Saturday, November 30, 2019

Meth Labs Essays - Methamphetamine, Illegal Drug Trade, Chemistry

Meth Labs Methamphetamines are powerfully addictive stimulants that dramatically affect the central nervous system. The drugs are made easily in clandestine, or illegal laboratories with cheap over the counter ingredients. These factors combine to make methamphetamines drugs extremely dangerous, and vulnerable to widespread use. Methamphetamines are also commonly known as speed, meth, or chalk. In its' smoked form they are often referred to as ice, crystal, crank, or glass. They are a white, odorless, bitter-tasting crystalline powder that easily dissolves in water or alcohol. Methamphetamine's chemical structure is similar to that of amphetamine, but it has more pronounced effects on the central nervous system. Like amphetamines, they causes increased activity, decreased appetite, and a general sense of well being, which can last 6 to 8 hours. After the initial rush, there is typically a state of high agitation that in some individuals can lead to violent behavior. Contrary to the stereotype of rural areas as idyllic, protected environments in which to raise families, substance abuse is as great a problem as it is in the cities. One must realize that rural communities vary in characteristics considerably, which complicates our understanding of rural substance use problems and increases the need for prevention, intervention, and treatment programs. For too long, the problems of alcohol and drug abuse in rural areas have received little attention from the federal level. As national studies show, those who live in rural areas are just as likely to have alcohol and other drug problems as those who live in large and small cities. The choice of addictive substances may differ, but the prevalence of abuse is virtually the same for country and city dweller alike. Less attention has been focused on drug use in rural than urban areas despite evidence that metro and nonmetro differences in rates of substance abuse have been declining. Between 1975 and 1991, the National Household Survey on Drug Abuse (NHSDA) collected drug, alcohol, and tobacco use data from individuals age 12 and older living in U.S. households. These data are used to report trends in illegal drug use for large and small metropolitan and nonmetropolitan areas of the United States. Lifetime-use patterns of marijuana, hallucinogens, inhalants, and cocaine by age group for the three population density areas are compared. In general, nonmetropolitan prevalence rates for the four drugs were slightly lower than those for the two metropolitan population density areas, however, the rates appear to be converging. Lifetime substance use was highest for those age 18 to 34. (Moxley,1992 p.119) A clandestine laboratory is a laboratory used for the primary purpose of illegally manufacturing controlled substances, such as cocaine and methamphetamine. Clandestine labs are typically small, utilizing common household appliances, glassware, and readily available chemicals. (KBI, 1997, p.1-2) Clandestine laboratories come in all sizes and are found in a variety of locations. The most common and the fastest growing type of lab is the methamphetamine lab, or crank lab. Methamphetamine laboratories have been seized in homes in residential areas, vehicles, apartments, hotels, kitchens, bathrooms, garages and various other outbuildings. (University of Kansas, 1995, p. 6) There are many different methods for producing Methamphetamines. Each method has its own inherent dangers. Many of the chemicals used are corrosive or destructive, and some of the processes create noxious and harmful fumes. Additionally, many of the chemicals can be found in common household items such as Coleman fuel, some cleaners, and diet pills. The most productive laboratories are commonly located in rural areas, such as farms, rural residences and forestry land. Rural areas are often targeted for laboratory manufacturing to avoid detection by law enforcement. Often these labs are larger and produce strong chemical odors, which could be easily detected by neighbors. (Weisheit, Wells, 1996, p.384) Clandestine laboratories are commonly operated on an irregular basis. Operators often produce a batch, or conduct one step in the process, then disassemble and store the lab, or move the lab to another location to complete the process. This is often done in order to avoid detection by law enforcement. (KBI, 1997, p.2) Methamphetamine labs are increasingly becoming a public safety hazard. Even months after a lab has been closed, chemical residue that has seeped into carpet or wood can be dangerous. (Gallon, 1998, p.48) Police

