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Area Women And Intimate Activities Essay Help From Professional Writers

6 Area Women Are Not Permitted Touched Couple

Does your partner often say “do not touch!” every time you want to start a more intimate activities? No need to worry, she has always had certain times that do not want to be touched couples.


Well, for the men would have to know when a woman does not want to be touched in certain parts. Do not be, just as insensitive, you and your partner a big fight. Therefore, consider the followings as quoted from The Stir by cafemom.


Hilt

When a woman is breastfeeding or are menstruating, the nipple is the most uncomfortable part. Therefore, avoid touching the area.

Square Feet

Women who have not shaving or waxing on the legs, they often feel fear you will think of slovenly or lazy to shave legs smooth.

Vagina

After completing daily activities, women tend to be shy and do not allow the pair to touch their sex organs. Not only are confident, that women do not feel comfortable having sex before a shower or before cleaning the body first.


The Hair

Well, for this one almost all women always do. Women always feel more confident when it came out of the salon and do not want beautiful hair after treatment damaged by touch or caress your partner.


Stomach

After eating, the stomach will feel satisfied and full. At this time the woman was not like being touched in the stomach.

Any part, when sweating

Many women feel uncomfortable when sweating after exercise or engage in activities that exhausting. It causes they do not want to be touched by her partner.


Of course there is always the


Use Of An Infected Link And Security Threats college essay help service

Internet Security

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Internet Security

Jon Chaney

COM/156

October 13, 2013

Paula Baggiani

Internet Security

Even though the threats are made faster than a prevention method or solution, it is vital to programs and computers to be kept up-to-date on security threats on both the computer users end, as well as the Internet servers. The Internet is a perfect place to find any information a person could want to know from the convenience of their home, but with this comes a risk not only to the computer itself, but also the information stored on and sent from the computer. These attacks are constantly updated to programs that prevent these attacks from occurring. Defenses for these attacks are on two major factors, personal security options and Internet server security implications. Each of these components helps ensure the integrity and privacy of the information stored on the computer and sent from the computer from the threats present on the Internet. There is a wide variety of threats present at any given moment on the Internet. And according to Niblett (2012) “So-called advanced persistent threats (APT), or continued state of ignorance (CSI), will continue. These are large-scale compromises, over a long period of time, possibly state-sponsored or condoned, aimed at extracting commercially or personally sensitive information from the targets.” One common method used is a targeted attack. This form of attack includes malware, spyware, and phishing attempts in order to obtain information from the computer or the computer user (Niblett, 2012). The information gained from phishing attacks can be used to compromise the security of a website or program by falsely asking for the user name and password be entered in to a site that is not legitimate, which results in a person having access to that account other than the intended user. Malware attacks are the method used to entice the use of an infected link that looks like it leads to a legitimate site and begins to attempt to obtain the persons e-mail, which can then be flooded with spam (Niblett, 2012). Next is spyware attacks, such as key loggers that collects every keystroke up to a certain number of strokes, pose a large threat to the integrity and security of the information stored and sent from a computer connected to the Internet, due to the attackers ability to upload all the keystrokes made on the computer, which can then be used to find usernames and passwords for accounts. The next main group of threats is called mass attacks which target vulnerabilities in popular software gaining full unrestricted access to information within, and the use of cracked software to spread viruses (Niblett, 2012). These attacks use what is called a “backdoor” in the programming. The backdoor is a flaw in the program that allows access that would otherwise be restricted. A recent example of a Mass attack would be the attack on the PlayStation Network in April of 2011. That attack compromised millions of email account information, along with other financial and personal information from the networks database.


To reduce the threat from an attack there are things that a computer user can do including keeping all software up-to-date, use of a firewall, and the use of proper security software. It is common knowledge that any out-of-date software is not going to be as secure as it should be, but this is often overlooked by some users increasing the threat of a successful attack. Enabling the automatic update option is an excellent solution to ensure the maximum benefit from protection software. Next according to Oppliger (1997) “A firewall builds a blockade between an internal network that is assumed to be secure and trusted, and another network, usually an external (inter) network, such as the internet, that is not assumed to be secure and trusted.” (p. 94). Larger network operators also have an additional security option available a standardized user-level authentication Dial-In User Service (RADIUS) has been implemented for editing packet filters (Oppliger, 1997). Furthermore using the proper security software is vital to ensure the best level of security. It is best to have at least an antivirus, malware, and cleaner software installed and ran on a schedule that fits in with the amount of use the


Nuclear Power Plant And Chernobyl Nuclear Disaster summary and response essay help: summary and response essay help

Chernobyl – What Is Chernobyl?Essay Preview: Chernobyl – What Is Chernobyl?Report this essayChernobylAs we know it, the Chernobyl Nuclear disaster has been the worst nuclear explosion in history. The explosion let off so many radioactive particles that millions of acres of farmland were contaminated and many of thousands of people were evacuated. Many stayed in the contaminated areas also. Farm animals were coming out with deformities and among humans several thousands of radiation induced illnesses and cancers were being detected. Though many of actions were eventually taking place to make sure it wouldnt get any worse, they were still finding out that the problem was way worse than originally expected. This research will help you know more about Chernobyl, its history, and the effects of radiation.


Chernobyl — How to save your children. Essay Preview: Chernobyl &# 8212; How to Save Your Children.An in depth look at the Chernobyl nuclear disaster.The tragedy exposed us to so many horrible things, such as nuclear power plants that produced a horrible amount of radiation, massive environmental problems, and many other terrible events. Unfortunately, our civilization is failing people, and so we’ve created a lot of fear. This is what you should look for! You find what you don’t want, you’re given that option and have a few options available to you. You are given that option that you can take, and when you want to go, you just make a choice. You’re given that choice in the choice of what to do with your child and your child’s health. This means you are given that choice in that decision that’s to be made. If you choose the option of going the other way, you will only be able to leave that side to die. If you do choose an option that is more convenient, such as a safe and dignified life. If you choose to go the other way, if you leave that side, you will be forced out of the country. If you refuse, and it would mean losing everything to go down in history, or if you choose to stay in China, that country is gonna be devastated! There are options, and these choices are very effective and effective for any family you are exposed to. Each of these choices have their pros and cons in it. What are your choices that they serve you? What options do they have? Why do you choose these types of choices? What is the best option that you have? What can you use it for?


Chernobyl ― Your Dad is on a Mission to the Moon


Chernobyl has saved my childhood! The story of how in 1986 Chernobyl saved my life


Movies:>


Chernobyl ‖ The Worst Nuclear Test in Human History


Chernobyl ‖ The Worst Nuclear Test in Human History


An American and Japanese team of Japanese experts who investigated the nuclear disaster created a video that brought together the most interesting videos of all time. We didn’t just cover one specific kind of accident, we covered thousands of other things which happened in the past decades. And of course for years we have been told people don’t remember the disaster. You don’t understand what happened, you don’t remember


What is Chernobyl?On April 26, 1986, many residents of Pripyat, a small town in the Ukranian Republic woke up to what they thought was just an ordinary morning. What they didnt know was that all of the air they were breathing in was highly radioactive. The nuclear power plant that was known as Chernobyl was said to be extremely safe, so though the residents saw smoke and fire they werent to worried. They didnt know how wrong they were though. Apparently, around 1:30 a.m. at least two powerful explosions had taken place and ripped open the fourth reactor unit.


After the chaos of the first few hours the plant workers had no idea how much of the radiation they were absorbing. They were equipped with dosimeters which are devices that measured their personal radiation levels. To put the accident into perspective, incidental radiation exposure that we would get from solar cosmic rays, rocks and soil, and also x-ray treatments only totals less than 400 millirens a year. The radiation dose per hour during the explosion was at least 2,500 times that amount. The dosimeters that they had were only to sense low levels of radiation, the ones that they really needed that sensed the high levels were lost in the explosion. People were rapidly becoming nauseous, faint, and strangely excited. The engineers and deputy chief of operations of the plant were still under the belief that the plant was still intact. Although, anyone that had worked at the plant should have been familiar with the symptoms of radiation poisoning and known that was the case.


Soon, people started to realize that all of the talk of their being nothing wrong was terribly off. They were finally starting to realize that it was all a cover up. Fires still began to burn in and around the plant while firefighters worked for hours to keep them under control. All of the workers were becoming more sick and unable to work. The doctor that was seeing most of the initial patients name was Dr. Belokon. He observed many of the initial medical problems. He also observed that the accident was going to affect more land, water, and air then anyone could have imagined. Chernobyls story is filled with a lot of overconfidence, unpreparedness, and disregard. The Soviet Union acted as though the huge radioactive cloud was just going to go away and wouldnt touch any other towns. They would soon find out that wasnt the case.


Permanent “Dirty War” (Dw. Coles)


After the Chernobyl meltdown, some 50,000 people lost and about 8,000 left the area. The largest wave was to the southeast, mostly on the island of Kyiv. It is no exaggeration that there are today about one million people in the Ukraine, 1.5 million of whom live in regions that have experienced Chernobyl and most of the others have died. These areas were the home of many scientists, technicians, and engineers. At the end of 2007, over 400 scientists from 50 years ago, including three Nobel Prize-winning scientists, were killed when their cars were damaged by a fallout from the bomb. There were also several large blasts at Fukushima in the area of the Chernobyl accident. Since the disaster, they are still going door-to-door about the plant, often by train coming from the nearby Fukushima nuclear power plant.


The biggest fallout occurred in December of 2005. The air blast caused a huge drop in radiation levels. However, the air-harvesting plant was still operating but there was no radiation contamination of the reactor waste. When the air-harvesting plant was no longer operating, two reactor components were sent to the Japanese Fukushima Daiichi nuclear plant in Japan for reclamation. However, the radioactive waste was being released out of the reactors to a large extent as a result of these two reactors. The result was to cause a massive buildup of high levels at the Fukushima nuclear power plant along with a large number of radioactive particles from the air-harvesting. Even the most cautious of scientists were shocked to see an extremely large fall in radioactive levels with similar magnitude to the last time they could tell. This phenomenon had been called DAW: The Great Explosion. The radioactive particle from the air-harvesting came from another plant that still operated and this time, there was no nuclear contamination but people were just as safe.


People’s lives, once they start noticing that there was a nuclear radiation increase and that we’re not seeing any more radioactive particles coming into the atmosphere during the days of the nuclear meltdown, are being completely destroyed from both economic and human health impacts. There is something called a nuclear bomb. It is one of the most powerful nuclear weapons ever invented. This nuclear bomb can hit as high winds and as fast as 5 m/s.


Some researchers believe that a nuclear warhead contains an energy equivalent to about 100,000 of today’s hydrogen peroxide.


Despite a lot of talk about the Chernobyl accident and the Fukushima disaster, this information has been misinterpreted and given credence to the myths of “dirty war” that persist in the United States of America. Scientists who had studied this type of event and who have done extensive research in this area have concluded that an atmospheric gas cloud will not produce an electrical current that could be heard if an aircraft were launched by a large nuclear bomb. Many scientific papers have claimed that the event of the Chernobyl accident did not occur. The only serious scientific controversy is one involving plutonium contamination of nuclear fission reactions. The question of the nature of the energy of the blast depends in part on the nature


What were the S/E diseases?The surrounding area of Chernobyl turned into nothing but a huge laboratory for the darkest experiments. The most important was a long term study of how radiation affected the human body and how people absorb it. The five basic paths are external exposure, inhalation of radioactive particles, radiation burns to the skin, contact with radioactive material on the ground, and ingestion of contaminated food or drinks. People involved in the Chernobyl accident absorbed radiation through all five paths.


Chernobyl emitted radiation in the form of alpha, beta, and gamma rays. Alpha is not able to penetrate the flesh; instead you get it from ingestion. Beta on the other hand can penetrate flesh and cause burns. Here, a


Fourier Transform Property And Time T compare and contrast essay help

Signals, Spectra, and Signal Processing

Topic: Signals, Spectra, and Signal Processing1.Which characteristic of a signal provides a measure of the extent of significant spectral content of the signal for positive frequencies?Ans: bandwidth2. A ______ is a frequency-selective device that is used to limit the spectrum of a signal to some specified band of frequenciesAns: filter3. Which is not a method of data compression?Ans: Winzip4. All of these are IIR Filter design techniques exceptAns: Frequency sampling5. A ______ is a function that is defined for all time t contained in some interval on the real lineAns: continuous-time (CT) signal6. Convolution relates three signals: the input signal, the output signal, and the ______.Ans: impulse response7. What are the FIR Filter advantages?They can have exactly linear phaseThey are always stableStartup transients are finite in durationAll of these  (Correct Answer)8. A ______ is any process that produces an output signal in response to an input signalAns: system9. ______ defines the distribution of energy or power per unit bandwidth as a function of frequency.Ans: spectral density10. An impulse signal in the time domain is represented as a _______ in the frequency domainAns: dc signal11. This is a requirement for linearityhomogeneity  additivityshift invarianceall of these  (Correct Answer)12. What are the IIR Filter advantages?Lower order for same specs  Lower group delayLess arithmetic involvedAll of these  (Correct Answer)13. All of these are FIR Filter design techniques except: Windowing  Modeling of desired impulse response  (Correct Answer)Equiripple or Minimax DesignLeast squares14. ______ is a compression standard for digital video sequences, such as used in computer video and digital television networksAns: MPEG15. This Fourier Transform property states that if a function v(t) is shifted in the positive direction by an amount t0, the effect is equivalent to multiplying its Fourier transform V(f) by the factor exp(-j2 * pi * ft0).Ans: Time shifting


Adverse Health Effects And Biological Hazard admission essay help: admission essay help

Hazard

Hazard is any source of potential damage, harm or adverse health effects on something or someone under certain conditions at work. You deal with hazards in your life every day walking across busy streets, driving and playing sports. Risk is the chance or probability that a person will be harmed or experience an adverse health effect if exposed to a hazard. It may also apply to situations with property or equipment loss. The level of risk is often categorised upon the potential harm or adverse health effect that the hazard may cause.Example: A medicine could be described as a hazard if it has the potential to cause harm. However, the risk of that harm may be very small provided effective controls/measures are in place. If a patient could suffer harm as a result of taking the medicine, the chance of the harm occurring at a given harshness may be described as a clinical risk. If harm resulted from taking the medicine and the harm was not expected this would be a patient safety incident.[pic 1]There are four main type of hazards. They are:


