Thursday, October 31, 2019

Education in Texas Essay Example | Topics and Well Written Essays - 750 words

Education in Texas - Essay Example Origins of Public Education in Texas The origins of the public education system in Texas grew out of the dissolution of an alliance between Mexico and Texas. Prior to 1835 the agreement between the two states stipulated that Mexico be responsible for education in that particular region of the United States. Because of the dissolution of the agreement and the enactment of the Texas Declaration of Independence of 1836 the responsibility of educating the public shifted from Mexico to the State of Texas. Major Milestones The education system in Texas has progressively evolved over the last 150 years. The development of the education system grew in response to the needs of the citizens and the demands of regional commerce. Some of the major historical milestones of the education system in Texas include: 1840 – First Anglo-American school opened; 17,712 acres of land in each county in the state designated for public schools (Texas Education Agency, 2011). 1845 – A specific pe rcentage of annual tax revenue set aside for free public education; creation of the Permanent School Fund (McClellan, 2011). 1876 – State Constitution of 1876 set aside 45 million acres of public lands for schools; funds held within the Permanent School Fund invested in bonds (Texas Education Agency, 2011). 1884 - School laws rewritten; re-creation of the duties and responsibilities of the State Superintendent of Education; ad valorem tax affirmed to create a consistent source of income for the public education system (Texas Education Agency, 2011). 1885 - Statewide school accreditation system developed and implemented (Texas Education Agency, 2011). 1949 - Senator A. M. Aikin and State Representative Claud Gilmer organize committees to reform education system (Gilmer-Aikin laws); teachers’ salaries and standardization of teaching credentials established (Erekson, 2010, p. 1033) 1957 – Assessment and evaluation of the effectiveness of the Gilmer-Aikin laws (Texa s Education Agency, 2011). 1984 - House Bill 72 increased teachers’ salaries and restructured school financing enabling a shift of resources from wealthier school districts to poorer performing districts (Texas Education Agency, 2011). 2001- No Child Left Behind (U.S. Department of Education, 2011). Reforms and Revisions The development of the education system, management agencies, state municipalities, along with individual school districts throughout the State has been an ongoing process. Pivotal events in the United States’ history such as the Civil War, World Wars I and II, and integration influenced the formation of the education system in Texas. From the inception and establishment of the first public school in 1840, leaders, elected administrators, and lawmakers sought ways in which to deliver the highest quality of education available for the residents of Texas (Texas Education Agency, 2011). Provisions for permanent funding for the education system did not occ ur until 1845 in which the Permanent School Fund was created. The fund created specific financing options for educating students in Texas; its purpose was to lighten the burden on citizens paying taxes and to produce an alternate way of funding public education. The predecessor of the Permanent Sch

Tuesday, October 29, 2019

Case Study Essay Example | Topics and Well Written Essays - 1000 words - 7

Case Study - Essay Example Basement and much of first floor occupying the administrative office, emergency room, operations, and cafeteria were flooded to about six feet. When we inspected the premises to put up a temporary office along with surgical suites and clinical laboratory on the second floor, which was not affected by flood water, we noticed heaps of trash and debris. The task I was assigned, to guide Incident Commander on the safe entry, cleanup procedure, appropriate PPE for all recovery works, and hazard assessment for the most critical items or operations that can cause acute or chronic health effects, illness or disease, was most challenging. We recognized that without organizational skills and knowledge of time tested processes we will achieve little with manpower, massive resources, and technical expertise. Only through a definite written plan, adequate training and basic safety knowledge of the workers engaged in cleaning, and a centralized control and coordination such a herculian activity could be materialized. To achieve the goal, following broad overview of the duties and recommendations has been chartered, according to priority, and submitted to the Incident Commander: â€Å"Industrial hygienists recognize that engineering, work practice, and administrative controls are the primary means of reducing employee exposure to occupational hazards. Engineering controls minimize employee exposure by either reducing or removing the hazard at the source or isolating the worker from the hazards.† (NOSH interim recommendations for the cleaning and remediation of flood-contaminated HVAC system: A guide for building owner and managers, 2004). Being a hospital, the main Industrial Hygiene concerns for our team and the clean-up recovery workers were exposure to skin and respiratory disorders. It is possible that during flooding the systems for heating, ventilation, and air conditioning (HVAC) could