Monday, November 25, 2019

US Trade Deficit essays

US Trade Deficit essays The U.S. trade deficit is the result of a net inflow of capital to the United States from the rest of the world. They have become a net importer of capital because Americans do not save enough to finance all the available investment opportunities in their economy. This inflow of capital from abroad allows the US to pay for imports over and above what they export. The US has been holding a trade surplus since the World War II, a war that harmed much of the most significant international competition for the US industry. Therefore before 1970, the US industry had much to gain from free trade. Nevertheless after 1970, the trade surplus turned into trade deficits, which increased considerably throughout the 80s and the 90s. During the 80s the percentage of GDP accounted by gross saving fell considerably, widening the gap between supply of saving and the demand for domestic investment. Throughout the early 1990s the trade deficit shrank as the economy growth slowed down but increased after the current expansion began in 1992 as the demand for private investment grew. In 1999, the U.S. trade deficit reached a record level. It has been increasing as a share of the economy's total output. The current account rose from 1.4 percent of GDP in 1990 to 3.7 percent in 1999. During 2003 the US registered a trade deficit record of $489.4 billion. The annual trade deficit, reported by the Commerce Department, was 17.1% larger than the previous record shortfall of $418 billion posted in 2002. However US exports made gains in 2002 totalling $1 trillion and a 4.6 %increase from 2002. Declining share of saving. This decline led to a shortage of funds for domestic investment, which caused real interest rates to rise higher, making the US an attractive target for investment. These large net capital inflows have been keeping the dollar strong, ...

