Wednesday, October 30, 2019

Turkish Foreign Policy since the Ottoman Empire Essay

Turkish Foreign Policy since the Ottoman Empire - Essay Example Since time immemorial,Turkey had been a predominantly a Muslim country that was controlled by the Sultanates of the Ottoman Empire.However,through a nationalist movement led by Musataf Kemal,Turkey was able to establish itself as a prosperous secular state that could assert itself as a force in the Central African region. To establish itself to be the modern day Turkey, it had to employ numerous strategies as the Ottoman Empire under the leadership of the Sultanates was greatly opposed to an independent Turkish state with a distinct language, dress code and run through secular laws. The early leadership of Abdulhamid II (1876-1909) that laid claim that the Ottoman Sultan was the universal leader of the Muslims used propaganda and counter-propaganda. However, he did not anticipate that opposition could come from an Islamic perspective. This Sunni idea was largely opposed by the Shiite Iran who did not recognize the Ottoman Empire as it occupied what was traditionally land owned by the Arabs, due to endless persecution, the As Shiites and the Sunnis waged an endless war depending on which side they supported.1 As a method to re-engineer the state towards attaining legitimacy, the Ottoman Empire bought about education through the imposition of uniform religious values through primary and secondary education. This has however been proved to have been the Ottoman Empire’s way of propaganda to educate the ills of the Shiites to the Iraqi population which was perceived to be a moral duty. Finally, it was proved that the attempts of the Sultan of the Ottoman Empire fell flat on its face but formed the basis of the republican Turkish nation building, which has been a success. This historical heritage of past concepts and conflicts explains the current geopolitical occurrences in the Middle East and Central Asia.2 As at the imminent collapse of the Ottoman Empire, the sultanate became only limited to the plateau at Anatolia. The implementation of the Treaty of Ser ves weakened the empire as it lost its geopolitical positioning that deprived it of its most important resources. This led to the formation of nationalist movements under the leadership of Mustafa Kemal, which culminated in the National Pact of Ankara of January 1920 that resolved to claim those parts of the empire occupied by Turkish populations that laid the basis for the Kemal foreign policy that focused on national unity buttressed by economic and political independence. Through nationalist uprisings and rebellions, the forces led by Kemal were able to crush the Armenian Republic as well as defeating the Greeks. In the process, it was able to negotiate itself into occupying Asia Minor and East Thrace. The Lausanne Treaty set the stage for the Kemalist foreign relation policy especially Greek-Turkish relations marked with the fall of the Ottoman Empire and the beginning of Turkey under Kemal. This marked the proclamation of Turkey as a republic after the Sultan had been driven aw ay and recognition of Turkey as a secular state.3 Thereafter the Kemal regime focused on pursuing a foreign policy of maintaining peace as Turkey had been involved in a conflict for almost a decade. To achieve this, even when there was the First World War and the upheavals in South Eastern Europe, Turkey adopted a neutral stand. For example, Turkey signed a treaty with Russia known as the Turco-Soviet Treaty of Neutrality and Non-Agression that emphasized its neutrality and no acts of aggression in whatever circumstances. What was integral to Turkey then was the securing of its borders through emphasis on territorial integrity as well as the independence of Turkey as republic.4 Later Turkey forged a common foreign policy with Russia to the extent of refusing to be members of the League of Nations due to the suspicion of the Western powers, Turkey was also apprehensive of some articles in the treaty forming the League of Nations. After the Cold War and the collapse of the Soviet Unio n

Monday, October 28, 2019

Of Mice and men Essay Example for Free

Of Mice and men Essay Memories? Yeah, Ive had plenty, seen men come an go on this ranch, so many I cant hardly remember them, but two stick in my mind like it was only yesterday, but must be near on twenty years ago oh Im Slim, I lead the mule team, sure does beat busting a gut bucking barley now where was I? Yeah, thats right these two guys Came in one Friday, Boss was sure mad cos they were late. Youve never seen such an odd pair George, he was small, neat, quick witted but Lennie, my was he huge! Funny thing was his name was Small! He was like a great bear and he wasnt too clever either. Funny how he and George strung along together. Anyway, they come in Friday, Boss had been given us hell all mornin! I was out on the fields when they came out. Candy was with them and seemed to be showing them around the barn. Lennie seemed excited bout somethin. George came over and introduced them, Hi, Im George and this big fella here is Lennie. Lennie then tried whispered something to George but I heard every word, George, George, ask him bout dem dogs, please George? George looked a bit embarrassed. Candy tells us you got some new born pups. If theres one goin spare, you reckon Lennie could have it? George asked. Yeah sure you can Lennie, I said Come by the barn later and you can pick one out. He went all shy, with a smile from ear to ear, almost like a little kid. Lennie came down to the barn after he had finshed buckin, he sure was on hell of a worker, and he picked out his Pup. I tried to explain that he shouldnt be taken out of the box , but the big bastard didnt take no notice of it, ha, gawd he must have been the stupidest guy I have ever met. Now where was I oh right, so Lennie had got his Pup an it must have been dusk so we all headed back to the bunkhouse, and little did we know how much was gonna happen that night. We sorry my throats a lil dry, could ya pour us a drink? Cheers. Ah, thats better. Anyway, me and George were headed back to the bunkhouse and I started talkin to George bout Lennie, He sure is some worker, aint he? I mean when you said he were a good worker, I thought you meant he just didnt complain, but by golly, he must have beat every bucker on the ranch, with one hand! George chuckled. If only he wasnt so stupid I could be livin a dream. He said and looked in to the stars. So, how come you travel with him, I mean I aint never seen no-one that looks out for anyone as much as you look out for him. He looked a lil taken back by that but he simply answered, I promised his aunt I would look after him, an by god Ive had too. But he will do anything I tell him too, George started to smile, I once told him too jump in a river, and I knew he couldnt swim but he still did it and nearly drowned cos o me. Ever since then I havent done anything to him that might hurt him. He stared into the ground, almost as if he regretted doin that to him. I broke the silence, So, how come youve ended up here? I asked. He didnt want to tell me, I could tell by his face, but I think he new that he could trust me. You wont tell no-one, will ya? He asked Course I wont I replied Well He started off, We were working in weed, and Lennie was settin under some trees havin a break cos we had finished our morning load in an hour and a half. He smiled with a great sense of pride, Then one of the bosss daughters came over and started talkin to him, and the stupid bastard ended up touchin her dress and the dumbass didnt let go. The daughter ended up shoutin Rape, rape! everyone looked over and saw a girl strugglin with a guys hands all over her. I literally had to smack the big guy to get him off her. We then had to run for a lives. We ended up squatin in a river in some reeds. They went straight past us an never saw us, but there still after us. Luckily I think thats about 100 miles away, thank god. He sighed with relief. Lennie then brought this puppy into the bunkhouse, George, George look at da puppy, Slim gave it to me. George turned aroun and went psycho at him, Lennie, you dumb bastard! You gotta leave the pup in the box with its mum other wise your gonna kill im! Do you wanna kill him? Do ya? Lennie cowered away into the corner. Of course not George. Ill put him back straight away now, He ran out, an nearly hit his head on the top door, ha. Candy then cam in the bunkhouse. He was an old guy, busted his arm and had to stay there, or so he said. He came in with his dog, which wouldnt be so bad, but the old thing stank. Carlson, one of the buckers, offered Candy an option, You should shoot that old dog, Candy. I mean hes no good to any of us. Candy looked at his dog, I couldnt shoot him, Candy said, Ive had him since he was a pup Why dont I shoot him then? Carlson asked, Ye, Ill take him out to the forest and jus shoot him in the back of his head. He wont feel a thing, I swear. Your probably puttin him through more torture keepin him alive than shootin him. A tear was wellin up in Candy. This pup was his only friend. Candy relented and Carlson took the dog and you then heard a shot in the distance. We all looked at Candy, he was starin at the wall. I offered him a new puppy but he didnt answer. Crooks, the niggah entered and told me tha Lennie was messin with the pups. George looked at me and told me to kick him out if hes causin trouble. I went off and made sure he werent doin nothin stupid. Well stupid even for him. I was in the stables, makin sure all the pups were alrigh after Lennie had been messin with em, when Curley came stormin in, shoutin something bout his wife. I didnt want notin to do with it so I went to the bunkhouse but he kept on about how his wife is always sneakin off without his permission, and how he suspected me of havin an affair with his bitch. Ha, if I ever had an affair, it would be with Marilyn Monroe rather than that tart. I went into the bunkhouse and he still wouldnt let it drop so I said to him, Curley, I would never even think about touchin your bitch, cos I dont like that type of tart. All then men a fallin bout laughin and joined in with havin a lil dig at Curley. Sadly though, Lennie was smiling about something, he was in his own lil world, but Curley saw him an thought he was laughin at him. What are you laughin bout you yellow bellied bastard? Curley was squarein up to him and Lennie didnt know what to do. You bastard! Curley smashed the poor fella round the face and knocked him over. Lennie just stood up and did nothing bout it. He looked at George and was screamin at him to make Curley stop. I knew George didnt want no trouble so he kept quiet, but Curley was smashin Lennies head in. Then suddenly George screamed, Get im Lennie! Get im! Then Lennie switched, he grabbed Curleys hand and just squeezed, looked as if he was killin the bastard. George was smackin im tellin im to let go but he wouldnt budge. Lennie had im about 2 ft off the ground. We had to pull the big fella off of Curley. I went over to see Curleys hand and Lennie had jus disintegrated the bone, twas jus skin, not a bone in it. I knew that George and Lennie would get their asss busted for this so I thought Id have a heart to heart wit Curley, I said, If this gets out, Lennies gonna get canned for it. But your reputation as a tough guy will be ruined as well. Now if you say your hand was caught in a machine, then we will say that too, but if you dont, we will ruin your reputation til nobodys gonna be scared o you, you got that? He nodded his head, whilst screamin, and I told the guys to take him to doctors fast. That, thank God, was the end of that night. The next day, notin too much happened. We went into town and Candy, Crooks and Lennie stayed at the ranch. Thankfully that was all that happen that day. Next day was the horseshoe tournament. I never used to be that good at them, but they sure were good fun. Crooks did tell me that Lennie was looking at his pup, but not doin anthin to harm em. We had jus finished the tournament and George went to get som water. He came back, but didnt look to good. I was jus gonna ask him if hes alrigh but then Candy came out of the stables waving his arms bout screamin that somthin had happened to Curleys wife. We all went to see what was wrong, and it werent a pretty site. She was layin on the hay, at first ya thought she were sleepin, but then ya noticed her neck was bent in a bad way. Curley didnt look much sad, more angry then shouted, Im gonna kill the son o a bitch! Everyone started to get agitated and some people started shoutin, Lets get im, and Ill go get ma gun! George had gone real pale and Curley said to im, Your gonna stick wit me, so I don think you were involved, alrigh? George nodded. Curley told Crooks to get all the horses ready, seemed like it were a search party. Well it was but not the usual search party, it was more o a search an kill sorta party. Me, Curley, Carlson and George headed south whilst the others headed west, jus in case. I knew George knew where Lennie was, an we strayed away from Curley and co.. We ended up near this river and George said hell go in alone. I stood by some trees an saw everythin that happened. George went up to Lennie, pulled out Carlsons luger and told Lennie to look out toward the horizon. Lennie was smiling talkin to himself I think, George looked hesitant but found som courage and pulled the trigger. Lennie fell down the bank, and jus lay there. George walked over and didnt look to good. Curley and Carlson came over, makin up som story to tell the others. But I knew that George didnt wanna have to shoot Lennie, so I went and had a chat wit him. I simply said, It had to be done. He looked at me, and seemed glad that someone had said that to him, but still looked troubled. We got back to the ranch an everyone wanted to know what happened. Carlson was leading the story, and half of werent even real. The next couple o days was hard on George. He seemed to be in a completely different world, starin into space. He did get over it though, took him a couple o weeks, and he turned back to the ol George. God, that weekend was the longest weekend I have ever had.