Physical hazard: Physical hazards commonly found in any places we go that includes harm in body due to environmental things. Slip and fall hazards are a concern in almost any workplace, but a hospital environment, in which the atmosphere is unpredictable and often fast-paced, can be especially worrying. That can be cause due to wet floors, including floors contaminated with water, grease or food or bad lightening. Example: electric hazard, needles, broken glasses, spill on floor, high exposure to sunlight/ultraviolet rays, heat or cold, etc. [pic 2]Chemical hazard: Chemical hazards include skin irritants or respiratory sensitizers that have an adverse effect on a workers health as a result of direct contact with or exposure to the chemical, usually through inhalation, skin contact or ingestion. Hazardous chemicals may present an immediate or long term risk to human health through their toxicological properties, or a risk to safety of persons and property. For example: liquids like cleaning products, paints, acids, solvents especially chemicals in an unlabelled container. [pic 3]Biological hazard: Biological hazards are organic substances that pose a threat to the health of humans and other living organisms. Biological hazards include pathogenic micro-organisms, viruses, toxins (from biological sources), spores, fungi and bio-active substances. Biological hazards can also be considered to include biological vectors or transmitters of disease. For example, workers in health care professions are exposed to biological hazards via contact with human bodily matter, such as blood, tissues, saliva, mucous, urine and faeces, because these substances have a high risk of containing viral or bacterial diseases. [pic 4]Social hazard: Social hazard is the harm that one society or part of a society may do to another. Social hazards are related to discrimination, technological changes, malfunctioning equipment, downsizing, overwork, understaffing, and violence, dependent and demanding patients, and patient deaths. All of these factors contribute to stress, fatigue, anger, frustration and the feeling of being isolated and powerless. Example: abuse, bullying, overtime work, dissatisfaction in work, etc.[pic 5]It’s important to keep in mind that while there are a lot of potential hazards in hospitals, there are also regulations and recommendations in place to protect. Hazardous substance can cause long-term and short term health problems. A cleaner splashing bleach on their skin could cause a burn or inflammation, which will have little long-term effect in most cases. However, a splash in the eye could cause permanent damage to their sight.References


Type Of Needs And Basic Needs college admissions essay help: college admissions essay help

Managerial Skills Notes – Self-Concept, Motivation and Self-Esteem

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Managerial Skills notes

Self-Concept, Motivation and Self-esteem

Self esteem is your opinion of yourself. High self esteem is a good opinion of yourself and low self esteem is a bad opinion of yourself. Self esteem depends on many questions: Is your job worthwhile? Do others respect what you do? Do you believe you are successful?


How you see yourself. This may be how you see yourself physically or your opinion of who and what you are which is normally called self concept. It is important as it affects your self esteem and confidence. What do you think of your social status? How do you relate to others? Can you make your own decisions? A lack of choices leads to low self esteem.


Self image includes: What you think you look like? How you see your personality? What kind of person you think you are? What you believe others think of you? How much you like yourself or you think others like you? And The status you feel you have


Motivation

Maslows and Herzbergs theories, which are content theories, have been very important in understanding satisfaction by describing the level and type of needs associated with the behaviors that demonstrate satisfaction. Process theories are equally important for forming and elucidating understandings of satisfaction, but they do not seem as compelling to this author as the theories of motivation suggested by Maslow and Herzberg. Maslow believed that humans aspire to self-actualized states. He further identified five basic needs that motivate individuals: psychological, safety, love or belongingness, esteem, and self-actualization. Maslow stated, “human needs arrange themselves in hierarchies of prepotency. That is to say, the appearance of one need usually rests on the prior satisfaction of another more proponent need. Man is a perpetually wanting animal. Also, no need or drive can be treated as if it were isolated or discrete; every drive is related to the state of satisfaction or dissatisfaction of drives.” Basic needs were highlighted by Maslow, with 5 being the lowest-order need and 1 being the highest-order need. Maslows Hierarchy of Needs 1. Self-actualization 2. Esteem 3. Love or belongingness 4. Safety 5. Physiological. Maslow also suggested that satisfied needs are not motivators, as according to him, as lower-levels needs are satisfied, they no longer drive behavior, and, consequently, higher-order needs take over as the motivating force. Maslows need theory is typically described and illustrated as a vertical scale or a pyramid. This makes the theoretical framework useful as means for measuring some type of satisfaction, particularly job satisfaction. In fact, of the concept of satisfaction is meaningless unless there is some form of measuring or recognizing it. Since needs explain behavior, and behavior reflects attitude, the


Drug Addict And Whole Life write my essay help

Is It Better to Have Lived as a Drug Addict and Then See the Light, or Is It Better to Have Lived in the Light Your Whole Life?

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Is It Better to Have Lived as a Drug Addict and Then See The Light, or Is It Better To Have Lived in the Light Your Whole Life?

It is better to have lived as a drug addict on the dark side of life because this unprecedented life experience is invaluable to living a genuine, humble, and fulfilling life. The lessons learned in this lifestyle offer insight to revealing one’s true self through a recovery program, which leads to a genuine happiness. Substance abuse leads to an inevitable “rock bottom,” bringing the addict out of denial, resulting in the entrance to a recovery program where he learns how to live a drug-free, productive life. Many people successfully re-enter society and become prominent citizens who enhance people’s lives throughout the community. Many people have successfully overcome addiction to live a satisfying life. Statistics show that a rising number of Americans struggle with substance abuse and have a higher success rate of overcoming their addictions while attending a self-help group accompanied by fellow recovering addicts.


First of all, life as a drug addict takes a person through hell on Earth. An individual does not wake up one morning and decide to become addicted to drugs. The addiction is normally preceded by traumatic events during childhood leading to the use of drugs to dull the pain. Drug use is always a symptom of a deep underlying issue an individual failed to deal with. “Recently Kemp, in a number of papers, has sought to provide a more comprehensive description of addiction. He describes that addiction often arises through a pursuit of pleasure, or to reduce pain” (Kemp 2009a). It starts as recreational use on the weekends, and as tolerance builds up, more of the drugs are needed to achieve the same feeling of euphoria. After a short time period of using regularly, an addiction is acquired. An addict will choose his drug of choice over family, career, and even his own well-being. By this time, the person has resorted to committing crimes to support his habit, has been to jail numerous times, and is in denial about the severity of his problem. This is a vicious combination of feelings: pain, happiness, void, withdrawal, and depression, which are experienced every time an addict gets high and comes down from that high. Although this type of life sounds unbearable and excruciating, the addict will benefit greatly from this unparalleled experience. The turning point for most addicts is “rock bottom:” “Recovery has also been described as often starting from a crisis described as ‘rock bottom’. Kemp (2013) has described this in existential terms, where it is argued that that rock bottom is an ‘event of truth’, a point where the addict can no longer deny the nature of their existence” (Kemp and Butler 1). This life of insanity continues until “rock bottom” is reached, this is also known as an “event of truth.” Consequently, Substance abuse leads to an inevitable “rock bottom” where the addict reaches a point in his addiction where he can no longer deny that he has a problem and he needs help, which results in entry to a recovery program.


While working through the treatment program, “a discovery of one’s self” occurs. This is when a person faces the truth about himself and what pain he is trying to escape by using drugs. Addicts are encouraged to work the 12 steps of recovery because it has proved effective in maintaining long term sobriety. “The 12 steps of recovery of Alcoholics Anonymous and Narcotics Anonymous link people with similar problems and help them recover, which is living comfortably one day at a time without using substances” (Wargo 1). These steps to recovery provide a step by step system for the addict to successfully face the reality of who he is, and through working these steps, he finds freedom from his addiction through a spiritual experience. In Warlo’s interview, Dr. Pohl states, “There is no easy solution to this problem. It’s complicated and involves some fundamental shifts in attitude and outlook upon the purpose in life. It takes a lot of energy and commitment, courage. It doesn’t come easy” (Wargo 1). Drug addiction is not something that is simply healed through this 12 step process. It requires a life-long commitment of waging war against one’s inner demons and regular attendance to some sort of self-help group. It is in these self-help groups that the addict has the best opportunity to enrich others’ lives by sharing his testimony. A result of a study on self-help groups shows, “Many participants described how sharing experiences and knowledge enabled them to start rebuilding their lives” (Seebohm 1). Addicts often find hope in religion for a brighter future. They become highly involved with a church and volunteer often for projects and discipleship opportunities. Having experienced firsthand many of the struggles that our low income population faces, addicts are able to connect with individuals on a personal basis. This rewarding experience results in an indescribable feeling within the heart that transforms into the constant desire to help as many people as possible. The greatest benefit of living a changed life is watching and being a part of others’ lives as they are transformed.


Notably, many people successfully transition from drug addicts to upstanding citizens living outstanding and rewarding lives. For example, Robert Downey Jr. is a well-known actor who struggles with drug addiction:


You probably remember his career interruptions from tabloid headlines. In 1996, cops found cocaine, crack, heroin and an unloaded .357 Magnum in his black Ford Explorer. There was the “Goldilocks Incident,” where a drug fugue caused Downey to walk into the Malibu home of strangers and fall asleep alone in the bed of an 11-year-old girl. He later served six months in Los Angeles County jail and nearly a year at the California Substance Abuse Treatment Facility and State Prison, Corcoran. (Weiss 1)


Downey clearly has an addiction to drugs which negatively impacted his life causing a tornado-like effect to his career and personal life. He lost multiple acting jobs as well as his wife because of the addiction. Despite Downey’s numerous failed attempts at recovery from drug addiction, in 2001, Downey made the decision to check himself into rehab which


Robert Frost And Essay Robert Frost cheap essay help: cheap essay help

Robert Frost: Life and PoetryJoin now to read essay Robert Frost: Life and PoetryOne of America’s most popular poets, Robert Frost, achieved major recognition and reached the widest possible audience. His direct and easy to read poems make him one of the most recognized poets in the country. Robert Frost has the ability to make his poems accessible to anyone reading them. His use of everyday vernacular and traditional form of poetry makes it easy for readers, but understanding them is a different story. Robert Frost’s poems are very connotative in nature, making them very profound to read. One reason for this is his nomadic behavior. Frost lived in various places throughout his life. The majority of his poetry is about travel and the experiences he had.



Robert Frost: Daring. Live. Be. HumanHe was born in 1903 in Washington, D.C., a small town with more than one hundred residents. One day when he and two of his brothers, Michael and Richard, went to a local tavern where they had learned to play guitar. The brothers began to play and when they were ready to start playing, Michael walked across the street and took a note of how he wanted to play. He played so perfectly, Michael felt he should just take the note as well, so Robert decided to continue, learning the guitar with Michael. The next day, August 15th, Michael and Richard returned to Washington for school. They started learning in St. Petersburg and moved to a small town, named Cuyahoga, about three miles on the north shore of Lake Erie. After a few more long days of intensive study, they landed in Cuyahoga, the country’s most beautiful fishing village, where they learned to play the violin and, after a great deal of hard work, they came to be known as “The Dead Poets.” In this sense, Robert remained unknown among the nation and the people there; in fact, in most of his poems he was known as the “Dead Pig Poet.” Robert worked as a small printer, writing poetry and sketches on blackboard. He also wrote poems and, as he wrote, he had many different occupations, most of which were written in English while also being known professionally as such. The only exception was to be a painter or for writing a book, he went to a painting class to practice he art. His work in his painting class was very colorful, even using colors that he had no sense of (he did include black and white). His first writing was published in 1892 and he began to write in 1894. In 1893 he decided that he wanted to draw, using his skills in drawing from various sources, to get rid of the need for words. Instead, he chose an easy, natural way to depict his characters: a circle with the letters “F,” and two dots of pencil for representing objects. According to his father, Mr. Frost was the first to put out his pen, and he loved to draw, particularly if the circle was made with a thin layer of paper. After he finished drawing, he wrote at home in the neighborhood newspaper, “No matter how good I could remember or how good I saw, I always liked “F” and the letters F. The letters F and G, which he placed next to his head after he had drawn, became the key symbols, and then the circle. Frost also used many other artistic concepts and techniques to draw in paintings. But he became so interested in painting in general as a child that after he did an internship at St. Jude Children’s Hospital and started his own business, in 1905 they sold the company to St. Jude for two million dollars. In 1909, shortly after this company’s completion,



Robert Frost: Daring. Live. Be. HumanHe was born in 1903 in Washington, D.C., a small town with more than one hundred residents. One day when he and two of his brothers, Michael and Richard, went to a local tavern where they had learned to play guitar. The brothers began to play and when they were ready to start playing, Michael walked across the street and took a note of how he wanted to play. He played so perfectly, Michael felt he should just take the note as well, so Robert decided to continue, learning the guitar with Michael. The next day, August 15th, Michael and Richard returned to Washington for school. They started learning in St. Petersburg and moved to a small town, named Cuyahoga, about three miles on the north shore of Lake Erie. After a few more long days of intensive study, they landed in Cuyahoga, the country’s most beautiful fishing village, where they learned to play the violin and, after a great deal of hard work, they came to be known as “The Dead Poets.” In this sense, Robert remained unknown among the nation and the people there; in fact, in most of his poems he was known as the “Dead Pig Poet.” Robert worked as a small printer, writing poetry and sketches on blackboard. He also wrote poems and, as he wrote, he had many different occupations, most of which were written in English while also being known professionally as such. The only exception was to be a painter or for writing a book, he went to a painting class to practice he art. His work in his painting class was very colorful, even using colors that he had no sense of (he did include black and white). His first writing was published in 1892 and he began to write in 1894. In 1893 he decided that he wanted to draw, using his skills in drawing from various sources, to get rid of the need for words. Instead, he chose an easy, natural way to depict his characters: a circle with the letters “F,” and two dots of pencil for representing objects. According to his father, Mr. Frost was the first to put out his pen, and he loved to draw, particularly if the circle was made with a thin layer of paper. After he finished drawing, he wrote at home in the neighborhood newspaper, “No matter how good I could remember or how good I saw, I always liked “F” and the letters F. The letters F and G, which he placed next to his head after he had drawn, became the key symbols, and then the circle. Frost also used many other artistic concepts and techniques to draw in paintings. But he became so interested in painting in general as a child that after he did an internship at St. Jude Children’s Hospital and started his own business, in 1905 they sold the company to St. Jude for two million dollars. In 1909, shortly after this company’s completion,


Robert Frost was born in San Francisco on March 26th, 1874 first child of Isabelle Moodie and William Prescott Frost, Jr. and was named after the confederate general Robert E. Lee. In 1885, after his father’s death, and at the age of 11 his family (with $8 in their possession) left California and settled in Lawrence, Massachusetts (Richardson, 1). There he attended and graduated high school. He was accepted and attended Dartmouth College, but stayed for less than a semester (Winnick, 1). He taught, worked at a mill and as a reporter right after that. In 1894, at just 20 years old, he sold “My Butterfly: An Elegy” to The Independent, a New York literary journal. A year later he married Elinor White after three years of courtship. Frost then attended Harvard College, from 1897 to 1899 as a special student but he never graduated and left without a degree. For the next ten years he wrote poems and worked at Derry’s Pinkerton Academy (Winnick, 1).


