Tuesday, December 31, 2019

A Primer on the Price Elasticity of Demand

Price elasticity of demand (sometimes referred to simply as price elasticity or elasticity of demand) measures the responsiveness of quantity demanded to a price. The formula for price elasticity of demand (PEoD) is: PEoD (% Change in Quantity Demanded)/(% Change in Price) (Note that price elasticity of demand is different from the slope of the demand curve, even though the slope of the demand curve also measures the responsiveness of demand to price, in a way.) 2:48 Watch Now: How Does Price Elasticity of Demand Work? Calculating the Price Elasticity of Demand You may be asked the question Given the following data, calculate the price elasticity of demand when the price changes from $9.00 to $10.00. Using the chart on the bottom of the page, well walk you through answering this question. (Your course may use the more complicated Arc Price Elasticity of Demand formula. If so, youll need to see the article on Arc Elasticity) First, well need to find the data we need. We know that the original price is $9 and the new price is $10, so we have Price(OLD)$9 and Price(NEW)$10. From the chart, we see that the quantity demanded when the price is $9 is 150 and when the price is $10 is 110. Since were going from $9 to $10, we have QDemand(OLD)150 and QDemand(NEW)110, where QDemand is short for Quantity Demanded. Thus we have: Price(OLD)9Price(NEW)10QDemand(OLD)150QDemand(NEW)110 To calculate the price elasticity, we need to know what the percentage change in quantity demand is and what the percentage change in price is. Its best to calculate these one at a time. Calculating the Percentage Change in Quantity Demanded The formula used to calculate the percentage change in quantity demanded is: [QDemand(NEW) - QDemand(OLD)] / QDemand(OLD) By filling in the values we wrote down, we get: [110 - 150] / 150 (-40/150) -0.2667 We note that % Change in Quantity Demanded -0.2667 (We leave this in decimal terms. In percentage terms this would be -26.67%). Now we need to calculate the percentage change in price. Calculating the Percentage Change in Price Similar to before, the formula used to calculate the percentage change in price is: [Price(NEW) - Price(OLD)] / Price(OLD) By filling in the values we wrote down, we get: [10 - 9] / 9 (1/9) 0.1111 We have both the percentage change in quantity demand and the percentage change in price, so we can calculate the price elasticity of demand. Final Step of Calculating the Price Elasticity of Demand We go back to our formula of: PEoD (% Change in Quantity Demanded)/(% Change in Price) We can now fill in the two percentages in this equation using the figures we calculated earlier. PEoD (-0.2667)/(0.1111) -2.4005 When we analyze price elasticities were concerned with their absolute value, so we ignore the negative value. We conclude that the price elasticity of demand when the price increases from $9 to $10 are 2.4005. How Do We Interpret the Price Elasticity of Demand? A good economist is not just interested in calculating numbers. The number is a means to an end; in the case of price elasticity of demand it is used to see how sensitive the demand for a good is to a price change. The higher the price elasticity, the more sensitive consumers are to price changes. A very high price elasticity suggests that when the price of a good goes up, consumers will buy a great deal less of it and when the price of that good goes down, consumers will buy a great deal more. A very low price elasticity implies just the opposite, that changes in price have little influence on demand. Often an assignment or a test will ask you a follow-up question such as Is the good price elastic or inelastic between $9 and $10. To answer that question, you use the following rule of thumb: If PEoD 1 then Demand is Price Elastic (Demand is sensitive to price changes)If PEoD 1 then Demand is Unit ElasticIf PEoD 1 then Demand is Price Inelastic (Demand is not sensitive to price changes) Recall that we always ignore the negative sign when analyzing price elasticity, so PEoD is always positive. In the case of our good, we calculated the price elasticity of demand to be 2.4005, so our good is price elastic and thus demand is very sensitive to price changes. Data Price Quantity Demanded Quantity Supplied $7 200 50 $8 180 90 $9 150 150 $10 110 210 $11 60 250

Monday, December 23, 2019

Racism Is An Unequivocal Problem Throughout Australian...

â€Å"You can t delete racism. It s like a cigarette. You can t stop smoking if you don t want to, and you can t stop racism if people don t want to. But I ll do everything I can to help.† According to UWS, one in five people living in Australia have experienced racist abuse. Nearly half of all Australian residents from a culturally and linguistically diverse background have experienced racism at some time in their life. According to FYA, approximately seven in ten teenagers have experienced racism throughout their life. The question still remains: does the preservation of culture, community and the environment depends on us? Absolutely. The culture of Australia in my opinion is the main aspect of this entire statement. I believe this is evident throughout the strong messages Randa Abdel Fattah states in her speech and, the everlasting words from the powerful speech Wei-Li and Me. To begin with, racism is an unequivocal problem throughout Australian society. The essence of racism is one ethnic community believing they have superiority over another community or culture, and some of it is just ignorance. With Australia today being a multiethnic society, racism has been a part of our community for a very long time. For years and years, the depiction of the whites being superior over the Indigenous has happened all throughout Australia. Racial abuse in Australia has been recently streamed worldwide by passengers on public transport, videoing white Australians verballyShow MoreRelatedEssay about Medical Marijuana4281 Words   |  18 Pagesmarijuana became widely accepted by western medical practitioners. It wasn?t until the mid 1800s that the United States embraced its therapeutic qualities as evidenced by the 1860 convening of the Committee on Cannabis Indica of the Ohio State Medical Society, which reported on its therapeutic applications. In the years from 1840-1890, the medical community in the U.S. had written 100 papers recommending its use for various illnesses. By the early 20th century nearly 200 papers had been written demonstrating

Sunday, December 15, 2019

Settling the Issue on Christ’s Presence in the Sacrament of the Eucharist Free Essays

