Thursday, October 31, 2019

City Genral plan Essay Example | Topics and Well Written Essays - 1000 words

City Genral plan - Essay Example As well as activities that are acceptable on every land parcel, this provides every area with compatibility and continuity as well as those individuals who border those areas. Taking an example of a general plan of Albany, in New York and, the element of land use element has been addressed of which its purpose is to benefit individuals and shape development of cities this is vividly seen in reference with the cities prospective of which its plans are to shape the road ahead, with a target that they feel should be accomplished in the future twenty years from the current time. In the land use plan land uses a pattern known as the spatial distribution all over the city and ways in which for instance the occupants or even enterprises make use of land that is available. The goals that are entailed in this element are simple but at the same time work best, it ties to the six original visions statements which are original and its aim is to support the adoption of a balanced future land use pattern standing with these concepts. There’s also strategies in the land use element and has suggestions such as the utilization of properties that have been neglected or could be they are not occupied, maps are used to guide decisions in the transportation connections land generally the use of land. The land use map outlines a number of lands uses for instance what is referred to as the downtown hub. In all of these corridors there’s employment and education centers that are contained and their results lead to a prosperous economy and revitalized development of the city. The land use element is essential because it is what is used to guide future development and make land use decisions that maintain attractive and economically sustainable city, through considering citizens satisfaction survey in making improvements it can lead to a commendable city development. While dealing with the land use element hardships that are involved in matters like understanding nature an d the limitations the planners coaching and motivation bring to decision concerning how land is used. In land use element we see that the cultural factors are mainly less emphasized in comparison to the physical and even the economic and social characteristics in making decisions on land use patterns. For instance in places that are have the potential of productivity according to soil and the slope parameters and to the existing social economic aspect do not maintain the activities that a land use would assign to them. The cultural factors that affect land use element and mostly in development of a city are information, the technology and the biasness that comes along this factors could either affect land use component positively or negatively. Due to cultures being different from one another, there happen that evaluation on land use can’t be standardized for similar physical conditions. People living and working in a given space often there’s is disregard the proposal s of studies on the constraints that are physical in the area. When we have people living and working together at a place there’s usually disregard of proposals on studies on the physical parameters of the area. Land use element evaluation on the Albany city portrays the potential for production and loss under a specified land use thus there is no possibility of commanding a decision that depends on the individuality of the populations influenced. Some of the systems attributes turn out to be dangerous to the

Tuesday, October 29, 2019

Consider the value of mobilisation theory in understanding trade union Essay

Consider the value of mobilisation theory in understanding trade union activism in all its forms - Essay Example The trade unions probably had a role in advancing equality between gender and equality among races. They have been mobilised to combat the onslaught of the HIV-AIDS in the working places and were important conduits to better health for employees and the proletariat. It can also be argued that trade unions are among the leading organizations in the fight against HIV-AIDS and all scourge of humanity (Trade Union Congress of the United Kingdom 2011). At the same time, however, trade unions are organizations that are relatively to radicalize in society. Marx, Engels, Trotsky, and other leaders of Marxism and several generations of the Communist and Socialist International have focused on the trade unions for their revolutionary work. The charisma of communist and socialist organisations has once threatened the industrial revolution in the late 18th and 19th centuries. The Marxist liberations movements strengthened by the trade unions have almost wiped out capitalism in the face of globe. Once upon a time, the Marxist liberation movements have covered much of Europe through Union of Soviet Socialist Republics and through the â€Å"people’s republics† of China, Vietnam, Cambodia, and Laos. ... II. Mobilisation Theory: the Kelley and the Johnson-Jarley perspectives The emergence of mobilization theory is attributed to John Kelly. According to Johnson and Jarley, Kelly’s mobilisation theory moved industrial relations discourse â€Å"away from collective bargaining and its associated institutions and towards an examination of the processes that converts individual grievances into collective action† (2004, p. 543). Kelly’s work had emphasized that â€Å"injustice serves as the central organizing principle for mobilizing workers, and as such provides a potential powerful construct for understanding industrial relations processes† (Johnson and Jarley 2004, p. 543). The tone and content of the work of Johnson and Jarley (2004) supported Kelly’s perspective. In interpreting the trade union history of the United States, Johnson and Jarley pointed out the trade union rhetoric had centred their demands on â€Å"workplace dignity† and â€Å"s ocial justice†. However, perhaps we should not forget that there was no other alternative then but to centre on the rhetoric because the industrial revolution was probably associated as well with growing inequality. In the United Kingdom, I believe it is well known that the industrious revolution has been associated with long working hours and enslavement of women and children in factory grounds as a few lived in luxury. Women and children have to work for long hours during the early phase of the industrial revolution as the factory owners were enriching themselves. The work of Johnson and Jarley (2004) was built on testing the argument that member participation in trade union work is a function of workplace injustice and justice perceptions. The Johnson and Jarley

