Monday, September 30, 2019

United Nations Role in Peace and Security

As we all know the UNO is an international organization of almost 192 member countries of the world and was founded – rather replaced by the League of Nations some 63 years back in October 24,1945 in San Francisco, California, shortly after World War -II. No doubt the tragedy, bloodshed, massacre, hunger and nuclear atrocities by the USA gave alarming feelings to the nations to freeing the world from the possibility of wars in future. However, its successes and failures in achieving this objective are still debatable. The UNO as stated above is a renewed precursor body of the League of Nations. So before reviewing the UNO’s functions, it will be worthwhile to look into the history of the League as the new generation is not much aware of its role. LEAGUE OF NATIONS The League was founded after the devastation, slaughter, disaster and atrocities of the world war-I. It was also an international organization set up in accordance with the Treaty of Versailles in 1919-20 with only 58 members. Its major goal consisted of disarmament, prevention of war and settling disputes between the countries. The harbinger of setting up this organization was the United States President Mr. Woodrow Wilson. But surprisingly the Senate of his own country refused to become its member which was, no doubt, a serious blow to the prestige of the League. However, other great powers like the United Kingdom and France remained its members. It was to fulfil the dream of fundamental shift in the thought from the preceding centuries. Unlike the UNO,the League did not have its own armed forces and was dependent on the great powers to enforce its resolutions and peace-making struggles. It could not enforce its three sanctions as envisaged under its covenant. Therefore after,no doubt, a few notable successes, the following failures resulted in its replacement by the United Nations:- 1. In 1931 Japan invaded Manchuria but no effective sanction was imposed on the aggressor. 2. In 1935,Italy attacked Abyssinia but none of the great powers took any notice of it. . 3. Germany was not allowed to join the League in 1919 as it had started the war. 4. Russia was also denied its membership in 1917 being a communist government to pose fear in Western Europe. Eventually these three most powerful countries could not play their positive role in supporting the league. This sort of plight has been stated by Mussolini in a sarcaustic manner as under: â€Å"The League is very well when sparrows shout, but no good at all when eagles fall out† So the League after the end of the first world war was replaced by the UNO in 1945 having remained in existence from 1919 to 1945. THE UNITED NATIONS ORGANISATION After the closure of the League of Nations, the UNO was established on 24th October,1945 but its first General Assembly comprising 51 member countries was held on 10th January,1946 in London. One can well assess that the brunts and tragedies of both the world wars gave a fillip to the idea of revamping the body of the League to play more effective role anew to restore peace and harmony amongst the states. This idea was elaborated in the Declarations signed during war time conferences held in Moscow and Tehran in 1943. Mr. Franklin D. Roosevelt, the President of the USA proposed its name as UNITED NATIONS. Its charter was drafted by the governments as well as non-government organizations like Lion Club International. To start with 51 nations signed the charter of the United Nations. The charter was later ratified by five permanent members of the Security Council viz: USA, UK, France and China, followed by a majority of the other 40 signatories. As a result of the unanimous votes by the U. S. Senate and the House of Representatives, the UNO’s Headquarter were made in the United States. Accordingly U. N. Headquarters building was constructed in New York city in 1949 and 1950 beside the East River on the land purchased by an 8. million dollars donation from John D. Rockefeller. The land is now considered international territory but apart from some diplomatic privileges and immunities, the laws of the New York city,New York state and the U. S. in general do apply. The UNO is supported by some other organizations like the Security Council, UNICEF, WHO, UNESCO and a few more to resolve conflicts and to maintain peace in the world as well as to eliminate illiteracy, poverty, hunger and to enhance respect for human rights. PAKISTAN’S ROLE IN THE UNO. Pakistan is proud to play its role in the peace-keeping missions of the United Nations. Pakistan became its member on 30th September,1947 i. e. just after one month’s creation of it on the world map as a new country. Since 1960, Pakistan is enthusiastically performing its responsibility in the U. N. peace-keeping missions with over ten thousand troops and observers. Currently Pakistan’s involvement in restoring peace in Somalia, Sierra Leon, Bosnia, Congo, Liberia and East Temore have been commended not by the UNO but the world at large. No other country including any muslim state has been that active to contribute this sort of role in the United Nations. This speaks of the valour and vividity of our armed forces on the global impact. Conclusion The first decade of the 21st century is going to complete with both hope and distress co-existing side by side. Peace and development and concept of democracy and equality are still missing in many parts of the world despite our trumpeted slogan of world getting into a global village. No doubt the globalization has drawn countries closer and closer with reference to their economic relationship, advanced means of communications and regional cooperation etc. But these developments are posing some alarming questions to the general public like local wars, revolutions and conflicts coming up from time to time. The Iraq war and situation between Israel and Palestine witnessing tragedies every day. Similarly wars in Africa entangled with poverty and diseases are still continuing. As a matter of fact after the dropping of atomic bombs on Hiroshima and Nagasaki in Japan on 6th and 8th August,1945, the possession of nuclear device by some countries created a sense of self-protection and safety. In this way the dream of peace and harmony in the world does not seem to be converted into the reality in the near future. But we are not that pessimist because the UNO is undoubtedly a microcosm of the world and despite so many reservations politically, its role in promoting disarmament for a safer future to the posterity cannot be denied. In the global concept its importance and necessity is gaining momentum day by day. It is now the most acclaimed universal representative and authoritative organization with 192 member countries in its present set up and we do hope that it will progress more in the time to come. Those countries who have not become its members so far, should also come forward to strengthen the UNO in general and the present Secretary General Mr. Ban Ki-moon In particular.

Sunday, September 29, 2019

Field study 3 Answer Essay

Name of Center Observed: Date of Observation: Name of Observer: Course/Year/School: 1. Print Resources Books Magazines Newspapers In depth information in a topic. Good sources of information. Present the main facts or hi-lights of an event. Exercise professional judgement in deciding whether to cover all the materials in the textbook or not. Adapt or replace any part of a textbook found inappropriate to the needs of the students and use other supplementary learning and resources to support students learning. 2. Audio Resources MP3 Player Compact Disc Improve listening Skills Easy to operate Can be used for big or small groups Teachers can be used in speech rehearsals, drama, musical presentation etc. 3. Non-electronic Visual Resources Bulletin Board Mock Ups It is highly versatile Intended to show the essential parts which are made detachable. The teacher uses it to present a preview of the lesson to be presented as a way of motivating the students. The teacher must use it for focusing observations on the desired part to be studied as well as the function relationships of the parts. 4. ICT Resources Computers Multimedia resources (Audio-visual teaching aids, web-based material, computer software packages, online platforms etc.) Flexibility Adaptability Multi-sensory experience Possibility of interactivity Connectedness Teacher may select materials that present different sides of controversial issues to help students to develop their critical thinking and to make informed judgement in their daily lives. Impression: Since the school is under construction most of the facilities are not present, even the Learning Resources. The teachers were the one who provides the learning materials she/he needs to teach her/his students like the audio resources and ICT Resources. It would be better for the teachers if all the learning resources are present in their school. Name and Signature of Observer: Name and Signature of the Learning Resources Center In-Charge:

