Wednesday, November 27, 2019

Settle by Disclosure free essay sample

Disclosure revolutionized the modern deep house music scene. Ever since their founding in 2011, the 2 brothers from suburban London have come from teaching drum lessons in their family home basement to headlining festivals all over the world. Their freshman album Settle is one of my favorite albums of last year. The albums first song isWhen A Fire Starts To Burn. This song is a perfect way to start off the record. Containing samples of a speech from a Southern minister, the song has a groove to it that makes everyone dance. Latch, the second song, is one of the best songs of the album in my opinion. The track features British vocalist Sam Smith who uses his very powerful voice to compliment the songs throbbing. melody. Its not a shocker this tune is all over the radio. The third song is called F For You. This is one of several tracks of the album where Howard, the younger brother of the duo, actually lends his own voice. We will write a custom essay sample on Settle by Disclosure or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page The combination of Howards distinctive voice and the make-you-wanna-move beat of the song caught the eye famous RB singer Mary J. Blige, who went on to remix the song, adding her vocals to it. Next up is White Noise, with funky British pop singer Aluna Francis.In this song, the beat fluctuates from very relaxed sounding to something with a lot of bass. This track, with a melody to it reminiscent of the disco music from the 70s, is sure to be a crowd pleaser, anywhere. Stimulation is the next one. This song, one of the only of the record that does not feature any guest vocalists as well as the halfway point of the album, is a percussion heavy, very danceable deep house jam. Voices follows. Containing lyrics from Sasha Keable, this track exemplifies how beautifully Disclosure incorporates gripping vocals into their music. Sasha’s voice is melodic and captivating. This track is one that is hard to resist putting on repeat. A more experimental track, Second Chance, Disclosure uses sweeping modular synths and dreamy and distorted vocals to show their diversity in the way they make music. This next one, called Grab Her turns rapper J Dillas lyrics into a dancefloor worthy song. You and Me featuring Eliza Doolittle revisits the old UKdeep housesound Disclosure seems to flawlessly produce and breathes a new life into the genre. Quickly transistioning from happy to more emotional sounding songs, Confess To Me, with Jessie Ware,contains abstract yet upbeat synths,warped by the vocals of both Jessie Ware and Howard Lawrence, giving the song a more cryptic and dark feel, yetstill showing Disclosures signature made-for-dancefloor trademark. The duo finishes the album with Help Me Lose My Mind, withthe strong voice of singer London Grammar. Full of love, emotion, and beauty this song ends leaving us pinning for more. On top of being amazing producers, Disclosure also has one of the most impressive live shows Ive ever seen. Combining their musical skills and modern electronic music devices, the shows consist of use of synths, keyboards, guitars, and drum machines. Also, the duo use laptops to create visuals based on the song being played, all while performing live. If you ever have a chance, go see them. At most shows, they even bring out different vocalists from the album. Thanks for reading!

Sunday, November 24, 2019

Lead Reasearch essays

Lead Reasearch essays Electrochemical Equivalent: 3.865g/amp-hr Incompatibilities: Strong oxidizers, hydrogen peroxide, acids Valance Electron Potential (-eV): 24.2 Chemical reactions of the element lead The surface of metallic lead is protected by a thin layer of lead oxide, PbO. Only upon heating lead to 600-800C does lead react with oxygen in air to from lead oxide, PbO. Finely divided lead powder is a fire risk. The surface of metallic lead is protected by a thin layer of lead oxide, PbO. It does not react with water under normal conditions. Lead metal reacts vigorously with fluorine, F2, at room temperature and chlorine, Cl2, on warming to form the poisonous dihalides lead(II) fluoride, PbF2, and lead(II) chloride, PbCl2, respectively. The surface of metallic lead is protected by a thin layer of lead oxide, PbO. This renders the lead essentially insoluble in sulphuric acid, and so, in the past, a useful container of this acid. Lead reacts slowly with hydrochloric acid and nitric acid, HNO3. In the latter case, nitrogen oxides are formed together with lead(II) nitrate, Pb(NO3)2. Lead dissolves slowly in cold alkalis to form plumbites Boiling Point: 2013K 1740C 3164F Coefficient of lineal thermal expansion: Enthalpy of Atomization: 194.6 kJ/mole @ 25C Enthalpy of Vaporization: 179.4 kJ/mole Flammablity Class: Non-combustible solid (except as dust) Melting Point: 600.6K 327.6C 621.7F Pysical State (at 20C Vapor Pressure = 4.21E-07Pa@327.6C A. Ways in which lead enters the body Lead can be absorbed into the body by inhalation (breathing) and ingestion (eating). Lead is not absorbed through the skin. Inhalation of lead is considered the most important source of occupational exposure. When lead is scattered in the air as a dust or fume, it can be inhaled and absorbed through the lungs and upper respiratory tract. Lead can also enter the digestive system if...