Sunday, October 27, 2019

Effect of the Financial Crisis on House Prices

Effect of the Financial Crisis on House Prices Financial Crises. Analysis of House prises in London  and Almaty and how world financial crises  affected Kazakhstans economy. The subprime market crisis that hit the financial markets in the summer of 2007 caused a series of negative market reactions on a global scale. The tightly entwined nature of world financial markets represents a global loop whereby occurrences in one market have implications in and for others. This factor has been and will continue to be one that triggers international financial incidents, and in some cases they result in what are termed as a crisis. A crisis is defined as â€Å"†¦an unstable or crucial time or state of affairs in which a decisive change is impending; especially :one with the distinct possibility of a highly undesirable outcome†[1]. This describes the financial situation that forms the basis for this study, the subprime mortgage meltdown in the United States that hit the global stage in the Summer of 2007. In equating the ramifications of the preceding, two locales will serve as the focal point of the foregoing. London and Almaty are two examples that offer a distinct contrast in terms of where they sit in the global economic arena. London is located in the financial stable European Union, and is a city that has gone through differing economic turmoil in its long history. Almaty, is located in Kazakhstan, a new country that was borne out of the ashes of the break-up of the Soviet Union, and is seeking its economic identity through creating an infrastructure that is being crafted from the state run Soviet system that left few positives in its passing. The financial services sector is often a little understood arena owing to the complexities of how it operates within the context of international economic activity and the variables of the market economy. The intricate nature of the ties between differing regions, and how they interact upon one another represents a complex set of macro and micro economic aspects within which this crisis developed and impacted every corner of the globe. This study shall look into the manner in which this financial crisis affected the real estate markets in Almaty, Kazakhstan as well as London, England looking to uncover the why of this impact, along with the ramifications. 1.0 Introduction The tightly interlinked nature of the global economy has brought every corner of the globe closer together as a result of the advances in technology. This fact is also of course true for the financial services sector. In the later part of 2006 a financial issues began brewing in the United States as a result of lending activities in the home real estate sector. The underlying problems created from the lending of favourable interest rate loans that were put into motion by the Federal Reserve System in the United States to spur economic growth translated into a later meltdown as a result of defaults. The Secretary of the Treasury, Henry Paulson, Jr., stated that the situation â€Å"†¦ came about because of some bad lending practices[2]. Timing, circumstances, and other factors in the complex web of national economics that are tied to global economics can generate an unpredictable set of occurrences that can mushroom in almost any direction. Such is the situation that befell the subprime mortgage arena as it reeled from a cascading series of events than impacted global markets. So great were the ramifications that the situation still threatens the U.S. economy. Fears of a recession have been forecast as a possible outcome of the downturn this situation contributed to. The discussion of what transpired in the United States is integral to understanding the wave of events that represent the focus of this study. There are those who believe that the foundation for the crisis was laid in good economic principles, and it was the greed of some operators in the U.S. financial sector that abused the directive with what is termed as predatory lending practices[3]. There are others who fault funds and banking systems for helping to fuel the underpinnings that lead to the crisis, and still others who think that such market shake outs are the way in which the international financial sector finds ways to deal with loose bolts within th e system[4]. Alexander et al (2002) tell us that[5]: â€Å"Finding that some loans are more risky than others does not, by itself, imply a market inefficiency. Inefficiency exists only if loans with different risk receive similar interest rates. We document such an inefficiency†. The ramifications of the tightly wound international financial system is that while it provides opportunities to make money, it also magnifies the downsides and loses money. Gains always have their negatives, thus financial mishaps have and will continue to happen. In understanding the subprime financial crisis, a broad number of topic areas will be covered herein to draw a picture of the matter in which financial markets work in this instance. One key aspect of the foregoing is liquidity. McGee[6] tells us â€Å"The essence of a liquidity crisis is a flight from riskier assets to cash†. In understanding the many contributing factors, one has to be mindful that this situation originated in the United States, thus there are other considerations that also factor into the equation. Financial crises situations are nothing new; they are market occurrences that appear on an all too frequent basis. Chi and Gai[7] provide a perspective on this: â€Å"The spate of financial crises in emerging market economies as diverse as Brazil, Korea, Mexico, Russia, and Turkey, during the 1990s has focused attention on the importance of improving the policy framework for the management and prevention of crises. A distinctive feature of these modern crises has been the role of imbalances in the national balance sheet. Maturity, currency, and capital structure mismatches meant that the capital account took centre-stage, with large external financing gaps emerging as a result of unparalleled reversals of capital flows. Foreign investors wanted, and attempted, to withdraw from these countries at the same time, much like a run by depositors on a bank. Once sentiment soured sufficiently so that a critical mass of investors rushed to withdraw their claims, the crises became self-fulfilling as others found it rational to join the herd.† The preceding situation represents a different financial crisis, however it does provide us with some valuable insights that will guide us through the varied aspects that will be discussed herein. The important part of their statement is the fact that risk represents an underpinning in financial transactions, thus risk is a situation to be minimised. A sense of the complexity of this examination is provided by Langley[8] who states: â€Å"Any attempt to apprehend contemporary world finance encounters not only significant structural changes that cannot easily be captured, but also the predominance of neo-liberal political economy in framing our knowledge of world finance. Alternatives to the neo-liberal mode of knowledge of world finance are a necessary first step towards forestalling the worst eventualities of the current structural transformation. Neo-Liberalism represents a facet of this examination in that[9]: â€Å"The most powerful coalitions between state agents and economic actors are found in liberal political economies. The Soviet Union offered an alternative to capitalism that theoretically emphasized economic justice and material welfare, one that intertwined economic and political power even more closely together than elites are thought to be in liberal capitalist states. Even so, the power of the economic agents of the Soviet state was more structurally constrained than the power of capitalist states and their agents. In a global economy, the underpinning foundation is capital, and the movement of that capital to effect borrowing and lending, along with the financial instruments that accompany such action[10]. Capital movements have cycles that are marked by up turns and down turns based upon the activities within markets and the decision of the cogs (individuals) that run the machinery. The foundation, influence, reasons and reasoning behind those decisions represent paths that lead in differing directions which impact other course of actions that create cycles. This study shall follow these paths as they related to the subprime crisis. 2.0 Background As indicated, the financial crisis under examination originated in the United States, starting as far back as 2002. The ramifications of that event shall be covered in the Literature Review of this examination. In setting up the path of understanding for the journey through the twists and turns of the crisis, a foundational pillar of understanding is necessary in order to see the varied ramifications. Carrada-Bravo[11] advises â€Å"the process of creating value starts with the identification of a market need.† Today’s international financial system is an outgrowth of[12]: â€Å"The collapse of the Bretton Woods system of fixed exchange rates in the early 1970s marked the last major turning point in the evolution of global finance, ushering in the generalised non-system of exchange rate arrangements that survives today. However, at least as important in the development of international financial relations since then has been the enormous growth in the volume of international capital flows. In large part, this growth is attributable to the dismantling of the panoply of exchange controls introduced during the Bretton Woods era to facilitate exchange rate management by central banks under the auspices of the International Monetary Fund.† In understanding the dynamics of the circumstances that comprise the comparison of events in London and Almaty, Makin[13] provides us with an important capsulisation of the underpinnings that will be brought out herein: â€Å"The domestic financial markets of many economies have therefore been increasingly internationalised in the wake of liberalising policy initiatives implemented by governments around the world. Financial market liberalisation in many advanced economies was virtually complete by the late 1980s. With the removal of previously stringent regulations over domestic and international financial transactions, institutional barriers impeding the movement of financial capital between many regions of the world have now largely disappeared. Accompanying the domestic deregulatory changes were tighter prudential arrangements in advanced economies aimed at strengthening the capitalisation of banks and hence the stability of domestic financial systems. Such accompanying arrangements have been lacking in many emerging economies however and this has been a fundamental reason for recurrent financial crises in these economies†¦Ã¢â‚¬  The highly integrated nature of international financial markets as a result of globalisation has integrated national economies to the point that the world is virtually a seamless flow of capital. The foregoing, combined with the international liberalisation of world financial markets that arose out of Bretton Woods facilitated a dramatic increase in financial movements across borders that has been aided by advances in technology that have reduced transaction time, and lowering costs[14]. The increased efficiency of the preceding has helped to increase the pool of funds available for lending activities to all nations. Capital mobility is the underpinning for the preceding as fund availabilities can be quickly correlated. These advances have brought with them inherent problems, one of which is an important facet of the manner in which the subprime crisis impacted Almaty more than it did London. The following provides insight into an area that is an important point of understanding to b e remembered[15].: â€Å"International money market activity of this order and the lightning speed at which funds can now quit countries has also prompted many commentators to question its worth and, in light of heightened vulnerability to foreign investor sentiment, to emphasise its perceived dangers. In particular, strong objections to the ever-increasing trend of financial globalisation have been raised on the grounds that the governments of the economies most affected have ceded their economic sovereignty to international investors.† Thus, the actions of individuals within a market can start a feeding frenzy based upon the promise of available opportunities that seem to be available in the future to entice bankers into lending policies that incur the preceding. This is exactly what occurred in Almaty, as shall be explained in the Analysis. Given the aforementioned complexities involved in a discussion of this crisis. This background is being utilised to inject core issues that will be useful in understanding the circumstances and other areas to be explored. In finance, risk equates into a higher rate of return as fewer opportunities for borrowing are present. This has been a fundamental principle of lending since antiquity. High current account deficits along with rising foreign debt, means more risk, thus interest premiums must be charged. This makes the cost of money higher inside a country and acts as an inhibitor to borrowing. The preceding translates into the creditability of the borrower and the circumstances involved. Desai and Said[16] help us in understanding the relationships involved in international finance in term of how they apply to the countries in which London and Almaty are located in, which impacts the events that occurred: â€Å"Financial crises, from the perspective of territorial order, arise because of a loss of control by sovereign states over financial markets and financial flows. The problem is invariably seen as one of inadequate regulation, the failure of governments either individually, or in concert with others, to exert sufficient control over the international economy. Economic agents have created patterns of activity which have escaped the control of governments. The response to these problems is to find ways of restoring the control of each sovereign state over these activities by increasing regulation. This may involve enforcing existing powers, or creating new institutions, either intergovernmental or national in their scope.â€Å" In times of crisis, increased financial regulation is imposed either internally by the sovereign state, or externally by lending controls that make the cost of money more expressive, and thereby limits its use. This represents what Desai and Said[17] tell us is â€Å"cosmopolitan order† in global finance that:  ·Ã¢â‚¬ ¦ emphasises not state sovereignty but either market sovereignty or the sovereignty of capital accumulation. There are many different variants of the cosmopolitan conception of world order including neo-liberal, Marxist and Austrian strands but what all of them share is the assumption that the state and politics are subordinate to the way in which the economy is organised, whether this is the spontaneous market order of Hayek or the system of production relations of Marx. These structures determine how the society as a whole evolves and they supply its ordering principles. This means that states have to operate within fairly tight constraints, imposed by the way in which markets and accumulation work. They do not have much discretion in determining their responses. The growth of a global system of production and exchange, from the very first, tended to run ahead of states and national jurisdictions. It ended up undermining and circumscribing them. It has not destroyed them, but it has created powers, resources, networks and institutions which go far beyond them and which it is impossible for states to control without destroying the conditions for economic growth and prosperity and with them the fiscal basis for their own existence. World order is cosmopolitan rather than national in this sense. It is based not on states and intergovernmental co-operation, but on the logic of markets and capital accumulation.† The preceding is another important central aspect that is a part of this study, in that it applies to Almaty, and how the subprime meltdown ripple effect was handled to bring about a correction in Kazakhstan. 3.0 Methodology The approach to this study utilised a number of techniques to approach the examination of how the United States subprime mortgage crisis impacted Almaty and London. The complexity of the situation entailed looking at economic, statistical, historical, pre and post market factors, and other elements to equate the forces acting upon various markets in order to glean a picture of the what transpired. The following will set forth the various techniques used. 3.1 Research Philosophy and Approach Qualitative and quantitative research was used in this study as the combination of these two approaches led to a more comprehensive understanding of the forces acting upon the situation. The foregoing aided in equating key aspects of the study as represented by occurrences that transpired in the market, along with historical components. Secondary research that entailed books, journals, magazines and the Internet were used as the study entailed gathering past data and contemporary information in order to compile a picture of the situation and aspects associated with this investigation. As the range of the examination took in a broad array of financial, market components, it must be understood that in researching data it might have been possible that some information was either overlooked and or not available. The volumes of data on the study also rendered the possibility that some more important sources of information where not found that could have potential altered the findings, ana lysis, conclusions and or recommendations reached. In order to guard against such possibilities a number of differing sources were reviewed in order to form a more balanced assessment of the information. 3.2 Research Strategy One of the research methods utilised in this study represented what is termed as a cross-sectional study. The foregoing represents a method entailing observation of a number of items during the same point of time[18]. The preceding was utilised as opposed to a longitudinal study as the later represents observations occurring over a long period of time[19]. In conducting this study utilising the cross-section method, the foregoing entailed explorative, as well as descriptive and explanatory facets as it delved into the nuances of the industry, seeking to describe the contextual factors, along with the explanation of strategies, and tactics. The vast views of approach, and thought contained in understanding this study takes in a broad range of secondary research as this method provides exposure to a balanced view that is not skewed by what can occur in primary research. Secondary research allows us to be in touch with many different points of view, however, it can not always be relied upon as the researcher may have sourced the wrong materials in making the analysis, and or missed certain key points that were either not available, or unknown at the time the study was conducted. Secondary research represents the gathering of information from books, journals, articles, other research sources, and case examples. Secondary research represents a means to collect information regarding techniques and procedures, as well as strategies, rationales and the reasons behind courses of action, and or circumstances. Within this study, the literature search represented the main sources of information. It, the literature search, consisted of an examination of existing material, searching for information pertinent to the project. The means via which to approach the study of a project can take on many forms. Inductive and deductive research represent two techniques that can be brought together to understand the views of differing approaches to the area under examination[20]. The combining of research methodologies has been advised as a means to improve the quality of an examination, and it is possible to bring these different approaches to bear on one study, whereby there are advantages in so doing. Table 1– Comparison of Inductive and Deductive Research[21] Saunders’ (2006, p. 121) advises that the path of deductive research often is faster in terms of completion, as the data collection is usually based on what he terms as â€Å"†¦ one take†. Inductive research however, states Saunders (2006, p. 121) â€Å"†¦ can be much more protracted †¦Ã¢â‚¬  in that frequently the ideas are â€Å"†¦ based on a much longer period of data collection and analysis † all of which has to emerge gradually. 3.4 Research Questions In order to equate the answer or answers to the query entailing how the financial crisis impacted the real estate sectors in London and Almaty, the research questions entailed looking into an understanding of how economies work on a national as well as international level, along with financial market operation on a national and international level. 4.0 Literature Review Allen[22] in his book â€Å"Financial Crisis and Recession in the Global Economy† tells us of the fact that the â€Å"†¦rapid expansion and globalisation of financial markets shadows most other recent developments in international economics†. The foregoing is a critical component in the understanding of the recent U.S. sub prime mortgage crisis and its impact on global markets. Allen[23] advises that during the past twenty years, the international financial sector has changed and advanced in dramatic fashion, earmarked by the introduction and success of an entirely new currency, and change in the underpinnings of financial cohesiveness that impacts the countries of the European Union as well as the rest of the world. The Euro is the singular most noteworthy development in the rapid expansion of international finance that is marked by a host of important occurrences. He explains that new financial instrument such as derivatives, offshore banking, offshore financial markets, along with numerous other developments are at work in a global financial system that binds itself closer and closer by degrees each day Allen[24]. In his book, Allen[25] explains that the advances in information technology has directly impacted the growth and interlinkages in international finance as he states: â€Å"A financial transaction can loosely be defined as any business arrangement where money changes hands but the only other thing that changes hands is documentation. Both money and documentation are moved by information technologies; therefore financial market activity is enhanced by advances in those technologies. Expanding use and performance of electronic and regular mail service, telephones, computers, fax machines, image processing devices, communication satellites, fibre optics, the World Wide Web and so on creates better opportunities in finance† In illustrating the foregoing, Allen[26] explains that in the early 1980s financial transactions were communicated across telephone lines, via facsimile machines, and satellite transmissions that were â€Å"†¦collectively owned and operated by national governments through Intelsat in proportion to national use†. In his book, Allen[27] advises that developments in the speed of transmission of the facsimile machine during the 1980s corresponded to increases in international financial transactions. In the early 1980s a single page transmission took six minutes, by the end of the 1980s that time frame was down to three seconds. Increased speed in transmission times helped to facilitate international financial transactions, thus bringing global financial instructions closer together in terms of their ability to conduct business in a more timely manner. In today’s world, international financial transactions take place over T1 networks employing packet-switching networks that can communicate with any bank, anywhere almost in real time, as volumes of data and documents can be transmitted in seconds[28]. The significance of the advance of technology is further explained by Allen, as he stated[29]: â€Å"Changes in communications have always affected the structure of finance, but these developments of the last few decades are responsible for the truly global nature of todays financial markets. As participants use these new technologies and networks, linkages are formed between various national and international sub-economy financial markets. New international opportunities have occurred for centuries, but only recently has interdependence become so pervasive to merit the word global† The rapid developments of information technology and its impact on global monetary movements brought capitalist economies closer together and rendered the opposing state planned economy as a dinosaur, thus, along with a long list of other important development, helped to lead to the collapse of communism as an alternative economic system[30]. The developments in information sharing systems, transmission, interbank transactions, international currency and stock trading underpins what is termed as the global economy that transcends the century’s old manifestation of borders. DeMartino[31] helps us to better understand the preceding by explaining: â€Å"†¦emerging today is not just the latest experiment in economic organization, it is, indeed, the highest possible form of economy. Global neoliberalism, the extension of market-based economic integration across all local, regional and national borders, will provide humankind with the optimal means to achieve prosperity from now until eternity. With the perfection of the global capitalist market economy—and the consequent eradication of communism socialism and all forms of state planning—economic history as the contest among alternative forms of economic systems †¦ come(s) to an end.† DeMartino’s[32] statement concerning neoliberalism represents an important concept within the context of this examination, thus it shall be explored briefly, to add illumination as to its meaning. Martinez and Garcia[33] help us to understand the foregoing by stating: â€Å"Neo-liberalism is a set of economic policies that have become widespread during the last 25 years or so. Although the word is rarely heard in the United States, you can clearly see the effects of neo-liberalism here as the rich grow richer and the poor grow poorer. Around the world, neo-liberalism has been imposed by powerful financial institutions like the International Monetary Fund (IMF), the World Bank and the Inter- American Development Bank.the capitalist crisis over the last 25 years, with its shrinking profit rates, inspired the corporate elite to revive economic liberalism. Thats what makes it neo or new.† The concept of neoliberalism comes into play in terms of the ramifications of the recent U.S. subprime crisis. The following, represent market undercurrents that help to explain the underlying as well as overt facets involved that were linked factors that impacted the economy of Kazakhstan, along with the banking and financial market fallout from the subprime crisis. Per Martinez and Garcia[34] neoliberalim’s key points represent: Rule of the Market: This aspect of neoliberalism represents the freeing of private enterprise from bonds that are imposed by the state, irrespective of the impact such causes in terms of social change. The preceding entails developing internal mechanisms and policies that foster an increased openness to international investment as well as trade. In addition, price controls are removed, along with freedom of capital movement, services and goods. Deregulation: This aspect calls for the reduction of state regulation of all areas that would have an impact on reducing profits. Privatisation State owned enterprises are divested, representing banking institutions, utilities, hospitals, important industries, education system and allied areas. Unfortunately, in most instances privatisation has had the effect of putting a concentration of wealth in a few hands when systems are dismantled, as has been the case in Kazakhstan as well as other former Soviet bloc states, resulting in higher prices for goods and services. Elimination of the Concept of the Public Good or Community This represents replacement of the foregoing with what is termed as individual responsibility. This is exampled by pressuring the poorer segments of society to find their own solutions for lack of health care, employment and education, and then finding fault when they do not solve these and or similar problems Martinez and Garcia[35] further explain neoliberalim, by advising that it represents a policy reform that has been imposed by the World Bank and other g