After being settled for many years, he sold the farm in 1912. He used the money from the house and moved to England where he could concentrate solely on his writing. On that note he wrote “A Boy’s Will” and it was accepted by a publisher. It was released in 1913 to favorable reviews that resulted in the American release of the book. Frost now had a transatlantic reputation (Winnick, 2).


In February of 1915, Frost and his family moved back to New York City. Frost’s book, the “North of Boston”, was released two days after his arrival in New York. With sales of “A Boy’s Will” and “North of Boston”, Frost was able to buy a farm in Franconia, NH. There he wrote “Mountain Interval”, published in 1916. In New Hampshire, Frost also embarked on a long career of writing, teaching, and lecturing. In 1924, he received a Pulitzer Prize in poetry for “New Hampshire”. In 1925 Frost’s daughter Marjorie was hospitalized with pneumonia, a peri-cardiac infection, chronic appendicitis and nervous exhaustion. Over the next few years, Marjorie became more ill and was put in and out of hospitals. Amidst all this, Frost still received critical acclaim and various accolades for his work “Collected Poems”. In 1934 Marjorie died of perpetual fever, and soon after Frost and his wife moved to Key West, FL (Richardson, 5). Over the next years he received an unprecedented number and range of literary, academic, and public honors (Winnick, 2). Robert Frost died in January 29th, 1963 leaving behind a great line of literary works that have become well-known and beloved pieces of American literature.


The reoccurring theme of Robert Frost poems is one of travel; one can tell that he was a nomadic being. Through out his life he moved a lot. He lived in various places including Cambridge, Miami, Coconut Grove, Key West, New Hampshire, Gainesville, New York City and London. His poems are reflected by his life greatly.


Robert Frost’s most famous poem to date is probably “The Road Not Taken”. It depicts Frost standing at a fork in a road, undecided about which path to take. He decides to take the path that is less traveled on, and he imagined this choice to be very important. He will someday tell himself the he took the road less frequented, and gain satisfaction not conforming to the same path in life that everyone else has. This poem relies heavily on imagery, considering the readers must imagine two roads and then a person at the fork, pondering his next move. He describes one of the roads as “grassy and wanted wear”. The tone of the poem is set mainly at the end:


I shall be telling this with a sighSomewhere ages and ages hence:Two roads diverged in a wood, and I-I took the one less traveled by,And that has made all the difference.The tone of this poem is one of wonderment and content. The traveler in the poem is content with his choice, a choice of risk and uncertainty. But nonetheless, the theme then becomes that even one as an individual cannot be identical to all others around them, and so can’t the paths


Abca12 Protein And Transportation Of Lipids ccusa autobiographical essay help

How one Protein Can Kill: An Examination of Harlequin IchthyosisEssay Preview: How one Protein Can Kill: An Examination of Harlequin IchthyosisReport this essayHow One Protein Can Kill:An Examination of Harlequin IchthyosisAn infant born with harlequin ichthyosis (HI) is phenotypically distinguished by a covering of thick scales with deep, red fissuring. Most neonates with this congenital defect are born prematurely and rarely survive beyond their first days outside the womb (Hovnanian 2007). Recent research has determined that the condition is due to a mutation of the gene that encodes for ABCA12 protein. This protein functions in the transportation of lipids to the intercellular layer of the stratum corneum, which is the external layer of the epidermis. This mutation causes the loss or non-functionality of ABCA12 protein and results in the inability to hold the outer layer of epidermal skin cells together (Akiyama et al. 2007).


Toxicity


Phytochemicals are among the most effective anti-psychopharmacological agents found to affect the developing CNS. The central nervous system experiences a heightened need to manage its physical and sensory dysfunction, especially from its exposure to anti-psychopharmacological effects (Boudin et al. 2014). In adults with HIF-2 and HIF-4 deficiency, serotonin reuptake inhibitors increase serotonin reuptake and inhibit serotonin reuptake (Boudin et al. 2013).


Several medications and therapies to reduce the central nervous system’s dysfunction include corticosteroids such as the anti-corticosteroid and amitriptyline, for example, citalopram, bupropion, and zolpidem (Hertz et al. 2014). In an article published in the Journal of the American Medical Association’s Journal of Psychiatry, a case series of seven children receiving a combination of these two drugs for 10 years show increased post-mortem serotonin release and an overall increase in brain and spinal cord damage (Boudin et al. 2015).


Many anti-psychopharmacological drugs, including amitriptyline, are not yet approved for general clinical use, which has led to conflicting and long-standing recommendations regarding efficacy in treatment and safety for many drugs with known clinical side effects. Furthermore, the clinical use of amitriptyline only in children who lack a history of psychiatric disorders has been cited as a potentially serious risk factor. The combination of amitriptyline and amitriptyline alone may worsen symptoms of anxiety disorders in adults, and many users of various therapies have reported using this agent to treat anxiety problems in children.


Prolonged use of amitriptyline after a short-term history with the disease or an illness may decrease the benefit to the central nervous system over 10 years, and the potential harms that occur to the brain of these users have been considered and explored. Although some of these benefits have been suggested, there is insufficient data as yet to present any evidence supporting the safety and efficacy of amitriptyline. Amitriptyline also appears to have no beneficial effects in non-inferior pediatric patients.


The use of amitriptyline is considered risky and may not be advisable as it is not available in all areas of the US, and it may cause adverse effects on children (Lember et al. 2014). However, recent research has documented that an increasing number of adverse CNS effects may result from the misuse of amitriptyline in children as well as non-inferior children in the US (Lemon et al. 2010, Lemon and Chilton, 2015; Pomerantos 2011). Studies performed in the US also found that the use of amitriptyline in children after an early onset of symptoms of acute anxiety disorders (Pomerantos et al. 2009) and other psychiatric conditions (Pomerantos et al. 2008, Pomerantos et al. 2012) was associated with an increased risk for hypomanic seizure (Pomerantos and Bell 2007) (Ecker et al. 1995). In addition, an increased risk has also been reported from use of an antipsychotic for pediatric patients in the early stages of post-traumatic stress disorder (Pomerantos et al. 2014).


Phytochemicals in the use of amitriptyline may trigger significant changes in neurotransmitter levels, but are often restricted to the brain that has been previously damaged in


The stratum corneum is responsible for providing protection against external threats and is also important in regulating fluid loss by holding the keratinized skin cells tightly together. Imagine, for example, how fragile a brick wall (cells) would be if it were not held together with mortar (lipids). Normally, the lipids are deposited into the stratum corneum via the lamellar granules (LGs). LGs originate from the Golgi apparatus and are the most common secretory organelles found in the cytoplasm of epidermal cells, making their loss or improper function highly detrimental. Therefore, when functional ABCA12 protein is absent from the cells, the cytoplasm in the stratum corneum becomes thick and congested with dense lipid-containing vacuoles and no normal LGs, giving rise to the phenotypes seen in harlequin infants (Akiyama et al. 2007).


The Role of the Lipid-Free Biosurfaces in the Development of Complexity An example from the development of a complex phylum, the phylum Phylosaurina, was discovered before the time of the domestication. The present article describes the role of the lipid surfaces in the regulation of the metabolic response. The lipid-free Biosurfaces have been described from the mid part of the 12th & 5th centuries BC. They may act in an intricate fashion by the oxidation of lipids. This may also explain why the lipid surfaces do not interact to regulate the metabolic response when they are not in contact with other lipid surfaces. The lipid surfaces are formed by high-temperature enzymes and other components such as enzymes in the protein reaction, hydrogenation of carbon dioxide, or by the free glycerols. These enzymes are active in the first five to ten nucleotides of lipid. In response to a very high temperature of the lipid molecules their function increases. However, the activity levels are inversely related to their pH. That is, the more water or oxygen is present in the lipid surfaces, the higher its activity. Therefore the increased activity of the Biosurfacing process is the key to the metabolic responses. This is because the fatty lipid membrane forms the backbone of the lipid-rich Biosurfaces (Otymour et al. 1987; Toussaint & Crouser 2006). The increased activity of the enzymes in the lipid complex of the triglyceride synthase-1 protein may be of the consequence that the lipid surface is in “normal” and thus a more attractive environment for the enzymes. A number of studies have shown these lipids may contribute to the development of complexity (Crouser 2007; Toussaint & Crouser 2007). However, they are only the first of many of these lipids which may play a role in complexity in the development of complexity.


Effects of Nonsubstrate On Morphological Variability of the Tissue The present invention provides the ability to modify the dynamic stability of the tissues to alter their shape without altering its morphology. Our modifications are based on the following principles: 1) A single nucleotide substitution of a single RNA (RNA) gene at a sequence of 5 bases, which then has a new nucleotide substitution chain. The nucleotide substitution chain is called nucleotides (NCs). The newly substituted nucleotides are produced in a reaction called nucleotidative deoxygenation. After that an RNA-DNA is synthesized from the first nucleotide of the original nucleotide and inserted. The nucleotides of nucleotides have the properties that other nucleotides have due to their highly structural structure. The RNA-DNA synthesis is then applied later on to the RNA-DNA. Finally a mutation occurs which causes the nucleotides to change shape to a different form in response to the RNA-DNA modification. Once the nucleotides have been altered that they can not be changed, the modification has to occur via gene modification (RNA-RNA) or other molecular mechanisms (such as by the use of nucleotide substitutions). RNA-RNA syntactics can be used to provide a whole new way to read


The ABCA12 protein is a member of a large family of ATP-binding Cassette (ABC) transporters. These proteins, through active transport, transfer biomolecules such as lipids across cell membranes (Akiyama 2007). Specifically, ABCA12 is responsible for transferring lipids to the LGs, which then attach to the apical cell surface and release their lipid and protease components into the intercellular layer, forming the skin’s hydrophobic sphingolipid seal. Since the ABCA12 protein is either absent or non-functional in HI, there is little lipid transport in keratinized cells, thus there is only an extremely weak intercellular layer holding the stratum corneum together (Au 2007).


In the last several years, research has pinpointed the ABCA12 mutation to chromosome 2 in region 35. The 2,595 amino acids and 53 coding exons that comprise the ABCA12 protein have been identified. Genetic studies have determined that harlequin ichthyosis is predominantly caused by homozygous mutations, indicating that an autosomal-recessive inheritance is responsible. Furthermore, therapeutic gene transfer studies have also proven that lipid transport in the epidermis has been restored when the wild-type ABCA12 gene is injected into cultured keratinocytes, the main epidural cell, of patients with the disease (Au 2007).


This success of


Palestinian Land And Israeli Military college essay help

A “wall” DivideIntroductionA “Wall” divide. In June of 2002, Israel began the construction of a “Wall” that engulfed parts of the Palestine Territories. Israel’s rationale for building the wall was to protect Israel from attacks brought forth from the Palestinians. After an intense analysis of the situation, it became obviously apparent that the rationale behind the wall’s construction was an effort by Israel to annex Palestinian land and resources by enclosing the major settlement blocks, with only 16% of the wall actually being constructed on the 1967 Green Line. The “Wall,” which was constructed by Israel that engulfed Palestine Territory in and around the eastern part of Jerusalem, is contrary to International Law.


The Palestinians, by continuing to pursue their illegal expansion, are also trying to establish a State of Israel which is both legal and democratically elected. That was established in 1949,  indeed, Israeli Jews in Palestine were still considered Palestinians and had their own laws.


Ahead of the Palestinian uprising, Israel began negotiating with the Palestinians to accept an independent Palestinian state and establish a Gaza Shield with Palestinians in Palestine (e.g., Gaza),  where Israeli forces were now present. Since they are not Palestinians under U.N. or International law, they need at least a state for Palestinians in the West Bank, East Jerusalem, East Jerusalem, and the West Bank. With the U.N. in charge, they had to decide how to provide Palestinian rights in the West Bank.


In the United States, the Palestinian Authority, after taking power in 2005, established a new government under the Palestinian Authority Executive, which was led by the current Israeli Prime Minister, Tzipi Livni. While the PA can and does provide for legal and democratic rules, laws generally, but not exclusively, do not apply to Palestinians under U.N. law and are considered by the U.S. Congress as laws. The PA had jurisdiction to set the laws regarding Palestinians living in the West Bank and East Jerusalem. However, many other Palestinians have not established a Palestinian state since. There has been some confusion regarding the status of Palestinian territories under U.N. laws, but generally, all Palestinians are residents in Palestine. A 2009 paper by Dr. Richard Posner and Dr. Larry J. Cusick at the Pew Middle East Center at the University of California, Berkeley, found that an independent Palestinian state under U.N. law could be established in the West Bank and Gaza. In that paper, Posner and Cusick found that “[n]o state of Israel existed under international law after 1967, and that was only in 2006—a decision that is still being considered.”


The Palestinians in Palestine today are at least 19 percent of the population of the Israel-occupied Palestinian territories, while in 1950, an estimated 23% of the adult population of the country was of Palestinian nationality. It seems that the U.N.’s resolution on Palestinian governance and rights in the Palestine territories has not done its job. Palestinian governments in the West Bank are divided between two Israeli governments that have not changed their policies. The Palestinian Authority government of Israel occupied West Bank during the 1990s ruled for almost three decades. Israel used the Palestine Convention to control and maintain its power. That is why it is very important to understand that Palestine’s democratic and democratic system and democratic process have been a very important part of the Israeli occupation of Palestinian territories.


An independent Palestinian state is necessary for a viable Palestinian state. Since Israel is


The Palestinians, by continuing to pursue their illegal expansion, are also trying to establish a State of Israel which is both legal and democratically elected. That was established in 1949,  indeed, Israeli Jews in Palestine were still considered Palestinians and had their own laws.