string(23) " and daughters of God\." Questioning the Presence of Jesus Christ in the Sacrament of the Holy Eucharist Jesus Christ shared the Last Supper with his disciples on the night before He was crucified. It was during this event that He introduced the sacrament of His blood and body. He instituted the sacrament to bring about the suffering on the cross through the generations and to let the church take over his Spouse attribute to his resurrection and death. We will write a custom essay sample on Settling the Issue on Christ’s Presence in the Sacrament of the Eucharist or any similar topic only for you Order Now As goes the Gospel of Matthew: â€Å"While they were eating, Jesus took bread, said the blessing, broke it, and giving it to his disciples said, Take and eat; this is my body. Then he took a cup, gave thanks, and gave it to them, saying, Drink from it, all of you, for this is my blood of the covenant, which will be shed on behalf of many for the forgiveness of sins† (Matthew 26:26-28; Mark 14:22-24, Luke 22:17-20, 1 Corinthians 11:23-25) (Fay 8). Coming from Jesus Christ the Catholic Church says that as the Eucharist is celebrated, the body and blood of Jesus will be symbolize with the bread and wine through the power of the Holy Spirit. The priest serves as the instrument in this celebration. Through out the Eucharist, a priest utters the words Jesus said during His Last Supper and it says: â€Å"I am the living bread that came down from heaven; whoever eats this bread will live forever; and the bread that I will give is my flesh for the life of the world†¦ For my flesh is true food, and my blood is true drink† (John 6:51-55) (Fay 8). Jesus Christ is present including all his divinity, soul, blood and body represented by the wine and bread during the Eucharist. Jesus Christ has truly been resurrected after dying for the sins of humanity. When church members talk about the real presence of Jesus Christ in the sacrament of the Eucharist, they talk about the other types of his presence like the wine and bread. His body and blood are the most important symbols of his presence during the sacrament of the Eucharist (Fay 8). Body: Bringing Back the Meaning of the Eucharist The first question then is how the bread and wine represent Jesus Christ’s presence. A lot of people may question how this happens. The truth of the matter is the church will never be able to fully explain the mystery behind the rising of the Christ during the sacrament of the Eucharist. Until now, it still remains to be an inexhaustible puzzle that overwhelms the Catholic Church. It must be remembered that the Creator taking place at the identity of God can do so many things that the imagination of humans cannot even reach or comprehend. God made the world for Him to be able to share His life to those who are not God (Fay 7). He created the world for the human beings. This act alone is a manifestation of His plan of salvation. It can be clearly seen that with this kind of plan, the kind of wisdom used was that kind that does not reach any human beings understanding. It is beyond the comprehension of the human mind. Despite all that, God did not leave His people in ignorance. Whatever His plans are He always shared it with his people. He revealed His majestic plans to the humanity by giving us the ability to understand the gift of faith. He also provided us with the grace of the Holy Spirit. With this, we are now able to understand God’s actions and God’s plans, all of which any human being would never understand in his whole lifetime. Because of the grace of the Holy Spirit and the gift of faith humans can now understand God’s mystery (Fay 9). Today, the bishops of the Catholic Church serve as Jesus Christ’s apostles. The bishops provide the people with knowledge about Jesus Christ and God. In short, they function as the teachers of the church. Bishops have a better understanding of God’s mystery than any other human being on earth. Bishops comprehend the mystery better than anyone who has a better job, higher salary, higher intelligence quotient and even those who have higher understanding of the different languages in the world. It is only the bishop who can reveal to the people whatever God has revealed. A bishop also encourages all church goers to make understanding of the mystery of God deeper than it already is. He also promotes a better understanding of the gift of the sacrament of the Eucharist (Fay 13). The question then is how else is the presence of God exists in the sacrament of the Eucharist. Not all people understand the mystery of God and especially not everyone is even willing to understand to begin with. The first question would be why, of all symbols, did it have to be food and drink that represent Jesus in the sacrament of the Eucharist? The bread, for example, is not just a representation of the food Jesus and the disciples ate during the Last Supper. The food serves as spiritual nourishment simply because of the love of Jesus for humanity. It has been said earlier that God has plan for our salvation and with this plan, He is asking us to participate in the life of the Trinity. Because of the food shared during the sacrament of the Eucharist, the people are brought back to the sacrament of Baptism. The sharing of the bread means the sharing of life which starts with a person’s baptism. During the baptism, a human being is joined to Jesus Christ, which, of course, is possible only with the power of the Holy Spirit. Here is where the communion of the Father, of the Son and of the Holy Spirit come in (Pannenberg 293). Because of Baptism, the humans become the adopted sons and daughters of God. You read "Settling the Issue on Christ’s Presence in the Sacrament of the Eucharist" in category "Papers" This is strengthened through the sacrament of Confirmation. It is increased and nourished through the participation of the human being in the sacrament of the Eucharist. As a person drinks the blood of Christ and eats the Body, Jesus remains in the lives and spirits of the people who took him. This way, the humans are united to Christ and of course to His divinity. Humans are known as with corrupt natures. They are mortal. But because of the sacrament of the Eucharist, the humans are joined to Christ and both share the same source of life (Pannenberg 293). According to John 6:57, â€Å"Just as the living Father sent me and I have life because of the Father, so also the one who feeds on me will have life because of me. † As we are united to Jesus Christ and with the help of the Holy Spirit in us, a relationship is been among the Father, the Son, the Holy Spirit and the humans. This relationship is strengthened through Baptism and is deepened with the sacrament of Confirmation. Because of these sacraments, humans are able to share their life with the Holy Trinity. Through the Eucharist, humans give thanks and praise to the glory of God (Pannenberg 293). Another issue that needs to be addressed is that people are not aware of what the Eucharist is all about. Not all people know that aside from being just a meal, the Eucharist is also a sacred form of sacrifice. The truth is, our sins are the kind of sins that make it impossible for us to share God’s life. Despite all of it, God has shown His love for us by sending His son Jesus Christ to earth to die for our sins. Jesus Christ died and was resurrected from the dead. Because He is an almighty one, He was able to conquer these events and was even able to unite humans to God (Johnson and Penner 305). What the church does now is to gather everyone and commemorate what Jesus Christ has done for us. The Eucharist serves as an instrument to unite everyone in oreder for them to receive the benefits of God (Johnson and Penner 305). According to the book of Hebrews, Jesus Christ, was a priest spent his life creating intercessions for humans before God. Because of this, he is nowhere near the high priests who offered sacrifices in the temples of Jerusalem (Johnson and Penner 305). The powers of high priests are surpassed by Jesus Christ’s actions because the sacrifice he offered is perfect. The sacrifice he offered was himself (Johnson and Penner 305). In the Eucharist, the eternal sacrifices of Jesus Christ are always represented but the people are not just there for speculation. The church goers are not just spectators. They are different levels of activeness in the Eucharistic sacrifice among the worshipping community and the priest (Johnson and Penner 305). Before the priest stands before the worshipping community, he first has to be ordained. After ordination, he then represents Christ as the head of the Catholic Church. Everyone in the Catholic Church is baptized as a member of the Body of Christ. The Eucharist as a sacrament serves as a sacrifice of the church (Johnson and Penner 307). In the Eucharist, whatever sacrifice Jesus Christ has given is also the sacrifice that the members of His body offer. The sacrifice unites everyone. This sacrifice, during the sacrament of Eucharist, becomes sacramentally present. This way, the humans sacrifice themselves to God (Johnson and Penner 307). Then again, after this, people still question the existence of bread and wine in the Holy Eucharist. Another question people ask is why, after considering bread and wine as Christ’s body and blood, still taste like bread and wine? People are expecting the bread and win during the sacrament of the Eucharist to taste like body and blood of Christ and not just another bread and wine (Johnson and Penner 308). While celebrating the Eucharist, Jesus Christ’s presence comes in the form of bread and wine. The bread and wine are simply both appropriate for the Sacrament of the Holy Eucharist. Looking back at the traditional language of theology, especially in the consecration act, the bread’s and wine’s substance is transformed by the Holy Spirit into Jesus’ Christ’s body and blood (Johnson and Penner 308). What changes then, is not the physical appearance and the physical taste of the bread and wine, but the â€Å"substance† and the â€Å"meaning† of each instrument. It is then natural that the physical attributes of the bread and wine remain the same (Johnson and Penner 309). Here is where the question of faith comes in. St. Thomas Aquinas coined the terms â€Å"substance† and â€Å"accidents† to study faith. He used the terms to address what appears to be wine and bread (â€Å"accidents,† being the physical attribute of a matter) appears to be Jesus Christ’s blood and body (now being at its â€Å"substance† state, which represents the deepest possible reality) (Johnson and Penner 313). There is indeed a change at the substance level, the bread being Christ’s body, and Christ’s blood coming from wine. Without this transubstantiation, no one would be able to even talk about and think of the presence of Jesus Christ in the sacrament of the Holy Eucharist (Johnson and Penner 313). The mystery of faith is indeed something that humans consider too great for their comprehension, which is why studies and researches are here to better equip the people with enough understanding of this concept (Johnson and Penner 313). The mystery of this faith can only be acquired by reading it from the Bible and the Catholic Church because these medium is where God comes for us to remember. Changes come every now and then, and sometimes, the characteristics of these â€Å"accidents† change. In some occasions, even when the substance is already different, the accident still looks exactly the same (Johnson and Penner 315). A good example would be having a child reach the stage of adulthood. When he reaches this stage, it is natural that his characteristics change. He grows taller, he develops an adam’s apple, he grows muscles and his voice becomes deeper and bigger. Then again, the fact remains that he is still the same old baby who his mother once delivered (Johnson and Penner 315). Another example would be a grape fruit which a person eats. When he eats the grape fruit, the fruit soon becomes digested and becomes part of the person’s body in form of nutrients, vitamins and minerals. The person who ate the grape fruit remains as the same person who ate the fruit even before the act. The fruit, on the other hand, has characteristics that are no longer the same. The grape fruit is no longer a grape fruit, but a part of the person’s body (Johnson and Penner 315). The same is true with the presence of Christ in the Sacrament of the Holy Eucharist. Even if the wine and the bread in the Holy Eucharist are in the blood and body of Christ’s substances, these no longer have the characteristics of a person, but only the wine and the bread (Johnson and Penner 315). This is where the question about the limitation of bread and wine comes in. People ask if the bread used during the Holy Eucharist stops being a bread, and if the wine does not remain to be wine for how long. Yes, the bread does not stay as bread forever, and the wine does the same. Jesus Christ can be present, all of His divinity, soul, blood and body, although the wine and the bread can no longer stay. The wine and the bread has to be given away because if not, there would be no transformation between the bread and the body, or the wine and the blood. The wine and the bread have to be given away in order for them to become Body and Blood (Johnson and Penner 315). Not all people still believe everything they hear and say about the Eucharist. They still question the use of bread and wine. It is really appropriate? Why, of all foods and drinks, does it have to be a bread and a wine? The presence of Jesus Christ and Lord God Almighty are indeed appropriate for being represented by bread and wine since Jesus Christ gave himself to humanity and to the world as a whole in a manner that engages the symbolism existing in drinking wine and eating bread (Libreria Editrice Vaticana, Catholic Church USCCB Publishing, USCCB Publishing and Catholic Church 66). Aside from that, Jesus Christ offered himself to us in such a way that humans are kept alive, because humans sustain their means survival through drinking and eating, or through wine and bread. The use of wine and bread also tests the faith of a person because the presence of Jesus Christ’s body and blood can never be discerned whichever way a human tries except for having faith (Libreria Editrice Vaticana, Catholic Church USCCB Publishing, USCCB Publishing and Catholic Church 66). St. Bonaventure once said that it is no difficult at all to say that Christ exists in the Holy Eucharist in manner of symbols, breads and wines. The more difficult concept to understand is the whether or not Christ actually exists in the sacrament as He exists up in the heavens (Libreria Editrice Vaticana, Catholic Church USCCB Publishing, USCCB Publishing and Catholic Church 67). With faith, humans believe that yes, Christ in indeed present in the sacrament as well as in heaven. However, given that the use of bread and wine is appropriate, it still is not clear for many because not all people who consume the bread and the wine actually believe in the Sacrament of the Holy Eucharist. They may attend the Sunday mass on a regular basis, but it does not necessarily mean that they actually worship the Lord, or even understand the ceremony to begin with (Libreria Editrice Vaticana, Catholic Church USCCB Publishing, USCCB Publishing and Catholic Church 67). If â€Å"receiving† is defined as â€Å"consuming,† then naturally, anyone who receives eats the bread and drinks the wine, eats and drinks the body and blood of Jesus Christ. If, on the other hand, receiving is defined as accepting willingly of the body and blood of Jesus, then, someone without faith does not â€Å"receive† the body and blood of Jesus. A person â€Å"receives† the body and blood of Jesus if he is willing to accept the spiritual benefits of the act (Libreria Editrice Vaticana, Catholic Church USCCB Publishing, USCCB Publishing and Catholic Church 68). He should also be aware of why he is eating the bread and drinking the wine. He should not be someone who went to the Church just to attend some mass. He should be there to worship the Lord, respect the rituals, listen to the Word of God and then receive Him through Jesus Christ’s blood and body (Libreria Editrice Vaticana, Catholic Church USCCB Publishing, USCCB Publishing and Catholic Church 68). If a person consumes the wine and bread without faith, he cannot change the fact that he is consuming the blood and body of Jesus Christ. However, the different between having faith and having none is receiving the spiritual benefit that goes together with having faith. The spiritual benefit obtained from receiving Christ’s body and blood with faith is the communion with Christ. Faith can be practiced by simply following the grace of God. The human’s love for God must be increased (Libreria Editrice Vaticana, Catholic Church USCCB Publishing, USCCB Publishing and Catholic Church 68). People question the symbolism of wine and bread. Are these foods just symbols that represent the body and blood of Jesus Christ? Symbol is used casually as something that represents another thing. The bread and wine used in the Sacrament of the Holy Eucharist are not merely symbols, because they do not represent the body and blood of Jesus Christ. They are the body and blood of Jesus Christ. According to St. John Damascene, having the bread and the wine foreshadow Jesus Christ is not underestimation. â€Å"The bread and the wine are actually Jesus Christ, because according to the Orthodox Faith, Jesus said, ‘This is my body’. He did not say, This bread is my body. Therefore, the bread and wine during the Sacrament of the Holy Eucharist are not symbols, but the real, actual self of the Lord† (O’Gorman, O’Gorman and Faulkner 136). It has to be understood that the body and blood of Jesus Christ arrived on Earth no longer as the Lord’s muscles and life, but as a sacramental form. Jesus Christ is not symbolized by the bread and the wine because he is under these things. His presence exists. There are countless ways on how the symbolism of wine and bread, or of drinking and eating, reveals the meaning of the Holy Eucharist. An example would be with the way food provides and energy to the human body. If the food makes the body more nutritious, then it also follows that the Eucharistc food also nourishes the spiritual being of a person. Aside from that, it is already a fact that the sharing of food inside the Church is always communal, in which all members of the Catholic Church eat from the same plate of Jesus’ Christ’s body. This way, communion is established, and this communion exists not only between the Church members but also among the Father, Son and the Holy Spirit (O’Gorman, O’Gorman and Faulkner 136). St. Paul says that a single bread, once shared by the whole community on a Eucharistic gathering, is a manifestation that the believers of the Holy Spirit are gathered to worship one Lord (O’Gorman, O’Gorman and Faulkner 136). The bread and the wine then become an instrument of union among the people of God. Conclusion Jesus Christ has long promised his people that He will always be with His people. In Matthew 28:20, he said that he will not leave us as he uttered the words â€Å"Always, until the end of the age† (Price and Weil 136). With that, it is then confirmed that Jesus Christ has a â€Å"real presence† during the Sacrament of the Holy Eucharist. According to St. Thomas Aquinas, â€Å"the relationship between Jesus Christ and the people is just like the relationship of friends who live together, in that there is an unwritten law that friends should never leave each other’s sides† (Price and Weil 136). Jesus Christ has fulfilled His promise by having with us His blood and body which people receive during the Sacrament of the Holy Eucharist. How to cite Settling the Issue on Christ’s Presence in the Sacrament of the Eucharist, Papers