Friday, October 25, 2019

Nuclear Weapons :: Threats To World Peace

Nuclear Weapons   Ã‚  Ã‚  Ã‚  Ã‚  In the beginning The Atomic Bomb was constructed to end a war and save lives. Since that time fear and power have risen because of the threat of world destruction. Coming from Los Alamos, New Mexico a town that makes nuclear weapons I have a different view than most. In Los Alamos we always have protesters with big signs calling the scientist, that work at The Los Alamos National Laboratory, killers. Now when I drive by and see these signs I can not help but think of my father, stepmother, and all my neighbors, all of my friends’ parents as being killers. I know and love these people and to see them called killers is a strange concept to grasp. The following will discuss nuclear weapons and what the intended use is, where and how nuclear weapons became a problem, the effect it has had on the world, the problems it has caused, what is being done about the problems. Nuclear weapons are the backbone and liberator of our great country. To put a tool used to ins ure our great country on the backburner would be a great injustice and would put our country in grave danger.   Ã‚  Ã‚  Ã‚  Ã‚  Many people ask why do we still need all of these weapons or killers as they are often referred to as? They think that we have enough already and what is the point of continuing the excess. Instead of thinking of nuclear weapons as killers we should be looking at them as lifesavers. In that light I think everyone would agree that you could not put a limit of the value of life. Everybody hears the statistics about the United States having enough weapons to blow the world up three times. This may be true, however as technology advances so do weapons and you can bet other countries are not settling for the weapons they already posses. If we were to stop the production of nuclear weapons we would be alone in that effort. When we have people like Sadam Hussain in the world, which we always will, we need the protection that only nuclear weapons can provide. If people think that trying to bargain with a man like Hussain without safety net is plausible then they are hugel y mistaken. It would be like using a typewriter instead of using a computer because we have an abundance of typewriters. â€Å"It would be wrong to assume that a broader conception of international security makes it easier to achieve the goal of nuclear abolition† (Cowen-Karp 6).

Thursday, October 24, 2019

Queuing Up

Long Queuing Time Pepper lunch restaurant is famous for providing hot, fast and delicious food to customers. It attracts many people to visit, no matter in peak hours or off peak hours. However Pepper Lunch Restaurant have a poor queuing for customers to buy their wanted dishes. According a servey, a customers said that when he buying a meal, he counted from queuing to get a meal on the get dishes area, it takes around 45minutes in peak hour while it takes at least 15 minutes in off peak hours.Customers have to spend much time when they visit Pepper Lunch Restaurant. The picture at the right hand side showed Pepper lunch restaurant had made a notice for customers which listed about the queuing time is around 20 minutes and apologize for that non-convenience issue. Therefore, the following part is focus on this problem and also suggests some improvements for long queuing time. There are several reasons in causing this problem. One of the reasons is the pepper lunch restaurant in Festi val Walk lack a smart, fast and effective payment system.Only cash is accepted. Octopus card is not accepted as a payment method in the payment system. As all known, nowadays Octopus card is a well-known and very convenience payment method for people to use in buying things and pay transportation fare. Apart from the payment method, Pepper Lunch Restaurant only has one cashier for people to buy their meal. In peak hours, there are at least 20 people in the queue. In off peak hours, there are still 10 people in the queue.A survey interviewed 10 customers who standing outside the Pepper Lunch restaurant, asking whether they would give up if they saw a long queue outside the restaurant. Not surprisingly, 5 people said yes and they would choose other restaurant. The result showed that long queuing time is a serious problem to pepper lunch restaurant. Base on the above problems, we suggest the following improvements. Pepper Lunch Restaurant should install the Octopus card payment system for people to purchase the meal.The Octopus card payment system is a convenience system for payment. It is already widely used in buying food in some specific store or restaurant which installed the Octopus card payment system. Therefore, pepper lunch restaurant should install the Octopus card payment system for people to purchase the meal in order to reduce the time during the payment process and also to save time for change. Apart from installing the Octopus card payment system in the cashier counter, pepper lunch restaurant can set an auto-machine near the cashier counter.This auto-machine is quite like the auto-machine used in cinema. People can order their food by using this auto-machine with their octopus card. It will save much time in queuing. Although setting one more cashier counter, a self-purchase machine and the Octopus card payment system might slightly increase the cost, it can highly reduce the queuing time and attract more people to visit the restaurant. It definite ly would be the best long-term plan for its business and helps to increase profits.Beside, pepper lunch restaurant should set one more cashier in the counter to shorter the waiting time for buying meal. If there are two cashiers in the counter, one cashier could be used for cash while the other could be used for octopus. It would be a great payment system and could shorter the queuing time effectively. The below picture is the orginal layout design of Pepper Lunch Restaurant in Festival Walk The fowlloing picture is our suggested layout design for Pepper Lunch Restaurant.

