nurse who decided to give their physical life for the truth and wait for the real court in heaven with God. Thomas Putnam is not a key character. Play can be without him, but I think it wouldn’t be that successful. Even though plot of the story can develop without him, Thomas Putnam plays a big role in balancing and contradicting characters, so the reader can actually see and understand what the author wants to show us. His role in the book and in his life is small and not vital, but very important for understanding details of the story and adding â€Å"color† to the play and â€Å"Crucible† world. Research Papers on The Crucible By Arthur Miller - Theatre EssayHonest Iagos Truth through DeceptionHarry Potter and the Deathly Hallows EssayThe Effects of Illegal ImmigrationWhere Wild and West MeetBook Review on The Autobiography of Malcolm X19 Century Society: A Deeply Divided EraCapital PunishmentTrailblazing by Eric AndersonTwilight of the UAWInfluences of Socio-Economic Status of Married Males

Sunday, October 20, 2019

The Good Times are Killing Me

The Good Times are Killing Me If you are looking for a compelling play for a young mixed-race cast, you may want to take a look at The Good Times are Killing Me by Lynda Barry. This play, published in 1993, offers two strong female roles in which teenagers can play teenagers  and a multiplicity of issues to discuss with cast and crew during rehearsals and with audiences in talkbacks. Format This is a two-act play, but it is unusual in that it is comprised of 36 short scenes or vignettes- 26 in Act One and 10 in Act 2. The story is adolescent Edna Arkins’s story. She is the main character and she appears in every scene; she breaks the fourth wall and speaks to the audience before, during, and after interacting with the other characters. Each vignette has a title like RECORD PLAYER NIGHT CLUB or BEST FRIENDS that communicates the essence of the scene. The scenes- some only a half page long, some three pages long- reveal the story of friendship between two adolescent girls- one white and one black- in mid-1960s America. One vignette flows into the next creating a collection of scenes that reveal the difficulties of coming of age in the midst of family heartaches, personal growing pains, and racial prejudices. Cast Size There are roles for 16 females and 8 males. Broken down by race, the play calls for 10 white females and 6 black females, and 3 white males and 5 black males. Doubling in roles is possible, resulting in an overall minimal cast size of 16. Roles Edna Arkins: A white 12-13 year-old girl who lives with her family in a house on a city street that has slowly become integrated Lucy Arkins: Edna’s younger sister Edna’s Parents and Extended Family: Mom, Dad, Uncle Don, Aunt Margaret, Cousin Steve, and Cousin Ellen Bonna Willis: A black 12-13 year-old girl who recently moved into Edna’s neighborhood Bonna’s Parents and Extended Family: Mom, Dad, younger brother Elvin, and Aunt Martha Recurring Minor Roles: Two black teenagers named Earl and Bonita, and Cousin Ellen’s friend Sharon Ensemble: There are multiple scenes that would be enhanced by friends, neighbors, classmates, and other people. There are also several small roles- a teacher, a mother, a pastor, a Girl Scout leader and her daughter. Set and Costumes Most action occurs on the porches, street, yards, and kitchens of Edna’s and Bonita’s houses. Other settings are Edna’s basement, a campsite, a meeting room, a tough neighborhood, a church, and a school hallway. These can easily be suggested with lighting or a few moveable small set pieces. The time period of this play is critical to the story, so the costumes need to be early 1960s American clothing- mostly casual and inexpensive-looking. Music Songs and singing occur throughout this production, providing mood, underscoring emotions and actions, and contextualizing the story in 1960s urban America. Much of the singing occurs with the records that the characters play; some singing is a capella. The script identifies the precise songs and provides lyrics within the text or in an appendix. Content Issues Much of the content and language of this play seems so innocent given the 20-plus years since its opening night and its setting of 50-plus years ago. Even so, it’s worth noting that the play deals with marital infidelity, racial discrimination (One of Edna’s lines mentions the â€Å"No Negro Kids Can Come in Our House Rule.), and the accidental drowning of Bonna’s brother. The language is relatively tame, but the dialogue does include the words   Ã¢â‚¬Å"ass,† â€Å"boodie,† â€Å"pimp,† â€Å"butt,† and the like. There is, however, no profanity. Lynda Barry also published this story as a 144-page novel with Edna as the narrator. If you would like to hear Lynda Barry talk about her life work, please visit Accessing the Imaginary. Here is a video trailer of a high school production of the play.