Thursday, November 21, 2019

Tuner circuit tt Essay Example | Topics and Well Written Essays - 1000 words

Tuner circuit tt - Essay Example The reader will have an overall concept of the use of tuner circuits as well as the theory behind them. One of the most essential circuits in the communication field is a tuner circuit. (Godse & Bakshi, 2010) stated that a tuner circuit can be defined as a speaker that amplifies specific band of frequencies. Also, a tuner circuit can be used in televisions and radio. It is thus important to study tuner circuits because they are used in nearly all electronic devices, including remote-controlled model aircrafts and space satellites. Tuner circuits work when the amplifier plays an important thing in electrical and electronic devices. The work of an amplifier here is to add to the amplitude of a signal waveform, devoid of altering other constraints of the waveform, such as frequency or wave shape (Learnabout-electronics.org, 2015). Tuner circuits come in different types such as tuned amplifier, which is used to select and amplify a specific high frequency or narrow band of frequencies. To achieve these things in a circuit, resistive load is replaced by a parallel tuned circuit (LC), whose impedance is strongly achieved upon frequency (Transistor Tuned Amplifiers). Resonance frequency occurs when the inductor and capacitor are equal. This report will show the establishment, the point at which the frequencies of the input signal on output is produced, discuss the results, and explain the operation of the circuit. Table 1 shows the equipments that were used in the report, while connecting them to oscilloscope, to show the changing of the waveform with changing frequencies and function generator Input signal: 100mV peak-to-peak 5k Hz to 500k Hz. The Q factor or the Quality factor refers to the ratio of energy that is in a circuit to the energy that is lost in one cycle (Godse & Bakshi, 2010). Internal resistance of a circuit and the implementation of the magnetic field cause

Wednesday, November 20, 2019

Consumer Perceptions of Mobile Phone Marketing A Critical Analysis Assignment

Consumer Perceptions of Mobile Phone Marketing A Critical Analysis - Assignment Example There is lack of clarity in conceptualization, and consequentially, in Operationalization of the concept, that is, measurement of the variables consisting of specific observations.   â€Å"Consumer perceptions of mobile phone marketing† has been relegated to the second place as an ‘incidental factor’ which could be inferred from the author’s statement, â€Å"Thus, it is proposed that a consumers level of involvement with their mobile phone will influence their decision to adopt or reject marketing communications sent via this channel†    Internet, telephone, and media are converging with greater velocity.   The mobile phone is the property of the user.   When his mobile phone is used without his consent for marketing, his initial reaction may be indifference or negative.  Ã‚  Ã‚  The individual’s perception is dependant upon the utility derived by him.   Therefore, blending utility aspect in marketing is necessary to improve the consumers’ perception.   Advertising through SMS is gaining momentum as a part of mobile marketing, and the marketing strategies of trade and business can’t ignore mobile phones in the field of advertising.   The sample does not represent the population meaningfully.   The samples used in the methodology might have been suitable for mobile phone usage in Colleges and Universities.   The observations would be homogenous as it will not reflect the disparities in income in the society.   Important factors such as such as income levels, age group, business or employment background, educational backgrounds etc. have no bearing on the samples selected for observation and analysis. The original study examined â€Å"how a consumers perception of the relative advantages, compatibility and complexity associated with mobile phone marketing, and their involvement with their mobile  phone, influenced their intention to accept marketing communication sent via this channel.†

Sunday, November 17, 2019

Arts and communication Essay Example | Topics and Well Written Essays - 1500 words

Arts and communication - Essay Example suous because it is here that the definition differs from a simple, nearly involuntary expression of shock or anger and the almost automatic directives of everyday communication. In order to be considered art, the form of expression must be capable of inciting an emotional response in some form of premeditated presentation. While the art itself may be to a large extent spontaneous, the display of it as such would qualify for the required element of premeditation while the encouragement to others of stopping and reflecting upon the emotions this display evokes elicits the sensuous response. Although art can be appreciated for its aesthetic values alone, it can also be put to work for a variety of other reasons, such as advocating a particular political or ideological concept. This is most often accomplished through mass media which is influenced by and influences political and corporate agendas. However, in this more fragmented society, in which socially isolated individuals become mo re susceptible to exterior manipulation, propaganda produced within the mass media has a repressing effect upon the mass population. This, in turn, has a repressing effect upon the art that is being produced as only those art forms that support the dominant conventions gain notice. This single viewpoint shared across all mediums is referred to as hegemony. However, there is another art form that subverts these restrictions. Graffiti, largely identified as an illegal art, has been used by artists as a means of expressing resistance to this hegemonic shift in countries around the world. The definition of graffiti changes depending upon who is providing the definition. Although often referred to as art, its artistic merits are frequently ignored or deemed unimportant, as is exemplified in the definition provided by the Dublin City Council (â€Å"What is Graffiti?†, 2007) in which only one of the five listed characteristics even mentions its artistic qualities: â€Å"Graffiti is