Sunday, October 27, 2019

Implementation Of The BIM Technology Information Technology Essay

Implementation Of The BIM Technology Information Technology Essay Around the globe, designers have started using the new technology known as BIM which is still to be used by their Indian counterparts. Their reluctance to use this technology has held them back in aspects like walkthroughs and visualizations (Autodesk, 2005). There could be two factors for the lack of use of this technology. This technology is not known by the designers or the users of the Indian AEC industry lack the skills required to use this technology. BIM services are being outsourced by the Indian development centers to places like UK, U.S and the countries in Europe in order to avoid any delays, clashes on site, cost overruns etc. The Indian talent is being made use of by the AEC firms situated in U.K, U.S and the European countries. They are getting various advantages like the talent of Indian developers and low cost production (PRLog, 2007). Complex designs and projects are being built by Indian architects. There are requirements is aspects like integration and information technology, development, simulation, communication, coordination and knowledge sharing. At present, there is no standard consistency regarding the use of the BIM technology and the process of its implementation. This lack of uniformity has been acknowledged even by the Associated General Contractors of America. A lot of software firms have tried to get the best of BIM by developing programs pertaining to several parts of the BIM although none so far have looked at it as a transformation process. This is one of the reasons that we need to build a standard and make the implementation of the BIM technology on the global scale. Significance Architecture is a well to do field in India with a vast client base (Autodesk, 2005). The systems are according to the global standards which are managed by well trained staff of skilled people. There has been rapid modernization in the form of malls, IT parks, and residential complexes in India which has led to the demand of architects. India is still a developing country and is short on infrastructure in almost every sector (Autodesk, 2005). Construction and planning is taking place in full force at present. The low wages of worker has been a factor in using alternate automated solutions. The advantage of BIM however is found in savings and better system than the competitors. The time of turnaround is less which is a huge factor to gain a competitive edge. Firms in architecture should use this technology and stay ahead with the times by keeping in sync with the technology and engineering aspect of architecture. The design of a building should follow a non deterministic method rathe r than forming a closed opinion from the start. New architectural experiments can be performed with the help of this approach to achieve tectonic perfection. Purpose The use of BIM systems in combination with simulation and analytical tools helps in building of a prototype of the building, gain information related to activities of construction and performance even before breaking ground. High value is associated with such a prototype. BIM is useful in such situations as it encourages designers to improve the quality and efficiency by avoiding less than effective practices and making use of the best available techniques. It is necessary for BIM to create a digital model which can be used to ascertain schedule, quality take offs and estimates to lessen the effort and time spent on it. This is required to achieve the optimum benefit of BIM. The project purpose is to find the difficulties in front of Indian architects with regards to the use of BIM while being aware of the principles of the Indian AEC industry to create a strategy for implementation of BIM technology. Building Information Modeling or BIM is a process of documentation which gives information related to the various phases of a project like planning, construction, design, operation and facility management. It is a documentation process providing details of construction application and operational visualization, design coordination and scheduling. The main benefit of using BIM is the aspect of visual coordination used in building systems such as MEP (Mechanical, Electrical, Plumbing). It is also useful in the identification of difficulties that can be taken care of before the construction of building resulting in savings in terms of time and money (Damian, Han Yan and Peter (1)). In a report by the National Institute of Standards and Technology, it was reported (NIST, 2004 (2)) regarding the lack of necessary interoperability that burdens the U.S facilities by around 15.8 billion dollars every year. The BIM technology application has thus far not been used in India but has the chance to use it on a large scale. Introduction Architectural Documentation of Structures BIM has enabled maturity of the Architectural Documentation. A properly maintained documentation using a system can be dated back to the Renaissance in the presentation of the plans for Santa Maria del Fiore by Fillippo Brunelleschi in Italy. The patron was made to understand the design of the building by means of drawings. Architectural Documentation has become more modern in its usage over the years. A data model can be created from the design process to the conceptual and operational phase with the computer aided software. A summary of the evolution of the Architectural Documentation ahs been mentioned in the following text. First phase- Early 1980s: The design documents before the year 1980 were made with the help of lines that would represent the building. The documents would be of the pattern of plan, elevation and section that acted as the base to show the picture of the building to be created. Second phase- At the start of the twenty first century: Building that are constructed nowadays are complex in nature than ever before. The drawings of the building are worked upon by a large number of people. There is a phenomenal increase in the number of buildings which can be owed to the technological advances. Buildings are constructed keeping in mind HVAC (Heating, Ventilation, Air Conditioning) and energy necessities. Computer technology helps in greatly reducing errors but one has to remember that the collections in the end are created manually in the form of text and lines. BIM Concept There is a change in the expectation and process taking place in the Indian construction field in lieu of the economic ups and downs and the architects have stepped up to the plate. There has been a change in the working of the more common 2D based practice related to economic, functional and energy. A single database can be used to share the disciplines in a project. Structure, architecture, electrical, mechanical, construction ad infrastructures are bind together and the coordination between all these factors is a tough task. Energy analysis can take place along with the design phase. The costs of construction have become predictable. With BIM, it is possible to use a parametric 3D model to generate automatically building documents like sections, plans, details, elevations and schedule. BIM supported software produces drawings that are in correlation with representation of the model. If there are any changes made in the project, they are coordinated in the rest of the project autom atically. This is a big advantage as there is lesser risk of coordination issues and helps in improving the quality of work on the whole. Various modeling software packages are known that can be used in the application of conceptual level models although they do not possess the capability of documenting a design for construction of a building. CAD and BIM The basic difference in Computer Aided Design or CAD and BIM is that CAD is a 2D document that is created separately and does not relate in any way to the other documents created separately. A wall is represented by two lines in CAD. A wall is created as an interactive tool in BIM that has its specifications like height, width, bearing and nonbearing principle, interior or exterior, fire rating, demolished or new and materials such as bricks and boards. All the information is assembled by the BIM platform into one single location and then goes on to cross link the data among its related objects. Linkage is not seen between the data that is developed by CAD. Comparative efficiency between BIM and CAD is seen in Table 1. In case of BIM, there are three types of information which is related to the model. Object based geometry- For instance; in BIM a window is an object with qualities similar to a real window rather than just being a collection of lines, points and surfaces. The wall receives a window when the window is placed in the wall by means of adjusting the geometry to fit the placement of the window. The wall allows the window o be placed in locations that are pre defined by the parameters that have been programmed for it. Parametric integrity is yet another feature of BIM geometry which relates to the connection between elements which are maintained consistently even when the model is being manipulated. For instance, suppose a window was programmed to a distance of four feet from a door and there is movement in the position of the window then the window automatically moves itself in order to maintain the distance of four feet from the door. The second form of information related to the BIM model is the non graphical information. It defines the structure and function of the model and any properties that are related to it like fire rating, cost, reflectivity, materials content and conductivity. There is a big list of these properties which is limited only by the information that is required the computation power required to process it. Linked information is the third form of information which is associated but not contained in the model directly. Gantt charts and fabricatorà ¢Ã¢â€š ¬Ã¢â€ž ¢s shop drawings used in scheduling and construction are two such examples of this form of information. A common incorrect assumption is that CAD relates to 2D design whereas BIM relates to 3D design. CAD technology can also be used for 3D designs. The main concern for any BIM service is whether the model that has been created is computable or not. Information regarding the model can be easily understood according too the modelà ¢Ã¢â€š ¬Ã¢â€ž ¢s purpose if the model is computable. For example, a 3D model wall that looks good will not be understood by the computer as a wall. The wall cannot insert a window in it and cannot be viewed as a wall created by raw materials. Another aspect of BIM is the Virtual Design and Construction or VDC. According to CIFE, VDC is defined as the use of multidisciplinary performance models of design construction projects. CIFE acknowledges BIM as a tool useful to support product design that is a part of VDC which highlights the organization, product and design construction operation team processes. It is said by some that BIM is more than design software and can be viewed as a module that involves the whole project team. Irrespective of the definition of BIM, the success in implementation of VDC or BIM lies in the coordination throughout all the project teams which is talked about in later parts of the paper. 