Monday, September 30, 2019

Communications Plan Essay

The Federal Aviation Administration (FAA) and TSA awarded a $37m grant for expansion projects at Denver International Airport. These funds are being used for the master plan projects. Approximately $11.6m will go towards rehabilitating runway 8/26, and over $1.7m will be used to improve the taxiway system surrounding Jeppesen Terminal. About $8.7m will be used to upgrade runway 16L/34R. About $15m from the TSA grant will be spent on improving the airport’s baggage screening system. Stakeholder Analysis To examine the role of the airport stakeholders a precise definition of stakeholders and their goals for the airport is necessary. The purpose of this section is to identify the airport’s goals from the point of view of each stakeholder group. 1) Passengers For passengers, the airport provides a transition point between the ground and air transportation modes, or a connection point between two flights. Different sub-types of passengers have been identified (Neufville & Odoni 2003): 1) Arriving passengers 2) Originating passengers 3) Transfer passengers 4) International and domestic passengers 5) Charter and low-fare airline passengers 6) Shuttle/commuter passengers These passenger types are not mutually exclusive; rather, an individual passenger may be a member of more than one subtype of passenger categories. Arriving and originating passengers are commonly referred to as origin and destination (O&D) passengers. Independent of the passenger classifications according to the above attributes, the passengers may be viewed in two different capacities in the context of this analysis. First, passengers can be viewed as participants in the economic system, either as business travelers or as tourist/leisure travelers, purchasing services from airport service providers and interacting in different ways with local businesses and the local community. Second, passengers can be viewed as individual travelers that have expectations about receiving quality services, and passing through the airport system in a convenient manner. These two perspectives have different implications on the goals for the airports and will be treated separately in the following sub sections. a) Passengers as Economic Participants Passengers may participate in the economic system in one of several ways: 1) As origin leisure/personal travelers: These are passengers from the local community that use the airport as their departure point for leisure or other personal travel. 2) As origin business travelers: These are travelers representing local businesses, using the airport as their departure point. 3) As destination leisure/personal travelers: These are visitors to the region, for tourism or other personal purposes. 4) As destination business travelers: These are business travelers coming to visit local businesses. If the airport’s traffic is heavily geared toward O&D traffic, then demand at the airport is more heavily dictated by the local economy. In contrast, significant connecting (transfer) passenger levels are less sensitive to the performance of the local economy, but those traffic volumes may represent vulnerability for the airport since they are to a greater degree dictated by a carrier’s viability and route decisions. Passengers contribute toward the financing of airport capital improvement projects through Passenger Facility Charges (PFCs) of up to $4.50 per passenger. PFCs are paid directly by passengers through airline tickets and proceeds must be used for capital improvements at the airport that collected them (Wells & Young 2003). The goals for passengers as economic participants relates to the cost of travel: Providing access to low airfares is a key objective for the airport in the view of air passengers. b) Passenger as Travelers When considering the passengers as travelers as a stakeholder group, the focus is on the passenger as an individual. The goal of the airport from the individual passenger viewpoint is, moving passengers quickly and conveniently to where they need to go. This view considers the airport as a transit point from one mode of transportation to another, or as a connection point between two different flights. Ensuring on-time performance was raised as the most important aspect to achieving this objective. 2) Business, Commerce, Tourism, Arts, Sports, and Education Organizations The organizations that in various ways are customers of the airport have been summarized as â€Å"business, commerce, tourism, arts, sports, and education organizations†. Some organizations are direct users of the airport by importing or exporting services (i.e. business travelers) and goods (raw materials or finished goods). Other organizations are indirect customers of the airport as a result of their custome rs (e.g. tourists) traveling through the airport. The term â€Å"organizations† is used to encompass both for-profit and not-for-profit organizations. Organizations Organizations whose clients arrive through the airport Organizations that are direct users of the airport Importers of services and goods Exporters of services and goods The airport serves as an engine of business activity for the organizations in the region. The airport drives and supports economic activity in several different ways, including both through business activities directly at the airport and through business activities throughout the regional economy (Button & Stough 2000). Underlying goals for maximizing this economic activity include maximizing passenger volumes and traffic at the airport as well as maximizing the number of destinations served and the frequency of those services (Matt Erskine, Greater Washington Board of Trade 2009). As a result of the different types of use of the airport described in the previous paragraph, the priority of one goal over another varies between organizations. 3) Air Carriers Air carriers provide the air transportation service from the airports. Air carriers include both passenger and cargo carriers and are classified into three subcategories (Environmental Protection Agency 2000): 1) Large certified carriers: These carriers have a certificate to carry 61 passengers or more, payload equal to or greater than 18,000 pounds, or conduct international operations. 2) Small certified carriers: These carriers fly aircraft that carry less than 61 passengers, carry less than 18,000 pounds, and do not conduct international operations. 3) Commuter carriers: These are air taxis with a published schedule of at least five weekly round trips between at least two airports. Air carriers select airports based on the passenger demand for service to/from the airports (i.e. revenue generation potential) and based on the cost of operating at the airport. The airlines have the objective of achieving high yields, (Doganis 2002). Airports serve the role of providing access to high yield markets. Attractive airports ensure low cost of air carrier operations at the airport. This includes both minimizing direct fees charged to air carriers through the maximization of non-aeronautical revenues (Dallas Dawson, Tampa International Airport 2009) and minimizing costs incurred by air carriers through delay on the ground (Peter Stettler, Ricondo and Associates 2009). An airport may serve either as a hub for a carrier, with a high portion of that carrier’s flights operating to/from the airport, or as a non-hub airport with a lower portion of flights for a given carrier (Belobaba et al. 2009). In either situation, the airport should act as an efficient hub/connection point, contributing to ensuring air carriers’ on time performance (Pat Oldfield, United Airlines 2009). In addition, it is the expectation of air carriers that airports ensure safety of operations on the airport surface (Kurt Krummenacker, Mood y’s 2009). 4) General Aviation Users General aviation encompasses many types of aviation outside the air carrier definition, including (Wells & Young 2003). 1) Air taxi operators (except those air taxi operators listed in section IV.A.3) 2) Corporate-executive transportation 3) Flight instruction 4) Aircraft rental 5) Aerial application 6) Aerial observation 7) Business 8) Pleasure Several of the goals listed for air carriers also apply to general aviation in terms of on-time performance, low costs, and safety. However, a representative of a business aviation organization defined the primary goal of airports as serving as access point to the national air transportation system by providing good availability and high capabilities in terms of instrumentation and services (Jeff Gilley, National Business Aviation Association 2009). 5) Airport Organization The airport organizational structure varies (Neufville & Odoni 2003) and can be comprised of an individual airport such as Dallas Fort Worth Airport (DFW) (DFW Airport 2009) or as a group of airports managed by the same organization, such as the Metropolitan Washington Airports Authority (MWAA) (Metropolitan Washington Airports Authority 2009). The airport organization is overseen by a board appointed by local governments. In larger airports or systems of airports, a common feature is that the organization includes a separation of operating units which carry out on-going management of airport operations, and they are separate from staff units which have responsibility for (among several other areas) infrastructure development (Neufville & Odoni 2003). The airport itself pays for some capital infrastructure projects. Airport operating revenues come from sources such as landing fees, terminal leases and proceeds from concessions sales. This revenue is used to pay for the airport’s operating expense, but any surplus can be used to contribute toward capital improvements. A set of goals for the airport organization can be derived from studying airports’ strategic plans and objectives and from interviewing airport management experts. The primary objective (sometimes referred to as the â€Å"mission†) of the airport is to provide access to high quality air services to its region. Other goals, such as ensuring strong financial performance and high operational efficiency, are considered as â€Å"means to an end† in that they enable the airport to achieve this overarching goal (DFW Airport 2008; Hillsborough County Aviation Authority 2006). A summary view of the airport’s goals is presented using the structure of Denver International Airport’s strategic plan (Denv er International Airport 2009): 1) Excel in airport management: This goal includes: a) Achieve high security and safety (City of Cleveland, Department of Port Control 2007; Denver International Airport 2009; Hillsborough County Aviation Authority 2006) b) Grow revenue and manage costs (City of Cleveland, Department of Port Control 2007; Denver International Airport 2009; DFW Airport 2008; Hillsborough County Aviation Authority 2006) c) Drive economic growth (Denver International Airport 2009) d) Grow passenger numbers (City of Cleveland, Department of Port Control 2007; Denver International Airport 2009) e) Provide access to a high number of destinations and a high frequency of service (Denver International Airport 2009). This goal relates immediately to the primary objective of the airport described above. Airport management must also achieve a balance where sufficient infrastructure capacity exists for handling traffic while capacity is at the same time not over-built (Paul McKnight, Jacobs Consultancy 2009; Frank Berardino, GRA Inc 2009). Additionally, a key objective for airports is to maximize non-aeronautical revenues since that provides diversified revenues and allows for keeping usage charges to air carriers low, thereby potentially attracting more traffic (Chellie Cameron, MWAA 2009; Peter Stettler, Ricondo and Associates 2009; Seth Lehman and Emma Walker, Fitch Ratings 2009). 2) Provide high levels of customer service: This goal includes ensuring a good experience for both passengers and other customers (City of Cleveland, Department of Port Control 2007; Denver International Airport 2009; DFW Airport 2008; Hillsborough County Aviation Authority 2006). 3) Develop environmentally sustainable practices and minimize noise: This goal includes minimizing emissions, energy consumption, etc., within the airport (Denver International Airport 2009; City of Cleveland, Department of Port Control 2007). Some airports, such as Sea-Tac, are also beginning to expand their focus by considering greenhouse gas emissions not only from the airport-controlled operations but also from airlines and other tenants as well as the public (Port of Seattle, Sea-Tac Airport 2007). Related to this is the goal of minimizing airport-related noise (Neufville & Odonin2003). 4) Develop high-performing employee teams: This goal relates to developing effective and skilled employees (City of Cleveland, Department of Port Control 2007; Denver International Airport 2009) and maximizing employee engagement (DFW Airport 2008). 