Saturday, October 26, 2019

Trace Evidence Essay examples -- essays research papers

Crime scenes are known to have many clues left behind. The obvious would be a the body or bodies, clothing, and sometimes even the murder weapon. While these are great way to solve a case there's another kind of evidence; trace evidence. Trace evidence are small pieces of evidence that are laying around a crime scene. There are many types of trace evidence some of them include metal filings, plastic fragments, gunshot residue, glass fragments, feathers, food stains, building materials, lubricants, fingernail scrapings, pollens and spores, cosmetics, chemicals, paper fibers and sawdust, human and animal hairs, plant and vegetable fibers, blood and other body fluids, asphalt or tar, vegetable fats and oils, dusts and other airborne particles, insulation, textile fibers, soot, soils and mineral grains, and explosive residues. Although these are the most common found elements, they are not the only ones. The Trace Evidence Unit is known to examine the largest variety of evidence types a nd used the biggest range of analytical methods of any unit. materials are compared with standards or knowns samples to determine whether or not they share any common characteristics. In this paper I will discuss the different kinds of trace evidence and how crime scene investigaros use it to solve cases and convict criminal. Trace evidence was first discovered by Edmond Locard. Edmond Locard was born in 1877, and founded the Institute of Lyon’s Institute of Criminalistics. He is also known for advancing the science of fingerprints. In 1910 he was authorized to start a small forensic laboratory in the Palais de Justice which he directed until 1951.While there he worked on criminal identification methods including poroscopy- the microscopic examination of fingerprints; analyses of body fluids, hair and skin; and graphometry or handwriting analysis. He is the man responsible for coming up with the theory that when two objects come in contact with each other they leave some kind of material matter behind. This theory was later called Locard’s Exchange Principle. The idea is that the evidence can be used to associate objects, individuals or locations with one another." A person typically loses about 100 hairs a day. These hairs may be of evidentiary value to show contact between two people. With an adequate hair standard, a trace chemist will be able to microscopically compare a... ...furniture which may be locked. They then use the small paint chips and metal as evidence and process them the way that individual piece of evidence should be processed. Believe it or not, wounds from a victim are also evidence. The wound can allow the investigators to match up any marks that could have been made from the weapon and therefore allows them to determine at what angle, distance, and how fast the weapon was used. The last type of evidence I will discuss are documents. Everyone has a different handwriting and different characteristics that make it unique. Computers are also unique in the way they type and print out things. Document examiners can look over these and establish the similarities in the handwriting and computer forensic specialists can extract logs and other data from most devices. As you can see there is no perfect crime. The littlest piece of hair or paint or anything left behind can be found. Suspects often miss these tiny peieces of evidence and while they looked over it, it is still lurking at the crim scene. It is guarenteed that a Crime Scene Investigator will find this evidence no matter how small and use it to find, prosecute, and convict a criminal. Trace Evidence Essay examples -- essays research papers Crime scenes are known to have many clues left behind. The obvious would be a the body or bodies, clothing, and sometimes even the murder weapon. While these are great way to solve a case there's another kind of evidence; trace evidence. Trace evidence are small pieces of evidence that are laying around a crime scene. There are many types of trace evidence some of them include metal filings, plastic fragments, gunshot residue, glass fragments, feathers, food stains, building materials, lubricants, fingernail scrapings, pollens and spores, cosmetics, chemicals, paper fibers and sawdust, human and animal hairs, plant and vegetable fibers, blood and other body fluids, asphalt or tar, vegetable fats and oils, dusts and other airborne particles, insulation, textile fibers, soot, soils and mineral grains, and explosive residues. Although these are the most common found elements, they are not the only ones. The Trace Evidence Unit is known to examine the largest variety of evidence types a nd used the biggest range of analytical methods of any unit. materials are compared with standards or knowns samples to determine whether or not they share any common characteristics. In this paper I will discuss the different kinds of trace evidence and how crime scene investigaros use it to solve cases and convict criminal. Trace evidence was first discovered by Edmond Locard. Edmond Locard was born in 1877, and founded the Institute of Lyon’s Institute of Criminalistics. He is also known for advancing the science of fingerprints. In 1910 he was authorized to start a small forensic laboratory in the Palais de Justice which he directed until 1951.While there he worked on criminal identification methods including poroscopy- the microscopic examination of fingerprints; analyses of body fluids, hair and skin; and graphometry or handwriting analysis. He is the man responsible for coming up with the theory that when two objects come in contact with each other they leave some kind of material matter behind. This theory was later called Locard’s Exchange Principle. The idea is that the evidence can be used to associate objects, individuals or locations with one another." A person typically loses about 100 hairs a day. These hairs may be of evidentiary value to show contact between two people. With an adequate hair standard, a trace chemist will be able to microscopically compare a... ...furniture which may be locked. They then use the small paint chips and metal as evidence and process them the way that individual piece of evidence should be processed. Believe it or not, wounds from a victim are also evidence. The wound can allow the investigators to match up any marks that could have been made from the weapon and therefore allows them to determine at what angle, distance, and how fast the weapon was used. The last type of evidence I will discuss are documents. Everyone has a different handwriting and different characteristics that make it unique. Computers are also unique in the way they type and print out things. Document examiners can look over these and establish the similarities in the handwriting and computer forensic specialists can extract logs and other data from most devices. As you can see there is no perfect crime. The littlest piece of hair or paint or anything left behind can be found. Suspects often miss these tiny peieces of evidence and while they looked over it, it is still lurking at the crim scene. It is guarenteed that a Crime Scene Investigator will find this evidence no matter how small and use it to find, prosecute, and convict a criminal.