1.2 Big BIM vendors There are many high roller vendors in the BIM technology market. REVIT is the creation of Autodesk that is directed towards the collection of all the building elements in a single database which helps in providing the users to see results of design modification quickly and enable them to identify interference issues. Bentley Systems makes use of another approach that produces a family of the application modules that relate to each other easily. The modules include Bentley Structural, Bentley architecture, Bentley Building Electrical Systems and Bentley Building Mechanical Systems. Graphisoft is another big name that was purchased by a German firm by the name of Nemetschek in the year 2006. The approach of their BIM is to make a virtual building model to support their main product ArchiCAD that would associate itself with other applications. At last, there is CATIA which was developed by Dassault Systemes that was created for the aerospace industry. It has been adapted by Gehry Technologies to use it in the AEC industry. 1.3 Contribution Building owners and developers lay the most emphasis on information modeling as said by publications related to BIM. A definitive framework to show the value in the life cycle of the creation of the building is missing. For instance, The Contractors Guide to BIM which is established by The Associated General Contractors of America is an informative and precise document with the focus being on BIM from the point of view of a contractor. Similarly, publications floated by fabrication or design related organizations show the perspective of their companies. It is clear from the above two statements that the content of the information on BIM is in favor of the organization who writes it which is more often than This paper is from the point of view of developers and owners who are the most important factor in the construction industry as these entities are responsible for the expense related to the creation of a building. 2 Methodologies Published information was used for the majority of data provided in this paper that contains the following- Journal and magazine articles Publications related to trade organizations Marketing publications and white papers by software vendors Presentation of practitioners Academic papers Case studies Surveys Architects, developers and researchers were interviewed like, Sera Architects and Gerding Edlen Development, LLC which are both outside of Portland., Oregon. The selection of the firms was based on their prior experience with valid developments and implementations of BIM. Researchers like John Kunz and Martin Fischer from Stanford University and Professor Chuck Eastman from Georgia Tech were interviewed. Selection of individuals was based on their expertise with BIM related techniques and architectural computing. The main criterion was to find out the reliability of the data with regards to the completion or near completion of the project. Case data from a yet to be started project has not been included since this paper is from the perspective of the developer. Statements from online publications, articles and interviews were not entirely in specification with the project and hence the same criterion was not used as the statements may refer to multiple project experiences. The different forms of data found in this paper ranges from quantitative data to qualitative opinions about time, cost and efficiency. Quantitative information on the performance of the project was taken into account to gauge the level of effectiveness of a particular modeling implementation or modeling. BIM technology is a fairly new concept and practitioners wanted to see proof of the value of the BIM implementation to a project before investing resources and time. The information from real projects shows this proof and the errors and lessons that have been learned from previous mistakes. The major portion if the quantified information seen in this paper is taken from development projects of major size like office and residential towers, schools, hotels and event centers. The bias in data is mainly due to lack of information on the use of BIM in small scale projects. There is a degree of uncertainty if the lack of information is the reason behind the application of BIM in small scale projects or whether the information related to small projects using BIM is not being published. Additional information on the small projects using BIM would further enhance the argument on the benefits of BIM. 2 Questionnaires 2.1 Objectives and sample This questionnaire has got two major objectives. The first is to survey and find the ratio of AEC companies in the U.S, U.K and other nations that use BIM. The next objective is to determine the benefits these companies enjoy from this technology. The AEC industry academics and practitioners were sent the questionnaire to fill up. Analysis was the focus for the two countries of U.K and U.S. U.S is clearly ahead of the rest in the development of the BIM technology. The companies in U.K have spent a lot of time to carry out research on this technology. Some of the companies are leaning towards this technology. Academics who participated in the research of BIM also took part in the questionnaire. Poverty Issue in Pakistan There are several facets to poverty in the country of Pakistan. The people suffering from poverty in Pakistan are secluded from basic amenities like clean drinking water, education, proper sanitation and health. This discourages them and their abilities while limiting their opportunities to get a safe and secure employment. This tends to the poor being secluded from society and exposes them to a sad affair of states. This problem only worsens as the government does not make any policies and plans for the betterment of these people and help them in the long run. The depth and extent of the poverty calculated from different ways based on different definitions and indices used but there is a general consensus regarding the shocking state of the people suffering from poverty. It has been agreed upon by all that the fight against poverty seen in the 1980à ¢Ã¢â€š ¬Ã¢â€ž ¢s has died down entirely. IF anything, the extent of poverty has only increased at the turn of the next decade as there was no per capita growth in GDP. The government in Pakistan on the basis of the information available regarding the current situation of the people living in poverty has agree with the IPRSP with respect to the trends in the prevalence of poverty. During this period, the Planning Division has enforced an official poverty line that is based on the norm of 2350 calories per adult per day. Strategy of poverty reduction The poverty reduction strategy has basically been put in place to help the needy who have long been suppressed by the conditions brought on to them on account of poverty. Those living under the poverty line in Pakistan have to face a lot of hardships on a daily basis and it is of essence to provide them with some facilities in order to improve their standard of living both socially and economically. The poverty reduction scheme of the Pakistan government is based on the following principles: Increasing the economic growth and keeping the macroeconomic condition stable. Human capital investment Expansion of social safety nets Bettering the governance The major steps and policies brought into effect by the Pakistan government are the following: Financial sector Reforms and Monetary Policy Market based indirect instruments are used to conduct the monetary policy in Pakistan. The free float exchange rate prevalent from July 2000 has meant that the monetary policy has a huge impact on the exchange rate, surpluses, rising current account and the liquidity as a result seen in the inter bank foreign exchange market, pressure exerted on the U.S$ and Rupee parity by H1-FY03. The state Bank of Pakistan has kept intact the cautious policy standpoint and mopped up the major portion of the excess liquidity from the inter bank market witch enabled the rupee to increase in value. The value of the rupee increased by just 3.1% throughout the period. The monetary standpoint adopted is unlikely to change if there is no shift in the inflation overview. There has been a drop in the average lending rates from fourteen percent in the NOV. 2001. To more than ten billion dollars in the recent time and the return from the National Savings Scheme instruments have decreased. The major parts of financial sector reforms are: Measures include elimination credit controls, interest rates and lower cash reserve ratio, development of financial market that include treasury bill market, inter bank market, increased competition, capital markets, high competition in between banks, foreign firms and privatization of financial institutions, strengthening prudential supervision and regulation, enforcement of anti money laundering law in FY04 made for establishment of Financial Intelligence Unit. The strategy for reducing strategy keeps in mind the social, economic and governance. The aim is to improve development that should be proportional to every citizen that includes the unemployed, poor, illiterate, ill health, poor sanitation and housing and unclean drinking water. The main objectives of the policy are: Providing the essential productive assets to those who are poor. Providing a safety net to take care of the very poor. Enhancing the capability of people with the help of human development programs. Providing the necessary resources to finance the programs made for reducing the poverty. Strengthening and reforming the institutions to deliver the public services in a better manner. Micro finance- The concept of micro credit has become a very helpful tool to enabling the poor in increasing their income. Reducing their vulnerability to shocks and building small businesses. Microfinance can be applied to more aspects like savings, credit and insurance as part of the broader services. This concept has many institutions like the First Microfinance bank, Kashf Foundation, First Women Bank and SME Bank. The disbursements and the beneficiaries of the microfinance can be seen in Table 10.1 for the period of 2008-2009, 2009-2010 and the target for 2010-2011. The State Bank of Pakistan has been very helpful in the encouragement that they have provided to Development Financial Institutions and banks to work towards the funding of Microfinance Institutions, NGOà ¢Ã¢â€š ¬Ã¢â€ž ¢s and Microfinance Banks in order to achieve the targeted outreach. TO further enhance the passage of funds to the field of microfinance, The State Bank of Pakistan has developed a Microfinance Credit Guarantee Facility or MCFG which helps in easing the constraints on credit. This is viewed as an incentive by the microfinance institutions and ultimately helps the general public in their fight against poverty and to get a new lease of life in the right direction. In accordance with the MCFG facility, The State Bank of Pakistan provides a guarantee cover to a percentage of forty on the principal amount in the scenario of a partial Guarantee and to a percent of twenty five in the scenario of First Loss Default Guarantee on the facility of credit being extended to the qu alifying borrowing institution by the lending institution. The micro finance institutions that are in place currently are sure to be supported strongly by the development of service and product innovations and also the enhancement to the access of credit for women Microfinance services are set for a considerable amount of expansion that will be seen both horizontally and vertically which will help in the long run for the strengthening of the framework for the financial services being provided from the legal point of view.