5) Enhance competitive advantage: This goal includes providing competitive user rates and protecting the airport’s physical infrastructure (Denver International Airport 2009; City of Cleveland, Department of Port Control 2007). Some of these goals may be in competition with each other. For instance, the goal of maximizing non-aeronautical revenue can conflict with the goal of developing environmentally sustainability and providing a good experience for passengers: The latter two goals would be aided by promoting and developing access to public transportation access modes to the airport such as bus or rail. However, the goal of maximizing non-aeronautical revenue is better served by maximizing revenue-generation in the form of parking revenue from private vehicles. In such instances, airport management must balance the competing priorities in order to accomplish the goals of the airport. 6) Investors and Bond-Holders The majority of airport debt is of the general airport revenue bond (GARB) type. GARB means that the bond is backed by revenues generated from airport operations and not backed by any government funding source. The credit ratings agencies Moody’s, Standard and Poor’s, and Fitch Ratings participate in this system by assigning grades of investment quality to the airports’ bonds. The ratings agencies’ ratings affect the interest rates and terms of the bonds (Wells & Young 2003). A large number of factors impact the bond ratings, including: 1) Historical and projected population growth 2) Historical and projected employment expansion and mix 3) Passenger growth 4) Airport utilization trends 5) Portion of origin and destination (O&D) traffic 6) The importance of the facility to the overall US system of airports 7) Whether the airport is in a favorable geographic location (e.g. is it a natural hub location?) 8) Airfield capacity and attractiveness of facilities 9) Debt burden and carrying costs 10) Financial strength of carriers with a lot of connecting traffic, and their level of commitment to the airport 11) The role of the airport in the dominant carrier’s network 12) The level of legal flexibility for the airport to change the rates it charges air carriers 7) Concessionaires Airport concessionaires operate passenger services in terminal buildings and may include food and beverage services, retail services, and hotels. Concessions operators pay the airport organization a fixed annual fee and/or a percentage of gross revenues (Wells & Young 2003). Considering the concessions operators’ objective of maximizing profits, the goals of the airport for these operators are deduced to be maximizing passenger volumes and minimizing the fees paid to the airport organization. 8) Service Providers The service providers are private operators that offer services to air carriers and general aviation users. Independent operators may supply these services (e.g. fixed-base operators, FBOs), but some of the services may also be provided by the airport operator, the airline itself, or by another airline. Services provided include (Neufville & Odoni 2003): 1) Supply of aviation fuel and oil 2) Baggage handling and sorting 3) Loading and unloading of aircraft 4) Interior cleaning of aircraft 5) Toilet and water service 6) Passenger transport to/from remote stands 7) Catering transport 8) Routine inspection and maintenance of aircraft at the stands 9) Aircraft starting, marshalling, and parking 10) Aircraft de-icing 11) Passenger handling (e.g. ticketing and check-in) 12) Cargo and mail handling 13) Information services 14) Preparation of handling and load-control documents 15) Supervisory or administrative duties Similar to concessionaires, independent service providers pay a fee to the airport organization which is typically a percentage of gross revenues (Neufville & Odoni 2003). In a parallel to concessionaires, service provider goals for the airport would include maximizing traffic volumes and minimizing the fees paid to the airport organization. 9) Employees The employee category includes both direct employees of the airports organization as well as employees of companies operating at the airport, such as concessions operators. Some employees are organized into unions, such as the Service Employees International Union (SEIU USW West 2009) and Unite Here (Unite Here 2009). The objective of the airport from the perspective of those unions is to provide secure jobs, wages, and benefits (Unite Here 2009). 10) Federal Government The federal government participates in the airport system in three different roles: As a bill-payer, as an operator, and as a regulator. Each of these roles will be addressed in this section. In terms of the government’s role as a bill payer for the system, the Airports Improvement Program (AIP) is administered by the FAA and its funding comes from the Airport and Airway Trust Fund, which in turn is funded by user fees and fuel taxes. AIP funds can be applied toward projects that support aircraft operations including runways, taxiways, aprons, noise abatement, land purchase, and safety, emergency or snow removal equipment. In order to be eligible for AIP funding, airports must be part of the National Plan of Integrated Airport Systems (NPIAS), which imposes requirements on the airport for legal and financial compliance (Wells & Young 2003). The NPIAS has two goals: To ensure that airports are able to accommodate the growth in travel and to keep airports up to standards for the aircraft that use them (FAA 2008). The government’s role as airport operators includes three different agencies: 1) FAA: The FAA is the operator of ramp, ground, local, and departure/arrival air traffic control services (United States Code of Federal Regulations 2010). 2) Transportation Security Administration (TSA): The TSA provides passenger and baggage security screening services. The TSA states that it is the goal for its baggage screening operations to screen for explosives and other dangerous items while maximizing efficiency (Transportation Security Administration 2009). This can be translated to state that it is the goal for the airport to ensure secure transportation of people and goods while minimizing the impact of security measures on legitimate travelers and goods. 3) Customs and Border Protection (CBP): The CBP is responsible for operating passport control and customs inspections at international airports. The CBP states that it is its mission to protect â€Å"our nation’s borders from terrorism, human and drug smuggling, illegal migration, and agricultural pests while simultaneously facilitating the flow of legitimate travel and trade† (Customs and Border Protection 2009). Just as for the TSA, this can be translated to state that it is the goal for the airport to ensure secure transportation of people and goods while minimizing the impact of security measures on legitimate travelers and goods. Lastly, the federal government is a regulator of the airports system. Airports that are included in the NPIAS are subject to a number of federal regulations that are enforced by the FAA and the Transportation Security Administration. The regulations apply to both the airport infrastructure as well as to service providers within the airport systems. The purpose of these rules is to ensure the safe and efficient operations of public-use airports (Wells & Young 2003). 11) Local Government US airports are with few exceptions not private, profitmaking enterprises. Instead, airports are typically owned and operated by public entities such as cities, counties, or local airport authorities (Neufville & Odoni 2003). For instance, Washington’s Dulles and National airports are owned and operated by the Metropolitan Washington Airport’s Authority (MWAA). The MWAA is officially a body independent of the local government but its board is appointed by the Governor of Virginia, the Mayor of the District of Columbia, the Governor of Maryland and the President of the United States). Similarly, Newark, LaGuardia, JFK, Stewart International, and Teterboro airports in metropolitan New York City are owned by the Port Authority of New York and New Jersey (The Port Authority of New York and New Jersey 2009). Dallas-Fort Worth Airport is jointly owned by the City of Dallas and the City of Forth Worth (DFW Airport 2009). The government owners in the form of city and local governments are represented by an airport board which is responsible for the strategic direction of the airport and for appointing airport management (Wells & Young 2003). The local government is supported in an advisory role by federally funded Metropolitan Planning Organizations (MPOs) who are charged with assisting in planning for aviation and other transportation infrastructure for the local region (Association of Metropolitan Planning Organizations 2010). State and local government also contribute as bill-payers for capital improvement projects (Airports Council International – North America 2009). The objectives of the airport from the point of view of the local government is representative of those of the local community it represents and involves both maximizing its positive effects while minimizing its negative effects. One form of positive impact of the airport is in the shape of economic effects. There is significant literature on the economic impact of airports. However, many studies are sponsored by the airports authorities themselves, making them more political than analytical. Although there may be no definitive measure of the economic impact of airports, a structure for the types of impacts of airports to their regional communities has proposed (Button & Stough 2000): 1) Short-term impact from construction, expansion, and renovation of airports 2) Sustained impact in the form of jobs at the airport (direct impact) and off-airport jobs that result from the â€Å"multiplier effect† of the income generated by employees at the airport 3) Stimulus of the local economy as a result of firms and individuals having air transportation services at their disposal 4) Spurring other economic development by crossing thresholds for economies of scale, scope, and density. The authors note that this last form of impact is very difficult to quantify. COMMUNICATION PLAN Communication Objectives The objective of this strategic communications plan is to serve as a road map for how communications will be done between members of the project team as well as the stakeholders.. This plan comprises objectives, strategies and tactics for how team correspondence will be performed between each facet of the project team.. Works Cited Kurt Krummenacker, Moody’s, 2009. Interview of Kurt Krummenacker, Moody’s, by David Schaar, George Mason University. Metropolitan Washington Airports Authority, 2009. Metropolitan Washington Airports Authority, Facts. Available at: http://www.mwaa.com/about_the_authority/facts [Accessed October 15, 2012]. Neufville, R.D. & Odoni, A.R., 2003. Airport systems, McGraw-Hill Professional. Port of Seattle, Sea-Tac Airport, 2007. Port of Seattle,Seattle-Tacoma International Airport,Greenhouse Gas Emissions Inventory – 2006, Sarkis, J., 2000. An analysis of the operational efficiency of major airports in the United States. Journal of Operations Management, 18(3), 335-351. Sarkis, J. & Talluri, S., 2004. Performance based clustering for benchmarking of US airports. Transportation Research Part A: Policy and Practice, 38(5), 329-346. Schap, D., 1986. Municipal ownership in the electric utility industry, Praeger. SEIU USW West, 2009. SEIU USW West – About Us. Available at: http://www.seiu-usww.org/about/Default.aspx [Accessed October 16, 2012]. Smith, D.M., 1979. Where the grass is greener, Taylor & Francis. The Port Authority of New York and New Jersey, 2009. Overview of Facilities and Services – About the Port Authority. Available at: http://www.panynj.gov/about/facilities-services.html [Accessed October 18, 2012]. Transportation Security Administration, 2009. Transportation Security Administration – What We Do. Available at: http://www.tsa.gov/what_we_do/index.shtm [Accessed October 16, 2012]. Unite Here, 2009. Unite Here. Available at: http://www.unitehere.org/about/airports.php [Accessed October 16, 2012]. United States Code of Federal Regulations, 2010. Title 14,Part 91. Available at: [Accessed February 5, 2010]. Upham, P.J., 2003. Towards sustainable aviation,Earthscan. US-Citizens Aviation Watch, 2009. US-Citizens AviationWatch. Available at: http://www.us-caw.org/ [Accessed October 16, 2012]. Wells, A.T. & Young, S.B., 2003. Airport planning &management, McGraw-Hill Professional. White, E.T., 1976. Utilities, Dept. of Defense, National Defense University, Industrial College of the Armed Forces. Wolfe, H.P. & NewMyer, D.A., 1985. Aviation industry regulation, SIU Press.