Thursday, October 24, 2019

Ethics In Education Essay

Abstract Education has ever been considered as one of the strongest foundations for any civilized society. The success of any Nation is largely attributed the way in which education system is built up. There is growing importance the world over these days to incorporate importance of ethical standards in education. Ethical standards in education contain basic principles, procedures and behavior patterns based on commitment to core values that are deeply rooted in education. An ethical education will pave a way to uplift educational standards which in turn will instill right values among students who will certainly create landmark in their career as well as life. ETHICS IN EDUCATION The Concept Of Ethics The definition of ethics is shaped by personal, societal and professional values, all of which are difficult to specify. Some stress the importance of society’s interests and others stress the interests of the individual. These conflicting viewpoints have dominated the discussion of ethics for a long time and may remain in the future as well. Thus, the term ‘ethics’ will have to be defined in this context. The word ‘ethics’ is derived from the Greek word ‘ethos’ (character) and Latin word ‘moras’ (customs). Taken together these two words define how individuals choose to interact with one another. Thus, ethics is about choices. It signifies how people act in order to make the ‘right’ choice and produce ‘good’ behavior. It encompasses the examination of principles, values and norms, the consideration of available choices to make the right decision and the strength of character to act in accordance with the decision. Hence, ethics, as a practical discipline, demands the acquisition of moral knowledge and the skills to properly apply such knowledge to the problems of daily life. Philosophical Theories of Ethics Decision making based on intuition or personal feeling does not always lead to the right course of action. Therefore, ethical decision making requires a criterion to ensure good judgment. The philosophical theories of ethics provide different and distinct criteria for good, right or moral judgment. Three prominent philosophical theories of ethics are utilitarianism, rights and justice. They are normative theories of ethics, which provide a principle or standard on how a person ought to behave towards others by considering the right and wrong of an action. These normative theories are divided into two broad classifications, consequential and non-consequential. Consequential theories define ‘good’ in terms of its consequences, and a best known example is theory of utilitarianism. In contrast, non-consequential theories define ‘good’ not by its consequences but by its intrinsic value and the best known examples are the rights and justice theories. These theories are described below. (a) The theory of utilitarianism According to this theory, the ethical alternative is the one that maximises good consequences over bad consequences. Jeremy Bentham, who is considered as the father of utilitarian ethics, defines utilitarianism as the greatest happiness principle (the principle of utility), which measures good and bad consequences in terms of happiness and pain. He wrote as follows in his book ‘An Introduction to the Principles of Morals and Legislation’: â€Å"Nature has placed mankind under the governance of two sovereign masters, pain and pleasure. It is for them alone to point out what we ought to do, as well as to determine what we shall do. On the one hand the standard of right and wrong, chain of causes and effects, are fastened to their throne. They govern us in all we do, in all we say, in all we think.† The terms ‘happiness’ and ‘pain’ have broad meaning and encompass all aspects of human welfare, including pleasure and sadness, health and sickness, satisfaction and disappointment, positive and negative emotions, achievement and failure and knowledge and ignorance. Applying the utilitarian principle is a procedural process involving five steps: (1) Define the problem; (2) Identify the stakeholders affected by the problem; (3) List the alternative courses of action for resolving the problem; (4) Identify and calculate the short- and long- term costs and benefits (pain and happiness) for each alternative course of action and (5) Select the course of action that yields greatest sum of benefits over costs for the greatest number of people. Thus, ethical conduct by accountants based on this theory leads to consideration of all possible consequences of a decision for all parties affected by it. This theory takes a pragmatic and common sense approach to ethics. Actions are right to the extent that they benefit people (i.e. actions, which produce more benefit than harm are right and those that do not are wrong). Thus, the cognitive process required for utilitarian decision making appears similar to the cost-benefit analysis that is normally applied in business decisions. However, there are important distinctions between the two concepts in relation to the nature of consequences, the measurability of the consequences and stakeholder analysis. (b) The theory of rights The theory of rights stems from the belief that people have an inherent worth as human beings that must be respected. Therefore, according to this theory, a good decision is one that respects the rights of others. Conversely, a decision is wrong to the extent that it violates another person’s rights. In general, the rights can be divided into two categories: (1) natural rights (rights that exist independently of any legal structure) and (2) Legal rights and contractual rights (rights that are created by social agreement). The natural rights are commonly known as human rights or constitutional rights. Among many natural rights, the right to the truth is important to the function of accounting. The users of financial statements have the right to truthful and accurate financial information when making choices on alternative investment strategies. This right imposes a moral obligation on the accountant and the reporting entity to prepare and issue, true and fair financial statements. On the other hand, legal and contractual rights are important in the accountant-employer and the accountant-client relationships. These contractual relationships mean that employers and clients have a legal right to expect professional and competent service from the accountants. In turn, the accountants have a corresponding legal duty to perform their tasks to the best of their ability within the constraints of their expertise. (c) The theory of justice Understanding this theory requires understanding various notions of justice. Generally, justice is described as fairness, which refers to the correlation between contribution and reward. However, fairness alone cannot define the term justice. There are also other forms of justice, which include equality (assumes that all people have equal worth), procedural justice (concerns with due process) and compensatory justice (addressed the loss from a wrongful act). However, a comprehensive theory incorporating these various domains of justice has yet to be developed. Thus, the focus of this paper is on the theory of justice, which is based on the principle of distributive justice. It focuses on how fairly one’s decisions distribute benefits and burdens among members of the group. Unjust distribution of benefits and burdens is an unjust act and an unjust act is a morally wrong act. Hence, under this theory, an ethical decision is one that produces the fairest overall distribution of b enefits and burdens. Ethics In Education Basically there are three parties involved in ethical education system namely students, teachers and administrators. Teacher, being the most important facet of ethical education, is the torch bearer to the change the whole scenario of education system. He is the one who could exemplify his ethical behavior in front of students. Students most of the time learn their behavior from their teachers. Right approach of teacher to teach the students inside the class room will make ever lasting impact on the minds of students. It goes without saying that the principle of ethical conduct lie at the core of teaching profession. The whole society can be remolded by administering ethical practices. Secondly, the responsibility for promoting ethics in higher education lies with the leadership of colleges and universities. Like most efforts at organizational change, the energy, financing, and inspiration must start at the top and must anticipate and verbalize a long term commitment to ethical goals . â€Å"Bottom-up† schemes for change are seldom successful since they lack the organizational influence to create a sustained, well supported plan of action. Ethics issues permeate every aspect of university life from admissions to the classroom, from hiring to curriculum development and from research to the athletic field. To alter the ethics culture in an institution of higher education (or any organization) requires the highest level of commitment and realistic consequences for deviations. (a) Verbal and written commitment of the university president/chancellor, board of trustees, alumni association, faculty and staff to the implementation of an ethics plan of action; (b) Verbal and written commitment of departments heads overseeing student recruiting and admissions policy to an ethics plan of action for their areas of concern. Some possible action items might include advertising that the student body is governed by a â€Å"honor code†, the violation of which could lead to disenrollment. The hallmark of the admissions policy would focus on the ethical selection of students to include cultural difference, gender and racial equalities, socio-economic factors, as well as, academic excellence. (c) Faculty hiring guidelines that would include a thorough â€Å"vetting† of the applicant’s qualifications and background as well as a written commitment by the applicant to fully support the ethics initiative; (d) Faculty members to commit to and undertake curriculum revisions that would include the ethical aspects of their particular discipline; (e) Students to commit to a dormitory, fraternity/sorority, off-campus life-style code ethics; (f) Faculty members to commit to ethical guidelines for the research into the publication of scholarly materials; (g) Faculty members to commit to a faculty-faculty, faculty-student ethical relationships guideline. Lastly, students are also expected to contribute maximally by behaving honestly to their work, duties and responsibilities. They should never restore to any malpractices during examination or any class work. Conclusion The writer has reviewed just a fraction of the literature available on the subject of ethics in the workplace. The literature for the most part, supports the notion that the ethical behavior is good, that ethical behavior is needed in the workplace, and that progress is possible in raising men and women above their more prurient interests. Based on the writer’s experience and discussions with university leaders, however, the notion of total commitment by all stakeholders as outlined in the sample plan is probably unlikely. Cries of academic freedom, unreasonable restraints and loss of flexibility would be echoed from the â€Å"bell towers† of academia in spite of the intrinsic â€Å"good† intentions of the plan. All this does not augur well for the â€Å"fast track† implementation of ethics at the university level or in the workplace. Instead, progress in changing individuals towards a more ethical vision of their personal and professional life will be a p lodding effort, characterized by small successes and small failures for a long time into the future. References American Institute of Certified Public Accountants (2010). The Code of Professional Conduct. Retrievedfromhttp://www.aicpa.org/research/standards/codeofconduct/downloadabledocuments/2010june1codeofprofessionalconduct.pdf Audi, R. (2007). Can utilitarianism be distributive? Maximization and distribution as criteria in managerial decisions. Business Ethics Quarterly, 17(4), 593-611. Baiman, S. & Lewis, B. (1989). An experiment testing the behavioral equivalence ofstrategically equivalent employment contracts. Journal of Accounting Research, (27)1, 1-20. Bazerman, M.H. & Banaji, M.R. (2004). The social psychology of ordinary ethical failures. Social Justice Research, 17, 111-15. Bentham, J. (1843). The works of Jeremy Bentham. Edinburgh, Scotland: John Bowring. Bird, F.B. & Walters, J.A. (1989). Moral muteness. Californian Management Review, 73-88. Brenkert, G.G. (2010). The limits and prospects of business ethics. Business Ethics Quarterly, 20(4), 703-9. Burton, B.K. & Goldsby, M.G. (2 009). The moral floor: A philosophical examination of the connection between ethics and business. Journal of Business Ethics, 91, 145-54. Caldwell, C. & Clapham, S. (2003). Organizational trustworthiness: An internationalperspective. Journal of Business Ethics, 47(4), 349-64. Caldwell, C., Hayes, L.A., & Long, D.T. (2010). Leadership, trustworthiness, and ethical stewardship. Journal of Business Ethics, 96(4), 497-512. ETHICS IN ACCOUNTING 30 Caldwell, C. & Karri, R. (2005). Organizational governance and ethical systems: A covenantal approach to building trust. Journal of Business Ethics, 58(1), 249-59. Calhoun, C. (1995). Standing for something. The Journal of Philosophy, 92(5), 235-60. Carlopio, J. (2002). The best articles about leadership from the last ten years. BOSS Financial Review, 71-4.