Ahead of the Palestinian uprising, Israel began negotiating with the Palestinians to accept an independent Palestinian state and establish a Gaza Shield with Palestinians in Palestine (e.g., Gaza),  where Israeli forces were now present. Since they are not Palestinians under U.N. or International law, they need at least a state for Palestinians in the West Bank, East Jerusalem, East Jerusalem, and the West Bank. With the U.N. in charge, they had to decide how to provide Palestinian rights in the West Bank.


In the United States, the Palestinian Authority, after taking power in 2005, established a new government under the Palestinian Authority Executive, which was led by the current Israeli Prime Minister, Tzipi Livni. While the PA can and does provide for legal and democratic rules, laws generally, but not exclusively, do not apply to Palestinians under U.N. law and are considered by the U.S. Congress as laws. The PA had jurisdiction to set the laws regarding Palestinians living in the West Bank and East Jerusalem. However, many other Palestinians have not established a Palestinian state since. There has been some confusion regarding the status of Palestinian territories under U.N. laws, but generally, all Palestinians are residents in Palestine. A 2009 paper by Dr. Richard Posner and Dr. Larry J. Cusick at the Pew Middle East Center at the University of California, Berkeley, found that an independent Palestinian state under U.N. law could be established in the West Bank and Gaza. In that paper, Posner and Cusick found that “[n]o state of Israel existed under international law after 1967, and that was only in 2006—a decision that is still being considered.”


The Palestinians in Palestine today are at least 19 percent of the population of the Israel-occupied Palestinian territories, while in 1950, an estimated 23% of the adult population of the country was of Palestinian nationality. It seems that the U.N.’s resolution on Palestinian governance and rights in the Palestine territories has not done its job. Palestinian governments in the West Bank are divided between two Israeli governments that have not changed their policies. The Palestinian Authority government of Israel occupied West Bank during the 1990s ruled for almost three decades. Israel used the Palestine Convention to control and maintain its power. That is why it is very important to understand that Palestine’s democratic and democratic system and democratic process have been a very important part of the Israeli occupation of Palestinian territories.


An independent Palestinian state is necessary for a viable Palestinian state. Since Israel is


HistoryThe people who observed the dispute over the wall questioned, was it to provide the security that Israel stipulated when the wall was constructed? The wall which was constructed on the West Bank not only engulfed the land and resources, it also engulfed entire Palestinian cities. It destroyed the adjoining of the West Bank and cut off any future states. This series of walls made of razor wire, electrified fences, trenches, and watchtowers with a 30 to 75 yard “buffer zone” at the sides was patrolled by Israeli military.


The point of fact is that Israel’s strategic building of the wall resulted in their annexation of fertile Palestinian agricultural land, groundwater wells, and ten illegal Israeli Jewish-only settlements. Out of fear of being trapped on the Palestinian side of the wall, these Jewish settlers convinced the Israeli government to change the “Wall’s” curving path, to compensate for future phases of the wall and maximize the amount of land necessary for additional Israeli settlements. If this building process is allowed to continue, it would eventually confiscate the largest part of Palestinian land, devastate the agricultural base of the West Bank, and destroy any possibility of a viable Palestinian state (Mair and Long, 2003). Also, only 12% of the land will remain in Palestinian possession according to the pre-1948 Palestine (“The Green Line,” p.29). Completely separating East Jerusalem from the rest of the West Bank will affect Palestinian’s future capital, their religion, cultural, social, and economic centers. Literally, 430,000 Palestinians will be trapped on the Israeli side of the wall.


As the Palestinian economy lay decimated because of the three year Israeli military crackdown against the intifada, the wall was an added blow to their already compromised economy. This was brought about due to the enforced curfews, military destruction, and closures which place movement restrictions on the Palestinian people, their vehicles, and their goods. The “Wall” was an added restrictive force, which has eviscerated the Palestinians assets,


Sensory Information And Structural Features Of This Memory Model summary and response essay help: summary and response essay help

Memory

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MEMORYDefine memoryInformation processing system.Encoding, Storage and Retrieval. What is involved in each process?Automatic vs Effortful encoding.Atkinson – Shiffrin model.What are structural features of this memory model?What are controlled processes?Sensory Memory. How does it process sensory information? What happens if the information is not attended to? Iconic and Echoic Memory. What sensory information do they process and how long does each store the information for? Why?  Sperling and his findings.Short Term Memory.Characteristics of STM in terms of the capacity, duration (how each is researched) and the way the information is stored.How is information lost from STM? Decay and Displacement.STM as working memory. Why is it also called working memory? Chunking. Explanation and examples.Effects of rehearsal and STMMaintenance Rehearsal. Vocal, sub vocal, verbal. Rote repetition. Characteristics of. Limitations.Elaborative rehearsal. What is it and how is it done? What is focused on in this type of rehearsal? Characteristics and examples. Self Referencing Effect. Why is it more effective than Maintenance rehearsal?Craik and Lockhart’s Level of Processing framework.What effect will the level of processing have on memory of information?Describe and give examples of shallow, intermediate and deep processing.Baddeley and Hitch’s model of working memoryVerbal working memory (phonological loop), Visual working memory (visuospatial sketchpad), Episodic buffer), Central executive. Know how each works and how they work together. Give a good example.Long Term MemoryDifferences between LTM and STM.Characteristics of LTM. Capacity, Duration, how information is stored.


Types of LTM.ProceduralDeclarativeEpisodicSemantic.What content does each store? When is more than one type of LTM apparent? Study example in text book.How is the information in LTM organised?What has research found?Semantic Network theory. What does it propose in terms of how information is organised in LTM? How is information located and retrieved according to this theory?Serial Position Effect. Primacy and Recency effect. U shaped curve. What effect is present when subjects are remembering the first five and last five words in a list of fifteen words? How does STM and LTM apply to this effect? What are some real life examples of the serial position effect on memory?What happens when recall of the list is delayed by 30 seconds or more?Role of the neuron in memory formation.What did Kandel find in his work with the Aplysia? Pg 336. What do his research findings suggest about the neuron’s role in memory formation in humans?Role of the hippocampus and temporal lobe in memory.What structures are in the medial temporal lobe? What happened to Henry Molaison’s memory when the medial temporal lobe (amygdale, hippocampus and other cortical tissue) was removed?What does this suggest about the role of these structures?


Englands Motives And American Revolution scholarship essay help

Causes of the War of 1812Essay Preview: Causes of the War of 1812Report this essayThe War of 1812Causes of the War of 1812While the American Revolution was about freedom from tyranny and establishing an independent nation, the War of 1812 was fought for very different reasons. Its roots were related to trade restrictions, the future of American Indians and superiority on the high seas.


As a young and developing nation, the United States was trying to stay out of the conflict that was raging between France and Great Britain during the beginning of the nineteen-century. At the time these two countries were what we would now refer to as super powers. Englands motives at the time were primarily to keep Napoleon, who had proven to be a brutal and capable military leader, from continuing his expansion of the French empire into both Eastern and Western Europe. Both countries were passing laws which affected control of seaports in an attempt to hurt each others trading and expansion capabilities, but which also negatively impacted neutral nations including the United States.


A French government official stated that if it didn’t have a way to control all the seaports they were allowed to stay afloat. The British government also argued that France’s “war on terror” meant that the British could not control everything in that country. They had a problem. If the British wanted to be included in both European and American history, they didn’t have to fight for neutrality. They couldn’t possibly fight to the death for neutrality to be part of their official history. The result was that the “war on terror” continued. It’s very clear that this didn’t mean the US government couldn’t be part of a history that’s really about the war.


The United States has a history of trying, often at great personal cost, to control and manipulate other countries. The idea is to try to do this by force. So how are we supposed to control other countries when it’s all being done by the USA. We know that a great many US military officers have a great deal of experience in the Middle East and other such places. The United States has also had numerous naval, air, space and space station bases under control in the US and by the NSA. But we also have a history of trying in many of these areas to bring terrorists, and the FBI has shown significant interest in bringing criminal organizations and organizations with them that are willing to betray us. How we manage to maintain a relationship with China, and how our government managed to bring terrorist organizations and organizations (in terms of being caught) at large in other foreign jurisdictions in many different ways is going to tell us much less about this past ten years than the first decade of the twentieth century.


The US is in the middle of a very bad experience with China that we think it should be dealing with with the government of China. People are talking about the US trying to get China to change its mind about supporting us in a very real way while this continues, but that is not what it’s about. China is trying to get us to change our mind. And that means that our policies and our actions are designed to change China’s mind as we move forward.


If we are to win any of these talks we need to get the US to change China’s mind. Our relations with the US are extremely weak and at times unstable. And that’s partly because we are so slow to change at times. It’s also because our strategy as a country has become so difficult to adapt to. The US would try it in its diplomatic capacity. But not in military capacities. For example the US tries to get India to say, “Now you have to start thinking of India as a national interest, not an geopolitical interest.” (Note: I’d like to note, of course, that the US tries to influence India,


A French government official stated that if it didn’t have a way to control all the seaports they were allowed to stay afloat. The British government also argued that France’s “war on terror” meant that the British could not control everything in that country. They had a problem. If the British wanted to be included in both European and American history, they didn’t have to fight for neutrality. They couldn’t possibly fight to the death for neutrality to be part of their official history. The result was that the “war on terror” continued. It’s very clear that this didn’t mean the US government couldn’t be part of a history that’s really about the war.


The United States has a history of trying, often at great personal cost, to control and manipulate other countries. The idea is to try to do this by force. So how are we supposed to control other countries when it’s all being done by the USA. We know that a great many US military officers have a great deal of experience in the Middle East and other such places. The United States has also had numerous naval, air, space and space station bases under control in the US and by the NSA. But we also have a history of trying in many of these areas to bring terrorists, and the FBI has shown significant interest in bringing criminal organizations and organizations with them that are willing to betray us. How we manage to maintain a relationship with China, and how our government managed to bring terrorist organizations and organizations (in terms of being caught) at large in other foreign jurisdictions in many different ways is going to tell us much less about this past ten years than the first decade of the twentieth century.


The US is in the middle of a very bad experience with China that we think it should be dealing with with the government of China. People are talking about the US trying to get China to change its mind about supporting us in a very real way while this continues, but that is not what it’s about. China is trying to get us to change our mind. And that means that our policies and our actions are designed to change China’s mind as we move forward.


If we are to win any of these talks we need to get the US to change China’s mind. Our relations with the US are extremely weak and at times unstable. And that’s partly because we are so slow to change at times. It’s also because our strategy as a country has become so difficult to adapt to. The US would try it in its diplomatic capacity. But not in military capacities. For example the US tries to get India to say, “Now you have to start thinking of India as a national interest, not an geopolitical interest.” (Note: I’d like to note, of course, that the US tries to influence India,


First, France closed all ports in mainland Europe to the British. The British, in turn, developed a plan that forced any neutral ship, such as an American one, to stop in Great Britain before heading to other European ports. The neutral ship was to pay a duty on its cargo and the British would capture any ship that didnt follow these orders. In response to this, the French then said they would seize any ship entering or leaving a British port. This obviously put United States shipping in a precarious position and caused both American shipbuilders and tradesmen to lose money.


While U.S. leaders were upset with the restrictions imposed by both England and France, they were enraged by the British practice known as impressment. British military ships were stopping American trade ships at sea. The British then forced American sailors to come and work on the British ships. The British said they were just taking back British sailors who had deserted, or illegally left, their navy. This may have been the case sometimes, but the British werent careful about whom they took. They often ended up capturing American-born sailors. In the eyes of the United States, the British were kidnapping American sailors. (Schultz, 2007)


The practice of impressment took on new dimensions in 1807 when the heavily armed British frigate Leopard opened fire on the unprepared U.S. flagship Chesapeake. This outrageous act incensed the American populace. President Thomas Jefferson could have gone to war immediately, but he was content merely to proclaim the British warships unwelcome visitors in U.S. ports. He did not believe the time had come for hostilities and was wedded to the concept of economic warfare.


While many in the U.S. felt that there was adequate reason to declare war on England, cooler heads prevailed for several years. Most of the reluctance to enter the war came from New England were merchants were more dependent on overseas trade than other parts of the new nation. There was concern that an out and out war with England would devastate the New England growing economy and there was also heavy opposition to the proposition of war came from a political party known as the Federalists. (Hoey, 2000)


Declaration of WarPressure to declare war on England came from many of the settlers who were trying to establish themselves in the Midwest states of Indiana and Ohio. There were suspicions that England was supporting the American Indians who were resisting American settlement into their land. In November of 1811, Indians attacked American soldiers at the Battle of Tippecanoe, near Lafayette, Indiana. After the battle British guns were found on the battlefield, which confirmed the earlier suspicions.


This information, along with ongoing


Wal-Mart Tries And Wal-Mart popular mba argumentative essay help: popular mba argumentative essay help

Low Prices, High Cost

Essay title: Low Prices, High Cost

Wal-Mart is a name that is instantly recognizable in many countries all over the world. It conjures images of a low-price wonderland where anything a consumer would want is available all in one place. But this cheery picture that Wal-Mart tries to create is far from true. Poor worker wages and benefits, and the destruction of small communities should be what one thinks of when hearing that company name.


However, Wal-Mart didn’t start out so corrupt. In 1962, Sam Walton opened his first store in Rogers, Arkansas. 1962 was the birth of the discount retailer, with the first Kmart and Target stores opening that same year. Walton’s philosophy was giving the customers what they want. He said he wanted to offer “good quality merchandise; the lowest possible prices; guaranteed satisfaction with what you buy; friendly, knowledgeable service; convenient hours; free parking; a pleasant shopping experience.” In 1970, the stock was offered on the NY Stock Exchange, and the company grew from fifteen stores to 276 by the end of the ‘70s. In the ‘80s Wal-Mart boomed, growing to 1400 stores. They also opened the first Sam’s Club and the first Wal-Mart Supercenter, which included a grocery section. In 1990, they became the nation’s number one retailer, and in ‘91 they enter the international market with a store in Mexico City. In 1995 they have stores in all fifty states and have 276 international stores. Currently there are 3,700 stores in the U.S., and 1,500 others throughout the rest of the world. Wal-Mart has announced their goal to double their Supercenter stores, having 3,131 in operation by 2010.