Sunday, September 29, 2019

Comparative Study of Visible Light Spectra Emitted

One discrepancy is that according to the table above, LED must be the most saturated, this is not the case for the experiment, however, due to the age of the device and its degenerated bulbs one of the major faults of first generation LED displays Another part of the objectives of the study was to compare the light spectra with respect to different colors as well as brightness the group initially tried altering the intensity Of the light sources to see if changing the intensity would cause a significant difference in the observations.The only difference found by increasing (or decreasing) the light intensity was that the visible light spectrum was brighter (or dimmer). No other characteristic of the visible light spectrum changes. 4. Conclusion Given the characteristics based on the grabs standard, it is apparent that the monitor with the most accurate color reproduction is the PIPS screen followed by the LED and lastly the Retina. Color reproduction can be concluded to be directly r elated to the width of the white light spectra produced by the screens; the wider the spectra the more accurate the color reproduction. TheLED not matching the literature for having the most saturated display of color is because of the degenerated bulbs that is a common problem for first generation LED screens. The resolution, on the other hand, did not seem to affect the visible light spectra. Comparing the light spectra with different brightness does not vary the results; it only contributes to the brightness or dimness of the spectra. In future experiments, some of the improvements considered are finding a more standardized color application, using a more advanced spectrometer, and comparing newer devices.

Saturday, September 28, 2019

HOW TO IDENTIFY CUSTOMERS Essay Example | Topics and Well Written Essays - 1250 words

HOW TO IDENTIFY CUSTOMERS - Essay Example Customers are central to the operations of any business. Identifying, targeting, and satisfying customers are the main principles behind business operations. This makes it important for any business to have an elaborate record that clearly indicates the customers of such a company at different levels depending on activity, geographical location, and persistence, volume of goods purchased, among other different criteria that may be used to group, rank, and classify customers. This would make it easy for a business to identify their potential customers and treat them according to their loyalty to the business. Below is a design structure that can be used in identifying and classifying customers in any business for better decision making as outlined by Peppers & Rogers (2011). Define The definition stage will involve the identity of the customers. In this stage the customers’ full names, phone numbers, emails, physical location, and distance from the business have to be recorded. Chverton (2002) asserts the importance of setting objectives in such key account management. The objective in the dry-cleaning business is to critically define the identity of the customer, which would help in understanding the geographic location of the main customers, and facilitate easy contact with such customers when need be.This stage involves the method to be used in collecting the customer details. Customer data will be collected from receipt books issued from the business, customer’s business cards, websites, and forms issued to all customers to fill their details after any transaction, emails, and calling the customer over the phone to inquire about such details. Once all the data about each and every customer is collected, the data is entered alongside the custom er details, with each customer having being entered into the database with provisions for entering all the above data. Customer records in the dry-cleaning business will involve a carefully designed database that will show all the customer details once their names are keyed in. Link After all the details regarding the customers’ identity are exhausted, the details have to be linked to respective departments within the business to prevent multiple records of the same customers. Therefore, the dry-cleaning database defined above has to link the following departments; the manager, record keeping, the reception, cleaning, and home delivery departments. Linking the above departments will enable a customer to be identified immediately they get in touch with any of the departments, and the information updated across all departments. Therefore, if a customer gives any instructions to the receptionist section over the phone, all the above departments have to be aware of such instructi ons. Such instructions will be reflected across all departments, which amounts a SMART way in which the activities of each customer can be determined (Cherverton, 2002). Integrate All the above customers’ information has to be integrated and linked to their respective interactions and transactions. In the dry-cleaning business, all the clothes brought in have to be accurately identified through a specific number linked to the customer details entered above. In addition, when a customer brings in their clothes, keying in the name of the customer has to bring out all their details, which have to be updated automatically upon entering the new clothes brought in. This means the entire information system has to link all the departments in the business, with any transaction or interactions being updated automatically from the reception stage where clothes are received for cleaning with the update reflecting in the manager’s office and any other relevant office instantly. Int egrating would mean customers’ activities are reflected in the entire enterprise through the information system in use. Recognize. In the dry-cleaning business, a customer’s identity has to be uniform across all sections. In

Friday, September 27, 2019

New Believers Essay Example | Topics and Well Written Essays - 500 words

New Believers - Essay Example This paper will share these insights. As a new believer, the Bible and its teachings offers a lot of insight to many challenges. The Bible is the believers’ reference as it defines how we should live and what God promises us as believers. Indeed, the Biblical teachings address almost all problems that believers may experience. As such, when I face challenges in life, I find encouragement from the Bible since the Bible asserts that everything happens to the glory of God and that God cannot subject us to challenges that we cannot overcome. Indeed, my assurance relies on the promises of God (North American Mission Board, 1993). Most assuredly, the Bible reckons that as believers, we are overcomers. Indeed, God wants us to know that believers have eternal life based on the facts found in the Bible (North American Mission Board, 1993). Therefore, anytime I read the Bible, I draw a lot of encouragement well knowing that even Jesus Christ faced major challenges despite being the son of God. Nevertheless, just as Jesus o vercame, the Bible teaches me that as a believer, I will overcome. Advice from my spiritual leader also acts as an insight in my life. Indeed, it has always been encouraging to share spiritual challenges with spiritual person. My spiritual offers me encouraging advice based on Godly teachings. Indeed, his advice relies on Biblical interpretations. As a new believer, I have limited knowledge on Biblical interpretations and hence I seek the counsel of my spiritual leader. Moreover, he prays for me and preaches to me with a view of helping me understand human challenges in the spiritual life. Indeed, he acts as my confidante as I tell him anything that is disturbing me. In many occasions, my spiritual leader has helped me to address spiritual and human challenges. Ultimately, guidance from my mother acts as an insight in my life. Ideally, a parent acts as the earthily God who is very significant in child

Thursday, September 26, 2019

Human resource performance Essay Example | Topics and Well Written Essays - 750 words

Human resource performance - Essay Example As coaching managers, they have to pay attention to the behaviors, values and skills that are linked to the desired outcomes by the organization. As the senior manager, I will emphasize on the need for listening as this aspect is counter-intuitive. For instance, I would ask the managers to meet with the employees or even the supervisors and managers so as they discuss the difficulties they encounter. Through sharing their points of view, these parties develop rapport; thus, accommodate each others point of view. Additionally, I will plan to focus on the behaviors that need to be changed. I will highlight these change areas in meetings. For instance, I will clearly highlight that use of unwanted language is unacceptable in the office, with specific examples that some employees or even supervisors used. Through explaining this out rightly to the employees will reduce chances of reoccurrence of the same as the particular individuals with these behaviors will know that have been identified from the crowd (Bacal 162). As the senior manager, I will focus on the need to explain the importance of interpersonal relationships in the workplace. As argued by Bacal, performance can only be attained in an organization only if another people’s interests are identified and respected (155). In this case, chances of verbal abuse will be minimal as the managers will instill the feeling of co-working in the entire workplace. None of the employees or supervisor will, therefore, take up a perfectionist role; thus, reduction of hostility and an increase in the employee relations (Weintraub & Hunt 112). In terms of increased turnover, I will train managers on the need to be more patient while hiring and not do it out of mere desperation. Gathering adequate information on an applicant is vital for the long term success of the company as the manager will hire the best person from the list of

Wednesday, September 25, 2019

Integration of WIMAX to Broadband Networks Dissertation

Integration of WIMAX to Broadband Networks - Dissertation Example The degradation of transmitted radio signal due to interference from the external source of radio frequency energy diminishes the strength and quality of signal. This makes it difficult for the RF receiver to clearly distinguish the radio signal from background energy. The direct spectrum overlapping due to unidentified internal or external source is the root cause of this problem. The Orthogonal frequency division multiple access (OFDMA) helps to sub channelize and support adaptive modulation allowing the data rates and link quality to be balanced dynamically. This is essential to remove interference as per design layout of IEEE 802-16d (2004) standards. Ensuring proper site survey and round –the-clock access of the structure and the base station helps greatly to reduce the signal interference. Providing closer connectivity points such as towers and access points, and enhancing use of multiple connectivity choices, to make available to user, the best radio frequency, improves Quality of Service (QoS) immensely.  Ã‚  Ã‚  Ã‚   The IEEE 802-16e (2005) standards advocate use of SOFDMA technology that is suitable for using advanced and intelligent antennas to support coverage, facilitate self installation, reduce power consumption, enable frequency re-use, promote power consumption, promote band width efficiency   and provide full mobility support. The WIMAX certification allows complete interoperability with other certified products as long as they fit in same profile.  Ã‚  Ã‚  Ã‚   The hand off system in the WIMAX technology helps to provide continuity.

