Monday, September 30, 2019

Does Facebook Help or Hinder Offline Friendships Essay

Some of the effect of the ever-growing social networking is the lack of face to face interaction. Now websites such as Facebook allow you to find your long lost friend but hinders the ability to go out and meet friends face to face. The question remains does it help or does it hinders a person’s interaction ability. In my opinion it helps that person get over the social anxieties and be able to communicate so when a person meets face to face it is not so awkward and being able to communicate builds confidence when speaking. There was an article in the New York Times where they asked this very same question. Which state that â€Å"If anything, Facebook has helped me sift through the friends I’m happy with keeping at arm’s length by offering the perfect vehicle to do it through. â€Å"(Wortham, 2011). Being able to sort out your friends and like Wortham stated at an arm’s length it helps. Cultural Impact The impact that social media plays in our everyday life is extraordinary but for some there are mixed emotions. Some culture such look down upon social media because it could be dangerous or even discourage you away from your beliefs. It could impact an entire family or have people find out information about you that should be private. I feel for the most part most cultures rely on social media as much as the mainstream society. It’s an easy and inexpensive way to keep in touch with friends and families across the globe. Besides the Amish and some Middle Eastern cultures I find the it helps to better know your friends and help you to meet new ones that you would of never met if it wasn’t for social media.

Sunday, September 29, 2019

Industry Analysis Breadtalk

Industry Analysis Future outlook and trends For its outlook, BreadTalk planned for the China and regional market and rising food cost. This is the largest challenge for the Bakery business. BreadTalk is going to shorten the supply chain and buying in bulk globally for economies of scale. Shanghai is one of the example that BreadTalk have successfully piloted using frozen dough to arrest rising labour and rental costs while maintaining the quality of our products. This is to encourage that BreadTalk will explore the possibility of extending this initiative beyond Shanghai. The BreadTalk Transit model has also proven to be an efficient model for swift expansion and its potential we will be harnessed to expedite growth. For Market Trends, KFC, McDonald's, Long John Silver's and Pizza Hut were dominating most of the chains in the past in Singapore. However, trends have been changed for decades. Local Brands were replaced. BreadTalk controls 55% of Indonesia’s bakery market and it becomes giant franchises dominate the Southeast Asia region. (Fresin Fries,2012) Analysis of competitors BreadTalk operates in the highly competitive F&B industry which has close to no barriers to entry. Some of its competitors are established players in the bakery and confectionery industries and may have greater financial and marketing resources. The entry of new competitors into the same F&B segments or into the immediate areas around the group’s retail outlets may affect its earnings (CIMB Research Report,2009). Focusing on main competitors, the direct competitors of BreadTalk outlets are local names such as Four Leaves and My Bread (CIMB Research Report,2009). Market segmentation BreadTalk divides itself into three segments: bakery, food court and restaurant. The bakery segment is not only bakery products but it includes the business of manufacturing and retailing of all kinds of food also franchising. For the management and operation of food , drinks and drinks outlets are in the segment of food court. For operating food and drinks outlets, eating houses and restaurants are in restaurant segment (CorporateInformation. com, 2012). Industry forecasts According to CIMB Research Report in 2009, BreadTalk expected its revenue to grow at 10-15% over from the year 2009-2011. It is no longer part of the group after the disposal of its 70%-owned Twin Peak Venture Singapore Pte Ltd. BreadTalk expected profit growth to pick up to around 31% this year from the opening of new outlets in 2009 and lower raw material costs. Its net profit was forecasted CAGR of 29. 3% for 2009-2011. Description of Venture Products and Services BreadTalk ® Group Limited runs 7 sections of products and service. BreadTalk, the first section, keys as the bakery chain that has over 1,000 different types of bakery. While the Icing Room, second, sells a wide range of cakes, pastries and cookies and brings with it a unique proposition of allowing customers to decorate their own cakes. Third, Toast Box was developed in 2005 as the coffee shops in the 1960s and 70s generation. It serves traditional favorites such as peanut butter thick toast, mee siam, kaya toast and soft boiled eggs. Coffee and other hot beverages are also prepared in the traditional â€Å"pulled† style. Food Republic , fourth, offers a wide spread of local hawker and street food under one roof and in an air-conditioned environment. Fifth, Din Tai Fung Din is known for the healthy house specialties such as its ‘Xiao Long Bao’ (steamed pork dumplings). Sixth, Carl’s Junior which is a fast-food chain offering juicy, premium-quality charbroiled burgers in western US. The last one, The Station Kitchen which is the group’s integrated F&B concept for diners, one of Singapore’s latest clubbing hot spots (BreadTalk,2012). Size of business BreadTalk was founded as F&B operator in Singapore in 2000 and listed on the SGX in 2003 and became BreadTalk ® Group Limited with global staff strength of more than 6,000 employees, the Group has a network of over 500 bakery outlets in 16 countries. It also operates 13 Michelin Star Din Tai Fung restaurants in Singapore and Thailand, as well as over 30 award-winning Food Republic food atrium in Singapore, China, Hong Kong, Malaysia, Taiwan and Thailand. (BreadTalk. com,2012). According to SME award winning for 2010 in Singapore, HSBC was the key to sponsor the award of SME together with DP Information Group, has helped elevate the status of SMEs and entrepreneurs by acknowledging their achievements. Exactly, Breadtalk Group Limited was achieved Sales/Turnover Growth Excellence Award (HSBC. com,2012) Office equipment and personnel The concept of Breadtalk is about the bakeries with our distinctive sleek and clean lines and signature ‘see-through' kitchens showcasing the expertise of our bakers. It also make customers feel familiar and warm close friendships into its stores. Happy Chefs are the new characters of Breadtalk in different nationalities. The centerpieces of the stores are the bread display cases. It is cut out like facets of a diamond, bringing out the freshness like their jewels – the freshly baked aromatic breads. The new stores also recreate the atmosphere of a friend's kitchen. Equipped with new state-of-the-art bakery equipment imported from Germany, Spain and Japan, the taste, aroma, quality and texture consistency of our breads are further enhanced. New staff uniforms also environmentally-friendly packaging for all products complete the entire new look. The new concept stores will be rolled out gradually in Singapore and overseas to further reinforce a cohesive branding effort (BreadTalk,2012) Background of entrepreneurs BreadTalk was incorporated in Singapore on 6 Mar 03 as an investment holding company. Its principal subsidiary, BreadTalk Pte Ltd, is a private limited company incorporated in Singapore on 24 Apr 2000. The group was founded by its managing director, Mr George Quek and Executive Director, Ms Katherine Lee. It was listed on the SGX Catalist Board in 2003 (CIMB Research Report,2009). Brief For industry analysis can be summarized into Market segmentation of BreadTalk were divided itself into three segments: bakery, food court and restaurant which many subordinated lines of the main segmentation. Analysis of competitor from CIMB Research in 2009, the direct ompetitors of BreadTalk outlets are local names such as Four Leaves and My Bread Future outlook and trends was planned by BreadTalk to expand into China and regional market and rising food cost. As it is the largest challenge for the Bakery business. BreadTalk is going to shorten the supply chain and buying in bulk globally for economies of scale. Industry forecasts was reported by CIMB Research in 2009 that BreadTalkâ €™s revenue grew as they expect and the net profit was forecasted to grow up more in 2009-2011. Description of Venture Products and Services of BreadTalk ® Group Limited can be grouped into 7 sections : BreadTalk keys as the bakery chain. The Icing Room sells a wide range of cakes, pastries and cookies and allowing customers to decorate their own cakes. Toast Box is the coffee shops in the 1960s and 70s generation. Food Republic offers a wide spread of local hawker and street food with an air-conditioned environment. Din Tai Fung is the healthy house. Carl’s Junior is a fast-food chain offering juicy, premium-quality charbroiled burgers in western US. The last one, The Station Kitchen is the group’s integrated F;B concept for diners. Size of business, BreadTalk was founded as F;B operator in Singapore in 2000 and listed on the SGX in 2003 and became BreadTalk ® Group Limited and won SME awards from many institutions. Office equipment and personnel were renew again with the concept of friendly kitchen , friendly friendship and the most clean. Background of entrepreneurs said in CIMB Research Report in 2009 that BreadTalk was incorporated in Singapore on 6 March 2003 as an investment holding company. The group was founded by Mr George Quek and Executive Director, Ms Katherine Lee. It was listed on the SGX Catalist Board in 2003. Reference BreadTalk. com, 2012, Breadtalk Concept retrieved 19 July, 2012 from http://breadtalk. listedcompany. com/concept. html Breadtalk. com, 2012, Business Review, retrieved 19 July, 2012 from http://www. breadtalk. com/business-review. html Fresin,F. , 2012, Fast Food Restaurant Business Plan, Market Segmentation, retrieved 19 July, 2012 from http://www. bplans. com/fast_food_restaurant_business_plan/market_analysis_summary_fc. php#ixzz213vUZ1us CIMB Research Report, 2009, BreadTalk Group Limited, Main competitors, retrieved 19 July, 2012 from http://breadtalk. listedcompany. com/misc/BreadTalk_Initiation. pdf CIMB Research Report, 2009, BreadTalk Group Limited,Background, retrieved 19 July, 2012 from http://breadtalk. listedcompany. com/misc/BreadTalk_Initiation. pdf CorporateInformation. com, 2012, Breadtalk Group Ltd, retrieved 19 July, 2012 from http://www. corporateinformation. com/Company-SnapShot. aspx? cusip=C702VL300;from=Manta HSBC. com , 2012, Industry Event , retrieved 23 July,2012 from http://www. hsbc. com. sg/1/2/business/news-and-events/events/sme500