Wednesday, October 23, 2019

Lifestyle Disease

Definition of Lifestyle disease Lifestyle disease: A disease associated with the way a person or group of people lives. Lifestyle diseases include atherosclerosis, heart disease, and stroke; obesity and type 2 diabetes; and diseases associated with smoking and alcohol and drug abuse. Regular physical activity helps prevent obesity, heart disease, hypertension, diabetes, colon cancer, and premature mortality. ‘Lifestyle diseases’ such as heart disease, some cancers and diabetes, which are no longer a problem just in wealthy nations.Globally 14. 2 million people between the ages of 30-69 years die prematurely each year from these diseases. These diseases have emerged as bigger killers than infectious or heridetary ones. Risk factors for these diseases include tobacco use, unhealthy diets and physical inactivity. Today we will take look at the most common lifestyle diseases that you need to take care. Some of the diseases which occur are due to the wrong lifestyle.They are mainly due to the drugs, tobacco smoking and chewing, alcohol consumption, lack of physical activities, heavy junk food, over tension, no social life, lot of traveling, no specific eating habits and changes in eating hours, etc. It was observed that in many European countries in second half of the 20th century, people changed their food habits. They started consuming more and more meat, diary products, Alcoholic beverages; they had reduced the consumption of bread, potatoes, rice, and maize flour.This reduced the intake of essential nutrients which were beneficial for the body at the same time they reduced doing physical exercises. This created an increase in ‘Cancer' percentage amongst the masses. Due to large consumption of junk food and doing less exercises many started suffering from various heart aliments. Some of the common disorders and diseases amongst the masses due to wrong lifestyle are:- 1) Alzheimer's 2) Asthma 3) Cancer 4) Type 2 diabetes 5) Heart disease 6) Chro nic renal failure 7) Depression 8) ObesityLifestyle diseases are known as silent killers. Due to industrialization there was advancement in the life of the people according to that lifestyles changed, they started consuming junk food and did a very little physical activity. In the long run it started creating problems. Prior to 1940's the main causes of deaths were Malaria, typhoid but after that due to changes in lifestyle more and more deaths occurred due to the Cancer, Heart attacks, Diabetes. Can we prevent these diseases? Yes, we can prevent those diseases by changing our lifestyle.Following are the some important steps which can counter-attack the ill-effects of our wrong lifestyle: 1) Performing regular exercises. 2) Balance diet. 3) Reduction in unnecessary food consumption. 4) Avoiding junk food. 5) Proper eating times and habits. 6) Regularly doing yoga to refresh your mind and body. 7) Doing Meditation. 8) Sharing your thoughts with your friends Summary Wrong eating habit s, less exercises, junk food are the main causes behind the deadly lifestyle diseases. More and more deaths are occurring due to this. Let's change this and enjoy a healthy life.

Tuesday, October 22, 2019

Holes essays

Holes essays The book Holes is about a young boy by the name of Stanley Yelnats. Stanley Yelnats is a young boy who has been sent to a camp called camp Green Lake for being accused of stealing some shoes. Which were going on an auction from a famous baseball player named Clyde Livingston. Stanley denies the whole thing; he says the shoes just fell out of the sky. No one really believes him, not even his mom and dad. When Stanley goes to this camp the Warden orders him that he digs holes with the rest of the kids who were there. Stanley meets five kids named Zig-Zag, Magnet, Armpit, Squid, X-ray, and Zero Stanleys best friend at the camp. All 6 of these boys, including Stanley stay in the same bunkhouse. Bunkhouse letter Group D. Mr. Pendanski is the younger counselor who communicates with the boys the most. Mr. Sir doesnt talk to the boys a lot but is the more discipline counselor. The Warden is the head of the Camp who very rarely comes out of her air-conditioned log house. Stanley Yelnats had a great-great-grandfather, named Elya Yelnats, and he was in love wit his fianc. When her father wanted her to finally get married he had to choose between Elya and a man who wanted to trade her for a pig. Elya decided he was going to get a bigger pig and compete against this man. Elya went to Madame Zeroni, and she said that she would give him a baby pig and Elya would have to carry it up a mountain once a day and sing with it and it would grow to be bigger than the other mans. Only one thing Elya had to promise to do, after he wins his fianc over he would carry Madame Zeroni up the hill and sing to her, Elya agreed. Elya did this and his pig ended up being the same size as the other mans. When his fiancs father decided to let his daughter pick, she picked the other man. When Elya heard this he immediately hopped on a boat to America. In America he got married and ha ...

Monday, October 21, 2019

Writing Your Thesis Proposal Like a Pro

Writing Your Thesis Proposal Like a Pro Satisfactorily completing a masters or PhD thesis- which includes background research, original research, and writing- indicates that you are qualified to join the community of scholars who advance our collective understanding of the world.Why write a thesis proposal?The purpose of writing a thesis proposal is to convince a faculty committee that you know enough to move forward with your Masters or PhD research. This transition from a masters or doctoral degree student to a masters or doctoral degree candidate amounts to a stamp of approval from the university, and comes with substantial benefits. You are authorized to conduct the proposed research, and can attach the universitys name to yourself and your research. Depending on the field and institution, this approval can come with direct financial support in the form of research or teaching fellowships.Approval of your thesis also comes with improved access to university resources, including faculty who can guide your research and c areer; research equipment and facilities; and specialized libraries, collections, and databases. A university affiliation also opens doors to many other resources. Do you need to interview survivors of childhood sexual abuse? Your recruitment flyers will get much better results if your name is followed with a university affiliation. Do you need tissue samples of rare brain tumors, or access to ancient Egyptian documents written on papyrus? That university affiliation will help.While a thesis proposal is specifically to fulfill academic requirements, youll likely use the same general strategy later in your career. You may write grant proposals to secure research funding from organizations like the National Endowment for the Humanities or the March of Dimes. You may write investment proposals to secure funding for the new drug your company is developing, or the new charter school you are planning with like-minded educators. In all these cases, you are describing a problem that needs t o be solved or a question that needs to be answered, and explaining why you and your idea deserve their support.What is in a thesis proposal?Different programs have different guidelines for a thesis proposal, but typical requirements are as follows:Title: A one-sentence summary of your thesis proposal.Project summary: A ~250 word summary of your thesis proposal. You should introduce your system and question, outline your research methods, and state your anticipated results and conclusions.Introduction: This section provides context for your research by providing background information on the questions being addressed and explaining how your work will fill a gap in our knowledge or change the way we think about something. You should also discuss why your study is of general interest. In the final introductory paragraph, clearly and concisely state your research question and hypothesis or hypotheses.Proposed study: Here you present, in as much detail as possible, the study you propose to conduct. Your study should be feasible with the time and resources that are available to you. It should also advance our collective understanding of the field, even if your hypothesis turns out to be wrong. Be sure to provide enough detail so that a reader with a basic understanding of your field can understand what you plan to do. Common techniques do not need to be explained, but be sure to describe the variations to the procedure that are specific to your experiment. Be sure to include appropriate controls, such as sham treatments for experimental manipulations. Consider your research methods carefully- do they really test your hypothesis or hypotheses?Anticipated Results: Consider the possible outcomes of your study, how you would interpret them, and how they would allow you to discriminate among your hypotheses. Will you be able to meet the goals you set out in your introduction? Be sure to consider how your anticipated findings would change the way we think about the topic and how they fit in the context of the field. This is also the place where you should consider potential shortcomings or limitations of your proposed study. You may also speculate on the generality of your findings and suggest follow-up questions that might stem from your work.References: Depending on your degree program and area of research, your reference list may include as few as 10 references (for a masters program involving a small research project) to well over 100 references (for a PhD program in an area of intensive study). The goal of earning a masters or PhD degree is to demonstrate competency as a scholar who can advance our collective understanding, so you must become familiar with the literature in your field of study. Plan on spending a lot of time assembling your reference list and working to understand the research described.Tables: If appropriate.Figures: If appropriate.How do I pick a topic?Whether youre working towards a masters degree or a PhD- or writing a the sis proposal as a classroom assignment- youll spend a lot of time working on your proposal. Be sure to start with a topic that is of genuine interest to you.In fields where research requires a lot of specialized equipment and resources- your possible thesis topics will be limited to what your thesis advisor and department are willing and able to support. In those fields (i.e., many of the biological sciences), you largely choose your thesis topic when you choose your department and your advisor. Choose carefully. Graduate students in these fields may spend less time choosing a thesis topic, but may spend more time on background reading in these areas of intensive study.Students in all fields will have some limitations. For sociology research, youll be limited by the populations you have access to. In the humanities, you may be limited by the availability of primary sources. If your research requires studying ancient calligraphy scrolls housed in a Taiwanese museum, you better be sur e you can get to Taiwan and gain access to those scrolls.Even with these limitations, the number of possible research topics can seem impossibly large. As you put together a list of possible topics, keep in mind that the goal of your graduate research is to contribute something new to our collective understanding. If you choose a research topic that has already been extensively studied- such as Shakespeares use of figurative language or unique characteristics of the bacterium E. coli- you will have lots of previous studies to wade through and few options for novel research.Photo by Matt Ragland on UnsplashOn the other hand, if you pick a topic for which there is almost no previous work- such as the romantic habits of homosexual Alaskan scuba divers- you will likely have trouble convincing your thesis committee that you can gather meaningful data in a reasonable amount of time. In general, you want to pick a topic that has been covered in existing research- or that is a straightforwa rd extension of existing research- but that still has many important, unanswered questions.Searching the literatureWhether you were assigned a research project based on what your advisor can support, or start with a list of interesting topics, your next step is to dig into the published literature.A good place to start is to read several recent research papers on your topic of interest; most papers suggest follow-up studies in the discussion section. Alternatively, a review paper often considers what research might be pursued next. Remember that this is a research proposal, not a literature review. For your selected topic, you need to develop a testable hypothesis- that you have the resources to test. This is where talking to your advisor, senior graduate students, and other people in your field is essential. They can offer insight on what is really feasible.As you read these primary research papers, notice that the format closely parallels the format of a thesis proposal. If the ti tle doesnt catch your eye, you are less motivated to read the project summary (or abstract). If the abstract doesnt sound interesting, you are less enthusiastic about reading the introduction. If the introduction doesnt clearly and convincingly describe why the research is needed, you are unlikely to care about the results. Aim to write a clear and convincing thesis proposal.Final commentsIt often helps to start with an outline. Be sure to include citations and a reference list in your outline and early drafts. It is imperative to correctly cite the previous work that has led to your thesis proposal, and many hours have been lost trying to track down lost citations.Be sure to follow your graduate programs guidelines for the thesis proposal. There are often specific requirements for the font, margins, word count, tables, figures, number of references, and how citations should be formatted.Be objective in your language: test hypotheses, do not try to prove them. Discuss your thesis pr oposal with your advisor, your classmates, and anyone who is willing to listen to you. Talking about your ideas often helps to clarify them, and others might catch errors that you may have overlooked. This is a major benefit of being part of a community of scholars.