Saturday, September 28, 2019

Hughes Promotes the African Civilization Essay

Still recognized as one of the literary giants of America, Langston Hughes played an important role as a writer and thinker of the Harlem Renaissance. This was an artistic movement of African Americans that arose during the 1920s to celebrate the lives and culture of Africans in the United States (â€Å"Langston Hughes†). Because most of the African Americans had been brought to the New World as slaves of white masters, it was poets and writers like Hughes, an African American man, that helped to change the perception of African Americans in the minds of the whites once slavery had been abolished. Hughes’ poems, â€Å"The Negro Speaks of Rivers† published in 1926, and â€Å"Negro† published in 1958, therefore depict African Americans as ordinary human beings like everybody else, and yet richer in culture and civilization than many others, seeing that they have participated in the construction of the great â€Å"pyramids,† mentioned in both poems (Hughes, 2007; Hughes). Hughes was direct and open about the fact that his writings were meant to uplift the conditions confronting Africans in the United States (Hughes, 1923). They had been slaves, so therefore the whites did not respect them enough even after the abolishment of slavery. â€Å"The Negro Speaks of Rivers† was published five years after the Tulsa Riot and during the Harlem Renaissance (â€Å"Race Riot, Lynchings, and other Forms of Racism in the 1920s†). â€Å"Negro,† on the other hand, was published at a time when racism was considered a bigger problem than before. In fact, during the 1950s racism was at the forefront of American thought (Lewis, 2002). Many battles were fought to set blacks equal to whites in the minds of all Americans. Hughes’ contribution of the 1950s, his poem â€Å"Negro,† was only different to the extent that it was an artist’s contribution. Countless other Africans were fighting on the streets of America to set things right once and for all. Both poems, â€Å"The Negro Speaks of Rivers† and â€Å"Negro,† are expressions of African American identity. The first poem begins thus: â€Å"I’ve known rivers†¦Ã¢â‚¬  (Hughes). In the second as in the first, although the poet has made clear that the narrator is a negro – the poem, â€Å"Negro† begins with the words, â€Å"I am a Negro† (Hughes, 2007). Because the whites had been masters over African slaves, they were inclined to look down upon Africans. Since the whites were owners of property in America and certainly richer, the blacks longed to be like the whites. But, Hughes would like the Africans to feel at home in their own skins. With images of rivers as grand as of the Euphrates, the Nile and the Mississippi – the poem, â€Å"The Negro Speaks of Rivers,† reminds the African of his or her historical roots or the history of the great African peoples who have traveled across all of these rivers adding value to the historical streams of cultures. The poem has irregular, long lines without rhythm because it is making a basic point: the African soul is as deep as any human soul could be. The African individual indulges in deep thinking as he travels across ancient rivers. What he must dwell on is his own identity on foreign soil. Remembering the history of his civilization, he must keep in mind that life carries on. What’s more, the poet reminds his fellow African that the black race has survived despite all odds (Hughes). Because â€Å"The Negro Speaks of Rivers† was published during the peak of Harlem Renaissance, it refers to depth of the African soul, given that art is often understood as the voice of the soul and the Harlem Renaissance was all about promoting African art and culture in the United States. Using gentle images such as the Mississippi’s bosom â€Å"turning golden in the sunset,† the poet uses his emphasis on rivers to stand as a symbol for the depth of the African soul (Hughes). â€Å"Negro,† published during the 1950’s also mentions â€Å"depths† (Hughes, 2007). As in â€Å"The Negro Speaks of Rivers,† the depths mentioned by Hughes in both poems most likely refer to the depth of African knowledge too. After all, both poems refer to the history of Africans. â€Å"Negro,† with its sentence arrangements describing either what had happened to Africans or what they have done in the history of the African civilization – also makes mention of the experiences and/or skills that set Africans apart, for example, slavery and singing (Hughes, 2007). The poet represents all Africans in both his poems, â€Å"The Negro Speaks of Rivers† and â€Å"Negro. † What is more, both poems mention the fact that the Africans were part of the labor force that built the ancient pyramids. In â€Å"The Negro Speaks of Rivers,† it was the African who â€Å"looked upon the Nile and raised the pyramids above it† (Hughes). In â€Å"Negro,† the pyramid is said to have arisen under the African hand, implying that the African was greatly skilled even at the time of ancient pyramid construction (Hughes, 2007). The main difference between the two poems, â€Å"The Negro Speaks of Rivers† and â€Å"Negro† is, undoubtedly, the spirit of hope felt through the first poem versus the sense of despair mixed with hope in the second poem. Hughes must have composed â€Å"The Negro Speaks of Rivers† in a different frame of mind altogether. The poem clearly promotes the African American culture and art as originating in the deep history of humanity (Hughes). Although â€Å"Negro† makes mention of world history too, it does not necessarily promote African American art, apart from its reference to singing. The African American may be considered as more of a laborer or low paid worker than an artist in â€Å"Negro† (Hughes, 2007). Perhaps the poem was not written to promote African American art at all. As mentioned previously, the 1950s saw the whites and blacks of America fighting over the question of equal rights of Africans in almost all major areas of state functioning, including education. There were severe problems related to racism during this period of American history. Clearly, blacks were being looked down upon. It was in the mood of that hour that Hughes composed â€Å"Negro. † The poem speaks of the ordinariness of the African individual while describing the good uses that Africans have been made of, for example, in the construction of the â€Å"Woolworth Building† (Hughes, 2007). â€Å"The Negro Speaks of Rivers† is certainly not dismal or depressing like â€Å"Negro,† mainly because it does not make mention of slavery and victimization as the second. After all, Hughes is fighting against injustice toward African Americans in the 1950s. In the 1920s, his cause was entirely different. If â€Å"The Negro Speaks of Rivers† had made frequent mention of darkness as does â€Å"Negro,† the Harlem Renaissance could not have been considered a harbinger of hope (Hughes, 2007). References Hughes, L. (2007, Dec 2). Negro. Retrieved Mar 15, 2009, from http://amandafa. blogspot. com/2007/12/negro-by-langston-hughes. html. ————–. (1926, Jun 23). The Negro Artist and the Racial Mountain. The Nation. Retrieved Mar 15, 2009, from http://www. hartford-hwp. com/archives/45a/360. html. ————–. The Negro Speaks of Rivers. Retrieved Mar 15, 2009, from http://www. wmrfh. org/dcrews/index_files/Hughes_The%20Negro%20Speaks%20of%20Rivers. doc. Langston Hughes. America’s Story from America’s Library. Retrieved Mar 15, 2009, from http://www. americaslibrary. gov/cgi-bin/page. cgi/aa/hughes. Lewis, C. H. (2002). The Rise of the Civil Rights Movement in the 1950s. Retrieved Mar 15, 2009, from http://www. colorado. edu/AmStudies/lewis/2010/civil. htm. Race Riot, Lynchings, and other Forms of Racism in the 1920s. Retrieved Mar 15, 2009, from http://www. assumption. edu/ahc/raceriots/default. html.

Friday, September 27, 2019

ECON DB2 Essay Example | Topics and Well Written Essays - 500 words

ECON DB2 - Essay Example Cap and trade allows for tradable pollution permits. A tradable permit policy sets specific targets on total emissions and allows reallocation or auctioning of pollution permit allowances to industry polluters to meet their objectives. Companies that are able to limit their emissions more cost-effectively have the incentive to avoid purchasing more permit allowances and even sell their permit allowances in excess to polluters with higher demand of compliance. Under this type of approach, emission are set by the cap, however, the overall costs for compliance may be uncertain. With regards to Cap and Tax, a regulatory system is set that provides incentives for polluter companies to find cost-effective mechanisms for controlling their emissions. Firms will therefore pay taxes for their emissions if at all it is cheaper or reduce their emissions to avoid the imposition of tax for their damages to the environment. In cases of taxes to regulate emissions, the cost of compliance is known, but the levels of emission may be rather uncertain. A command and control approach sets fourth Emissions standards that are generally more stable as compared to carbon market controls. It is undeniable fact that trading markets, more so for carbon emissions can be unpredictable. Profiteering requires stability with a fairly of a secure investment decisions. With preset Emissions standards, companies can plan and diversify their investments into more energy efficient technologies that results into emission of emit less carbon. A key benefit of market mechanism is that it gives incentives for innovative continuous emissions reduction. In cases of inflation, market mechanisms are advantageous because they allow automatic adjustments to new prices and as such no legislative action is needed. An externality refers to a cost or a benefit of activities

Thursday, September 26, 2019

Is the accessibility of free digital music downloads destroying the Essay

Is the accessibility of free digital music downloads destroying the recording industry - Essay Example The details of how free internet downloads affect the music industry will be examined in the subsequent part of the essay.2 Recording artists put a lot of time and effort to come up with products that gain appreciation from various audiences. It will only be considered fair if these same recording artists got a reward for their efforts. By downloading their music for free from the internet, recording artists are denied the chance of benefiting from their sweat.3 For recording artists who may not be well known or those trying to make a name for themselves in the industry, it becomes very difficult to offset all the payments and expenses that come with production of an album or even a song. They have to pay royalties to a host of parties involved in the process of recording songs, going on tour, purchase of equipment, hiring lawyers or paying up record Companies or any agents that were involved on the production process. Therefore all their investments end up going to other sources. It is a fact that most of the revenue generated in the recording industry is attributed to CD sales or album sales. The internet has caused a sharp reduction in these sales consequently making the artists who make a living from it suffer greatly.4 Free downloads also severely affect upcoming artists. This is because young artists are considered as a sort of investment.

Marketing 2500 24 hours Essay Example | Topics and Well Written Essays - 2500 words

Marketing 2500 24 hours - Essay Example The paper discusses demand-supply, expected sales & market share analysis, analysis of market entry mode, & strategies and estimated budget. All the analysis has base on extensive literature, case studies, theoretical modes and sales tables and curves. The statics results reflect well and car marketers from many companies both local and foreign are having an advantage. Most large automotive industries are currently either investing much in China or developing new small car models preferred by most families in China. Companies such Toyota, Ford Motor, Honda, General Motors are presently investing in China through joint ventures with the Chinese counterparts effectively thus increasing market share competition. Unlike the large international automotive industries, China’s one is fragmented. Most cars are small ones with the huge companies producing up to 37% of the total output. However, China’s current cost of labor is significantly low and the government has referred to the situation as a pillar industry one with high growth potential. The car industry in China continues to be attractive because the tariffs reduction in the industry intends to continue too much lower in the next few years. The government also plans to put car import quotas. Price decrease in China is causing many other auto companies to reduce their prices consequently. In the next few years, companies in China are to face an over production of up to 20% of cars. China has expectation to host more than 140 million cars on its roads; this is much more than the present hence forcing the government to improve the transport infrastructure and services. Background The factory began a s a truck building factory producing their first Jie Fang CA-10 in 1956 by the assistance of Russian Soviet Union. The company began its operations with only 39 employees who travelled to Stalin Truck Factory to receive their learning experience and instructions on how to build and construct trucks. The co mpany is located at Changchun a city that was identified by the Soviet Union as the base of the factory. The city is also situated on the northern side of china, which is also near Russia. The company continued with its operations by also producing passenger cars in 1958. The company produces luxury vehicles that have gained popularity in the country. Due to a lot of fragmentation, the company has entered into ventures with other companies such as Volkswagen. The company has also moved to acquire Tianjin Automotive Xiali in September 2002. In 2009, the company entered a joint venture with Toyota and General Motors companies (Hu, 2006). China’s development concerning automotive is high i.e. recent statistics showed that every 1000 Chinese owned an average of 1.5 car units that is over the global average. Other governmental statistics also showed that almost 32% of the Chinese urban population intends to purchase cars in the next 5 years. Introduction The auto industry that is an important sector in China’s modernization and industrialization endeavors has been growing very fast since the 1990s. In the present past years, China has become the world’s greatest automotive manufacturers, with yearly production output of 18 million units in 2011. It is also currently the largest automotive market in the

Wednesday, September 25, 2019

Banquo and King Hamlet the friendly ghosts Essay

Banquo and King Hamlet the friendly ghosts - Essay Example In both Hamlet and Macbeth, Shakespeare uses the supernatural element of ghosts to build his plot by making it more dramatic, and to resolve the play’s central conflict. In Hamlet the ghost is first seen by Horatio who interprets its appearance as a warning to Denmark of an impending threat. When it appears again, Horatio confronts it but it vanishes without uttering a word. When Hamlet is informed of visitations by a ghost that looks like his father he vows to confront it. When the ghost reappears, Hamlet calls out asking what its purpose is but it only beckons him to follow which he does despite Horatio and Marcello’s efforts to stop him. It identifies itself as the spirit of Hamlet’s father: The ghost informs Hamlet that Claudius, who is his uncle and currently his stepfather, is the murderer. This infuriates hamlet significantly enough to desire for vengeance. However, the ghost reminds him to be gentle with his mother and leave her judgment to God. The ghost commands Hamlet to avenge his father’s death which Hamlet is at first unable to do prompting the ghost to appear to him again in his mother’s boudoir. The ghost reproaches Hamlet for not carrying out its orders about avenging his father’s murder stating, â€Å"Do not forget. This visitation, Is but to whet thy almost blunted purpose† (3.4.101). Scared of the witches’ prophesy about one of Banquo’s sons becoming king, Macbeth sends killers to murder Banquo in the play Macbeth. The witches had prophesied to Banquo that, â€Å"Thou shalt get kings, though thou be none† (1.3.67). Banquo is murdered but his ghost later appears while Macbeth is hosting a banquet and quietly sits next to him without uttering a word. The ghost’s face is drenched in blood and covered with cuts all over. It is a terrifying sight only visible to Macbeth. It is invisible to other people in the feast. It has been argued that the since the ghost was only visible to