So what is the result of this expanding business? Failing local economies, lowering U.S. labor standards, and the abuse of the environment have all been attributed to the Wal-Mart corporation. One aspect I have witnessed is the impact on local economies. I grew up in a small town where the main retailers were locally owned grocery stores, a Target, and a Kmart. Wal-Mart came in about ten years ago, and not long after Target went out of business. The Kmart is now on the verge of closing, and has already fired much of the staff. Many of the small clothing stores, and the record store have been put out of business. Now the Wal-Mart is being turned into a Supercenter, which will surely mean one if not both of the grocery stores will close. The Wal-Mart has become the center of the town, and it seems the loyal customers do not realize how much damage the store has caused to the community. This is happening all over the country, and Iowa State University actually did a study on the trend. Dr Kenneth Stone found that over ten years of Wal-Mart’s growth in the state, 7,326 Iowa businesses closed. It was also found that 84 percent of all sales at Wal-Mart stores came at the expense of existing businesses in the same county.


Wal-Mart has also come under fire for its treatment of employees. Wal-Mart currently employs 1.3 million people in the United States, making it the country’s largest employer. So it must be appealing to work for Wal-Mart, right? Wrong, according to the average wage, and worker benefits. The average hourly wage is $9.68, much less than the United States average of $17.80. In terms of health care, only forty-five percent of employees are covered by the company’s health


Robbery Investigation And Professional Robbers college essay help online: college essay help online

Robbery TypesEssay Preview: Robbery TypesReport this essayBeing a part of group three, we collaborated and chose Robbery Investigation as our crime for the project. Learning in class from Locard that there is always an exchange when individuals come in contact, we felt that robbery would be a great choice being that robbery is defined as the theft or attempted theft, in a direct confrontation with the victim or victims, by force or the threat of force or violence.


Along with the act of robbery, you will notice that there are many different motives behind the crime along with many different types of offenders. The primary motivation for robbery is to obtain money, but some exceptions to this statistic are the motives of thrill seeking, peer pressure, and to obtain drugs. Four types of offenders are professional robbers, opportunistic robbers, drug addict robbers, and alcoholic robbers. Professionals usually involve themselves in robberies of large sums of money and this is how they support themselves annually. Opportunistic robbers are usually young and steal small sums of money from those who they see as vulnerable. Drug addict robbers steal in order to support their habit and are very selective when choosing their victims. Lastly, alcoholic robbers randomly plan their crimes while under the influence and are very careless when it comes to planning an escape and choosing victims.


Criminalization of Drugs and Alcohol


The new law on drug use and the increased use of marijuana in state or federal correctional facilities (which were designed by the DEA) in 2012 was designed to discourage drug use (to be legal within the next 30 years). The new law is designed to stop drug dealing, increase public awareness and public safety, and prevent crime and violence by eliminating the stigma of marijuana prohibition. Marijuana prohibition and the marijuana industry has become a major force for many people to support the legalization and subsequent re-criminalization of marijuana. Some of the best examples of marijuana prohibition are:


Legalization to All Drug-Related Drugs: With the increase in the use of medical marijuana in the U.S., a growing number of states are legalizing marijuana for medical purposes. If you are thinking that the legalization of medical marijuana will never make any difference, consider this (more on this below).


Legalization of Medical Marijuana: With the introduction of the National Medical Marijuana Plan (MMP), states are starting to legalize it for medical and recreational purposes. If you are thinking that legalization could be good for people who have little money (think about that) or are just afraid to use their money, consider this (more on this below).


Legal Marijuana. A new federal bill introduced today (July 28, 2013) states that any drug that has not previously been used or is suspected to have a potential for abuse of it should first be tested by a physician (see below).


The list goes on and on. As long as you support the legalization of marijuana for recreational purposes and legalize its use for medicinal purposes as a way of preventing and reversing violence and public health problems, the law will continue to work.


Why Are Cannabis Tax Laws Not Effective?


One of the most common reasons cannabis is considered the most dangerous illegal substance in the U.S. is due to its use of a highly psychoactive herb, cannabis. The United States has had a problem with the availability of this illegal substance for decades. The federal government controls the distribution and production of marijuana; therefore, this situation has been extremely difficult for government and the medical community to work out (this is why it has become a major reason that the federal legalization of marijuana for medicinal purposes is a top priority). In 2014, we ranked the top 10 states worldwide for using less than one gram of marijuana daily and the three top 20 states with the highest rates of marijuana use. The average adult in the U.S. is using approximately four (4).


States that did not permit its legalization have had problems with the high drug value and have had to address the demand for the drug. The cost of legalizing marijuana has been significantly high. According to the Federal government, the cost of the legal weed can reach hundreds of thousands of dollars on an individual through prescription drug-resistant strains and the cost for an individual through a combination of prescription drug usage and other sources has been higher than any other cost. In 2010, for example, the price of the weed from California to Hawaii was about $19 per gram. The price from California to Ohio came to $5 per gram in 2010, and the average costs to obtain the weed from Ohio are estimated at $60.


The DEA and the FDA have not provided a clear and concise response to the claims made by proponents of legalizing marijuana: The state of California has, and has no intention of permitting pot on any level of production, and currently the DEA has an active enforcement program in place to make sure marijuana grows are not operated for illegal marijuana sales. In addition, the federal government has not approved any production or sale of cannabis products that had been approved in part by other states for marijuana purposes, or any application by a federally licensed producer or retail outlet of marijuana products with a permit issued from the Federal or State government. If marijuana’s use in the US is illegal so does it not require federal enforcement from any state.


Even if states have legalized marijuana as a way to prevent a violation, they do not have the ability to do so on legal or regulated grounds. When the federal government began its enforcement activities in the 1990’s, it worked on a “preliminary” application process based on evidence of marijuana’s use. Those seeking a marijuana grow and processing permit from the Oregonian/OregonLive reported that they were allowed to purchase marijuana for just $35 for a limited period of time, and a permit was no longer needed. When the federal government stopped making such a request the federal DEA refused to issue such a permit at the beginning of 2011 (one month after the program was closed). In February of the same year, the US Department of Justice refused to issue a separate permit for a marijuana cultivation operation, saying “[t]he public is unlikely to be able to legally cultivate any plants that are in the best interest of American people and should be grown on private land, or at an approved location outside of our jurisdiction.” In its report, the Justice Department said that “[t]he government should not have to justify their decision,” while “the public may be able to live in Oregon if they wish.” The Justice Department’s interpretation of that position was criticized by the US House of Representatives Committee on Justice and Public Safety chairman, Jim Clyburn, a Democrat. The subcommittee said that by the end of 2011 “the state could not justify using the proceeds from cannabis cultivation and cultivation solely to fund the legalization of marijuana in other states.” The committee also said that for purposes of its new permit it “could not provide that a decision will be made in advance of their anticipated order.” In 2012, the US Senate Subcommittee on Public Safety and Homeland Security also wrote that “The current state of the state marijuana regulatory structure is a significant and costly impediment to providing more effective enforcement to states in marijuana legalization efforts.”


The US Federal government also has to contend with the growing of cannabis. Cannabis is the largest drug drug in the US. When it enters the United States at the state and federal level, cannabis is the drug controlled by the National Narcotics Control and Regulatory Board of Nevada (NACCRB). The NCCRB was created in 1999


Why Legalizing Marijuana Is Wrong


The biggest problem with marijuana legalization is the government’s inability to control the demand for and supply of the drug. Legalizing weed in the U.S. has been a long, hard, labor-intensive process for several states. As noted above, the government has limited resources to control the supply of marijuana: In 2014, the government spent $3.1 billion on medical marijuana operations in 34 states. The government spent $16.7 billion on other types of marijuana operations in the states in 2014 (see


There are five types of robberies that we have found and used through our research. You have robbery of persons employed in positions placing them in charge of money or goods, robbery in open areas, robbery on private premises, robbery after preliminary association of short duration, and robbery after previous association of some duration between victim and offender.


The robbery of persons employed in positions placing them in charge of money or goods can occur in offices, jewelry stores, department stores, and the most popular, banks. These are usually classified as commercial robberies. These types of robberies consist of 6% of all robberies and are normally conducted at the end of a workweek, during the morning or early evening and the targeted places are typically located by main roads or highways for easy escape.


Robbery in open areas is generally classified as “street robbery”. Street robberies can be on streets, in alleys, in parking garages, in public parks, and mostly occur on weekends in urban areas. In this type, the victim is a randomly targeted, vulnerable pedestrian/stranger for their money or property, and the offender uses force or threatens to use force or violence.


Robberies on private premises consist of home invasions, residential burglary, and residential robbery. Robbery on private premises is also known as home invasion because the attacker is breaking into your home or place of residence, these are seen as some of the most frightening cases because they violate your space where you should feel comfortable and protected.


Robbery after preliminary


Event Of The Shooting And Legal Right essay help app

Marketing

Essay Preview: Marketing

Report this essay

Scenario 1

The defense that Daniel would have in regards to the situations that took place would be the following:

In regards to being fired he could file a lawsuit that he was fired without correct cause. He was outside of work and it did not involve anything to do with his job nor did the boss know the consequences of why his son smelled of alcohol.


In the event of the shooting; Daniel had a legal right to carry a gun. He felt his life was in danger and did NOT know the gun being pointed at him was not loaded. He was legally allowed to protect himself and his family.


Daniel could sue the concession people for giving him the wrong the soft drink putting him into a coma.

Scenario 2

Anna has the right to sue the restaurant along with the doctor. She was given food with glass causing physical harm. She can also sue the doctor for malpractice taking off her leg instead of fixing her tongue. She can also sue for pain and suffering as well as mental anguish.


There might also be a legal act that can take place as the exit was not appropriate for the event of a fire. The trampled woman could sue for that.

Scenario 3

Raul can sue his boss for bodily harm or intent to injure. Raul was fired legally and cannot retaliate against her for that. His boss cannot retailiate for him protesting in front of the building but when she fired the staple gun at him there was a chance it would cause bodily harm which it did to his eye.


D2 Receptors And Appropriate Drug Therapies compare and contrast essay help: compare and contrast essay help

Analyzing Psychological DisordersEssay Preview: Analyzing Psychological DisordersReport this essayIntroductionThe biopsychologist will implement the biological approach to psychology in the attempt to study psychological diseases and disorders as well as in the diagnosis and treatment of individuals suffering from such diseases and disorders. The following will include the analysis of the disorder known as Schizophrenia. The areas of brain affected, causal factors, associated symptoms, neural basis and appropriate drug therapies will be discussed. In addition, the disorders of Anorexia Nervosa and Generalized Anxiety Disorder will also be examined. Both the disorders of Anorexia Nervosa and Generalized Anxiety Disorder will be discussed for their relation to the nature-nurture issue and other appropriate theories of etiology. Possible drug therapies and alternative solutions will also be a focus of discussion.


[paragraph]


[citation needed]


[p>Exploring the Relationship Between Anxiety and Mental Disorders. Anorexia-Nervosa [link] [link] [link]


The book explores the role of anxiety and mental disorders in a major epidemiological study of eating disorders. Many of the primary diseases of anorexia are also discussed in this study. It presents numerous examples of symptoms of the disorder and helps to identify potential treatments. The psychoanalysts discussed here will include a variety of factors such as the extent and severity of anxiety, mood, stress and aggression, the social and physical environment, genetic predisposition, psychosexual or psychiatric disorders and the role of anxiety in social and neurological disorders of the same character.


[paragraph]


[citation needed]


[p>The Biological Status of a Major Disease. Anxiety [link] [link] [link]


The book provides an overview and a framework that provides the main focus (section) of the book and covers the various mechanisms of the process of anxiety and mental disorders. It describes how the various mechanisms work and is applicable for other disorders. The most commonly discussed of the major types of anxiety disorders are obsessive-compulsive and post-convulsive disorders. Furthermore, it discusses the mechanisms of brain inflammation, oxidative stress/oxidative stress, neurotoxic, pathophysiological, and neurochemical processes involved in the development of anxiety disorder. On various forms of anxiety disturbances, anxiety and social phobia have been described. Anxiety disorders are characterized by a high rate of self-regulation, the inability to manage problems that are not self-control or control mechanisms, high prevalence of anger, and a tendency to react in very stressful situations. The condition has a significant role for those who suffer from post-traumatic stress disorder and other mental disorders where stress can manifest as feelings of isolation, hopelessness, or despair with poor social/emotional coping skills. The mental disorders of obsessive-compulsive and post-convulsive disorders contribute to the condition, especially at the genetic level. Neuroanatomical research indicates that anxiety disorders have neurobiology in their basic structure, although there is also a strong literature supporting and in some cases proposing an association. Furthermore, the psychological states of anorexia nervosa and GAD are associated with a wide variety of psychological disorders. One limitation of the scientific literature is that it is unlikely that the exact neurobiology of the disorders which affect the person with a mental disorder can be traced back to some other causes, especially neurodevelopmental or pathological brain development. The authors will discuss aspects of the mechanisms of anxiety, schizophrenia, and depression. Furthermore, they will discuss some of those symptoms that can cause brain disease. Lastly, they discuss the role of neurotransmitters in cognitive functions such as arousal and executive functioning in this condition.


[paragraph]


[citation needed]


[p>The Genetic Basis of Anxiety Disorders. Genital Disorders [link] [link] [link]


Genital disorders such as those of bulimia or dysmorphic bulimia have been implicated in all disorders characterized by some degree of genetic susceptibility. The authors will take on the following key issues: (i) The molecular basis of anxiety disorders. (ii) Common genetic variants that predispose individuals to a psychotic episode (e.g., bulirimia and dysmorphic bulimia). (iii) How genetic variants that produce the disorder are regulated. (iv) The extent to which certain genetic mechanisms work to control anxiety disorder. (v) The role of neurophysiological and metabolic regulation in the development of anxiety disorders. (vi) Genetics influences mental functioning, mental health


[paragraph]


[citation needed]


[p>Exploring the Relationship Between Anxiety and Mental Disorders. Anorexia-Nervosa [link] [link] [link]


The book explores the role of anxiety and mental disorders in a major epidemiological study of eating disorders. Many of the primary diseases of anorexia are also discussed in this study. It presents numerous examples of symptoms of the disorder and helps to identify potential treatments. The psychoanalysts discussed here will include a variety of factors such as the extent and severity of anxiety, mood, stress and aggression, the social and physical environment, genetic predisposition, psychosexual or psychiatric disorders and the role of anxiety in social and neurological disorders of the same character.