Saturday, September 28, 2019

The place of the doctrine of parliamentary sovereignty in the Assignment

The place of the doctrine of parliamentary sovereignty in the government of the United Kingdom has changed in recent years and - Assignment Example This concept consists of two cardinal principles. First, Parliament has the power to make or annul any law irrespective of its nature. Second, no other agency, entity, or person has the power or right to override or annul the statutes made by Parliament (Warren, 2008, p. 3). In Britain, the sovereignty of Parliament has been reviewed in domestic and international contexts. As a member of the European Union, Britain had to permit the incursion of the laws of the European Council. This required Britain to review its domestic laws, on a regular basis, so as to ensure that they were compatible with the European Council (EC) law and Britain’s international obligations (Ginsburg, 2003, p. 3). As a result of these developments, the national courts in Britain have to interpret domestic law in the light of EC law. An important constituent of the common law is the fundamental tenet of legislative supremacy. Nevertheless, it would be erroneous to describe it as being inviolable. In fact, there are a number of precedents that inexorably establish that legislative supremacy can be altered by judicial decisions and Acts of Parliament. Consequently, it is imprudent to vehemently assert the supremacy of Parliament (Bradley & Ewing, 2007, p. 78). The inexorable incursions of European integration have significantly diluted the Diceyan principle of legislative supremacy. Thus, the courts, consequent to empowerment by the Human Rights Act 1998, are nearly proximate to a position, whereby they can rescind an Act of Parliament. Moreover, the introduction of the principle of devolution implies that legislation is not the sole preserve of Westminster (Bradley & Ewing, 2007, p. 78). In the UK, an Act of Parliament had precedence over any other international law, under the doctrine of Parliamentary sovereignty. This was the situation in the UK prior to its becoming a member to the European Union. The enactment of the European Communities Act 1972 changed this situation by making the national laws subordinate to EC law (Fabunmi & Araromi, 2009, p. 198). As such, the European Communities Act 1972 obliged the Member States of the European Union to circumscribe their sovereign rights. This was the outcome of their having to transfer power from their domestic legal system to the EC. Thus, EC law takes precedence over domestic law (Fabunmi & Araromi, 2009, p. 198). Furthermore, every Member State has to implement the provisions of the Treaties and give legal effect to them, without any deviation. Consequently, the UK Parliament is constrained by the European Communities Act to enact laws that are compatible with Community Law. Specifically, section 2(1) of the European Communities Act 1972, precludes Parliament from making laws that are incompatible with Community Law. Furthermore, the provisions of this section make it obligatory for Parliament to give effect to the EC Treaties in its legislation. Thus, EC Law has to be recognised and implemented. Membership of the European Union caused the UK to change its system of weights and measures to the metric system. This was greeted with considerable hostility among the public and culminated in the Thoburn v Sunderland City Council or metric martyrs’ case. In its ruling the Court of Appeal opined that the Parliamentary sovereignty was seriously impacted by the European Communities Act 1972. This specific Act had engendered the harmonisation of the domestic legislation of

Friday, September 27, 2019

Kant and Locke Essay Example | Topics and Well Written Essays - 1000 words

Kant and Locke - Essay Example The two are not only concerned with the individual, but also the manner in which the individual interacts within a group, and the consequent tensions that may occur out of these interactions. This essay attempts to explore the manner in which both Locke and Kant address the concept of human freedom. Freedom, or the manner in which individuals are in a position to act on their own accord, is an important philosophical argument in the contemporary world. History indicates that Kant supported multinational organizations and the republican government. He had a strong faith in the universality of humanity. However, Kant argued that the natural end that everybody seeks to accomplish is personal happiness (Kant 98). However, the concept that people act out their own accord does not communicate all that Kant meant. According to Kant (6), nothing in the world can be regarded as good without sufficient reasons. Kant argues that as humans, we cannot prove that freedom is something real within o urselves and in the human nature. In Kant`s thinking, human thinking revolves around a circle. People tend to assume that they are free so that they think the moral law as are meant for them and as a result, they must obey them. To Kant, freedom is a subjective state of the mind, a concept of reason, which may be difficult to comprehend in reality. Thus to Kant, human freedom is embedded in the term enlightenment which to him is a process through which people free themselves from immaturity state of which they themselves take the responsibility. Locke believed that every person has the ability to govern himself and that each individual is equal to every other person. He refers to this as state of nature where he says every man has total liberty to act as he wills, free from interference by any other person. To Locke, in the state of nature, the enjoyment of freedom is uncertain because it is invaded by others who act as they wish; making enjoyment of property a person has in this st ate very unsafe. This natural state eventually comes into a state of war where men turn against one another. When men are faced with this condition, they quit the state of nature which is full of dangers and put themselves in government for the protection of their property giving up their freedom to do as they wish. To this extent, it’s true to point out that everyman is naturally free and that nothing subjects him to any power or authority without his consent. Consequently, human freedom in a consented government is where the people trade off their liberty and power entrusting them to the government they form in exchange of protection of their property peace and safety. The issue of the relationship of the concepts of natural rights construal, and freedom and equality is at the centre of discussion today as it was many centuries ago. Whereas Kant’s concept of freedom and equality and the views of Locke’s natural rights are generally accepted as the epitome of l iberalism, the equality concept in relation to liberty still remains a subject of discussion. Kant views individual freedom in the context of equal opportunity for all. He claims that a person has one natural right only, that is freedom - the state where one is actually independent from being influenced or constrained by another person’s choice. Because of this right an individual may not be coerced arbitrarily, and not because of property right that covers self-ownership. In addition, Kant suggests that the pursuit for equality is lawful when there is no interference with the enjoyment of individual autonomy. Kant holds that equality and freedom is a state where an individual enjoys liberty without necessarily interfering with another person’

Thursday, September 26, 2019

Homelesssness in uk Essay Example | Topics and Well Written Essays - 1000 words

Homelesssness in uk - Essay Example Thus, the given paper will provide the analysis of the causes of homelessness and the current situation in the UK. The laws of the United Kingdom put homeless people in very difficult situation. Due to the fact that since 1990s, housing policy in the UK has been a devolved matter, thus, homeless has not receive According to the research, millions of people are ‘hidden homeless’. This term can be applied to the families, which have to live with relatives or other families, because they have no money to pay for their separate residence, and ‘sofa surfers’ who had to spend night in their friends’ apartment. In 2013 the number of such amounted to 2,414 –37% more than in 2010. However, not all the cases are included in statistics and the real number of â€Å"sofa surfers† can be much higher (Patrick Butler 2015) Investigations show that the issue is becoming more and more complicated, thus it needs urgent resolution. The measures should be taken in practice and pure theoretical research is not enough. Homelessness occurs because of person’s life circumstances and the conditions created by the government. The reforms directed on the standard of level increase are the best way out (Patrick Butler 2015). Recent reforms such as benefits cuts contributed to the growth of number of homeless. 2. Structural reasons Structural consequences of homelessness affect the economy of the state and the standard of living in the society, moreover, they are very difficult to be monitored. The growth of unemployment rate and poverty are the main causes of homelessness The majority of homeless people do not consider themselves guilty in being homeless. They accuse their relatives, spouses, friends or other circumstances. The homeless consider welfare reforms to be the best way to struggle with the problem. Homelessness prevents people from living normal life. They appear to be isolated from the society, because they are homeless. Very often they remain uneducated, have

Wednesday, September 25, 2019

Marketing Law and Ethics Essay Example | Topics and Well Written Essays - 2250 words

Marketing Law and Ethics - Essay Example Organizations today have to adhere to the minimum environmental and ethical standards while conducting their operations locally or globally (Schlegelmilch, 1998, p.7). The project seeks to present some of major ethical issues faced by organizations. In this context the case of British petroleum oil spill would be considered and the various CSR that the organization undertook thereafter. The company has been criticised of being responsible for some of the major safety and environmental accidents. Since then the company has been involved in a number of socially responsible activities and voiced their concern for the climatic changes arising out of such businesses. It has also tried to implement practices of curtailing the emission of greenhouse gases. The project then seeks to analyze and evaluate the interactions between the marketing practices and the moral, legal and ethical environment in which the company operates. ... These factors have not only been resulting in loss of the company’s goodwill but have also generated huge revenue losses. As the company accounts for a major strength of the economy, earning a bad reputation would eventually result in a shock for the British economy (Lustgarten, 2010). The thought that the company has not been acting in socially responsible manner causes damage to the economy as well. CSR activities must be such which contributes to the economy while a poor CSR causes damage to the economic benefit of the nation on the whole (Werther & Chandler, 2010, p.28). BP has also been accused of a number of major accidents which has caused injuries to workers working in the company. This has been responsible for the arrival of a number of legal issues. A number of rules and compliances have come up for safeguarding the interest of workers. Companies have to specially abide by such compliances in the form of compensating for the loss of workers in case they meet accident s and injuries during the time of service. Companies have to implement sufficient safety standards for ensuring the safety of workers and their wellbeing. Criticisms regarding ethical issues were pointed at the company when it was charged of manipulating the prices of propane. In fact In that case, it had to settle the issue with the United States Department of Justice. Moreover it had to make a payment of $300 million in the form of fines for the purpose. This can be considered to be a case of ethical failure of the firm. The above accidents and incidents also reflect the status of moral standards followed in the company. The families of those workers meeting with accidents in the company have been claiming compensation on