Wednesday, October 23, 2019

Gay Right and Gay Marriage Essay

The Gays Rights Movement has existed for over 89 years in counting since the development of the Society for Human Rights in Chicago. During the early years of the Gay Rights movement (1924-1973) it was very difficult to identify as a member of the same sex loving community because during this time it was illegal in the United States. Society didn’t accept the concept due to it being against traditional customs and norms. â€Å"The period since the late 1960s has been a time of gay liberation, more accurately, the movement of gay men and lesbian woman to overcame discrimination and gain rights in society.† (Collins & Coltrane, 2001) During the early years the LBGT community was a private and out of sight lifestyle. The history of the movement reports homosexuality was previously identified as a mental disorder of American Psychiatric Association until 1973 when it was removed. (â€Å"The American gay,† 2000-2013) According to World of Sociology (2001), â€Å"Conf lict theory emphasizes the role of coercion and power in producing social order.† (pg.118) (â€Å"Conflict theory,† 2001) â€Å"This perspective is derived from the works of Karl Marx, who saw society as fragmented into groups that compete for social and economic resources. Social order is maintained by domination, with power in the hands of those with the greatest political, economic, and social resources. When consensus exists, it is attributable to people being united around common interests, often in opposition to other groups. According to conflict theory, inequality exists because those in control of a disproportionate share of society’s resources actively defend their advantages. The masses are not bound to society by their shared values, but by coercion at the hands of those in power.† (Crossman, A., 2013) â€Å"There is also an expansion Marx’s idea that the key conflict in society was strictly economic. Today, conflict theorists find soci al conflict between any groups in which the potential for inequality  exists: racial, gender, religious, political, economic, and so on. Conflict theorists note that unequal groups usually have conflicting values and agendas, causing them to compete against one another. The conflict theory ultimately attributes humanitarian efforts, altruism, democracy, civil rights, and other positive aspects of society to capitalistic designs to control the masses, not to inherent interests in preserving society and social order. This perspective emphasizes social control, not consensus and conformity. Groups and individuals advance their own interests, struggling over control of societal resources.† (Crossman, A., 2013) After 1973 it appears that homosexuality became identified as LGBT. Nationwide legal system and religions organization felt the need to challenges and felt these acts was a constitutional violation. Sometime around the 1974, gays and lesbians were becoming present in â€Å"positions of power† like Harvey Milk who was City Commissioner of San Francisco. They were also seeking and granted domestic-partnership benefits by 1984 in California. These obstacles for the LGBT community were met with rejections and oppressions by American governments and its supporters. In 1993, many men and women were discharged from the armed forces due to â€Å"Don’t Ask, Don’t Tell.† By 1996 the issue of homosexuality and lesbianism had reached the Supreme Court with some achieveme nts but mostly â€Å"knock downs†. ABA Journal published an article â€Å"The Stonewall legacy: ABA Commission creates an award commemorating a key moment for LBGT rights â€Å"on February 2013. The article explains how in the late hours of June 27, 1969 in Greenwich Village, New York at the Stonewall Inn a number of patrons fought law enforcement after numerous experiences with polices raids and other forms of harassments by authority. The articles explained how the Stonewall Inn was a â€Å"well-known† gathering spot for gays in the low-profile area of New York. The patrons throw beer cans, bricks and other objects at arresting officers as they interrupted their only opportunity to socialize with other gay individuals. After experiencing countless riots, arrest and beating the patrons developed a protest known as the Stonewall Riots (movement). The individuals involved in the riot were not only gay males but lesbian (same loving females), bisexual (both sex loving) and transgender (opposite sex identifying) individuals. After about one years of the establishment of the movement gay prides were started in Chicago, Los Angles, New York and San Francisco. The progress in the  movement encouraged the LBGT (lesbian, bi, gay and transgender) individuals to begin to assert their civil rights. James J.S. Holmes, chair of the Commission of Sexual Orientation and Gender Identify/ABA reports, â€Å"The riots were a very visible and public display where the LGBT community finally made it clear it wasn’t going to accept any more repression and poor treatment.† (Filisko, 2013) As the gay bar was for many whites a refuge from homophobia, so family and church were refuges from racism for lesbians and gays of color, including racism in the white lesbian and gay community. Rather than â€Å"smashing the church† and turning their back on family, lesbians and gays of color needed to find ways to negotiate or confront homophobia in those places while at the same time negotiating racism within the gay community.† Many couples like Jack Baker and Michael McConnell or Phyllis Marshall and Grace Thornton fought so hard to fight the â€Å"coercion and power† and â€Å"the hands of those with the greatest political, economic, and social resources† specifically the church and other opposing LGBT groups who felt that their movement was either too soon or out of mainstream (outside of box). (Chenier, 2013) The current issues being address now by society and LGBT individuals seeking matrimony rights. (â€Å"The American gay,† 2000-2013) Most recently on June 26, 2013 the Supreme Court ruled that the 1996 Defense of Marriage Act (DOMA) is unconstitutional. In a 5 to 4 vote, the court rules that DOMA violates the rights of gays and lesbians. The court also rules that the law interferes with the states’ rights to define marriage. It is the first case ever on the issue of gay marriage for the Supreme Court. (Johnson, 2013) Johnson reports that â€Å"the DOMA decision was a huge psychological and legal boost for the gay and lesbian community, but it left same-sex couples in 37 states wit h half a loaf†¦only thirteen states and the District of Columbia allow such marriage.† (Johnson, 2013) In 2000, Vermont becomes the first state in the country to legally recognize civil unions between gay or lesbian couples. It was stated that â€Å"couples would be entitled to the same benefits, privileges, and responsibilities as spouses.† The Gay & Lesbian Review Worldwide published an essay by author Elise Chenier that reported, â€Å"for the past ten years, same-sex marriage has dominated the American political landscape, but this is not the first time in history this issue has made front-page news. In 1971, The San Francisco Chronicle declared that a â€Å"gay marriage boom† was under way. In the first  few years of that decade, The New York Times, Life magazine, Jet, and other periodicals ran feature articles about a handful of couples who launched America’s first battles for legal recognition of same-sex marriage.† Chenier states â₠¬ ¦liberationists’ critique of marriage and family did not make sense for people of color, who relied on family and church for their everyday survival, even as they battled homophobia within them. Gay marriage is a topic that I have had to experience in my personal life when my two childhood friends of twenty years decided to have a marriage ceremony/party in Washington, DC. This party was held about three year ago and they have been dating for two years. After college both of my friends attended Morris Brown College in Georgia. They sent out invites and made announcements for the gathering of friends and love one. My family and I were not aware that they were a same sex couple let alone seeking marriage equality. When we all arrived in Georgia we thought it was a celebration party because they both are successful defense attorneys in Georgia. I was very surprise to see an altar, ceremony minister, flowers and a detailed tuxedo for me. They pulled me and my wife to the side and asked if I was willing to participate in their special day. We were really good friends in high school so against my strict Christian upbringing I participated in the ceremony. Unfortunately, before the grooms could exchange vows and commit themselves to one another the media busted into the location and started taking pictures and causing issues. I felt this was a private and interment ceremony for my friends and it would not end well. A crowd of protestors and media gathered outside. Law enforcement was contacted and some protestors and ceremony members including one of my friends were arrested. My couple plans to get married in the 2014 after ruling of unconstitutional of DOMA and I plan to be front and center. I was enraged at the disrespect these two successful guys had experience at the hands of inequality. After speaking with my friends about the aftermath, experiencing the inequality first-hand and completing this assignment. It is definitely obvious that the progress the Gay Rights Advocates has made toward demanding equal and I feel obligated to promote equality for all people. Reference Chenier, E. (2013). Gay marriage, 1970s style. The Gay & Lesbian Review Worldwide, 20(2), 19+. Retrieved from http://go.galegroup.com/ps/i.do?id=GALE%7CA321900004&v=2.1&u=lom_kentdl&it=r&p=GRGM&sw=w Cohen, L. (2013). The federal role in the family. Commentary, 136(2), 7+. Retrieved from http://go.galegroup.com/ps/i.do?id=GALE%7CA341125184&v=2.1&u=lom_kentdl&it=r&p=GPS&sw=w&asid=30b2787a87635f60db13fe9df042a70a Coltrane, S., & Collins, R. (2001). Sociology of marriage & the family, gender, love, and property. (5th ed). Canada: Wadsworth Pub Co. Crossman, A. (2013). Conflict Theory: Overview. About.com online. Retrieved from http://sociology.about.com/od/Sociological-Theory/a/Conflict-Theory.htm. Filisko, G. M. (2013, February). The Stonewall legacy: ABA Commission creates an award commemorating a key moment for LGBT rights. ABA Journal, 99(2), 57+. Retrieved from http://go.galegroup.com/ps/i.do?id=GALE%7CA318106223&v=2.1&u=lom_kentdl&it=r&p=GRGM&sw=w Johnson, F. (2013). DOMA Didn’t Go Away–It Just Went Local. National Journal. Retrieved from http://go.galegroup.com/ps/i.do?id=GALE%7CA344159967&v=2.1&u=lom_kentdl&it=r&p=GPS&sw=w&asid=7d18e04c20680c7230095f8f3e1baab5 Palmisano, J. (Eds.). (2001). World of sociology, (vol. 2). Farmington Hills, MI: Gale Group. The American Gay Rights Movement: A Timeline. (n.d.). Infoplease.com online. Retrieved from http://www.infoplease.com/ipa/A0761909.html.

Tuesday, October 22, 2019

jaws essays

jaws essays Name of film: Jaws The film Jaws directed by Steven Spielberg is an example of a film done in the Classical Narrative structure. This is so because it has the three basic elements of the classical structure: setup, confrontation, and resolution. The film jaws is about a Chief Brody, who moves to Amity Island, a summer beach town, from New York. During his first summer, Brody is faced with shark attacks. His first reaction is to close the beaches, but the Mayor will not let him do that. The chief, along with marine biologist Hooper, and shark hunter Quint, go out onto the water and hunt the shark. The setup in this film occurs at the beginning, when the first victim of the shark is taken. A girl is swimming in the ocean, and is attacked by the shark. This is Brodys first encounter with a shark, and leaves him with the question of what to do? The confrontation is between the three men, Brody, Hooper, and Quint, and the shark. All three men have their own reason to get the shark, brody wants safe beaches, Hooper wants to study it, and Quint wants money. The three men go out on Quints boat, and hunt the shark. The rising action is when they plug the shark with barrels. The climax occurs when the shark makes its final attack on the boat, and leaps onto the back of the boat. The resolution comes when Chief Brody climbs to the mast of the Orca, after he shoves an oxygen tank into the sharks mouth. On top of the mast he shoots the tank and blows the shark up. The Protagonist of the film is Chief Brody, because he wants to protect the people of Amity Island. One interesting editing sequence found in the film was when the beach was cleared out for a false shark sighting on the fourth of July. I liked when the scene cut from the people screaming, and running out of the water, to the shot where the camera w ...