Saturday, December 7, 2019

The Economics of Commercial Property Markets

Question: Discuss about The Economics of Commercial Property Markets? Answer: Introduction The interest rate is one of the major monetary policy aspects, which have a significant influence on the money supply in the economy and consequently the economic activities. A high-interest rate affects the easy availability of the capital in the economy negatively, while lower interest rate increase the money supply and make the obtaining of capital sources easy for the individuals and the firms both (Houben, 2012). This report analyses the impact of lower interest rate on the British Economy over the last 7 years with the use of microeconomic and macroeconomic theories. Along with this, it also includes the expectations from the Central Bank of England to mitigate these issues. Impact of Interest Rate on British Economy The UK interest rate is quite low from last several years. In the year 2009, it was dropped to 0.50%, which is still at the same level as below: UK Interest Rate (Trading Economies, 2016) From the economic perspective, the lower interest rate has a significant influence on the economic growth due to the availability of capital and required funds to the investors and businesses in easy terms (Sloman and Jones, 2014). The low-interest rates in the last 7 years caused a decline in the cost of capital for the businesses and the individuals and contributed to increasing their income level. An increase in the income level also caused an increase in spending and consequently the demand and the production activities in the economy (Novales, et al, 2014). It is because lower interest rates made the borrowings cheaper and it caused an increase in spending and investment. From the theory of the economic growth of macroeconomics, it can be analysed that the lower interest rates were related to the economic growth objective of the economy, which dealt with the long-run growth of the income and consequently the output and employment (Lewis, 2013). It is because lower interest rate led the higher aggregate demand and consequently the production activities and the requirements for the more people to fulfil the production activities. From the theory of economic growth, it can also be explained that this lower interest rate increased the economic growth of the country by increasing the employment and production activities. It is because the lower interest rate reduced the cost of borrowings and the also encouraged the customers and firms to take a loan for their investments and the financial spending (Novales, et al, 2014). On the basis of the theory of income of macroeconomics, the lower interest rates were effective to decline in the mortgage interest payment and consequently increased the disposable income and the consumer spending for improving their living standards (Means, et al, 2015). It is because this theory depicts that there is a relationship between the income, output and expenditure as an increase in income level cau ses an increase in output and the expenditures from the firms and individuals (Sloman and Jones, 2014). But at the same time, according to the theory of prices, the lower interest rates also contributed to increasing the inflation level in the economy. It is because the theory of price exhibits that an increase in the quantity of money increases the price level in the economy at inflationary level. It is because the lower interest rate increases the income level of the people and consequently the demand for them that causes an increase in the demand from the level of supply and it creates the inflationary situation (Brigo and Mercurio, 2013). The below graph shows an initial increase in the inflation rate due to lower interest rates, but soon the government has taken various inflation control measures that caused a decline in the inflation rate, but in 2016, it rose slightly (Treanor, 2016): UK Inflation rate (Trading Economies1, 2016) This inflationary impact can be seen from the rise in the asset prices in the UK as on average there was 23% increase in housing prices during 2005-2015 in England while 19% rise in the housing prices of London (Croucher, 2016). Overall, in 2013, the housing price rise was 6.23%, while in 2014; it was 6.66% after inflation adjustment (Global Price Guide, 2015). Similarly, on the basis of the microeconomic theory of consumer behaviour, it can be determined that the lower interest rate affected the behaviour of the customers towards the saving due to decline in the overall return on their savings in the banks. In the last seven years, the household saving rates have increased to a significant level, but they are showing a downward trend now due to lower return to the people on their savings that have a significant influence on their income level (Barghini and Pasquali, 2015). The below graph shows the UK household saving rates over the last 10 years: UK Household Saving Rates (Trading Economies2, 2016) A decline in the return is the indicator of a decline in the economic welfare as it reduced the interest of the investors. Along with this, it is also affecting the level of saving from the foreign countries as the investors are finding the other countries attractive to save their money and it is causing a decline in the demand for UK currency and consequently, it depreciated the exchange rate. It also affected the import and exports of the firm as exports become more competitive while imports became more expensive (Peng, 2015). The below chart shows a decline in the trade of balance because of decline in the demand for UK currency and consequently a decline in the revenue from exports: UK Balance of Trade (Trading Economies3, 2016) From this, it can be determined that a lower interest rate in the UK has a significant influence on the import and export activities and it is causing a decline in the revenue from exports and consequently a deficit balance of payment. But at the same time, the low rates have a positive impact on the economy of Britain as it enabled the Federal Reserve to reduce the cost of mortgage-backed bonds along with reducing the cost of home ownership in the economy. The general investment model also depicts an inverse relationship between the interest rate and the investment in the new properties in an economy (Ball, et al, 2012). The increasing investment in the housing properties in the UK in the last 7 years can be determined by an impact of the lower interest rates as the investment model depicts an increase in the expectations of the people for higher outputs in the future time period and consequently increases the aggregate demand (Powell and Powell, 2015). Overall, it can be determined that the lower interest rates in the UK increased the business investment, housing investments and a decline in the housing cost, but at the same time, it slightly increased the inflation rate, deficit balance of payment, decline in saving rates of households etc that are having a negative impact on the economic growth objectives of the British economy (Canocchi, 2016). Due to this, there is a need for the Central Bank of England to take some appropriate actions and steps to reduce its negative impact and to ensure economic growth. Recommendations for Central Bank of England From the Central Bank of England, it can be expected from the current conditions that the bank should make some slight changes in its monetary policy as per the change in the economic situation. In the current, the slight rise in the inflation rate may become worse in the future time period and for this, the Central Bank is required to consider a hike in the interest rate, so that the money supply in the economy can be declined and consequently the inflationary situation. At the same time, it should also be expected that the Central Bank will change the quantitative easing strategy for the economic growth and will also focus on increasing the saving rates in the economy (Lewis, 2013). It is because lower interest rates are affecting the return from the savings and due to this, it is declining continuously and consequently affecting the social welfare. A rise in the interest rates should be expected from the Central Bank of England in order to increase the currency value and consequently will reduce the cost of exports and make the imports cheaper. It is because a higher interest rate will attract more investment in the economy and will increase the demand for the British Pound that will lead an appreciation in the value of the currency and will contribute to making the balance of payments positive (Brigo and Mercurio, 2013). Conclusion From the above discussion on the basis of different micro and macroeconomic theories, it can be explained that low-interest rates in the British economy over the last 7 years have a significant influence on the economic growth. It caused an increase in the economic growth, business investments and contributed to improving the living standards of the people in the economy. But, the British economy also faced a slight increase in the inflation rate, deficit in the balance of payment and a decline in the household saving rates, which influenced the long-term economic growth objectives of the government. So, it should be expected from the Central Bank of England that it should increase the interest rates in the current conditions so that the negative impact on the economic growth can be prevented. References Ball, M., Lizieri, C. and MacGregor, B. (2012) The Economics of Commercial Property Markets. UK: Routledge. Barghini, T. and Pasquali, V. (2015) Household Saving Rates 2015. [online]. Available at: https://www.gfmag.com/global-data/economic-data/916lqg-household-saving-rates (Accessed: 12 March 2016). Brigo, D. and Mercurio, F. (2013) Interest Rate Models Theory and Practice. UK: Springer Science Business Media. Canocchi, C. (2016) Britain on track for seven years of record low interest rates as global markets turmoil pushes back hike prospects. [Online]. Available at: https://www.thisismoney.co.uk/money/news/article-3399359/Britain-track-seven-years-record-low-rates-global-markets-turmoil-pushes-hike-prospects.html (Accessed: 14 March 2016). Croucher, S. (2016) UK house prices: 'There is a real and growing risk of a sizeable property market correction. [online]. Available at: https://www.ibtimes.co.uk/uk-house-prices-there-real-growing-risk-sizeable-property-market-correction-1540657 (Accessed: 12 March 2016). Global Price Guide. (2015) London property market continues to soften. [Online]. Available at: https://www.globalpropertyguide.com/Europe/United-Kingdom/Price-History (Accessed: 12 March 2016). Houben, C.F.J. (2012) The Evolution of Monetary Policy Strategies in Europe. UK: Springer Science Business Media. Lewis, A. W. (2013) Theory of Economic Growth. UK: Routledge. Means, G.C., Samuels, W.J. and Lee, L.X.H. (2015) A Monetary Theory of Employment. UK: Routledge. Novales, A., Fernndez, E. and Ruz, J. (2014) Economic Growth: Theory and Numerical Solution Methods, 2nd edn. UK: Springer. Peng, X. (2015) Financial Theory: Perspectives from China. USA: World Scientific. Powell, R. and Powell, J. (2015) AQA A-level Economics, Book 1. UK: Hachette UK. Sloman, J., and Jones, E. (2014) Economics and the Business Environment, 3rd Ed., Harlow: Pearson. Trading Economies. (2016) United Kingdom Interest rate. [Online]. Available at: https://www.tradingeconomics.com/united-kingdom/interest-rate (Accessed: 12 March 2016). Trading Economies1. (2016) United Kingdom inflation rate. [Online]. Available at: https://www.tradingeconomics.com/united-kingdom/inflation-cpi (Accessed: 12 March 2016). Trading Economies2. (2016) United Kingdom household saving rate. [Online]. Available at: https://www.tradingeconomics.com/united-kingdom/personal-savings (Accessed: 12 March 2016). Trading Economies3. (2016) United Kingdom balance of trade. [Online]. Available at: https://www.tradingeconomics.com/united-kingdom/balance-of-trade (Accessed: 12 March 2016). Treanor, J. (2016) Interest rate rise judged unlikely as inflation increases only slightly. [Online]. Available at: https://www.theguardian.com/business/2016/feb/16/interest-rate-rise-judged-unlikely-as-inflation-increases-only-slightly (Accessed: 12 March 2016).