Friday, November 15, 2019

Judicial Precedent A Practice Of The Courts Law Essay

Judicial Precedent A Practice Of The Courts Law Essay Judicial precedent: Where past decisions of judges are followed in future cases when the facts of the cases are similar. Once a judge decides a legal principle, it is required that is used in future legal cases with similar issues or facts. This is also known as case law or common law which has developed by broadening down from precedent to precedent. Therefore the legal definition of Judicial precedent can be stated as a courts judgment quoted as an authority for deciding a similar set of facts; a case which serves as authority for the legal principle established in its judgement. It refers to the way in which the law is made and amended through the decisions of judges. Thus, judicial precedent is based on the judges judgement, hierarchy of courts and a good system of law reporting judges. The judicial precedents doctrine is based on the stare decisis principle to stand upon decisions and by which precedents are authoritative and binding and must be followed. In practice, this means that lower courts are bound to apply the legal principles set down by superior courts in earlier cases. This provides balance and certainty in the law. A precedent is always based upon the two factors the ratio decidendi which means a reason for the decision and obiter dictum which means something said by the way and also the decisions made in the previous relevant cases. The ratio decidendi of a case is the important part of establishing precedents that binds inferior courts in the hierarchy. When a judge makes his judgement in a case, he outlines the facts which he finds have been proved on the evidence. Then he applies the law to those facts and reaches at a decision, for which he gives the reason (ratio decidendi). Whereas obiter dictum is a decision given by a judge that has only incidental bearing on the case in question and is therefore not binding in later cases. The decision of the judge may vary according to the facts of the case and is not strictly relevant to the matter in the issue in the original case. The ratio decidendi is the binding part of a judicial decision whereas an obiter dictum isnt. Though, an obiter dictum may be of persuasive (as opposed to binding) authority in later cases. Even if any difficulty arises, the judge will give reasons for his decision, however he will not always tell what the ratio decidendi of case is, and it is then up to a later judge to figure out (elicit) the ratio of the case. However, there may be disagreement over what the ratio is and there may be more than one ratio. Thus, it is not always easy to distinguish ratio decidendi from obiter dictum when evaluating the effects of a particular decision however; when judicial precedent is used, the judge follows or takes the reference of a decision made in a similar past cases that has already been judged upon and he is ruling the same way using the other case as a guideline. Whereas whilst setting judicial precedent the judge renders a decision in a case of a type that had never been tried, or ruled upon in the past, which is completely new, and that his verdict would set the precedent by which all future cases might be judged. Judges, by the way, are not always required to follow prece dent in making rulings. Therefore law reporting, hierarchy of courts and a method of distinguishing between obiter dicta ratio decidendi are considered to be the key features of judicial precedent. The general rule of the precedent is that all courts are bound to follow decisions made by their superior courts and appellate courts are usually bound by their own previous decisions. Any decision made by a superior court is utterly binding on subsequent inferior courts. However, certain of the superior courts consider themselves as bound by their own decisions whilst others dont. Until 1966 The House of Lords was bound by its own previous decisions when Lord Gardiner LC announced a change of practice. The Practice Statement [1966] 1 WLR 1234 stated that even though the House of Lords would treat its decisions as normally binding, it would move off from these when it appeared right to do so. This power has been used carefully. A decision of the House of Lords binds all lower courts but does not regard itself as strictly bound by its previous decisions, for example, in Murphy v Brentwood District Council (1990) the House overruled its earlier decision in Anns v London Borough of Merton (1978) on the issue of a local authoritys liability in negligence to prospect purchasers of property. The Court of Appeal is bound by decisions of the House of Lords although it considers them to be wrong. However in Young v Bristol Aeroplane Co Ltd [1944] KB 718, the Court of Appeal held that it was bound by its own previous decisions subject to the following three exceptions: i. If there is conflict between own previous decisions, the Court of Appeal must decide which is to be followed and which is to be rejected. ii. The Court of Appeal must not follow its own decision which cannot stand with a decision of the House of Lords even if its decision hasnt been expressly overruled by the House of Lords. iii. The Court of Appeal need not to follow its own decision if satisfied that it was given per incuriam (literally, by carelessness or mistake). The High Court and the county courts are bound by the decisions of the court of appeal. Principally there is no difference in the application of stare decisis in the civil and criminal divisions of the Court of Appeal. In practice, in addition to the Young exceptions, because a persons liberty may be at stake, precedent is not followed as strictly in the criminal division however judges tend to follow the decisions of the high court for the sake of certainty. For example R v Taylor [1950] 2 KB 368. The High Court is bound by the decisions of Court of Appeal and the House of Lords however it is not bound by other High Court decisions. The county courts are bound by the decisions of individual high courts. House of Lords and the Court of Appeal binds Divisional Court and normally follows a previous decision of another Divisional Court but if they believe that the previous decision was wrong, they may depart. For eg. R v Greater Manchester Coroner, ex parte Tal [1985] QB 67. The Crown Court judgements are not binding, though they are of persuasive authority. Therefore, Crown Court judges are not obliged to follow them. The decisions made by the judges of county courts and magistrates courts are not binding. They are not usually reported in the law reports as they are rarely important. Judicial precedent is one of the most important source of English law. An original precedent created and applied a new rule whereas the later decisions, of the higher courts, can have a number of effects upon precedents. Particularly they may be: Reversed: where on appeal in the same case the decision is reversed and the appeal court substitute its own decision. Overruled: Overruling can occur if the previous court fail to apply law correctly, or because the later court considers that the rule of law contained in the previous ratio decidendi is no longer desirable. then a higher court can overrule a decision made in an earlier case by a lower court. For example, the Court of Appeal can overrule an earlier High Court decision. A refusal to follow: the court may refuse to follow the earlier decision especially when it is not bound by the decision or can not overrule it but does not wish to follow it. Distinguished: where an earlier case is rejected as authority, either because the different material facts or because the statement of law in the previous case is too narrow to be properly applied to the new set of facts. Explained: a judge may seek to study or discuss an earlier decision before applying it or distinguishing it, thus the impact of the earlier case is varied in the circumstances of the present case. A decision which is reached per incuriam is one reached by carelessness or mistake, and can be avoided. In Morelle v Wakeling [1955] 2 QB 379 Lord Evershed MR stated that the only case in which decisions should be held to have been given per incuriam are those of decisions given in ignorance or forgetfulness of some inconsistent statutory provision or of some authority binding on the court concerned. In Secretary of State for Trade and Industry v Desai (1991) The Times 5 December, Scott LJ said that to come within the category of per incuriam it must be shown that the decision involved some manifest slip or error but also that to leave the decision standing would be likely, inter alia, to produce serious inconvenience in the administration of justice or significant injustice to citizens. However, this rule does not permit the Court of Appeal to ignore decisions of the House of Lords. In Cassell v Broome [1972] AC 1027 Lord Denning MR held the House of Lords decision in Rookes v Barnard [1964] AC 1129 to be per incuriam on the basis that it ignored previous House of Lords decisions. He was rebuked sternly by the House of Lords who considered that the Court of Appeal really only meant that it did not agree with the earlier decision: Even if this is not so, it is not open to the Court of Appeal to give gratuitous advice to judges of first instance to ignore decisions of the House of Lords. (Lord Hailsham) There are three types of Precedent, Original, Binding and Persuasive. Precedent can be used instead of statutory law in civil cases. Precedent is also known as a common-law, whereby judges follow the outcome. Original Precedent: If the point of law is absolutely new and has never been decided before, the decision then judge comes to will form a new precedent for subsequent cases. These cases are persuasive but not binding on the court. Original Precedent is whereby the case is new and has never been in trial, for eg. the cases heard regarding the 7th July 2005 London bombings were Original Precedent as the cases were never heard before a UK judge and hence this rulings would be Original Precedents. Binding Precedent: When a case involves a point of law, the lawyers for both sides will research past cases to try and find decisions that will help their clients win the case. A past decision is only binding if the decision is at the right level in the hierarchy and the facts of the second case are sufficiently similar and also Only the ratio decidendi of the earlier case is binding If a court previously decides on a case the same as the one in front, precedent would be used. For eg, if a person commits murder and there are circumstances whereby the judge ruled that this person is not guilty, then a case in equal standing or the case having the same circumstances, in a later ruling can use the precedent to find the person not guilty. Persuasive Precedent: A persuasive precedent is not completely binding on a court but may be applied. The examples can be given as: a. Decisions of English courts lower in the hierarchy. For eg, the House of Lords may follow a Court of Appeal decision, and the Court of appeal may follow a High Court decision, even though not strictly bound to do so. b. Decisions made by the Judicial Committee of the Privy Council. c. Decisions made in the courts in Scotland, Ireland, the Commonwealth (especially Australia, Canada and New Zealand), and the USA. These decisions are usually cited specially where there is a shortage or absolute lack of English authority on a point. d. Obiter dicta of English judges. Judges use a tool called Distinguishing to avoid following a previous decision which they would otherwise be bound to follow. Distinguishing helps to keep judicial precedent and the law flexible. Where a judge founds that the material facts of the present case to be considerably different from the earlier case, then he may distinguish both d cases and refuse to follow earlier decision. For eg. Merritt v Merritt (1971) and Balfour v Balfour (1919) Judicial Law Making Decisions of judges are used to develop many areas of the law, for eg. Tort of negligence. The speed at which the law develops mostly depends on whether the judge is an active or passive law maker. in the case of R v R (1991) an active law making can be seen, where the House of Lords ruled that rape within marriage was a criminal offence. Also in the case of C v DPP (1995) An example of passive law making can be seen where the House of Lords refused to change the presumption about criminal responsibility of children under the age of 14, thinking that it was the job of Parliament to make such major changes to our law. Like every coin has two sides, there are also advantages and disadvantages of Judicial Precedent Advantages * There is certainty in the law. Only by looking at existing precedents it is possible to forecast a decision and plan accordingly. * There is uniformity in the law. Similar cases will be treated in the same way. This helps to give the system a sense of justice and to make the system acceptable to the public. * Judicial precedent is flexible. There are a number of ways to avoid precedents and this enables the system to change and to adapt to new situations. * Judicial precedent is practical in nature. It is based on real facts, unlike legislation. * Judicial precedent is detailed. There is a wealth of cases to which to refer. Disadvantages * Difficulties can arise in deciding what the ratio decidendi is, particularly if there are a number of reasons. * Rigidity The system is too rigid and does not allow the law to develop enough. * Injustice The strict rules of judicial precedent can create injustice in individual cases * Slow Development The law is slow to develop under the system of judicial precedent. The law cannot be changed until a case on a particular point of law comes before one of the higher appellate courts. * Confusion Hundreds of cases are reported each year, making it hard to find the relevant precedent which should be followed. * Complexity The law is too complex with thousands of fine distinctions.