Tuesday, September 24, 2019

Explanation and Evaluation of Libertarianism Essay

Explanation and Evaluation of Libertarianism - Essay Example For better understanding of libertarianism in general, let us look at some universal tenets of libertarianism. One of the main universal tenets of libertarianism is the belief in natural human rights.   Libertarianism, teaches that human beings have inalienable rights that should be respected by other people and even by the government (Internet Encyclopaedia of Philosophy, web). These rights are the rights to life, property, and liberty. These three rights are negative rights in that they all entail freedom from non-interference from the government and from other people. Libertarianism teaches that individuals are ontologically prior to the state or to any other social grouping and for that reason, individuals are more important than the social organizations or the state. Libertarianism, therefore, advocates for respect of individualism. The second universal libertarianism principle is the belief in spontaneous order. Libertarians believe that social organizations and institutions that guarantee peace and order in the society develop spontaneously, through voluntary associations of members of the society, without any initiation or imposition by central authority. Libertarians view order and peace in the society as a condition sine qua non for flourishing of human beings in the society. The libertarians, however, are opposed to social organizations that are imposed upon the people by the central authority; the formations of such organizations are an infringement upon the natural rights of individual.

Monday, September 23, 2019

Best war ever Essay Example | Topics and Well Written Essays - 500 words

Best war ever - Essay Example How to make this Planet Earth heaven-like? The answer is simple and straightforward. Eyes full of understanding, hearts full of love and the life that refuses conflicts-enough, these alone are enough! But when the war is declared, the objective of the country involved in the war, is to win the war, no matter how it wins! The advanced technology was brutally used in World War II, and it served very well, the ultimate purpose of any war—to win the war, to end the war and to secure peace! The main objective of the war-related technology is to win the war with minimum casualties. Technologically, America was superior on all counts than its enemies in war. It helped to contain and defeat its foremost enemy, Japan. To start with, â€Å"Japan’s naval technology and fighting methods, innovative in the beginning-stages of the war, quickly lagged behind the Allies. Japan lost naval air-battles because its ships and planes did not have the radar.†(Adams, p.62) Air-power dominated during II World War. There was not much difference in their roles like reconnaissance, bombers, fighters and ground-support though each area was technologically far advanced. Some additional roles were seen for the aircrafts in WW II. Airlift the fighting forces and move quickly high-priority supplies, strategic bombing, targeted bombing of the civilian areas to hamper enemy industrial production and inflict casualties to destroy the morale. At the beginning of the war aeronautical warfare played limited role and little success was achieved. But actions at Pearl Harbor, the South China Sea, Taranto, and the Coral Sea changed the complexion of the war. America had the decided advantage in technology. â€Å"For many, including a majority of survivors from the era, the war years have become America’s golden age, a peak in the life of society when everything worked out and the good guys