Friday, November 22, 2019

Australian Prudential Regulation Authority

In parison to other countries or other industries, Australia has knowledgeable main variations to its monetary and economic system in new periods. The  Australian  monetary organization  contains of the preparations cover the appropriate taking money and lending of funds and the transmission of possession of monetary rights in Australia which consists of the derivative business places, insurance, banks, credit unions, debt and equity market. The clear result has been an alteration in the Australian mercial and business organization from a paratively locked, monotonous assembly in the 1950s and 1960s, based mainly on historical bank connection, to a more exposed and modest organization and are offering or giving various types of services or offerings in parison with any other industries. The financial or the monetary system   is being driven by the forces of the fair or the market which is solely dependent on the economy of the market and what the market needs. A procedure ana logous to that understood in Australia has remained experimental and broadly deliberated in the United States underneath the general caption ‘the deterioration in outdate investment and banking. Amid the assortment of inspirations on monetary-sector expansion, three chief services can be tinted. The first can be said as the part of monetary controlling strategy, to an significant gradation, formed the prehensive tendencies in groups’ marketplace shares in fresh periods. There were many development in the system due to progressive technology   and due to this plummeting the price of many knowledge oriented monetary doings and also new products and activities are available. System possessions more than crumpled as a relation to GDP among the 1960s and 1990s, with abundant of that development occurring in the instant post-deregulation retro in the additional half of the 1980s.A major part of the monetary system, and widely examined away, was the recognition prosperous wh ich shadowed monetary deregulation. This singularity, and its munication with economic progresses in the 1980s, underwrote to development of the monetary segment in an amount of methods. Influence within the Australian business sector has conventionally been moderately little, and this remnants the circumstance despite a considerable surge in corporate copying in the late 1980s. The debt to equity ratio is paratively same with pared to other countries like United States, Japan and other countries. Till the 1950s, monetary intermediation was mainly identical with investment and banking. We can also see that, until the 1950s, monetary intermediation was principally identical with banking. Finance business was fundamentally a low-risk proposal showed at controlled values and fees.. The mercial transaction or better known as banking business in  Australia  contains of a number of banks approved   and qualified to carry on investment and banking business under the  Banking Act 1959, distant banks approved to function through a subdivision in Australia. While conversation of the u ing construction of the investment or the banking industry was to a large gradation hypothetical, the Group was interested in explanations that some contributors in the business anticipated a major and a vast charge in the near future. In contradiction of the contextual of these expansions, banks have their mark increasingly on the mushrooming retirement and funds-management subdivision as a possib le long-term counterbalance to these pressions and burdens. We can say as an example approx. $40 billion, or 15 per cent of retirement possessions or properties are presently held as bank safeties or credits with economic establishments, a momentous amount of these organisations’ accountability base. The banks undoubtedly know that there are pensations and advantages to be increased from joining and uniting their connection part with funds-management activities, and have strapped for payment of more through participation in retirement time, and in recent times there has been overall introduction of investments   or funds in over the counter. The  banking sector in  Australia  contains of a number of banks approved   and qualified to carry on investment and banking business under the  Banking Act 1959, distant banks licensed to function through a subdivision in Australia, and Australian-incorporated foreign bank panies. Various organisations like mutual funds, credit unions provide banking facilities. Officially, there is widespread and detailed regulation of Australia's banking system, split mostly between the  Australian Prudential Regulation Authority  (APRA) and  Australian Securities and Investments mission  (ASICAustralia Reserve bank plays a   significant participation. Though, in repetition, Australian banks are autonomous and are regulated by themselves through External Dispute Resolution (EDR) arrangements, the most protuberant is the  Financial Ombudsman Service (Australia)  (FOS). The ASIC is responsible for the integrity and the prosperity of the financial organisations. The fast growt h of banks' national financial statements – which have full-grown at an regular yearly rate of 13  per  cent meanwhile from 1985 – and both the demand and supply factors and introduction are introduced. Currently there are 53 banks which are functioning in Australia, and in those 54, 14 are owned by the country. In totalling to the four major banks, there is a collection of five Australian-owned banks occasionally denoted to as the ‘regionals’, sparkling their innovative emphasis mainly on the retail sector. The Banking system or methods of Australia in the history was one