Monday, October 21, 2019

Critical NIMS Critical Response

Critical NIMS Critical Response The National Incident Management System (NIMS) is a federal approach to the management of disaster incidents. This system provides a template for disaster management regardless of scale, location, or complexity in the US. The main purpose of NIMS is to ensure that there is a clear approach to the management of disasters and other incidents.Advertising We will write a custom report sample on Critical NIMS Critical Response specifically for you for only $16.05 $11/page Learn More The NIMS guidelines encourage multi-agency cooperation in disaster management. The goal of this paper is to explore the application of NIMS guidelines in the management of the disaster emanating from the 2007 collapse of the I-35W Bridge in Minneapolis, Minnesota. Overview of NIMS It is essential to start the discussion on the application of NIMS guidelines by looking at the essential features of NIMS. The four essential elements of NIMS are as follows. First, it is a federal level ap proach to disaster preparedness. NIMS looks at incident management from a universal perspective. It encourages all disaster preparedness and management stakeholders to prepare for incidents as part of a system, rather than in a localized manner. It is not a template for adoption by individual agencies. Rather, the principles enshrouded by NIMS encourage big-picture thinking in incident preparedness from a communal perspective. Secondly, it deals with incidents at various levels. NIMS does not just concentrate on large-scale disasters such as Katrina or the 9/11 bombing. Rather NIMS seeks to create the environment for dealing with incidents that require multi-agency participation. In this sense, managing a domestic fire in a municipality is just as important for NIMS as managing the effects of a hurricane. Thirdly, NIMS guidelines deal with management issues. Disaster management is very critical. The availability of finances, equipment, and community support is not sufficient when ru nning rescue operations after a disaster. The emergency response teams must work in a very clearly articulated manner to leverage on their relative strengths. After the Haitian earthquake, the overwhelming outpouring of sympathy from the international community was not a substitute for proper management of disaster relief operations. The people of Haiti did not enjoy the full benefits of the goodwill of the international community because of disaster management bottlenecks.Advertising Looking for report on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Finally, NIMS is a system. It defines relationships between state and private actors. It also addresses resource management issues. The disaster response initiative of any country or state depends on the ability of these parties to use their resources in the most efficient manner. In this sense, NIMS is a system composed of various actors and the resources they c ontrol. Summary of Events The focus of this paper is the effect of NIMS guidelines in the management of the 2007 disaster in Minneapolis. The main events that took place on that fateful day were as follows. First, the I-35W Bridge collapsed over the Mississippi river in the evening of August 1, 2007. The Bridge was forty years old, and was due for decommissioning in 2020. The bridge collapsed during the rush hour. At the time of the collapse, there were about 120 vehicles carrying 160 people on the bridge. The immediate disaster priorities were as follows. First, there was need to rescue people who were trapped in their vehicles. As the bridge collapsed, some car doors became jammed thereby trapping the occupants. Secondly, some people fell into the water necessitating aquatic rescue operations. The third disaster priority was fighting fire . Some cars burst into flames during the collapse. The fourth disaster priority was conducting triage on injured people to determine their medic al needs. These competing and concurrent priories demanded the attention of rescue workers. In addition, the situation was complicated by the jurisdictional complexities of the disaster site. The federal government owned the bridge while the state of Minnesota operated it. The river was under jurisdiction of the Hennepin County Sheriff Office and the river banks were under city of Minneapolis. Application of NIMS The first issue regarding the application of NIMS principles in the disaster management operations was the setting up of a single command center. The Office of Emergency Preparedness (OEP) housed at the basement of the city hall soon became the primary coordination center for disaster response. NIMS advocates for the establishment of a single command center whenever there is a large-scale disaster. The second important aspect of the response in relation to NIMS was that each response unit opened an Emergency Operating Center (OEC) immediately after the disaster. Most of the se centers started operations within twenty minutes of the incident.Advertising We will write a custom report sample on Critical NIMS Critical Response specifically for you for only $16.05 $11/page Learn More The Minneapolis OEC provided leadership for the other OECs. It managed the Multiagency Coordinating (MAC) group. The role of the lead OEC was to coordinate response activities and to ensure that all OECs had a common understanding of the evolving situation. There was good participation of both state and non-state actors in the disaster response. This is another important aspect of NIMS guidelines. During an emergency, there is usually need to coordinate emergency response services to ensure the resources made available to the rescue and recovery operations are channeled to areas of need. These resources are best utilized when there is central coordination of disaster operations. Most of the OEC leaders knew each other well because that had already work ed resolved smaller disasters together. The importance of developing working relationships before the occurrence of a major disaster is that there is need to ensure that interpersonal issues do not hamper disaster relief operations. Since the OEC leaders knew each other based on common training programs and working on smaller disasters together, the operations of the OEC took off very smoothly. Deviation from NIMS While the overall verdict given to the level of disaster preparedness in Minneapolis was very good, there were some significant shortcomings in the management of the disaster based on NIMS guidelines during this incident. The first issue of concern is that OEC room was too small to house all the teams that had the statutory rights under NIMS to be present. This made it difficult for some of the stakeholders to participate in the critical components of the disaster operations within the operational framework of NIMS. NIMS guidelines require all the disaster response teams t o be represented in the OEC. The second major shortcoming based on NIMS guidelines is that there were no safety officers to ensure that all the activities of the response teams were safe. One area with serious safety concerns was the OEC room, because of its size. A safety officer would have raised the issue in order to find alternative ways of dealing with the situation.Advertising Looking for report on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More The disaster site also did not have a safety officer. This exposed responders to safety risks especially when the responders failed to observe safety guidelines during the rescue operations. A safety officer on site would have enforces safety guidelines for responders. A lapse in the management of information during the disaster arose because of the absence of the Public Information Officer (PIO). Initial delays in reaching the PIO) threatened to hamper adherence to NIMS guidelines regarding the establishment of a Joint Information Center (JIC). However, after the PIO arrived on the scene, the management of the press took place very effectively. Press management is a critical component of disaster management. The OEC manager directed that press briefing be held at predetermined times throughout the day. This helped to manage the large volume of requests for press briefings. One of the serious shortcomings in the communication processes was that the Minneapolis Department of Public W orks (DPW) did not have the 800 HZ radios, which all the other disaster response parties used. The DPW also operated from a separate location hampering their ability to see the big picture at all times. This situation arose because the DPW was not included in the initial distribution of the communication equipment. However, the DPW provided support to the other responders in a commendable manner. Its inclusion in the disaster preparedness systems of the city of Minneapolis will add to the capacity of the city to respond to disasters. There were incidents of freelancing by some responders. Freelancing refers to the impulse to respond to an incident by a responder without clear orders. This is against NIMS rules. In the disaster situation under review, many of the responders waited for orders. The city should work towards achieving full compliance to this rule. DHS. National Incident Management System. Washington DC: US Department of Homeland Security, 2008. Print. Stambaugh, Hollis and Harold Cohen. I-35W Bridge Collapse and Response. Washington DC: FEMA, 2007. Print.

Sunday, October 20, 2019

How to Use Material Safety Data Sheets (MSDS)

How to Use Material Safety Data Sheets (MSDS) A Material Safety Data Sheet (MSDS) is a written document that provides product users and emergency personnel with information and procedures needed for handling and working with chemicals. MSDSs have been around, in one form or another, since the time of the ancient Egyptians. Although MSDS formats vary somewhat between countries and authors (an international MSDS format is documented in ANSI Standard Z400.1-1993), they generally outline the physical and chemical properties of the product, describe potential hazards associated with the substance (health, storage cautions, flammability, radioactivity, reactivity, etc.), prescribe emergency actions, and often include manufacturer identification, address, MSDS date, and emergency phone numbers. Key Takeaways: Material Safety Data Sheet (MSDS) A Material Safety Data Sheet or is a summary of the key properties of a substance and the hazards associated with its use.Material Safety Data sheets are not standardized, so its important to consult one provided by a respected source.Two chemicals that have the same name may have very different MSDS sheets because the particle size of the product and its purity may significantly affect its properties.MSDS sheets should be kept in an easy-to-find location and made accessible to all persons dealing with chemicals. Why Should I Care About a MSDS? Although MSDSs are targeted at workplaces and emergency personnel, any consumer can benefit from having important product information available. An MSDS provides information about proper storage of a substance, first aid, spill response, safe disposal, toxicity, flammability, and additional useful material. MSDSs are not limited to reagents used for chemistry, but are provided for most substances, including common household products such as cleaners, gasoline, pesticides, certain foods, drugs, and office and school supplies. Familiarity with MSDSs allows for precautions to be taken for potentially dangerous products; seemingly safe products may be found to contain unforeseen hazards. Where Do I Find Material Safety Data Sheets? In many countries, employers are required to maintain MSDSs for their workers, so a good place to locate MSDSs is on the job. Also, some products intended for consumer use are sold with MSDSs enclosed. College and university chemistry departments will maintain MSDSs on many chemicals. However, if you are reading this article online then you have easy access to thousands of MSDSs via the internet. There are links to MSDS databases from this site. Many companies have MSDSs for their products available online via their websites. Since the point of an MSDS is to make hazard information available to consumers and since copyrights dont tend to apply to restrict distribution, MSDS are widely available. Certain MSDSs, such as those for drugs, may be more difficult to obtain, but are still available upon request. To locate an MSDS for a product you will need to know its name. Alternate names for chemicals are often provided on the MSDS, but there is no standardized naming of substances. The  chemical name  or  specific name  is used most often to find MSDSs for health effects and protective measures.  IUPAC  (International Union of Pure and Applied Chemistry) conventions are used more often than  common names.  Synonyms  are often listed on MSDSs.The  molecular formula  may be used to locate a chemical of known composition.You can usually search  for substance using  its  CAS (Chemical Abstracts Service)  registry number.  Different chemicals  may have the same name, but each will have its own CAS number.Sometimes the easiest way to locate a product is to search by  manufacturer.Products may be found using their  US Defense Department NSN. A National Supply Number is a four-digit FSC class code number plus a nine-digit National Item Identification Number or NIIN.A  trade name  or  product name  is the brand, commercial, or marketing name the manufacturer gives the product. It does not specify what chemicals are in the pr oduct or whether the product is a mixture of chemicals or a single chemical. A  generic name  or  chemical family name  describes a group of chemicals with related physical and chemical properties. Sometimes an MSDS will list only the generic name of a product, although in most countries laws require that chemical names also be listed. How Do I Use a MSDS? An MSDS might appear to be intimidating and technical, but the information is not intended to be difficult to understand. You might simply scan an MSDS to see if any warnings or hazards are delineated. If the content is difficult to understand there are online MSDS glossaries to help define any unfamiliar words and often contact information for further explanations. Ideally you would read an MSDS before obtaining a product so that you could prepare proper storage and handling. More often, MSDSs are read after a product is purchased. In this case, you can scan the MSDS for any safety precautions, health effects, storage cautions, or disposal instructions. MSDSs often list symptoms that might indicate exposure to the product. An MSDS is an excellent resource to consult when a product has been spilled or a person has been exposed to the product (ingested, inhaled, spilled on skin). The instructions on an MSDS do not replace those of a health care professional, but can be helpful emergen cy situations. When consulting an MSDS, keep in mind that few substances are pure forms of molecules, so the content of an MSDS will depend on the manufacturer. In other words, two MSDSs for the same chemical may contain different information, depending on the impurities of the substance or the method used in its preparation. Important Information Material Safety Data Sheets are not created equal. Theoretically, MSDSs can be written by pretty much anyone (although there is some liability involved), so the information is only as accurate as the authors references and understanding of the data. According to a 1997 study by OSHA one expert panel review established that only 11% of the MSDSs were found to be accurate in all of the following four areas: health effects, first aid, personal protective equipment, and exposure limits. Further, the  health effects  data on the MSDSs frequently are incomplete and the chronic data are often incorrect or less complete than the acute data. This doesnt mean that MSDSs are useless, but it does indicate that information needs to be used with caution and that MSDSs should be obtained from trustworthy and reliable sources. The bottom line: Respect the chemicals you use. Know their hazards and plan your response to an emergency before it happens!