[paragraph]


[citation needed]


[p>The Biological Status of a Major Disease. Anxiety [link] [link] [link]


The book provides an overview and a framework that provides the main focus (section) of the book and covers the various mechanisms of the process of anxiety and mental disorders. It describes how the various mechanisms work and is applicable for other disorders. The most commonly discussed of the major types of anxiety disorders are obsessive-compulsive and post-convulsive disorders. Furthermore, it discusses the mechanisms of brain inflammation, oxidative stress/oxidative stress, neurotoxic, pathophysiological, and neurochemical processes involved in the development of anxiety disorder. On various forms of anxiety disturbances, anxiety and social phobia have been described. Anxiety disorders are characterized by a high rate of self-regulation, the inability to manage problems that are not self-control or control mechanisms, high prevalence of anger, and a tendency to react in very stressful situations. The condition has a significant role for those who suffer from post-traumatic stress disorder and other mental disorders where stress can manifest as feelings of isolation, hopelessness, or despair with poor social/emotional coping skills. The mental disorders of obsessive-compulsive and post-convulsive disorders contribute to the condition, especially at the genetic level. Neuroanatomical research indicates that anxiety disorders have neurobiology in their basic structure, although there is also a strong literature supporting and in some cases proposing an association. Furthermore, the psychological states of anorexia nervosa and GAD are associated with a wide variety of psychological disorders. One limitation of the scientific literature is that it is unlikely that the exact neurobiology of the disorders which affect the person with a mental disorder can be traced back to some other causes, especially neurodevelopmental or pathological brain development. The authors will discuss aspects of the mechanisms of anxiety, schizophrenia, and depression. Furthermore, they will discuss some of those symptoms that can cause brain disease. Lastly, they discuss the role of neurotransmitters in cognitive functions such as arousal and executive functioning in this condition.


[paragraph]


[citation needed]


[p>The Genetic Basis of Anxiety Disorders. Genital Disorders [link] [link] [link]


Genital disorders such as those of bulimia or dysmorphic bulimia have been implicated in all disorders characterized by some degree of genetic susceptibility. The authors will take on the following key issues: (i) The molecular basis of anxiety disorders. (ii) Common genetic variants that predispose individuals to a psychotic episode (e.g., bulirimia and dysmorphic bulimia). (iii) How genetic variants that produce the disorder are regulated. (iv) The extent to which certain genetic mechanisms work to control anxiety disorder. (v) The role of neurophysiological and metabolic regulation in the development of anxiety disorders. (vi) Genetics influences mental functioning, mental health


Part A: SchizophreniaSchizophrenia is undoubtedly one of the most complex psychiatric disorders of all time. A disorder which name defines the “splitting of psychic functions (Pinel, 2007, p.481)”, Schizophrenia often presents itself with a variety of characteristic symptoms including possible delusions, hallucinations, disorganized or incoherent speech, grossly disorganized or catatonic behavior patterns and negative symptoms (American Psychiatric Association, 2000). Social and occupational dysfunction often accompany these characteristic symptoms of Schizophrenia and the combination of function impairment and symptoms must persist in duration for a period of 6 months to warrant a diagnosis of Schizophrenia (American Psychiatric Association, 2000).


Causal Theories and Neural BasisVarious theories surround the causal factors related to the development of Schizophrenia. There is evidence that the disorder may result from genetic predisposition resulting from the Schizophrenia diagnosis in a close, first degree relative (Pinel, 2007). This predisposition, combined with experiences involving significant trauma or stress, may trigger the later development of the disorder. In addition, those with the genetic predisposition for Schizophrenia often show evidence which suggest neurodevelopment hindrances related to early infection, autoimmune reactions and toxin exposure which may increase the likelihood of developing the disorder (Pinel, 2007).


Alternate theory suggests Schizophrenia to have a connection to increased dopamine levels. Specific attention has been drawn to the D2 receptors. Research findings involving phenothiazines which bind to both D1 and D2 receptors and butyrophenones which bind only to the D2 receptors support that Schizophrenia is possibly caused by hyperactivity at the D2 receptor site and not dopamine receptor sites in general (Pinel, 2007). Although research related to the D2 receptor is substantive, the neural basis of the disorder may aid in further understanding of Schizophrenia (Pinel, 2007).


More recent research implies Schizophrenia to have a connection with more than the D2 receptors. Atypical neuroleptic drugs, which are not primary blockers of the D2 receptors, such as clozapine show only slight effect on the D2 receptors but increased effect on other receptors including the D1 and D4 receptors as well as multiple serotonin receptors (Pinel, 2007). In addition, the fact that neuroleptic drug therapy requires several weeks to alleviate the symptoms of Schizophrenia while effectively blocking the activity at the D2 receptors within only hours suggests blocking these receptors is not the key to the etiology of the disorder (Pinel, 2007). Furthermore, the neuroleptic therapies fail to help all individuals diagnosed with Schizophrenic disorder. While typically effective in treating the positive symptoms including incoherence, hallucinations and delusions the neuroleptic drugs are less effective in the treatment of negative symptoms related to affect, cognitive deficits and speech dysfunction. Therefore, the D2 theory of hyperactivity at the receptor site remains challenged by the fact that if this theory were complete both the positive and negative symptoms of the disorder would be alleviated by the neuroleptic therapies (Pinel, 2007).


Additional consideration revolving Schizophrenia etiology results from brain imaging studies which commonly evidence extensive abnormalities of the brain including small cerebral cortex and enlarged cerebral ventricles (Pinel, 2007). The results of these brain image studies lends further merit to the idea of early neural development issues as bearing connection to the development of Schizophrenia. Also notable in the Schizophrenia cases is the lack of normal brain laterality which the dopamine theory would fail to explain (Pinel, 2007).


Appropriate Drug TherapiesWhile psychotherapy and group or family therapy may aid in the success of treating the Schizophrenic patient these treatment options must be used in combination with effective drug therapy to address the complex symptoms related to the disorder (Grohol, 2008). Drug therapy also may require a combination of antipsychotic, antidepressant and anti anxiety medications to wholly manage and address the patients range of symptoms (Grohol, 2008). Due to the likelihood of patient discontinuation of medication as a result of drug ineffectiveness or side effects which the patient finds intolerable drug therapy must be carefully considered and monitored throughout the course of treatment (Grohol, 2008).


Therapy should include proper patient education with regard to possible medication side effects, dosage and length of treatment with emphasis on coping strategies related to side effects. Patient medical history, current illness, age, target symptoms, compliance abilities and possible interactions of other drugs should also be assessed prior to developing a treatment plan (Bailey, 1998). Throughout treatment the patient progress should be monitored to address dosage adjustments, responsiveness to treatment, patient compliance with treatment and tolerance to side effects (Bailey, 1998).


Clozapine should be considered for the Schizophrenic individual as this pharmaceutical option has been shown to be more effective than many of the newer antipsychotic medications available (Grohol, 2008). It should be noted that many antipsychotic medications carry the risk of a plethora of troublesome side effects which will need to be monitored throughout the course of treatment. These side effects can include visual disturbances, gastrointestinal complaints, central nervous dysfunction, sedation, skin discoloration, and photosensitivity, reduced sweating ability or possible allergic reaction which may vary in severity and duration (Bailey, 1998).


Part B: Case Studies on Anorexia Nervosa and


Main Types Of Accounting Systems And Gaap Paper writing an essay help

Comparing Ifrs to Gaap Paper

Comparing IFRS to GAAP Paper

Kristopher Watkins

May 23, 2016

James Gajda

Comparing IFRS to GAAP

Primarily there are two main types of accounting systems used in todays emerging markets: International Financial Reporting Standards (IFRS) and Generally Accepted Accounting Principles (GAAP). Both types of accounting systems follow double entry practices in order to record and categorize transactions a expense/liability or revenue/asset. Although both types of systems share similarities there are also some differences between the two. One of those differences being their conceptual framework where GAAP is mostly rule based and IFRS is principle based. Additionally, IFRS prefers a control model differing from U.S. GAAP who prefers a risks-and-rewards model. “Under IFRS, LIFO (a historical method of recording the value of inventory, a firm records the last units purchased as the first units sold) cannot be used while under U.S. GAAP, companies have the choice between LIFO and FIFO (is a common method for recording the value of inventory)” (Forgeas, 2008).


Within this paper I am going to go further into detail about the differences of these two accounting systems. This will mostly detail how financial statements and conceptual frameworks differ between each system, IFRS terms synonymous with common stock and balance sheets, and revenue recognition rules under IFRS and GAAP. I will also explain whether definitions of revenues and expenses include gains and losses under IFRS. Additionally I will detail competitive implications of the Sarbanes-Oxley Act (SOX) of 2002.


In regards to IFRS and GAAP the format of a statement of financial or position under IFRS will differ from a balance sheet presented under GAAP. Most commonly companies will order assets in a reverse order of liquidity The IFRS does not require a specific order of classification within the statement of financial position. IFRS does not segregate extroardinary items, whereas under GAAP they are inserted below net income. Under IFRS, an example of how the accounts would be ordered on a financial position sheet would be: Long-Term assets, Current assets, Shareholder Equity, Long term Liabilities, Current Liabilities.


Under GAAP, it is required to order accounts by their degree of liquidity. The first that is generally reported is cash and last would be non-current assets. An example of how accounts are reported under GAAP would be: Current asset, Long term assets, Current liabilities, Long term liabilities, Shareholder Equity. Some other differences include, according to Forgeas (2008), under IFRS the earning-per-share calculation does not average the individual


Sales Managers And District Manager free essay help online

Hausser Food Products: Assignment QuestionsHausser Food Products: Assignment QuestionsWhat is currently motivating the sales managers and how does this benefit/limit the company?The major motivating reason for the sales managers is the sales benefit plan. Most of sales managers’ income is combined by a large portion of bonus based on sales performance and a low portion of base salary. This incentive program benefits the company because it encourages salesman to sale more in order to get more bonuses, but it also limits the company such as Florida’s example, district manager were not willing to share their secret of success because the intensive competition in the company. Obviously, the more successful district will receive more resources.


The CEO’s salary is based on a three-year contract that the CEO is expected to have as he continues earning to this level of career advancement. During the 3 year period the CEO earns $1.9 million for 2010-21 of which $1.9 million is for base salary and the remainder is included in his bonus. This increase is due to his reduced base salary; if bonus is eliminated his increase to base salary would not be $1.9 million. In other words; his 1.9 million base salary is less if bonus is eliminated and still add $1.9 million in base salary to the base salary. However, the increase to base salary is only $1.9 million so, even if bonus is eliminated the increase to base salary would still be $1.8 million and the increase in base salary would still be $1.8 million.


Most of the sales managers, and the sales employees of the business, earn between $10,000 to $15,000 per year in base salary and in bonuses if a sales contract has been signed and there are three years of the contract. In addition, some sales managers, are paid in annual installments for a six to eight year stint, in this case six months each. If three years is not possible the sales managers have their base salaries raised to five and bonus is eliminated, so their salary is now almost doubled. If bonuses are eliminated as well the sales manager receives a cut from the base salary. If bonuses remain the same the sales manager receives one additional bonus per twelve months. All bonuses are eliminated, and sales managers are rewarded as well. For more information, see the article on base salary.


The CEO and several of the sales managers are compensated for their work. It’s worth noting that a large portion of them earn $20,000 a year instead of regular $20,000/year working but that they aren’t compensated for that work. This amounts to a total of 22% in bonuses. The highest paid employee in the organization at $40,000 is the lead vice president of the company and one-third of all sales employees is an executive. They earned $10,500 a year, with the remainder being paid for other responsibilities. An average sales supervisor earns $12,000 a year and receives $4,000 in bonuses each year. For those without any work experience or experience in the field of sales management, this raises two points: one, sales supervisors are paid at least some salary on a yearly basis, and two, there is an annual wage of less than 5% of the average sales supervisors for 10+ years, and both of these increase a year to the average of $100. Each raise of this kind would allow the company to hire more of its employees as an organization increase in the percentage of high-ranking sales supervisors to the average wage. As the percentage increases, the total salary for these sales supervisors goes up


The CEO’s salary is based on a three-year contract that the CEO is expected to have as he continues earning to this level of career advancement. During the 3 year period the CEO earns $1.9 million for 2010-21 of which $1.9 million is for base salary and the remainder is included in his bonus. This increase is due to his reduced base salary; if bonus is eliminated his increase to base salary would not be $1.9 million. In other words; his 1.9 million base salary is less if bonus is eliminated and still add $1.9 million in base salary to the base salary. However, the increase to base salary is only $1.9 million so, even if bonus is eliminated the increase to base salary would still be $1.8 million and the increase in base salary would still be $1.8 million.


Most of the sales managers, and the sales employees of the business, earn between $10,000 to $15,000 per year in base salary and in bonuses if a sales contract has been signed and there are three years of the contract. In addition, some sales managers, are paid in annual installments for a six to eight year stint, in this case six months each. If three years is not possible the sales managers have their base salaries raised to five and bonus is eliminated, so their salary is now almost doubled. If bonuses are eliminated as well the sales manager receives a cut from the base salary. If bonuses remain the same the sales manager receives one additional bonus per twelve months. All bonuses are eliminated, and sales managers are rewarded as well. For more information, see the article on base salary.


The CEO and several of the sales managers are compensated for their work. It’s worth noting that a large portion of them earn $20,000 a year instead of regular $20,000/year working but that they aren’t compensated for that work. This amounts to a total of 22% in bonuses. The highest paid employee in the organization at $40,000 is the lead vice president of the company and one-third of all sales employees is an executive. They earned $10,500 a year, with the remainder being paid for other responsibilities. An average sales supervisor earns $12,000 a year and receives $4,000 in bonuses each year. For those without any work experience or experience in the field of sales management, this raises two points: one, sales supervisors are paid at least some salary on a yearly basis, and two, there is an annual wage of less than 5% of the average sales supervisors for 10+ years, and both of these increase a year to the average of $100. Each raise of this kind would allow the company to hire more of its employees as an organization increase in the percentage of high-ranking sales supervisors to the average wage. As the percentage increases, the total salary for these sales supervisors goes up


What connections do you see between the circumstances in the case and the motivation principles covered in the readings?In the case, the directors of sales and marketing planning set up the sales plan, which include the budget, expenses, and projections, and send it to regional managers. Then regional managers send allocate the targets and expense budget to district managers. Finally, district managers distribute these to salespeople individually. In the reading, there is a motivation principle called Goal Setting Theory. It is very important for leaders to set up purposeful goals to motivate and direct actions for teams. The goals have a lot of functions helping on focused attention, effort, persistence, and strategy development, and then contribute to performance.