Tuesday, November 12, 2019

The Murder of Emmett Till

Clearly, the murder of Emmett Till was a major part of the Civil Rights Movement because it had opened the eyes of citizens who had believed there was no difference living as a person of color than there was living as a white person. The Emmett Till case was about a young boy who was visitings some relatives up in Money, Mississippi. He rode in a car with a few other cousins and family members around his age (14) to Bryant's Grocery and Meat Market, when one of Emmett's relatives had recommended that he attempt to get with the clerk of the store. However after attempting to flirt with her he left unsuccessful and gave her a kiss on her cheek. The clerk then told her husband about the encounter and how she was approached as Emmett made unwilling advances upon the clerk. As Emmett left the store he had bragged about how he â€Å"Got a Date† with the clerk, his relatives were instantly worried for his safety warning him that it was dangerous to make advances on white people, especially women. After being taken to the home in which his relatives lived in, there was commotion at the door, then all of a sudden. The clerks husband and his brother in law had barged into the room where Emmett was sleep and drug him outside and beat him to near death. They had thought of taking him to a hospital and giving them a fake story about how they found him beaten up, but decided he was a lost cause and tied a cinder block to his ankle and dropped what was left of him down the Tallahatchie River to sleep with the fishes. After three days of the kidnapping of Till they had found his body in the Tallahatchie River, the only way they knew it was him was by the ring on his finger, a ring his father had given to him. The news had spread around Till's family quickly, and his mother demanded his body be brought back to chicago so he can be buried properly. She had also requested that the funeral had an open casket to show the 50,000 people that attended the funeral just what those men had done to her son. She had later set up a trial to put the two men who had murdered her boy behind bars, however after hours of the court arguing who did what and who didn't do what, the two men were found not guilty for the murder of 14 year old Emmett Till