Friday, October 25, 2019

galileo :: essays research papers

Galileo Galilei   Ã‚  Ã‚  Ã‚  Ã‚  Galileo was a mathematician transformed into an astronomer. He created the modern telescope based on a primitive model that originated in Amsterdam. Galileo disproved Aristotle's fundamental principles of the universe, which had been excepted throughout the centuries as common knowledge. According to this theory, no change could ever take place in the heavens, because everything in them was made of a perfect and unalterable substance called the â€Å"quintessence.† However, in October 1604, Galileo spotted a supernova and a new star was discovered and proved to be among the fixed stars, disproving Aristotle's theories.   Ã‚  Ã‚  Ã‚  Ã‚  Galileo’s telescopes were approved by the Venetian senators to be copied and openly sold. However, Galileo was threatened when Venice disapproved of telescopes being cheaply hawked on every street corner. He fled to Florence seeking protection under Cosimo de Medici. In Florence Galileo gained many allies on his sun-centered theory of the solar system of the universe. Between 1616 and 1624, Galileo remained content to study without publishing his findings. Galileo grew bolder due to his failing eyesight and by 1632 Galileo’s ideas had become common knowledge in Italian streets. Many authorities considered Galileo’s findings as dangerously heretical and seditious notions. Under pressure from the church, Cosimo de Medici withdrew his protection, as did Pope Urban VIII, the former Cardinal Barberini, who allowed his Cardinal Inquisitor to threaten Galileo with torture in order to exact a confession of heresy and recantation.   Ã‚  Ã‚  Ã‚  Ã‚  To the dismay of his close followers, Galileo recanted on June 22, 1633. The news was announced to his family and friends by the church bells of the Saint Marcus, followed by the town crier’s reading of the text of the recantation. Feeling betrayed, his disciples turned away from him. Thereafter until his death in 1642, Galileo remained a prisoner of the Inquisition, under house arrest, and under the watchful eye of his daughter, Virginia. Secretly, he worked at night on his scientific opus, the Discorsi. He hid his papers inside a globe and was able to get his work to the outside world after Andrea visited him, asking of his health. After admitting that he had recanted from a fear of torture, Galileo gave the manuscript to Andrea, who in 1637 conveyed it across the Italian frontier on his way to Amsterdam, where it could be published and circulated without reprisal from the church.   Ã‚  Ã‚  Ã‚  Ã‚  Galileo’s ideals came as a shock to the citizens of Italy and other nations.

Thursday, October 24, 2019

Ethical Decisions Essay

The purpose of this paper is to demonstrate how a salesman, Joe Smith, uses the common good approach to make an ethical decision in making a possible uniform sale between UWEAR and Peninsula Hotels, Bill Batesman, CEO. Joe Smith has been reprimanded the year before when he signed the contract with Peninsula Hotels because the price he offered was so low. He has to bid so low because his competitor THREADS4U was a very shrewd bidder (Virtual Classroom-CTUO). This year the competitor, THREADS4U has offered Bill Batesman a 10% less bid than Joe Smith, UWEAR. Bill and Joe have also gained a personal friendship as they have done business with each other. Bill is considering to take the discounted bid with THREADS4U and Joe is desperate to save the contract with Peninsula Hotels. The contract with Peninsula Hotels is over 50% of Joe’s sale’s territory. He needs to gain approval from the management team with UWEAR to discuss the negotiations allowed (Virtual Classroom-CTUO). Who are the stakeholders in this situation? Stakeholders are those individuals, group or organization that has interest or concern in an organization. They can affect or be affected by the organization’s actions, objectives and policies. Not all stakeholders are equal. A company’s customers are entitled to fair trading practices, but they are not entitled to some consideration as the company’s employees (Business Dictionary, 2013). The stakeholders involved within this sales contract between Joe Smith and Bill Batesman are Joe Smith, salesman, management team, and employees of UWEAR. What are the responsibilities of each stakeholder to the company? Joe’s responsibility as a sales person is to secure business which adds to the company’s viability. The management team is to take the income for the business and insure profitability so employees can be retained and for shareholders to receive dividends (Clawson 2012). Employees have the responsibility of completing tasks assigned to insure quality and viability for the company. Four ethical responsibilities for each stakeholder. Joe’s ethical responsibility is to represent the company with a professional and ethical attitude. He is to make an ethical business decision based on the common good for viability of the company. He should use the common good ethical theory as a basis for all a sales decisions, as each sale affects the entire community of the UWEAR. He has a responsibility to share all necessary items that could factor the sale in a positive or negative manner (MUSE, 2010). The management team of UWEAR has the responsibility to organize the policies for all ethical decisions made by all employees. They should set projections to meet budgeted revenues to run the company. They are responsible to control expenditures for the company to reach projected profit (Watkins and MUSE). The management team has an ethical decision to work to peak performance to meet the ethical goals for the company. The employees are responsible for completing the task assigned to see that the company is profitable. They are to meet their job description according to the company’s standards. They are to represent the company with a professional and ethical attitude, as well. Employees need to realize all they do is for the common good of the company. Responses of Stakeholders Each stakeholder should respond with keeping the common good theory as a focus to obtain the goals as a team. Joe needs to understand ethics are about making choices that may not always feel good or seem like they benefit you, but are the right choices to make. They are the choices that are examples of model citizens and examples of the golden rules (Curry). His decision involves the entire business of UWEAR as all employees are looking at possible cuts and layoffs due to economic strains after a merger between UWEAR and PALEDENIM. The management team should respond as having the main focus of making profit for the company to meet the day to day expenses needed to run the company. As the employees should be concern by making sure the tasks assigned to make the product/items sold by UWEAR is presentable with quality for Joe to sale, as well as, the customer service provided after the sales contract is obtained. Joe’s proposal and support for proposalJoe needs to propose to the management team after merging with PALEDENIM there are additional items of a different quality he could offer to Peninsula Hotels and still be able to offer a reasonable quote. He needs to support his proposal by showing a list of additional items compared to last year’s contract UWEAR now offers at a lower cost, but feels Bill Batesman would be satisfied with the quality of uniform and product. He can inform them he has spent quality amount of time getting to know Bill since the contract is 50% part of his sales region. Spending this quality time with him has opened opportunities to discuss items further and you feel Bill would see the items as a positive means to and could show him how he could save. He could also, look at the turn-around-time of how the time of purchase compared to competitors meeting the same time of delivery, etc. Joe needs to demonstrate how a lower price could open other doors for new business which would could mean he would expand just by making an offer to Peninsula Hotels. Conclusion Joe, the management team, and employees of UWEAR need to build a program in how to deliver a common good as a team using ethical decisions. Each member of UWEAR needs to be aware of the policies of the company and meet the requirements within each department so profit can be the main goal for the company. If all parties have the common goal of profitability, in reality means quality of product and service, as well, even though it is managed by the management team Joe could obtain sales beyond Peninsula Hotels. Peninsula Hotels may be offered a lower price, but could mean Joe Smith needs to obtain additional clients to meet the profit goal set by management of UWEAR. The new merger could be what the public is looking for, but the company needs to have a reputable client to build a quality reputation for UWEAR. References Business Dictionary, 2013. http://www.businessdictionary.com/definition/stakeholder.html. Web Finance, Inc. Clawson, James G. (2012). Level three leadership: getting below the surface. (5th ed.). One Lake Street, Upper Saddle River, New Jersey: Pearson Education, Inc. Curry, Myron. Business Ethics Article: Ethics in the Workplace. http://www.business-arketing.com/article-businessethics.php My Unique Student Experience, M.U.S.E. (2010). Theories and Ethics. Approaches to Ethical Decision Making. Colorado Technical University Online. https://campus.ctuonline.edu/ courses/INTD670-X/p1/hub1/9206.pdf. Career Education Corporation. My Unique Student Experience, M.U.S.E. (2010). Theories and Ethics. Manager as a Leader. Colorado Technical University Online. https://campus.ctuonline.edu/courses/INTD670-X/p1/hub1/9206.pdf. Career Education Corporation. Virtual Classroom, 2013. INTD670-1303B-03, Leadership and Ethical Decision Making. Dr. Edward Goold. Colorado Technical University Online. Watkins, Michael D. (2009). Harvard Business Review: How Managers Become Leaders. June, 2012. Vol. 90 (6). pp 64-72.