Sunday, September 22, 2019

Trade Liberalization in China and Brazil Essay Example for Free

Trade Liberalization in China and Brazil Essay Debt crises and financial stability problems had been the major causes why some countries resort into imposing new economic programs such as implementing free trade which is also called trade liberalization. To lessen the limitations of a country on trade industries they have established has been the main point of the process called trade liberalization (Biz/ed, 2007).   Through this process, tariffs or the fee that the government charges to every importer of foreign goods, as well as trade barriers are reduced in order to allow more foreign investments on a country’s economy.   Ã‚   Through this, the host country would have the privilege of acquiring imported products with a lower price.   However, domestic and national industries are also protected and looked after from competitors such as foreign producers through protectionism.   In this way, local industries are protected through tariffs, other non-tariff barriers and quotas. The price of imported goods is increased by tariffs, which make the entry of foreign business competitors a difficult and expensive task.   Aside from tariffs, governments have also devised other ways of protecting their local market, calling these methods as non-tariff barriers.   One kind of a non-tariff barrier are quotas.   These are restrictive and protective moves of nations or local governments against the entry of foreign goods into their local market (Biz/ed, 2007). It would be beneficial, for the academe and all the economy governing bodies in the world to know how a modern economic policy, more specifically the economic trade liberalization policy, affects a previously existing economic body.   Not only would it help the academe and the governing bodies understand the policy even more, but would also make them realize how these policies affect the economy in various levels, both in the macro and microeconomic level. This paper would focus in the trade liberalization policy and how it affects a particular country, or in this case would be called an economic body.   This paper would not be able to mention all the countries that are presently implementing the economic free trade policy, because of practical reasons, so the researcher had resorted into using two well-known countries from two different continents to show how the aforementioned economic policy affects different economic bodies in different geographical and cultural contexts. This paper would not focus on developed countries because it would just defeat the objective of knowing how this said policy would affect those countries that have implemented it because of their need to use it as a means of increasing their economic, and eventually their political power in the international arena.   The two countries to be used as points of comparison, would be China, which is found in East Asia, and Brazil, which is found in the continent of South America. China is one of the most well-known countries when it comes in business.   Historically, it has been one of the world’s greatest political powers, even before the time when the Europeans set out into the unknown.   It has been economically active by trading goods such as garments, oil, spices and jewelries with its Asian neighbors such as the Philippines, Japan, Malaysia, and other more, even before the age when the Europeans discovered the different lands in the region. In the recent past, China had become less economically active because of its experiences of that lead to the minimal decrease of its political power in the international arena.   But today, because of its social, political and economic policies, it is slowly rising back to the top of the list of political and economic powers.   In this country, retailing has grown and underwent rapid changes over the years. And this retail process has played an important role when it comes to food production and/ or selling of food in their culture. China, being the world’s most populated country, having more or less 1.3 billion in population, tried to utilize this kind of capital.   Because they have a very large pool where they can get manpower, they have used this to use labor to their advantage.   Because of the lesser need to use machinery, compared to other countries, they have succeeded in lowering the market prices of the goods they have produced in dramatic rates.   They also used their manpower as their source of political power. But then, people in China are more likely to be savers than spenders and so, their market is steered by the price of their goods.   The price of every local product is where the imported goods have a hard time competing with because the imported products are much expensive than the other (Moustakerski, 2002).   This is because the price of imported goods considers the price of tariffs paid. In addition, China has also signed significant trade treaties under the General Agreement on Trade in Services (GATS).   GATS is one of those contracts or agreements that include rules on investments in services and trade.   It covers services such as water delivery, health care, postal delivery, tourism, road building, municipal services, education and insurance.   The scope and range of GATS is broad and covers the regulation of government with regards to trade and services as well as government services in all levels (Glossary of International Trade Terms). These commitments include distribution services, tourism, telecommunications, banking, insurance, audiovisual and professional services.   Agreements regarding the distribution of goods and services are important, basically for merchandise trades since this kind of commitment would help prevent economic barriers from emerging through the control of distribution (Ianchovichina, Martin and Wood, 2000).   Also, with these, the process of trade becomes quite more complicated.   Again, these commitments entail changes and processes that may be difficult for some foreign country to get into another country and share their products to possible consumers. The commitments concerning the financial services modes may differ across countries and can also change over time.   These may include the following (Kono, et al., 1997): All measures on liberalization should be equal among World Trade Organization (WTO) members The members of WTO can not discriminate foreign and domestic firms, except when it is clearly said at the time by which it joined the GATS. Domestic policies must be available as well as unrestricted to everyone. Continuous process of liberalization or by which affiliated territories be in agreement enhancing the liberalized sectors and reduce exceptions within sectors in such a way that they commit to negotiating rounds in the future. Harmed countries can give authorization against the disturbing or violating country. Despite these, there are also important exceptions that should be taken note of: The different programs of the principal bank and / or other systems associated with the government that transmits money along with policies on convertibility that are not included in the GATS. Economical construct is also not liable to GATS and it is created for making sure governments of the host country may protect their local financial system as well as their participants through the application of prudential standards of the host country. The said measures do not necessarily comply with pledges of the right to use markets, national treatment as well as the preferred responsibility of a nation (Key, 2003). Other government relations that are not related to prudential measures are also exempted from GATS commitments except when they disobey necessary obligations (Kono, et al., 1997). Considering the different limitations, restrictions and qualifications on trading, selling and importing food made from foreign countries has been even more complicated.   The country’s infrastructure and legal systems are underdeveloped and the law or enforcement is often inconsistent and biased.   Thus, corruption among the people and protectionism of the locals has remained to be problems (Moustakerski, 2002). China’s share on exports have consist goods in which the country did not like in relation to their advantage in production.   Hence, the producers of goods that are exported had no economic incentives in order to broaden their international sales.   Also, with that, the ability of China to invest on imports that may involve technology which could have contributed to the country’s economic expansion and growth productivity has been impaired (Lardy, 2003). Considering China’s integration in the global economy and its progressive recognition of the principles of marketing has been encouraged by the United States economic and political engagement.   These developments helped relations grew deeper between the two countries – United States and China.   But these two countries have also caused friction between their relationships. In any case, the relationship between the countries has become essential to the countries’ economy.   Thus, China’s economy has grown closely to investment regimes and open trades of the world’s major economies.   Also, the gross domestic product (GDP) of China accounts 40 percent of their exports and so, the country has depended on its export sector’s growth to stimulate their economy’s modernization as well as to support and improve their standards of living (U.S. China Trade and Relations. 2006). The gross domestic product or (GDP) is the annual total value of services and goods by a certain nation and does not include the net factor income from abroad (overseas investments and interest and / or profits and the wages of workers. GDP is also an indicator of the economy’s status and includes the government purchases as well as total value of the country’s export and investments in the United States.   As what was aforementioned in this paper, countries that undergo economic crises make some alternative ways of coping with their problem, such as what happened with most Latin American countries in the early 1980’s. Most Latin American countries had resorted into having economic changes after they had experienced such problems, but Brazil was one of the latest countries to join the trend of making its national market a free market.     Just like in the case of China and the other countries that are practicing free trade, Brazil has been experiencing many large scope changes since the first time it practiced the said trade policy. With the start of the late eighties to the early nineties, there arose some issues in the political and economic arena about the consequences of the new economic policy.   Trade liberalization had three major environmental effects on Brazil, and on the other countries as well, namely; the scale effect, the composition effect and the technological effect (Antweiller and Copeland, 1998). The first one, the scale effect according to Antweiler (1998), â€Å"measures the increase of pollution generated if the economy were simply scaled up, holding constant the mix of goods produced and the production techniques.†Ã‚  Ã‚  Ã‚   This simply means that the increase or decrease of the amount of pollution produced by a certain economic body can be determined by the economy itself, depending on its course, whether it is scaling up or down. Just like in the case of Brazil, which is one large economic body that is in its course of upscaling its economy, it does not experience radical and abrupt changes in the rate of production of its goods and the techniques of production it has.   However, because of the fact that it had implemented free trade, its economy would be stronger than before, or in other terms scaled up, and also because of that, it would tend to be more polluted at the same time. The composition effect is another environmental effect that can be observed in Brazil.   This effect means that when the economic state of a certain country, as well as the emission intensities at a constant level, then that particular economy would tend to allocate more of its resources to the production of possible pollutants, consequently polluting the environment more. Brazil has an economy that is technically and relatively not scaling up, and the rate of the production of pollutants just stays the same.   Because of this, they are forced to allot more and more of their resources into producing more goods that they have to export like sugar.   This economic move thus increases the scale in which they have to produce the goods, which in turn increases the amount of pollutants produced by the manufacturing and the processing of these goods. And the last one is the technological effect, or what Antweiler (1998) calls the technique effect, claims that when everything else was held constant (emission intensity, mix of goods produced, production techniques, and the scale of economy), a possible increase in the intensity of the emissions would tend to heighten pollution levels.     In connection with the previous effects, and in connection with logic, the more pollutants an economic body produces, the more polluted it gets.   Because of free trade, more imported goods will come into the country.   Without even producing and manufacturing vehicles, one country can acquire a large quantity of those by free trade.   Also, they can acquire these vehicles even without increasing their economy.   And as everybody knows, vehicles that use gasoline and crude oil as their main fuel produce pollutants, because of this, it may become one way of increasing the pollution in that economic body. These three effects are good observations by Antweiler, because these seem to summarize, and in a way quantify some of the effects of the phenomenon of free trading, especially in those countries that had only resorted to the economic policy because of the immediate need to rise from their economic troubles.   Also, these effects can be used to describe and predict the possible effects of free trade policies on a particular economic body. It is known that Brazil is a major sugarcane producing country, having produced 1,324 million metric tons in 2004 (Earley and Earley, 2006).   It also came to a time that it dominated the sugar production in the world in 2004 and 2005.   It had also dominated in the exportation of these sugar products, even leading over the US, Australia and Thailand. According to one policy analyst, who focused on the liberalization of agriculture, the implementation of the trade liberalization as a structural adjustment program had been ideally conceptualized so the lives of the Brazilians would be improved both politically and economically.   But instead of doing what it was supposed to do, according to his analysis, the economic reform program had worsened the case, because not only did it make the poor poorer and the rich richer, it also â€Å"redressed† (according to the author) and widened the inequality between social groups (Cassel and Patel, 2003). Considering the Brazil’s relationship with other countries, it has established connection with that of the United States of America when it comes to ethanol production. The world’s production of ethanol has strongly grown because of the worldwide oil prices increase and thus, ethanol is being considered as one of the alternative fuels (Earley and Earley, 2006). As what was mentioned earlier in the paper, Brazil is among leading sugar producing countries in the world, mainly because it has acres of land area to use for planting sugarcane.   Ethanol can be made by using sugarcane juice, and then by fermentation, distillation, and dehydration of the end product, which is ethanol or E-85. A large number of vehicles in Brazil are now using ethanol as their main fuel.   Ethanol has also become a major fuel in the said country, providing almost 18% of the total amount of vehicle fuel.   Because of this, they have become the world’s leading producer of ethanol producer back in 2005 (Ethanol Fuel, 2007). The policies as a result of both international and national efforts to prevent and reduce greenhouse gas emissions had also increased interest in using such fuel and so, authorization on the use of ethanol helps the industry of the country grow.   Also, because trade liberalization means more products would come in, which would also mean that products would need to be transported from one point to another by means of a particular kind of highly durable and highly powerful vehicles.   And because these vehicles need to have more power, they utilize fossil fuel products as their source of power, which would eventually add up to the pollution problem of the economic body. A study with regards to Brazil has found out that, the country’s trade liberalization had an effect on employment rates. It was noted that there has been a negative effect wherein there has been a decrease in employment in different capital-intensive industries as well as a decrease on the labor-intensive industries in the country. There are some who claim that the decrease in employment is not necessarily attributed to the country’s trade liberalization because the trade reforms has been passed and implemented on a macroeconomic environment which was characterized by recessionary conditions and high inflation rates (Mesquita Najberg, 2000). But looking back at the basics, employment can be and is directly affected by the particular economic body’s economic status at a given time.   Because of this, the aforementioned claim may not be telling what really is happening, but only what is ideally to happen. Considering the stated information above, it can be inferred that China and Brazil both differ in ways of how they manipulate their trade systems in order to increase their economy and be known to their respective fields of interest and products.   Simply, the two countries aim to improve their economy and be able to increase their economy’s status in such a way that they would be able to have connections or be in association with other countries. Also, it may be good to hypothesize that trade liberalization can help an economic body only in the macroeconomic level, but it can also negatively affect the economy in the microlevel in the same time.   It can also be hypothesized that economic trade liberalization policies only serve the benefit of those countries that already have the economic advantage at the first place, because they already have the means of being the first ones to do trade with the countries that implement the economic policy. And last, another hypothesis that can be drawn from the previous premises is that free trade can be one of the modern economic policies that may endanger the previously existing local industries in a country, because it only gives the people more choices in the market, which would mean, greater diffusion and lesser concentration of the choice of goods sold in the market. References Antweiller. W., Copeland. B.R.   and Taylor. M.S. (1998). â€Å"Is free trade good for the environment?†. NBER working paper. Biz/ed. (2007). Trade Liberalisation: A Means of Promoting Growth in Developing Countries? – Activity. Retrieved, July 17, 2007, from http://www.bized.co.uk/educators/16-19/economics/international/activity/liberalisation1.htm. Cassel, A and Patel, R. PhD.   (2003).   Agricultural Trade Liberalization and Brazil’s Rural Poor.   Institute for Food and Development Policy/Food First. Earley, J. and Earley, T.   (2006).   Specific Environmental Effectsof Trade Liberalization: Sugar.   International Policy Council. Ethanol Fuel (2007).   Wikipedia.   Retrieved july 19, 2007 from http://en.wikipedia.org/wiki/Ethanol_fuel#Production_Process. Glossary of International Trade Terms.   Retrieved July 18, 2007 from http://www.afsc.org/trade-matters/learn-about/glossary.htm#wto. Ianchovichina, E., Martin, W. and Wood, C. (2000). ‘Effects of the Vietnam- US bilateral trade agreement’, Mimeo, World Bank. Key, S. J., (2003), The Doha Round and Financial Services Negotiations, (Washington DC: The American Enterprise Institute Press). Kono, M. and L. Schuknecht, (2000), â€Å"How Does Financial Services Trade Affect Capital Flows and Financial Stability,† in Internationalization of Financial Services ed. by S. Claessens and M. Jansen, (London) Kluwer Law International, pp139-176. Lardy, N.   (2003). Trade Liberalization and Its Role in Chinese Economic Growth. Prepared for an International Monetary Fund and National Council of Applied Economic Research Conference A Tale of Two Giants: Indias and Chinas Experience with Reform and Growth. New Delhi. Mesquita, M. and Najberg, S. (2000). Trade Liberalization in Brazil: Creating or exporting jobs?. Journal of Development Studies. Moustakerski, P. (2002). The effect of trade liberalization on China’s retail sector. Retrieved, July 17, 2007, from http://findarticles.com/p/articles/mi_m3723/is_3_14/ai_84879835. Trade Liberalization and Employment (2001).   International Labor Office.   Geneva.   282nd Session. U.S.-China Trade Relations: Entering a New Phase of Greater Accountability and Enforcement. (2006). United States Trade Representative