of determined country for legality, not so prosperous, broken and public bitterness. With the flow of past 15 years, each of the four main Australian banks, while obeying with the progressively severe supplies of controlling figures, testified at least one main monetary blooper. A one-off simplification of limitations on foreign bank admission in the mid-1980s, and the additional exp osed policy of entry accepted in the early 1990s, saw the overseas bank attendance increase, in part at the expenditure of the mercantile sectors of bank The   banking organisation has literally struggled to achieve great success overtime. Three main administration investigations into banking were showed in Australia between 1981 and 1996. It gave lawfulness for both the administrations and the banks; for administrations since the very establishment of an investigation established an obligation to answerability and munity concentration questions. Banks are also topic to duties under the  Anti-Money Laundering and Counter-Terrorism Financing Act 2006  as "reporting entities†. Until the 1980s, recognition unions and construction societies produced muscularly, largely because they were subject to rarer guidelines than banks – in 1985, there were 60 building societies and 400 credit unions effective in Australia. Banks confronted slight modest heaviness from other organisations, where rapid development had not started yet, and the organization was not exposed to foreign bank entrance or to offshore munications. Banks went through an extended period of declining market share during the 1960s and 1970s, when equivalent advantages were made by non-bank monetary mediators, particularly construction societies, economics corporations, mercial banks. A huge amount of considerable growth of non-bank monetary organizations (NBFIs) not united to the national investment subdivision. In some of the cases, these organizations were possessed by distant banks that required a monetary attendance in Australia but were prohibited from founding a proper and prescribed mericialprocess by the real suspension on new foreign banking establishments before 1985. A one-off simplification of limitations on foreign bank admission in the mid-1980s, and the additional exposed policy of entry accepted in the early 1990s, s aw the overseas bank attendance increase, in part at the expenditure of the mercantile sectors of bank. Two overseas organisations functioned uninterruptedly as official banks in Australia in the post-war period prior to 1985.17 The nonappearance of a wider overseas banking attendance reproduced the suspension on distant bank entry, deliberated beforehand. The appearance of a ‘distant bank presence’ in Australia in the nonappearance of ‘official foreign banks’ signifies what, with retrospection, seems to give the novel method to the meaning of banks and non-banks inside the Banking Act 1959. The experience of having the overseas or the foreign banks response is quite neutral. The new entries are quite petitive in nature. On the prehensive part, foreign banks sustained their mercial banking’ doings and in that domain were pioneering in merchandise progress and in monetary and derivative markets. At the end it is being noticed that the foreign banks w ere not able to make an influence or impression on the central place of the Australian banks in the merchandising and saleable market, where huge client permissions or branches had been recognized through widespread division systems. Foreign banks were heartened to smear for approval anywhere and in any amount, on condition that they met the entrance necessities, they were allowed to assume either secondary or subdivision constructions (Brian, 2005) Many overseas banks were against this but the rule was not changed and was universal. From 1992 the number of entries of foreign banks increased simultaneously (Henry, 2011) Inclusive, though, the happenings of external banks continued paratively unimportant likened to the long recognized Australian banks. Respective part of lending and borrowing system resources rose to 14 per cent by 1996 as a consequence of fresh entrants but with only slight exclusions, their doings continued profoundly absorbed on extensive or recognized marketplaces (Financial stability review , 2006) Australia is placed as the ninth main as exchange fair in dollars or any overseas country and the sixth principal interest rate futures market in the creation.   Foreign banks as a group were the firmest hit with losses totalling to 30 per cent of their capital in 1990 alone. Among 1986 and 1990, collective foreign bank sufferers engrossed an quantity equal to their original start-up capital. The risks can be faced by the foreign banks by opening branch in Australia can be the credit, liquidity, business risks. "Australia's main banks have been mounting their CRE contacts self-effac ingly  in new year’s, and are thus susceptible to the dangers from developed jobs rates in Brisbane and Perth and payment risks from a potential  residential apartment oversupply in Sydney, Melbourne and Brisbane," says  Maadhavi Ramanayake, a Moody's Associate Analyst. – As seen, the Reserve Bank's threat organisation rule covers financial marketplace, credit, operative and other risks characteristic in resounding out its main banking actions, but not the risks linked with the Bank's core economic, economic solidity and outgoings procedure occupations.  