Sunday, October 20, 2019

Carl Sandburg Biography Essay

Carl Sandburg Biography Essay Carl Sandburg was unique compare to many other poets. All of the poems that he wrote were short and straight to the point. You would not find any poems that he had written that are over a page, yet still; his poems are very easy to understand. Sandburg lived through a lot of historic events, so all of his poems were about those historic events. As you know, history isnt always exciting or easy to learn. Yet, Sandburg was able to write about those times in a way that an average high school student can understand, unlike other poets like Emily Dickinson or Edgar Allen Poe. Carl Sandburg should be included in an anthology of American poetry because of his writing technique and experience. Sandburg used a lot of the generalization methods to make his poems simpler to understand. Even though we know that sometimes-generalizing things are not good, Sandburg did a great job of it and was still able to write out everything he wanted to. Like I said, Carl Sandburg lived through some of the most famous historic events in the United States of all time. He had seen events like World War I, the roaring 1920s, the Depression, World War II, the New Deal, and the Cold War. The anthology of American poetry needs more poets with his kind of experience. Ill bet you that he never had trouble trying to figure out what to write about. The poem I chose by Carl Sandburg was a poem called JAWS. Its a poem about World War I, and it talks about how the countries that were involved in the war had a chance to prevent war, but they ignored it. This poem should be included as an example of the poets work because its saying what we think and feel. When we learn about how World War I was started, we would be thinking dont these countries realize what theyre getting themselves into and dont they have consciences. The poem JAWS talks about all these things so we can relate to it. Another reason why I think this poem should be included as an example of the poets work is because its short and straight to the point. If you were to give a high school student a choice of either reading a page long poem or a paragraph long poem, most chances are that student will pick the paragraph long one. And just because the poem JAWS is short doesnt mean its not well written or incomplete with information. It has enough information for that certain type of poem and probably even an elementary student can understand it. This poem can be included in the canon because its about history and history is being taught on for all generations. It also should be included in the canon because not many poems in the canon are as short yet still contains so much information.

Friday, October 18, 2019

Determining the Effectiveness of Graphic Organizers Research Paper

Determining the Effectiveness of Graphic Organizers - Research Paper Example Study Justification The graphic organizers do not remain within the bounds of books. Nowadays, almost in every academic institution; they are frequently used. Additionally, expository terms and texts are mostly written in a vogue manner; additionally, many academic authors use sophisticated language that hinders many students to properly understand the exact meaning of the text. In this regard, it becomes highly necessary to understand and determine the effectiveness of graphic organizers. Research Questions 1. What is an academic performance difference that is provided by the graphic organizers? 2. What makes graphic organizers to be more effective? Hypothesis Graphic organizers have been effective in diminishing the impacts of learning disabilities and at the same time upgrade the academic performance of the students. Null Hypothesis Learning disabilities do not remain the same regardless whether semantic mapping or cognitive mapping is utilized. Variables There exist two types of variables-independent and dependent variable. The independent variable is one that does not depend on the function of any other variable, and the opposite is true about the dependent variable. In this research proposal, they are: Independent variable = cognitive mapping or semantic mapping Dependent variable= Learning disabilities Assumptions 1. ... Cognitive Mapping Cognitive mapping facilitates developing significant ideas and relationships by employing arrows, spatial arrangements and lines with an aim of evaluating and understanding a particular text, context structure or a relationship between different concepts (Darch & Eaves, 1986). Semantic Feature Analysis Semantic Feature Analysis (SFA) is constructed in a way to enabling students to identify and comprehend relevant but pertinent pieces of information from lecture or text. The shape of matrix is used to present conceptual characteristics; and a matrix relationship uses vocabulary for its development, which represents the coordinate concepts installed at the top of the matrix and the vocabulary provides the subordinate concepts along the side (Bos & Anders, 1990). Semantic Mapping Semantic mapping enables students to highlight significant pieces of information from a lecture of text. In addition, students can pinpoint the isolated parts of information from the lecture o f text after identifying the main ideas supporting the main theme of the concept. In this way, semantic mapping is highly relevant to make better reading sense (Little &Box, 2011, p.27). Syntactic/Semantic Feature Analysis Syntactic/ Semantic Feature Analysis (SSFA) do not much differ from the concept of SFA. However, some difference such as adding the cloze-type sentences, for which matrix provides its base, are included to in the SSFA concept. In this concept, cloze sentences comprise of empty spaces. And, the empty spaces are to be filled up by the students by comprehending the context of the sentence and the SFA matrix. Visual Display Using computational manner, the visual displays are constructed in a way to represent concepts, relationships or facts spatially. In

Information Systems Architecture Research Paper Example | Topics and Well Written Essays - 500 words

Information Systems Architecture - Research Paper Example Increasing expenditures have coerced vivid transformations in the healthcare industry, with an attempt towards controlled care. Managed care tries to incorporate healthcare delivery procedure and persistently advance them via feedback based on analysis of care upshots. The accomplishment of supervised care relies on the collection, evaluation and flawless exchange of details inside and across institutional boundaries. In an inter-institutional arrangement, the architecture must give complicated deliberation maintain abilities. Information structure incorporation is a significant dimension of an organization’s information structure maturity. Additionally, it plays a pertinent function in addressing needs and responsibility goals. Nonetheless, there is no definite structure incorporation in health care institutions. Adoption of information structure architecture enables availability of massive quantities of health care details that give precious facts. This structure aims at dim inishing expenditures and advancing efficiency. Medical explorers wish to exploit clinical details to find facts regarding patients’ wellbeing details. These novel uses of clinical details potentially implicate wellbeing since the relationship of a physician and a patient relies on utmost trust. Efficient functioning requires comprehensive and accurate details about a patient (Shortliffe, 2012). Utilization of information structure design results in distinction that information technology safety is of main significance to the current community. This is recent in healthcare, but data technology safety is a well instituted domain. A massive body of information exists that can be utilized to safeguard healthcare details. An overall comprehension of the safety can be achieved by comprehending precautionary components, security standards as well as dangers. In addition, it is significant to comprehend management measures, information

Critical research paper on the book Lucy by Jamaica Kincaid

Critical on the book Lucy by Jamaica Kincaid - Research Paper Example We notice this trend of having an autobiographical base in nearly all of Kincaid’s books, where stories have been taken from the writer’s own life. In the novel ‘Lucy’, we find the main protagonist is an immigrant who comes to United States form Antigua in West Indies, like Kincaid herself. When compared to Kincaid’s other works we find that the chief character Lucy at nineteen is a slightly older character representation than the main characters in her previous works. This gives a more mature outlook to the novel which is interlaced with a cynical note. This work by Kincaid though retaining the piqued nature of her previous work ‘A Small Place’(1988) does not have the surrealism and repetitive nature of the latter, making ‘Lucy’ a far simpler story to read. The novel is a journey where a young girl slowly transcends into a mature woman as she explores her feelings, her loneliness, her sexuality and her conflicts with her mo ther. This novel in a non-linear manner moves smoothly and effortlessly between the past and the present through various dreams, dialogues and flash backs and the whole book bears a testimony to the strength of Kincaid’s narrative prowess. Like other American literatures based on the tales of immigration, this book too talks about the experiences of an immigrant who is new to the American way of life and is slowly adjusting to it. Identity crisis which forms a basis of many a colonial immigrant literature is not presented vividly here. Instead, we find this problem to be represented quite intrinsically in her relationships with her own country, her white employers and her new surroundings. Jamaica Kincaid was born in 1949 in Antigua in West Indies which was then under British colonial rule and her childhood was not a very happy one. However, at a very young age, she developed a liking for books and literature and soon this became an escape route for the young Jamaica