Sunday, November 10, 2019

Occupational Medicine Essay

Asbestos is a mineral that is crystalline in nature and that has high degrees of durability, flexibility and resistance to corrosion by chemicals and heat. Asbestos is commonly used for making building materials for example floor tiles, ceilings, asbestos cement products, fireproofing material and insulation products, gaskets, coatings, textile products and automotive brakes. Shipbuilders use asbestos for insulation of hot water pipes, steam pipes and boilers. Globally, the incidence of disease related to asbestos is expected to peak around 30 to 40 years following the period when there was peak usage (CDC, 2003). Many of the patients who have lung disease related to asbestos have a history of exposure, often this history is strong but there are occasions when significant disease occurs in patients who have had minimal exposure and sometimes even with unknown exposure (Oreilly et al, 2007). Asbestos fibres are often expelled after an individual has swallowed or inhaled them, however not all the fibres are expelled. Some are left in the lungs and remain lodged there permanently. Upon accumulation they cause scarring of lung tissue and inflammation too. This then results in lung disease which affects breathing and air exchange (Solicitor advice, 2007). When inhaled, asbestos fibres leads to a variety of conditions, among these being lung cancer, pleural plaques, asbestosis, malignant mesothelioma and benign pleural effusion among others. Patients present with these conditions related to asbestos exposure long after they have been exposed. The latent period from the time of exposure to the manifestation of the clinical disease is very long. Initially the signs and symptoms are not specific and therefore occupational history becomes a good guide to suspicions that the clinician may have. Risk factors for development of lung disease related to asbestos include exposure to asbestos such as in occupations like construction workers, shipyard workers, boilermakers and rail road workers. Minimizing and avoiding further exposure are important in reducing further damage when one has been diagnosed with the asbestos related disease. Patients who smoke have an even higher risk of developing these conditions making cessation of smoking an essential factor in reducing risk (Oreilly, McLaughlin and Beckett, 2007). The risk increases with the duration of smoking, therefore it is necessary to stop smoking and also avoid second hand smoke through passive smoking. Smokers who have been exposed to asbestos have a greater predisposition to development of lung cancer than those exposed to asbestos who are non-smokers. For a long time Australia has lagged behind other countries such as the UK and the USA in terms of regulation and legislation concerning asbestos related disease and worker’s compensation. This was the case especially in the I970s when the there were few common law claims by victims of asbestos related lung disease even in situations where the conditions resulted from negligence by the asbestos industries (Formato and Gordon, 2007). This was despite the fact that there was a considerable increase in the number of people suffering from mesotheliomas among those working in Wittenoom for ABA Limited, a company that mined and milled asbestos. Some of the obstacles facing the claimants were overwhelming and it is highly probable that the Statute of Limitations was a barring factor for most of these claims. In addition getting hold of company information was also very difficult and often the corporate end withheld information from the claimants and their legal advisers. Presently, Postal, Defence and Telecommunications employees and other government employees are covered by a no fault benefit scheme referred to as Comcare Australia. The entitlements under this scheme are such that the employee is required to choose between compensation entitlements under the Common Law Damages or under the Comcare Act. One of the most significant barriers under the Comcare Act is the complexity of the legislative framework. Not until the government agency has received the claim for purposes of determination and then reconsideration can one get into a court or a tribunal (Formato and Gordon, 2007). The laws for compensation show some variance from one State to another. In a general sense, however compensation claims can be made under common law for a variety of reasons. These include, medical (these include expenses for hospitalization and treatment) and pharmaceutical expenses for the past and the future, for pain and suffering and for loss of the capacity to earn an income as well as for loss of income (Solicitor advice, 2007). The courts also award compensation for other things such as domestic assistance costs for the future and the past as well as damages for loss of life expectancy (Solicitor advice, 2007). When making a claim for damages it is best to make the claim as early as possible upon diagnosis of the condition. This helps one to avoid the barriers that come with the statute of limitations on period. For latent conditions such as those related to asbestos, the period may be extended but even then it is best to act soon. For a long time in Western Australia, victims of asbestos related disease could only hope to receive worker’s compensation entitlements. This is because though claims for common law damages were available the tendency was that they were not pursued. The common law claims were faced with the rather harsh and extreme statute of limitations period. It had no provisions for extension beyond six years. There have however been amendments that were introduced which have made it a little less difficult to make claims for diseases related to asbestos. There have however been restrictions on common law claims seeking damages for negligence amongst employers. This was previously unrestricted for all employees not just victims of asbestos related disease. In New South Wales, the compensation scheme for workers is Workcover NSW. The Dust Diseases Board is where Dust Diseases workers can make their claims. A specialist tribunal for dust diseases was set up to hear claims for asbestos related disease. Amendments were later made that did away with the statute of limitations in issues of dust disease. Other amendments included legislation on survivorship where in case a victim passes on before a claim is resolved, the damages are entitled to his/her family (Formato and Gordon, 2007). In all the other states (Victoria, South Australia and Queensland) each state has its own act for worker’s compensation and provisions for limitations. For instance Victoria allows for trial by jury in claims for damages under common law. It has also followed the New South Wales in legislation on survivorship. Only Western Australia has its special court for claims for asbestos related disease. However, there are processes that have evolved for the purpose of fast tracking those claims that are urgent. In determining the risk posed by exposure a history of environmental and occupational exposure is necessary. Some of the issues that need to be established include the specific occupation, how long the person worked at the same occupation and how much (intensity) exposure there was, an example here would be whether the dust was visible or not. Significant exposure is defined as a minimum of several months of exposure to exposure to visible dust that started ten years before (Wagner, 1997). Physical assessment of the patient to determine exposure to asbestos includes a history of occupation and physical signs and symptoms of disease as well as laboratory investigation of the chest by x-ray or CT scan. In this client’s case the history for significant exposure has already been established by the fact that he worked in mining and mixing of asbestos for a period of five years. In addition another identified risk factor is the fact that he used to smoke where he increased his susceptibility to asbestos related lung disease. History also includes the patients reports of exertional dyspnea, Assessment also includes chest spirometry to determine lung function and how much lung function may have been compromised by the condition. Any abnormal results in chest spirometry are followed by pulmonary function tests which involve measuring lung volumes and diffusion capacity. These are also performed in those patients found to have abnormal findings on imaging. Assessment will begin with a head to toe assessment of the client. This will involve checking for signs of poor tissue perfusion as a result of inadequate oxygen uptake by the tissues when lung function of ventilation and air exchange has been compromised. Some of these include finger clubbing and bluish lips. Other symptoms that the patient may report include shortness of breath, tightness around the chest, pain in the chest, dry crackling sounds when breathing in, a cough that is productive and persistent and loss of appetite. These presenting symptoms are however non-specific and generally indicate pathology of the respiratory system. Consequently other methods are used to determine asbestos exposure. Signs of exposure to asbestos include formation of plaque, changes in the pleura of the lungs (thickening) and collection of fluid around the lungs (Betterhealth, 2007). Bodies of asbestos can be identified by a use of a staining technique using a special iron. This confirms actual exposure to asbestos. Formation of pleural plaques is one of the most common responses of the respiratory system to asbestos inhalation with plaques occurring in up to fifty per cent of people exposed to asbestos. They are consequently used as a measure of exposure to asbestos (Boffetta, 2004). These plaques may sometimes not be visible on chest radiography and this leads to the requirement for high resolution CT-scans which have the capacity to identify up to fifty per cent of the plaques that will be found on autopsy. CT scans are commonly used when there is diagnostic uncertainty or for the purpose of making confirmatory tests (Boffetta, 2004). The plaques developed from exposure to asbestos characteristically occur on the lateral walls of the chest and sometimes may occur on the domes of the diaphragm. This causes lung expansion to be impaired making air entry difficult and may account for the chest tightness and chest pain. A computed tomographic scan of the chest helps to demonstrate further the remodelling that may occur as a result of lung tissue destruction. This leads to a decrease in the exchange of oxygen. To diagnose carcinoma of the bronchus a surgical biopsy is required which is done under anaesthesia. From this metastatic cells can be detected. Other methods that can be sued include bronchoscopy, mediastinoscopy and CT scan. This will serve as a confirmatory test for the signs and symptoms which may have been reported by the patient which include, unexplained weight loss, breathlessness, bronchitis that is recurrent, chest pain, blood streaked phlegm, recurrent chest infections or pneumonia and a persistent or changed cough or wheeze (Betterhealth, 2007). The detection of asbestos in the lungs of this patient is important because it means that then the cause of his lung carcinoma can be associated with asbestos and not only cigarette smoking since some of his symptoms are indicative of asbestos exposure. Measurement of the plaques will also assist in proving this link even further since most plaques are an indication of asbestosis-related disease. Clinically, lung cancers associated with asbestos and smoking alone are generally indistinguishable but the risk for lung cancer is increased in smokers (Liddell, 2001). Asbestos and cigarette smoke have an effect of synergism in the causation of lung cancer and in the patient ‘s case his accumulated pack years of cigarette smoking led to the increased risk for asbestos related disease (Hodgson and Darnton, 2006). In lodging his claim for damages the patient will have to present information on treatment that he has undergone as well as the results for all diagnostic tests related to the condition. This will help to make his case stronger as they will provide an indication of the costs of treatment, medication and also the effect of losing means of earning an income to his life and that of his family.