Another principle in reading is Reward Principles. In the case, company designs incentive program rewards high performance employees. Most of district managers and salespeople’s income is from bonuses based on sales performances. According to the Reward Principles, the rewards are contingent on performance and should be designed based on well articulated desired outcomes


Jackson Diehl And Only Real Irrelevant Reason academic essay help: academic essay help

An Analysis to “bad Targeting”

Essay title: An Analysis to “bad Targeting”

An Analysis to “Bad Targeting”

Many Americans are protesting that the current program of the National Security Agency to track and act on terrorism in the U.S. is going too far and spying on innocent civilians. The Washington Post article titled “Bad Targeting” is written by Jackson Diehl, who has been a writer and editor at the Post since 1978. He has worked as a foreign correspondent in Latin America, Central Europe and the Middle East. Diehl defends the American protesters’ positions by stating that the program, although necessary and well-intentioned, can easily get out of hand and violate the fundamental rights of Americans. Over 1,500 “suspicious incidents” were recently included in the CIFA-managed database. CIFA stands for the Counterintelligence Field Activity program set up by Pentagon intelligence to find reports on antiwar meetings and protests. Diehl makes a strong attempt at defending the protesters. While some of his reasons are irrelevant and insufficient, his evidence is strong making this a fairly good argument.


According to Diehl, CIFA was found last month to contain reports on at least four dozen antiwar meetings or protests, many of them on college campuses. One example is that those people who assembled for a Quaker meeting in Lake House, FL were considered a national security threat. This is a fair reason for supporting the claim, but there are no dates given to when this actually occurred forcing the reader to assume it happened within the last month or so. Another peace of weak evidence is stated when it says that ten peace activists who handed out peanut butter and jelly sandwiches outside Halliburton’s headquarters in June 2004 were reported as a national security threat. While this evidence gives an exact date and incident, it seems outdated coming from 2004. Diehl mentions some other strong reasons and backs them with up with evidence. For example, Diehl mentions The Post’s Walter Pincus and his aggressive reporting on the CIFA- managed database holding “suspicious incidents” in their computers for over the standard 90-day limit. This strong evidence gives good information on the issue and states a credible name and newspaper. Another strong reason is that many peaceful protesters were tagged as threats to U.S. defense facilities. The evidence is good showing that the Pentagon acknowledged its fault in tagging these protesters, but did little or nothing to clear their names out of the database. Congressional intelligence and armed service committees have yet to hold a hearing to review CIFA or its activities. The only real irrelevant reason in the argument is that CIFA is charged with working to prevent terrorist attacks,


Anorexia Case And Common Disorders essay help writing

Anorexia CaseOn February of 2007, an 18-year-old Uruguayan model named Eliana Ramos was found dead at her grandparents home. The cause of her death was later reported to be heart attack, which was led by malnutrition. It is estimated that 8 million people are suffering from eating disorders in the United States of America alone. The most common disorders are anorexia and bulimia, both coming to a similar number. The number of cases regarding these two disorders is on its constant rise, threatening the lives of female population all around the world. Then, what are the similarities and the differences between these two most prevalent eating disorders in a modern day society?


Anorexia and bulimia are both eating disorders that are mostly caused by psychological issues. The victims of these disorders—the majority being young females—are usually obsessed with their weight, appearance, and food. Therefore, sufferers go on long periods of excessive diet, which often leads them to deadly consequences. As they carry on with their constant fasting, self-inflicted vomiting, and excessive exercise, the affliction savages their sizes of pores, texture of skin, and eventually the health of internal organs. However, the damage reaches far beyond the physical aspect of the body. Starting from depression, people struggling with anorexia or bulimia experience extreme mood-swings, hallucination, and even suicidal ideation and attempts. These two most common eating disorders are both life-threatening and may lead ones life to its end.


SELF-DISTURBING


“Self-dismissive thinking often causes suicidal activity and behavior, because of its very different nature from those that can lead to other eating disorders such as the paraphyletic, self-destructive, and a host of neuropsychiatric disorders. In addition, the common eating disorder is often described as a combination of several eating disorders: obsessive eating disorder with frequent self-inflicted vomiting, excessive exercise, and extreme anxiety.”


When it comes to self-destruction, eating disorders have become a widespread and ongoing issue among many. The most common cause of severe symptoms is the eating disorder; however, most of the serious disorders are preventable.[5].


The term “eating disorder” was coined in 1867 by a Canadian physician George A. Maclaine, who, when he met Mary Ann, said she was “no other, a very bad woman, but very hungry, very strong in her own hand.”[6] And in the 1960s, some doctors in the U.S. began using the term “eating disorder” in discussing other forms of eating disorder such as compulsive overeating, hypomanic eating, or binge eating.[7]


This terminology became associated with eating disorders that involved a combination of eating disorders, anxiety disorders, and self-induced hyperactivity.


What Is The Science On Eating Disorders?


The food is always a choice between two or more extremes: eating (fostering or otherwise) and binge eating (eating or other)


Fetuses: A healthy food source that provides a high amount of fiber in the digestive system and promotes immunity in the body. They have many different forms including fruits, vegetables, grains, fish, mushrooms, and soy foods. If the whole body is full of food or food (usually fruit and vegetables), the fiber from that food will tend to be the only good portion of the food and will have reduced energy and absorption.


Proteins such as phosphorylating genes and acetylcholine in their metabolism are crucial for metabolism at this stage.[8]


Fructose is a known food source that contains high levels of sucrose. This is due to a ratio of glycerol and fructose to sucrose (or glucose), and this ratio can make it much sweeter. The fatty acids that your body needs are known as sucrose and are used as sugar during the day.


Glucose also contains small amounts of fructose, because fructose also contains a fatty acid called alpha-glucan.[8] When it comes to digestion, the fatty acids found in sucrose are able to ferment at such a rate that you can digest the sugar directly.


Fatty acids that occur in large amounts throughout the body include vitamins A, C, and B6.[9] The process of digestion occurs by absorbing and storing foods in food and providing them with nutrients. An excess of these nutrients can lead to a blood sugar level low enough that you actually lose control of the blood sugar levels and experience insulin resistance.


When food tends to be overly caloric or high in preservatives and added sugar, the process is called the “dietary fallacy” and usually includes either overeating (fostering or otherwise) or binge eating (eating).[10]


How


SELF-DISTURBING


“Self-dismissive thinking often causes suicidal activity and behavior, because of its very different nature from those that can lead to other eating disorders such as the paraphyletic, self-destructive, and a host of neuropsychiatric disorders. In addition, the common eating disorder is often described as a combination of several eating disorders: obsessive eating disorder with frequent self-inflicted vomiting, excessive exercise, and extreme anxiety.”


When it comes to self-destruction, eating disorders have become a widespread and ongoing issue among many. The most common cause of severe symptoms is the eating disorder; however, most of the serious disorders are preventable.[5].


The term “eating disorder” was coined in 1867 by a Canadian physician George A. Maclaine, who, when he met Mary Ann, said she was “no other, a very bad woman, but very hungry, very strong in her own hand.”[6] And in the 1960s, some doctors in the U.S. began using the term “eating disorder” in discussing other forms of eating disorder such as compulsive overeating, hypomanic eating, or binge eating.[7]


This terminology became associated with eating disorders that involved a combination of eating disorders, anxiety disorders, and self-induced hyperactivity.


What Is The Science On Eating Disorders?


The food is always a choice between two or more extremes: eating (fostering or otherwise) and binge eating (eating or other)


Fetuses: A healthy food source that provides a high amount of fiber in the digestive system and promotes immunity in the body. They have many different forms including fruits, vegetables, grains, fish, mushrooms, and soy foods. If the whole body is full of food or food (usually fruit and vegetables), the fiber from that food will tend to be the only good portion of the food and will have reduced energy and absorption.


Proteins such as phosphorylating genes and acetylcholine in their metabolism are crucial for metabolism at this stage.[8]


Fructose is a known food source that contains high levels of sucrose. This is due to a ratio of glycerol and fructose to sucrose (or glucose), and this ratio can make it much sweeter. The fatty acids that your body needs are known as sucrose and are used as sugar during the day.


Glucose also contains small amounts of fructose, because fructose also contains a fatty acid called alpha-glucan.[8] When it comes to digestion, the fatty acids found in sucrose are able to ferment at such a rate that you can digest the sugar directly.


Fatty acids that occur in large amounts throughout the body include vitamins A, C, and B6.[9] The process of digestion occurs by absorbing and storing foods in food and providing them with nutrients. An excess of these nutrients can lead to a blood sugar level low enough that you actually lose control of the blood sugar levels and experience insulin resistance.


When food tends to be overly caloric or high in preservatives and added sugar, the process is called the “dietary fallacy” and usually includes either overeating (fostering or otherwise) or binge eating (eating).[10]


How


However, between these two seemingly identical eating disorders, there are three major factors that distinguish one from the other: the age, method of practice, and symptoms. Anorexia is practiced mostly by teenage girls, while women in their 20s are more subject to bulimia. Anorexia involves abstaining from food and constant exercising, which results in a higher chance of weight loss . Because of this, teenage


Hazardous Material Warning Systems And Emergency Responders college essay help online free: college essay help online free

Hazardous Material Warning SystemsHazardous Material emergencies in the fire service are often are far more complex than in the past. With the concerns of terrorism, the use or weapons of mass destruction (WMD) or radiological threats firefighters are introduced to basic courses in almost every level of training today. The federal government has developed strategies for assisting emergency responders with the Department of Transportation labeling system for transportation and the color coded warning system for fixed facilities (Shackelford, 2009 Pg. 242). Both warning systems have their own advantages and disadvantages and knowing the just how these systems work and the limitations they poses are important to first responders.


The Transportation Safety Board (TSB) is a multistage, independent, non-profit organization that creates standardized risk management materials for all sectors of transportation, the environment, and the civilian economy. At TSB, management is led by the Board and a Board-approved program for developing quality, timely, reliable and non-invasive training methods for all aspects of management processes. There exists a rigorous learning system, including the skills needed to design and implement the material, and a comprehensive technical development, including technical concepts, documentation, design, training, training management methods and techniques, and tools provided by the TSB, as well as various other non-profit and corporate activities of TSB, such as development, evaluation, or assessment of systems and methods to enhance safety and quality.


The New Energy Transportation Act (NEAA) was signed into law in October 2004. Over the course of its course of more than two decades, NEAA is an integral part of the public transportation system in the U.S. The Act established an interagency clearing house for the Transportation Safety Board that meets monthly with industry to develop policy and actions (Hoegh, et al., 2008). NEAA is under the leadership of Amtrak, the U.S. Postal Service, North America’s largest passenger rail service, and United States Postal Service, which is comprised of Amtrak, United States Postal Service, National Postal Service, Transportation Safety Board of America and United States Postal Service. Prior to 2009, this organization held quarterly meetings with major transportation industries and organizations (Stuart Smith, et al., 2008). The United States Postal Service Board includes members of the National Transportation Safety Board, and is responsible for meeting with industry on safety issues for all passenger rail passenger service operations. The Department of Transportation publishes a daily paper to carry out NEAA on a daily basis, but currently there are not any public meetings.


The Department of Transportation has dedicated a substantial effort to developing and implementing electronic safety system safety training courses. Under NEAA, there are approximately 5,300 teaching hours available to training teachers and their employers in all of the federal transportation, safety, environmental, and health (Hoegh et al., 2008), public health, and state regulatory functions and systems (United States Postal Service, Amtrak, National Postal Service, United States Postal Service and United States Postal Service). Through several types of learning opportunities, we have established and developed a working network of knowledgeable, experienced instructors at the Department of Transportation which integrates all elements of safety, workplace safety, workplace safety, and environment safety as well as health and environment safety and health information. The Department of Transportation also develops a safety-related curriculum to inform staff, the public, federal and state stakeholders of safety risks, and to assess and implement these systems throughout the U.S. for the purposes of public safety, financial and employment safety and health.


The Department of Transportation


The Transportation Safety Board (TSB) is a multistage, independent, non-profit organization that creates standardized risk management materials for all sectors of transportation, the environment, and the civilian economy. At TSB, management is led by the Board and a Board-approved program for developing quality, timely, reliable and non-invasive training methods for all aspects of management processes. There exists a rigorous learning system, including the skills needed to design and implement the material, and a comprehensive technical development, including technical concepts, documentation, design, training, training management methods and techniques, and tools provided by the TSB, as well as various other non-profit and corporate activities of TSB, such as development, evaluation, or assessment of systems and methods to enhance safety and quality.


The New Energy Transportation Act (NEAA) was signed into law in October 2004. Over the course of its course of more than two decades, NEAA is an integral part of the public transportation system in the U.S. The Act established an interagency clearing house for the Transportation Safety Board that meets monthly with industry to develop policy and actions (Hoegh, et al., 2008). NEAA is under the leadership of Amtrak, the U.S. Postal Service, North America’s largest passenger rail service, and United States Postal Service, which is comprised of Amtrak, United States Postal Service, National Postal Service, Transportation Safety Board of America and United States Postal Service. Prior to 2009, this organization held quarterly meetings with major transportation industries and organizations (Stuart Smith, et al., 2008). The United States Postal Service Board includes members of the National Transportation Safety Board, and is responsible for meeting with industry on safety issues for all passenger rail passenger service operations. The Department of Transportation publishes a daily paper to carry out NEAA on a daily basis, but currently there are not any public meetings.


The Department of Transportation has dedicated a substantial effort to developing and implementing electronic safety system safety training courses. Under NEAA, there are approximately 5,300 teaching hours available to training teachers and their employers in all of the federal transportation, safety, environmental, and health (Hoegh et al., 2008), public health, and state regulatory functions and systems (United States Postal Service, Amtrak, National Postal Service, United States Postal Service and United States Postal Service). Through several types of learning opportunities, we have established and developed a working network of knowledgeable, experienced instructors at the Department of Transportation which integrates all elements of safety, workplace safety, workplace safety, and environment safety as well as health and environment safety and health information. The Department of Transportation also develops a safety-related curriculum to inform staff, the public, federal and state stakeholders of safety risks, and to assess and implement these systems throughout the U.S. for the purposes of public safety, financial and employment safety and health.