Saturday, October 19, 2019

Between the Law and Your School Essay Example | Topics and Well Written Essays - 1000 words

Between the Law and Your School - Essay Example This can be explained using four illustrations. First is the issue of the Supremacy Clause, which makes it clear that all laws passed by the Congress succeed the constitution or state law. Most specifically, Article IV of the second clause provides that the Constitution and the U.S laws are the supreme laws of the country, with all the judges in every State being under them. Secondly, Federalism provides that the U.S government is a national entity on its own, rather than a federation of States, and thus states will always be sovereign entities in the Nation’s system. Federal law also supersedes State laws to meet the terms of preemption. Courts are expected to identify the extent and substance of federal preemption and protect State laws as extensive as possible. In case of any conflict between the two bodies, courts entail preemption of State laws in absence of express preemption. When State and Federal laws contradict, there emerges a state of conflict preemption. During su ch an occurrence, the federal law often preempts the State law so long as it is a constitutional application of federal authority. The legal system has evolved over the last twenty years, thus affecting the state of the legal framework. A few illustrations can be used to explain this move, and in this context, the evolutions in education law and rules some thirty years ago and the noticeable effects they have had on public schools in the U.S. In 1954, the Court’s Brown versus The Board of Education banned segregated schools (Stevens, 2001). Some few years later, in Community Schools versus Seattle School District, there was a rule by the Supreme court that public school districts ensure they had a given percentage of learners of ethnic minorities over the white learners, thus reversing the anticipated effects of Brown v Board. This marks a huge evolution in the regulations affecting public schools. Apart from the two laws, there was the law of â€Å"No Child Left Behind† formulated by the Congress and the President. It laid a foundation for specific funding and testing guidelines and totally changed the way in which public schools in America offered education (Alexander & Alexander, 2011). Having addressed the issue of legal framework and its effects on public schools, it is important to address how it differs between private and public schools. In terms of funding, public schools are financed by the federal, State, or local government. On the other hand, private schools are funded by private sources, meaning that they are not subject to the rules and regulations laid down by the State on finance issues. The requirements in admissions also differ in that, while public schools must admit and educate every child, private schools decide on whom to admit and in which way. All public schools are guided by the same basic set of federal and local education regulations. The laws generally address the topics of school curriculum, educational program conte nt, funding, and budgets. Given the reason that taxpayers are responsible for the costs incurred by public schools, there is no tuition included in attending. In comparison, private schools follow the government regulations but they are more flexible especially in financial issues. This is based on the fact that they do not finance their operations using tax payers’ money, thus not much limited on the way they use their resources (Stevens, 2001). Not only does the State provide legal frameworks to govern public schools,

Friday, October 18, 2019

Land Law and Professional Advice Essay Example | Topics and Well Written Essays - 1000 words - 1

Land Law and Professional Advice - Essay Example However, it can be seen that there is some contribution from her in the land as she helped to â€Å"prop up the business and the farm†. In Jones v Kernott2, the male spouse left the house and stopped paying the bills and the mortgage. In his absence, his wife bore all the expenses. It was held that the wife had an equitable interest in the house and on the basis of equity; the share was 90:19 between the two. But in Lloyds Bank plc v Rosset3, upon sale by the husband who was the sole owner, the wife’s claim to a beneficial ownership was rejected despite her having made contributions in the improvement of the land. Therefore, Andrea’s contribution in the improvements to the land would be regarded as de minimis. From Fred’s letter to his wife, it can be construed that he did not want to authorize Andrea to make negotiations regarding the sale of the farm. Since Fred never really put Andrea’s name in the deeds and now the Land law emphasises on the nee d of putting such agreements into writing, Andrea could not have passed the title to Rachel Buchanan. From another point of view, since Andrea borrowed a â€Å"vast† sum of money from her father, it can be construed that she had made a big investment in the farm and her contribution might not be regarded as de minimis. From the judgement of Stack v Dowden4, it might be construed that Andrea had developed a constructive trust in the farm. This would enable her to transfer her equitable interest to Rachel Buchanan in the farm as seen in Chinn v Collins5. Therefore, Rachel now holds an equitable interest in the farm transferred to her from Andrea. Fred still has his interest and rights regarding the farm. Rachel mentions in her letter that there was an extremely valuable Georgian sun-dial in the garden. Andrea has taken the sun-dial and left the plinth. Rachel wants the sun-dial back. The contract was between Rachel and Andrea. At that time, Rachel had not seen the estate. Hence , she did not know that there was a sun-dial on the estate and it was not essential to her prospective business either. In Berkley v Poulett6, the seller had removed some pictures and a sun-dial. The buyer sought recovery of those items. It was held that the sun-dial was not a fixture and was affixed for mere enjoyment. The seller was entitled to remove it at any time as he pleased. Similarly, Andrea is entitled to have the sun-dial in her possession as it did not form a part of the contract and Rachel had no knowledge of its existence at the time of the contract. Rachel can have the plinth and it might be regarded as a fixture since it might do some damage to the land upon its removal. From Matthew Williams’ letter to Fred, it can be easily construed that Fred had completed the contract of transfer of the extension to the Hopgood farms to Matthew. The legal requirements are fulfilled and everything has been put into writing. Mathew is now entitled to obtain possession of the land and Fred is holding the land for him. However, a letter from Beryl Stanforth, the owner of Grange Farm, to Fred suggests that she has an equitable interest in the land and her permission is required to lease the land. Mathew has written in his letter that when he went to the estate, he had an encounter with Beryl. This means that he could have made

Financial Analysis of two companies- Iggle and Piggle Essay - 1

Financial Analysis of two companies- Iggle and Piggle - Essay Example The cash inflows are the amount of money that is coming into the business and cash outflows means the amount of money that is spent on the initiation of the business. This fund management is an essential part of the business and should be followed well. In the corporate world, the main aim on which the management focuses in terms of managing its finances is by achieving various goals that are set for a particular period. There are particular financial processes which should be followed by a firm to fulfill its profit-making objectives. Here we will analyze and evaluate the business performance of the two companies- Iggle plc and Piggle plc, with the help of different techniques and tools of financial management. (Economy watch, n.d). The company Iggle plc had a return on capital employed of 35% with the return on equity of 20% which is determined by the ratio of net income to the total equity of the company. The net profit margin of the company that is, the profit after interest but before payment of tax is said to be 15%. For the company, the average settlement period of debtors and the average settlement period of creditors are 78 days and 85 days respectively. The stock holding period of the company is 88 days with a gross profit margin of 44%. The company had 15 times of fixed asset turnover and a capital gearing ratio of 65%. The current ratio of the company, which is the ratio between current assets and current liabilities, is 8:1 and the acid test ratio or the quick ratio is 6:1. The company had a price earning (PE) ratio which is determined by the market price of shares per earnings per share of 6 and it shows the valuation of the company. The company Piggle plc had a return on capital employed of 20% with the return on equity of 10% which is determined by the ratio of net income to the total equity of the company.

Thursday, October 17, 2019

Differences in Globalization.Differences Between Globalization From Essay

Differences in Globalization.Differences Between Globalization From Above And From Below - Essay Example In the business front, globalization may refer to the aspect of investing resources and conducting businesses beyond domestic and national markets to international markets across the world with a view of enhancing closer relations in different markets (Investopedia 2013, p. 1). Indeed, globalization involves the creation of an open and common global market and investment opportunities. Generally, globalization may define distinct political, economic, and social processes of a given society where it involves the decentralization of modern technologies, ideologies, and practices (Najera 2007, p. 1). This allows for the sharing of information and exercising free will in defined aspects as more people across the globe establish close and relevant relationships. More so, this fosters international trade, international policies, and cultural exchange (Investopedia 2013, p. 1). Ideally, there are significant benefits that relate to globalization in the modern world and hence the support on globalization by various scholars. Nevertheless, there are differences regarding the future and expansion of globalization with some scholars viewing globalization as an inexorable process. This leads to the assumption of different views concerning globalization. This includes globalization from â€Å"below† and globalization from â€Å"above.† The proponents of globalization may relate it to industrial growth in developing nations where such nations benefit from increased employment opportunities and technological transfer from the industrialized nations. Indeed, globalization allows the developing nations to derive economic benefits from the industrialized nations thus fostering economic growth in the developing nations. Nevertheless, we still have critics of globalization who claim that the benefits of globalization are prone to numerous risks. Indeed, the critics of globalization have homogenizing impacts on culture and exploit the domestic people and environment ( Najera 2007, p. 1). Moreover, they assert that globalization demeans national sovereignty and underrates the domestic labor force (Investopedia 2013, p. 1). There are different instruments of globalization, which include the World Trade Organization, the International Monetary Fund, and the World Bank, which recorded immense success in the recent past (Brecher, Costello & Smith 2000, p. 1). As such, it is evident that globalization has taken root and its application in the modern world bears potential benefits. There are different types of globalization, which include economic globalization, cultural globalization, economic globalization, globalization of sport, globalization of higher education, and globalization of medicine, health, religion, and science (Ritzer 2010, p. 60). More so, there are distinct factors that drive contemporary globalization which include technology, capitalism, and multinational corporations (Ritzer 2010, p. 60). Nevertheless, there are differences regardi ng the future and expansion of globalization with some scholars viewing globalization as an inexorable process (Ritzer 2010, p. 60). This leads to the assumption of different views concerning globalization. This includes viewing globalization from â€Å"below† and viewing globalization from â€Å"above.† Notably, there are significant differences between globalization â€Å"from above† and globalization â€Å"from below.† Ideally, we can refer to the view of globalization â€Å"from below† as democratic globalization and refer to the view of globalization from above as corporate globalization. More specifically, globalization â€Å"from below† refers to a situation where individuals (activists) or

Leadership & Entrepreneurship Essay Example | Topics and Well Written Essays - 1500 words

Leadership & Entrepreneurship - Essay Example But why do businesses really fail? Is it in the poor leadership skills of the manager? Or is it in the poor marketing forecasts? Business strategies that have worked decades ago may need to be reviewed for their effectiveness in an organization. With the present ever changing times, if a leader cannot adapt to change thinking that his business style which has worked for many years is enough, he may lose to competition (Sharp 1991). A degree in Business Management or Marketing can help entrepreneurs develop business or marketing strategies that can ensure the survival of businesses in today’s business world. These degrees can also help in the development of leadership skills that can make or break small to medium enterprises. But why is it important to acquire education or knowledge of management to become an effective entrepreneur? This relationship of leadership and entrepreneurship will be thoroughly discussed in the paper, giving implications of leadership in the development of an effective business enterprise. Also a comparison between two SME companies will be provided to serve as evidential examples for the analysis of the effect of leadership and its role in the entrepreneurial world. Likewise, the paper will discuss the close relationship of good governance in terms of profitability for sustainable businesses. The theories that may be applied and the possible errors that some leaders may commit that lead to the downfall of their businesses (Finch, 2003). The development and growth of the economy relies heavily on the sustainability of the entrepreneurial activities encompassing small, medium and large businesses. As such, developing economies look at entrepreneurship as a vital factor for its continued growth (Asel, 200). In lieu of the importance of entrepreneurship to economy, the role of leadership is also perceived otherwise as equally essential to the significance of entrepreneurship in building a sustainable