Thursday, October 17, 2019

Valuation of Nonlisted Companies in Emerging Markets Essay

Valuation of Nonlisted Companies in Emerging Markets - Essay Example Rapid changes are taking place in the economies of these countries and they provide a wonderful ground for investors to reap huge benefits. When compared to the developed world, the return on investment in these economies is higher and faster, as the rate of industrialization and growth in niche sectors is rapid. While we talk of investment, we have to distinguish between investment in listed companies and non-listed companies in these emerging economies. There is a difference in the way investments and returns are made in listed and non-listed companies. While listed companies are governed by stringent rules dictated by the respective governments, non-listed companies enjoy a certain degree of autonomy in their operations. There is a difference in the valuations of these non listed companies as compared to the listed companies. It is very important to critically examine the valuations of these non-listed companies in emerging markets, before a foreign or even a domestic investor puts in his capital. In the International Experts Meeting on Corporate Governance of non Listed Companies, held in Istanbul, Turkey on 19-29 April, 2005, a large number of policy makers, business leaders and other experts deliberated on the issues of corporate governance of non listed companies, namely different ownerships, sourcing of capital, transparency requirements, professional management and the role of the policy makers in ensuring the above-mentioned factors. This meeting was organized by the OECD and had participants from 36 countries1.The group concluded that there was a need for better corporate governance, meeting compliances, increase in size and capital ploughed in, transparency and working towards shareholders' benefit in non listed companies in the emerging markets to help the economy which, in many case was dependent on the success of these family-owned entities. In another study conducted in Chile, it was found that in some case, there is a conflict of interests between controlling and minority stakeholders. Pyramids seem to be an effective way of separating cash from controlling rights. This is an effective way for economic groups to exercise control over productive assets and to establish internal capital mechanisms that can compensate for poorly developed formal markets. However, establishment of pyramids could be detrimental to the market value of companies and to the economy of the country as well2. Research Process After reviewing the available literature, it seems logical to go about the research process by undertaking a study of non- listed companies in emerging markets, the main examples being China, India, Russia, Brazil. This would represent almost the majority of the developing world. A relative analysis of company ownership, cost of capital, cost of resources, market valuations, professional management, corporate governance and popularity on the local and international stock markets could be carried out. Two cases per country: one of a listed company and another of a non-listed company could be compared and the discussions and results arrived at. A study of each country's policies in the area of listed and non-listed companies would also have to be undertaken, and the need for improvement/change in

Distance Learning Education Research Paper Example | Topics and Well Written Essays - 1750 words

Distance Learning Education - Research Paper Example There has been a recent explosion in the field of education of distance learning but the history of distance learning dates back to as early as 1728, when Caleb Phillips, who was a teacher of Short Hand method, published an advertisement in Boston Gazette to seek students to whom he would send lectures on weekly basis. (Distance Learning 2007).The Pioneers of distance learning relied on postal services in the 19th century to provide educational opportunities to students who were not able to seek education by attending conventional schools. An Englishman, Isaac Pitman, is regarded has an early pioneer in providing distance education. In 1840s, Isaac Pitman taught Short Hand using correspondence in the Great Britain. The University of London established its Eternal Programme in 1858, and became the world’s first university to provide the opportunity of attaining distance learning degrees to international and national students. In the United States, the concept of extended educat ion through satellite colleges was established in the University of Chicago, by William Rainey Harper, who was the University’s first president. In 1829, William Rainey Harper further promoted education by encouraging the concept of providing school courses through correspondence, an idea that was originally put forward and practiced by Columbia University. In 1911, the Department of Correspondence studies was established in the University of Queensland in Australia. In America, Charles Wedemeyer of the University of Wisconsin-Madison encouraged the use of methods other than the postal service in providing distance education. In the UK, Open universities were established in 1969, which initially provided distance educational courses through radio and television broadcasts and now some of these open universities have attained the status of ‘mega universities’. In the United States, Jones International University was established in 1996 and is the first university to provide all its educational services online. The University is accredited by an accrediting association. Today, undergraduate and post graduate distance education is provided by many private and public, as well as by for- profit and non-profit educational institutions. Following the recent explosion in distance learning, national government authorities such as Quality Assurance Agency in UK and Distance Education and Training Council in the US, have been established to provide accreditation to distance education providing institutions. (Lau et al 2000). Virtual High School: Virtual High Schools or online high schools refer to the institutions which provide K-12 courses, in which the instructor and students are not only separated by time but by distance as well. The instructor provides the course by employing various methods such as multiple course management applications, internet, and resources relating to multimedia and video conferencing. The students communicate and interact with the instructors by using these same methods. (Distance Learning 2004). Types of Online High Schools: I. State Sanctioned Online high schools: In America, online high schools in fourteen states have been sanctioned by the state government and are designated as the State’s own virtual high schools. Such as the Florida Virtual School which in terms of enrollments is the largest virtual school and has been providing online educational services since 1997. Since its establishment the institution has been funded by the

Wednesday, October 16, 2019

Contract Law, Exclusion Clause Coursework Example | Topics and Well Written Essays - 1500 words

Contract Law, Exclusion Clause - Coursework Example Some of the examples of service contracts are providing accounting services , provision of health care , provision of legal services,etc.(Bradgate & White 2007 :211). A service provider who deals with his customer cannot enforce his own printed standard terms of conditions thereby cannot either restrict or exclude his accountability for infringement of contract or offer an incomplete service for which he has to demonstrate that exclusion clause is in line with â€Å" test of fairness or reasonableness.† If he has not taken any reasonable skill or exercise reasonable care, he will be held liable under â€Å"negligence† under the common or contractual law. The act of negligence engrosses any infringement under common law or any contractual duty to exercise reasonable skill or to show reasonable care. This study will analyse whether by including an exclusion clause in a service contract, a party to contract can avoid the liability for any loss caused by the negligence. Exc lusion Clause and Negligence In UK, service contracts do contain limitation or exclusion clauses. Sometimes, these limitation clauses are upheld in the case law. As regards to exclusion clauses pertaining to liability in a contract and in tort are normally valid only if they are rational which connotes in consideration with both contracting parties at the juncture of contract is made as per the Unfair Contract Terms Act 1977. An exclusion clause is like a double -edged sword since it will be construed against the party who relies on it as held in Curtis v.Chemical Cleaning Co. 1 (Barendrecht 2007 :685). A service contract may contain an exclusion clause thereby one party wants to restrict his accountability for his negligence or infringement of contract. Moreover, such clause can be relied by a party only if it has been included in the said contract, and for the purpose of elucidation, it is applicable to the loss in the question. Its validity will then be interpreted under the â₠¬Å"Unfair Terms in Consumer Contracts Regulations 1999† and under the â€Å"Unfair Contract Terms Act 1977.† It is to be observed that the above laws are introduced in UK on the basis ofEU Unfair Consumer Contract Terms Directive. (Lawson 2011:57). A party desirous to trust on the exclusion clause must demonstrate that it is part and parcel of the contract. Through by a notice or by signature or through the process of dealing, an exclusion clause can be inserted in the contract. For exclusion of any liability for negligence, there should be clear words in a contract as held in White v John Warwick2. (Taylor & Taylor: 136). A service supplier is accountable under the statute only for not taking rational care in the provision of service. In normal parlance, there exists no implicit responsibility to accomplish any given outcome by a supplier of service and if a buyer wishes to have such undertaking, it should be provided in the service contract as an express term. (Bradga te & White2007:212). Under s2 (2) of the Unfair Contract Terms Act 1977?accountability for any other variety of damage or loss can be kept out provided the notice or term fulfils the prerequisite of reasonableness. A service provider cannot control or exclude his accountability in negligence for loss originating from defects in services provided for either consumption or for private use by means of notice or term included in a guarantee. In an action of

Distance Learning Education Research Paper Example | Topics and Well Written Essays - 1750 words

Distance Learning Education - Research Paper Example There has been a recent explosion in the field of education of distance learning but the history of distance learning dates back to as early as 1728, when Caleb Phillips, who was a teacher of Short Hand method, published an advertisement in Boston Gazette to seek students to whom he would send lectures on weekly basis. (Distance Learning 2007).The Pioneers of distance learning relied on postal services in the 19th century to provide educational opportunities to students who were not able to seek education by attending conventional schools. An Englishman, Isaac Pitman, is regarded has an early pioneer in providing distance education. In 1840s, Isaac Pitman taught Short Hand using correspondence in the Great Britain. The University of London established its Eternal Programme in 1858, and became the world’s first university to provide the opportunity of attaining distance learning degrees to international and national students. In the United States, the concept of extended educat ion through satellite colleges was established in the University of Chicago, by William Rainey Harper, who was the University’s first president. In 1829, William Rainey Harper further promoted education by encouraging the concept of providing school courses through correspondence, an idea that was originally put forward and practiced by Columbia University. In 1911, the Department of Correspondence studies was established in the University of Queensland in Australia. In America, Charles Wedemeyer of the University of Wisconsin-Madison encouraged the use of methods other than the postal service in providing distance education. In the UK, Open universities were established in 1969, which initially provided distance educational courses through radio and television broadcasts and now some of these open universities have attained the status of ‘mega universities’. In the United States, Jones International University was established in 1996 and is the first university to provide all its educational services online. The University is accredited by an accrediting association. Today, undergraduate and post graduate distance education is provided by many private and public, as well as by for- profit and non-profit educational institutions. Following the recent explosion in distance learning, national government authorities such as Quality Assurance Agency in UK and Distance Education and Training Council in the US, have been established to provide accreditation to distance education providing institutions. (Lau et al 2000). Virtual High School: Virtual High Schools or online high schools refer to the institutions which provide K-12 courses, in which the instructor and students are not only separated by time but by distance as well. The instructor provides the course by employing various methods such as multiple course management applications, internet, and resources relating to multimedia and video conferencing. The students communicate and interact with the instructors by using these same methods. (Distance Learning 2004). Types of Online High Schools: I. State Sanctioned Online high schools: In America, online high schools in fourteen states have been sanctioned by the state government and are designated as the State’s own virtual high schools. Such as the Florida Virtual School which in terms of enrollments is the largest virtual school and has been providing online educational services since 1997. Since its establishment the institution has been funded by the