Wednesday, October 23, 2019

A case study of the UK flooding: the river Uck, East Sussex, October 2000

During the wet season of October the Sussex the Uck-Ouse basin burst it banks and caused major flooding in the surrounding towns mainly a small town called Uckfield. Upstream of the town of Uckfield slopes are very steep and so runoff happens very quickly after rainfall. However the River Uck flood plain is relatively undeveloped, with natural flood plains remaining. Here land management practices are well adapted to flooding. The flooding in the central part of the Ouse catchments on Thursday 12th October 2000 was preceded by 3 days of storms and heavy rain across the whole area. The ground became increasingly waterlogged, and there was widespread, localised flooding from surface water run-off. Uckfield flooded dramatically from about 5.00am on the 12th October, with river levels rising rapidly to a peak between 9.00am and 10.00am, at which point a torrent of water up to 1.9m deep, was flowing through the town centre causing considerable damage. Barcombe and Lewes filled up and widespread flooding in Lewes started at about 1.00pm, as the rising river backed up behind the Cliffe Bridge and overtopped the flood defences at a number of locations. Within about an hour or so the flood defences throughout the town were completely overwhelmed and the town centre rapidly filled with floodwater. Many hundreds of people were stranded and had to be rescued by the Emergency Services in boats. By the time the floodwaters peaked at about 9.30pm, some parts of Lewes were less than 3.6m of water. As the flows passing downstream from Barcombe continued to increase at a rapid rate, the floodwaters weired over the river walls and surged through the streets and open areas in Lewes, rapidly filling up sections of the urban floodplain to a depth of 1m in about half an hour. The Police abandoned the centre of town, and the evacuation turned into a rescue operation as the RNLI and Emergency Services used inflatable lifeboats to reach people suddenly trapped in their homes or businesses. The flood devastated the centres of Uckfield and Lewes, as well as causing significant damage to surrounding rural properties and the farming community. * long periods of drying out and repair mean that many homes have remained uninhabitable for many months after the event, with residents having to live in alternative, temporary accommodation; * similarly, many businesses remain closed months after the flood, and a small number are believed to have closed permanently; * a long term loss of trade, both for the flooded businesses, and for the wider business community; * widespread concerns about property values and insurance; * losses of agricultural crops and livestock; * impact on County Council Social Services provision due to the loss of day centres and buses; * long term damage to road surfaces, and widespread blockage of highways drainage systems; * impact on Lewes District Council's housing provision due to temporary re-accommodation of flood victims; * disruption to the Fire Brigade and Ambulance Service due to the temporary loss of several of their buildings, including their control centres, and loss of vehicles; * in Lewes, 118 Listed Buildings and 230 other ‘traditional' buildings within the Conservation Area were damaged, requiring specialist repair; * long term needs for emotional support amongst some. This means that the upper and middle sections of the catchments become quickly saturated following heavy rainfall. During wet periods a large proportion of the rainfall will quickly run-off into the river system rather than drain through the ground, and this effect is exacerbated by the hilly nature of the upper parts of the catchment. * increasing the amount and rate of surface water run-off, thereby increasing flows; * reducing the area available for flood storage, thereby increasing peak levels; * reducing the area available for flood flow conveyance, thereby increasing peak levels, contributing to rapid inundation and high flood velocities, and extending the period of flooding. * River flows were increasing very rapidly at this time and continued to do so for several hours after the flood defences were overtopped. * The upstream flood storage areas were already ‘full' so that the majority of the flood flows passed straight downstream to Lewes with little attenuation. * Once overtopped, the flood defences acted like weirs allowing large volumes of water to pass over them in a short space of time, rapidly filling the low lying areas behind them, with high velocities being witnessed where flows were channelled through narrow gaps. * The natural narrowing flood plain as it approaches Lewes, together with the artificial obstructions across its path in Lewes (Phoenix Causeway, Mayhew Way, Cliffe High Street shops) severely reduces the ability of the flood plain through Lewes to convey flood waters, causing levels to rise higher still. *  It is an obvious point, but maybe worth stating, that the 12th October 2000 flood inundated the floodplain – so named for a good reason. The devastating impact of the flood was because large numbers of properties have over the years been built on the floodplain, and although artificial flood defences or river improvement works have protected those properties from more frequent flooding events, all property constructed on the flood plain is at risk of flooding occasionally. The Environment Agency's Flood Warning slogan of â€Å"You cannot prevent flooding, you can only prepare for it†. The existing flood defences were overwhelmed by the 12th October 2000 flood flows and it may be possible to justify future improvements to raise the current standards of defence to protect against an event of similar magnitude. A number of options are likely to be considered in the forthcoming Catchment Strategy Plan being commissioned by the Environment Agency. However, given the extreme severity of 12th October 2000 event, and the nature of the long-standing government rules and arrangements for project appraisal and flood defence funding, we do not believe that it is reasonable to assume that they should already have been of such a standard. Nevertheless we believe that there are a number of important issues relating to the existing flood defences in Lewes which need to be urgently addressed, in particular the apparently poor condition of many of the river walls through the town, and the long term settlement in the upstream flood embankments. The floodwalls were breached or damaged in at least 8 locations through the town, and the sudden failure of the river wall at Phoenix Industrial Estate is particularly worrying. The flooding took many residents by surprise, and it is clear that the Environment Agency and a significant number of affected residents have very different perceptions about the performance of the flood warning system. This is partly an issue of communication and education. We believe that it is important that the Environment Agency vigorously continues its efforts to educate local residents, and that it is explicit about its actual responsibilities and capabilities. With the benefit of hindsight, we also believe that a number of important improvements in the flood warning and forecasting service can be identified, and should be undertaken. These would not have had any impact on the extent, speed or depth of the actual flooding, but they may have meant that for many, vehicles, stock, or precious personal possessions might have been saved.

Tuesday, October 22, 2019

Choose one case study and evaluate it from the perspective of the Behaviourist Approach. Provide strategies for intervention based only on this theory The WritePass Journal

Choose one case study and evaluate it from the perspective of the Behaviourist Approach. Provide strategies for intervention based only on this theory Abstract Choose one case study and evaluate it from the perspective of the Behaviourist Approach. Provide strategies for intervention based only on this theory . Porter, L. (2006). Behaviour in Schools: Theory and Practice for Teachers. Open University Press. ISBN-10: 0335220010. Premack, D. (1959). Empirical Behaviour Laws: Positive Reinforcement. Psychological Review. Vol. 66. Shirley, R. (2009). The Behaviourist Approach to Teaching in Class. Accessed: https://suite.io/rachel-shirley/1qz5268. Last Accessed 04/07/2014. Wheldall, K. Glynn, T. (1989). Effective Classroom Learning. Blackwell. Oxford. White, R. Renk, K. (2011). Externalizing Behaviour Problems during Adolescence: An Ecological Perspective. Springer Science and Business Media.

Monday, October 21, 2019

Free Essays on Alzheimer Disease

Alzheimer’s Disease Dementia is a brain disorder that seriously affects a person’s ability to carry out daily activities. Alzheimer’s disease (AD) is the most common form of dementia among older people. It involves the parts of the brain that control thought, memory, and language. Every day scientists learn more, but right now the causes of AD are still unknown, and there is no cure. Scientists think that up to 4 million Americans suffer from AD. The disease usually begins after age 60, and risk goes up with age. While younger people also may get AD, it is much less common. About 3 percent of men and women ages 65 to 74 have AD, and nearly half of those age 85 and older may have the disease. It is important to note, however, that AD is not a normal part of aging. AD is named after Dr. Alois Alzheimer, a German doctor. In 1906, Dr. Alzheimer noticed changes in the brain tissue of a woman who had died of an unusual mental illness. He found abnormal clumps, now called amyloid plaques, and tangled bundles of fibers now called neurofibrillary tangles. Today, these plaques and tangles in the brain are considered hallmarks of AD. Scientists also have found other brain changes in people with AD. There is a loss of nerve cells in areas of the brain that are vital to memory and other mental abilities. There also are lower levels of chemicals in the brain that carry complex messages back and forth between nerve cells. AD may disrupt normal thinking and memory by blocking these messages between brain cells. There probably is not one single cause of Alzheimer’s, but several factors that affect each person differently. Age is the most important known risk factor for AD. The number of people with the disease doubles every 5 years beyond age 65. Family history is another risk factor. Scientists believe that genetics may play a role in many AD cases. For example, familial AD, a rare form of AD that usually occurs between the ages of 30... Free Essays on Alzheimer' Disease Free Essays on Alzheimer' Disease Alzheimer’s Disease Dementia is a brain disorder that seriously affects a person’s ability to carry out daily activities. Alzheimer’s disease (AD) is the most common form of dementia among older people. It involves the parts of the brain that control thought, memory, and language. Every day scientists learn more, but right now the causes of AD are still unknown, and there is no cure. Scientists think that up to 4 million Americans suffer from AD. The disease usually begins after age 60, and risk goes up with age. While younger people also may get AD, it is much less common. About 3 percent of men and women ages 65 to 74 have AD, and nearly half of those age 85 and older may have the disease. It is important to note, however, that AD is not a normal part of aging. AD is named after Dr. Alois Alzheimer, a German doctor. In 1906, Dr. Alzheimer noticed changes in the brain tissue of a woman who had died of an unusual mental illness. He found abnormal clumps, now called amyloid plaques, and tangled bundles of fibers now called neurofibrillary tangles. Today, these plaques and tangles in the brain are considered hallmarks of AD. Scientists also have found other brain changes in people with AD. There is a loss of nerve cells in areas of the brain that are vital to memory and other mental abilities. There also are lower levels of chemicals in the brain that carry complex messages back and forth between nerve cells. AD may disrupt normal thinking and memory by blocking these messages between brain cells. There probably is not one single cause of Alzheimer’s, but several factors that affect each person differently. Age is the most important known risk factor for AD. The number of people with the disease doubles every 5 years beyond age 65. Family history is another risk factor. Scientists believe that genetics may play a role in many AD cases. For example, familial AD, a rare form of AD that usually occurs between the ages of 30...