Tuesday, September 24, 2019

Research Paper Essay Example | Topics and Well Written Essays - 3750 words

Research Paper - Essay Example Moreover, in case that an agreement is developed between a firm and an advertising agency, this agreement needs to be aligned with the firm’s culture and aims. Otherwise, the chances for the survival of this agreement would be limited. In the case of General Motors, another aspect of the relationship between the firm and its advertising agency has been given: the above relationship reflects specific interests; if these interests are changed, then the cooperation between the above parties may be ended. In this context, General Motors had to terminate its cooperation with the advertising agency Publicis Groupe SA., almost a month after the above agency replaced Campbell-Ewald (an agency which had the responsibility for the advertising campaigns of Chevrolet since 1919). Indeed, in May 2010, General Motors switched to Goodby, Silverstein & Partners (part of the Omnicom Group) from Publicis Groupe S.A. – a cooperation that lasted – as noted above – for, just, about a month. The decision of GM to switch to Publicis Groupe SA will not particularly analyzed – since it was for an agreement that last for about a month. Rather the reasons for the termination of the firm’s cooperation with Campbell-Ewald – a cooperation, which started in 1919 – and for the development of an agreement with Omnicom Group need to be further analyzed. In accordance with Krisher (2010) the managers of GM did not give particular explanations for their decision to terminate their cooperation with Campbell-Ewald; on the other hand, the managers in GM had noted that there were problems in the performance of Campbell-Ewald – especially regarding ‘advertising and marketing’ (Krisher 2010). In the past, the above agency had significantly supported the expansion of Chevrolet across USA through the well-known ads of ‘See the USA in your Chevrolet’ (Krisher 2010), an ad of 1950s and ‘Like a Rock’ (Krish er 2010) in 1990s. It is suggested that GM should reconsider its decision to change its agency, taking into consideration the success achieved for the firm in the past through the ads of Campbell-Ewald. On the other hand, in May 2010, GM changed its marketing director; the new marketing director of the firm, J. Ewanick, had previously worked in Hyundai; there he managed to achieve a significant increase of the firm’s sales through the Goodby, Silverstein & Partners (Woodall 2010); the first target of J. Ewanick as the marketing director of GM has been the change of the firm’s traditional marketing strategy – which has been characterized as too conservative (Woodall 2010); the switch in the firm’s agency – from Publicis Groupe S.A to Goodby, Silverstein & Partners – should be regarded as part of this effort (Elliott 2010). b. Find examples of advertising and other promotional programs that were developed by the old agency and examples of ads developed by the new agency. Do you think the advertising campaign and messages being developed by the new agency are better and/or more appropriate for the company than those of the old agency? Why or why not? The effectiveness of the two agencies, Goodby, Silverstein & Partners (current agency of GM, from May 2010 onwards) and Campbell-Ewald (agency of GM from 1919 up to April 2010) would be examined by referring to examples of their advertising practices. The examination of the advertising pract

Monday, September 23, 2019

E Essay Example | Topics and Well Written Essays - 500 words

E - Essay Example Low interest rates have several impacts on the state of the economy. When interest rates are low, savers get very little returns; hence, they are discouraged from holding money, thus, prefer to spend it. It also makes borrowing cheap meaning that individuals and firms will be encouraged to borrow more and spend on investment. In addition, the low interest rates will lead to depreciation of the currency value, as people would prefer to save in another country with better interest rates. The high spending will lead to an increase in aggregate demand, which will in turn lead to an increase in the rate of inflation. Keeping the interest rates low can be a means of stimulating economic growth. In the recent past, the global rate of economic growth has been low. By keeping the interest rates low, there will be a decrease in the value of the dollar. This will make importing more expensive, thus, encourage people to buy locally produced goods, leading to an increase in aggregate demand of domestic products that will in turn lead to an increase in output, productivity and employment. Therefore, when there is a high rate of unemployment, the Feds can keep the interest rates low, a factor that will have an eventual impact of stimulating growth of the economy. The amount of investment in bonds and treasury bills will be affected by the current and expected rate of interest. Investors will invest their money on the stocks or bonds that they expect will have the highest rate of return. If the rate of interest is expected to remain low, investors will tend to invest more as they expect aggregate demand to increase which in turn will translate to higher business earning and returns. If they expect the rate of interest to rise, they will tend to invest in short term bills. Interest rates have an effect on the price of bonds. The price of the bond is inversely related to the interest rate. As the rate of interest rises, the price of the bonds

Sunday, September 22, 2019

Key Skills of Management Essay Example for Free

Key Skills of Management Essay 1. Introduction In this essay I have attempted to describe the key skills of management, in my opinion, and how working with others can develop them. I have drawn on my own experiences as a manager and reinforced my answers with research from the internet and other reference sources. There are various skills needed for good management, some skills are learned others are instilled as a part of that person’s nature. Within this essay I discuss these skills and the importance of good management behaviour. 2. Key skills my viewpoint I manage four teams, each consisting of 15 members of staff. Within each team is a supervisor whose task is to monitor the running of the operation line and to inform me of any deviation from the norm. I am privileged enough to have a support team of a quality facilitator, two fitters, an electrician and a process engineer, who I direct to assist with the events of the day. Enthusiasm and motivation I am enthusiastic and self-motivated; I maintain this through seeing issues as a challenge and an opportunity to test my skills. If I am enthusiastic then my staff will be encouraged to be motivated too, ‘It’s hard to be productive without enthusiasm.’ (Gates B) Henri Fayol states that there are fourteen principles of management. In principle number seven (Remuneration) Fayol argues that ‘Workers must be paid sufficiently as this is a chief motivation of employees and therefore greatly influences productivity.’ I personally do not feel that this is a chief motivation even though it is a factor but that job satisfaction and also a sense of belonging are greater influences in productivity. Communication I believe it is important to have a pre-shift meeting with the supervisors and run through what is planned for the day. Any concerns are raised prior to the start of the shift, so we have a clear direction of how we are going to achieve these goals. I try to keep meetings informative, constructive yet light and brisk. I feel it is important that we start the day with a can-do attitude. It is important to me that the delivery of any communication is clear, precise and accurate. Communication works two ways and I feel that we only learn by listening. I operate an open door policy, where any member of staff at any level can speak to me. Encouraging growth of people and business I want to encourage growth within the company; in order to do this I develop people by encouraging them to learn new skills and keep up-to-date with processes on the line. The rotation of staff within the production line not only benefits the operator with skills and self worth but also protects the company when manning levels are low. Control of production is constantly developing and shifts with new products, technology and tools. Clear instruction is given to staff to embrace and use these as a way forward for the success of the company and maintain our position as leaders in the world market. Following policies I follow the company policies in all aspects of my work and with discipline. I feel I am firm but fair; I nip things in the bud and deal with conflict in a calm, mature and professional manner. I am trustworthy and always deal with matters with integrity. Respect Respect plays an important role in getting results from staff. I respect everyone and work hard to earn respect from my staff by being a team player and not taking my role for granted. I have worked on every process on each line to different skill levels and am aware of the requirements of each job. I would never expect any member of staff to complete a task I would not do myself. Understanding customers It is important to understand the expectations of customers, to achieve these within the budget and on time. In order to achieve this we work closely to a plan, delivering on time and in full (OTIF). Feedback It is important that recognition is given on a regular basis to staff that are doing well and like wise, support is given to staff who find things a struggle. It is easier to rectify any non-conformance at the very beginning than letting bad habits form. The ability to explain things that are incorrect and how to rectify them is an important management quality. Resolving issues Whenever a major problem comes to light, I tend to bring key skilled personnel such as quality facilitators, department manager, shift manager, manufacturing supervisors, process engineers, fitters, electricians or operators into a brain storming session. We utilise the skills we have developed and use management tools such as, the ‘Ishikawa diagram’, or known to myself as the ‘Fishbone diagram’. Each personnel would have a valuable input using the knowledge that they have obtained from their own perspective. Cause Cause Cause Cause Cause Figure 1: Fishbone diagram as based on the original by Kaoru Ishikawa. In these sessions, we systematically work through inputs that could cause the effect that we see and then place a frame around the problem to find out what is, and is not a possible factor. Further investigation is made into these probable causes until the root of the issue is found. It is extremely important to use all of the skills at hand to have a complete overview. 3. Conclusion Throughout this essay I have explored the use of what are in my opinion, the most important skills to have as a manager. It is not intended as an exhaustive list, but a sample of the many ways people manage. In my opinion the most important skills of management are being able to project manage and coordinate while also having leadership qualities, or personable skills. In the words of John C Maxwell, Anyone can steer the ship, but it takes a leader to chart the course. Within this essay I have explored the nature of the key skills and have shown that in working together with staff, results can be achieved by following these rules.

Saturday, September 21, 2019

Implement person centred approaches Essay Example for Free

Implement person centred approaches Essay 1.1 Define person-centred values Person-centred is about providing care and support that is centred or focused on the individual and their need There are eight person centred values that support person-centred care and support: Individuality, Independence, Privacy, Choice, Dignity, Rights 1.2 Explain why it is important to work in a way that embeds person centred values. Taking into account person centred values, rather than imposing my own choices on them and taking away their own right to independence and choice. It is important to do this as person centred approaches, policies and procedures, as well as care practices should always put the people whom we support at the centre of the day-to-day activities, as well as including the residents and their families in the planning and maintaining of this. 1.3 Explain why risk-taking can be part of a person centred approach. Risk-taking means being aware of the potential hazards, but still carrying on with the activity. Risk Assessment Processes include: visual check, recorded risk assessments. If you were no longer allowed to take risks that means you can’t progress in anything. Risk is about learning! Your inner questions. Can I do it? Can I REALLY do it? To take risk is all about challenge! 1.4 Explain how using an individual’s care plan contributes to working in a person centred way It is document where day to day requirements and preferences for care and support are detailed. Using an individuals care plan where own needs and wishes are being met, rather than offering them a choice of what is available. Using their care plan, you can build on what they want and see where there are gaps that need to be addressed. 3.1 Explain the importance of establishing consent when providing care or support. Consent is agreement to an action i.e. in social care agreeing to a bath or a shower, to medication, agreement to have details shared with others. Lack of consent could be construed as abuse i.e. forcing an  individual to have a shower when they have not agreed. Consent can be in different forms like Verbal written via a representative or advocate. It is important to establish consent because it is a basic human right for everyone to have the choice. 3.3 Explain what steps to take if consent cannot be readily established. Steps to take when consent cannot be established include, not continuing with the task, reporting to the supervisor or manager, recording the information 4.1 Describe how active participation benefits an individual. Active participation is a way of working that recognises an individual’s right to participate in the activities and relationships of everyday life as independently as possible. 4.2 Identify possible barriers to active participation. Barriers include: lack of opportunity, lack of events, lack of staff, unwillingness of residents, and lack of confidence. Ways of encouraging residents include: discussion and encouragement with the individual, providing useful information, using friends and family to encourage, ensuring appropriate activities, peer-group encouragement, persuasion techniques, highlighting the benefits of the activity 5.3 Explain why a worker’s personal views should not influence an individual’s choices. A personal view should not influence individual choices as everyone is an individual in their own right and therefore should be able to make their own choices as their interest would be different to a staff. 5.4 Describe how to support an individual to question or challenge decisions concerning them that are made by others. Different approaches for individual, discussion, providing relevant, information, guidance from friends or family using an advocate or support service. We can also challenge decision where we can encourage questions and comments, be prepared to listen, assist the individual to ask for a second opinion, speak  to/refer the individual to a senior member of staff, use the complaints procedure 6.1 Explain how individual identity and self esteem are linked with well-being Well-being may include aspects that are: Spiritual Emotional Cultural Religious Social – Political Sexual Physical – Mental. Individual identity and self-esteem are linked with well-being as everyone has their own interests and what one person may find interesting another person may not find interesting, for example, some residents like gardening and some don’t and we should never force anyone to do what they don’t like or don’t want to do. 6.2 Describe attitudes and approaches that are likely to promote an individual’s well-being Attitudes and approaches that are likely to promote an individual’s well-being include: being treated as an Individual, dignity respect, choices and good communication. It can also be environmental which includes physical environment bedroom, handbag, personal belongings, and social environment personal boundaries, subjective feelings.