Friday, November 8, 2019

A Guide for Teachers Handling Challenging Parents

A Guide for Teachers Handling Challenging Parents Dealing with difficult parents is virtually impossible for any educator to escape. As a school administrator or teacher, you arent always going to make everybody happy. You are in a position where it is sometimes necessary to make difficult decisions, and parents will sometimes challenge those decisions, especially when it comes to  student discipline  and  grade retention.  It is your job to be diplomatic in the decision-making process and to think through every decision without being rash. The following steps can be very helpful when  dealing with a difficult parent. Be Proactive It is easier to deal with a parent if you can build a relationship with them before a difficult situation arises.  As a school administrator or teacher, it is essential for a number of reasons to build relationships with the parents of your students. If the parents are on your side, then you typically will be able to do your job more effectively. You can be especially proactive by going out of your way to talk to those parents who have a reputation for being difficult. Your goal should always be to be friendly and personable. Show these parents that you make your decisions with your students best interests at heart. This is not the be-all and end-all solution to dealing with difficult parents, but its a good start. Building relationships takes time, and its not always easy, but it can certainly help you in the long run. Be Open-Minded Most parents who complain genuinely feel like their child has been slighted in some way. Although it is easy to be defensive, it is important to have an open mind and to listen to what the parents have to say. Try to see things from their perspective. Often when a parent comes to you with a concern, they are frustrated, and they need someone to listen to them. Be the best listener you can and respond in a diplomatic manner. Be honest and explain the thoughts behind your decision-making. Understand that you are not always going to make them happy, but you can try by showing them that you will take everything they have to say into consideration. Be Prepared It is critical that you be prepared for the worst possible situation when an angry parent comes into your office. You may have parents who storm into your office cursing and screaming, and you will have to handle them without losing control of your own emotions. If a parent is extremely agitated, you can politely ask them to leave and return once they have calmed down. Though a situation like this is rare, you should nevertheless be prepared for a student-teacher meeting that turns combative.  Always have some way to communicate with an administrator, teacher, secretary, or other  school personnel  just in case a meeting gets out of control.  You do not want to be locked in your office or classroom without a plan to get help should this kind of situation arise. Another important aspect of preparation is  teacher training. There are a handful of parents who will bypass a school administrator and go straight to the teacher with whom they have a problem. These situations can turn quite ugly if the parent is in a combative state.  Teachers should be trained to direct the parent to a  school administrator,  walk away from the situation, and immediately call the office to inform them of the situation. If students are present, the teacher should immediately take measures to secure the classroom as quickly as possible.

Wednesday, November 6, 2019

Entitlement Programs Their Role in the Federal Budget

Entitlement Programs Their Role in the Federal Budget The federal budget process divides federal spending into two areas: mandatory and discretionary. Discretionary spending is spending that is reviewed each year by Congress and is subject to annual decisions made during the appropriations process. Mandatory spending consists of entitlement programs (and a few smaller things). What is an entitlement program? It is a program that establishes certain eligibility criteria and anyone fitting that criteria may receive its benefits. Medicare and Social Security are the two largest entitlement programs. Anyone meeting the eligibility requirements may receive benefits from these two programs. The cost of entitlement programs is soaring as members of the Baby Boom generation retire. Many people say that the programs are on automatic pilot because it is extremely difficult to cut their cost. The only way that Congress can decrease the cost of such programs is to change the eligibility rules or the benefits that are included under the programs. Politically, Congress has not liked to change the eligibility rules and tell voters that they no longer can receive the benefits they once were entitled to receive. Yet entitlement programs are the most expensive portion of the federal budget and are a major factor in the national debt.