Friday, November 29, 2019

Isaac Rodriguez Essays - Food And Drink, Mexican Cuisine, Appetizers

Isaac Rodriguez ENC0017 May 2 4 , 2017 Professor S isto Sandra Cisneros - Reflecting on her life as an artist Sandra Cisneros begins reflecting on her as an artist beginning with a memory when she was in In France. Her friends asked her to dinner and to her surprise they were expecting her to participate in the preparation of the meal. Her job was to make tortillas, which she had no experience making. She managed to make the tortillas without her friends noticing that she had never made them before. She goes on to reflect on her memories of growing up in Chicago . Her experience traveling abroad was to her grandparent's home in Mexico with her family. She had three brothers. She credits her two older brothers with being contributing factors in her life as an artist. She attributes her upbringing to helping her become a writer. Sandra Cisneros traveled throughout Europe and the U.S. as a student and a teacher. She has had many wonderful experience. All of those experiences landed her back in Texas where she feels happiest because it reminds her of Mexico.

Monday, November 25, 2019

Free Essays on Bilingual Eduaction

For years, bilingual education has received criticism in the national media. The most recent attack has come from millionaire Ronald Unz. Unz had proposed an initiative, which would rigidly limit bilingual education in the state of Massachusetts. The implication of the initiative is that that bilingual education is a failed experiment. The proposed law would replace the current state law providing transitional education in public schools with new legislation. The new law would require (with limited exceptions) that all public school students are taught English by being taught all subjects in English, and by being placed in English-only language classrooms. The initiative will completely remove bilingual education for all limited English proficient (LEP) children in Kindergarten through fourth grade. Students older than ten may apply for a waiver from the English-only program on a limited basis. Further, the law would allow teachers to be personally sued for using a childâ€⠄¢s native language to aide in learning. If the initiative is passed, dramatic changes will clearly occur. Still, the question remains: is this initiative a good idea? This paper aims to explain the rationale underlying good bilingual education programs and to present findings about their effectiveness. There will also be discussions of criticism of bilingual programs. When schools provide children quality education in their primary language, they give them two things: knowledge and literacy. The knowledge that children get through their first language helps make the English they hear and read more comprehensible. Literacy developed in the primary language transfers to the second language. The reason seems simple: Because we learn to read by making sense of what is on the page, it is easier to learn to read in a language we understand (Smith 1994). Once we can read in one language, we can read in general. I work with ESL students recei... Free Essays on Bilingual Eduaction Free Essays on Bilingual Eduaction For years, bilingual education has received criticism in the national media. The most recent attack has come from millionaire Ronald Unz. Unz had proposed an initiative, which would rigidly limit bilingual education in the state of Massachusetts. The implication of the initiative is that that bilingual education is a failed experiment. The proposed law would replace the current state law providing transitional education in public schools with new legislation. The new law would require (with limited exceptions) that all public school students are taught English by being taught all subjects in English, and by being placed in English-only language classrooms. The initiative will completely remove bilingual education for all limited English proficient (LEP) children in Kindergarten through fourth grade. Students older than ten may apply for a waiver from the English-only program on a limited basis. Further, the law would allow teachers to be personally sued for using a childâ€⠄¢s native language to aide in learning. If the initiative is passed, dramatic changes will clearly occur. Still, the question remains: is this initiative a good idea? This paper aims to explain the rationale underlying good bilingual education programs and to present findings about their effectiveness. There will also be discussions of criticism of bilingual programs. When schools provide children quality education in their primary language, they give them two things: knowledge and literacy. The knowledge that children get through their first language helps make the English they hear and read more comprehensible. Literacy developed in the primary language transfers to the second language. The reason seems simple: Because we learn to read by making sense of what is on the page, it is easier to learn to read in a language we understand (Smith 1994). Once we can read in one language, we can read in general. I work with ESL students recei...

Friday, November 22, 2019

Economics of Transition Essay Example | Topics and Well Written Essays - 2000 words

Economics of Transition - Essay Example This competition not only transformed the contours of politics in the twentieth century but also led to the creation of two parallel and competing economic systems. Transition can be defined as the race of transformation of centrally planned economies into free markets. Such a transformation can be seeing as occurring after the political events that decimated the Soviet Iron Curtain. Transition is characterized by liberalization, macro-economic stabilization, restructuring and privatization and legal and institutional reforms. Countries have employed disparate transition models owing to the distinct initial circumstances that prevailed at the time when transition process materialized. Moreover, transition circumstances can also be seen as the product of the country’s peculiar socio-economic realities. While some countries like China embraced a slow and steady economic transformation approach, others like Russia adopted an aggressive and speedy model. It was envisaged that a sw ift approach could be undertaken for the privatization of small corporate entities as well as liberalization of prices and macro-economic stabilization, without encountering much economic problems (International Monetary Fund, 2000, p.3). The significance of transition for these economies can be attributed to the fact that any immature measures for transition tend to lead to economic collapse. This was all the more clear for example in the Russian banking sector failure in the late nineties. This paper will analyse how rent-seeking activities of financial institutions can have a bearing on hardening budget constraints in the transitional process. 2. Soft and Hard Budget constraints It was Kornai who invented the term ‘soft budget constraint’ to elucidate economic behaviour of the communist economies. This concept is deemed as the focal point of the subject of transition from socialist to capitalist economies. The term itself is derived from microeconomic terminology to shed light on a pragmatic economic social syndrome. The necessity of implementing hard budget constraints is accentuated repeatedly in relation to transition of socialist economies. The disintegration of the banking sector of East Asian economies during the nineties era can be comprehended by studying soft budget constraints (Kornai et al., 2003, p.54). The soft budget hypothesis denotes a condition under which firms incurring losses are bailed out by banks. Banks can undertake this role in both, capitalist and socialist economies. However, its repercussions in socialism make it a potential problem since banks are compelled by the state to rescue loss-making entities, for safeguarding employment or pursing other aims. The entanglement of state and banking into one entity means that any failure on the part of the banks will reflect clearly in the finances of the state. Typical failure in these circumstances leads to massive cuts in social sector development. Under a soft budget const raint, capital is injected in the loss making firm by the banks to keep them afloat and in a position to pay taxes, therefore acting as a disincentive for privatization. Research on the issue practically proves by applying a model based on the local authorities, a bank and firm (Brandt et al., 2003, p.13). The bank managers’ propensity to lend loans to private firms rather than SOEs will escalate as

Wednesday, November 20, 2019

Pursue litigation Essay Example | Topics and Well Written Essays - 500 words

Pursue litigation - Essay Example This ensures that people do not take advantage of legal loop holes to cause damage to others property or image. However, there may be chances where changes in the wider society happen so fast as to outpace changes in law. Tort damages are financial damages that are required from the offending party. These are required to make up for the injuries caused to the injured party. These damages differ as they are dependent on the injury and may include present or future injuries, mental distress, loss of wages amongst other tortuous behavior. There are three types of torts; intentional torts, negligence, and strict liability. Intentional torts result when a person causes damage intentionally; for instance, if one slaps another with an aim of causing harm, such is considered an intentional tort (Lunney & Oliphant, 2008). A similar act perpetrated unintentionally may not be regarded as intentional tort but might be considered a negligent act. Negligent act qualifies as tort. An important observation here is that tort does not always result from intended acts but also results from unintended acts with potentiality of harm, in this case the tort is referred to as strict liability. When a defendant is charged under strict liability, it means that their engagements, though innocent present potential liability to those around. All these classes of tort attract potential charges as they pose actual or potential injury to people. Unfortunately, not all people are aware of the existence of these and are ignorant of the likely consequences. This means that they do not know what action to take and often their rights are continually trampled. To understand the likely results and redress, such individuals require legal counsel. First, they need to understand what translates into a tort. They should seek damages for such action as these are likely to result to loss either financially or due to the distrust

Monday, November 18, 2019

Corporations and How They Have Changed From the Beginning of the Research Paper

Corporations and How They Have Changed From the Beginning of the Twentieth Century Until Now - Research Paper Example Lastly, the paper will explore when people should demand the government aid to rebuke or persuade activities of corporations. Introduction The American economy underwent significant maturity during the twentieth century. The changes in the economy were accompanied with the emergence of numerous corporations. Technocrats emerged and replaced business barons; high salaried managers became the executives in these corporations. As a result of the rising number of corporations, organized labor movement emerged. Moreover, the technological developments witnessed during the 1980s and 1990s brought with it a new culture of entrepreneurship that gave rise to tycoons (Drehle 48). With globalization, corporations had the opportunity to expand their operations to international borders. As such, companies opened foreign branches that helped to increase profitability and gain a large customer base. Discussion Through subsidies, special taxes, and special protocols, the federal government significa ntly contributes to the protection of corporations. Tax subsidies emanate from selective tax legislation aimed at benefiting some industries in the economy. The industries that reap maximum benefits from tax subsidies include corporations. Subsidies enhance the corporations to increase their returns in the market where they operate. Tax subsidies may be applied in a number of variables in a Corporation. For example, the federal government can decide to offer subsidies in terms of labor or land (Drehle 50). Special taxes and subsidies may take the form of general investment tax credits that may be made available to corporations. For example, the federal government can decide to favor productive methods that are capital-based. In its view, the federal government argues that tax subsidies play an essential role in promoting economic growth and economic stability. The federal government should make concerted efforts to develop, promote, and foster international and domestic trade by off ering subsidies to corporations (Drehle 51). As a result, trade barriers will be removed and this promotes free trade in the American economy. The reduction of trade restrictions benefits the entire economy since some trade rules hinder economic development. Tax reductions and offering of subsidies to corporations can be justified; therefore, the federal government has an obligation to subsidize corporations. Subsidies and reduction in taxes mean that the corporations will have an opportunity to manufacture goods in large quantities. Therefore, corporations will sell goods to consumers at reduced prices. As such, consumer exploitation by middlemen and businesses will be minimized. Thus, it can be concluded that distinct taxes on corporations serves to protect consumers from buying goods at extremely high prices (Drehle 51). Through the use of subsidies and tax reduction, the government guards the corporations against quiting the industries in which they operate. Some economic activi ties would not take place in the absence of subsidies and special taxes. Therefore, subsidies protect the business and normally lead to low imports and high exports (Drehle 52). The benefits of subsidies on businesses extend to employees working in these corporations. As a result of subsidies, corporations can pay their employees high wages. Consequently, the government will get high revenue from taxation of individual income. The federal gove