It is debatable whether a foreign bank facing plications would deliver or say all its issues to the Reserve bank   thereby providing an chance for early action by the Reserve Bank. Correspondingly, it would be both difficult and luxurious for the Reserve Bank to display the processes of a foreign bank with an Australian division to measure for itself the risk of that bank being incapable to meet its duties (I rvine, 2007) After all the permutations and binations and seeing all the risks the country would face by the banks set up or vice versa, Brilliant bank   would now apply for the banking license in Australia. It’s not easy to get a banking license. To function as an ADI in Australia, the potential licensee must get a banking license from the Australian Provident Regulatory Authority. It may take a long term or rather many years and, as the governmental group boom notes does not e as a very user friendly process for the new ones. The applicants applying for it will actually need to satisfy the capital requirements that is the minimum capital that is required. To operate as a bank, fort ing interviewees need at least $50 million in Tier 1 Capital or largely mon equity. Candidates suggesting to function as banks must have a smallest of $50 million in Tier 1 capital. Supplementary, on an on-going basis, ADIs must grip controlling capital equivalent to at least eight per cent of total risk bia sed assets; However, the group points out, new ADIs can be subjected to advanced least capital necessities in their influential years and various liquidity issues also needs to be fulfilled with other areas like corporate governance and others. The International Monetary Fund’s Financial System Stability Assessment (FSSA) can undertake another fence to arriving the local banking subdivision. All the stockholders of the applicant or the person making the application must show or rather be well established, financially very sound and they would also prove that the cooperation or the tie up would be a long term arrangement. Where essential, candidates will be predictable to provide APRA with approval to pursue particulars in this respect. Candidates internal control and risk management strategies must be appropriate to satisfy to the obtainment of license. The shareholders should be fit and utmost proper to qualify and they must contribute to the capital if there is any requirem ent in the future. The guidelines which is set by the APRA should be submitted in time otherwise it would lead to disqualification, when an existing applicant who is about to mence its banking operations is not having any resources or contacts, then the individual is expected to build the contact as soon as possible to conduct the operations. ADRA has full authority to ask and want any document at any time. Discussion between the APRA and the individual wanted to conduct banking operations A drag application must be sent properly. APRA will review and go through the application that is made by the applicant. He will therefore discuss with the seniors and other staffs regarding the application It will therefore will take 12-15 months to process, provide there are exceptions which can delay the submission that is some i plete documentation will actually extend days , a corporation may be by default may extend days to resolve some issue or due tony mishap the date can be stretched. APRA inspires all potential candidates to municate it as early as conceivable throughout their development procedure to discuss their determination to smear for an agreement. APRsubsidiary of a non-operating holding corporation (NOHC) that does not have NOHC specialist under the Act. APRA expects all candidates to be able to obey with its sensible necessities, as set out in numerous sensible morals, from the beginning of the dealings in banking (Australian prudential, 2016). Candidates suggesting to function as banks must have a smallest of $50 million in Tier 1 capital. Australia's banking corporation has arose from the GFC in a moderately robust situation. Its standing internationally has been heightened. Proper consumer protection and welfare measures are seen at a broader level and implemented properly. petition with stability are being maintained.   A harmless and unchanging banking system is a serious constituent of the country's financial organization. The administration and the makers of the policy are bringing changes and are very positive for the economy. An important example from previous controlling policy knowledge was that guidelines inclined to break depressed where they positioned false restraints on petition amongst organisations performance fundamentally similar purposes. The banks have an understanding that joining their mon role with money arrangement activities, and have strapped for payment of more straight connection in retirement time, including   presentation a range of over-the-counter speculation products in years yet t o e (Smith, 2016) Brian, G. (2005).The evolving structure of Australian financial system. Retreived 03 Jan 2016   from https://www.rba.gov.au/publications/confs/1996/pdf/edey-gray.pdf Henry, K. (2011).Australian system. Retreived 03 Jan 2016   from https://www.treasury.gov.au/PublicationsAndMedia/Publications/2011/Economic-Roundup-Issue-1/Report/The-Australian-banking-system-challenges-in-the-post-global-financial-crisis-environment Financial Stability review. (2006).Australian system. Retreived 03 Jan 2016   from https://www.rba.gov.au/publications/fsr/2006/mar/struct-aus-fin-sys.html Irvine, H. (2007).Australian bank. Retreived 03 Jan 2016   from https://ro.uow.edu.au/cgi/viewcontent.cgi?article=1347&context mpapers Smith, M. (2016).Australian banking license. Retreived 03 Jan 2016   from https://finsia /news/news-article/2016/12/08/how-to-get-a-banking-license Australian Prudential Regulation Authority. (2016).Australian banking license. Retreived 03 Jan 2016   from https://www.apra.gov.au/adi/Documents/ADI-Guidelines-11-4-081.pdf