Sunday, November 3, 2019

Key Factors that Underpin a Successful Entrepreneurial Team Engaged in Essay

Key Factors that Underpin a Successful Entrepreneurial Team Engaged in Setting up a Business - Essay Example He is also responsible to bring innovation in the business from time to time. All the entrepreneurial activities have to be planned in an effective way for succeeding in the venture. The business plans can range from plans for operation to strategic planning and financial planning. All these plans must be integrated in such a way so that the enterprise could achieve the desired objectives. The various departments should be linked with each other so that a proper coordination can be achieved among them. Nowadays enterprise is not only established by one person but a group of people who have common interest and work for the business. They work as a team in pursuit of the organisational goal. They are the entrepreneurial team. For the success of such type of entrepreneurial teams, every team member must have the qualities of the entrepreneur. They must have the vision, the capacity to arrange the resources and must act as per the plan. Apart from the basic entrepreneurial skills, there are other factors which lead the entrepreneurial teams to success. The success of an entrepreneur or the entrepreneurial team depends upon the success of the enterprise. ... , analysing the competition in the chosen field, analysing the operational work, analysing the human resource requirement, checking the financial viability of the business etc. This is a primary and very important step of setting up a business. Once the business plan is ready the next step is to analyse and take the assistance required for stating the business. The third step is to choose the location of the business. This step requires the analysis of the format of the business and the competitors. The location should be such which could be easily accessible to the customers and the suppli8ers, close to the competitors etc. The next step is to finance the business. This includes arranging the fund for the operations of the venture. Once the finance for the venture is arranged, the next step is to determine the structure of the business. In this step the suitable legal structure is determined according to the government rules and taxation policies and also the viability of the busine ss. The next step is to get the business registered as per the rules and regulations of the state. Once the business is registered, the next step is to register the organisation for the local taxes and the other taxes. After all types of registrations is done one applies for the required licences and permits for operating the business. This is a legal requirement without which an enterprise cannot function in the market. The last step for setting up a new business is to hire the required and efficient human resource needed for the enterprise (US Small Business Administration, No Date). Entrepreneurial process In the previous section the basic steps required for setting up a new business has been discussed. The entrepreneurial process is also to an extent similar to those steps. The

Friday, November 1, 2019

Research paper Example | Topics and Well Written Essays - 1500 words

Research Paper Example Consequently, the innocent young girl encounters an enormous wolf in the woods in the process of delivering food to her grandmother. Thus, the young girl innocently informs the wolf of her destination. The wolf then goes ahead and swallows the girl’s grandmother. Unsatisfied, the evil wolf decides to wait for the young girl in the pretense of her grandmother. However, upon arrival the young girl notices some strange behaviors concerning her grandmother. First, her voice was extremely deep. In addition, her eyes and hands were also immensely enormous. Moreover, her mouth was also enormous. However, before the little girl could unravel the happenings the wolf pounced on her and swallowed her (Zipes 4). With his tummy full, the wolf fell into a deep sleep. However, in his deep sleep a stranger comes to the rescue of the duo. He cuts the wolf’s belly open with a saw to the delight of Little Red Riding Hood and her grandmother who emerge from the wolf’s belly unscathe d. Therefore, in order to teach the evil wolf a lesson the trio fills its belly with stones. Eventually, when the wolf wakes up he decides to run away, however, the stones weigh him down. Consequently, he collapses and dies. Therefore, it is clear that the tale attempts to outline the dangers of the enormous forest. In comparison with forest, the village offers a safe home as opposed to the former. Therefore, the tale was aimed at checking little children from engaging in dangerous practices since they could end up being harmed. COMPARISON WITH OTHER TALES Other tales such as Peter and the Wolf or The Wolf and the Seven Young Kids also employ a similar thematic footing. In both cases, the tales paint a thematic scenario in which an individual emerges unscathed from the belly of an evil wolf. As such, this thematic setting has been embraced by other numerous tales (Meidell 175). This overwhelming semblance to other fairy tales can be attributed to the origin of the tale reason being that the tale embraces a medieval bias that was popular in the ancient times. This similarity can also be associated with the moral lessons learnt from the tale. HISTORY OF LITTLE RED RIDING HOOD TALE Little Red Riding Hood has its origin rooted in various versions of the story in Europe. Consequently, its original versions date back to the 17th century (Iona and Peter 93). However, the tale was also told in both Italy and France in the fourteenth century. Consequently, this version was referred to as The False Grandmother. Therefore, this implies that the title of the tale varied from one region to another. As such, the original versions significantly differ from the present day versions (Tatar 17). For instance, the antagonist of the story needs not necessarily be a wolf. This implies that in other versions of the tale the antagonist is presented as a different character. For instance, an ogre is employed as an antagonist instead of a wolf. Other manuscripts also depict the antago nist in the form of a dragon. Nevertheless, the antagonist is depicted as a wolf in most cases. Since the tale is mainly meant for young audiences, the depiction of the antagonist as a wolf enables the audiences to easily associate and relate with the tale while appreciating its message. Consequently, depiction of the antagonist as an ogre may be effective for African audiences. However, in all these versions, the antagonist is depicted as an enormous and dangerous being. Moreover, the antagonist is