Saturday, September 21, 2019

Leadership in Paramount Furniture

Leadership in Paramount Furniture I am working in the paramount furniture and our organization running from 1989. We make a sofa sets, bed, bed sofa with New Zealand products. The organization located in 12 FG Dalgety Drive, Wiri, Auckland, New Zealand. The email address is [emailprotected] and our website is www.paramountfurniture.co.nz. I am the leader of one team in paramount furniture. The vision and value of paramount furniture are, we are make sure we will be one of the best furniture company in the New Zealand, making new and loyal customers with good quality of products, open new branches in out of the Auckland, the paramount furniture making a plane dealing with international companies and making good quality of products for customers. My team members are apricate with visions and values. They follow the all rules and regulations, they all are honest, hard worker and all are good communicator. I received feedbacks from customers about the products and then I held a meeting with my team member for telling the ir performance about their work. All customers are happy with the paramount furnitures products so that means my team member understand the companys vision and values. I am the leader of the one team in paramount furniture and I applied some time participative leadership while working in a team. It is good leadership style with working in the team on project. For example, When I need some suggestion regarding the project work, I asked to my team member give their own views then after the team members review I put all members views on the project and which idea is good for project, so I going with those ideas. In this way team member work with me and they give lots of ideas about the project work. Â   Â   Â   Some time I working with autocratic leadership. For example, if any team member didnt follow the rules of company so I mark their absent according to the companys handbook. Either if any team member come late daily I mark their absent for first tea break and said to him get out from here now. In this way, all team member will follow the companys rules and they concentrate on the project work, if they concentrate on the work the project will be finish easily in managed time. The work start in paramount furniture at 9oclock and I reach there at 8:30 am and set all the things about the work. I wear companys uniform while working which is showing the health and safety and all members come factory come early and wear proper uniform and all members know about the vision and values of paramount furniture so, all are working hard in factory and making a good products and new customers also. when we start working on the project, my behavior for my team members is like a friend and a family member not like a leader. In this way, all team member feel free and they work very well on the project. Good communication is the big difference between a company with a vision and values statement and a company with a clear sense of vision is that a company with a clear sense of vision to his employees who have very strong alignment with the organizations core values. According to the working style I have made the vision plane for my team members I know it will be good for achieving goals and objectives. With the help of this plan all team member can concentrate on the project and they work according to the vision and values of the company. On the other hand, in the paramount furniture there are different people from different culture who are working and I have to understand all the culture because it is important for me and for companys production. If I understand all peoples culture they apricate with me and doing work properly. In this way, I can motivate the all member easily and terms to achieve the companys goals and objectives. Moving further, first I gave the coaching to all team member about the project and how we can make it fast and easy and manage the time. If we work in a team our behavior should be very friendly and we should treat all team members like a family members. I am the leader so I should know about which members behavior is good or bad and if anybody have a bad behavior its my responsibility to teach them about good behavior in team. For example- there is 2 boys which are in my team they fight every time while the working and they didnt do work properly so one day I called those boys in meeting room and listen their problems. They didnt talk with each other after the meeting I solved their problems. Then I called meeting of team members and ask everyone if anybody have any problem with anybody tell me and I also told about the work in discipline with the team members. Task 2 Section 1 Behavioral expectation I making a gathering meeting of all my team members and give the information what does the vision and values of our company have and what they expected from you, the all vision and values also related with the clients needs, I give the all discussion which should be good at all time for the team members in the project working. I also told about our team rules to all members like- All members should be come factory at a time. Good and positive attitude with other members. Hard working while work in a team or on a task. All worker should be wear proper uniform while working. No mobile phone using while working. Performance agreements After finish the project I made performance agreements for all the members. This agreement shows their Responsibilities, outcomes and Actual performance. Minutes of meeting In the meeting, we decide the problem about the work with all team members and then give the possible solutions for solving the problem also tell about the work process according to the time management. Date- 7-03-2017 Time- 10:00 am to 10:30 am Place- Paramount staff room

Friday, September 20, 2019

Muscular Leg Strength and Sprint Performance Relationship

Muscular Leg Strength and Sprint Performance Relationship 2.0 Muscular Strength vs. Single Sprint Performance Muscular strength is a physiological characteristic thought to facilitate sprint performance, mainly due to the increased ability of the muscle to generate muscular contraction during short-term high intensity activity (Baechle and Earle, 2008). Experts have defined muscular strength as the ability of a muscle or muscle group to exert maximal force against a resistance once, through the full range of motion (Newman et al., 2004). Specifically, literature has deemed the force production capabilities of the legs to be the decisive factor in improving ones ability to sprint (Thorland et al., 1987; Alexander, 1989; Dowson, 1998). For instance, an initial study by Alexander (1989) examined the correlation between leg strength and 100m sprint performance in 23 elite sprinters. For all participants, a significant relationship was found between the two variables. In support, a similar study conducted by Dowson et al. (1998) examined the relationship between leg strength and sprint performanc e in 18 elite male athletes. Again, leg strength was deemed to be a major contributor to ones ability to sprint over shorter distances of 15 and 35m. Although ample studies have investigated the relationship between muscular strength and sprint performance, with several findings recognising strength as a significant facilitator (Thorland et al., 1987; Alexander, 1989; Dowson et al., 1998), a similar investigation by Baker and Nance (1999) deduced that no measure of strength was correlated to either 10m or 40m sprint performance in Rugby League players. Moreover, Cronin and Hansen (2005) examined the relationship between muscular strength and measures of first-step quickness (5-m time), acceleration (10-m time), and maximal speed (30-m time), with all 3 measures of speed proving to be unaffected by muscular strength. It appears that studies examining the relationship between leg strength and sprint performance have produced contradictory conclusions. However more importantly, the investigations discussed above only implemented single sprint trials. Current research has identified that perhaps repeated-sprint efforts reflect a more accurate representation of the intermittent physiological demands of multiple sprint sports, rather than a single sprint (Dawson et al., 1991; Duthie et al., 2006; Oliver et al., 2007). For instance, a study carried out by Dawson et al. (1991) noted that for high intensity efforts of less than 5 seconds such as a 1RM squat or single 40m sprint test, the largest contribution to the energy demands was made by the phosphagen (ATP-CP) energy system. Moreover, Dawson et al. (1991) recognised that the contribution of the glycolytic system in ATP re-synthesis significantly increased when sprint efforts were repeated, which more accurately reflects the physiological demands of intermittent sports. This notion has since received support from other studies examining repeated sprint ability (Newman et al., 2004; Bishop and Edge, 2006). Therefore, although studies have formed contrasting opinions on the effectiveness of leg muscle strength in predicting a single sprint performance (Thorland et al., 1987; Alexander, 1989; Dowson et al., 1998; Baker and Nance, 1999; Cronin and Hansen, 2005), the validity of these investigations appears limited when considering the imprecision of using a single-sprint to assess multiple-sprint sport performers. 2.1 Isokinetic Strength vs. Multi Joint Strength Measures As discussed, it is widely recognised within the literature that RSA is more ecologically valid than a single sprint when assessing team-sport athletes (Dawson et al., 1991; Newman et al., 2004; Duthie et al., 2006; Oliver et al., 2007). Despite this knowledge, the association between muscular leg strength and repeated sprint ability has received scant consideration. However, one investigation by Newman et al. (2004) did specifically examine the relationship between isokinetic knee strength and repeated sprint ability in soccer and rugby players. Newman and colleagues reported that no measure of strength was related to RSA, thus concurring with other similar investigations (Baker and Nance, 1999; Cronin and Hansen, 2005) who albeit implemented single sprint trials. Despite Newman et al. (2004) notions, the methods employed to assess leg strength may have influenced their findings and reduced their validity. For instance, Newman et al. (2004) highlighted that the isokinetic knee exten sion test they implemented was not specific to the conditions and movement patterns performed in the sporting environment. To elaborate, Flint-Wagner et al., 2009 highlighted that isokinetic strength tests generally require participants to be placed in a position that isolates the tested muscle. Specialized apparatus then gives resistance so that no matter how much force is exerted by the participant, movement takes place at a constant speed. Although this method of testing has been established as beneficial during the injury rehabilitation process for testing a specific area or joint movement (Cardone et al., 2004), the validity of the procedure has been has been questioned in able team-sport athletes. For example, research by Duthie et al. (2006) illustrated that during sports performance, seldom does one body part work in isolation at a constant speed. Instead, Newman et al. (2004) and later Duthie et al. (2006) recognised that muscles are required to work synergistically in an i ntegrated and co-ordinated fashion. This indicates that perhaps using a multi-joint strength measure would give a more valid reflection of muscular strength in rugby players, as muscles are required to interdependently. Even so, studies evaluating the effect of leg strength on the ability to sprint have been inclined to implement laboratory based isokinetic strength measures (Adams et al., 1992; Blazevich and Jenkins, 1998; Newman et al., 2004; Kin-Isler et al., 2008). Therefore, a study examining the relationship between a multi-joint strength measure and repeated sprint ability warrants investigation. 2.2 Brief vs. Prolonged Repeated Sprint Ability In addition to the strength measure used, recent studies on RSA have begun to examine the structure of the brief RSA protocols previously implemented (Oliver et al., 2007; Rampinini et al., 2007). To elucidate, a study by Oliver et al. (2007) examined the physiological relationship between brief and prolonged repeated sprint ability protocols. They identified that the participants maximal speed significantly decreased in the latter sets of the brief RSA test, but not in the prolonged test. This suggests that the brief RSA protocol previously employed by Newman et al. (2004) will have influenced the strength/RSA correlation witnessed. For example, Newman and colleagues implemented 20 second recovery periods in the RSA test, less than the half-life of CP re-synthesis (Gaitanos et al., 1993). According to Bishop and Edge (2006) who examined the determinants of RSA in female athletes, a short recovery period between sprints induces the accumulation of H+ ions, causing a reduction in repe ated sprint ability. Therefore, if Newman et al. (2004) had implemented prolonged periods of recovery between sprints (i.e. more than the half-life of CP re-synthesis), the relative contribution of the glycolytic and phosphagen systems will have changed, which would have affected the relationship between muscular leg strength and RSA. This idea was demonstrated by Oliver et al. (2007) who indicated that a relationship between muscular strength and prolonged repeated sprint recovery could be plausible, provided the recovery was long enough for near phosphagen repletion. Furthermore, Oliver et al. (2007) theorised that although brief RSA protocols are accurate for reflecting short intense periods of play, longer periods of recovery between sprints perhaps reflect a more accurate portrayal of the recovery patterns experienced throughout the course of a whole match. This view was endorsed by Bishop and Edge (2006) who stated that a large majority of sprints experienced during intermitte nt sports are separated by rest periods long enough (> 1 min) to allow complete or near complete recovery, over double the amount of rest implemented in the majority of RSA studies (Dawson et al., 1991; Newman et al., 2004; Edge et al., 2006; McGawley and Bishop, 2006; Spencer et al., 2008). Consequently, it appears that the correlation between leg strength and prolonged RSA has yet to be adequately understood, and thus, a study investigating this relationship requires examination. 2.3 Repeated Sprint Ability Protocols In addition to the length of recovery performed, recovery mode has been shown to affect ones performance during repeated sprint exercise, making it a key component of any RSA protocol. Recently, studies have produced contrasting findings in determining whether passive or active recovery is the most beneficial in resisting fatigue. Some studies have proposed that active recovery is superior as blood muscle flow is maintained, which enhances the buffering and removal of hydrogen ions (Bogdanis et al., 1996; Toubekis et al., 2008). Conversely, other studies have indicated that active recovery negatively affects the subsequent sprint performance, by inducing fatigue and slowing the rate of PC resynthesis (Dupont et al., 2003; Spencer et al., 2006). Despite this conflict, time motion analysis has illustrated that phases of recovery in team sports typically involve some sort of active work (i.e. jogging or shuffling into defensive position) (Spencer et al., 2004; Jougla et al. 2009). There fore, active recoveries appear to represent the most valid form of recovery when testing repeated sprint performance in rugby union players. Despite this knowledge, numerous repeated-sprint studies on team sport athletes have implemented passive recovery in their protocols (Bishop et al., 2004; Edge et al., 2006). Another factor that can affect repeated sprint performance is the length of each executed sprint. Previous studies on repeated sprint ability have typically used sprint distances requiring 6 seconds of work to assess their participants (Gaitanos et al., 1993; Dawson et al., 1997; Bishop et al., 2004; Edge et al., 2005). However, Spencer et al. (2004) suggested that shorter sprint durations of 4 seconds provide a more accurate portrayal of the sprint distances typically experienced during team sports. Spencer and colleagues based this notion on their time-motion analysis of RSA patterns in elite field hockey, which is deemed by Spencer et al. (2004) to elicit similar physiological demands to rugby union. In support, other time motion analysis studies by Duthie et al. (2006) and later Deutsch et al. (2007) reported that for all rugby positions, the mean duration of sprints was 2-4 seconds. This suggests that although 6 second sprints have been widely used within the literature, they ma y not be optimal for testing RSA in team sport athletes. This may explain why recent studies on team sport athletes have begun to implement shorter distances of 3-5s in their RSA protocols (Spencer et al., 2006; Oliver et al., 2007; Spencer et al., 2008), rather than the 6 second distances previously employed. Additionally, RSA studies on team sport athletes have typically included 5-10 sprints in their protocols, as this is thought to represent the most accurate depiction of a brief intense period of play (Gaitanos et al., 1993; Dawson et al., 1997; Bishop and Spencer., 2004; Bishop et al., 2004; Edge et al., 2005; Spencer et al., 2006; Oliver et al., 2007; Spencer et al., 2008), shown in table 1. This idea was forwarded by Spencer et al. (2004) who examined the number of repeated sprints executed during a brief intense period of play in elite hockey. A brief intense period of play was defined as a minimum of three high intensity sprints, with a mean recovery duration of less than 21 s. Spencer et al. (2006) findings revealed that the majority of intense phases of play were comprised of 3-7 sprints. Therefore, based on Spencer et al. (2004) findings and the majority of previous RSA studies, 5-10 sprints appear to most accurately represent a short intense period of play in team sports. A further variable to consider when designing RSA protocols is the mode of exercise performed. Although non-motorised treadmills and over-ground sprints provide the most accurate mode of assessing RSA in team sport athletes, they have been sparsely administered within the literature (Spencer et al., 2006; Oliver et al., 2007). In contrast, Table 1 shows that the majority of RSA investigations have implemented cycle ergometers to analyse their participants (Gaitanos et al., 1993; Dawson et al., 1997; Bishop et al., 2004; Bishop and Spencer, 2004; Edge et al., 2005). Recently, experts have questioned the validity of employing cycle ergometry to assess team sport athletes, who primarily execute over-ground sprints in game situations (Fitzimmons et al., 1993; Bishop et al., 2001; Oliver et al., 2007). Therefore, it appears that although cycle ergometers may provide a convenient means for recording muscle biopsies, analysing gas samples and eliminating environmental conditions. For most f ield sports, cycle ergometers provide a poor reflection of the physiological movements typically experienced during a match. Hence, when assessing RSA in team sport athletes such as soccer, hockey and rugby players, the most valid method of assessment appears to be over-ground sprints, as used by Spencer et al. (2008) which is shown in Table 1. 2.4 Explosive Power Although the relationship between muscular leg strength and sprint performance has produced ambiguity within the literature (Thorland et al., 1987; Alexander, 1989; Dowson et al., 1998; Baker and Nance, 1999; Newman et al., 2004; Cronin and Hansen, 2005; Kin-Isler et al., 2008), recent studies have suggested that perhaps explosive power is more of an accurate determinant of sprint performance (Dowson et al., 1998; Hennessy and Kilty, 2001). Explosive power is defined as the maximal force that a muscle or muscle group can generate at high speeds, or (work/time) (Baechle and Earle, 2008). Investigations by Dowson et al. (1998) and Hennessy and Kilty (2001) have tested the effectiveness of explosive power in predicting sprint performance by implementing field based tests such as vertical countermovement jumps. Interestingly, Dowson et al. (1998) identified that the magnitude of force generated during a countermovement jump significantly correlated with the amount of speed an athlete pro duced during a single-sprint performance, indicating that explosive power could potentially be a direct predictor of sprint performance. In support, Hennessy and Kilty (2001) reported a similarly significant relationship between countermovement jumps and sprint performance in female athletes. They attributed this relationship to the stretch-shortening cycle (SSC) witnessed during a countermovement jump. To elaborate, the stretch-shortening cycle was found to mimic the eccentric-concentric contractions of the leg extensor muscles experienced during sprinting, which directly facilitated sprint performance. After reviewing the literature, it appears that studies ascertaining the relationship between explosive power and a single sprint performance have produced consistent results, as well as being valuable in terms of ecological validity (Dowson et al., 1998; Hennessy and Kilty, 2001) compared to such laboratory based strength investigations (Adams et al., 1992; Blazevich and Jenkins, 1 998; Newman et al., 2004; Kin-Isler et al., 2008). However, research has continued to solely focus on the relationship between explosive power and a single sprint, neglecting the opportunity to examine the association between explosive power and repeated-sprint ability, despite research highlighting the specificity of RSA to the patterns of play witnessed during multi-sprint sports (Dawson et al., 1991; Newman et al., 2004; Bishop and Edge, 2006; Duthie et al., 2006; Oliver et al., 2007). Subsequently, an investigation examining the effect of explosive power on brief and prolonged repeated sprint ability appears warranted in order to fully establish explosive power as the most accurate physiological predictor of RSA. Accordingly, the primary aim of current study was to examine the effect of muscular strength on brief and prolonged repeated sprint ability using a multi-joint strength measure. A secondary purpose was to ascertain if explosive power was a more valid determinant of brief and prolonged repeated sprint ability than muscular strength.