Wednesday, November 20, 2019

Vulnerabilities Research Paper Example | Topics and Well Written Essays - 500 words

Vulnerabilities - Research Paper Example Certificate Authority (CA) and is considered to be the most efficient control in terms of email security (Ellison & Schneier, 2000). In case of secure email, one has to make sure about the sender possessing the key is the one who is the authentic sender. Likewise, when signed email is verified, one of the checks includes the source of the email i.e. the sender. However, if encryption is applied to the public key infrastructure, there is a requirement of identifying people possessing the relevant key to decrypt the message (Ellison & Schneier, 2000). This is the point where email certificates starts to operate, as the certificate ID is a digitally signed message from the CA that is transmitted to the user linked with the public key. However, the (PKI) possess many risks that may lead to vulnerabilities and in the end threats. One of the risks incorporates a breach of keys associated with the signer via unauthorized access or by any other means (Ellison & Schneier, 2000). However, efficient Certificate Authorities can mitigate risks by en effective physical security, personnel security and secure network. Pretty Go od Privacy ‘PGP’ counters these issues as well by incorporating ‘Web of Trust’ including self-governing signatures linked with the single certificate (Ellison & Schneier, 2000). Moreover, for addressing internal security, monitoring of employee emails is a regulatory requirement. However, there are many procedures, tasks and functions associated with it. The requirements can be met by utilizing tools from outlook express that are capable of retrieving certain keywords used in the email. For example, the keyword ‘account’ can retrieve all emails including this specific word. (Bhatnagar, 2012). However, these outlook tools only work individually on each workstation and can be solved by incorporating Microsoft Exchange server. As the server will retrieve all emails of all employees containing the specific

Tuesday, November 19, 2019

Role of Allied Professional Essay Example | Topics and Well Written Essays - 750 words

Role of Allied Professional - Essay Example However, the pharmacist may refuse to honor such prescription, if in his or her own judgment as a professional pharmacist find that, honoring such prescription may result to total violation of the law. Secondly, the pharmacist may refuse to honor Doctor’s prescription if the drugs prescribed may jeopardize the life of a patient by creating an addiction. In addition, the pharmacist may refuse to honor such prescription if it violates the interest of a patient. Further, the pharmacist has a professional duty of exercising professional duty in ensuring the best interest of patient’s health. Pharmacist also a responsibility of providing counseling guidance to patients on the risk associated with the drug if it is not properly utilized (Buerki & Vottero, 2002). Based on this case it can be observed that the pharmacist observed some of those responsibilities as required by the law. For example, when the Plaintiff/ patient (Patrick McLaughlin) delivered the prescription from Doctor Edwards, the pharmacist (Kathy ODell and Craig Merrick) honored the prescription as ordered by the Doctor. However, he failed to exercise his responsibility by supplying more drugs to McLaughlin despite the fact that the records indicated that McLaughlin had consumed more propoxyphene drugs than required. Further, he failed to caution the patient of the health risk that could result if he consumes an overdose (Legal Inc, 2013). I agree with the court findings in favor of Hooks because, Hooks was not a direct causation of the injuries sustained by Patrick McLaughlin. In addition, Hooks was not attributed to McLaughlin attempts to commit suicide. Secondly, the pharmacists were within their line of professional duty by observing the prescription recommended by the Doctor. In addition, the case was decided based on the principle of Stare decisis. Whereby, the same precedent used in the previous cases was followed. For example, the ruling for this case made based

Saturday, November 16, 2019

Important information Essay Example for Free

Important information Essay Unstructured Interviews are a method of interviews where questions can be twisted or adapted to meet the interviewee intelligence, understanding or belief. They do not offer a limited, pre-set range of answers for a respondent to choose from as by structured interviews, but instead like listening to how each individual person responds to the question. â€Å" The emphasis here is on acquiring deep knowledge and authenticity of peoples life experiences â€Å" (Gubrium and Holstein, 2001) . Unstructured Interviews have a lot of set backs as compared with structured interviews, which make this stlye invalid and unreliable,some of these are ; . Unstructured interviews are time consuming as the conversation can go on and on,there is interviewer effect, this is when the interviewee answer is effected by the interviewer presence of the due to either his/her race, ethnicity, colour, or answer to certain questions, the information collected is prone to digression and much of the data collected could be unnecessary,unstructured interviews are usually small scale so it is hard to generalise with the results as only a small number of the interviewees can be interviewed, data collected is hard to categorise as there is likely to be a variety of different answers, coding will require more work when choosing categories for the respondents. Unstructured interviews has continued to be used by many employers since the data collect is said to be valid as it is an exact account of what the interviewee has said, the interviewer can also find out important information which didnt seem relevant before the interview and ask the interviewee to go further into the new topic,unstructured interviews are also more suitable for sensitive subjects such as domestic violence† (http://en. wikipedia. org ) as many people would lie in a more formal interview and also their answer may not be on the preset questioner . â€Å" Often, the subject matter is personal, intimate and emotional, and the objective is to achieve some kind of deep disclosure â€Å"(Johnson, 2001) In general structure or unstructured interviews depend wholely on the the interviewer Refference 1) http://en. wikipedia. org 2) (Gubrium and Holstein, 2001) . 3) â€Å"(Johnson, 2001).