Friday, September 20, 2019

Causes of Building Failures

Causes of Building Failures Building failure can be some part of building cracking occur, more seriously will bring building collapse. Building collapse will carry the risk of human injure or deaths. For example, buildings and structures all around start falling. This causes many people to get hurt, many of them fatally, because of the impact of falling material. Or, in high rise buildings, people themselves might fall from higher floor, thus, getting hurt, due to the impact of fall. Buildings with glass-facades are especially dangerous, as, glass being brittle would tend to crack with smallest deformation of the frame. And, worse, glass being very heavy has a very high impact on hitting somebody. And then, glass shards have a tendency to go inside the skin and cause damage to internal organs (Sanjay Churiwala and Naveen Gabrani n.d.). In addition, building collapse results in property damage and functionality inadequate. It also needs to spent time on clean-up, repair, cost losses and so on to get the facility up and running again. Building that causes fail may due to numerous of reasons that may not be easy predict before or during the construction. The analysis shows the general causes of building tend to failure that include unwise land-use and defective in designs which are arise at pre-construction phase and those construction and operational error which arise at during construction phase. Errors appear from pre-construction and during construction phase has the greatest potential influence on a projects final outcome. Building failure may occur due to three parties involved Consultant, Contractor and Developer/ Owner. The Consultants and Contractors had given insufficient of control and supervision of site operation and the quality control. More that, owner also is the one who are required to give cooperate and any assistance with Consultants and Contractors to completed the construction project. According to Mohammed Azad Hossain (2009), such errors ultimately lead to a situation, which may involve such failures, which are related to excavation and equipment, inappropriate sequencing, not enough temporary support; unnecessary structure weight; untimely taking away of shoring or formwork; and non-conformance to design objectives. Problem Statement and Research Question Failures have been found in various types of the buildings. Failure in buildings built any time the last 25 years, some as recently as the last couple of year (Steve 2008). A total of 225 building failure in Unites States and the result show that the building failure of low rise building constitutes about 63% of all cases, followed by multi-storey building as a distant second and this has been established by Kumalasari Wardhana and Fabian C.Hadipriono (2003). Building tend fail are depending on materials, designs, environmental conditions, method of construction and which the building is put of the use to, etc. Sultan Mizan Zainal Abidin Stadium is a new multi- purpose stadium in Kuala Terengganu, Malaysia which was constructed by South Korean construction firm. On July 3, 2009, a major part of the roof construction collapsed. The major cause such stadium collapsed has been identified are failure by design and materials used, rush development and under-supervised. Aims and Objectives The aim in this dissertation is to study and analyse the building failure and to find out the factor that causing building failure by three parties involved in construction industries. The objectives are: To study the factor that caused building failure by Contractor. To undertake the factor that caused building failure by Consultant; and To determine the factor that caused building failure by Developer/ Owner. Scope of Study The scope of study emphasizes on the building failure and factors that causing by three parties involved in Construction industries which are Consultant, Contractor and Developer/ Owner. Research Methodology Research Methodology is the way in which the research objectives can be questioned. There are two types of research strategies, which are quantitative and qualitative research. Quantitative research is highlight in the collection and analysis of data. This research based on testing of theories and to look for whether the theories are true. For the qualitative research, it approaches seek to gain insights and understand peoples awareness. The understandings, opinions, views, etc. of people are investigate which collect from survey questionnaires and document review. Primary Data Source Survey Questionnaires In this proposal, Survey Questionnaires will be used to collect all the opinions, views, etc. This method is the more accurate since as the first hand information collected from original research. The survey questionnaire form will be distributed form to 50 people who are random citizens and the purpose to investigate the major factor of building failure causing by three parties involved in construction industries. The survey questionnaire form will be set out in closed-ended question format for respondent to select the answer. That mean the closed-ended is the limit respondents answers to the survey, such as choosing either yes/no, true/false, or multiple choices. More that, the recommendation to reduce such failure in construction industries are also be conducted by survey questionnaire. Secondary Data Source The research undertakes a review of all literature which known as secondary research method that is selection of available related documents on the topic, which contain information, ideas, data and evidence written from a particular standpoint to fulfil certain aim or express certain views on the nature of the topic (Chris 2003, p.1-2). In this proposal, the information sources and obtains can be from reference book which are from Library College and National Library. Beside, information also can be obtained from article and journal that were related to cause failure of the building. Electronic sources such as internet website from Google can helped to found the information which required in this research, and etc. Dissertation Contents For this study dissertation report involved 5 chapters. The general description of each chapter as follow: Chapter 1 Introduction The first chapter is the introduction of the dissertation. The contents in this chapter include Project title, background of the research problem, problem statement and research question, aim and objectives, scope of study, research methodology of the study and dissertation contents. Chapter 2 Literature Review In this chapter two is the literature review. It will review on the selection criteria of building failure which in discussed for failure of building, factor that causes of failure by primary parties involved in construction industry. Chapter 3 Research Methodology Chapter three is includes the research methodologies and to provide the rationale for the method adopted in this dissertation project. Then methods used to research are literature review on journal, reference book, etc., survey questionnaire, and case study. Chapter 4 Research Findings Chapter four is the discussion and result analysis. The data collected and interpret from research method adopted, identify and analysis it, then present and explain the findings. The data present will in a table, chart, diagram, and essay form. Chapter 5 Conclusions and Recommendations The last chapter will be the conclusions and recommendations. The achievement of research objectives, recommendations and limitation of the research will be record in this chapter. References Tunku Abdul Rahman (TAR) College Harvard Referencing system will be using in the research. This Harvard Referencing system is a standard practice at all institution of higher learning including Tunku Abdul Rahman (TAR) College. Project Plan and Schedule The table below is the Project Plan and Schedule of the research proposal project. CHAPTER 2: LITERATURE REVIEW Basic of Building Failure in Construction Industries Definition of Building Failure Building Failure is refers to the member within structure or component or structure itself which are loss of load carrying capacity. More on the time initiated of building failure is when material stressed to its strength limit and fails to withstand the stresses imposed upon it. The failure will expose itself by crack or breaking, occur permanently deformed, becoming bending and more seriously may collapse (Wikipedia 2012). Calvert (2002) notes the buildings, like all structures, are designed to support certain loads without deforming excessively. The loads are the weights of people and objects, the weight of rain and snow and the pressure of wind and load of the building itself. With buildings of a few floors, strength generally accompanies sufficient rigidity, and the design is mainly that of a roof that will keep the weather out while spanning large open spaces. With tall buildings of many floors, the roof is a minor matter, and the support of the weight of the building itself is the main consideration. Like long bridges, tall buildings are subject to catastrophic collapse. The loads can divide into two parts which called live loads and dead load. Live loads are the weight of temporarily attached to; it can produce by like people, machinery and equipment, furniture, appliances, etc. of the building or other structure. But do not including the material that utilized in construction or environmental loads or anything permanently attached to it such as wind load, snow load, rain load, earthquake load, flood load, or dead load (N.A.N.d.). The case effects of machinery, equipment, furniture, appliances concentration, deflections or cracks must be considered and to determine the necessary proper intensity of design to considering those effects. Dead load is a fix load in a structure such as a bridge, building, or machine that is the weight from members itself, the supported structure itself, and permanent attachments equipment or accessories that apply in the building (Merriam-Webster, Incorporated 2012). The item that considered of dead load include construction material that use to build or make up the building such as beams, columns, floor systems, ceiling systems, wall systems, doors, windows, floor coverings, wall coverings, cabinets, and the like. Besides, the item considered of permanently attached equipment or accessories such as heating and ventilating systems, electrical trays, piping, etc. In the other way round that the item is not considered to dead load are the things as movable. That item like shelving, desks, chairs, beds, chests, books, copiers, stored items, or anything else that can be moved around during the life of the structure. The feature of dead load shows that they are the weight of final structure . This is creates a bit difficult for the design Engineer since in order to design the building, the Engineer must need to know the weight of the structure. Besides, the engineer also needs the accurately define the weights of the final structure. At the beginning of design process, the weight of the structural element and the framing are all unknown. So more of time to solution this kind of difficult position is the design Engineer often involves iteration where an educated guess is needed as to where design will finish, the dead loads is based on estimate, select the structure members that based on the estimated loads, dead loads is need to recomputed, then continue the cycle until all the member sizes do not change (T. Bartlett Quimby 2007). The aim of the structures are designed is to achieved the requested function of creation, ensuring the structures could be applied all of the loads, and sufficient safety of structures is obtain. In the properly designed system, it will prevent a local failure cause immediate and gradual failure of the complete building. The ultimate failure strength of a material or structural element is taken carefully consideration in the structural engineering and structural design to prevent failure (Finn 2009). As Aggeliki (2009) notes in his articles, if that are unexpected loads are applied, one of the factor of safety is needed to link into the design analysis to prevent building failure. Nowadays, building codes have improved and expressively to reduce the structural collapses, but it still cannot essential completely prevent the structural failures. Even though the structural failure is become less, but the results still are disastrous. Until now the engineers are still insistently searchi ng the method to reduce structural failures by introduce to proper building standards and other safety requirements. Lastly, reducing of human error, carrying out proper hazard identification, and using suitable maintenance procedures for the structures is the chance can be minimized of structural failure (Suvo 2009). Type of Building Failure The term of defect is defined as the premature failure of structure and the results cause from improper or substandard engineering, manufacture, design, application and installation. In another way, the term failure can described as the system breakdown or unable to function at all, breakdown in the operation, quality, or appearance of structure, component or material. Therefore those are different meaning in term of defect with the term failure. So, the following table show some of that various type of building failure (James and Ransom 2007, p.8): Failure Type Example Aesthetic failure Concrete or render cause crazing or shrinkage cracking. Flaking and peeling of paintwork. Staining and soiling of the finishes. Functional failure Caused sagging of the floors. Leaks in elements such as roofs, walls and floors Failure of materials Chemical attack of rendering or concrete, mortar or brick. Fungal are attack of the timber. Metals are corrosion. System failure of components and elements Carbonation of concrete. Leading to corrosion of reinforcement and subsequent cracking and spalling of concrete members. Structural failure Subsidence which caused downward movement of a building and caused by below ground factors such as desiccation of clay soil. Settlement which also caused downward movement and caused by overloading. Non- structural failure Cracking and deboning of plaster. Tenting, deboning and bubbling of floor coverings. Roof tiles and slates are delamination. Reversible failure Jamming of door and windows since of moisture intake by these components. Usually in winter or summer, the wood will be dry out and door and window will become unstuck. Irreversible failure Chemical reaction (sulphate attack) on mortar or rendering. Excessive distortion in beam, column or wall owing to structural movement. Primary Parties Involved in Construction Industries Definition Lawrence (2003, p.1-2) indicated that, The management of construction is an enterprise that involves many people with diverse interests, talents and backgrounds. The owner, the design professional and the contractor comprise the primary triad of parties, but others, such as subcontractors, material suppliers, and bankers, insurance and bonding companies, attorneys and public agency officials, are vital elements of the project team whose interrelated roles must be coordinated to assure a successful project. In this part will concern the duties and responsibilities of the primary parties such as the building contractor, consultants, and Developer/ Owner on the construction project. The primary focus here is on the building contractor who are to carries the lead duties and responsibility for the