Saturday, October 19, 2019

American Franchisers in China Case Study Example | Topics and Well Written Essays - 1500 words

American Franchisers in China - Case Study Example Foreign franchisers invested in Europe, Asia, South America and some parts of Africa. In Asia, China has the biggest market and starting businesses in this country is very strategic. However, the political, social, and cultural conditions in China are not the same with the United States. This paper tries to analyze the different strategies that the KFC franchisers took to make KFC one of the most successful franchises in China today. This paper also mentions the problems the managements encountered and the measure they took to remedy those. It also analyzes how successful KFC franchises are in China that they reached a total of 2,200 KFC branches4 in China alone. Johan Olsson cites several reasons why an international business strategy such as joint venture is recommended for China: (1) solves many logistic problems such as access to good quality chicken and other supplies, (2) eases the access to the Chinese market, (3) shares risk with local entity, and (4) serves a sign of commitment to the host government increasing goodwill.5 Pei Liang and Sun Zhixian examine which of the three (3) business strategies: (1) direct franchising, (2) master franchising, and (3) joint ventures is effective in the Chinese market. For direct franchising, the success of this strategy relies on establishing a good relationship between foreign investors like the Americans and local partners in China. Local partners know and understand much about the political, economic, and social conditions of the country. They are also in "much better position(s) to negotiate with government agencies as well as required suppliers."6 The authors also add that direct franchising for American franchisers will be difficult without local partners in a culturally-different state like China.7 Olsson adds that franchising is not suitable for China because of the strict foreign investment laws. For master franchising, the main problem that exists why this strategy has lower success rate compared to joint venture is the availability of a qualified master franchisee. Liang and Zhixian describe a master franchisee to have not only an abundant capital but also "a favorable social relationship as well as the entrepreneurial skills and the ability to communicate easily with a franchisor." If the master franchisee fails to maintain "franchise quality or reverse engineer and duplicates the franchisor system, he franchisor could, as a practical matter, face considerable difficulties in enforcing the terms of the master franchising agreement or terminating the relationship."8 For the master franchising to work in China, the master franchisee must possess the qualities of leadership and a lot of public relation skills. For Liang and Zhixian, they recommend the joint venture as the best choice for starting a business in China. They also mention that choosing a good and qualified local partner is the critical point for the success of any foreign business in China. Working with unqualified local partners may incur more management costs than management benefits because it weakens the performance of the business.9 Olsson supports these arguments by saying that "a potential partner with sufficient contacts [and] networks with government agency officials may smoothen the process of setting-up operations in the nation."10 Olsson also adds that joint ventures produce

Friday, October 18, 2019

Electronic Commerce Research Paper Example | Topics and Well Written Essays - 1250 words

Electronic Commerce - Research Paper Example It is evidently clear from the discussion that the dawn of the World Wide Web has led to many innovations; one of them is on the new ways of transacting business. Electronic commerce has enabled an easy and efficient platform for the transaction of business among various stakeholders using the internet. The ubiquitous nature of electronic commerce allows companies and consumers the ability to transact anywhere and anytime. Electronic commerce can be seen to have rewritten the traditional mode of transacting, which is the business to business model and ushered in an era where multiple parties can transact without having to physically engage with each other. This paper will explore the cost and benefits to firms and consumers, together with job creation brought by this form of medium. The paper will also highlight challenges in infrastructure, privacy concern, and legal framework that electronic commerce faces. Businesses main objective is to grow in size and increase profit margins. O ne of the ways electronic commerce has assisted businesses to achieve this is by allowing them to save on costs by linking them directly with their customers thereby eliminating the need for intermediaries. The net effect of this cost-saving measure is the improved bottom line that companies will be enjoying. Businesses may choose to reduce prices for shoppers who employ this medium in order to attract more consumers consequently growing their revenue. Electronic commerce also enables businesses to move into the cyber world by establishing cyber stores which are cheaper to establish than physical shops.

Economics of the EU Essay Example | Topics and Well Written Essays - 2000 words - 2

Economics of the EU - Essay Example Country specific shocks are similar to asymmetric shocks across the European Monetary Union. Their nature is influenced by the economic structures from this area. Varied economic structures increase the probability of the asymmetric shocks. The costs executed by asymmetrical shocks under European monetary union are dependent on the relationship between nominal and real inertia within European countries (Egger et al., 2011, p.115). Various economists have compared seemingly high nominal inertia in the United States labour markets with comparatively little European nominal wage rigidity. As a result, these economists have made conclusions that costs within Europe that cause nominal inertia are not that high. This argument, however, seems to assume nominal rigidity in price context, which may be practically important like inertia in wages. Also, provided nominal rigidity exists, the cost it enacts in restoring actual equilibrium is greatly dependent on its relationship with real inertia in the economy (Bond et al., 2001, p.340). The framework of modern government has improved as a result of the economic exclusion of currency area, which has become essential. This is especially through the imposition of inconvertibility and exchange controls. Given the practical need for stabilization strategies in existing economies, an area required a different currency. If provided with macroeconomic shock, the financial costs of adjustment would be higher compared to those of changing the exchange rates, through changes in price levels and or factor mobility (Houssa, 2008, p.320). For separate currency areas, the case is apparently held well unless the effect of the shock varies with regions, that is, asymmetric. Suppose the impacts on all were similar, then the exchange rate of modifications required for adjustment would also be e qual for all. In this case, separate currencies would be useless since they would have no purpose. Applying the theory of OCA, any two