Sunday, October 20, 2019

Analysis Of Theodore Roethke s My Papa s Waltz Essay -- Poetry, Stanza

He tries to beautify the experience by making it a waltz. He also, by means of images and rhythm, shows the conflict between the readers, or the way any other ‘normal’ man will look at this experience, and how he sees it, or wants it to be seen ( although he does not show his father as completely innocent). It can also be looked upon as the Petty Herst syndrome – meaning having a ‘reality’ so intense and strong that one feels incapable of any other ‘reality’, fearing it can and will be worse. The poem is built of four stanzas (quatrain), each consisting of four lines. The rhyme scheme is, in the first stanza – abab, in the second – cdcd, in the third – efef, and in the fourth – ghgh. The meter is trecet iamb (stressed unstressed – three times per line). The central image in the poem is the metaphor in which the beatings are described as a waltz. The poet is led around the house, dancing – not beaten around. Which is also brought throu by the meter – trecet iamb – the beat of the waltz, thus the main image is shown through the meter as well, giving the reader more of the feeling of a dance in contrast to the ‘secondery images’ which are more associated with the rough experience of a beating. Given such parameters the poet installs some sort of relaxation in the reader (maybe even in himself), in order to make the subject – the beating – more readable, and lessening the effect of thewhen the person leaves this reality it will still, in retrospective, be the best situation he was ever been. It is possible that the narrator in this poem is ‘afflicted’ by this syndrome. He defends his father because to him it seems that this is the reality he should be in. He describes the beat ings as a waltz because he sees it as such. Although the poem is narrated retrospectively, from a grown up man point of view, something remains, the poet does not hate his father for the beating, on the contrary, he shows us that the love to his father is not, and never was lost. And twice during the poem – he talks about † But I hung on † in the first stanza, and † Still clinging to your shirt.† in the fourth stanza, which gives the feeling that he loved and stayed with his father during his childhood, and that he does that even now when his childhood is no longer with him.

Friday, October 18, 2019

Internet Addiction and College students Essay Example | Topics and Well Written Essays - 1000 words

Internet Addiction and College students - Essay Example Tan (2001) said that the Internet use plays a major role in education for students as well as for the professionals to make things easier; it greatly enhances the learning and practices of individuals and that it is meant to cause students learning and their performance at their performance at the higher-level Mayer (2000). However, there are reports that reveal, there are negative effects brought by heavy Internet use on one's psychological wellbeing (Young, 2004). Anderson (2000) explained that, internet dependent students' average use reached about 29 minutes per day. These users utilize synchronous communication internet application nearly ten times more than the non-dependent students, who only spent an average of 3 minutes per day doing the same activities due to the fact that, users are able to get quality information from internet facilities (Asemi 2005). However, there are reports that reveal, there are negative effects brought by heavy Internet use on one's psychological wellbeing (Young, 2004), with 8% - 13% of undergraduates allegedly addicted to internet use. The said uses have resulted to impairment among individuals' psychological well-being, academic performance and peer and family interactions (Scherer, 1997 Young, 1998). Moreover, this phenomenon of extreme use has been known as "Internet addiction (Young, 2004) and "problematic Internet use" (Caplan, 2002 & Shapira, et. al. 2003).The American Psychologist Association has prescribed criteria as basis whether or not a person be diagnosed for internet addiction disorder, and these are as follows: (1) Tolerance, which refers to individual's need for increasing quantity of time consumed on the Internet for satisfaction purposes; (2) Two or more withdrawal symptoms that develop in days until one a month or even after; (3) Use of the Internet in order to alleviate or avoid withdr awal symptoms; (4) The Internet is repeatedly accessed more often; if not, for longer periods that the intended time; (5) The individual loss of an important relationship, or still at risk of losing; loss of job, educational or career opportunity due to the excessive use of the Internet, and several other reasons.Bratter and Forest (cited by Freeman, 1992) characterized addiction as "a behavior pattern of obsessive drug use due to overwhelming involvement. Psychologist Kimberly S. Young, investigation nearly 500 heavy Internet users by compared their behaviors. Using the clinical criteria formulated by the Diagnostic and Statistical Manual of Mental Disorders-IV and was also published by the American Psychiatric Association; results showed that, eighty percent (80%) of the participants were dependent Internet users. She further elaborated that, "internet use can disrupt an individual's social, academic, financial, and professional life just as the same with other well-documented add ictions" (Young, 1996). Psychodynamic and personality perspectives can be accounted for addiction during early childhood traumas, relationship with certain personality traits/disorders, as well as inherited psychological dispositions (Sue,

Malnutrition Universal Screening tool (MUST) assessment tool Essay

Malnutrition Universal Screening tool (MUST) assessment tool - Essay Example The screening tool should be simple, quick to use, valid, reliable and acceptable to both patient and the nurse. It should be convenient for use in all types of settings and for all types of patients. MUST was developed in Britain with these aims (Gibney et al, 2005). It was developed by the Malnutrition Advisory group, a multidisciplinary group of British Association for parenteral and Enteral Nutrition (BAPEN, 2008), in 2000. It is recommended by British dietetic Association, The Royal College of Nursing, The registered nursing homes Association and The Royal college of Physician (England). It is an evidence based tool designed to detect malnutrition and obesity but not vitamin and mineral deficiency. MUST is developed for use in all adults including elderly, sick or healthy , hospital wards, outpatient clinics, general practice , community settings and public health (Thomas et al, 2007; Morrison et al 2007). A number of studies were conducted in these settings. Agreement was >95% in all studies prior to recommending the tool in practice, according to BAPEN (2008) MUST meets all the key requirements of a good tool. The tool is developed by experts in the field and validated by subsequent research. It is easy, quick and reliable besides recommended by recognized professional bodies. The tool has incorporated three elements viz. BMI, unintentional weight loss and acute disease effect to minimise error occurring from single element measurement. The present article is intends to discuss reliability and validity of the tool in light of controversial views about the BMI and other factors as indicator of nutritional status. MUST is a five-step screening tool to identify adults who are malnourished, at risk of malnutrition (undernutrition), or obese. MUST is designed to detect protein-energy malnutrition. Three parameters are used: current weight status

Critically evaluate the strategic role of global information systems Essay

Critically evaluate the strategic role of global information systems for organisations and discuss the management issues associa - Essay Example Information systems have, therefore, had a profound effect on the performance of global businesses by transforming their ability to deliver value to customers (Czinkota et al., 2005). However, the application of information system has unfortunately stemmed on the basis of companies’ internal operations with little focus of the global paradigm. This means that international requirements, including cross-cultural differences, have yet to be fully materialized into the information systems used by these global businesses. Most often global information systems are evaluated from the same perspective as their local counterparts; however, the former demands attention to some particular aspects. An integrated and holistic information systems approach has enabled organizations conduct business processes online (e-business), co ordinate upstream and downstream supply chain partners (e-commerce) and enable entrepreneurs streamline their innovative ideas and creativity (Pearlson & Saunder s, 2009). The key to competitive advantage in today’s world, therefore, does not lie in traditional cost reduction or differentiation techniques but in rapidly adapting to changing customer tastes and implementing learning and innovation to product offerings in real-time (Phillips & Haag, 2009). As an extension to Porter’s resource based view, researchers explored the direct positive relationship between effective information management and company success by explaining how information used could enhance the organization’s learning, innovation and creative abilities. The virtual value chain is centered on the notion of seamless flow of information across all levels of the organization that enable it to deliver value to its customers. Therefore, information systems have been linked to the dramatic improvement of the value chain, marketing strategies, customer service and internal communications framework. However, â€Å"global† information systems go far b eyond just that. Global businesses face a number of constraints on the number of locations in which they decide to operate internationally. Challenges such as those related to networking and communication, socio-economic and political risks, differences in culture as well as unfamiliarity with the market all limit organizations’ capacity to operate effectively in the global marketplace (Czinkota et al., 2005). It is here that information systems have truly transformed global businesses. Researchers who highlighted the strategic importance of IS demonstrated the relationship between IS and business strategy and went on to state that information systems were necessary in achieving a competitive edge for the firm (Peppard & Ward, 2004) (Pearlson & Saunders, 2009). There have been various studies examining the relationship between successful firms and effective use of information systems. However, it is not clear whether these systems have a direct relation with the firm’s success or whether they are merely a part of a portfolio of resources that enables firms achieve competitive advantage. Furthermore, most companies have now started to outsource IS in their organizations. This handing over of IS to third parties in itself contradicts the view that IS serve a strategic function in organizations. Despite increased popularity of outsourcing of IS in organizations, the slogan of keeping IS intact with the

Thursday, October 17, 2019

Film Project Essay Example | Topics and Well Written Essays - 1500 words

Film Project - Essay Example The discussion below analyzes some important scenes in the two films thereby portraying the similarity and differences in the two. The two films have simplistic yet realistic plots. The last detail, just as the name portrays shows laxity in the operations of marines as an executive officer of the marine sends two petty officers Billy "Badass" Buddusky and Richard "Mule" Mulhall to escort a young convicted prisoner Larry Meadows who is facing eight years imprisonment. The two officers travel from Norfolk Virginia to Portsmouth New Hampshire as they escort the prisoner and put him in one of the most adventurous journey of his life. When they arrive in Portsmouth, the soldiers learn that the executive officer had to cover the detailed paperwork and that the two had not been sent on any mission, at least not according to the paperwork. Coming home, on the other hand, is a love triangle. In the film, Sally is a wife of a soldier, Bob Hyde. When Bob goes on a mission in Vietnam, Sally meets and falls in love with Luke Martin her former classmate and a soldier returning from Vietnam. The story shows the adverse physic al and psychological effects of war on the soldiers as the conflict between the three heighten. The summary of the plots shows some preliminary similarities in Hal Ashby’s works. Both plots show the lives of soldiers. While one can argue that the occurrence is coincidental given the independence of both scripts, Ashby employs similar features in building the legitimacy of the story line. He uses appropriate characters who possess the physique and mental alertness of soldiers. Characters enhance the success of a film. Characters should possess the appropriate traits that help bring out the best in the personality required for every character. In The Last detail, he uses Jack Nicholson as "Badass" Buddusky, Otis Young

Pros and Cons of Outsourcing Research Paper Example | Topics and Well Written Essays - 1000 words