Thursday, November 14, 2019

The Mayor Of Casterbridge Essay -- essays research papers

Literature: The Mayor of Casterbridge   Ã‚  Ã‚  Ã‚  Ã‚  Can it be said that Henchard's downfall is all due to 'some great error?' Some may believe that it is a penance for selling Susan, but this would be to take Newson out of the equation, who, it must be said, is just as guilty of this act as Henchard. I believe that Henchard is totally blameless for his downfall, to use a bad pun that will become apparent later, it is in his nature. It is my belief that Henchard is a personification of nature. It is obvious that his life has completed a revolution but when you look closely, you can see that Henchard's life resembles the seasons.   Ã‚  Ã‚  Ã‚  Ã‚  Our first image of Henchard is one of winter, his clothing is described as '…a short jacket of brown corduroy…white horn buttons…and a straw hat overlaid with black glazed canvas.'; Black, brown and white conjure images of the countryside in the heart of winter for me. Hechard's life is in a rather bad point but things start looking up when he sells Susan, it is at this point that he moves into spring. We are told little of what happens between Susan's sale and when she comes looking for him but I would say that during this period Henchard passes through spring as he gives up liquor and moves into summer when he becomes mayor. When we next see Henchard he is on the brink of autumn, his progression down through the social strata is very autumnal as his creeps, inch by inch, t...