Saturday, November 16, 2019

The Law Enforcement In England And Wales Criminology Essay

The Law Enforcement In England And Wales Criminology Essay Police officers are perceived as the gatekeepers of the criminal justice system (Mendias Kehoe, 2006:70). They are in charge in ensuring safety and security of the public, preventing crimes, and apprehending offenders. Law enforcement in the England and Wales traces its roots back to the kin policing established in the 1800s to provide protection in the communities. This form of policing flourished until increasing threats brought by terrorism compelled the government to implement changes in the police force in the 1960s. The decades following this transformation gave way to various concepts aimed at enhancing the quality of police service. Today, England and Wales follow a law enforcement style of policing in each of their decentralized forces. This paper aims to provide a critical appraisal of the policing style in the England and Wales. The next section of the paper presents the evolution of the police force. This is followed by a discussion of the different features of the England law enforcement. Critical appraisal is presented in the discussion section. Lastly, a conclusion is presented. Law enforcement in England and Wales According to Alpert and Dunham (2009), policing in England started as a private force for the elite members of society. Those who cannot afford to hire their own guards rely on a shared and informal form of policing called the kin policing. People are expected to ensure their own safety, serve as guardians of their own community, and bring forth criminal acts to the court of law. According to Beckley (2007: 938), this form of policing was employed until the 1960s when terrorism threats prompted the development of more appropriate policing strategies. The Police Act of 1964 provided for the establishment of more scientific and organized law enforcement to meet the changing needs of the public. Police professionalism standards such as the Metropolitan Police Principles and the Association of Chief Police Officers Statement of Common Purpose and Values of 1985 were established. Various innovative changes in the police force followed these developments and continued to this day. Despite these changes, policing in England and Wales still exhibit some characteristics of its older form as evidenced by the lack of centralized police system. Today, law enforcement in England and Wales consist of 43 individual county police forces. Having this system implies diversity in policing strategies between the different counties (Hawdon, 2008: 191). Moore (1992: 107) on the other hand observed that despite all this, professional law enforcement remained the main basis of any policing strategy. Features of law enforcement in UK and Wales Das and Verma (2003: 190) contend that police organizations are shaped by culture, political priorities, and immediate needs of the situations surrounding them. Law enforcement in England and Wales has distinct features that separate it from other police forces in the world. Professionalism Das Verma (2003: 204) noted that law enforcers in Europe are noted for their professionalism. They are among the best in terms of training and education. Despite this advantage, Moore (1992: 110) argued that professionalism in police force is an ambivalent concept. He believes that police professionalism should not only focus on criminal laws but also those laws that protect citizens from arbitrary action by government agencies- including the police. Thus, the police officers emphasis on the crime control rather than the law contradicts the essence of their professional duty. Multi-functioning McGarrell, Freilich, and Chermak (2007: 143-4) contend that law enforcement has changed more than any other agency in the public bureaucracy since the 1960s. The authors added that the developments in Englands police force were not only brought by threats of terrorism but also by the social and political changes in the past two decades. Police force had to adjust to meet the changing needs of the public. Police officers are not only expected to enforce laws but also to ensure public safety and security, investigate crimes, do job-related community service, control traffic, and respond to publics call for assistance (Das Verma, 2003: 224). The multitude of tasks expected from the police makes it hard to measure police performance and thus result to ambivalent perceptions about the force. Alpert and Dunham (2009) assert that people have conflicting views of the police. They are brave crime fighters and heroes on one hand and corrupt, heartless, and brutal on the other. Public perceptions about the police are often based on selective positive and negative experiences and not on their collective performance. Beckley (2007: 939) also noted the lack of centralized police organization like the National Guard or Compagnie Re ´publicaine de Se ´curite ´ in the United States and France in the UK. This function is decentralised to the various police forces. UK police officers are in charge of community policing tasks as well as specialist police duties. They have to perform tasks from traffic supervision and community patrol to criminal investigation. Technologically advanced According to Swanson, Territo and Taylor (1993), police officers not only need human and conceptual skills but also technical skills. They have to be able to use computers; analyse evidence; apply management principles; and perform planning, accounting and budgeting functions. The use of radios, mobile phones and vehicles in patrolling enables police to respond to calls for help quickly. Computers made reporting and record keeping more effective and efficient. The advancements in forensic science brought investigations to a different level. However, critics say that the use of patrol cars instead of foot patrolling limits interaction between the community and police, thus contributing to the degradation of police and community relations. Power Weisburd and Braga (2006:13) stressed the polices capability to perform their tasks without public intrusion. Despite the fact that they are established by the government and accountable to the public, they remain independent (Moore, 1992:109). Alpert and Dunham (2009) contended that police officers are provided with enormous discretionary power which may not be beneficial to the public. Das and Verma (2003:224) argued that the fact that the UN General Assembly formulated the Code of Conduct for Police Officials in 1979 attests to the authority of the police and the need to prevent abuse and misuse of this power. Reactive policing Moore (1992: 112) also recognised the reactive characteristic of policing. Police officers tend to rely on patrols and calls from the public to solve crimes. The advantage of this strategy is that it prevents the police from interfering in private lives of the people without their consent. This ensures that the participation of the police in the situation is necessary, official and acceptable to the community. However, this strategy is problematic because it implies that a crime has to be committed before action can be taken. While this is an effective law enforcement strategy, it is not a good crime control method. Moore also observed that it cannot be utilised in crimes where there are no victims or witnesses or where victims refuse to come forward. Discussion and appraisal of the law enforcement policing Based on the discussion provided above, it is apparent that the law enforcement style of policing in England and Wales has advantages and disadvantages. Although police officers in the England are known for their professionalism, their tendency to focus on crime prevention rather than law enforcement reflects misguided understanding of their professional duty. As a result, police legitimacy and effectiveness remains problematic. According to Moore (1992: 111), there is no indication that policing has delivered in their diverse functions. He noted that: there are no positive correlations between patrolling and crime prevention; police crime investigations are not always fruitful; response systems do not guarantee arrests; and criminal punishments do not always result to rehabilitation. This shows that implementation of policies like the UN General Assemblys Code of Conduct for Police Officials and the UNDP Police Act (UNDP Bureau for Crisis Prevention and Recovery, 2003) are necessary to ensure police accountability; improve efficiency and effectivity; and prevent police misuse and abuse of power. The multitude of police functions makes performance evaluation difficult and inconsistent. Beckley (2007: 939) noted the absence of specialised duty delegation in the UK police. Police officers are expected to be able to perform duties from the community patrolling to crime investigation. While this is advantageous in the overall growth of police officers, it prevents the development of specialised and quality skills that can only be learnt from constant exposure to a specific task. The multiple functions required of the police force prevent them from specializing and optimizing their potential in a given function. They are spread too thin to be efficient and effective. Technological advancements on the other hand have undoubtedly promoted the efficiency and responsiveness of the police force. They are able to provide timely response to citizen calls. However, too much reliance on technology discourages the police to depend on their own resources and hone their skills. By using vehicles instead of foot patrolling, the police loses the opportunity to mingle and connect with the people. Some police officers obtain information from the internet and database records instead of going to the field. Investigation and prosecution proceedings are relying more and more on forensic science to provide evidence. This reduces if not eliminates the need for people participation in the process. Employment of technology reduces interaction and prevents the creation of a better and more cooperative relationship between police and the people. As a result, the gap between police and community expands. People are not comfortable dealing with the police and may hesitate to call for assistance or help them in their investigations. Hillyard and Tomlinson (2000: 400) believe that police officers have political, legal and financial accountabilities. However, closer inspection of the police force reveals that police officers are only accountable to their professional mandates and not to anyone else (Moore, 1992: 116). Despite the introduction of the value for money service in law enforcement under the Thatcher government (Long, 2004), the police force still have the discretion to decide which public concerns are important and which are not part of the police work. They can refuse assistance if they deem the work to be irrelevant to police functions. This promotes public distrust to the police. Although there is increasing recognition of the need to enforce police accountability, the question about how and to whom they should be made accountable remains. The authority and autonomy given to the police force on the other hand creates dangers on the way police works. While the idea of a law enforcement emancipated from the government is alluring, the unrestrained power it afforded the police can be daunting. The police functions as an objective agency that protects the people from criminals and from the government abuses; however, there are beliefs that the people are also susceptible to dangers from the police force itself. Organisations like the UNDP recognize the authority of the police force and how this could result to abuse and misuse of power. There is a need to draw the line between accountability and authority; between policing and coercion; and between public safety and citizen liberty. Furthermore, Moore (1992: 117) also argued that the lack of governmental regulation and public control in policing also results to their stagnation. They remain oblivious of the government and citizens views, thus they are limited by their own perceptions and mandates and fail to make appropriate improvements in their services. The UK police force is now perceived as an industry rather than an agency. They have become productivity-oriented (high clearance rate, high arrest rate and high productivity) rather than community-oriented. As mentioned earlier, the lack of centralised police agency in the UK gives the police force more authority and responsibility. Their involvement is not only limited to the community but to the entire nation. They have more authority than their counterparts from other countries. They have too much power and too little regulation, thus, the risk of police domination. Reactive policing requires the police to take action after a crime is committed. This ensures that the police are not unlawfully intruding into the lives of the citizens. However, this promotes retrospective instead of preventive action. It relies on victims and witnesses in order to enforce the suitable police action. Also, reactive policing does not ensure the apprehension of the offenders. Thus, this strategy does not help reduce crime. Another issue is the deterioration of relationship between police and the public. Negative issues like police discrimination, aggression, abuse and corruption had resulted to the publics mistrust of law enforcers. This prevents the public from cooperating with police officers in community patrols and crime investigations. They do not believe that helping the police will lead to safer and more secure community. The flow of information to the police is not as strong as it used to be. According to Moore (1992:117), some people choose to stay quiet than cooperate with the police to avoid retaliation from the violators. This implies not only the peoples lack of trust on the integrity of the police force but also on their capability to protect them. Conclusion The law enforcement style of policing in the UK and Wales is both favourable and detrimental to the performance and effectivity of policing and the publics perception of the police force. It promotes professionalism of the police force. The various features of policing in England and Wales reflect the governments attempt to improve the police force and meet the changing needs of the public. The integration of various strategies such as reactive policing addresses the concern of involvement and interference. Technological advancements are incorporated for more efficient, effective, responsive, and up-to-date system. However, the multitude of functions makes performance evaluation problematic. Despite these imperfections, law enforcement style of policing in the UK and Wales is effective as it provides a common backdrop to the various police agencies in the said places.