Tuesday, October 15, 2019

Goldings modern fable Lord of the Flies Essay Example for Free

Goldings modern fable Lord of the Flies Essay What gave Golding the inspiration to write the great novel, Lord of the Flies? He wrote the Lord of the flies novel soon after the war, which was later published in 1954. So it was soon after the war when he wrote it. So was this where his inspiration came from for the novel. Did seeing children suffering give him ideas? Did the Hitler give him inspiration for jack and Churchill for Ralph? Did the war lead him to write the book at all? We dont know now, and probably never will do! But we can guess. We can try and work out what made him write this incredible tale of the children gone savages who fight for survival on the island. The children where being evacuated from the war when they crashed. Ralph was the first character to be introduced. He came out the story to be the strong one. The leader who only wanted the best to come of things and to end it all and get home, just like Winston Churchill wanted to win the war. Jack on the other side, turned out to be more evil, more sadistic and much more savage then Ralph. He was being compared to Hitler or Mussolini. The main evil powers in the Second World War. The conch represents the democracy in the play. It could well be related to the democracy between countries, the vote, the councils and the League of Nations. Golding could well of thought of a symbol that was needed to represent this on the island. The only thing stopping them from tearing each other imp from limp. Just like the rest of the world in the war. The conch was there for peace on the island, and the councils were there to stop the world from destroying one another completely. The fire could well represent a piece of the war of mass destruction. The blitz, for example. It destroyed half of London, like the fire destroyed half the island. Londoners were getting scared the war would never end, after something so bad happened. Golding incorporated this by using it like the boys on the island, seeing this destruction made them realise, this may never end, and they may all die soon. Once they had been there a little while. They began to turn into savages. Ralph knew this wasnt going to end soon. They knew things were going to happen, friends and enemies would be made and it would be along time till it ends. This was the case of the war. Hitler and Churchill knew it was a long-term war and they could be there for years. Golding probably noticed during the war, that people tried to be brave. But beneath the skin, they are truly scared. The people who went off to war, had to be brave, to show those they are confident, that they want to win, to set an example for the people at home and the children. Golding sees this, and puts this into his characters. Everyone on the island was scared, Especially the littluns. Ralph and Jack have to be strong. They are scared, but need to put on a brave face for the sake of everyone. People will breakdown without stronger people to support them like Ralph and jack and the bigguns. Golding has again, related his characters to the human beings that took part in the war. He has compared them, and they basically have the same feelings, just shown in different ways and surroundings. Golding also relates the ending to the war. How d-day is the same as the last bit of the Book. However, Ralph was now related to Hitler and Jack, Churchill. This is because, Jack is winning, and he almost has Ralph, almost has him stuck and almost has the end of Ralph. He has him cornered, when it ends. Just before Ralph is about to be killed it all over. The ordeal they have gone through has ended in 5 minutes. Just like, the last day of the war, When Germany is close to loosing, they surrender, and its all over. I think the early 20th century was a good source for Goldings book, Lord of the Flies. The war was the main thing to happen in the years of Golding writing the book. He saw things first hand and wrote down this in a story, which he changed to make a story, but used the same roots as the war stories. Golding book was a fabulous story of boys, who are stranded, but he hides the fact hat its related to the war well. You dont really notice it, but looking beneath the skin of the book, you actually realise the strong resemblance it has with the war.