Tuesday, September 24, 2019

Sustainable Development and its overall impact Assignment - 1

Sustainable Development and its overall impact - Assignment Example is an evident fact that the industrial development in one country of a region can create environmental issues in the region and thus the other countries of the region are equally affected by these activities (Muschett, 1997). Therefore one of the most important principles of sustainable development is formulation of international laws to protect the environmental impact beyond borders. The members of the international community should cooperate with each other to ensure better economic growth, which ultimately leads to the achievement of various goals of sustainable development; however this cooperation should not be limited to economic growth and nations must extend support to each other for ensuring global peace and security as it is also an important aspect of sustainable development (Guruswamy and McNeely, 1998). Another important principle of achieving sustainable development is creating awareness among the masses about the advantages associated with it. A large majority of people in the world is not aware about sustainable development; under these circumstances the efficient use of resources in the world is not possible. Measures should be adopted to clear the doubts in the minds of people about the advantages of sustainable development. The large initial cost which occur due to the incorporation of sustainable development practices in various industrial and construction projects stop investors from adopting them because they are unaware of the long term financial incentives thus creating awareness is of prime importance to ensure sustainable development. Social capital i.e. the role of people in sustainable development is not given the due importance in the principles mentioned in the document. People should learn to accept responsibility to preserve the resources and climate of the planet for future generations. Accepting responsibility is an important principle as, along with creation of awareness, it is the most basic step towards achieving the goals

Monday, September 23, 2019

Thinking about surveillance in the city Essay Example | Topics and Well Written Essays - 2500 words - 1

Thinking about surveillance in the city - Essay Example Closed-circuit cameras have become common in cities and they have become an important aspect of city security. Security teams and personnel form an important aspect of the city surveillance teams. Control of urban space and inaugurated surveillance measures are widely used worldwide. Ethical, legal and even moral questions arise when there is mass surveillance and accumulation of personal data from individuals without their knowledge and consent. The film and movie industry has always illustrated how city surveillance has become crucial and important in the modern age. One of the most iconic films that represents the divergent views on city surveillance is Minority Report (2002). It is vital to study and understand how minority report represents and handles the various views on mass or city surveillance through scholarly analysis2. Minority Report is a movie that was directed by Steven Spielberg based on Philip Dick’s Sci-Fi short story â€Å"The Minority Report† written in 1956. The film is set in 2054 in a modernized Washington DC where crime and murder have been wholly eliminated. Tom cruise takes the character of John Anderton, who is the head of a Pre-crime, a unit under the Justice department that works in the Jurisdiction of Washington D.C. Three psychic human beings called precogs have been harnessed and their power to see future crimes projected on computers. The precogs have the ability to see images of future murders and those who are identified are apprehended before they commit crimes after which they are incarcerated. The pre-crime unit is to face a national vote on its effectiveness and take it from the Washington D.C. jurisdiction to a national level. Anti-pre-crime advocates such as Danny Witwer who oppose the move. Witwer has been sent by the Justice department to access the abi lity and effectiveness of pre-crime. Pre-crime surveillance is 100 percent accurate but while at the labs, John Anderton becomes

Sunday, September 22, 2019

Gender Related Issues Essay Example for Free

Gender Related Issues Essay Complete a search for journal articles (professional) that include gender related cognitive issues. Report back to the group through the discussion forum on an understanding of the gender related cognitive abilities. Look for flaws and strengths in specific examples and applications. Thinking is a normal process in everybody’s life. The activities of the neurons giving signals to the brains are helpful in giving the body commands to act on a certain activity or to feel and even to think. Men and women think in every part of their lives, except when they are under comatose by which patients remain unconscious for over a certain time. Studies often say that men and women think very differently. Many various tests in college and even in high schools show that men are far more different in abilities in math than of women; this is also the same reason why men are more selected on job opportunities, especially to those in depth analysis. Women are often regarded as underdogs in the fields where numbers exist. An article from â€Å"Think Again† says that the old belief of the big thinking difference among men and women is a bluff. It suggests a cultural shaping wherein minds of the people are programmed to expect less from women in terms of thinking. Evidences from the article say that the shaping mentioned above is a controlling factor to the performance of many. With the psychological mind – set that men are better than women, women tend to perform and feel insecure about them and in turn would result to grades that are really degrading. The article focuses on the factors that are apparent in the 18th to the 21st centuries by which the â€Å"shaping† is already present. It could have presented or showed us factors from the time before Christ or in the Middle Ages to greatly describe the so-called cultural reasons. It could have given a proof why girls are often regarded for household chores and not with jobs that they can participate with boys. On the other hand, the article may be a helpful guide to parents and teachers to mold the children without inculcating the notion of men being superior in analyzing and solving things. The statements that tell about performances after giving the biases may be true for people around the world and should be avoided to have optimum performance in different work places. 2. Complete a search for journal articles (professional) that include gender related communication issues. . Report back to the group through the discussion forum on an understanding of gender related communication. Look for flaws and strengths in specific examples and applications. Emotions are part of a well-being. It is also a measure if a person is healthy or not. Girls tend to have more emotions than boys, or have it something to do with the misinterpretation of the crowd? As girls or women are termed to be good in emotions, they are also termed as good communicators than men. Girls are very vocal with their ideas and feelings. An article of Cynthia Burggraf Torppa says that the idea of women having an edge with communicating with other people is a misnomer. It said that men and women just don’t understand each other with the lines that they say. Also, there are terms given such as â€Å"rapport talkers† which women are experts on. Women communicate with other people that trigger emotions and feelings while men are termed â€Å"report talkers† that focus on facts and details about a certain topic. Indeed, there are differences about men and women as also stated in Men are from Mars, women are from Venus. The article mentioned can help readers understand more others. That is to say, men and women should practice listening between the lines so that misunderstandings will be avoided. Since women are really emotional, they must be sensitive also with what their men are feeling. The differences matter mostly on marriages, so I recommend that the article could have started and stated on something that happens in childhood and teenage life so that readers will also be guided when and where to hit their punch lines. Men and women must be treated equally as they are all created with the same will and love of the Lord Almighty. References Cynthia Burggraf Torppa. Gender Issues: Communication Differences in Interpersonal Relationships. 2002. Retrieved 11 April 2008 from http://ohioline. osu. edu/flm02/FS04. html. American Psychological Association. Psychology Matters. Think Again: Men and Women Share Cognitive Skills. 2006. Retrieved 11 April 2008 from http://www. psychologymatters. org/thinkagain. html