Wednesday, November 13, 2019

OCeans :: essays research papers

Two-thirds of our planet is covered with oceans. The Pacific, the Atlantic, the Indian, and the Artic are the world's major oceans. They were formed by a series of geological processes that continue to affect the Earth. Seven main parts, called lithospheric plates, make up the Earth's mantle layer and crust. The plates fit together millions of years ago, and are constantly moving (at a slow pace-like a fingernail grows) over a layer of squishy, soft rock called asthenosphere that lies beneath the crust. Magma rises to fill the space when the two plates move away from each other to form an ocean. This is the way the ocean grows over millions of years. The ocean floor has an amazing landscape similar to dry land with huge mountains and deep valleys, slopes and plains, trenches and ridges. Through today's technology advances we are able to study the ocean deep and learn about it. The ocean is consistently moving. Its surface can change from calm and mirror like to wild and treacherous. Most waves at sea are caused by wind. The waves created the gales that blow during a tropical cyclone are 46ft and higher. The largest wave known to have been caused by the wind was 112ft high. Waves can also be created by volcanic eruptions. These waves are known at tsunamis. They are wide columns of water that reach down to the sea floor and can travel for great distances, at the speed of a jet plane. Colliding currents can also change the surface of the ocean. When the tide turns, the opposing currents meet and may create a whirlpool. Ocean currents are massive bodies of water that travel long distances around the world. Wind is the major force that creates currents. There are seven main ocean currents that move in large, circular streams at a walking pace. In the Northern Hemisphere currents move in a clockwise direction; in the Southern Hemisphere they are counterclockwise. Warm or cold water currents are carried by winds along the shorelines. This affects the climate of the various continents on the way. The current that carries warm water from the Caribbean Sea, up the east coast of the United Stated and then to the west coasts of Britain and Northern Europe is called the Gulf Stream. These areas would be much colder without the Gulf Stream. The "pull" of the moon and the sun also affect the ocean by causing the tides.