on-site installation work or sometimes off- site as well and all of the associated planning and follows up. At the same time, also to understand the duties and responsibility for other people an d organisations participate to success the project. Definition of Building Contractor According to Exforsys Inc. (2010), In the Construction industries, the contractor also can calls as the project engineer or project manager. The contractor is the one an individual who engages in the planning, developing and coordinating of activities in the construction project. The contractor also is the one to supervise the construction and to ensure all necessary measures must be taken in the result of completed finished product. More important is notwithstanding that possible delays due to bad weather or building causes any emergencies, contractor needs to sure that construction work finish are met the deadlines and try do the best of prevent causing any delay. The General contractor is employed by the developer/owner, and may also advice of the Architect to the developer/owner. Contractor must first assess the project-specific documents (referred to as tender documents). In during of the construction stage, contractor required to visit the site since it will help to get a better understanding of the project. He may handle the work on residential dwellings, commercial buildings or infrastructure, such as roads, bridges or schools. As the contractor, working hours are more the time is irregular, since any sudden problems that may arise at the construction site and constructor must be available at all times to resolve that problem. Besides, the contractor may need to calculate the price, as also called an estimate. Contractor required providing the approximate price with considers the cost of materials and equipment as well as the cost of labour to the owner for the project. The General Contractors Duties and Responsibilities That is many duties and Responsibilities that building contractor must be fully complete on day to day in order to ensure the construction project is completed smoothly and in a timely and correct manner. More about that, building contractor also need to ensure the project complete by price specified in the contract. Building contractor to construct the construction project must be according to the designers plans and specifications. Firstly, the duty of the building contractor is require implementing a plan and direct in which to carry out all the aspects of construction project. This is from hiring the workers to developing the contraction project and follow the step-by-step timeline that the project from start until end. In addition to implementing the construction plan, the building contractor is responsible for hiring, supervising, firing employees who are under the specific construction project with the contractor. For example, building contractor including design and worker selection or appoint as to hires specialized subcontractors to perform all or portions of the construction work, managing personnel on site, providing site surveying and engineering on site, etc. As a supervisor on construction project to supervising the employees, the building contractor must be regard to the workers and also take care of payslip. Ensure engage in hire someone to do work for the contractor. Obtaining the materials for the project also is the one of responsible for the building contractor. For instance, Contractor is the one to providing all of the labour, material, equipment (such as engineering vehicles and tools) and services necessary in the construction project. Since construction projects must be up to the contractor to acquire goods to build the structures, if not, cannot complete without the necessary building materials. Another duty of the building contractor is to applying for building permits from relevant department (local authorities). At before want start to construct the building, it must be acquire all necessary licenses and permits from relevant entities so that the building project just can begin. Since there are many regulation that the building contractor must be follow which relate to these documents which each building in order to engage in construction. The building contractor must complete the project which agrees with all laws, rules and regulations. The building contractor need to research about relevant regulations and laws that are related to the construction process. There are many laws such as different state have their different own law. Those laws will state that when, where and how a building contractor and his crew should build in certain areas. So, the building contractor must be recognized and followed in order to complete the project in a law-abiding manner. Another specific duty of the building contractor is budget issues. The building contractor may require planning all aspects of a construction project which including establish a budget for the construction project. That budget must be follow by the building contractor as closely as possible. For the example that budget will allow the building contractor to gain supplies, hire workers and finish the construction in a cost-efficient manner. That must be taken in serious matter which building contractor to following budgets and his/her should be care with or to ensure that the project will be completed as what was aspiration in the beginning of plan. From the beginning to end of the construction process, reviewing the progress and implementing any changes along the way also is another item which relate to the responsible of a building contractor. The building contractor needs to follow closely of the specific building project and necessary to make any changes when he/she deems fit to do so (Exforsys Inc. 2010). Lastly, the working hours of building contractor are irregular. Those emergencies and surprises may arise which relate to the project and it may occur on-site and sometimes off-site as well. So, as the building contractor must be assistance with an emergency issue available at all times and to resolve that problem. On the Wikipedia (2012) provided that, In the during construction phase, the building contractor is also responsible for providing temporary utilities on site like equipment, tool, formwork and etc., securing the property, control the quality assurance, managing personnel on site, providing site surveying and engineering on site, disposing of or recycling construction waste, monitoring master program (schedules) and cash flows, maintaining accurate records and etc. Besides, he/she should day-to-day go to the site and specialize and oversee of a construction site or the progress of a particular building task, such as plumbing, heating or electrical wiring. He or She also require to management of the vendors and trades. The building contractor should be done to prevent any oblation either the safety of the workers or the quality of the work. The contractor is has fully responsibility to complete and the purpose to achieving the quality level and for safety that required in the documents. The building contractor may also be involved in the training of the owners personnel in the operation of the building systems and may be provide some maintenance after construction is complete. It is important that the contractors has an obligation to get satisfy the minimum requirements of the drawings and specifications from the Architect. In the bidding process, the owner will asks for the lowest possible price to perform and that only those things are absolutely required by the drawings and specifications. Thus, the contractor is need obligated to satisfy those minimum requirements and no more. Of course, the owner is always free to require additional performance by change order. In the design / bid / build method, the owner only contract with the contractor. In the case, the contractor has no any contract with the designer. Then the contractors is required responsibility to comply any requirements of the contract with the owner. All efforts by contractor are essential to prevent the structural failure as it causes dangers to human life and property. There are the numerous of causes for a structural failure, and there is a requirement for a proper analysis of all the factors before construction (N.A, N.D). Definition of Consultants Who are the consultants? The consultants can be the design consultants, cost and contract consultants, land surveyors, etc. The design consultants usually comprises of the architect, civil and structural engineers, mechanical and electrical engineers and other specialist designers, such as interior designers, landscape architects, lighting specialists, town planners, etc. Design consultants as a designer of the project in the area he/ she is specialized in. They also as a facilitator of clients need and project brief. Besides, they as an advisor to the client on matters are relating to design and on statutory requirements and by- laws relating to the project. The cost and contract consultant can be the quantity surveyors. The quantity surveyors usually act as the cost and contract consultant for a project. The General Consultants Duties and Responsibilities In the following are shows the duties and the responsibilities of both which are design consultants and cost and contract consultant. Design Consultants Carrying out design works in their areas of specialization. Ensuring design works are properly coordinated with fellow consultants. Ensuring design complies with the requirements of the authorities, and with the by- laws. Choosing appropriate systems and materials, and making sure design for the elements of the works is kept within the cost plan. Notifying and advising the client on any necessary design changes due to unforeseen circumstances. Ensuring that design works are carried out within the time frame as set out in the programme. Conducting field observations to ensure that the contractor carries out the works as per the specifications and design. Contract documents include a budget, specifications, any general and special conditions prepared by a design professional such as an architect. Cost and Contract Consultant Responsible for study of the economics and financial implication of a construction project. Preliminary cost preparation and estimating. Cost plan preparation and cost studies. Contract documentation and administration preparation. Evaluation of contractors tenders. Cash flow forecast and post contract coat monitoring. Valuation of Variations. Preparation of periodic cost report for the client. Evaluation and settlement of contractors claim. Settlement of contractual disputes. Definition of Developer/Owner The developer/owner is the party who wishes to have a project constructed and pays for it. The developer/owner can be an individual, a business enterprise or an organization, and it can be both private and public. Developer/Owner is the key master to the construction production process. In addition, when initiate a construction project, developer/owner have a right to selecting project timing, priorities, cost limits, specific requirement, and determine the contractual methods. There are two type of developer/owner which are well informed and know nothing. Developer/Owner who are well informed mean know what they want and take decisive steps to achieve it. Another are know nothing mean the developer/owner need guidance to formulate their wishes and match them to the available budget. The General Developer/Owner Duties and Responsibilities Basically the duties and responsibilities of the developer/owner in a project can be under the following: Providing the clients brief and clarity of brief. Financing the project, i.e. they pay for the project. Ensure safety, health and environment aspects of the project are complied with in accordance with the legislation as laid down by DOSH and the Department of Environment. Make sure smooth incorporation and prevent disruption takes place. Avoidance of interruption to professional advisors job. Building Failure Caused by Primary Parties General Adel Abdulaziz Al Barrak (1993) postulates that, the construction business is the much higher level of competitors than any other business. As the result showing that, construction business has very high risks could lead to failure are exposed than any other business. Therefore, to determine cases of failure should be studied and such cases should be avoided in order to reduce that number of failure. The construction business need to more attention to treat the weak point. In the section will study the various building failure that cases by primary Parties involved in construction industries. There are three parties involved, namely, developer/ owner, consultant, and contractor. The relationship between these parties is adversarial since different parties has different goals they want to meet and each party goals that will has arisen conflict with the other parties goals. For the instances, the developer/ owner want the project be low cost to expend and result in good quality. But t his will reduce the profit that contractor gain. Besides, as the consultant, he/she wants the project is much more attractive and safe. In this circumstance, it may cause both the contractor and the developer/ owner spend more money or extra cost on the project. Except on this relation among parties, which still have more any other reason could be a major source of building failure. Building Failure Caused by Contractor More commonly factor that strong influence in the contractors failures in the project or building are lack of experience, poor labour productivity, bad management decisions, lack clearly assigning the responsibility and authority, recruiting multinationals, neglect, frauds, lack of control or supervision system, and lack of communication system. Lack of Experience That is important the building contractor must have the experience in the construction project. Contractor is the person who is daily to manage the activities process on the construction site. Besides, the building contractor also as field supervision to supervising all hiring worker on site. If the building contractor does not have experience, he may not to solve any problem arise from construction site. Dr. Sadi Assaf (2004) indicated that, the owner should try to employer a higher degree qualified working team in the company because that may able to maximize the usage of the companys resources and avoid any waste resources occur. The working team employer by owner mean should have good experience in the same line of work. As the more experienced building contractor in the project should be able to demonstrating knowledge of, propose a wide array of options, and have the experience with a variety of products, materials and techniques. Little or no experience of the building contractor is the most common cause the project or building failure. That is very difficult if the contractor resign at the halfway through the project, since the new contractor employ by the owner need to take over the work that where ex-contractor left off. For instance, the second contractor may not familiar to use the materials or techniques that first contractor have used. In addition, the second contractor may not at the same way that first contractor wishes to did, unless there are very specific drawings are provided (McCaleb Construction Inc, 2012). Poor Labour Productivity Poor labour productivity also mean as poor workmanship in construction industries. Poor workmanship is the actual that cause of construction either in defect or failure