Saturday, September 21, 2019

Research Plan Essay Example for Free

Research Plan Essay Background of the Study Solid waste management is increasingly seen as a major issue in the country due to high rates of urbanization and increasing per capita solid waste generation with greater affluence (Petnamsin, et al., 2000). A major component of solid waste is resin based plastic. Plastics posses many properties such as water resistance and long life, that makes them perfect candidates for packaging. Unfortunately, the properties that make this product suitable for packaging also are the major cause of the environmental problems related to packaging. Given the wide use of plastics, the magnitude of the environmental problem is large and long terms. The choices for dealing with this waste are limited as incineration of plastic polymers invariably results in the generation of toxic emissions (Srorith, et al., 2000). The only visible solution is to bury the material in landfills. However, this approach is also limited because of the resistant nature of plastic to biological degradation. Jackfruit Artocarpus heterophyllus Lam. is a popular fruit-crop that is widely grown in tropical areas. Often, its seeds are discarded because of the preferred well-flavored yellow sweet bulb for consumption. The seeds have high carbohydrate and protein content, hence, an abundant source of starch (Kurian, 2010). Starch is identified as a key natural product for the production of biodegradable plastic (Pranamuda, et al., 2006). Based on the above information, the researchers decided to do research work on starch-based biodegradable plastic from jackfruit seeds. Henceforth, there is a need to establish the additive property of starch from jackfruit seeds as scientific basis for its use in the production of biodegradable plastic. Objectives of the Study The study will aim to find out if jackfruit Artocarpus heterophyllus Lam.  seeds can be a main component in the production of biodegradable plastic. Specifically, the study will 1. determine the efficacy of starch from jackfruit A.heterophyllus Lam. seeds at varying concentrations as additives in the production of biodegradable plastic. 2. compare the mechanical properties between the produced biodegradable plastic from starch of jackfruit A.heterophyllus Lam. seeds, and commercially prepared plastic, polyethylene in terms of tensile strength, flammability, soil biodegradability and air test. 3. compare the effects of acids and bases and organic solvents between produced biodegradable plastic from starch of jackfruit seeds and commercially prepared plastic, polyethylene. Hypotheses of the Study The following hypotheses will be put forward: 1. There is no significant difference in the efficacy of starch from jackfruit seeds at varying concentrations in the production of biodegradable plastic. 2. There is no significant difference on the mechanical properties between the produced biodegradable plastic from starch ofjackfruit seeds and commercially prepared plastic, polyethylene in terms of tensile strength, flammability, soil biodegradability and air test. 3. There is no significant difference on the effects of acids and bases and organic solvents between produced biodegradable plastic from starch of jackfruit seeds and commercially prepared plastic polyethylene. Significance of the Study The results of the study would be beneficial and helpful to the manufacturing plastic industries because it would relieve negative effects of overproducing plastics. By changing its raw materials and components, commercial plastic may be improved so that it would become biodegradable while retaining its good quality. Moreover,this component from starch of jackfruit seeds would help in the natural decomposition of plastic raw materials. Thus, a convenient way of minimizing waste management problem in the country, more so, the high demand for plastics would give the world the hazard of garbage problem, therefore, utilizing starch from jackfruit seeds as component in the production of biodegradable plastics would be the relative answer. Scope and Limitations of the Study The study will focus only on the starch-based biodegradable plastic from jackfruitA.heterophyllus Lam. seeds. It will be conducted at the Physics/Chemistry Laboratory of Antique National School, San Jose de Buenavista, Antique from July 15, 2011 to September 30, 2011. The variables to be evaluated will be the effect of starch from jackfruit seeds at varying concentrations for the production of biodegradable plastic; the mechanical properties between the produced biodegradable plastic from starch of jackfruit seeds and commercially prepared plastic, polyethylene in terms of tensile strength, flammability, soil biodegradability and air test;the effects of acids and bases and organic solvents between the produced biodegradable plastic from the starch of jackfruit seeds and commercially prepared plastic, polyethylene. Analysis of Variance (ANOVA) and Duncan Multiple Range Test (DMRT) will be used as statistical tools to identify the significant differences among treatment means and their interactions at 0.01 and 0.05 levels of significance, respectively. Definition of Terms Biodegradable.A substance or property of the produce plastic in the study that can be broken down into simpler substances by the activities of living organisms for decomposition.  Plastic. An end product obtained mainly as a result of the study using starch from jackfruit seeds as main component mixing with other components for biodegradable formation. Starch. A complex carbohydrate extracted from jackfruit seeds and used in the study for the production of biodegradable plastic. Polyvinyl Alcohol. An odorless, colorless, tasteless, thermoplastic synthetic resin used in the study that is soluble in water and insoluble in common organic solvents.  Glycerol. A simplest trihydric and commonly called glycerin in commercial  form that is used in the study for the production of biodegradable plastic. CHAPTER 2 REVIEW OF RELATED LITERATURE After cutting talahib pulps into very small pieces, they were combined with different chemicals such as polyvinyl alcohol, sodium hydroxide in aqueous solution, glue, and glycerol to produce biodegradable plastics with different amounts of talahib pulp. (Valdez, 2009). A study determined the effectiveness of cassava starch as component of biodegradable plastic. Results confirmed that cassava starch is ideal as tests proved its worth (Romero, 2007).  It was known that starch-based packaging materials are produced from extrusion or compression technology and have been developed as a substitute for polystyrene in producing loose-filters and other expanded items. The type of starch and synthetic polymer as well as their relative proportions in the blends may influence the properties of the resulting plastics (Sriroth and Sangseethong, 2003). Some physicochemical and rheological properties of jackfruit seed flour and starch, isolated from the flour were investigated. The flour had good capacities for water absorption and oil absorption. Flour from jackfruit seed was prepared by dry milling. It is high in protein and carbohydrate contents. The flour has good water and oil absorption abilities (Tulyathan, 2002). The range of possible applications for starch plastics is restricted by their sensitivity tomoisture and water contact and high water vapour permeability. The biodegradability of starch plastics largely depends on the biodegradability of the copolymer. High copolymer content can adversely affect biodegradability due to the complex interaction of starch and polyester at the molecular level (DegliInnocentiBastioli, 2002). Starch is unique among carbohydrates because it occurs naturally as discrete granules. This is because the short branched amylopectin chains are able to form helical structures whichcrystallize. Starch granules exhibit  hydrophilic properties and strong inter-molecular association via hydrogen bonding due to the hydroxyl groups on the granule surface (Daniel et al., 2000). Jackfruit Artocarpus heterophyllus Lam. is a popular fruit-crop that is widely grown in the Philippines and other tropical areas. The ripe fruit contains well-flavored yellow sweet bulbs which are consumed fresh or processed into canned products and seeds embedded in the bulb. Seeds make up around 10-15% of the total fruit weight and have high carbohydrate and protein content and are normally discarded or steamed and eaten as a snack or used in some local dishes. As fresh seeds cannot be kept for a long time, using them as source of starch is advisable (Bobbio et al 1978). Based on the above review of related literature, there is a need to conduct a study on starch-based biodegradable plastic from jackfruit Artocarpus heterophyllus Lam. seeds and because in all studies, nothing has been mentioned about jackfruit seeds as component of biodegradable plastics. CHAPTER 3 MATERIALS AND METHODS The flow of processes on starch-based biodegradable plastic from jackfruit Artocarpus heterophyllus Lam. seeds is shown in Figure 1. Collection and Preparation of Research Materials, Tools and Equipment The researchers will collect three (3) kilograms of jackfruit seeds from the source for two (2) days before the conduct of the study. These will be brought to the Physics/Chemistry Laboratory of Antique National School, San Jose de Buenavista, Antique. Technically grade ethanol, hydrochloric acid, acetic acid and sodium hydroxide, ammonia, distilled water, chlorine, polyvinyl alcohol, epoxydized soy bean oil, and glycerol will be obtained from chemworks, Inc.Jaro, Iloilo City prior to the conduct of the study. The other materials and equipment needed will be mortar and pestle, grinder, beakers, alcohol lamp, rolling pin, aluminum foil, stirring rod, molders, spring balance, double beam balance, tray, plastic cups, graduated cylinder, stopwatch, and hot plate. Research Procedure/ Experimental Design Three (3) kilograms of jackfruit seeds will be rinsed and washed in running water and will be air-dried for twenty-four (24) hours at room temperature. After air-drying, the seeds will be peeled manually. Then the seeds will be cut into smaller pieces and ground using an electric grinder. The ground jackfruit seeds will be added with water following the ratio 1:2, one (1) liter of distilled water to two (2) kilograms of ground jackfruit seeds. The mixtures will be placed inside the beaker for decantation for three (3) hours. After decantation, the supernatant will be discarded and the settling material will be collected and placed in an evaporating dish for the starch sediments to settle. This will be sun-dried for five (5) hours to let the water evaporate completely. After the evaporation process, the collected starch sediments will be ground using mortar and pestle until it will turn into powdered form. The produced starch will be weighed and placed in a sterilized container ready for experimentation. Measured amount of the water and jackfruit starch based on different treatments will be mixed and boiled using a hot plate at eighty (80(C) degrees Celsius until it will form into a sticky paste. After removing the starch-water mixture from the hot plate, the rest of the materials will be added such as polyvinyl alcohol, epoxydized soya bean oil, and glycerol. After mixing all the materials, the mixture will be heated again using a hot plate at a temperature of one hundred eighteen to one hundred twenty (118-120(C) degrees Celsius for seven (7) minutes. Then it will pass through a rolling pin and transferred to containers for sun-drying process until the plastic will be formed. The plastic will be cut into strips (3 cm wide by 5 cm long) for mechanical property, effects of acid and base, and organic solvents tests, respectively. The experiment will use five (5) treatments with three (3) replicates each. The duration of the experimental activities will be seventy-eight (78) days that will begin on July 15, 2011 and will end on September 30, 2011. The five (5) treatments that will be used in the study are as follows. Treatment A = 100 grams starch + 100 grams water + 100 grams polyvinyl alcohol + 2.5 grams epoxydized soya bean oil +10 grams glycerin Treatment B = 75 grams starch + 100 grams water + 100 grams polyvinyl alcohol + 2.5 grams epoxydized soya bean oil +10 grams glycerin Treatment C = 50 grams starch + 100 grams water + 100 grams polyvinyl alcohol + 2.5 grams epoxydized soya bean oil +10 grams glycerin Treatment D = 25 grams starch + 100 grams water + 100 grams polyvinyl alcohol + 2.5 grams epoxydized soya bean oil +10 grams glycerin Treatment E – Control – Commercial plastic (polyethylene) Gathering of Data The cut samples of the produced biodegradable plastic will be subjected to the following tests: Flammability Test. The strips of the produced biodegradable plastic and commercial plastic with the same dimensions will be completely burned using alcohol lamp and the burning time will be noted. Soil Biodegradability Test. The plastic strips will be stapled to a piece of cardboard and will be buried in a can of soil. The strips will be unearthed after a week and the final dimension will be recorded. Tensile Strength Test. The plastic strips will be hooked to a spring balance and will be pulled until they will tear apart. The reading of the balance when the plastic strips will break will be recorded. Effects of Strong and Weak Acids and Strong and Weak Bases.The plastic strips will be immersed in concentrated strong/weak acids and strong/weak bases for thirty (30) minutes. Changes in length, width, and appearance will be noted. Organic Solvent Tests. The plastic strips will be immersed in a bottle of  chlorinated water/ethanol. The bottle will be sealed so as to isolate its contents from the external environment. After a week, their final dimensions will be noted.