Monday, November 11, 2019

Computational Efficiency of Polar

Lecture Notes on Monte Carlo Methods Fall Semester, 2005 Courant Institute of Mathematical Sciences, NYU Jonathan Goodman, [email  protected] nyu. edu Chapter 2: Simple Sampling of Gaussians. created August 26, 2005 Generating univariate or multivariate Gaussian random variables is simple and fast. There should be no reason ever to use approximate methods based, for example, on the Central limit theorem. 1 Box Muller It would be nice to get a standard normal from a standard uniform by inverting the distribution function, but there is no closed form formula for this distribution 2 x unction N (x) = P (X < x) = v1 ? e? x /2 dx . The Box Muller method is a 2 brilliant trick to overcome this by producing two independent standard normals from two independent uniforms. It is based on the familiar trick for calculating ? 2 e? x I= /2 dx . This cannot be calculated by â€Å"integration† – the inde? nite integral does not have an algebraic expression in terms of elementary f unctions (exponentials, logs, trig functions). However, ? 2 e? x I2 = ? /2 e? y dx 2 ? /2 ? 2 e? (x dy = +y 2 )/2 dxdy . The last integral can be calculated using polar coordinates x = r cos(? ), y = r sin(? with area element dxdy = rdrd? , so that 2? I2 = r = 0? e? r 2 /2 rdrd? = 2? r = 0? e? r 2 /2 rdr . ? =0 Unlike the original x integral, this r integral is elementary. The substitution s = r2 /2 gives ds = rdr and ? e? s ds = 2? . I 2 = 2? s=0 The Box Muller algorithm is a probabilistic interpretation of this trick. If (X, Y ) is a pair of independent standard normals, then the probability density is a product: 2 2 1 1 ? (x2 +y2 )/2 1 e . f (x, y ) = v e? x /2  · v e? y /2 = 2? 2? 2? 1 Since this density is radially symmetric, it is natural to consider the polar coordinate random variables (R, ? de? ned by 0 ? ? < 2? and X = R cos(? ), and Y = R sin(? ). Clearly ? is uniformly distributed in the interval [0, 2? ] and may be sampled using ? = 2? U1 . Unlike the original dis tribution function N (x), there is a simple expression for the R distribution function: 2? r G(R) = P (R ? r) = r =0 ?=0 r 1 ? r 2 /2 e rdrd? = 2? e? r 2 /2 rdr . r =0 The same change of variable r 2 /2 = s, r dr = ds (so that r = r when s = r2 /2) allows us to calculate r 2 /2 e? s dx = 1 ? e? r G(r) = 2 /2 . s=0 Therefore, we may sample R by solving the distribution function equation1 G(R) = 1 ? e? R 2 /2 = 1 ?U2 , whose solution is R = ? 2 ln(U2 ). Altogether, the Box Muller method takes independent standard uniform random variables U1 and U2 and produces independent standard normals X and Y using the formulas ? = 2? U1 , R = ?2 ln(U2 ) , X = R cos(? ) , Y = R sin(? ) . (1) It may seem odd that X and Y in (13) are independent given that they use the same R and ?. Not only does our algebra shows that this is true, but we can test the independence computationally, and it will be con? rmed. Part of this method was generating a point â€Å"at random† on the unit circle. We sug gested doing this by choosing ? niformly in the interval [0, 2? ] then taking the point on the circle to be (cos(? ), sin(? )). This has the possible drawback that the computer must evaluate the sine and cosine functions. Another way to do this2 is to choose a point uniformly in the 2 ? 2 square ? 1 ? x ? 1, 1 ? y ? 1 then rejecting it if it falls outside the unit circle. The ? rst accepted point will be uniformly distributed in the unit disk x2 + y 2 ? 1, so its angle will be random and uniformly distributed. The ? nal step is to get a point on the unit circle x2 + y 2 = 1 by dividing by the length.The methods have equal accuracy (both are exact in exact arithmetic). What distinguishes them is computer performance (a topic discussed more in a later lecture, hopefully). The rejection method, with an acceptance probability ? ? 4 78%, seems e? cient, but rejection can break the instruction pipeline and slow a computation by a factor of ten. Also, the square root needed to compute 1 Re call that 1 ? U2 is a standard uniform if U2 is. for example, in the dubious book Numerical Recipies. 2 Suggested, 2 the length may not be faster to evaluate than sine and cosine.Moreover, the rejection method uses two uniforms while the ? method uses just one. The method can be reversed to solve another sampling problem, generating a random point on the â€Å"unit spnere† in Rn . If we generate n independent standard normals, then the vector X = (X1 , . . . , Xn ) has all angles equally n likely (because the probability density is f (x) = v1 ? exp(? (x2 + ·  ·  ·+x2 )/2), n 1 2 which is radially symmetric. Therefore X/ X is uniformly distributed on the unit sphere, as desired. 1. 1 Other methods for univariate normals The Box Muller method is elegant and reasonably fast and is ? ne for casual omputations, but it may not be the best method for hard core users. Many software packages have native standard normal random number generators, which (if they are any good) use e xpertly optimized methods. There is very fast and accurate software on the web for directly inverting the normal distribution function N (x). This is particularly important for quasi Monte Carlo, which substitutes equidistributed sequences for random sequences (see a later lecture). 2 Multivariate normals An n component multivariate normal, X , is characterized by its mean  µ = E [X ] and its covariance matrix C = E [(X ?  µ)(X ?  µ)t ].We discuss the problem of generating such an X with mean zero, since we achieve mean  µ by adding  µ to a mean zero multivariate normal. The key to generating such an X is the fact that if Y is an m component mean zero multivariate normal with covariance D and X = AY , then X is a mean zero multivariate normal with covariance t C = E X X t = E AY (AY ) = AE Y Y t At = ADAt . We know how to sample the n component multivariate normal with D = I , just take the components of Y to be independent univariate standard normals. The formula X = AY w ill produce the desired covariance matrix if we ? nd A with AAt = C .A simple way to do this in practice is to use the Choleski decomposition from numerical linear algebra. This is a simple algorithm that produces a lower triangular matrix, L, so that LLt = C . It works for any positive de? nite C . In physical applications it is common that one has not C but its inverse, H . This would happen, for example, if X had the Gibbs-Boltzmann distribution with kT = 1 (it’s easy to change this) and energy 1 X t HX , and probability 2 1 density Z exp(? 1 X t HX ). In large scale physical problems it may be impracti2 cal to calculate and store the covariance matrix C = H ? though the Choleski factorization H = LLt is available. Note that3 H ? 1 = L? t L? 1 , so the choice 3 It is traditional to write L? t for the transpose of L? 1 , which also is the inverse of Lt . 3 A = L? t works. Computing X = L? t Y is the same as solving for X in the equation Y = Lt X , which is the process of ba ck substitution in numerical linear algebra. In some applications one knows the eigenvectors of C (which also are the eigenvectors of H ), and the corresponding eigenvalues. These (either the eigenvectors or the eigenvectors and eigenvalues) sometimes are called principal com2 ponents.Let qj be the eigenvectors, normalized to be orthonormal, and ? j the corresponding eigenvalues of C , so that 2 Cqj = ? j qj , t qj qk = ? jk . t Denote the qj component of X by Zj = qj X . This is a linear function of X and t therefore Gaussian with mean zero. It’s variance (note: Zj = Zj = X t qj ) is 2 t t t 2 E [Zj ] = E [Zj  · Zj ] = qj E [XX t ]qj = qj Cqj = ? j . A similar calculation shows that Zj and Zk are uncorrelated and hence (as components of a multivariate normal) independent. Therefore, we can generate Yj as independent standard normals and sample the Zj using Zj = ? j Yj . (2) After that, we can get an X using Zj qj . X= (3) j =1 We restate this in matrix terms. Let Q be the orthogonal matrix whose columns are the orthonormal eigenvectors of C , and let ? 2 be the diagonal ma2 trix with ? j in the (j, j ) diagonal position. The eigenvalue/eigenvector relations are CQ = Q? 2 , Qt Q = I = QQt . (4) The multivariate normal vector Z = Qt X then has covariance matrix E [ZZ t ] = E [Qt XX t Q] = Qt CQ = ? 2 . This says that the Zj , the components of Z , are 2 independent univariate normals with variances ? j . Therefore, we may sample Z by choosing its components by (14) and then reconstruct X by X = QZ , which s the same as (15). Alternatively, we can calculate, using (17) that t C = Q? 2 Qt = Q Qt = (Q? ) (Q? ) . Therefore A = Q? satis? es AAt = C and X = AY = Q? Y = QZ has covariance C if the components of Y are independent standard univariate normals or 2 the components of Z are independent univariate normals with variance ? j . 3 Brownian motion examples We illustrate these ideas for various kids of Brownian motion. Let X (t) be a Brownian motion path. Choose a ? nal time t and a time step ? t = T /n. The 4 observation times will be tj = j ? t and the observations (or observation values) will be Xj = X (tj ).These observations may be assembled into a vector X = (X1 , . . . , Xn )t . We seek to generate sample observation vectors (or observation paths). How we do this depends on the boundary conditions. The simplest case is standard Brownian motion. Specifying X (0) = 0 is a Dirichlet boundary condition at t = 0. Saying nothing about X (T ) is a free (or Neumann) condition at t = T . The joint probability density for the observation vector, f (x) = f (x1 , . . . , xn ), is found by multiplying the conditional densities. Given Xk = X (tk ), the next observation Xk+1 = X (tk + ? ) is Gaussian with mean Xk and variance ? t, so its conditional density is v 2 1 e? (xk+1 ? Xk ) /2? t . 2? ?t Multiply these together and use X0 = 0 and you ? nd (with the convention x0 = 0) f (x1 , . . . , xn ) = 3. 1 1 2? ?t n/2 exp ?1 2 ? Deltat n? 1 (xk+ 1 ? xk )2 . (5) k=0 The random walk method The simplest and possibly best way to generate a sample observation path, X , comes from the derivation of (1). First generate X1 = X (? t) as a mean zero v univariate normal with mean zero and variance ? t, i. e. X1 = ? tY1 . Given X1 , X2 is a univariate normal with mean X1 and variance ? , so we may v take X2 = X1 + ? tY2 , and so on. This is the random walk method. If you just want to make standard Brownian motion paths, stop here. We push on for pedigogical purposes and to develop strategies that apply to other types of Brownian motion. We describe the random walk method in terms of the matrices above, starting by identifying the matrices C and H . Examining (1) leads to ? 2 ? 1 0  ·Ã‚ ·Ã‚ · ? ? ? 1 2 ? 1 0  ·Ã‚ ·Ã‚ · ? ? .. .. .. . . . 1 ? 0 ? 1 ? H= ?. .. ?t ? . . 2 ? 1 ?. ? .. ? . ? 1 2 0  ·Ã‚ ·Ã‚ · 0 ? 1 ? 0 .? .? .? ? ? ? ? 0? ? ? ?1 ? 1 This is a tridiagonal matrix with pattern ? 1, 2, ? except at the bottom right corner. O ne can calculate the covariances Cjk from the random walk representation v Xk = ? t (Y1 +  ·  ·  · + Yk ) . 5 Since the Yj are independent, we have Ckk = var(Xk ) = ? t  · k  · var(Yj ) = tk , and, supposing j < k , Cjk = E [Xj Xk ] = ? tE [((Y1 +  ·  ·  · + Yj ) + (Yj +1 +  ·  ·  · + Yk ))  · (Y1 +  ·  ·  · + Yj )] = 2 ?tE (Y1 +  ·  ·  · + Yj ) = tj . These combine into the familiar formula Cjk = cov(X (tj ), X (tk )) = min(tj , tk ) . This is the same as saying that the ? 1 ?1 ? ?. ?. C = ? t ? . ? ? ? 1 matrix C is 1  ·Ã‚ ·Ã‚ · 2 2  ·Ã‚ ·Ã‚ · 2 . . . 3  ·Ã‚ ·Ã‚ · . . . 2 3  ·Ã‚ ·Ã‚ · ? 1 2? ? ? 3? .? .? .? .. . (6) The random walk method for generating X may be expresses as ? ? ? Y ? X1 1 1 0  ·Ã‚ ·Ã‚ · 01 ? ? ? ?1 1 0  ·Ã‚ ·Ã‚ · 0 ? ? . ? ?.? ?.? v? ? . ? ?.? 1 0 . . ? . .? ? . ? = ? t ? 1 1 ? ? ? ? ?. . .. ? ? ? ?. . . .. ? ? ? ? 11 1  ·Ã‚ ·Ã‚ · 1 Yn Xn Thus, X = AY with ? ? 1 0  ·Ã‚ ·Ã‚ · 01 ?1 1 0  ·Ã‚ ·Ã‚ · 0 ? ? ? v? .? .? . ?1 1 1 0 .? A = ? t ? ?. . ? .. .. ?. . ? . 11 1  ·Ã‚ ·Ã‚ · 1 (7) The reader should do the matrix multiplication to check that indeed C = AAt for (6) and (7). Notice that H is a sparse matrix indicating short range interactions while C is full indicating long range correlations.This is true of in great number of physical applications, though it is rare to have an explicit formula for C . 6 We also can calculate the Choleski factorization of H . The reader can convince herself or himself that the Choleski factor, L, is bidiagonal, with nonzeros only on or immediately below the diagonal. However, the formulas are simpler if we reverse the order of the coordinates. Therefore we de? ne the coordinate reversed observation vector t X = (Xn , xn? 1 , . . . , Xn ) and whose covariance matrix is ? tn ? tn? 1 ? C=? . ?. . t1 tn? 1 tn? 1  ·  ·  · t1 t1 .. .  ·Ã‚ ·Ã‚ · ? ? ? , ? t1 and energy matrix ? 1 ? 1  ·Ã‚ ·Ã‚ · 0 ? 0 .? .? .? ? ? ?. ? 0? ? ? ?1 ? 2 ? ? ? 1 2 ? 1 0  ·Ã‚ ·Ã‚ · ? ? .. .. .. . . . 1 ? 0 ? 1 ? H= .. ?t ? . . ?. . 2 ? 1 ? ? .. ? . ? 1 2 0  ·Ã‚ ·Ã‚ · 0 ? 1 We seek the Choleski factorization H = LLt ? l1 0 ? m2 l2 1? L= v ? m3 ?t ? 0 ? . .. . . . with bidiagonal ?  ·Ã‚ ·Ã‚ · ? 0 ? ?. .. ? . ? .. . Multiplying out H = LLt leads to equations that successively determine the lk and mk : 2 l1 l 1 m2 2 2 l1 + l 2 l 2 m3 = 1 =? l1 = 1 , = ? 1 =? m2 = ? 1 , = 2 =? l2 = 1 , = 1 =? m3 = ? 1 , etc. , The result is H = LLt with L simply ? 1 0  ·Ã‚ ·Ã‚ · ? ? 1 10 1? .. L= v ? . ?t ? ? 1 ? . .. .. . . . . 7 ? ? ? ?. ? ? The sampling algorithm using this Y = Lt X : ? ? ? 1 Yn ? Yn? 1 ? ? ? ? ?0 ? ? 1? ? ? ? ? . ?= v ? ?.? ?t ? ?.? ?. ? ? ?. . Y1 0 information is to ? nd X from Y by solving ?1 0 1 .. . ?1 .. .  ·Ã‚ ·Ã‚ ·  ·Ã‚ ·Ã‚ · .. . 0 0 Xn . ? ? Xn? 1 . . . 0 . . ?1 X1 1 ? ? ? ? ? ? ? ? ? Solving from the bottom up (back substitution), we have Y1 = Y2 = v 1 v X1 =? X1 = ? tY1 , ?t v 1 v (X2 ? X1 ) =? X2 = X1 + ? tY2 , etc. ? t This whole process turns out to give the same random walk sampling method. Had we not gone to the time reversed (X , etc. variables, we could have calculated the bidiagonal Choleski factor L numerically. This works for any problem with a tridiagonal energy matrix H and has a name in the control theory/estimation literature that escapes me. In particular, it will allow to ? nd sample Brownian motion paths with other boundary conditions. 3. 2 The Brownian bridge construction The Brownian bridge construction is useful in the mathematical theory of Brownian motion. It also is the basis for the success of quasi Monte Carlo methods in ? nance. Suppose n is a power of 2: n = 2L . We will construct the observation path X through a sequence of L re? ements. First, notice that Xn is a univariate normal with mean zero and variance T , so we may take (with Yk,l being independent standard normals) v Xn = T Y1,1 . Given the value of Xn , the midoint observation, Xn/2 , is a univariate normal4 w ith mean 1 Xn and variance T /4, so we may take 2 Xn 2 v 1 T = Xn + Y2,1 . 2 2 At the ? rst level, we chose the endpoint value for X . We could draw a ? rst level path by connenting Xn to zero with a straight line. At the second level, or ? rst re? nement, we created a midpoint value. The second level path could be piecewise linear, connecting 0 to X n to Xn . 4 We assign this and related claims below as exercises for the student. 8 The second re? nement level creates values for the â€Å"quarter points†. Given n X n , X n is a normal with mean 1 X n and variance 1 T . Similarly, X 34 is a 2 42 2 4 2 1 1T normal with mean 2 (X n + Xn ) and variance 4 2 . Therefore, we may take 2 Xn = 4 1 1 Xn + 22 2 T Y3,1 2 and n X 34 = 1 1 (X n + Xn ) + 2 2 2 T Y3,2 . 2 1 The level three path would be piecewise linear with breakpoints at 1 , 2 , and 3 . 4 4 Note that in each case we add a mean zero normal of the appropriate variance to the linear interpolation value.In the general step, we go from the level k ? 1 path to the level k paths by creating values for the midpoints of the level k ? 1 intervals. The level k observations are X j . The values with even j are known from the previous 2k? 1 level, so we need values for odd j . That is, we want to interpolate between the j = 2m value and the j = 2m + 2 value and add a mean zero normal of the appropriate variance: X (2m+1)n = 2k? 1 1 2 mn X 2k? 1 + X (2m+2)n 2 2k? 1 + 1 2(k? 2)/2 T Ym,k . 2 The reader should check that the vector of standard normals Y = (Y1,1 , Y2,1 , Y3,1 , Y3,2 , . . . t indeed has n = 2L components. The value of this method for quasi Monte Carlo comes from the fact that the most important values that determine the large scale structure of X are the ? rst components of Y . As we will see, the components of the Y vectors of quasi Monte Carlo have uneven quality, with the ? rst components being the best. 3. 3 Principle components The principle component eigenvalues and eigenvectors for many types of Brownian motion are known in closed form. In many of these cases, the Fast Fourier Transform (FFT) algorithm leads to a reasonably fast sampling method.These FFT based methods are slower than random walk or Brownian bridge sampling for standard random walk, but they sometimes are the most e? cient for fractional Brownian motion. They may be better than Brownian bridge sampling with quasi Monte Carlo (I’m not sure about this). The eigenvectors of H are known5 to have components (qj,k is the k th component of eigenvector qj . ) qj,k = const  · sin(? j tk ) . 5 See e. g. Numerical Analysis by Eugene Isaacson and Herbert Keller. 9 (8) The n eigenvectors and eigenvalues then are determined by the allowed values of ? j , which, in turn, are determined throught the boundary conditions.We 2 2 can ? nd ? j in terms of ? j using the eigenvalue equation Hqj = ? j qj evaluated at any of the interior components 1 < k < n: 1 2 [? sin(? j (tk ? ?t)) + 2 sin(? j tk ) ? sin(? j (tk + ? t)) ] = ? j sin(? j tk ) . ?t Doing the math shown that the eigenvalue equation is satis? ed and that 2 ?j = 2 1 ? cos(? j ? t) . ?t (9) The eigenvalue equation also is satis? ed at k = 1 because the form (8) automatically satis? es the boundary condition qj,0 = 0. This is why we used the sine and not the cosine. Only special values ? j give qj,k that satisfy the eigenvalue equation at the right boundary point k = n. 10