Privacy Policies of Social Media Sites Case Study

Privacy Policies of Social Media Sites - Case Study Example Nonetheless, numerous individuals who may not be friends and relatives have an interest in the information person post on social media. People aiming to steal identities, scam artists, debt collectors as well as stalkers and companies in search for market advantage have resulted in using social media to collect information concerning the consumers. The organizations that operate the social media platforms are also gathering various forms of data concerning their users with the aim of personalizing their services as well as selling advertisements. Social media sites have different degrees of privacy offered to the users in that for some of the sites such as Facebook, users are encouraged to provide their actual names along with other personal information through their profiles2 (Magdalinski 149). This information typically includes dates of birth, telephone numbers as well as email addresses and locations. Other sites give users the chance to provide additional information about themselves that includes their interests, hobbies, preferred films and relationship statuses. Nonetheless, there are sites like Match.com where most of the users favor anonymity and therefore connecting to their real identities may be difficult. Regardless of this, people may sometimes be identified through face re-identification and studies that have been done on two social media sites have demonstrated that through overlapping fifteen percent of similar photos, profile pictures with the same pictures over multiple sites may be matched to clearly iden tify the users. Security along with privacy that is linked to social media sites are essentially issues of behavior and not technology. With an increase in the amount of information that is posted on social media, the higher the amount of information that is accessible for potential compromise by the people whose intentions are malicious. The individuals who provide personal information about themselves or people they are  associated with, knowingly or unknowingly, are at more risk.  

Thursday, October 17, 2019

Critically examine thje effects of the 'Boudaryless Career' Essay

Critically examine thje effects of the 'Boudaryless Career' on individuals, organisation and society - Essay Example The effects of Boundaryness careers on an individual include the ability of a person to take control over employability as well as the development of an individual’s skills beyond the career management in an organization. This requires an individual to have a certain degree of self-perceived ability, self-motivation, and the opportunity to make changes in a person’s career (Cappelli, 1997). Moreover, individuals looking to develop their skills ought to look for these opportunities to meet their expectations, regardless of the boundaries they have to cross to do so (Eby & Lockwood, 2003). In addition, individuals have the capability to make an internal career change within the organization they currently work Additionally, due to career diversity management has become an important aspect due to global workforce that helps organizations grow. Boundaryless careers assist the management in decision making as people from all aspects of life come together and bring in their unique ideas thus solving problems (Dalton & Price, 2007). In addition, organizations gain through the sufficient career development opportunities that help support the career concerns in the organization. Consequently, an organization is able to know the potential challenges of career progression of the professionals in the organization and is able to better manage their careers. Like the impact of boundaryless careers on individuals and the organization, it is important to understand on the happening of the community. As people in the community have a feeling of common interest and purpose and values, it is important to have a personal knowledge that they belonging to a collective of others in the community (Burman, 2006). This therefore means that people need to develop and make a difference in the society. This includes the proper use of resources available in the community as well as the emotional connection

Trusts Law Arguments by Jones Garton and Margaret Halliwell Essay

Trusts Law Arguments by Jones Garton and Margaret Halliwell - Essay Example The articles by modern authors Jones Garton and Margaret Halliwell consider this phenomenon from a modern perspective. They refer to the most well-known cases in this field: Milroy v Lord, Re Rose, Pennington v Wayne and some others. In order to define the level of trust in perfect/imperfect gifts, it is relevant to refer to additional reading from previous years and to current sources (Substantial Change in Trust Tax Law, 2006; Diamond, 2002). A complicated nature of gift is the absence of contract basis, i. e. there is no special consideration of gift transfer (Langbein, 1995; McKendrick, 1992). Moreover, if a giver fails to complete required formal stages or has no legal title, gift may fail. Courts refer to the generally accepted motto in this kind of cases: â€Å"equity will not perfect an imperfect gift† (Langbein, 1995). Consequently, there are a lot of controversies appearing in trust cases. That’s why it is relevant to discuss a balanced nature of trust. In oth er words there is a need to consider its theoretical basis and practical implementation. A consideration about constitution of trust is a vividly discussed issue for academics and researchers, because practical implementation of trust in trusts law is rather rare. The trusts law has some specific features, which have to be discussed in detail. The most striking issue is that transfer may occur even if all formalities were not followed. Re Rose case is well-known with this regard and there is even a name for ‘Re Rose’ principle taken after the case. In this case the settlor transferred shares in a private company on behalf of certain trusts. Nevertheless the authority of the company didn’t register transfer at once and the question which had to be solved by court was when the shares were transferred. The date of settlor’s decision to transfer the shares was acclaimed to be the relevant date of transfer. This principle was discussed in other cases as well (C unningham, 1992, p. 63). Pennington v Wayne is another interesting case for discussion. In this case the concept of unconscionability appears and the court considers this concept to be a primary fact in the case discussion. This concept was taken for granted as a decisive point because not all formalities were followed in the process of gift transfer. Jones Garton’s article The articles by Garton and Halliwell present two points of view on property and securities transfer mechanism. It is relevant to note that both of these authors suggest interesting considerations about trusts law in England. Jones Garton combines the ideas on trust collected from additional sources and law cases. He speaks about constituent nature of trust. Operational mechanisms of trust are focused on the main claim that â€Å"equity will not infer a perfect trust from an imperfect gift† (Garton, 2003). The basic claim was taken from Milroy v Lord (1862) case, from more contemporary case Penningto n v Waine (2002) 1 WLR 2075. In accordance with Garton there are different principles in the rule of the ‘last act’ which establishes constitution and its application. Garton’s work impresses readers by his considerations about the ‘workings’ of trusts in Rose’s case which are express and constructive. Therefore it is clearly seen that Garton is interested in a concept of trust in imperfect gifts.