Wednesday, October 16, 2019

Differences in Globalization.Differences Between Globalization From Essay

Differences in Globalization.Differences Between Globalization From Above And From Below - Essay Example In the business front, globalization may refer to the aspect of investing resources and conducting businesses beyond domestic and national markets to international markets across the world with a view of enhancing closer relations in different markets (Investopedia 2013, p. 1). Indeed, globalization involves the creation of an open and common global market and investment opportunities. Generally, globalization may define distinct political, economic, and social processes of a given society where it involves the decentralization of modern technologies, ideologies, and practices (Najera 2007, p. 1). This allows for the sharing of information and exercising free will in defined aspects as more people across the globe establish close and relevant relationships. More so, this fosters international trade, international policies, and cultural exchange (Investopedia 2013, p. 1). Ideally, there are significant benefits that relate to globalization in the modern world and hence the support on globalization by various scholars. Nevertheless, there are differences regarding the future and expansion of globalization with some scholars viewing globalization as an inexorable process. This leads to the assumption of different views concerning globalization. This includes globalization from â€Å"below† and globalization from â€Å"above.† The proponents of globalization may relate it to industrial growth in developing nations where such nations benefit from increased employment opportunities and technological transfer from the industrialized nations. Indeed, globalization allows the developing nations to derive economic benefits from the industrialized nations thus fostering economic growth in the developing nations. Nevertheless, we still have critics of globalization who claim that the benefits of globalization are prone to numerous risks. Indeed, the critics of globalization have homogenizing impacts on culture and exploit the domestic people and environment ( Najera 2007, p. 1). Moreover, they assert that globalization demeans national sovereignty and underrates the domestic labor force (Investopedia 2013, p. 1). There are different instruments of globalization, which include the World Trade Organization, the International Monetary Fund, and the World Bank, which recorded immense success in the recent past (Brecher, Costello & Smith 2000, p. 1). As such, it is evident that globalization has taken root and its application in the modern world bears potential benefits. There are different types of globalization, which include economic globalization, cultural globalization, economic globalization, globalization of sport, globalization of higher education, and globalization of medicine, health, religion, and science (Ritzer 2010, p. 60). More so, there are distinct factors that drive contemporary globalization which include technology, capitalism, and multinational corporations (Ritzer 2010, p. 60). Nevertheless, there are differences regardi ng the future and expansion of globalization with some scholars viewing globalization as an inexorable process (Ritzer 2010, p. 60). This leads to the assumption of different views concerning globalization. This includes viewing globalization from â€Å"below† and viewing globalization from â€Å"above.† Notably, there are significant differences between globalization â€Å"from above† and globalization â€Å"from below.† Ideally, we can refer to the view of globalization â€Å"from below† as democratic globalization and refer to the view of globalization from above as corporate globalization. More specifically, globalization â€Å"from below† refers to a situation where individuals (activists) or

Tuesday, October 15, 2019

Quality Parts Case Analysis Essay Example | Topics and Well Written Essays - 750 words

Quality Parts Case Analysis - Essay Example The manager of Quality Parts Company is aiming to do precisely that by planning to appoint three inspectors to clean up the quality problem. She also contemplates adding a setting up a rework line to speed repairs. This is a disastrous idea that piles up the cost element of manufacturing. It also compromises on quality in the first place because when a new line for rework is added to the works the attention of the workers would be slanted more towards rework instead of a perfect first attempt manufacture. In forecasting demand, two methods can be applied- the push effect got as a result of demand forecast or the "pull" effect as Kanban exemplifies. The actual demand of the consumers is calibrated and production done accordingly. Kanban best suits a condition when the supply time is prolonged and the supposed demand is rather difficult to predict; the production then has to be done in response to the consumer's demand or 'pull'. Adoption of this methodology will cut down on the inventory costs because goods are procured as and when there is a pull by the consumer. The production facility becomes Just in time. The production process starts at the instance of a product being sent out of the factory. So, the process is upstream. Quality parts system makes basic errors in maintaining quality. ... The production process starts at the instance of a product being sent out of the factory. So, the process is upstream. Quality parts system makes basic errors in maintaining quality. As pointed earlier, the repair work or a separate rework line defeats the concept of quality management especially six sigma. In total quality management minimization of defects at the production stage is given more importance. The second most important thing is the manager's proposed idea of keeping "skids filled". This idea is in total contrast to the Just in time attainment of raw materials as professed in the kanban theory. (Chase-Jacobs-Aquilano, "Operations Management for Competitive Advantage, 2005, Operations_Management_Ch12.doc) Automatically ordering of inventory will not take into account the goods already manufactured, dispatched, in production and demand for future products. Getting and storing inventory will not only add to the cost of storage but defeats the logic of upstream production. High scrap rate: As evinced in the example, the scrap rate is nearly 10% that means 1 in 10 items produced are scrapped. This is an awesome waste considering the manpower and money involved. The high rise shelving inside the factory does not allow for grouping of similar tasks and interaction among teams of related work. The chain of uninterrupted production is disrupted and at times even broken. Grouping tasks: The bright thing to do incase of assembly line setup of manufacturing goods is to have people, procedures and equipments needed for similar tasks to be kept at proximity. It is a wonderful idea to do would be to place teams performing successive operation close to each other or near each other. This would reduce the physical

Monday, October 14, 2019

Utilitarianism Theory Essay Example for Free

Utilitarianism Theory Essay Utilitarianism is a moral theory generally considered to have been founded by Jeremy Bentham, a 19th century English philosopher and social reformer. It is centered on the concept of happiness, and those who seek it. The idea is that all people seek happiness, and that it is the ultimate goal of all human beings to be happy. Therefore, according to classical utilitarianism, when a person wishes to act in an ethically sound manner he or she should strive to bring about the greatest possible amount of happiness for the greatest possible amount of people. This is known as the greatest happiness attitude. Another, similar idea is that a person should always strive, if incapable of producing happiness, to reduce unhappiness. As the theory is wholly focused on the outcome of a person’s actions, it is classed as a â€Å"consequentialist† theory, i.e. a theory that concerns it with consequences and not actions in themselves. Utilitarianism can be seen as a highly mathematical theorem, looking at the total units of happiness that a particular action gives rise to. For instance, I might want to go out and have drinks with some friends and my boyfriend or I could find something more family oriented and do something fun with my son and my boyfriend. Consider that my son is only little for a short time, would I rather have drinks and regret the hang over later or share a memory with my little boy. Taking my son out for a night might add 10 units of happiness to the world’s total stock, whereas going out for drinks would only add a total of 6. Certainly, the latter would make a greater quantity of people happy (the former only benefiting one person), but it is the quantity of happiness produced that is of the first importance to utilitarianists. But let us look more closely at Bentham’s utilitarianism. To understand his approach more fully, it is vital that one come to an appreciation of exactly what he meant by â€Å"happiness†. His ideas here are, really, quite simple. Bentham thought that we should look at happiness as being based on pleasure. Naturally, it follows from this that he also felt that we should treat unhappiness as something consisting of pain. This view on happiness has led his particular brand of utilitarianism to be seen as a hedonistic theory. Furthermore, Bentham did not distinguish between different forms of pleasure. To him, anything that gave rise to happiness – be it drugs or reading – was fundamentally good. Other philosophers have striven to develop Bentham’s  theories further. One of the more notable of these is John Stuart Mill, who sought to distinguish between what he termed â€Å"higher† and â€Å"lower† pleasures. Mill disagreed with Bentham’s all-inclusive view on pleasure, feeling that there was a fundamental difference between the varying forms of pleasure available to people, and that some had a finer quality than others. It was Mill who put forth the notion that it is â€Å"better to be Socrates dissatisfied than a fool satisfied†. Mill’s idea was fairly straightforward, namely that while there are many simple, sensual pleasures in life, such as eating or drinking, there are also certain pleasures which are of a more cerebral nature, such as listening to classical music or reading poetry. According to Mill, these latter pleasures are of a greater quality, and should therefore be considered more important. He posited that someone who has experienced both forms of pleasure would naturally feel inclined to choose the higher pleasures. For instance, a man who is familiar with both tasty food and good poetry would view the latter as something more valuable than the former. This is a fairly straightforward exploration of the most common forms of utilitarianism. The most important thing to remember about these theories is that they are consequentialist and, above all else, that they are concerned with the greater good. Utilitarianists don’t care about your personal agenda or whether your actions happen to hurt some people. As long as the eventual results of your actions lead to more pleasure than pain, you’re in the clear. There were a number of things Mill did to change Utilitarianism. Mill said: â€Å"Better to be a human dissatisfied than a pig satisfied; better to be a Socrates dissatisfied than a fool satisfied.† Mill also linked Utilitarianism with Christian morality. He connected the theory with the teachings of Jesus. He said that the ‘ideal perfection of utilitarian morality’ was abiding by the ‘Golden Rule’-‘Do onto others as you have them do to you.’ This made many more people accept Utilitarianism as it linked with their religion. Rules were introduced into Utilitarianism by Mill. The rules introduced were ones that generally brought about the greatest happiness for the greatest number. For example, Mill argued that society needs the principal of truthfulness as it brings the most happiness on the long run. Utilitarianism is a theory that Christians can relate to. Mill brought it closer to the Christian church by introducing Rule Utilitarianism. This would be closer to the principals Jesus lived by. For  example, it was against the Jewish law to work on the Sabbath but when people were in need, Jesus bent this rule and healed them. The largest connection Christianity has with Utilitarianism is the death of Jesus. He was crucified and died for the sins of mankind-sacrificing himself for the majority. However, Utilitarianism does accept evil where Christianity most certainly does not.