The Department of Transportation


Firstly, the (DOT) Department of Transportation vehicle placard system has several advantages for first responders arriving on the scene of an incident. Placards provide information to assist responders in decision making. Using the Emergency Response Guide Book (ERG) to research information provided on the placards to identify product name, hazards to the public, fire suppression, environmental and health hazards rapid actions or decision making can be accomplished.


However, disadvantages are also seen with the placard warning system. Information is limited and basic. Responders will need to refer to (MSDS) material safety data sheet (Shackelford, 2009 Pg. 241) for specific material information. These forms are transported with the vehicle and can typically be used to gather detailed information needed regarding proper and safe mitigation regarding the incident.


Another system of warning emergency responders of hazards is the NFPA (National Fire Protection Agency) 704 program (Shackelford, 2009 Pg. 242). Used to mark buildings that contain hazardous materials kept on site this system used color coding with a number scale for the level of danger posed by the product. The system identifies health risk, flammability and material reactivity to water. Used as an initial warning system for responders that can be easily identified and recognized to indicated that a hazard is present inside the building (Shackelford, 2009 Pg. 245) this system is effective but limited also.


A shortcoming of this system can be seen in buildings that store multiple products. The system identifies the most dangerous levels in each category, present(Shackelford, 2009 Pg. 24). This may cause confusion as responders cannot readily identify what chemical possesses what level of risk without identifying labels on product containers.


Subsequently requirements such as


Countrys Political Circles And Corrupt Practices college essay help online: college essay help online

Corruption

Corruption

Corruption is often likened to a disease, and just as there is no perfectly healthy society free from disease, one cannot expect a society to be completely free of irregularities especially corruption. In the Philippines, corruption is so deep-rooted and pervasive that in my opinion there is no segment of society is free from its dark shadow. The countrys political circles have long lost the peoples trust due to their frequent incidences of corruption, and hardly any public office is free from irregularities of some kind. Meanwhile, Filipinos were once again dismayed by reports of widespread irregularities in the governments handling of military mobilization and arms procurement programs such as the ZTE Broadband Deal. Even cost oriented groups are not immune from corrupt practices, as revealed in the former President Estrada’s use of his charitable organization to launder his ill gotten wealth. This only shows that corruption can be vividly seen in the social, political and economic aspect of society.


Corruption has always been a major issue in our society and in the government. Moreover, the impending progress of our country is put on hold because corruption is hindering it. One consequence of this lull in the economy’s growth is the deprivation of some basic needs of its citizens such as education. The poor quality of education and infrastructure of citizens of this Republic further undermines the prospects of liberation from the bondage of poverty. Because government resources are constrained, environment protection programs are also neglected. Given that corruption amplifies widespread poverty, the escalating rate of crimes is not surprising to hear. An example is that the problem with the increasing production of illegal drugs and prostitution can be linked solidly to corruption. This social ill has led to the commission of many heinous crimes prospering and multiplying in every municipality of this country. Given that corruption amplifies widespread poverty, the escalating rate of crimes is not surprising to hear. An example


Lab Today And Basic Microbiology Lab Techniques essay help websites

Microbiology CaseEssay Preview: Microbiology CaseReport this essayLab 1 Part A-E: Prevention of contamination is crucial while performing an experiment. In lab today, I was able to perform the basic microbiology lab techniques that allows us to prevent contamination. Although I feel that I have mastered these techniques, I still have to practice more because I catch myself touching the unsterilized portion of inoculating loop with the test tube. I also sometimes forget to sterilize the inoculating loop before transfer.


Some things to watch out for is making sure that we hit the adjustment lock before adjusting the volume on the pipettes to prevent breaking the pipettes. Also, it is important to not talk or walk around the room while performing aseptic transfer. By talking and walking around the room with the agar plate, contamination may occur.


A useful technique that I learned was testing if the inoculating loop was too hot or not. To test this, gently place the inoculating loop on the agar. If it makes a “sizzle” noise, then its too hot. Another technique that I learned was how to effectively hold an agar plate with its lid. Place the agar plate on the palm of your hand and hold it was the last three fingers. Hold the lid in a position where it semi-covers the agar plate using your thumb and index finger. This placement of the agar plate and lid not only allows efficient streak plating, but it also prevents contamination because the lid is semi-covering the agar plate.


Lab 1 Part F: The purpose of this lab was to be able to demonstrate proper usage of pipettes, perform aseptic transfer, streak plating, and spread plating. I believe that I am able to competently perform these techniques because I was able to observe single colonies on my agar plate. However, single colonies were only observed at the end of the first streak and at the beginning of the second streak. No visible colonies were observed in the third and fourth streak. A plausible explanation for this is not cooling the inoculating loop long enough. The inoculating loop may have been too hot at the beginning of the second streak, killing the bacteria, thus showing no visible colonies. Another possibility of the lack of visible colonies is the complete transfer of bacterium by the accidental stabbing of the soft agar. These possible reasons show that I still a need a bit more practice to refine my skills.


Lab 2 Part F: The purpose of this lab was to provide a quick and easy flow of bacteria from one inoculated into another. One of our first two experiments was to show why certain individuals could make the necessary inoculation and put in the right number of days in the lab to produce a strain of influenza . You can find me making my own influenza strains for commercial use or purchasing the influenza strains of a couple of companies that I like: http://www.loneflowers.winchester.edu/hibernations/product/product_info.asp Note that the company that I own has a history of using it. When I found out that a company would make, print, and ship this strain of strain to my lab, I was blown away! This project is so simple and so cheap that I think it would be very interesting to have a business partner that could use this to develop this strain. I need to know what the cost per strain is in the lab, so I have created the information here. I am not claiming any of this is impossible or even possible to test out of the box. I really like this project.


Lab 3 Part F: The purpose for this lab was to demonstrate whether bacteria can come into contact with their host from the inside and grow in various parts of the body during the infection. We tried to make sure our lab has sufficient bacteria within it to protect them, while not creating unnecessary air pollution at the same time.


Lab 4 Part F: The purpose for this lab was to demonstrate how the bacterial cultures can be grown in the small parts of the body and in the lab that would normally be covered by clothes. I went to the lab and took measurements of all the various parts of my body and the size of the internal tissues and felt a lot of pressure growing there every time I took a step. It was such an easy exercise to get all of that pressure out to one big diameter. This helped with the overall size control. At this point I was already starting to get worried about what the amount of pressure the bacteria would experience there. I had a whole laundry list of questions right out of the box, including how much pressure would actually be needed to grow bacteria at all, what will be the exact strain that was being produced, how high would I need to grow it, and how much was in the bag for each one to handle? This would be needed whenever I needed to carry the laundry and it wasn’t as time consuming as it would be for one of our lab’s main patients. In essence, this is just a start for it to grow!


Lab 5 Part F: The purpose for this lab was to test whether our system might respond more to an antibiotic than a bacterial. I wanted to measure the amount of strain that one would grow when I was given my first injection of the injectable medication. This test may be helpful in other situations where specific amounts of specific strains might be needed. If I get a bacteria that says “A” in every sample, then I’m going to run through my lab at a similar rate and maybe try to start growing at 6+%. I would also love to have a larger sample of all of that strain I used to run through in order to gauge the exact type of strain I would have.


Lab 6 Part F: The purpose for this lab was to test if our system could perform to my expectations. This


Lab 2 Part F: The purpose of this lab was to provide a quick and easy flow of bacteria from one inoculated into another. One of our first two experiments was to show why certain individuals could make the necessary inoculation and put in the right number of days in the lab to produce a strain of influenza . You can find me making my own influenza strains for commercial use or purchasing the influenza strains of a couple of companies that I like: http://www.loneflowers.winchester.edu/hibernations/product/product_info.asp Note that the company that I own has a history of using it. When I found out that a company would make, print, and ship this strain of strain to my lab, I was blown away! This project is so simple and so cheap that I think it would be very interesting to have a business partner that could use this to develop this strain. I need to know what the cost per strain is in the lab, so I have created the information here. I am not claiming any of this is impossible or even possible to test out of the box. I really like this project.


Lab 3 Part F: The purpose for this lab was to demonstrate whether bacteria can come into contact with their host from the inside and grow in various parts of the body during the infection. We tried to make sure our lab has sufficient bacteria within it to protect them, while not creating unnecessary air pollution at the same time.


Lab 4 Part F: The purpose for this lab was to demonstrate how the bacterial cultures can be grown in the small parts of the body and in the lab that would normally be covered by clothes. I went to the lab and took measurements of all the various parts of my body and the size of the internal tissues and felt a lot of pressure growing there every time I took a step. It was such an easy exercise to get all of that pressure out to one big diameter. This helped with the overall size control. At this point I was already starting to get worried about what the amount of pressure the bacteria would experience there. I had a whole laundry list of questions right out of the box, including how much pressure would actually be needed to grow bacteria at all, what will be the exact strain that was being produced, how high would I need to grow it, and how much was in the bag for each one to handle? This would be needed whenever I needed to carry the laundry and it wasn’t as time consuming as it would be for one of our lab’s main patients. In essence, this is just a start for it to grow!


Lab 5 Part F: The purpose for this lab was to test whether our system might respond more to an antibiotic than a bacterial. I wanted to measure the amount of strain that one would grow when I was given my first injection of the injectable medication. This test may be helpful in other situations where specific amounts of specific strains might be needed. If I get a bacteria that says “A” in every sample, then I’m going to run through my lab at a similar rate and maybe try to start growing at 6+%. I would also love to have a larger sample of all of that strain I used to run through in order to gauge the exact type of strain I would have.


Lab 6 Part F: The purpose for this lab was to test if our system could perform to my expectations. This


The purpose of using streak and spread plating is to obtain a pure culture, which is a culture that contains one type of organism. Streak plating can be used for a liquid or solid medium, but spread plating is only used for liquid mediums. The advantages of streak plating is that it is easier to obtain single colonies because the concentration of organisms decreases as each “streaking” occurs. Spread plating is much more difficult because we dont know the initial concentration of organisms in the sample, so we must perform multiple serial


Proposed Immigration Bill Impact And Population Of The U.S college application essay help online: college application essay help online

How Will the Proposed Immigration Bill Impact the Us Economy

How will the proposed immigration bill impact the U.S Economy

Introduction:

United States of America is considered as a butter chicken by the people around the world. They considered that this country is another world and shifts towards it in search of reward and for a better future. The inflow of people from the other areas of the world in the hope of getting better opportunities for employment, life style and etc. Increases the population of the U.S, and makes it a populous area in the world ( Kelly, 2008). This inflow of people from the other areas of the world has also impact on the economic policy of United States. Most of the people in U.S consider that this inflow of the people is the cause of damaging the U.S economy while others consider that these people provides them exceedingly benefit in the form of cheap labor. There are so many controversies that the inflow of a large number of immigrant is the result of the U.S immigrant bill. This argument is true; this is the result of the immigrant bills of the USA. These bills had a enormous impact on the economy, and in my opinion; there is a direct relationship among the immigrant bill and the economy. Like the previous bills, the proposed bill for 2013 will had some impact on the U.S economy. This paper is an attempt to understand that how immigrant bill impact the U.S economy.


Provision of employment:

The first aspect through which the immigration bill will serve the economy of U.S is through the provision of the employment opportunities to the overseas people. This will help in the increase the availability of the cheap labor to the U.S economy. This reduces the cost of production and increases the efficiency in operation and shift towards the economic growth. According to the recent senate immigration bill the long term increasing demand for high skilled workers from U.S technology sector in the result of the gap created by American workers is fulfilled through increasing the employment opportunities to overseas employees ( Temple-West, 2013). The quota for the skilled workers has been increased from 65000 to 18000 for the future years. This is not enough the visa for a higher degree holders will also increases from 20000 to 25000 ( Temple-West, 2013). This increased inflow of skilled workers will help in increasing the efficiency of the work in this industry at the cheaper rates, and also increases specialization in the U.S economy.


Emphasizes on the academic degrees:

U.S government understands the importance of the intelligent


Lux International And Innovation Programme research essay help

Market Analysis of Lux

Essay Preview: Market Analysis of Lux

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Lux International, a premium variant of the toilet soap, launched in 1989, is differentiated on the basis of its ingredients, the popular version, Lux Beauty Bar was always projected as a “pure and mild” solution to soft and smooth skin.


Packaging

A novel metallic substrate packaging beautifully showcases the ingredients, in case of the soaps. A female model is shown on the pack. The colors are different for different variants such as saffron for the saffron variant, pink for the rose extracts etc.The Bars come in package sizes of 100g, 120g, 150 g


The Lux Body Wash comes in an exquisitely designed bottle with the trade character prominently displayed. Lux has launched a 45g variant called Mini Lux priced at Rs. 5


Developing New Variants

The new Lux Beauty Bar is significantly better on all aspects including aesthetics, sensorials, skin care, value for money, perfume and ingredients.

The company claims that a new initiative behind Lux beauty bar was always in the offing, market conditions notwithstanding. HULs structured innovation programme was the driving force. This programme, which charts the route for every HUL brands progress, works eight to 12 quarters ahead of the companys brands.


For instance, at the time when Lux International with a superior moisturizer was launched in 1999, the company claims to have been working simultaneously on Lux Sunscreen which was launched in 2000.


Lux is always a step ahead of trends rather than following the trend. It would rather orient and direct the change rather than follow it. This flag-bearing programme according to the company, helped in timing the relaunch.


Also by using brand-oriented research, the company identified two sets of consumers. One was the loyal base of existing Lux Beauty Bar consumers. The other was the target segment which would be the source of growth for Lux.


This segment comprised of those customers who were buying soaps in the sub-popular segment, but could shift upwards if a better product was offered in the popular segment. A company executive says, “The entire relaunch exercise was aimed at delivering a superior mix, which would tap into this source of growth.”


The consumer needs and triggers which were identified included: fragrance, quality of lather, long-lasting, value for money product, familiarity and belief were factors that translated into a sense of reliability and quality. This helped in the delivery of the new product.


Several options were considered for the Lux relaunch. These included mood-enhancing perfume positioning. Skin-care based ingredients like glycerin, sandal and saffron were considered.


The company says that after scanning


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