Thursday, September 19, 2019

Being Ignominious Will Only Backfire :: essays research papers

Being Ignominious Will Only Backfire   Ã‚  Ã‚  Ã‚  Ã‚  Almost everyone has done something deceptive and had the result backfire. It’s usually to avoid an unfavorable event, when in the long run what was avoided still occurs. Roxy a beautiful one-sixteenth black slave tried the same thing in Pudd’nhead Wilson by switching her infant Chambers with her masters infant Tom. The infants were identical and born on the same day, the only difference was Chambers was considered black. Roxy went through with her plan to avoid her son being sold away from her, either of them going down river, and many other misfortunes that might happen.   Ã‚  Ã‚  Ã‚  Ã‚  When Roxy switched Tom and Chambers the purpose was to not only avoid sending Chambers down river, but also allow him live a life not only as a free man but also a privileged white one with heir to an estate.   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"Tom† grows up to be a coward and barbaric man. He is rude to other people including his real mother Roxy. Through out his childhood he has â€Å"Chambers† fight for him and get him out of his problems. â€Å"Chambers was strong beyond his years, and a good fighter; strong because he was coarsely fed and hard worked about the house, and a good fighter because Tom furnished him plenty of practice- on white boys whom he hated and was afraid of.† (Pg. 42) â€Å"Tom† is rude to other people including his real mother Roxy. He commits robbery on several occasions to make up for the money he lost while gambling. Then, after Roxy became a freed slave â€Å"Tom† sold her down river, and later murdered his uncle, Judge Driscoll, in a robbery attempt.   Ã‚  Ã‚  Ã‚  Ã‚  Pudd’nhead Wilson uses his wit and fingerprinting theory to prove in court that Tom and Chambers were switched at their young age. â€Å"Between the ages of seven months and eight months those children were changed in the cradle.† (Pg. 163) Wilson then also discovered that â€Å"Tom† murdered Judge Driscoll. â€Å"The murderer of your friend and mine- York Driscoll of the generous hard and the kindly spirit- sits in among you. Valet de Chambre, Negro and slave- falsely called Thomas a Becket Driscoll- make upon the window- the fingerprints that will hang you!† (Pg.