Thursday, September 19, 2019

Analysis of Woman to Man by Judith Wright Essay -- Judith Wright Woman

Analysis of Woman to Man by Judith Wright  Ã‚   I was slightly confused when I read this poem at first, but it became apparent from the rich metaphors, that it was about the sexual relation between the woman and man. It is also about conception - or rather the potential of creating a child from this sexual act - told from the woman's point of view. Judith Wright was very bold in writing such a poem since it was published in 1949, when such issues weren't discussed in the public, but as a well-regarded poet, she had achieved a good reputation for expressing herself, and therefore could write a subjective poem about this issue. The main idea of this poem, is based upon female sexuality and sensuality, and that sex is symbolic of life, or death if pregnancy fails. The title seems to mean now, "Woman to Man" as if the woman is offering herself to the Man, offering her body to create a child, through the act of sex. It also means that the woman has something to give to the man, not only the pleasure, but through blood and pain, a child. The language compliments the mood of this poem, as it varies from a sad and melancholy cry, to a voice of hope, all in a constant confident feel, and by this, the poet's reflections and contemplation?s are communicated successfully to us, making us feel in the same way she has felt. The first stanza begins with a bold and confident entry describing in a simple way the sexual relation between the man and the woman; or better said; Woman to Man. The 'seed' which the woman holds - has the potential of becoming a child. The image of the day of birth as a ?resurrection day? is important in this respect for, just as the resurrection of Christ defeated death, so too, does each individual... ... final line - "Oh hold me, for I am afraid." This line is wholly successful on a dramatic level; for here the real world of passion and pain breaks in. At the same time the poem as a whole has suggested that in each sexual act there is the potential for the creation of new life which challenges time and death. The woman is the proud yet fearful instrument of this process. The poem has   a   rhythmic pattern that compliments the metaphors and paradoxes. The stanzas begin and end, individually, for the first and last lines rhyme, which creates a feeling of ?wholleness? to each stanza, quite appropriate to the act of creating or bearing a child. It is like a song, a pentameter that begins bold, but ends in a quiet tone, making its reader reflect, not only about the ending, but the entire poem as a serious issue, that fornication is, or can be, a holy act.

Wednesday, September 18, 2019

Creating Tension in An Inspector Calls Essay -- An Inspector Calls J,B

Creating Tension in An Inspector Calls An inspector calls is a play written by the author J.B. Priestley. The play is set in the industrial city of Brumley in the North Midlands, in the year of 1912. Act one begins in the family home of the Birling's, at the celebration of the engagement of Mr Birling's daughter. The Birling family at first impression are seen to the audience as a wonderful, prosperous family who live in luxury life style in a big lavish home with a high social status. Arthur Birling is the father of the family; he is a heavy looking, rather portentous man in his middle fifties, with fairly easy manners. He is shown to be self-centred, arrogant and someone who believes that he is always right, he also has a lot to say - thought by many as too much. He is portrayed to the audience as being a selfish man, this is shown in many ways through out the play, but the main factor shown is that he was Lord Mayor of the town a few years back and takes this as an advantage to gain self respect from others by using his former community stature to increase his present stature of the manufacturer of the Birling family business. His wife Sybil is about fifty, she is a rather cold woman and her husband's social superior. She has been for the past few years and currently still is the chairwoman, for the town's unemployment charity, it is she who decides which women will receive the unemployment benefit and if their reasons are applicable. She takes this job very seriously and believes it gives her a warrant to be a superior of the town, a woman who classes herself as a very high class in the hierarchy above anyone else. The daughter of the family is the very attractive and pretty Sheila, .. ... challenges the characters in the play. The big question from the author is are we morally blind to the suffering of the poor and are we aware that much of the pleasure we get from life comes from the exploitation of the poor. At the end of the play things turn out to become very eerie as of the call to Mr Birling, which confuses absolutely all of the characters. J.B. Priestley uses inspector Goole as a catalyst towards the Birling family, he is meant as a dramatic device deliberately used by the author to explore his ideas. This is meant to make the family come to a realisation of that poorer people than themselves are actually people with true feelings, and the telephone call at the end warning them that a inspector is about to arrive with questions as to a suicide will reveal weather they have learnt anything about the poorer than themselves.

Tuesday, September 17, 2019

Dream of a Lost Friend Essay

How does Duffy powerfully portray the experience of losing a friend in ‘Dream of a Lost Friend’? In this poem, Duffy explores how the tragic loss of a close friend affects the mourner, and powerfully portrays the implications of their death using imagery, structure and emotive language. She touches upon each of the 5 stages of grief and bereavement, and conveys the psychological process of each of these: Denial, Anger, Guilt, Depression and Acceptance. Denial is the first stage of grief, in which the mourner refuses to believe that their loss is a reality. Duffy is effective in portraying how this makes the experience of losing a friend so powerful, as she shows Firstly, the title suggests that Duffy refuses to accept her friend’s death, as she refers to her as ‘lost’, suggesting that like the word lost connotes, the deceased may have a chance of being found again. Duffy constantly refers to oxymorons and opposites through the poem such as ‘prayers to Chemistry.’ This suggests again a hysteric confusion over her death, which clash, and reveals her contrasting thoughts which could reflect her trying to accept this death whilst still denying it. Duffy also searches for ‘found’, the opposite to the lost in the title, but she never mentions it, as if no amount of other opposites will help her find the opposite of this death. Duffy also conveys the notion of denial through the sentence, ‘it’s only a dream†¦only a bad dream.’ This repetition of the motif of dreaming shows an obsession with the idea of this death being part of a dream. Dreams have connotations of peace and happiness, as if she is convincing herself that her friend is experiencing some escapism from the pain of her disease, as Duffy wants to believe that this is for the best. As dreams are from the lexicon of sleep, it is as if she wants to prove that she will wake up. That this is just a brief period of detachment from the world before she comes back, ascertaining the truth that denial is a major part of bereavement. The repetition of ‘it’s only a dream’ becomes like a mantra, which is a technique used to ‘create transformation’, as Duffy tries convince herself. A mantra is also reminiscent of childhood, like a playground rhyme. This proves that these emotions stir up a sense of being lost, and returning to a time of innocence and comfort, when accepting becomes too difficult, the mourner morphs into their childhood self. This sense of being lost could also refer to the poem title, as it could be  applicable to the mourner as well, as they are too a ‘lost friend.’ This idea of being one and the same as the deceased suggests that still consider themselves as equal, living entities, and that death does not separate them. Duffy also explains the process of denial through the chosen structure for the poem juxtaposing the journey of grief. With grief, you start with a strong sense of denial and conclude the worst of the immediate mourning with acceptance of their death. However, this poem starts with the personal pronoun of ‘you’ and travels through each other party/person before reaching ‘you’ once more. Duffy starts the first stanza with ‘You’, the second with ‘We’, the next with the idea of ‘Them’, then ‘I’ and finally ‘You.’ This proves that through Duffy’s structure, she shows the powerful experience of grief, and shows that she always puts her friend first, then their time together. Her bitter memories of those who don’t understand are soon swept away by the thought of herself and how important her friend was to her, concluding with ‘You.’ This could be interpreted to show that Duffy is stating that she never really completed the journey of bereavement, but is instead stuck in a cyclical roundabout that always comes back to the thought of her friend. This shows how she mentally is determined to bring her back, but the fact that this journey is incessantly recurring proves that this will never happen. The next stage of bereavement is Anger. Carol Ann Duffy expresses her anger in the third stanza and emphatically emphasises the powerful effect this has as one repercussion of losing a friend. She shows how death can make you turn against those closest to you. She almost implies ‘Some of our best friends nurture a virus, an idle, charmed, purposeful enemy, and it dreams they are dead already.’ This suggests that Duffy makes dichotomy between herself and her friend against the outside world, including their other friends. The word ‘our’ is placed first, as if to re-connect the bond between Duffy and the deceased, and so Duffy joins forces with the deceased against the world, as if they are to blame. Then the second half of the sentence starts with ‘they’, as if ‘they’ should always come second, and are to blame. The use of these pronouns separates them into two groups, and implies that Duffy is angry at the rest of the world for taking away her friend.