Saturday, November 9, 2019

How the digestive, cardiovascular and respiratory system are interrelate Essay

The human body has to be controlled from advanced systems internally of which connect in order to function effectively. There are ten main systems within the body of which all perform various activities and all interrelate with at least one other system; the nervous system. The most complex of all body systems, the nervous system controls all functions within the body. The main function of the respiratory system is to inhale oxygen and exhale the waste product carbon dioxide. Oxygen is breathed through the mouth and nostrils into the lungs. The gas then diffuses through the alveolar walls and into the red blood cells. Carbon dioxide carried back within erythrocytes diffuses back through the alveolar walls and is exhaled out through the mouth. The cardiovascular system has a role of circulating blood around the body. The contents of blood being circulated include nutrients, gases and waste products. The main organs involved within this process are blood, arteries, veins, heart and the lungs. The function of the digestive system is to absorb and adapt key nutrients which are required to maintain and regulate other systems in the body. Enzymes secreted within the digestive system have a role of breaking down food from proteins into amino acids, starch into glucose and fats into a mixture of fatty acids and glycerol. It can be analysed that the two body systems work together. Which are the respiratory system and the cardiovascular system. Oxygen is inhaled and enters the respiratory system. It travels down into the lungs through the trachea. Once inside the lungs, the gas enters the alveoli and diffuses through the alveolar wall. After it diffuses through the capillary wall, it enters the cardiovascular system. Oxygen then binds with haemoglobin forming oxyhaemoglobin and is then transported around to cells within the body. Carbon dioxide is transported as a waste product within red blood cells through the cardiovascular system. This needs to be exhaled as too much carbon dioxide present within the blood causes acidosis. The gas must vacate  from the blood through the same route oxygen entered the blood. It must exit through the respiratory system. Carbon dioxide diffuses back into the alveoli and then is exhaled out of the mouth through the respiratory system. It is evident that both systems are required in order to sufficiently exchange gas. If the human body was unable to perform gas exchange, cells within the body would die so this interrelation is important. The respiratory system interrelates with the digestive system to perform a defence mechanism. When a micro-organism has successfully entered the human body, goblet cells along the respiratory tract have the ability to produce a larger yield of mucous. Mucous is a defensive â€Å"sticky† liquid of which has the ability to collect micro-organisms that bind with the substance. Cilia within the trachea slide the mucous towards the entry of the oesophagus. The substance is then delivered through the tube and into the strong hydrochloric acid present in the stomach. To aid with the respiratory system, the digestive system provides the diaphragm with key nutrients necessary to facilitate breathing. It is also noted that both the digestive system and respiratory system provide the key products to perform aerobic respiration. The cardiovascular system interrelates with the digestive system. Various nutrients produced from the digestive system are required to maintain the heart rate within the cardiovascular system at a normal rhythm. The nutrients are essential within the whole body so once they have been churned; they are absorbed within the blood and then transported via the cardiovascular system to their required destination. When the digestive system requires more blood, vessels expand to acquire the demands. The circulatory system carries chemical signals which control the speed of digestion. Toxins produced by the digestive system are transported via the cardiovascular system to the kidneys to excrete the material. It is identifiable from analysing the roles of the systems that both are required in order for the human body to remain in a healthy state. Also they’re all linked by being part of one and the same organism. Respiratory system – Oxygen is inhaled, cardiovascular system – oxygen is carried to every cell in the organism, nutritive substances are carried from the digestive system to every cell in the organism. Cardiovascular system – carbon dioxide is  carried to the respiratory system and it is exhaled. Cardiovascular system – whatever remains of the nutritive substances after they’ve been processed in the cells is returned to the digestive system and is â€Å"thrown away† at the end of the digestive system.

Thursday, November 7, 2019

Law Day History, Origins and Celebration Traditions

Law Day History, Origins and Celebration Traditions History of Law Day In the USA, May 1 is marked on the calendar as Law Day. It is a national day when the country celebrates the role of law and its contribution to the foundation of Americans freedoms. May 1 was primarily chosen as an international day, known as May Day, to commemorate the attempts of workers to improve their working conditions. Though, with the span of the time many European countries continued to stick to the traditions and carry out celebration on May 1, while some other countries, including the USA, started to observe significant to their nation Labor Day on the first Monday of September. The idea to celebrate Law Day belongs to Charles S. Rhyne, the former president of the American Bar Association. He was a legal counsel of President Eisenhower in 1957-1958. Rhyne offered to celebrate Law Day to recognize the US legal system. Since Law Day was proclaimed as a national day by President Eisenhower in 1958, it was stated that henceforth May 1 would be the date to observe it. Law Day has become a reminder for everyone to appreciate the virtues the American nation has, the equality and justice under the law in the relations with each other and other countries and to cultivate the respect for law necessary for the maintenance of the democratic society. Law Day Festivals and Celebrations , the theme will be The 14th Amendment: Transforming American Democracy. There is also a tradition, which was established by President Eisenhower in 1958 and is observed by every President till present time: to issue an annual Law Day Proclamation. Each Proclamation is aimed at discussing the American rights and American law and stresses the importance of the recognition of the rule of law as supreme as in Eisenhowers Proclamation; calls for struggle to defend the way of life in Kennedys Proclamation; aspires to fuller awareness of the importance of respect for law in Johnsons Proclamation; advocates to make the country a beacon of liberty in Reagans Proclamation; celebrates the nations commitment to the rule of law and the equality under the law in Obamas Proclamation. Broaden your outlook and learn about the origin and celebrations of our countrys national holidays!

Monday, November 4, 2019

Essay Assignment 2 Example | Topics and Well Written Essays - 500 words - 2

Essay 2 - Assignment Example When parents decide to have a child through surrogacy, they are the ones who benefit since they feel that they are satisfied with the decision they make. If the decision is because of a genetic defect in the parents, then she argues that surrogacy is not a solution because the child would still develop the complication since it is in the genes of the parents. It is also difficult to totally decide the kind of child to bear hence we should learn to incorporate all kinds of children and help them accept their situations. The society at large should also discourage commercial surrogacy for reasons posed by parents that there is improper allocation of jobs for disabled. Since some parents consider surrogacy for fear of delivering disabled children, the governments should create slots for employment of such people in the society. This can help such mothers to know that any child borne has a role to play despite his or physical appearance (Anderson, 1997). In his article, Buchanan argues that most human body alterations through biotechnological means have negative effects on the clients that try them. He says that these alterations may either terminate the human nature or make it almost difficult to differentiate between a good and a bad looking person since such judgements are normally done according to natural appearance. These conclusions are just interrelated in a way with the second supporting the first one which is against human enhancements. Although most biotechnological enhancements techniques have been made available, there is still no clarity as to whether these techniques are best solutions for the public. These scientists only talk about how the procedures are possible, they evade to give further advice n such procedures, maybe for commercial purposes. Therefore the public should take it an obligatory role to weigh the shortcomings by considering whether they will still be attractive in their enhanced looks in the future. It might even be true that

Saturday, November 2, 2019

NFL Personnel Hiring for market plan Essay Example | Topics and Well Written Essays - 1500 words

NFL Personnel Hiring for market plan - Essay Example This was done in order to guarantee a large audience-not everyone can make it to the stadiums. Some of the television stations include NFL network, ESPN, FOX and NBC. Some of the radio stations owned by the NFL include Westwood one, Sports USA and the United Stations Radio Networks. (Green Berg, 2007) Players in the NFL all belong to a union called the NFLPA. This union has the mandate to negotiate contracts for players. The players are governed by a contract called the CBA. Players are only allowed to play for teams that endorse them. Other older players are allowed to negotiate their contracts with other teams after a certain number of years. The contract signed by the players and the NFL has regulations regarding salary packages and it stipulates what are the minimum and maximum amounts to be paid to players. The NFL has a peculiar way of picking out its players. It normally uses the NFL draft. Teams usually endorse a player and earn the right to keep him. However, trades can be made for players from other teams upon agreement by the first team that chose him. The NFL requires that the Franchise owners pay an amount of fifty dollars when they appear for drafting. This is normally done annually in the month of April. There are specific amounts given to those who get first, second and third place. Franchise owners are allowed to make moves as soon as the draft is complete. They also have to pay a small amount for every interchange made in order to finance an award at the season's end. (Sands, 2002) Once these players have been selected by their teams, they are allowed to play in any position within the team that chose them. Franchise owners are supposed to choose players from six categories that include quarterbacks, kickers, defenders, running backs, tight ends and wide receivers. Each category has a maximum number allowed by the league. Franchise owners should submit in names of players that will participate in the expected week's game from all the categories listed above. Trade offs between franchise-owners for players are permitted only after notifying the commissioner. In addition, there must both agree to the terms of the deal. This can only be done within a stipulated amount of time. Franchise owners must make sure they do not exceed the deadline. Waivers can be done all through the season after payment of a specified fee. In addition, there must be a notification to the franchise owners that a player has been waived. (Ed Gruver, 1997) The League can overrule a player trade off that has been done unfairly. This could be possible when a team has taken a player in order to weaken a certain team and to strengthen itself unfairly. Franchise owners can also conduct a vote that overrules decisions by the commissioner. Names chosen by Franchise owners must be free of offence. This is especially in regard to players' wives. The commissioner can also reject names that are deregulatory or stupid. As franchise owners enter the league, they ought to submit their logos. Lastly, there is a provision for a modification of the rules after the end of the season. Here, there must be a unanimous vote by franchise owners. How the last Franchise expansion was done There are a number of franchise expansions that have characterized the National Football League. A good example is the Houston Texans Team. This expansion was done in the year 1997 by franchise owner Bob McNair. He wanted to bring