Wednesday, September 18, 2019

Horatio: A True Friend of Hamlet Essay -- Shakespeares Hamlet

William Shakespeare’s Hamlet is a tragic play. Most of the characters in the play have selfish motives at heart. Lust, greed, pride, and revenge are just a few sins that are committed in the play. There are few instances within the play that show goodness and kindness. Hamlet has so many people around him trying to bring him down, but he had one friend that was loyal to him, and that was Horatio. The other key characters in the play were only out for their own good. However Horatio was looking out for Hamlet. Unfortunately, Horatio was the only one. Gertrude was Hamlet’s mother. She was a selfish and evil woman. She cheated on Hamlet’s father with Claudius, Hamlet’s uncle. She married Claudius a month after her husband’s death. Gertrude wanted Hamlet to stop his grieving. She told Hamlet, â€Å"thou know’st ‘tis common, all that lives must die, passing through nature to eternity† (I.2.72-73). When Hamlet was depressed and grieving, it reminded Gertrude of the terrible sin she had committed. She wanted Hamlet to be happy just so she could feel better about herself. Throughout the play Gertrude’s motives do not waiver; she looks out for her own well being. Claudius is Hamlet’s uncle and stepfather. He had an affair with Hamlet’s mother and murdered Hamlet’s father. Claudius cared for no one in the play but himself. There were very few happy moment for Hamlet in the play, but one came when he made a play within the play. Hamlet wanted to see the reaction the Claudius had to the scene on the play where they show how the king was murdered. Claudius’ reaction to the scene was astounding. â€Å"Give me some light. Away!†(III.2. 255). Hamlet saw his reaction and knew for sure that Claudius killed his father. Claudius was a horrible uncle ... ...e end. This play is not a typical happy ending type of play. In fact there are very few happy moments in the play. I do not think that Shakespeare intended for someone to walk away with a warm feeling in his or her heart. I am not sure of the real reason he wrote the play and what it was he wanted the audience to learn from it. I learned that revenge is something that can take over your mind and cause someone to do things that they would not normally do. It seems that Shakespeare was trying to teach us to search inside of ourselves and not let the outside world influence us in any way. Maybe he was trying to show us that we all need good friends like Horatio. Works Cited Shakespeare, William. Hamlet. Literature: An Introduction to Reading and Writing. 7th ed.Ed Edgar V. Roberts and Henry E. Jacobs. Upper Saddle River, N.J. Prentice Hall, 2004. 1307-1406

Tuesday, September 17, 2019

Glasgow 5th March

This is a critical essay for Glasgow, 5th March, 1971†², by Edwin Morgan, which is a modern instimatic poem about a shocking crime committed upon a ‘young man and his girl' by ‘two youths' and witnessed by two annonymous expressionless drivers who pass by without even aknowledging the crime. Morgan manages to make us feel as if we are watching this incident happen and effectively conveys the incident in the form it takes, unemotional, detached and ‘formal'. This feeling is fistly shown in the title, which is simply a place and date, the title implies it isn't a poem but some kind of record or headline.In this critical essay I am going to show how the poet Edwin Morgan uses violent and anonymous themes to create a lasting impression with the help of techniques like setting, imagery and word choice. In the first stanza Morgan makes excellent use of imagery and word choice, catching our attention with the words ‘With a ragged diamond, of shattered plate glas s’ This phrase immediately makes the reader think of something sharp, sparkling and dangerously beautiful. When the words diamond and shop window are put together like this we imagine them as small sparkling diamonds.This impression is carried on later in the poem when the writer describes the setting as ‘a sharp clear night' Even though the writer has said nothing of what sort of shop it is we subconsciously imagine a jeweller's shop. This is technique effectively puts the reader at the scene of the crime. In the second verse the poet uses another technique, a metaphor that emphasises the brutality of the attack â€Å"bristling with fragments of glass† This metaphor the could be comparing bristles of hair to the bristles of glass lying on the mans face. It is an effective comparison because it helps the reader imagine all the tiny particles of glass.It shows that poet wants us to recreate the incident as we read, with as much detail as possible. Edwin Morgan als o uses clinical language to describe the injurys to the couple. A key example of that is the phrase, ‘spurts arterial blood' His word choice makes the the scene more violent but also continues to detach the reader from the young victims This successfully describes the scene without showing any emotion from the writer or the victims while still going along with the violent theme. Edwin Morgan uses onomatopoeia when he says the phrases ‘shattered plate glass', ‘bristling with fragments of glass' ‘spurts'.The continuation of the ‘sh' and ‘s' sounds throughout the poem help paint a clearer picture of the crime in the readers head. This technique is successfull as phrases add sound effects to the silent image in the readers head. The writer does not add any emotions, but he does add facial expressions of the characters. About the young man and his girl he says that, â€Å"Their faces show surprise, shock, And the beginnings of pain† This quote i s effectivly emphasises the speed of events this is evident from the writer describing the how the characters are only just beginning to feel the pain when we are reading the third stanza.The couple are also kept anonymous creating one of the main themes of the poem. This use of word choice again doesn't show any emotion while still successfuly describing to the reader what is happening to the victims. Morgan also tells us about the two youths faces with the phrase ‘Their faces show no expression. ‘ This is the main quote that tells us that the two youths have no remorse for what they have done it also leaves the two youths anonymous like the young couple they have just pushed This helps to carry on the anonymous theme through the poem.