Monday, September 16, 2019

Historically speaking Essay

Globalization is one of the most recent phenomenons ever to strike humanity upon its entrance to the 21st century. Historically speaking, globalization itself has been around for decades long before it was conceived as a field of study of international trade. Some economists and historians contend that the concepts of globalization have been prevalent even during time when the Silk Road started in China up to the Roman Empire. Some, however, argue that globalization began during the 19th century; when the prevalence of the Industrial Age was at its fastest and that trade between Europe, their colonies and the Americas were growing steadily. Major advances in technology, especially during the 20th century, eventually led countries to lower trading costs; hence, highlighting the inevitability of the expansion of trade within the International Community. Still, globalization, as a term, was never used by economists; at least not until the early 1980’s. Furthermore, all its concepts and ideas were never really fully understood by the academic community until the early 1990’s. Fortunately, after seven years into the 21st century, much of the world is already aware of its contexts and aspects – from outsourcing to currency trading via wireless applications. Still, despite our knowledge of globalization, we cannot deny the fact that we know less about its implications for the future. Globalization, as a field of study, is a volatile subject that, even with the assistance of factual data and information, is almost ultimately unpredictable. Despite the existence of a myriad of books, journals and articles pertaining to the topic of Globalization, we cannot deny that we have yet to fully understand its future trends. Indeed, a major advancement brought by sophisticated technology can ultimately change, once again, the face of the International Community; thus, affecting international trade and ultimately affecting the â€Å"globalization† of the world. On a further note, third world countries that would eventually become first world countries in the future may end up shifting the international balance of trade and commerce for first world countries. As such, it is very tempting to imagine what the International Community would be like if, for some infinitesimal chance, the African Continent booms like Asia. If such an event occurs, will globalization be the cause for it? Alternatively, will globalization even allow such an event to occur? People who are against the advancements of globalization argue that globalization only benefits the rich north and detriments the poor south. This is evident from the fact that countries in the northern hemisphere tend to play in a neo-imperialist fashion among the countries in the southern hemisphere. Anti-globalization movements insist that the prevalence of globalization only means the prevalence of multinational corporations (MNC’s). They contend that these corporations, while providing employment for the local population, only encourage more poverty in the country. Multinational corporations, upon entering a country, immediately eliminates local competitors; thus, destroying the balance of power between local and foreign. As such, the country becomes subject to the influence of foreign countries that originally holds these multinational corporations. This automatically becomes a sort of leverage for foreign countries (which are, most of the time, rich countries coming from the north) against the country holding their MNC’s. On the other hand, people that are for the advancements of globalization argues that free trade – the main tool of globalization – encourages more growth for developing economies compared to protectionism. Primarily, globalization allows several countries access to several goods and services that they could never produce or emulate from other countries. Furthermore, they contend that globalization encourages competition among local and foreign businesses. Though unfair at times, supporters of globalization claim that encouraging competition allows small businesses to grow, to become more efficient and to become more versatile. The arguments of both sides are truly credible. Indeed, globalization, as a concept, is considered by many as a double-edged sword – though benefiting the user, it can, if careless enough, harm him/her as well. Globalization has many facets. As such, it has many implications – some we are aware of and some aren’t. But according to one scholar, Thomas Friedman, globalization has one important implication that has been very prevalent over the past couple of years but has only recently gained attention. In 2005, Thomas Friedman – a columnist of Foreign Affairs and the New York Times – published a book entitled The World is Flat. According to Mr. Friedman, the world is becoming smaller and that the competition between countries in different parts of the world is becoming or â€Å"being leveled†. One example that he noted was that the economies of India and China, two emerging economic superpowers in the eastern hemisphere, are now becoming so becoming so advanced that they can now compete with the economic powerhouses of the west. He further claimed that, ironically, much of the west, most especially the Americans, weren’t ready for such events unfolding. Indeed, the unexpected booms of India and China have made the Asian continent an attractive place for foreign investment. Another important point is that both countries’ huge populations have played a vital role in the labor market – both in manual labor (i. e. manufacturing) and professional labor (i. e. information technology). Not only do these two countries outshine the United States in terms of cheap labor, but they also outdo the American population in terms of efficiency and productivity. Simply said, employers are getting the same level of productivity and efficiency from both Chinese and Indian workers, but at a lower cost. This, according to scholars, has proved very detrimental to Americans. Not only does this threaten the employment of future American workers, but it also threatens the economy of the United States on the long run. As such, how can one defend himself from such negative advancements to one’s own country? On a more general level, how can the populace protect itself from such a deadly competition? As an American Citizen and as a soon-to-be professional entering the world of competitive employment, I can indeed come up with several answers to that question. First, as a country, the United States must make huge investments on education. Improving the workforce of the country is imperative if we are to face foreign competition. One important thing that we can put into consideration is the introduction of language classes in our academic system. Learning the language of foreign countries can surely make our general workforce a seemingly good investment for foreign companies. Yet another note is the introduction of new laws which will, in some way, discourage young students from dropping out of school. An example of these laws is the prohibition of issuing driver’s licenses to adolescents who have dropped out of school for no particular reason. By doing so, the general workforce of the country will remain efficient and highly educated. Despite the rapid growths of China and India, it cannot be denied that much of their population remains below the poverty line. As such, this problem becomes a drain on their economy (for the simple reason that the government has to continuously spend huge sums of money on anti-poverty programs and such). Ironically, this could play both a huge disadvantage and an advantage at the same time for the United States. For one, since people live in very poor conditions, corporations can take advantage of them by paying them low salaries; which, for the population, could seem very high. On the other hand, the good living conditions of the American population can imply the demand for high-paying jobs; which, of course, corporations would not prefer. Alternatively, this could also serve as an advantage for the United States since the American workforce – compared to the cheap yet impoverished populace of India and China – are more efficient and educated; thus, implying more productivity and growth for the corporation. Education is one thing. But as a person who’s about to enter into the competitive world of employment, how can I prepare myself against the competitive nature of foreign workers that will most likely ensue?

Sunday, September 15, 2019

What Does It Mean to Be an Ethical Leader?

Running Head: CRJ220 Assignment 6 CRJ220 Assignment 6 Thomas Seagle Strayer University What does it mean to be an ethical leader? Obviously, one first has to be sure that one is not personally engaged in unethical and corrupt behaviors. Unfortunately, in many recent examples, leaders cannot pass even this first test. In addition, one has to take responsibility for the larger role responsibilities of a leader position.One of the most distressing aspects of public scandals involving public officials is the discovery that their wrongdoing was often well known to those who should have done something about it, the topic of the â€Å"Quote and Query† box. (Pollock, J. 2010 Ethical Dilemmas and Decisions in Criminal Justice Sixth Edition) Leadership is the position or function of a leader, a person who guides or directs a group. Criminal justice professionals should develop and maintain leadership skills in their professional and personal lives because it’s what they do.To som e, they are role models, but to all they are the ones who make and/or carry out the laws. Leadership involves the commitment, dedication, and risk taking attitude of the individual. Some leadership skills that they should obtain is (1) Quick thinking. This means that those working in criminal justice must be of sharp and sound mind, able to adapt to situations quickly and make snap decisions with good judgment. (2) Strong ethical sensibility. You should be ethical, act fairly and always in the best interest of the people. 3) People skills. You need to be able to communicate with others. Communication and people skills are critical in everything from directing traffic to conducting an interview to testifying in court. (4) Knowledgeable of laws. If you work in the criminal field you should be familiar and know the laws of the state and national. Especially officers, they should always be familiar with laws and how to enforce them. (5) Ability to handle stress. Most criminal justice jo bs, even office jobs, can be emotionally and/or physically demanding.They should maintain these because it’s what can help them and others. Ethics is a system of moral principles. Ethics applies to professional responsibilities. Where do ethics play a role in criminal justice? It would be where the people working the field are not supposed to be corrupt, or dishonest, but are allowed to lie to suspects as an interrogation technique. (Weaver, G. R 2006) A virtue ethics perspective considers the law enforcement character, motivations, and intentions (something we didn’t discuss at all under the other two perspectives).According to virtue ethics, it is important that the individual intends to be a good person and exerts effort to develop him or herself as a moral agent, to associate with others who do the same, and to contribute to creating an organizational context that supports ethical behavior. (Denton 2011) Can anyone argue against the idea that if leaders are honest, ethical, and caring, there is a good chance that those who work for them will also be ethical? If administrators and/or managers are hypocritical, untruthful, and use their positions for personal gain, workers often march in these same footsteps.If the business itself is premised on misleading the consumer and perpetrating fraud to secure higher profits, why should business leaders expect that workers would behave any differently? Trautman (2008) offers the â€Å"Corruption Continuum,† which details how organizations can become corrupt through(1) administrative indifference toward integrity, (2) ignoring obvious ethical problems, and creating a (3) hypocrisy and fear dominated culture, all leading to (4) a survival of  Ã‚  the fittest approach by individual employees (who will commit unethical acts to protect  themselves).In any organization, there are those who will almost always make ethical choices,  those who will usually make unethical ones, and those who can be i nfluenced one way or the other. The best course of action is to reward those in the first group and identify  those in the second group and encourage them to find other employment or at least remove them from temptation. Then organizational leaders must create an atmosphere for  the third group that encourages ethical decision making.This can be done by promoting  ethical administrators, rewarding morally courageous behavior, and providing clear and powerful organizational policies that emphasize worthwhile goals and honest means. (Pollock, J 2010 Ethical Dilemmas and Decisions in Criminal Justice Seven Edition) References Pollock, J. (2010) Ethical Dilemmas and Decisions in Criminal Justice Sixth Edition Retrieved June 3, 2012 Denton (2011) Ethics & Leadership in Criminal Justice Retrieved June 3, 2012 from http://www. ppapers. com/essays/Leadership-Skills-For-The-Criminal-Justice/818941 Weaver, G. R (2006) ‘‘Virtue in Organizations: Moral Identity as a Foundation for Moral Retrieved June 3, 2012 from http://media. wiley. com/product_data/excerpt /67/ EH EP 0017 /EHEP001767-2. pdf Pollock, J (2010) Ethical Dilemmas and Decisions in Criminal Justice Seven Edition Retrieved June 3, 2012 from http://www. scribd. com/doc/63772532/Ethical-Dilemmas-and-Decisions-in-Criminal-Justice