Friday, September 20, 2019

Comparing Rousseau and Mill on Liberty

Comparing Rousseau and Mill on Liberty 1. Compare Rousseau and Mill on liberty. In what way can Mills argument be read as a critique of the conception of freedom at the heart of Rousseau s argument in On the Social Contract (especially concerning the general will )? Which account of liberty is more persuasive and why? Rousseaus principal aim in writing The Social Contract is to determine how freedom may be possible in civil society, The general will expresses itself through the laws of the state. The government is distinct from the sovereign, and the two are almost always in friction. This friction will ultimately destroy the state, but healthy states can last many centuries before they dissolve. General will The will of the sovereign that aims at the common good. Each individual has his own particular will that expresses what is best for him. The general will expresses what is best for the state as a whole. Will of all The sum total of each individuals particular will. In a healthy state, the will of all is the same thing as the general will, since each citizen wills the common good. However, in a state where people value their personal interests over the interests of the state, the will of all may differ significantly from the general will Rousseaus conception of freedom in The Social Contract is that people attain their freedom through a transformation from a state of nature to civil society. His contention is that we can be both free and subject to political authority; Rousseau thinks it s possible to be autonomous and subject to law when we obey those laws of which we are the author. He justifies this model of political authority by saying that government and laws are the will of the sovereign we give our consent for them to exist. That consent is guided by what Rousseau calls the general will. The general will is an idea that signifies the wishes or welfares of society as a whole. The purpose of the general will is to guide society to a common good ; to advise society in its creation of laws and express what is best for all individuals in a society. The problem with the general will is that it seems to reject individual diversity. Considering all individuals revoked their natural liberty through the change from the state of nature to civil society, Rousseau thinks that society must force individuals to conform to the general will, or as he puts it, society must force them to be free . To Rousseau freedom is attained when people follow the general will . Mills essay On Liberty is a strong counter argument to Rousseau s conception of freedom, especially regarding the general will . According to Mill, in order for a society to be free it must avoid interfering with the lives of its people wherever possible. The threat, as Mill sees it, is that if we subscribe to the concept of the general will then society risks becoming paternalistic; a tyranny of the majority 1, where minority views are supressed if they do not conform to those of the majority. Mill thinks that society constrains the individual, and that society should be limited in what it can do; he enumerates three conditions upon which society must follow in order to be free: freedom of thought and feeling , freedom of tastes and pursuits and the freedom to unite with other consenting individuals for any reason providing it does no harm to others I will discuss this in more detail later. He states that No society in which these liberties are not, on the whole, respected is free 2. Mill wants to avoid principles as much as possible because he sees them as constraints. The only principle that Mill does want to establish is the harm principle what he calls the object of his essay. The harm principle says that the only time one can use power over others, individually or collectively , is for self-protection . He says that the only purpose for which power can be rightfully exercised over any member of a civilized community, against his will, is to prevent harm to others . This principle claims that if an individual is not doing any harm to anyone in their actions, then society has no right to interfere. Over himself says Mill, over his own body and mind, the individual is sovereign , the individual, not society, should be free to choose how they want to live. Mills conception of freedom appears to be a version of negative liberty , a sort of freedom that allows one to do what they want because there shouldn t be a law to restrict them from doing it. His freedom is the absence of obstacles, barriers or constraints 3. Rousseau characterises two types of freedom in The Social Contract: the natural liberty which is limited only by the strength of the individual 4 and civil liberty which is limited by the general will 5. Natural liberty is the freedom to follow one s own desires. Civil liberty is the freedom one attains when they follow the general will. I think the biggest problem at the heart of Rousseau s social contract theory is the way he deals with individuality. His social contract says that if an individual disagrees with the general will then they must be wrong, and for their own good they must be forced to conform to the general will. Rousseau says that if anyone refuses to obey the general will he will be compelled to do so by the whole body; which means nothing else than that he will be forced to be free 6. Mill would undoubtedly consider such forced conformity a tyranny of the majority because of his strong belief that individuality is something that should be protected  passionate belief that individuality is something that should be protected and nurtured. As such, the essay illustrates his disgust at how he believed society squelches nonconformity. Through this Rousseau thinks that this makes sure a society will not depend upon any one person. Like Rousseau, Mill talks about a type of civil or social freedom; however, unlike Rousseau he doesn t speculate about a state of nature . Rather, Millstates that his theory is justified by utilitarianism and not a comparison between a state of nature and civil society. I think Mills argument is more persuasive because he isn t making an assumption that we have natural rights . Mill doesn t seem to think we have natural rights, and even if we do, Rousseau doesn t tell us how we can be certain of what they are. Rousseau appears to think we have an intrinsic freedom that exists in the state of nature, and he wants to merge the individual liberty one supposedly has in the state of nature with civil society. One might suppose that the state of nature is a place of complete chaos. A place with no rules or restrictions to tell people what they can or cannot do, but even if this was the case, Rousseau would argue that we are still constrained because we re still in an adversarial position to our desires, we would be still in chains . Rousseau thinks that civil freedom is better than natural freedom because civil liberty gives one freedom from their desires. we own in a state of nature with civil society. Rousseaus social contract theory, especially his notion of the general will, makes it seem impossible to avoid a tyranny of the majority that Mill talks about. Rousseau doesnt seem to perceive a distinction between who we are in public and what we are in private. By demanding such active citizenship, he is demanding that our public persona take precedence over our private self Mill thinks that the individual has an important duty in society. Individuals function as great counterbalances for society regardless of the validity of what they think. Simply the process of listening to alternative opinions and ideas is going to be beneficial to society. Even if an individual or minority has an idea that is different from the majority, and even if that idea is wrong, discussing and acknowledging the idea is good because it can only prove that majority opinion is correct. This process would actually make majority opinion more correct. The second aspect of Mills conditions society must follow is that of tastes and pursuits . One might be led to think about Mills Many people may misinterpret Mills view as a form of negative liberty . Negative liberty being the absence of restraint. Objections to Mill what actually constitutes harm? See 121251 I think there s a certain amount of compatibility between the two ideas. All it would take is for the general will to Healthy cultural climate Freedom of thought and feeling .chapter 2 Freedom of tastes and pursuits chapter 3 How can Mills argument be read as a critique of Rousseau s conception of freedom? How might Mill object to the notion of the general will ? How would Rousseau respond? One might object to Mills argument by saying this . How Mills theory fits in with utilitarianism Positive vs negative liberty see 121423.doc Works Cited Mill, John Stuart. On Liberty and The Subjection of Women. London: Penguin Group, 2006. Rousseau, Jean Jacques. The Social Contract, A new translation by Christopher Betts. New York: Oxford University Press, 2008.

Thursday, September 19, 2019

Essay example --

In comparison to parallel economically advanced democracies, the United States in particular is prone to uniquely adversarial and legalistic means of policy formulation and implementation, constructed by the process of judicial review. With the ratification of the U.S. Constitution in 1787, common law, or using precedent as the basis of judicial policy making, has been a staple for American society. This British adaptation to U.S. lawmaking has evolved into an interest-driven persuasion tactic as opposed to statutory interpretation and democratic mechanisms. Americans frequently rely on legal threats and lawsuits, in which the laws that pertain, generally, are more complicated and prescriptive. In idealistic democratic models, the relative institutional relationships among the legislature, the executive state, and the courts. Yet, it is a false truth of the current U.S. governing system, in which author Robert Kagan theorizes is due to the American way of law known as adversarial leg alism. Although a thesis in this form is hardly a new discussion, Kagan’s treatment of it ranges throughout the political spectrum, targeting both the atmosphere surrounding policy making as well as its political actors within. Kagan provides a chief explanation for adversarial legalism as a mode of policy making, implementation, and dispute resolution characterized by frequent resort to highly adversarial legal interests, that conclusively infiltrate American democracy and ironically isolate branches of government, discrediting its merit of freedom and equality. Through this examination of politics, it is apparent that the system is at fault, perhaps inevitably, to the continuously growing problem of fragmented government that align with various other... ... and reform. Yet, it is in my opinion that his article is of such significance because of its logistic explanation of such frequent and high volume Court case reforms. Author Mark Graber in The Lessons of Dred Scott, claimed that decision rendered by Supreme Court Chief Justice Taney in 1865 was unavoidable, simply because the decision was consistent with the times of the era (Graber, p.7). This conditionality of politics concerning political environments is evident in Kagan as well, providing both political scientists and students alike with the knowledge that Courts do and often will act not only for the majority, but also more explicitly towards the persuasion tactics of every outlet of both private and public political participation, which provides a necessary and comprehensive evaluation of the American way of law unknown to many, including myself until today.

Wednesday, September 18, 2019

Diabetes :: essays research papers

Diabetes   Ã‚  Ã‚  Ã‚  Ã‚  This disease is caused by defective carbohydrate metabolism. It causes large amounts of sugar in the blood and urine. It can damage the kidneys, heart, eyes, limbs, and endanger pregnancy. About five percent of the United States population has it and about half are undiagnosed. A diabetic that is treated life span is lowered by one-third   Ã‚  Ã‚  Ã‚  Ã‚  There are two types of diabetes. Type I, insulin-dependent diabetes mellitus (IDDM). And type II, non-insulin-dependent diabetes mellitus (NIDDM). Type I   Ã‚  Ã‚  Ã‚  Ã‚  This type usually occurs in children and young adults, it is known as one of the autoimmune diseases. It is 10-15 percent of all cases. The pancreas lets out insulin that lets sugar glucose into all tissues in the body and in this type of diabetes most or all of this insulin is not made. So all the extra glucose is let out through urine. If untreated this type could be fatal quickly. The body cannot get enough energy from tissue glucose so it starts to break down stored fat. With this people loose a lot of weight and they have fatigue. Your blood becomes acidic and respiration becomes abnormal. People usually die from diabetic coma until they figured out how to use insulin therapy. In both forms it could cause a kidney disease from high blood sugar levels; bad sight from blood vessels in eyes rupturing, less blood going to the limbs could make them have to cut them off. They have high blood pressure which increases heart attacks and strokes in diabetes too. Type II   Ã‚  Ã‚  Ã‚  Ã‚  This type is found in mostly in people over 40 it progresses slowly unlike type I. The insulin in the pancreas is produced in good levels but does not work right. It does not let the glucose in to the tissues just like in type I.

Tuesday, September 17, 2019

Role of Gertrude in Hamlet

Raquel Tuohy Mrs. Pastor AP Lit/Comp 7 April 2013 Hamlet Perhaps one of the most ambiguous characters in Shakespeare’s Hamlet is the queen, Gertrude. She is Hamlet’s mother and the wife of her dead husband’s brother, King Claudius. As the reader, we only see her briefly, but she still manages to be a central figure in Hamlet playing the role of the elusive and sometimes shallow queen. There are several questions surround the life of Queen Gertrude, starting with even before the play, having to do with the death of her husband, Hamlet’s father.When the play starts, she has already remarried to Hamlet’s Uncle Claudius within such a short amount of time. This is rather surprising and revolting to her son Hamlet, who is still grieving over the loss of his father, but it appears that his mother has already moved on. That could only suggest that perhaps Gertrude was cheating on the king with her brother and her husband’s death was all but convenien t for her. The ghost of Hamlet’s father gives his son disturbing information about the queen, calling her â€Å"that incestuous, that adulterate beast,† (Act I, Scene I).However, there is no definitive proof, nor Shakespeare ever addresses it in the play, leaving his audience with a sense of wonder about the queen’s devotion to her husband. The thing that might intrigue the reader the most about the character of Gertrude is why she married Claudius so suddenly after her husband’s death. Was it because she knew that she needed a man to help her rule? Or was the meaning behind the courtship less malevolent than it appears? There lies the most important question: was it true love or was it politics that brought Claudius and Gertrude together?Hamlet paints the picture of Gertrude as an obedient and devoted woman to his father, but his opinion transforms during the queen’s second marriage. Hamlet doesn’t understand why Gertrude, who is labeled as the â€Å"th’imperial jointress† (Act I, Scene I) to the throne of Denmark, would need to marry someone so rapidly when she already wields power in the royal family. Possibly the most haunting question about Gertrude’s character is whether or not she knows Claudius killed her first husband. This also ties in with the question about Gertrude’s fidelity.If she did cheat on the former king with Claudius than chances are she more than likely had a role in her first husband’s death. Claudius would consider her as an accomplice and confide in her, but he never does throughout Hamlet. Furthermore, Gertrude expresses strong emotions about Ophelia and Hamlet, but never for Claudius, which is strange because they are married. Claudius tells Gertrude that he loves her, but she doesn’t return the sentiment, which again is bizarre because they are husband and wife.There are no definitive textual references about Gertrude’s involvement in her firs t husband’s poisoning. It just is another element of Gertrude’s character that is shrouded in mystery. One redeeming quality about the queen is her unwavering loyalty to Hamlet. She loves her son despite his obvious hostility towards her for marrying Claudius. Plus, Gertrude continues to stand behind him even when he lashes out at her, saying the worse possible things a son could say to his mother.When Hamlet kills Polonius in a moment of madness, Gertrude realizes that she has to tell the king that her son was the one who committed the murder, but she lies to her husband to protect her son. She tells Claudius that Hamlet is contrite and â€Å"weeps for what he has done† (Act IV, Scene I), in order to lessen the punishment that is sure to be inflicted on Hamlet by Claudius. In the final scene of the play, Gertrude expresses her deep concern for Hamlet when he wants to duel Laertes who is grieving over the loss of his father and sister and blames Hamlet for their deaths.At the end of the duel, Gertrude even drinks the wine for Hamlet, not knowing it is laden with poison. Or does she? It is still debated by scholars whether Gertrude knew the wine was toxic or not, but regardless, she didn’t have to drink it. She drank it for Hamlet because her maternal instincts triumphed over Claudius’ warning to leave the poisonous glass of wine alone. Another issue that comes up time in time again in Shakespeare’s play is Hamlet’s fascination, boarding on obsession, with Gertrude’s sex life. It’s trange for a son to be interested in what his mother does behind closed doors, but this piqued curiosity seemed to have started around the time of Gertrude’s second marriage to Claudius. Early on in the play, the reader learns that Hamlet is shaken by his mother’s hasty marriage to Claudius, leading Hamlet to believe that the world is contaminated, like an â€Å"unweeded garden† that’s â€Å"g ross and rank in nature† (Act I, Scene 2). Hamlet’s opinion of his mother may color the reader’s view of Gertrude, seeing her as a vile woman who jumps from one man to the next.There are more questions than answers surrounding Gertrude, the queen of Denmark. We don’t know if she was unfaithful or if she was complicit with Claudius in the murder of her first husband. However, the one attribute in Gertrude that nobody can dispute is the depth of love that she posses for her son. Gertrude is Shakespeare’s most mysterious character because she in intricately woven throughout the play, but her motives remain unclear to the readers.