Monday, September 16, 2019

Short Notes About Some Point

SIM: A subscriber identity module (SIM) on a removable SIM card securely stores the service-subscriber key (IMSI) used to identify a subscriber on mobile telephony devices (such as mobile phones and computers). A SIM card contains its unique serial number, internationally unique number of the mobile user (IMSI), security authentication and ciphering information, temporary information related to the local network (also temporary local id that has been issued to the user), a list of the services the user has access to and two passwords (PIN for usual use and PUK for unlocking). SIM cards are available in two standard sizes. The first is the size of a credit card (85. 60 mm ? 53. 98 mm x 0. 76 mm). GSM: GSM is stands for Global System for Mobile communication. It is a digital mobile telephony system that is widely used in Asia and other parts of the world. GSM uses a variation of time division multiple access (TDMA) and is the most widely used of the three digital wireless telephony technologies (TDMA, GSM, and CDMA). GSM digitizes and compresses data, then sends it down a channel with two other streams of user data, each in its own time slot. It operates at either the 900 MHz or 1800 MHz frequency band. Mobile services based on GSM technology were first launched in Finland in 1991. Today, more than 690 mobile networks provide GSM services across 213 countries and GSM represents 82. 4% of all global mobile connections. According to GSM World, there are now more than 2 billion GSM mobile phone users worldwide. Since many GSM network operators have roaming agreements with foreign operators, users can often continue to use their mobile phones when they travel to other countries. GSM, together with other technologies, is part of the evolution of wireless mobile telecommunications that includes High-Speed Circuit-Switched Data (HCSD), General Packet Radio System (GPRS), Enhanced Data GSM Environment (EDGE), and Universal Mobile Telecommunications Service (UMTS). GPRS: GPRS (General packet radio service) is a packet oriented mobile data service available to users of the 2G cellular communication systems global system for mobile communications (GSM), as well as in the 3G systems. In 2G systems, GPRS provides data rates of 56-114 kbit/s. GPRS data transfer is typically charged per MB of traffic transferred, while data communication via traditional circuit switching is billed per minute of connection time, independent of whether the user actually is using the capacity or is in an idle state. GPRS is a best-effort packet switched service, as opposed to circuit switching, where a certain quality of service (QoS) is guaranteed during the connection for non-mobile users. 2G cellular systems combined with GPRS are often described as 2. 5G, that is, a technology between the second (2G) and third (3G) generations of mobile telephony. It provides moderate speed data transfer, GSM is the only kind of network where GPRS is in use. GPRS is integrated into GSM Release 97 and newer releases. It was originally standardized by European Telecommunications Standards Institute (ETSI), but now by the 3rd Generation Partnership Project (3GPP). GPRS was developed as a GSM response to the earlier CDPD and i-mode packet switched cellular technologies. W-Lan: A wireless local area network (WLAN) links devices via a wireless distribution method (typically spread-spectrum or OFDM) and usually provides a connection through an access point to the wider internet. This gives users the mobility to move around within a local coverage area and still be connected to the network. Wireless LANs have become popular in the home due to ease of installation and the increasing popularity of laptop computers. Wi-Fi: Wi-Fi (short for â€Å"wireless fidelity†) is a term for certain types of wireless local area network (WLAN) that use specifications in the 802. 11 family. The term Wi-Fi was created by an organization called the Wi-Fi Alliance, which oversees tests that certify product interoperability. A product that passes the alliance tests is given the label â€Å"Wi-Fi certified† (a registered trademark). Originally, Wi-Fi certification was applicable only to products using the 802. 11b standard. Today, Wi-Fi can apply to products that use any 802. 11 standard. The 802. 11 specifications are part of an evolving set of wireless network standards known as the 802. 11 family. The particular specification under which a Wi-Fi network operates is called the â€Å"flavor† of the network. Any entity that has a wireless LAN should use security safeguards such as the Wired Equivalent Privacy (WEP) encryption standard, the more recent Wi-Fi Protected Access (WPA), Internet Protocol Security (IPsec), or a virtual private network (VPN). ALU: An (ALU) Arithmetic Logic Unit is a digital circuit that performs arithmetic and logical operations. The ALU is a fundamental building block of the central processing unit (CPU) of a computer, and even the simplest microprocessors contain one for purposes such as maintaining timers. The processors found inside modern CPUs and graphics processing units (GPUs) accommodate very powerful and very complex ALUs; a single component may contain a number of ALUs. Mathematician John von Neumann proposed the ALU concept in 1945, when he wrote a report on the foundations for a new computer called the EDVAC. REFRESH RATE: The refresh rate (most commonly the â€Å"vertical refresh rate†, â€Å"vertical scan rate† for CRTs) is the number of times in a second that display hardware draws the data. This is distinct from the measure of frame rate in that the refresh rate includes the repeated drawing of identical frames, On CRT displays, increasing the refresh rate decreases flickering, thereby reducing eye strain. However, if a refresh rate is specified that is beyond what is recommended for the display, damage to the display can occur. For computer programs or telemetry, the term is also applied to how frequently a datum is updated with a new external value from another source. RESULATION: The display resolution of a digital television or display device is the number of distinct pixels in each dimension that can be displayed. It can be an ambiguous term especially as the displayed resolution is controlled by all different factors in cathode ray tube (CRT) and flat panel or projection displays using fixed picture-element (pixel) arrays. One use of the term â€Å"display resolution† applies to fixed-pixel-array displays such as plasma display panels (PDPs), liquid crystal displays (LCDs), Digital Light Processing (DLP) projectors, or similar technologies, and is simply the physical number of columns and rows of pixels creating the display (e. g. , 1920? 1200). A consequence of having a fixed grid display is that, for multi-format video inputs, all displays need a â€Å"scaling engine† (a digital video processor that includes a memory array) to match the incoming picture format to the display. PIXEL: A pixel (or picture element) is a single point in a raster image. The pixel is the smallest addressable screen element, it is the smallest unit of picture which can be controlled. Each pixel has its own address. The address of a pixel corresponds to its coordinates. Pixels are normally arranged in a 2-dimensional grid, and are often represented using dots or squares. Each pixel is a sample of an original image, where more samples typically provide more-accurate representations of the original. The intensity of each pixel is variable. In color image systems, a color is typically represented by three or four component intensities such as red, green, and blue, or black. In some contexts (such as descriptions of camera sensors), the term pixel is used to refer to a single scalar element of a multi-component representation (more precisely called a photo site in the camera sensor context, although the neologism sensel is also sometimes used to describe the elements of a digital camera's sensor),[2] while in others the term may refer to the entire set of such component intensities for a spatial position. In color systems that use chrome sub sampling, the multi-component concept of a pixel can become difficult to apply, since the intensity measures for the different color components correspond to different spatial areas in such a representation. The word pixel is based on a contraction of pix (â€Å"pictures†) and el (for â€Å"element†); similar formations with el for â€Å"element† include the words: voxel and texel. SCAN-PORT: A port scanner is a software application designed to probe a network host for open ports. This is often used by administrators to verify security policies of their networks and by attackers to identify running services on a host with the view to compromise it. To portscan a host is to scan for listening ports on a single target host. To port sweep is to scan multiple hosts for a specific listening port. The latter is typically used in searching for a specific service, for example, an SQL-based computer worm may port sweep looking for hosts listening on TCP port 1433. HTTP : Hypertext Transfer Protocol Secure (HTTPS) is a combination of the Hypertext Transfer Protocol with the SSL/TLS protocol to provide encryption and secure (website security testing) identification of the server. HTTPS connections are often used for payment transactions on the World Wide Web and for sensitive transactions in corporate information systems. HTTP is a request-response standard typical of client-server computing. In HTTP, web browsers or spiders typically act as clients, while an application running on the computer hosting the web site acts as a server. The client, which submits HTTP requests, is also referred to as the user agent. The responding server, which stores or creates resources such as HTML files and images, may be called the origin server. In between the user agent and origin server may be several intermediaries, such as proxies, gateways, and tunnels. SEARCH ENGINE : A program that searches documents for specified keywords and returns a list of the documents where the keywords were found. Although earch engine is really a general class of programs, the term is often used to specifically describe systems like Google, Alta Vista and Excite that enable users to search for documents on the World Wide Web and USENET newsgroups. Typically, a search engine works by sending out a spider to fetch as many documents as possible. Another program, called an indexer, then reads these documents and creates an index based on the words contained in each document. Each search engine uses a proprietary algorithm to create its indices such that, ideally, only meaningful results are returned for each query. RTAP : Short for Real Time Streaming Protocol, a standard for controlling streaming data over the World Wide Web. Like H. 323, RTSP uses RTP (Real-Time Transport Protocol) to format packets of multimedia content. But whereas H. 323 is designed for videoconferencing of moderately-sized groups, RTSP is designed to efficiently broadcast audio-visual data to large groups. RTSP grew out of work done by Columbia University, Netscape and Real Networks. RSVP : R. S. V. P. stands for a French phrase, â€Å"repondez, s'il vous plait,† which means â€Å"please reply. The person sending the invitation would like you to tell him or her whether you accept or decline the invitation. That is, will you be coming to the event or not? Etiquette rules followed in most Western cultures require that if you receive a formal, written invitation, you should reply promptly, perhaps that same day. For hosts who are planning a dinner party, a wedding or a reception, this is important from a practical po int of view, because they need to know how many people to count on and how much food and drink to buy. More important, though, is the simple courtesy of responding to someone who was nice enough to invite you, even if it is to say that you regret that you will not be able to attend. APPLICATION SERVER : Short for Domain Name System (or Service or Server), an Internet service that translates domain names into IP addresses. Because domain names are alphabetic, they're easier to remember. The Internet however, is really based on IP addresses. Every time you use a domain name, therefore, a DNS service must translate the name into the corresponding IP address. For example, the domain name www. example. com might translate to 198. 105. 232. 4. The DNS system is, in fact, its own network. If one DNS server doesn't know how to translate a particular domain name, it asks another one, and so on, until the correct IP address is returned. MAIL-SERVER : A mail server is a computer that serves as an electronic post office for email. Mail exchanged across networks is passed between mail servers that run specially designed software. This software is built around agreed-upon, standardized protocols for handling mail messages, the graphics they might contain, and attachment files. Internet Service Providers (ISPs) each have a mail server for handling their clients’ mail messages, sometimes referred to as private mail servers. Some websites also offer public email services, utilizing their own mail servers. DNS: The Domain Name System (DNS) is a hierarchical naming system for computers, services, or any resource connected to the Internet or a private network. It associates various information with domain names assigned to each of the participants. Most importantly, it translates domain names meaningful to humans into the numerical (binary) identifiers associated with networking equipment for the purpose of locating and addressing these devices worldwide. An often-used analogy to explain the Domain Name System is that it serves as the â€Å"phone book† for the Internet by translating human-friendly computer hostnames into IP addresses. For example, www. example. com translates to 192. . 32. 10. The Domain Name System makes it possible to assign domain names to groups of Internet users in a meaningful way, independent of each user's physical location. Because of this, World Wide Web (WWW) hyperlinks and Internet contact information can remain consistent and constant even if the current Internet routing arrangements change or the participant uses a mobile device. Internet domain names are easier to remember than IP addresses such as 2 08. 77. 188. 166 (IPv4) or 2001:db8:1f70::999:de8:7648:6e8 (IPv6). The Domain Name System distributes the responsibility of assigning domain names and mapping those names to IP addresses by designating authoritative name servers for each domain. Authoritative name servers are assigned to be responsible for their particular domains, and in turn can assign other authoritative name servers for their sub-domains. This mechanism has made the DNS distributed and fault tolerant and has helped avoid the need for a single central register to be continually consulted and updated. In general, the Domain Name System also tores other types of information, such as the list of mail servers that accept email for a given Internet domain. By providing a worldwide, distributed keyword-based redirection service, the Domain Name System is an essential component of the functionality of the Internet. Other identifiers such as RFID tags, UPC codes, International characters in email addresses and host names, and a variety of other identifiers could all potentially utilize D NS. The Domain Name System also defines the technical underpinnings of the functionality of this database service. For this purpose it defines the DNS protocol, a detailed specification of the data structures and communication exchanges used in DNS, as part of the Internet Protocol Suite (TCP/IP). Symbian OS: Symbian OS is an operating system (OS) designed for mobile devices and smart phones, with associated libraries, user interface, frameworks and reference implementations of common tools, originally developed by Symbian Ltd. It was a descendant of Psion's EPOC and runs exclusively on ARM processors, although an unreleased x86 port existed. In 2008, the former Symbian Software Limited was acquired by Nokia and a new independent non-profit organisation called the Symbian Foundation was established. Symbian OS and its associated user interfaces S60, UIQ and MOAP(S) were contributed by their owners to the foundation with the objective of creating the Symbian platform as a royalty-free, open source software. The platform has been designated as the successor to Symbian OS, following the official launch of the Symbian Foundation in April 2009. The Symbian platform was officially made available as open source code in February 2010. Devices based on Symbian OS account for 46. 9% of smartphone sales, making it the world's most popular mobile operating system. DE-MORGAN: The law is named after Augustus De Morgan (1806–1871)[3] who introduced a formal version of the laws to classical propositional logic. De Morgan's formulation was influenced by algebraization of logic undertaken by George Boole, which later cemented De Morgan's claim to the find. In formal logic, De Morgan's laws are rules relating the logical operators â€Å"and† and â€Å"or† in terms of each other via negation, namely: NOT (P OR Q) = (NOT P) AND (NOT Q) NOT (P AND Q) = (NOT P) OR (NOT Q) EBCDIC: Extended Binary Coded Decimal Interchange Code (EBCDIC) is an 8-bit character encoding (code page) used on IBM mainframe operating systems such as z/OS, OS/390, VM and VSE, as well as IBM midrange computer operating systems such as OS/400 and i5/OS (see also Binary Coded Decimal). It is also employed on various non-IBM platforms such as Fujitsu-Siemens' BS2000/OSD, HP MPE/iX, and Unisys MCP. EBCDIC descended from the code used with punched cards and the corresponding six bit binary-coded decimal code used with most of IBM's computer peripherals of the late 1950s and early 1960s. ASCII: Acronym for the American Standard Code for Information Interchange. Pronounced ask-ee, ASCII is a code for representing English characters as numbers, with each letter assigned a number from 0 to 127. For example, the ASCII code for uppercase M is 77. Most computers use ASCII codes to represent text, which makes it possible to transfer data from one computer to another. UNICODE: Unicode is a computing industry standard for the consistent representation and manipulation of text expressed in most of the world's writing systems. Developed in conjunction with the Universal Character Set standard and published in book form as The Unicode Standard, the latest version of Unicode consists of a repertoire of more than 107,000 characters covering 90 scripts, a set of code charts for visual reference, an encoding methodology and set of standard character encodings, an enumeration of character properties such as upper and lower case, a set of reference data computer files, and a number of related items, such as character properties, rules for normalization, decomposition, collation, rendering, and bidirectional display order (for the correct display of text containing both right-to-left scripts, such as Arabic or Hebrew, and left-to-right scripts). The Unicode Consortium, the nonprofit organization that coordinates Unicode's development, has the ambitious goal of eventually replacing existing character encoding schemes with Unicode and its standard Unicode Transformation Format (UTF) schemes, as many of the existing schemes are limited in size and scope and are incompatible with multilingual environments. Unicode's success at unifying character sets has led to its widespread and predominant use in the internationalization and localization of computer software. The standard has been implemented in many recent technologies, including XML, the Java programming language, the Microsoft . NET Framework, and modern operating systems. Unicode can be implemented by different character encodings. The most commonly used encodings are UTF-8 (which uses one byte for any ASCII characters, which have the same code values in both UTF-8 and ASCII encoding, and up to four bytes for other characters), the now-obsolete UCS-2 (which uses two bytes for each character but cannot encode every character in the current Unicode standard), and UTF-16 (which extends UCS-2 to handle code points beyond the scope of UCS-2).