Saturday, September 14, 2019

Neanderthals/Modern Human Interbreeding

In the advent of modern technology, it was found out that the now-extinct species of the Neanderthals do share a common ancestry with the modern human beings. This was through the analysis of the Neanderthal bone DNA from discovered Neanderthal fossil specimens. These Neanderthals were proven to be similar in the genetic makeup as compared to the modern human beings. This is despite the fact that Neanderthals and the modern human lineage have separated ways for some 370,000 years (Mozes; Gianaro). But then, the query lies whether or not the Neanderthals and the early human beings have interbred, which could have led to what the humans are now in the present. The Neanderthals, discovered way back in the 1850’s, are seen to be greatly related to the early human beings. This is because they were able to practice certain behaviors that are seen to be similar with that of the human beings, like burying their dead, skinning animals, building fires and being able to utilize tools made out of wood and stone. The difference they exhibit lie on their physical structure, wherein these Neanderthals are stockier than human beings, have comparably larger noses, muscle definitions, brows, and relatively larger brains. In relation to the coexistence of the Neanderthals and the early human beings, there are fossil evidences that these Neanderthals have existed in around 230,000 years ago in the European and western Asian regions. Dating back around 40,000 years ago, the early human beings, Homo sapiens, started moving northward, their migration patterns away from Africa, towards the European and Asian lands. And in a span of 10,000 years, the existence of Neanderthals have started to cease, vanishing from the old places they were situated, then had been isolated into smaller populations. After a few thousand years, they have totally disappeared from the face of the earth. The Neanderthal man was considered as the subspecies of the Homo sapiens, the species where the human beings are classified with. They got their name from the place where the remnants of the first Neanderthal were discovered, in Neanderthal, Germany. It was a valley where the fossils of the Neanderthal were unearthed. It was either classified as Homo sapiens neandertalensis or Homo neandertalensis depending on how scientists view them. Some scientists classify the Neanderthal as its own species, apart from Homo sapiens because of the large number of differences in the anatomy between Neanderthals and human beings (Gianaro). The anatomical structure of the Neanderthal has somewhat explained that they were the primary hominids to have survived and thrived in the harsh conditions of an extremely cold environment. They existed at the time of the glaciations in Europe, wherein they were forced to live and survive in the icy areas of the continent. Their bodies were built for adapting in these cold conditions, like their squat, stocky build which is efficient for maintaining the body temperature under the extremes of the cold environment. They have also developed large powerful muscles in their bodies which have proven to be useful in hunting animals in the cold. This is because there was no abundance of plants that could bear fruits that they can eat, leaving them with meat as their only choice. There bodies showed a lot of difference from that of the Homo sapiens. The H. sapiens contemporary of these Neanderthals which are from Africa and Asia have a relatively smaller skull and brow ridge thickness. With their differences laid, it is clear to see that humans and Neanderthals have a clear distinction, which may or may not have lead in what was speculated by other researchers as the result of interbreeding of the species. Some of these scientists say that even though they were different, they have interbred, which leads us to what the human beings are today. The present human beings have probably been the products or the cross between Neanderthals and the early Homo sapiens. Some say that these answer why the Neanderthals have disappeared, because they have blended in with the early human ancestors (Hsu). One of the studies that lead to the opening of doors for the idea of the Neanderthal interbreeding with early humans was when Neanderthal bones have been analyzed and underwent DNA sequencing. This study was done under the U.S. Department of Energy’s Berkeley National Laboratory and the Joint Genome Institute has yielded astonishing results regarding the similarities of the human and Neanderthal genes. The study arrived at a 99.5% similarity or identity between the two. But this doesn’t necessarily mean that there are evidences of crossbreeding between early human beings and the Neanderthals. The study has opened the door to the understanding that the early Homo sapiens and Homo neanderthalensis shared a common ancestor around 700,000 years back time (Yarris and Rubin). This group of researchers, led by Edward Rubin, the director of the Joint Genome Institute and the Genomics Division of the Berkeley Lab, has achieved to establish the development of the Neanderthal metagenomic library, which was used for analyzing and characterizing more than 65,000 DNA groups which is rooted to Neanderthal ancestry. This is gives a new look at studying the Neanderthals, not only providing new information to the science world, but of further understanding these early hominids. This is essential in finding more about the roots of man, shedding new light to human origin. Erik Trinkaus, a resident anthropologist of the Washington University in St. Louis has published a set of new data analysis regarding the early modern human fossils. This was done along with his Romanian colleagues in the online edition of the Proceedings of the National Academy of Sciences, wherein they have speculated a proof of the transition between Neanderthals and humans. The 30,000 year old bones that were unearthed in Pestera Muierii, a Romanian cave, was said to have resemblances in both Neanderthals and humans (Billings). What these similarities suggest was the possibility that early human beings and Neanderthals may have mated with each other and have successfully produced an offspring. According to Trinkaus, these Muierii fossils were the remnants of the early modern human beings plus some three or four characteristics which resembles that of the Neanderthals. This includes the bulge which is located at the back of the cranium. He said that these could either be a sign of re-evolving from the African ancestors or has acquired them as descendants of those who mated with the Neanderthals. This finding by Trinkaus has been disputed by two other top anthropologists, which are Jeff Scwartz from University of Pittsburgh and Ian Tattersall of the American Museum of Natural History (Billings). According to these anthropologists, the diiference that Trinkaus see as the product of the crossbreeding of the Neanderthals and early modern human beings, were actually the result of normal variation of species. Variations like being chunky or slender, tall or short are most probably the results of species variation rather than interbreeding. These are the things that make them distinct from other species, since no two species are exactly similar with each other. The bulge on the head that Trinkaus claims were actually is the wedge-shaped snouts of the Neanderthal fossils and a depression in the back of their heads, instead of a bulge. These differences in their findings were actually the result of their different attacks on the topic. Trinkaus point of view was more on the aspect of the physical differences that species has undergone. He attributed the size and built of the unearthed specimen as a character of the Neanderthals, while having features the same of that of the early modern human beings. He didn’t consider the possibility of a species variation, like when there are tall and short human beings. Schwartz and Tatersall considered the aspect of this species variation, and have dismissed the findings of Trinkaus. But they have agreed with the similarity which was brought about by the genetic makeup of the Neanderthals and the human beings. Furthermore, their idea dismisses the possibility of interbreeding happening on early modern human beings and the Neanderthals. Though they have almost the same genetic makeup, it doesn’t mean that they are able to interbreed with each other, though they are different species. What the genetic similarity would establish is that they are both coming from the same lineage, the same ancestry, that have branched out hundred of thousand years ago. In the advent of technology, researchers are able to find that Neanderthals are similar to that of the early modern human beings. Because of these they were able to establish that we came from the same ancestry as that of the Neanderthals. There were researches that points out that the present day human beings might have been the result of the interbreeding between the early modern humans and the Neanderthals, but there are also researches that dismisses this findings. We share the same lineage as that of the early hominid Homo neanderthalensis but it doesn’t necessarily mean that we are the result of them interbreeding with early modern human beings. The idea is nonetheless probable, but is close to being implausible. References: Billings, Lee. â€Å"Genetic and Fossil Evidence Comes Together to Reveal a Hidden Chapter of Human History.†Ã‚   2006. Neanderthals in Our Midst.   Seed Magazine. May 7 2007. . Gianaro, Catherine. â€Å"Humans, Neanderthals Share Common Ancestry, yet Have Nothing in Common after Evolutionary Split of Two Species†.   2006.   University of Chicago Chronicle. May 7 2007. . Hsu, Steve. â€Å"Neanderthal-Human Interbreeding â€Å".   2006.   Information Processing. May 7 2007. . Mozes, Alan. â€Å"Neanderthal DNA Shows No Interbreeding with Humans, the Two Groups Do Share 99.5 Percent of Their Genes, However†.   2006.   Health On the Net Foundation. May 7 2007. . Yarris, Lynn, and Edward Rubin. â€Å"Neanderthal Genome Sequencing Yields Surprising Results and Opens a New Door to Future Studies†.   2006.   Lawrence Berkeley National Laboratory. May 7 2007. .    Â