Monday, September 16, 2019

National Parks

Within National Parks the beauty of the landscape is preserved, the public is given access to much of the countryside; wildlife and important buildings are protected and traditional farming methods encouraged. A national parks authority (NPA) administers each National Park. National Parks contain beautiful upland scenery with hills, moors, lakes and forest, and in some, spectacular coasts. The growth of the leisure industry together with mass car ownership means that more people are visiting National Parks. These changes have brought both opportunities and problems for these areas. They are two named examples of such similarity with this, and those are Stickle Ghyll and Tarn Hows which are two areas based in the Lake District National Park. The Lake District is situated North West of England on the coast, it is East from the Isle of Man and Ireland and it is one of the most popular national parks visited by tourists every year. It has also experienced advantages but also disadvantages and that makes it a good example to use. Rural tourism, in National Parks, like the Lake District brings many opportunities such as money into the area from the growing number of visitors. The money is put forward to build more services to provide for the visitors needs and to get resources to handle the growing number of tourists. Also more visitors that come provide more jobs, which tend to be seasonal but popular. Roads and railways are well maintained within the Lake District and also access is made easier, which does increase the number of visitors. The National Park is located in an area where you can access it by motorway and it's within a good amount of travel time for everyone in the country. Communities remain alive as people stay to work locally in the area. And a rich cultural life survives as audiences are supplemented by visitors on holiday. There is a huge importance of tourism in the Lake District, as most jobs are linked with tourism. This includes retailing, catering, transport etc. Although they are many opportunities that rural tourism brings, there are also impacts brought to the area by this development. Being in a National Park, poor local roads get crowded at peak times causing traffic congestion. 90% of the 10 million visitors come by car. Car parks fill up and grass verges are damaged by illegal parking- parking demand exceeds supply. Footpaths are eroded by the large numbers of walkers- erosion on footpaths is a continuing problem. When they are too many visitors, weekend holiday traffic prevents some local activities to take place. Bridleways become muddy with the increased number of mountain bikers and horse riders. Some settlement and sites become over crowded to the point where their attractiveness is threatened- honeypot sites. House prices rise out of the reach of local young people as second home buyers move in from the large urban areas. Local people convert houses into holiday cottages and reduce the number available to local people. Farmers have their working land invaded by visitors causing damage to fences, crops and animals. There is a loss of privacy and considerable extra noise in the area and constant questions from fieldwork groups causing restlessness for residents. Litter dropped by the high number of tourists, can choke animals, walls are damaged and people park across field gates. Limestone pavements are worn down, animal and plant diversity suffers. Some efforts have been made to manage these challenges. The National Park Visitor Centre and Education Service try to educate people about conservation. Litter bins have been removed and visitors seem to be learning to take their litter home. Footpaths have been reinforced and it provides alternative routes. This is a similar situation at Stickle Ghyll, were specific paths, gravel and rock boulders have been the solution to avoid erosion. In this area, they have been many causes of erosion, like the rivers, the animals. Fencing has been put up to stop animals like sheep going into vegetation areas. In this area in England, a lot of rain falls causing major erosion in some areas, with around 2000 mm a year. Visitor pressure has been another cause of erosion. A rerouting bridge has been discovered, hard wearing boulders have been inserted and sign posting and information have been provided. An open access agreement was made by local farmers in the countryside stewardship scheme. Landowners have entered into wall maintenance agreements with English nature. Other solutions have been providing park and ride schemes on the edges of the sensitive areas. For example, the car parks at Tarn Hows are located outside the preserved area near the minor roads or nearby footpaths for easier disabling access. Ensuring that affordable new housing is built for local people, and not for them to feel abandoned from the high impact of tourism. Focusing demand on honeypot sites and accepting they will be sacrificed for the sake of other areas. Like Tarn Hows, in seasonal months a large number of people tend to come here by the lake for recreation and during good weather it's always tense (honeypot site). Another final solution is demanding that quarrying is landscaped during and after use.

Sunday, September 15, 2019

Ecological Evaluation of Environmental Problems Essay

Biodiversity refers to the abundance of life forms (bio means life, diversity means variety or assortment). This includes different animals, plants and micro-organisms. The ecosystem where these living organisms belong, as well as their genetic make-up, is also part of biodiversity. Wide biodiversity is advantageous to species development as there will be various interactions going on among the different species. Among the most bio-diverse ecosystems are rainforests and aquatic ecosystems. Both land and water species can be found in these habitats. The existence, however, of these ecosystems are becoming endangered as a lot of human activities negatively impact these ecosystems. Forest destruction has been an existing issue for the longest time. Pollution – air and water – is also one of the most common problems different ecosystems and the environment itself are facing. Human activities also cause global warming which is not healthy for all living creatures. These things that people do to our environment can definitely be prevented and avoided. We can start by stopping the use of substances with chemicals such as chlorofluorocarbons (CFCs) which were identified as harmful to the ozone layer. This simple deed can help decrease the effects of global warming to the environment. Local governments should also enforce strict laws against forest destruction. Environmentalists can also start a campaign on reforestation to help rebuild destroyed forests and natural habitats. Maintaining biodiversity is important in human sustainability. Each life form is beneficial to one another. Plants are the producers in the food chain. Some primary and secondary consumers are also taken by humans as food, which is our main source of energy. Continuous destruction of the ecosystems leads to the decrease in these food sources. Thus, preserving the ecosystems and maintaining biodiversity should be seriously considered by everyone. Acid deposition starts with the combustion of fossil fuels such as coal and oil. Burning of these fuels produces nitrogen oxides and sulfur dioxide which are considered air pollutants. Volcanic eruptions can also emit these pollutants. When the nitrogen oxides and sulfur dioxides get released to the atmosphere, chemical transformation happens and sulfuric and nitric acid compounds are produced. These compounds make the air acidic. Eventually, these acidic compounds fall to the surface of the Earth – the process called â€Å"acid deposition†. Deposition can happen in wet or dry form. Wet deposition occurs when the nitric acid and sulfuric acid compounds are transported with rain, fog, or snow. When these compounds are carried as fine particles by the wind, it is called dry deposition. Acid deposition cause severe damages to the ecosystem. Fish species found in lakes affected by acid deposition tend to disappear. Other aquatic resources in lakes and rivers tend to either disappear or die which creates an imbalance to aquatic ecosystems. Acidification also changes phytoplankton composition. Likewise, acid deposition also affects forests by killing a lot of trees due to the acidic compounds settling onto these life forms. This is evident in most forests where there are copper and nickel refineries nearby. This environmental problem can also trigger asthma and some bronchial infections to humans. The effect may not be seen immediately and may take years before it can be realized. In order for us to minimize the cases of acid deposition is to have a global initiative of reducing emission of sulfur dioxide and nitrogen oxides which cause air pollution. Educating the entire world population of this phenomenon can be a good start. Factories and industrial plants burning fossil fuels should try to research and find other earth-friendly alternatives to those harmful chemicals. Cultural eutrophication is the accelerated aging of aquatic ecosystems, especially lakes, through man-made activities. Eutrophication is the natural process of aging of lakes which is characterized by an increase in the growth of algae and aquatic weeds. Eutrophication rate is determined by how fast the lake gets sediments and nutrients from the watershed, and this naturally occurs over a long period of time. However, if the lake is located in an urbanized area or developed region, eutrophication speeds as there is definitely higher number of sediments and nutrients getting into the lake. This is when natural eutrophication becomes cultural eutrophication. The increased sediments and nutrients, which are mainly phosphorous, usually come from road sand, oil, lawn fertilizers, gas, salt and organic matter being transported to the lake through stormwater or groundwater. Inefficient septic systems can also cause cultural eutrophication. This environmental phenomenon can be prevented through continuous monitoring of the local government. Environmental officials should identify the cause of the cultural eutrophication and determine where the increased sediments are coming from. Once this is identified, measures to prevent these nutrients and sediments from getting into the lake could be placed and enforced. Global warming, from the term itself, is the continuous increase in the temperature of our planet. Global warming is mainly caused by increase of greenhouse gases in the atmosphere. Greenhouse gases such as carbon dioxide, water vapor, ozone and methane forms a gaseous blanket around the Earth. This blanket traps the heat which is responsible for making the Earth warm; else our planet’s temperature would be well over 60 degrees colder. Global warming becomes an environmental issue because the gaseous blanket is getting thicker and thicker over the years which make the Earth’s temperature extra hot. The increase in greenhouse gases which causes global warming is due to burning of fossil fuels, agricultural byproducts, industrial processes, waste disposal and treatment among others. By the year 2100, Earth’s temperature will rise by 3 °C to 5 °C and sea levels will rise by 25 meters, at least, because of global warming. This would mean an increase in the occurrence of heat waves, floods, tornadoes and drought. Agricultural yields will be low due to these extreme weather conditions. Diseases will also spread easily. Global warming is already a known issue. The only thing that we have to do is to make significant changes in the way we do things like the use of fuels contributing to the increase of greenhouse gases. Little things can help curtail the effects of global warming such as changing filament light bulbs to fluorescent bulbs, making sure the refrigerator and freezer doors are always shut properly, and other measures of conserving electricity. This will not only help save the Earth from global warming, it will also help you save money due to less electricity consumption. Electricity is the most common form of energy people use daily. Currently, electricity is being generated mainly by burning fossil fuels. We all know from the above discussions that fossil fuel combustion creates air pollutants that contribute to acid deposition and global warming – in short, environmental destruction. If this way of using energy continuous, we would be in danger of losing a healthy planet to live in a hundred years. Another danger of this is not having enough fossil fuels to use in the future as this is not a renewable source of energy. Fossil fuels such as coal and oil can be depleted because there can only be as much of them in our planet. In order for us to prevent global environmental destruction, we should all try to use sustainable energy in order for us to have reserves in the future. Examples of sustainable energy are renewable sources such as wind, solar, geothermal, tidal and wave power among others. Power plants and electric companies should slowly convert their electricity generating processes to one of these in order to lessen the waste pollutants of fuel combustion. Big companies may also want to initiate a study if its facilities and offices would run on self-built solar power. Other than the big savings, it will definitely help in reducing the number of fossil fuel electricity consumers.