Sunday, October 13, 2019

Reliance Steel Aluminum Co

Reliance Steel Aluminum Co Reliance Steel Aluminum Co. is one of the largest metals service center companies in the United States. Through a network of more than 180 locations in 37 states, Belgium, Canada, China, South Korea and the United Kingdom, the Company provides value-added metals processing services and distributes a full line of more than 100,000 metal products. These products include galvanized, hot-rolled and cold-finished steel, stainless steel, aluminum, brass, copper, titanium and alloy steel sold to more than 125,000 customers in a broad range of industries. Some of these metals service centers provide processing services for specialty metals only. The Companys primary business strategy is to enhance its operating results through strategic acquisitions and expansion of its existing operations. This strategy is driven in part by the continued growth and consolidation of the metals service center industry. The Company seeks businesses that are strategically positioned to diversify or enhance its customer base, product breadth and geographic coverage. The Company has successfully completed over 40 acquisitions since its 1994 IPO. Reliance is also expanding its facilities and product offerings in several of its existing geographic locations while penetrating new markets for its products. Corporate History: Reliance was founded in 1939 in Los Angeles, California and began as a fabricator of steel reinforcing bar. In subsequent years, the Company developed into a full-line distributor of steel and aluminum operating through a single metals service center located in Los Angeles. Through the 1960s, the Company expanded its operations via several acquisitions and the establishment of additional service centers. In the mid-1970s, the Company began to establish specialty metals centers stocked with inventories of selected metals such as aluminum, stainless steel, brass and copper, and equipped with automated materials handling and precision cutting equipment. Beginning in the early 1990s, owners of successful service center companies started to sell these companies as they were reaching retirement age. Reliance saw this as an opportunity to expand nationally in a more profitable manner than by expanding with Greenfield operations. This led Reliance to complete an IPO in 1994 to raise the funds to allow for that growth. Reliance has grown significantly through such acquisitions. The Company has completed more than 40 acquisitions since Reliances initial public offering in 1994 and will continue to be an aggressive acquirer of companies. Vision Mission: Reliance serves mission is to provide its customers primarily by providing quick delivery, metals processing and inventory management services. The Company purchases large quantities of metals from primary producers and sells these inventories in smaller quantities. The Companys primary business strategy is to enhance its operating results through strategic acquisitions and expansion of its existing operations. This strategy is driven in part by the continued growth and consolidation of the metals service center industry. The Company seeks businesses that are strategically positioned to diversify or enhance its customer base, product breadth and geographic coverage. Forbes Rankings: Reliance Steel Aluminum Co. 237th on the Forbes Executive Pay in 2008 Reliance Steel Forbes 400 Best Big Companies in 2008 Reliance Steel 13rd on the The 100 Best Mid-Caps in America in 2008 Reliance Steel 1,463rd on the Forbes Global 2000 in 2008 Reliance Steel 1,555th on the Forbes Global 2000 in 2007 Strategy: To become globally competitive: Reduce costs improve operational efficiency. Create economies of scale. Leverage existing assets for future growth: Concentrate on value added differentiated products especially cold rolled segment. Optimize financial structure through debt restructuring including reduction. Diversify market mix through exports to countries like China, Hong Kong and Eastern Europe. Corporate Office: 350, South Grand Avenue, Suite 5100, Los Angeles, California 90071 Phone (213)687-7700 Fax (213)687-8792 Areas of Working: The Company provides value-added metals processing services and distributes a full line of more than 100,000 metal products. These products include galvanized, hot-rolled and cold-finished steel, stainless steel, aluminum, brass, copper, titanium and alloy steel sold to more than 125,000 customers in a broad range of industries. Some of these metals service centers provide processing services for specialty metals only. Major products are: Carbon steel plate, Carbon steel bar, Carbon steel tubing, Carbon steel structural, Galvanized steel sheet coil, Hot rolled steel sheet coil, Cold rolled steel sheet coil, Aluminum bar tube,ÂÂ   Heat treated aluminum plate, Common alloy aluminum sheet coil, Common alloy aluminum plate, Heat treated aluminum sheet coil, Stainless steel bar tube, Stainless steel sheet coil, Stainless steel plate,ÂÂ   Electro polished stainless steel tubing fittings, Alloy bar, rod tube, Alloy, plate sheet coil, Miscellaneous, including brass, copper titanium Toll processing of aluminum, carbon and stainless steel Executive Management: 56 Years Old David H. Hannah, Chairman of the Board and Chief Executive Officer Effective October 17, 2007, David H. Hannah, currently Chief Executive Officer was elected to the additional role of Chairman of the Board. Mr. Hannah, 56, became Chief Executive Officer of Reliance in January 1999. He served as President from November 1995 to January 2002. Prior to that, he was appointed a Director in 1992 and had served as an Executive Vice President and as Chief Financial Officer since he joined Reliance in May 1981. David H. Hannah, Chief Executive Officer, relinquished the title of President in January 2002. He became Chief Executive Officer of the Company in January 1999, in addition to being named President of the Company in November 1995. Prior to that, he was Executive Vice President and Chief Financial Officer from 1992 to 1995, Vice President and Chief Financial Officer from 1990 to 1992 and Vice President and Division Manager of the Los Angeles Reliance Steel Company division of the Company from July 1, 1989 to June 30, 1990. From January 1, 1987 to July 1, 1989, Mr. Hannah was Vice President and Chief Financial Officer of the Company, and from 1981 to 1987, was Chief Financial Officer. Mr. Hannah became a director of the Company in 1992. For eight years before joining the Company in 1981, Mr. Hannah, a certified public accountant, was employed by Ernst Whinney in various professional staff positions. Directors: Gregg J. Mollins, President Chief Operating Officer Thomas W. Gimbel Douglas M. Hayes Franklin R. Johnson, Former partner Mark V. Kaminski, Former Chief Executive Officer Andrew G. Sharkey, President and Former Chief Executive Officer Richard J. Slater, Chairman Leslie A. Waite, Managing Director Impact of Reliance Steel Aluminum Co. on Indian Industry With the governments focus on the infrastructure and electrical sector along with Indias growing importance as a global manufacturing hub for automobiles, infrastructure steel aluminum domestic consumption is expected to grow by 9-10% in 2009-2010. With 10% of the worlds total Steel Aluminum resources India is self sufficient in steel aluminum, combined with low power costs it has a competitive export market. So, till today Reliance Steel Aluminum Co. have not much scope in Indian market because of robust growth in the Asian region, led by China has continued to drive the demand for steel aluminum from Indian market. Demand from East Europe, South Asia and Africa has also contributed to a significant growth in demand of 7%. Growth in power, construction, automotive and telecommunication sectors is expected to increase demand for steel aluminum by 4-5% over the next couple of years. With low demand and high power costs in South America and Europe, copper miners are looking at India. The proximity to a high demand region and the low smelting costs has made India and other South East Asian counties increasingly attractive locations. With its primary use in the galvanizing of steel, the major users of zinc are the automobile and construction industries. India is presently a minor exporter of Steel Aluminum, but with the expansion of new production capacity India is well on its way in becoming self sufficient and will take a much larger role in international markets. Indias have potential in the global base Steel Aluminum market and also its growing appeal to international investors. Often compared to the dynamic growth rates in China, India has promised but failed to deliver the same. This conference will critically examine if Indias recent developments will finally allow that promise to be successfully met. So, it is cleared from the above mentioned facts that till today, India is self sufficient in steel Aluminum, combined with low power costs it has a competitive export market Reliance Steel Aluminum Co. have not much scope in Indian market because of robust growth in Indian Steel Aluminum market, but it have opportunities in future because of continuity in demand for steel aluminum, because of robust growth in power, construction, automotive and telecommunication sectors in India. SWOT Analysis: SWOT Analysis, is a strategic planning tool used to evaluate the Strengths, Weaknesses, Opportunities, and Threats involved in a project or in a business venture. It involves specifying the objective of the business venture or project and identifying the internal and external factors that are favorable and unfavorable to achieving that objective. The aim of any SWOT analysis is to identify the key internal and external factors that are important to achieving the objective. SWOT analysis groups key pieces of information into two main categories: Internal factors The strengths and weaknesses internal to the organization External factors The opportunities and threats presented by the external environment The internal factors may be viewed as strengths or weaknesses depending upon their impact on the organizations objectives. What may represent strengths with respect to one objective may be weaknesses for another objective. SWOT Analysis of Reliance Steel Aluminum Co. Strengths to Build Upon Largest Integrated Aluminum Stainless Steel player in US Cost Efficiencies arising out of : Captive power generation. In house manufacture of HCFC. Economies of scale due to melting capacity. Capacity of 250,000 tones. v Restructuring would enable focus on core strengths / core competencies. v The Company has a very diligent and disciplined acquisition strategy (growth segment) v Has cold rolling capacities which result in : Value added products. Production of international grade Stainless Steel facilitating exports Has diversified into many different areas of the Steel Aluminum industry and has many strong brands under its main umbrella group. Specialized equipment used to process the metals requires high-volume production to be cost effective. Reliance expects to continue to be at the forefront of consolidation in the large and still fragmented Steel Aluminum service center industry, even during poor economic periods when local or regional metals service centers may lack the access to capital required to compete effectively. Weaknesses to Overcome Inappropriate handling of the environmental interest groups is a very big weakness of the organization and can be detrimental to it in the future. High Gearing Capital blocked in group company investments. Opportunities to Exploit Opportunity In the developing Indian market, which is one of the largest consumer of Steel Aluminum. Operations and could greatly enhance its suite. Value added products. Present import duty structure allows protection. Growth opportunities in domestic as well as world market. Leaves scope for volume growth. Export substitution for wide width thin gauge. Cold Roll Stainless Steel (CRSS). Threats to Overcome Entry by global players and dumping by Asian countries. Operations sensitive to global prices of Nickel and stainless steel. Change in govt. policy on duty protection for. CRSS will have adverse impact on pricing. Reasons for Growth of Reliance Steel Aluminum Co.: Diverse, talented and dedicated workforce High degree of stock integration Low-cost producer in many operations Leadership positions in process and product technology Organization structure geared to effective global management Mix of businesses capable of delivering superior financial performance over the business cycle Balanced geographic spread with major investments underway in growth regions. Favorable effect for Reliance Steel Aluminum Co.: The organization has a global presence and thus has access to a wider customer base and a larger market than other Steel Aluminum companies. Reliance expects to continue to be at the forefront of consolidation in the large and still fragmented metals service center industry, even during poor economic periods when local or regional metals service centers may lack the access to capital required to compete effectively. Network of more than 180 locations in 37 states, Belgium, Canada, China, South Korea and the United Kingdom, the Company provides value-added metals processing services and distributes a full line of more than 100,000 metal products. Reliance is also expanding its facilities and product offerings in several of its existing geographic locations while penetrating new markets for its products. Harm full effect for Reliance Steel Aluminum Co.: Investors hammered Steel and Aluminum stocks on renewed fears a global recession would further slash demand for commodities. India is self sufficient in aluminum; combined with low power costs it has a competitive export market. Conclusion: Reliance Steel Aluminum Co. is one of the largest metals service center companies in the United States. Through a network of more than 180 locations in 37 states and Belgium, Canada, China, South Korea and the United Kingdom, the Company provides value-added metals processing services and distributes a full line of over 100,000 metal products. The Company has a very diligent and disciplined acquisition strategy seeking immediately accretive acquisitions with a minimum return on investment, but if Reliance Steel Aluminum Co. wants to operate in India, it has to compete with local robust players, which are not only fulfilling local Steel Aluminum needs but also have potential to set them in Global Steel Aluminum market with their techniques cost efficiencies. Bibliography: www.rsac.com www.magnesium.com www.google.com/finance www.world-aluminium-market.com Reliance Steel Aluminum