Pros and Cons of Outsourcing - Research Paper Example oose to outsource to avoid the pain of manufacturing in-house and reduce the cost of business while the risks involved in outsourcing are mainly lack of coordination, and linguistic barriers. Right management is the secret of a successful business which uses outsourcing. Outsourcing particularly proves beneficial for small companies. One of the success stories for such a case has been the outsourcing of Finance and Accounting (F&A) by Rhapsody; the music-subscription service. Originally the company was functioning as a joint venture, but when the parent companies separated, the finance president Michael McGinn immediately needed a finance team, so he opted for outsourcing. McGinn hired the services of an Indian company who did all for the company ranging from making payrolls to account reconciliations. This benefited the Rhapsody in numerous ways; additional resources were produced within six months only, scaling back was achieved without penalties, and the five employees in the Indian company cost the Rhapsody as much as two US-based employees would get. Technology has made it very convenient for small companies to outsource the F&A work at cheap rate. As a result of the increased competition in the market, outsourcers have started to render their services at cheaper rates. There has been a six to eight per cent decline in the price of F&A outsourcing between 2009 and 2011. Over a period of six years starting from 2004, the outsourcing contract has declined in value from $30 million to $18 million not only because of â€Å"increased competitiveness and falling price points, but also [to] the increased number of engagements being signed with organizations in the $750 million to $3 billion revenue category† (Stuart). According to Ben Towbridge, the CEO of Alsbridge, an offshore finance employee costs a company anywhere from $18,000 to $28,000 annually, whereas a US finance worker charges the company up to $70,000 including benefits (2011). The core idea of starting

Wednesday, October 16, 2019

Personal Statement for Graduate Admissions in Art History

For Graduate Admissions in Art History - Personal Statement Example My request for a chance to undertake a postgraduate program in Art History is not based on a yearning for a title of a postgraduate, but rather on my fervor of delving into Art History, thereby actualizing my career objective of working at a gallery, in the management and art niche. I have always been interested in Art. My mother reinforced my propensity for creativity and music and from childhood, I liked creating things, embroidering and painting and did various kinds of art. As I tried to understand Art, I developed interest in Art History. This interest influenced my choice of undergraduate program: I chose to pursue Bachelor of Arts with a double Major in Art History/Management and a Minor in German, which is perhaps the main strongest facet of my application. This academic program not only related to my career interest directly but also constituted a significant basis for me, providing me with tools for further working in the management niche in an art gallery where I am curren tly. My academic background has provided me with significant fundamental knowledge, which, on my enrolment for this program, will be of great help. As aforementioned, I possess a Bachelor of Arts with a double Major in Art History/Management, and a Minor in German. I decided to minor in German for several reasons: it being a requirement for graduate schools and my intention of holding a position as an Art Historian and Researcher at one of the art galleries in Germany, where I am currently located. This was in the view of the fact that in the field of art history, German is deemed essential. German film classes including ‘From WWII to Unification’ and ‘Rise/Fall of Germany’ as well as reading German literature in ‘Advanced German Conversation’ course have boosted me in broadening my horizons in German literature and culture, thus improving my German. Other academic qualifications include a Certificate in

Pros and Cons of Outsourcing Research Paper Example | Topics and Well Written Essays - 1000 words

Pros and Cons of Outsourcing - Research Paper Example oose to outsource to avoid the pain of manufacturing in-house and reduce the cost of business while the risks involved in outsourcing are mainly lack of coordination, and linguistic barriers. Right management is the secret of a successful business which uses outsourcing. Outsourcing particularly proves beneficial for small companies. One of the success stories for such a case has been the outsourcing of Finance and Accounting (F&A) by Rhapsody; the music-subscription service. Originally the company was functioning as a joint venture, but when the parent companies separated, the finance president Michael McGinn immediately needed a finance team, so he opted for outsourcing. McGinn hired the services of an Indian company who did all for the company ranging from making payrolls to account reconciliations. This benefited the Rhapsody in numerous ways; additional resources were produced within six months only, scaling back was achieved without penalties, and the five employees in the Indian company cost the Rhapsody as much as two US-based employees would get. Technology has made it very convenient for small companies to outsource the F&A work at cheap rate. As a result of the increased competition in the market, outsourcers have started to render their services at cheaper rates. There has been a six to eight per cent decline in the price of F&A outsourcing between 2009 and 2011. Over a period of six years starting from 2004, the outsourcing contract has declined in value from $30 million to $18 million not only because of â€Å"increased competitiveness and falling price points, but also [to] the increased number of engagements being signed with organizations in the $750 million to $3 billion revenue category† (Stuart). According to Ben Towbridge, the CEO of Alsbridge, an offshore finance employee costs a company anywhere from $18,000 to $28,000 annually, whereas a US finance worker charges the company up to $70,000 including benefits (2011). The core idea of starting

Tuesday, October 15, 2019

Human Trafficking for Sexual Exploitation Essay Example for Free

Human Trafficking for Sexual Exploitation Essay Subject: Human trafficking is the illegal trade in persons used for reproductive slavery, sexual exploitation, forced labor, organ removal, and other forms of slavery. In Argentina, it is a crime punishable by law, however the country continues to be a source and hub for trafficking. Executive Summary: Human trafficking is an international crime, and a violation of human rights; however, it is a felony that is still committed frequently throughout the international community. The issue stems from a lack of communication between provincial and federal governments, as well as the lack of tri-border control. In order to combat this, government officials and law enforcement officers need to be educated on the red flags of human trafficking. There also needs to be more funding and support for legal systems and organizations advocating to end human trafficking. Additionally, there needs to be more border control on the three borders that surround Argentina. Discussion: According to the  ­Protocol to Prevent, Suppress and Punish Trafficking, trafficking is defined as â€Å"the recruitment, transportation, transfer, harboring or receipt of persons, by means of the threat use of force or other forms of coercion, of abduction, of fraud, of deception, of the abuse of power or of a position of vulnerability† (UNODC). Trafficking is not  limited to sexual exploitation; practices include: forced labor or services, slavery, servitude, or the removal of organs. This is an ongoing issue because the United Nations as well as individual countries have laws against these crimes but no one to ensure that the laws are being followed. In Argentina, human trafficking is now part of the political agenda because of its link to organized crime. Official policy in Argentina has made progress in dealing with human trafficking, they have signed and ratified all UN conventions and protocols dealing with human trafficking as a crime. In 2000, Argentina signed the â€Å"Protocol to Prevent, Suppress and Punish trafficking in Persons, Especially Women and Children†, this supplemented the United Nations Convention against Transnational Organized Crime (UNODC). The protocol was later ratified in 2002, however there is still progress to be made because the number of people being trafficked it still high. In 2010, more than 600 women were abducted in 18 months, â€Å"for each known case there are 6 others which remain invisible† (Pichà ©). Argentina is a central point for human trafficking trade; men, women, and children from northern and rural areas are forced into prostitution in urban centers or wealthier provinces in central and southern Argentina. Many of those trafficked through the triple frontier are destined for the illegal labour market in Argentina. However in Argentina, it is estimated that 90 percent of the trafficking victims are sexually exploited women. Additionally, women from Paraguay, Bolivia, Peru, and the Dominican Republic are subjected to trafficking in Argentina. According the United States Department of state, â€Å"in 2011 the number of labor trafficking victims identified was over three times the number of sex trafficking victims identified during the year† (Trafficking). Argentina has consistently attracted migrants from Latin American regions seeking better economic opportunities. There are about 2 million immigrants from Chile, Bolivia, Paraguay, Brazil and Uruguay. Illegal immigration fuels the trafficking business because they are smuggled into the country, and they are easy victims for trafficking rings (Project Protection). At the same time, Argentineans from the northern provinces are at high risk for  trafficking because of extreme poverty, lack of education, and access to health services. Police in the northwestern province of Jujuy have received more than 50 reports of missing young women since September 2005. Most of these women have gone to see about jobs and were never seen again (Project Protection). Most end up in major cities and tourist areas Corruption within the police force has also prevented Argentina from decreasing trafficking rates in the country. It has been reported that police officials have participated in criminal activities related to trafficking, which thwarts government efforts to prevent trafficking from happening. According to a report released by the Office to Monitor and Combat Trafficking in Persons, authorities are currently investigating over 75 federal officials who have been removed from their positions after turning a blind eye to trafficking related problems. However as of 2011, the government did not prosecute or convict any government officials involved in human trafficking. Officers have looked in the other direction when coming across sex and labor trafficking activity, or tipped off brothel owners about raids coming up. The Argentine government has made progress over the past few years collecting data and stopping human trafficking. Over the past year, the government has reported and recorded the number of trafficking victims found, and implemented protocols and guidelines to eliminate trafficking, the country has increased prosecutions and convictions of trafficking. Further, the Argentine government funded five shelters to set up throughout the country as safe-havens. Part of the progress made is due to one of the most well known cases in Argentina, the case involving Marita Veron. Maria de los Angeles Veron (Marita) went missing in 2002, when she was kidnapped. A few days later she was seen escaping from a house, but was taken on to a bus where she was never seen again. Her mother launched a campaign to find her daughter, and soon became a symbol of the fight against human trafficking in Argentina. The Ministry of Security reported identifying about 1,000 victims, most of these victims being brought into Argentina from other countries such as Paraguay and Bolivia. A majority of human trafficking cases reported are reported as forced labor cases however, recently their have been more sex trafficking cases than labor cases. The quality and legal treatment of the victims varies from region to region, and many provinces lacked resources to care for trafficking victims, especially those in forced labor trafficking situations. Once the initial testimony is recorded, it is up to the Secretariat for Childhood, Adolescence, and Family (SENAF) of the Ministry of Social Development to provide follow-up care and assistance alongside the provincial authorities. The government officials in each province, as well as SENAF officials should have greater access to resources needed to provide the best care possible to human trafficking victims. According to the NGO, the office’s effectiveness in providing sufficient care for human trafficking victims is consistently questioned based on flawed data reports and the inability to provide service to the victims. Poor coordination among officials in Argentina is preventing the human rights laws from being as effective as they could. The lack of communication between the federal and provincial governments continues to hinder the effectiveness of anti- trafficking efforts. In many provinces, there is limited or no funding for the provincial and local efforts working to combat human trafficking in their area which creates an issue in making sure victims receive the proper care. Authorities reported funding campaigns for public awareness and public service announcements about trafficking. These PSA’s are being shown on long distance buses and aired on television, but until the country receives the proper funding, support for legal systems, the human trafficking problem will continue. In December 2010, the new Ministry of Security attempted to coordinate the  efforts of different federal law entities, create a database system for human trafficking crimes, and establish protocols with other ministries to strength federal-level collaboration. NGO’s also targeted the Ministry of Security, government officials, and federal law officers in order to improve the enforcement of human trafficking laws in Argentina. Specialized services for trafficking victims remain uneven across the country; competing mandates and lack of coordination between federal and provincial authorities caused delays in some investigations, and significant allegations of trafficking-related complicity of government officials at the local and federal level prevented more comprehensive anti-trafficking efforts. With the corrupt police force, and lack of funding, Argentina will never be able to successfully implement the programs. NGOs and some officials asserted that poor coordination among the federal and provincial governments continued to hinder the effectiveness of anti-trafficking efforts, as did limited or nonexistent funding for provincial and local efforts to combat trafficking. The Argentine Government, in collaboration with the International Organization of Migrations, has recently published a report on human trafficking. The report identified crucial gaps in the fight against human trafficking that need to be addressed: 1. The lack of qualification of judiciary personnel and the lack of knowledge concerning the dynamics of human trafficking networks and international and national laws and treaties. 2. The lack of security along the Tri-Border area. 3. The lack of human and material resources to carry out adequate investigations. 4. The absence of programs for the middle and long-term assistance to the victims and lack of protection for the witnesses. The biggest issue for Argentina comes from the Tri-Border area. Along the border between Argentina, Brazil, and Paraguay, young prostituted children and adolescents can be seen on the streets of towns such as Puerto Iguazu,  Argentina; Foz do Iguazu, Brazil; and Ciudad del Este, Paraguay. After years of debate within the Senate in Argentina, a law was passed to â€Å"prevent trafficking in persons, protect victims of trafficking, and punish perpetrators of human trafficking† (Project Protection). Under the new law, prison sentences were established for those convicted of participating in the recruitment, transportation, or reception of people for the purpose of sexual or labor exploitation. The law provides protective measures for victims of trafficking, and gives victims the right to free psychological, medical, and legal assistance, in addition to the right to privacy. The Organization of American State has closely watched Argentina’s anti-trafficking efforts. the Argentine government has partnered with an institute in Buenos Airs to create incentives in urban areas for companies that obey the country’s labor laws. Based on the issues identified above, it is recommended that the Argentine government uses a multilateral approach to stop trafficking. Recommended action : In order for Argentina to successfully combat human trafficking at a national level, the government needs to continue to implement the anti-trafficking law with increased efforts to investigate, prosecute, convict, and punish trafficking offenders, including public and police officials who are involved in trafficking crimes. An increase in funding for victim assistance, particularly through shelters and specialized services, on a local and national level would also be beneficial to stopping internal trafficking. There should be continued education for law enforcement officials, public figures, a judiciary actors to know how to stop a trafficking ring. To prevent trafficking in individual provinces in Argentina, the government must develop and implement protocols for provincial officials to identify and assist trafficking victims. Continued investigations of labor  trafficking in urban and rural areas of Argentina, and holding companies whose supply chains benefit from labor trafficking accountable for their actions. The government needs to have better communication between the federal and provincial officials to develop and national anti-trafficking plan, and continue to raise awareness nationwide. The multilateral approach to educating and preventing trafficking in Argentina involves an agreement between the Defense Ministry, and the Buenos Aires provincial Education Ministry. This partnership would create protection by educating military and law enforcement officials, in addition to students to be aware of the human trafficking issue, and how to prevent and protect themselves. The final solution is better border control across the tri-frontier. The geography already creates an area that is hard to protect. It is hard to monitor traffic coming in and out of three countries, and some people just completely surpass border control and show no identification when passing between one country and the next. This area annually generates over $6 billion of illicit money and is nearly devoid of all governmental control. Most governments among the TBA deny the problem claiming they have not detected activity in the regions, but other countries disagree. It is vital that Paraguay, Brazil, and Argentina start paying closer attention to the border in order to stop trafficking among other illicit activity. The Argentine government’s multilateral approach to stopping trafficking by educating, training, raising awareness, and implementing better border control will help to decrease trafficking rates in Argentina, and eventually put a stop to it. Thank you for your time, Melanie Rose Sources: http://www.protectionproject.org/wp-content/uploads/2010/09/Argentina.pdf http://www.avijorisch.com/9560/tri-border-region http://www.state.gov/j/tip/rls/tiprpt/2012/192366.htm http://www.unodc.org/documents/data-and-analysis/glotip/Trafficking_in_Persons_2012_web.pdf