Saturday, September 14, 2019

Collaborative Practice in Health Care Essay

Collaborative practice in health care occurs when a member of the health care team consults with another member to provide patient care. Collaboration most often occurs between doctors and nurses. â€Å"Collaboration is defined as a relationship of interdependence; the ability to work together involves trust and respect not only of each other but of the work and perspectives each contributes to the care of the patient† (Phipps and Schaag, 1995, p. 19). Effective collaborative practice amongst all health care team members leads to continuity of care, professional interdependence, quality care and patient satisfaction and decreased costs. Ongoing collaboration between health care members results in mutual respect, trust and an appreciation of what each individual brings to the overall goal in rendering care to the client. The following vignette will provide the foundation for the discussion of collaborative care, differentiating between nursing diagnosis and collaborative proble ms, and potential barriers to successful collaboration. JG is a 74 year old married Hispanic male diagnosed with colon cancer. He had a history of prosthesis placement of his left lower leg; he is ambulatory. He is a diabetic on oral medications. He worked as a farm laborer. He lives with his wife she does not speak English she is a homemaker. He has a son who lives nearby and a nephew who periodically visits him. JG can understand some English. He does have some difficulty expressing his health concerns to the staff because of his limited vocabulary. His son or nephew brings JG to his clinic appointments. He receives weekly chemotherapy at the outpatient oncology clinic. The day I cared for JG he arrived at the clinic accompanied by his nephew. This was week seven of his treatment. His clothing was dirty, he smelled of stool, his fingernails were dirty, hair uncombed, he appeared to be dehydrated. He reported bowel movements of eight stools per day with complaints of occasional abdominal cramping. He denied nausea or loss of appetite. He stated that he was very tired and was not able to do much at home. His main concern was the frequency of his bowel movements. He reports having to go to the bathroom two to three times during the night and has episodes of soiling the bed. He reports that sometimes he does not feel the  urge to go. JG was wearing adult diapers. He expressed concern that it was getting expensive for him to purchase. The nephew confirmed that JG toileting has created a problem in the home. His nephew verbalized that JG had medication for diarrhea but ran out of it and he did not have the money to purchase the medication. When questioned why he was using a wheelchair he stated that his foot hurt to walk the distance from the lobby to the treatment room. He mentioned that it was probably due to an ingrown toe nail. He also asked how he could obtain a wheel chair for his personal use at home. Physical assessment revealed that he had a necrotic area on the ball of his left foot with surrounding redness, lost 12 pounds in six weeks, poor skin turgor, hyperactive bowel sou nds, and his blood pressure was slightly lower than baseline. In the ambulatory chemotherapy setting, the clients do not always see their physician every time they receive treatment. The nurse must ascertain when to collaborate with the physician on issues regarding the patients status, response to treatment, or toxicities that may be life threatening. It is essential that the nurse is capable to communicate effectively her-(Be careful with gender bias, nurses come in both genders.) observations to the physician. Collaborative problems are detected from the nurse’s assessment of the patient. The nurse’s monitoring of the patient status is to evaluate physiological complications that may threaten the patient’s integrity. Management of collaborative problems will include implementing physician prescribed and nurse prescribed actions to curtail escalation of the problem and preventing patient harm. From the nurse’s assessment, she also formulates a nursing diagnosis. The nursing diagnoses are stated in the form of the problem, the etiology and the symptoms that the nurse observes. Nursing diagnosis can include a current or potential problem, an at risk problem, or a wellness diagnosis. Nursing diagnosis provides the framework from which the nurse begins to devise a plan of care and nursing interventions. In the case of JG, there were two collaborative problems identified. Two  problems I collaborated with physician, these were: 1. JG is experiencing toxicity from the chemotherapy. There is potential for electrolyte imbalance, circulatory collapse. 2. The necrotic area on his foot was a new development in his condition. There is potential complication for infection The collaborative problems discussed with JG physician and nurse quickly resolved. JG did not receive his chemotherapy. He was given an injection of sandostatin LR to help minimize his diarrhea; a stat basic metabolic panel was obtained; and he was given intravenous hydration with potassium. The doctor made a referral to JG podiatrist for the next day to assess the integrity of his left foot. Listed are four, but not all, possible nursing diagnosis obtained from my assessment. 1. Diarrhea related to chemotherapy manifested by hyperactive bowel sounds and eight loose stools. 2. Bowel incontinence related to loss of rectal sphincter control and chemotherapy manifested by fecal odor, fecal staining of clothing, urgency. 3. Altered Nutrition related to colon cancer manifested by diarrhea, abdominal cramping. 4.Ineffective management of therapeutic regimen related to JG lack of knowledge of his disease manifested by his inability and unwillingness to manage his symptoms. Considering JG comments regarding his finances, his overall physical appearance and the comments from his nephew, I decided to consult with the social worker. I felt that a home visit or a thorough investigation of JG home situation was warranted. The social worker was able to arrange for in home support, and helping the patient with insurance issues so he could obtain the needed supplies. I did not think to enlist the participation of the dietician. In retrospect, the dietician would have been a valuable resource to assess JG caloric intake and recommendations for optimal nutrition. I felt that the above incident demonstrated collaboration amongst health care providers. The physician in this case was receptive to the nurse’s observations with respect to her capabilities of accurate assessment of the patient’s condition and potential complications. This is not always the case, barriers to collaboration are also inherent in the health care industry. Barriers occur in patient situations where the physician is not sympathetic or does not trust the nurse’s evaluation of patient condition. The nurse may have feelings of inferiority, lack of confidence and does not appropriately collaborate with the physician correct information. Conflicts in the goals desired for the patient is often cited as a barrier to collaboration. I recall an incident of a male patient diagnosed with metastatic breast cancer. His appearance was that of an individual who had been in a Nazi concentration camp. The nurse wondered why the physician was treating this man aggressively. In her mind, this patient was not an appropriate candidate to receive the particular treatment that was ordered. She feared the patient would not tolerate such an aggressive schedule and that it was pointless to put this poor man through treatment. The patient was diagnosed two years ago. He is still receiving treatments, he has gained weight and in October of last year he hiked to the summit of Mt. Whitney. Role conflict is another major barrier to collaboration. To deliver cost effective care, many institutions utilize nurse practitioners and physician assistants. Role conflict arises when practitioners have opposing views or expectations (Blais, Hayes, Kozier, & Erb, 2002). Role conflict and can lead to litigation. According to Resnick, physicians hesitate to collaborate informally with Nurse Practitioners for fear of being held liable for the actions of the Nurse Practitioner (Resnick, 2004). Clear definition of roles  for practitioners is essential to prevent misunderstanding. In conclusion, collaborative practice is the gold standard that health care practioners should strive towards. The nurse is central in determining the patient issues that warrant collaboration and she must be able to effectively communicate her observations. Collaborative practice minimizes complications that could lead to tragic outcomes. The ultimate goal of collaborative practice is to provide the quality service that each patient under our care deserves. References Blais, K.K., Hayes, J. S., Kozier, B. & Erb, G. (2002). Professional nursing practice: Concepts and perspectives (4th ed.). New Jersey: Prentice Hall. Phillps, W.J., & Schaag, H.A. (1995). Persepctives for health and illness. In Phipps, W.J, Cassmeyer, V.L., Sands, J. E., Lehman, M.K(Eds.), Medical surgical nursing concepts and clinical practice, p. 19. St. Luis, MO: Mosby. Resnick, B. (2004). Limiting litigation risk through collaborative practice. Geriatric Times, 5(4), 33. Retrieved March 21, 2004 from EBSCOhost database.