Wednesday, October 16, 2019

Critically examine thje effects of the 'Boudaryless Career' Essay

Critically examine thje effects of the 'Boudaryless Career' on individuals, organisation and society - Essay Example The effects of Boundaryness careers on an individual include the ability of a person to take control over employability as well as the development of an individual’s skills beyond the career management in an organization. This requires an individual to have a certain degree of self-perceived ability, self-motivation, and the opportunity to make changes in a person’s career (Cappelli, 1997). Moreover, individuals looking to develop their skills ought to look for these opportunities to meet their expectations, regardless of the boundaries they have to cross to do so (Eby & Lockwood, 2003). In addition, individuals have the capability to make an internal career change within the organization they currently work Additionally, due to career diversity management has become an important aspect due to global workforce that helps organizations grow. Boundaryless careers assist the management in decision making as people from all aspects of life come together and bring in their unique ideas thus solving problems (Dalton & Price, 2007). In addition, organizations gain through the sufficient career development opportunities that help support the career concerns in the organization. Consequently, an organization is able to know the potential challenges of career progression of the professionals in the organization and is able to better manage their careers. Like the impact of boundaryless careers on individuals and the organization, it is important to understand on the happening of the community. As people in the community have a feeling of common interest and purpose and values, it is important to have a personal knowledge that they belonging to a collective of others in the community (Burman, 2006). This therefore means that people need to develop and make a difference in the society. This includes the proper use of resources available in the community as well as the emotional connection

Tuesday, October 15, 2019

Critically discuss issues with determining recommendations for vitamin Essay

Critically discuss issues with determining recommendations for vitamin D intake - Essay Example The proceeding process is their hydroxylation to form 25-hydroxyvitamin. The total of 25-hydroxyvitamin D2 together with 25-hydroxyvitamin D3 levels in serum is used as an indicator of vitamin D nutritional status. Studies indicate that this level increases following exposure to sunlight, or dietary intake of vitamin D (Rajakumar et al., 2014). 25-hydroxyvitamin D is hydroxylated to 1,25-dihydroxyvitamin D (calcitriol) in the kidney, a reaction catalyzed by 25-hydroxyvitamin D-1alpha-hydroxylase. Regulation of this reaction is by serum phosphorus, calcium, parathyroid hormone (PTH), fibroblast growth factor 23 and 1,25-dihydroxyvitamin. 1,25-dihydroxyvitamin D production has also been demonstrated in the skin, parathyroid gland, breast, colon, prostate, and immune system and bone cells. 1,25-dihydroxyvitamin D then binds to a receptor of vitamin D in the nucleus of a cell and recruits retinoic acid X receptor. This VDR/RXR complex binds small sequences of DNA called vitamin D response elements (VDREs) (Battault et al., 2013). It then initiates a cascade of molecular interactions that modulate the transcription of specific genes. Vitamin D regulates calcium and phosphorus homeostasis that are necessary for the maintenance of bone mineralization (Vieth, 2012). In the endocrine system Vitamin D regulates insulin secretion. Investigation shows that it is a potent immune system modulator. It also exhibits effects in the cardiovascular system regulating blood pressure. Severe vitamin D deficiency results in a condition known as rickets in children and osteomalacia in adults since it is important for development and maintenance of the bone structure (Persson et al., 2013). Osteoporosis has been linked to secondary hyperthyroidism caused by vitamin D deficiency. Increased PTH secretion by the parathyroid glands result in increased bone resorption increasing the bone breakdown and precipitate osteoporosis. Cancer,