Monday, October 14, 2019

Extraction and Determination of Met and MHA

Extraction and Determination of Met and MHA Determination of Methionine and Methionine Hydroxy Analogue in the Forms of Free or Metal Chelates Contained in Feed Formulations by RP-HPLC M. Salahinejad,* F .Aflaki Abstract: Methionine is often the first or second limiting amino acid in most diets and so is most representative of amino acids fed as nutritional supplements. It commonly supplemented as DL-methionine or as methionine hydroxy analogue. A simple and rapid method for simultaneous extraction and determination of DL-methionine and methionine hydroxy analogue in forms of free or in forms of metal- chelates contained in feed samples is described. The sample extraction procedure was performed using HCl solution and heating in an autoclave or oven, which followed by the addition of EDTA and acetonitrile. Quantification and detection were carried out by reversed phase high performance liquid chromatography on a NovaPak C18 column with ultraviolet detection at 214 nm. With a mobile phase consisted of 5% acetonitrile + 1.5% sodiumdihydrogenphosphate in water, the chromatographic run time were 6 min. The detection limit for DL-methionine and methionine hydroxy analogue were 2.33 and 5.46  µg mL− 1 andMAMwith the relative standard deviation (R.S.D.) was 4.4 and 7.3% (C = 10  µg mL−1, n = 5) respectively. The recoveries of methionine and methionine hydroxy analogue in feed samples were > 97%. Keywords: Methionine hydroxy analogue, DL-methionine, Metal-chelates, Reversed phase high performance liquid chromatography (RP-HPLC) Introduction For optimum health and performance, the animals diets must contain adequate quantities of all nutrients needed, including amino acid. The essential amino acid furthest below the level needed to build protein is known as limiting amino acid. The shortage of limiting amino acid will constrain animal growth, reduce feed efficiency and in extreme cases cause a nutritional deficiency [1]. Methionine and lysine considered the most limiting amino acids in most animal diets. Supplementation of methionine may be accomplished by the addition of DL-methionine or the hydroxyl analogue of methionine (DL-2-hydroxy-4-methylthiobutanoic acid) [2]. Fig. 1 represents the structures of DL-methionine (Met) and methionine hydroxy analogue (MHA). Organic forms like metal chelates of transition metal ions in particular Zinc (II), Copper (II) and Manganese (II) with amino acids and peptides are widely used in animal feeding as they appear to induce as faster growth and better resistance to various diseases in comparison with the simple inorganic salts [3]. It has been suggested that these effects are correlated with the improved metal bio-availability. The chelates are absorbed in the small intestine, possibly using transporters for amino acids small peptides [4]. Many forms of metal complexes with amino acid chelates and hydrolyzed proteins are commercially available, as metal amino acid chelates and complexed chelated (metal) proteinates (CCP) respectively [5-7]. The methionine hydroxyl analogue largely used in animal nutrition as a source of methionine, forms stable chelates with divalent metals of formula [{CH3SCH2CH2CHOHCOO}2 M].nH2O [8]. Several methods have been used for DL-methionine determination including ion exchange chromatography in combination with pre or post column derivatization [9] and amino acid analyzer [10]. These methods are not applicable to the determination of methionine hydroxy analogue because it contains ÃŽ ±-hydroxy instead of ÃŽ ±-amino group (Fig.1). Gas chromatography [10] electrophoresis [11] and high performance chromatography [12-14] were used for determination of MHA. (a) (b) Fig.1. Structures of (a) DL-methionine and (b) methionine hydroxy analogue. The use of so-called variant recipes in the production of industrial feeds causes that in practice the analyst encounters a differentiated and unknown composition of the so-called matrix, i.e. the elements of a feed mixture that in many cases made it hard to isolate and at times even make it impossible to mark MHA in the environment of a feed mixture [15]. Moreover the accurate determination of methionine and methionine hydroxy analogue contained in the metallic chelates of feeds depended on complete releasing of methionine and methionine hydroxy analogue from metals. The purpose of the paper was to develop and evaluate the method of simultaneous determination of MHA and Met in forms of free or in forms of chelates in compound feed samples. Material and Methods Apparatus Chromatographic determination were performed on a Waters Liquid Chromatograph which consisted of Waters 1525 Binary HPLC pump, Waters 2487 Dual ÃŽ » absorbance detector, Breeze data processing system and C18 NovaPack column. An adjustable rocker shaker (Cole- Parmer ® 60Hz) and a feed grinder to facilitate sample preparation were used. Reagents and standards The stock standard solution of Met and MHA was prepared weekly using DL- Methionine (extra pure, Merck) and Alimet (commercial name of the hydroxy-analogue of methionine containing 89.7% MHA in 0.1 N HCl respectively. All working solutions were prepared by diluting the stock standards as necessary. Deionized distilled water obtained from a Milli-Q system (Millipore, Milford, USA) was used for standard dilutions and other necessary preparations. All other chemicals such as NaH2PO4, extra pure; acetonitril, isocratic grade; EDTA (disodium salt) 99%, HCl 37%, orthophosphoric acid 85% and sodium hydroxyl, analytical reagent grade, were supplied by Merck. Sample preparation Aliquots of finely ground samples (mean particle size of 600  µm) containing 0.1 gr methionine hydroxy analogues (MHA) or 0.1 gr DL-methionine (Met) in forms of free or in forms of metal-chelates were added in 20 ml of 0.1 N HCl solution and heated in autoclave in steam flow in 120 oC for 5 min or in oven with 90 oC for 20 min. After cooling, by adding 20 ml of EDTA solution (10% W/V) and 5 ml of acetonitrile, the samples were shacked for 10 min and then solutions were filtered using 0.45  µm filter. Volume is filled to 100 ml with distilled water and a proportion of solution injected onto the HPLC column. Fig.2. Chromatogram of the extracted Met and MHA from feed. Chromatographic conditions Separation and quantitation of MHA and Met have been performed with reverse phase high performance liquid chromatography (RP-HPLC). The column was NovaPak C18 (150 Ãâ€" 4.6 mm, 5  µm) in ambient temperature. Samples were injected in volumes ranging from 5 to 20  µl using Rehodyne injector. The solvent system for separation of Met and MHA consisted of 5% acetonitrile + 1.5% NaH2PO4 in water. Using this isocratic mobile phase the chromatographic run time was 6 min. After this, a washing step was programmed to 40% acetonitrile in mobile phase so that any residual sample components would be cleaned from the column. The washing step was 5 min and column conditioned by primary mobile phase for 4 min prior the next injection. The flow rate, UV wavelength and detector attenuation used was respectively 1 ml min-1, 214 nm and 0.2 a.u.f.s. The amounts of MHA and Met contained in the samples were determined by interpolating the value of the peak area of calibration curves obtained by inject ing 5, 10, 15, 20 ÃŽ ¼l of mixed standard solution containing 200 mgr L-1 Met and 400 mgr L-1 MHA. The bulk standard was prepared weekly. Fig.2 shows a chromatogram which obtained by injection of the extracted sample solution. Statistical analysis In order to verify differences of effecting factors on extraction efficiency, analysis of variance (ANOVA) was applied with the level of significance set at 0.05. The SPSS statistical program (SPSS Inc, Illinois, USA) was used to perform all statistical calculations. Results Study of effective factors on extraction efficiency of Met and MHA The effect of various parameters such as temperature, heating time, the presence or absence of hydrochloric acid (variation of pH) and EDTA (as a strong ligand) in the recovery of the Met and MHA in the forms of free or metal-chelates were investigated. Table 1 shows the mean recovery of the Met and MHA in the forms of free or metal-chelates from compounded feed at 90 oC for 20 min in 0.1 N HCl and distilled water. Recovery tests were performed by adding known amounts of different forms of Met and MHA to a compounded feed which its basic elements was: maize, wheat bran, soybean ground grain, fish meal, plant oil, calcium phosphate, mineral vitamin premix. The recovery of free Met and MHA from compounded feed by distilled water was > 96%, while the recovery of Met and MHA from metal-chelate was 95%. Table 1 Mean recovery of the Met and MHA from compounded feed with distilled water and 0.1 N HCl solutions at 90 oC for 20 min. a: n = 4 Different temperatures (25-120 oC) in different period of times (5 min -3 hours) were examined to evaluation of the effects of temperature and heating time in the simultaneous extraction of Met and MHA in both forms. Based on extraction efficiency of the Met and MHA in the forms of free or metal-chelates, three conditions including: Autoclave (T: 120 oC, t: 5 min), Oven (T: 90 oC, t: 20 min) and Room temperature (t: 3 hours) were chosen. The effect of strong ligand such as EDTA on extraction of Met and MHA in forms of metal-chelate was investigated. Table 2 represents the mean recovery of the Met and MHA in forms of metal-chelate in different heating condition (different temperature and time) in the presence or absence of EDTA as a strong ligand. The results illustrated in Table 2 reveal that the extraction of the MHA from MHA metal-chelates in feed was about 94% with heating by autoclave in 120 oC for 5 min or oven at 90 oC for 20 min. By adding the EDTA solution to the samples the recovery of MHA from MHA metal-chelates become > 97%. The recovery of the Met was > 96% even in ambient temperature and ETDA do not show a considerable effect on the Met recovery from the feed. Table 2 Mean recovery of Met and MHA (0.1 N HCl solution) in three different conditions: Autoclave (T: 120 oC, t: 5 min), Oven (T: 90 oC, t: 20 min), Room temperature: (T: 27 oC, t: 3 hours) Analytical performance of the method Quality variables including the limit of detection (LOD) and precision, as the relative standard deviation (R.S.D.), were investigated to evaluate the analytical performance of the proposed method. According to the IUPAC identification [16] the limit of detection (LOD, 3ÃŽ ´) of the proposed method was 2.33 and 5.46  µg mL−1 for Met and MHA respectively. MAMwith The R.S.D. was 4.4 and 7.3% (C = 10  µg mL−1, n = 5) for Met and MHA respectively. Good linear relationships exist for peak area counts versus the amount of Met and MHA (Fig. 3). The regression equation for calibration curves for Met was Y = 209551x + 296453 with a correlation coefficient (R2) of 0.9983 and for MHA was Y = 182603x + 294054with correlation coefficient (R2) of 0.9995 where Y is the peak area counts and x is the concentration (ppm) of analyte. Table 3 Recovery of Met or MHA from pure metal chelates complex. a: n = 4 Fig.3. Calibration curves for MHA and Met analysis. Method evaluation For evaluation of the described method, the recovery of Met or MHA from pure Met or MHA metal-chelates were determined (Table 3). The results show good agreement between the results of the mentioned method and the value which declared by the producers. The precision was determined by calculating the relative standard deviation of four analyses for each condition. The method also was applied for simultaneous extraction and determination of different forms of Met and MHA from compounded feed. As shown in Table 4, the obtained results prove a good agreement of the mean content of Met or MHA in mixtures with the declaration. Table 4 Simultaneous determination of different forms of Met and MHA from compounded feed. Table 5 Content of Met or MHA in the analyzed industrial feed mixtures (g/Kg). a: n = 4 In order to evaluate the effect of typical sample matrix, numerous industrial feed samples, which their Met or MHA content declared by the producer, originating from Iran, Germany, Italy and France was qualitatively examined. The results (Table 5) show a good agreement between the obtained mean content with the declaration of free or metal-chelate form of Met or MHA in industrial feed mixtures. Basing on the above results, the usefulness of the described method for determination of the Met and MHA in form of free or in forms of metal-chelates in feed mixtures can be stated. Discussion The solubility of DL-methionine in aqueous solutions increases 5-fold (176.0 Vs 33.8 g L-1) when temperature is increased from 25 to 100 oC [17,18]. Different temperatures (25-120 oC) in different period of times (5 min -3 hours) was examined to evaluation of the effects of temperature and heating time in simultaneous extraction of Met and MHA in free or metal-chelate forms. The temperature and the time of extraction have inverse effects on extraction efficiency of both analyts. When temperature increases, the time required for maximum extraction of both analyts decrease and vise versa. By performing analysis of variance (ANOVA) and student t-test between different conditions (different temperature and time) the three conditions: autoclave 120 oC for 5 min, oven 90 oC for 20 min and room temperature for 3 hours had no significant differences ( p > 0.05) in extraction efficiency of Met and MHA in free forms (as shown in Table 2). But extraction in room temperature significantly had lo wer recovery in metal-chelate form of Met and MHA. Therefore, for simultaneous extraction of Met and MHA in free or metal-chelate forms, the 90 oC for 20 min was chosen. pH can play a unique role on metal–chelate formation or releasing of metal from metal-chelates [19]. Experiments have shown DL- methionine extraction recoveries obtained with hydrochloric acid and with distilled water at ambient temperature are not statistically different [20]. Therefore the extraction of Met and MHA in free forms could be done with distilled water at 90 oC for 20 min. The application of this procedure to be unsuitable for extraction of Met and MHA contained in metallic chelates. As shown in Table 1, the extraction recovery of Met and MHA in metal-chelate forms with distilled water is significantly lower (p EDTA is a stronger ligand than MHA therefore it can form more stable complex with metals and it must affect on recovery of MHA. Therefore by adding EDTA solution to the samples the recovery of MHA (> 97%) from MHA metal-chelates were significantly higher, but this has no significant effect on Met extraction recovery. Conclusion A simple, rapid and reliable method for simultaneous extraction and determination of Met and MHA in forms of free or in forms of metal-chelates in feed samples has been developed. This method can be used for analysis of free methionine or methionine hydroxy analogue as well as their metal-chelate form, from industrial feed samples without any variation. It involves a simple procedure sample preparation using 0.1 N HCl solutions and heating in autoclave or oven, which followed by addition of EDTA and acetonitrile, and quantitation by an isocratic HPLC analysis on a C18 column. References: [1] M. Korhonen, A.Vanhatalo, P. Huhtanen, J.Driry.Sci., 85 (2002) 1533. [2] D.Hoehler, M. Rademacher, R. Mosenthin, Advances in pork production, 16 (2005) 109. [4] T. L. Stanton, D. Schutz, C. 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[14] D. Balschukat, E. Kress, E. Tanner., Landwirtsch. Forsch., 41 (1988) 120. [15] S. Maytyka, J. Rubaj, W. Korol, G. Bielecka, 9 (2006) 1. [16] G. L. Long, J.D. Winefordner, Anal. Chem. 55, (1983) 713A-724A. [17] R.C. Weast (Editor), CRC Handbook of Chemistry and Physics, CRC Press, Boca Raton, FL, 69th ed. (1988). [18] Merk Index, Merck, Rahway, NJ, 10th ed. (1983). [19] T.E. Brown, L.K. Zeringue, J. Dairy Sci. 77, (1994)181–187. [20] L. Yang, R.E. Sturgeon, S. McSheehy, Z. Mester, J. Chromatogr. A 1055, (2004) 177-184.