Monday, October 14, 2019

Corrosion Properties of Al-B4C Composites

Corrosion Properties of Al-B4C Composites Abstract[SM1] The influences of adding B4C particles on corrosion behavior of Al-2wt.% Cu alloy was studied in 3.5 wt.% NaCl solution at room temperature using linear and cyclic polarization, immersion test and Electrochemical Impedance Spectroscopy (EIS).[SM2] Nano-composites reinforced with 2, 4 and 6 wt. % B4C were produced through mechanical milling and tested to explore the B4C contents effects on the corrosion properties. [SM3]Influences of the grain size were also studied comparing the coarse-grained and milled Al matrix. Results revealed that the corrosion resistance of Al matrix decreases by reducing the particle size. Sample with 2wt.% B4C showed best corrosion resistance amongst all. Key words: Mechanical milling, Nano-composite, Al, B4C, Corrosion Introduction Metal Matrix Composites were remained the focus of attentions in aerospace, automotive and military industries in recent years. These materials offer several advantages including the high strength to weight ratio, excellent wear resistance and high stiffness compared to the original alloys. The commonly used reinforcing materials are; silicon carbide, aluminum oxide and boron carbide. Due to density differences between the reinforcements and the matrix materials, segregation has been found to be a major problem in producing metal matrix composites. Ball milling is considered to be an important technique for producing nano-crystalline composites. Growing interest for this technique is due to preparing materials with unique chemical, physical and mechanical properties. Ball milling process makes uniform distribution of reinforcement particles in the matrix, preventing the segregation which is commonly found in composites fabricated through other methods [1-4]. Effects of B4C particles as reinforcement materials on mechanical properties of aluminum base alloys are existed in the literatures, but studies on corrosion behavior for these composites are rarely reported. Corrosion behavior is a key parameter for assessing the applications of composites in marine environments. All in all, incorporation of the reinforcements into Al alloys increases the corrosion rate of composites in comparison with matrix. Primary corrosion initiation sites in MMCs[SM4] are dependent on electrical conductivity of reinforcement material, reinforcement volume fraction, intermetallic phases and corrosive environment. Grain size has also a major effect on corrosion behavior of the composites [5-9]. Present research aims at studying the corrosion properties of Al-B4C composites. The influence of different B4C contents on corrosion behavior of Al matrix composites was investigated. Coarse-grained Al matrix was also used to explore the effect of grain size on corrosion resistance. Experimental Al–2wt.% Cu and the nano-sized B4C particles were respectively used as matrix and reinforcements in fabricating the specimens. Besides a plain matrix sample, others were synthesized through mechanical alloying of the powder mixtures with 2, 4, and 6 wt.% of B4C. Ball milling was done by a planetary mill, equipped with two tempered steel vials containing Chrome steel balls (φ=20mm). The rotational speed and the ball to powder weight ratio were set at 300 rpm and 10:1, respectively. Milling process was performed at room temperature under argon gas (99.999%) atmosphere protection for 20h[SM5] to achieve steady state condition. Mechanically milled powders were then cold pressed and hot extruded with an extrusion ratio of 10:1 at 550à ¢- ¦C. Reference Al alloy sample was prepared from unmilled aluminum powder using similar pressing and extrusion processes. Electrochemical measurements including linear polarization, cyclic polarization, weight loss and electrochemical impedance spectroscopy tests were applied to 3.5wt.% NaCl solution at room temperature. Three electrodes system, including a working electrode, a platinum counter electrode and a silver-silver chloride electrode (Ag/AgCl) as [SM6]reference electrode were used. The exposed area of samples was polished to 1200 emery paper. Tafel tests were performed at a scan rate of 1 mV/s, from -2000mV to 500mV using a 273A Princeton Applied Research EGG model potentiostat/Galvanostat. Cyclic polarization measurements were carried out under conditions similar to Tafel test. After reaching to the 500mV point, scan direction was reversed. In order to find out the exact protection potential, scan rate of 0.5 mV/s was applied in reverse direction. Disc shape specimens (10mm in diameter and 3mm thick) were immersed in 3.5wt.% NaCl solution in atmosphere for 1, 3, 7, 14 and 28 days. Corroded samples were cleaned according to G1 standard, [SM7]dried and weighed before and after the experiments using a balance (H- Z- K 210 model) with an accuracy of 0.00001 g. The mass losses for samples were finally measured by considering their total surface area. Phase characterization of specimens before and after the immersion were carried out through [SM8]X-ray diffraction (XRD) [SM9]technique on a Phillips X‘Pert Pro diffractometer using monochromatic Cu-KÃŽ ± radiation. Morphology and chemical analysis of samples were also characterized using scanning electron microscopy[SM10] (SEM), SU8040model, equipped with an energy dispersive spectrometer [SM11](EDS). Electrochemical impedance spectroscopy[SM12] (EIS) measurements were done with a frequency ranging from 10 mHz[SM13] to 100 MHz. The results were analyzed by means of Zview2 software. Result and Discussion- The milling part Fig 1 shows the morphology of Al/Cu alloy and the Al/Cu-4wt.% B4C composite after 20 h[SM14] of mechanical milling. By increasing [SM15]milling time, the particle size decreases besides narrower size distributions.[SM16] The nearly equiaxed crystal morphology of particles suggests that, the 20 h[SM17] of milling time was sufficient to reach desired steady-state condition. Results in table 1 demonstrate[SM18] that by increasing the B4C contents, the average particle size decreases. Table 1 shows the influence of B4C content on the crystallite size and the lattice strain of aluminum matrix, according to Williamson–Hall method. As expected, the mechanical milling induced severe plastic deformation, leading to the formation of nano-crystalline metal matrix. The crystallite sizes varied with B4[SM19]C contents, showing the effect of hard particles on grain refining performance of metal matrix[SM20]. It is known that the milling stages introduce plastic deformation of ductile matrix, micro-welding, and the fracture of deformed particles in metal matrix [10, 11]. As compared to mechanical milling of soft powders, the presence of hard particles causes an increase in local deformation of matrix around reinforcement particles, which indeed would enhance the work-hardening rate of metal matrix. Additionally, fracture toughness of composite powders is lower than that of the matrix material [11]. On the other hand, an increase in the content of particles results in more frequent interactions between the dislocations and the hard particles [12], which accelerating the onset of mechanical-milling stage, and contributing to grain-refinement process [11].[SM21] Microstructural examination of as-cast composites revealed that the B4C particles were not distributed uniformly in the matrix and the regional clusters of particles existed. Since the wetting by molten matrix was poor, a uniform distribution of particles could not be observed in composites fabricated by stir casting. In addition, other factors like stirring speed, pouring condition, solidification rate, etc. [SM22]have also had a noticeable influence on particles distribution. In extruded samples, a more even distribution of B4[SM23]C can be observed. Fig. 2 shows the back-scattered electron SEM micrographs of extruded composites used in this study. A uniform distribution of ceramic reinforcements is evident in both composites. In addition, there are no traces of voids in the microstructure which in turn suggests that there was full-densification of composite upon extrusion.[SM24] Result and Discussion- The corrosion part Potentiodynamic Polarization Tests The Potentiodynamic Polarization behaviors of different samples in 3.5 wt% NaCl solutions after 1 hour of testing are given in Fig. 3. Their Ecorr, icorr and ipassive values (obtained from Tafel-type fit) are summarized in Table2[SM25]. Data shows that Al-cast has a lower corrosion rate than Al-milled. As the milled alloy has finer grains, it was expected to be less corrosion resistant because of having more grain boundaries, means higher susceptibility to electrochemical reactions and hence to corrosion. [SM26]It can also be seen that the characteristics of polarization curves for B4C composite samples are quite similar to base the alloy[SM27], indicating that the reactions are similar for both. According to table 2, adding 2wt.% B4C to the base material lowered the corrosion rate slightly, because the ceramic particles may to some extent hindered electrochemical dissolution physically. On the other hand, adding more B4C particle to the composite increases the corrosion rate. In any Al alloy-B4C composites, forming intermetallic compounds plays an important role in any chemical and electrochemical reactions that take place on composite surface in a corrosive environment. Fig.[SM28] 4 shows the X-ray diffraction pattern for Al 6wt.% B4C composite. It can be seen that other than Al matrix, there would be considerable amounts of Al3BC species which were produced when the Al reacted with B4C particles. As Al is more anodic with respect to intermetallic, having more of B4C in matrix dominates the effect of physical blocking of electrochemical reactions for ceramic particles in the solution and corrosion rate increases. Therefore [SM29]other than general corrosion of the matrix, there will be galvanic corrosion between the matrix and intermetallic resulting localized corrosion (pitting) on composite surface. In Al 6wt.% B4C sample, the corrosion rate decreased. This can be explained through passivation point of view as shown in polarization curves in which, the passive current density increases by increasing the B4C content. This may be caused by the formation of more porous and unstable passive layers produced by higher intermetallic particles and also leading to more susceptibility to localized corrosion.[SM30] Weight Loss Measurements Figure 5 represents the weight losses for different samples at different immersion times. Diagram demonstrates that the Al cast has the lowest weight loss, therefore [SM31]the lowest corrosion rate of all samples. B4C composites show higher corrosion rates than Al-milled suggesting that adding B4C to samples increases the corrosion rate.[SM32] As mentioned above, adding B4C to the alloy produces Al3BC intermetallic during corrosion.SEM micrographs of the Al 6wt.% B4C before and after the immersion for 28 days [SM33]are shown in Fig[SM34] 6. Al matrix and Al3BC intermetallic are pointed out in Fig. [SM35]6. EDX analysis results of the intermetallic phase from Figure 4-b is also demonstrated in Fig.[SM36] 7. It reveals that, considerable amounts of the compound exist in the matrix [SM37]which agrees with the XRD results discussed before. Finally, it is observed that the results from immersion and polarization tests are in agreement with each other. It is indicating that besides a general corrosion, there is a galvanic corrosion between the matrix and the particles leading to localized corrosion. Cyclic Polarization Studies: Characteristic potential values such as:[SM38] pitting potential (Epit), corrosion potential (Ecor), and re-passivation potential (Erp) were determined through cyclic polarization studies. As it is observed in Fig[SM39] 8, the nature of potentiodynamic polarization curves in the 3.5% NaCl solution reveals typical characteristics of the material undergoing spontaneous passivation. Reverse scan shows a hysteresis cycle, showing the characteristics of pitting. After reaching to a maximum level, the current begins to decay without any oscillation. Following a linear current-potential relationship is suggesting that an ohmic controlled process was taking place [12-15]. Additional electrochemical parameters given in the table [SM40]are: à °Ã‚ Ã¢â‚¬ ºÃ‚ ¥Epit=Epit-Ecorr, à °Ã‚ Ã¢â‚¬ ºÃ‚ ¥Erp=Epit-Erp. à °Ã‚ Ã¢â‚¬ ºÃ‚ ¥Epit is a measure of the width of passive region on polarization curve, indicating the susceptibility to pitting. à °Ã‚ Ã¢â‚¬ ºÃ‚ ¥Erp is used to assess the repassivation behaviour of propagating pits and hence, the ease with which locally active sites can be eliminated.[SM41] à °Ã‚ Ã¢â‚¬ ºÃ‚ ¥Eprotection represents Erp-Ecorr and indicates the protected region. Pits are formed in this region, repassivation and larger region means more resistance to pitting for composite. [SM42]According to table[SM43] 3, the largest protection region was belonged to Al cast. Milled sample showed a smaller region and because of having more grain boundaries on the surface, by creating smaller nucleation sites for pits, made the sample more prone to pitting. [SM44]Adding B4C to samples confines the region and lowered[SM45] the resistance to pitting corrosion. EIS Studies In order to study the corrosion behavior of B4C composites and the base alloy, EIS measurements were carried out for all specimens at their Ecorr in 3.5% NaCl solution. Figure 9 shows results in the form of nyquist[SM46] diagrams. There is a common characteristic for all curves, i.e. a capacitive semicircle in the high frequency ranges. High frequency capacity loop was mainly related to the characteristics of electrical double layer formed at the interface between the adsorption layer on [SM47]metal surface and the electrolyte [12]. The biggest semicircle was noticed for the Al cast sample, indicating that the alloy has the highest resistance to corrosion. Al-BM sample has an additional semicircle in low frequency range, which may be related to the charge transfer across the metal-electrolyte interface. Another noticeable point is that, inductive loop [SM48]is related to the salt layer formation on the surface. It may also demonstrate that, [SM49]adsorption of an anion like chloride which is presented in electrolyte,[SM50] caused the pitting corrosion. Al-BM also has[SM51] lower resistance to corrosion than Al-Cast. Corrosion resistance for Al 4%B4C sample was higher than the Al-BM. But for the 2% and 6% composites, there were less improvement observed [SM52][16, 17]. Conclusion Results from electrochemical measurements which were carried out on Cast and Milled alloys and the B4C composites[SM53] showed that,[SM54] adding B4C particles to milled alloys will not [SM55]change the corrosion resistance considerably. From corrosion resistance point of view, it would be fair to say that the best sample was[SM56] the Al 2%B4C. [SM1]say kon as phrasal verb kamtar estefadeh koni [SM2]inja be nazaram was studied ro bezar akhare jomle [SM3]The [SM4]inja be nzaram bebenevis MMC mokhafafe chiye,magar inke khayli to mozoe shoma shenakhteh shodeh bashe. [SM5]20 hours [SM6]a [SM7]G1 standard. They were dried and weighed [SM8]inja benazare manbefore and after immersion ro ya toye comma bezar ya biyaresh avale jomle,chon yeho jomlato enghar ghat kardeh. [SM9]inja diffraction bayad capital bashe, magar inke aslan to hozeyeh shoma injori neveshteh mishe. manzuram mesle bala ke toye abstract EIS ro neveshti. [SM10]horofe avale ina bayad capital bashe [SM11]the same as 10SM [SM12]inro hazf kon, chon bala toye abstract neveshti ke mokhafafe chi hastesh. [SM13]inja manzoret mili hertz hastesh? [SM14]20 hours [SM15]the [SM16]besides narrower size distribution, the particle size decreases when the milling time increases. [SM17]20 hours without the [SM18]demonstrates [SM19]subscript [SM20]I think it needs rewriting! [SM21]in jomlehe khayli bolande, hamintor por az information hastesh, behtare beshkanitesh be 2 ta jomle age mishe. [SM22]inja ye comma mikhad [SM23]subscript [SM24]in jomlat nesfesh dar zamane gozashtash nesfesh dar zamane hale! [SM25]fasele beyne table va 2 [SM26] too many information in a sentence, needs rewriting. [SM27]? [SM28]Figure [SM29]a comma here [SM30]too many information in one sentence, needs rewriting. [SM31]comma [SM32].This suggests that adding [SM33]yeja in vasat masata comma mikhad.chon nemidunam chi neveshti nemidunam kojash bezaram [SM34]Figure [SM35]Figure [SM36]Figure [SM37]It reveals that there is considerable amount of the compound in the matrix. [SM38]ino hazf kon [SM39]Figure [SM40]which table? [SM41]needs rewriting [SM42]needs rewriting [SM43]Capital [SM44]too long! [SM45]past or present? [SM46]N [SM47]the [SM48]point is the inductive loop which is [SM49]the [SM50]behtare kole in beyne comma bashe. [SM51]present or past? [SM52]less improvement was observed. [SM53]in behtare beyne 2 ta coma bashe. [SM54]ino delet kon [SM55]does not [SM56]is