Monday, November 11, 2019

Recruitment, selection and training in the service sector Essay

1. Introduction Organisations have changed and are changing as a result of a focus on the customers. It is now recognized that meeting customer needs is the base of any successful organisation. There may be a pressure to improve shareholders value, increase profit but it has recognized that the key is to achieve these objectives is to satisfy the customers. As W R Scott (1987) pointed out ‘However, organisations are not closed systems, sealed off from their environments but are open to and dependent on flows of personnel and resources from outside.’ Managers need to understand their customers in order to meet those customers’ needs better. To meet customer needs as well as possible a company needs to provide goods and services: †¢At lower cost †¢At maximum customer satisfaction †¢With competitive advantages. The guest satisfaction starts at recruitment with: †¢Recruit the right staff †¢Train and motivate them †¢Empower them to deliver guest satisfaction †¢Appraise, develop and incentive them. 2. Service industry characteristics The service industry is special because: †¢The service is delivered by people to people †¢The service is produced and consumed at the same time †¢Customer’s perception of service quality linked to morale of front-line staff. Characteristics of services: †¢Perishability †¢Contact dependency †¢Inseparability †¢Variability †¢Lack of ownership †¢Intangibility †¢Simultaneity As Macken (1997) suggests: ‘Recruiting people who are wrong for the organisation can lead to increased labour turnover, increased costs for the organisation, and lowering of morale in the existing workforce.’ 3. The Recruitment and Selection process The process of recruitment and selection are closely linked. Both activities are directed towards obtaining employees with the requisite competencies and attitudes, and recruitment activities lay the groundwork for the selection process by providing the pool of applicants from whom the selectors may choose. According to Foot and Hook (2008, p.142-143) Recruitment can be defined as: †¢All activities directed towards locating potential employees †¢Attracting applications from suitable candidates Aims of the recruitment process: †¢To obtain a pool of candidates for vacant posts †¢To use a fair process and be able to demonstrate that the process was fair †¢To ensure that all recruitment activities contribute to organisational goals and a desirable organisational image †¢To conduct recruitment activities in an efficient and cost-effective manner. Most human resource management issue can be analysed in terms of legal, moral and business consideration: †¢Legal – to comply with anti-discrimination legislation ?Sex and race ?The Sex Discrimination Act 1975 (amended 1986) ?The Race Relation Act 1976 (amended2003) ?The Employment Equality Regulation 2003 ?Disability ?The Disability Discrimination Act 1995 ?Age Diversity ?The Employment (Age) Regulations 2006 †¢Moral – to avoid unfair discrimination for moral reasons as well as legal reasons †¢Business – to ensure that all effort is directed towards achieving corporate goals. A planned and systematic approach To be able to select the best available staff in the first place and to retain them we need a planned and systematic approach. By Mullins (2002, p.739) such an approach involves at least five main stages: †¢The need to know about the job to be filled †¢The need to know about the type of person to do the job †¢The need to know the likely means of best attracting a range of suitable applications †¢The need to know how best to assess the candidates’ likely suitable for the job †¢The need for induction and follow-up. The first step in the recruitment procedure is the job analysis, which is a process of gathering together all data about an existing job, which activities are performed and what skills are needed. There are some basic data to include by Foot and Hook (2008, p.147): †¢A description of the duties performed †¢The most important or responsible duties †¢Time spent on each duty †¢How often each duty is performed (daily/weekly/monthly/annually) †¢Levels of supervision/independence †¢The skills and skill levels needed to perform each task †¢Any special conditions related to the performance of these tasks. The collected data are then structured to create job descriptions and person specifications. These documents are essential as a basic framework for recruitment and later selection; as the basis of employment contract; as the evidence of a fair process. The job description explains the total requirements of the job; sets out the purpose of a job, where the job fits into the organisation structure, the main accountabilities and responsibilities of the job and the key tasks to be performed. Commonly used elements are: †¢Job title †¢Reporting structure: ?Responsible for ?Reports to †¢Nature and scope †¢Purpose of the job †¢Principal accountabilities †¢Major duties and responsibilities †¢Employment conditions Each organisation can decide what factors should be included depend on the nature of the business. The person specification is a document that outlines the knowledge, skills, personal attributes or qualities a person need to be able to perform well. Requirements can be categorised as ‘essential’ or ‘desirable’. Several models of person specifications are available. Most widely known are Alec Rodger (1952) and Munro Fraser (1978). Rodger’s seven point plan which describe people in terms of: †¢Physical make-up (physical requirement) †¢Attainments (education and training) †¢General intelligence †¢Special aptitudes ( verbal, numerical and diagrammatical abilities related to the job) †¢Interest †¢Disposition (job related behaviours such as persuasiveness) †¢Circumstances (only job related such us availability for shift work) The criteria suggested by Fraser’s five-fold framework: †¢Impact on others †¢Qualifications and experience ( education, training and skills developed through work experience) †¢Innate abilities (Similar to intelligence in Rodger’s plan) †¢Motivation †¢Flexibility and emotional adjustment. It is very important to know where suitable applicants are likely to be found and how to make contact with them. The attracting of suitable applicants will depend on the nature of the business, the position to be filled and the urgency of need. Potential sources: †¢Employment service job centres †¢Career advisory offices †¢Private employment agencies/ recruitment agencies †¢Professional and executive appointments registers †¢Ã¢â‚¬Å"Headhunting† or executive search †¢Internet recruitment/ recruitment websites †¢Advertising The form of applications will vary from organisation to organisation and with the nature of the position to be filled. Examples: †¢Letters of application †¢Handwritten submission †¢Curriculum Vitae (CV) †¢Specially design application †¢Standard application form †¢Personal call †¢Preliminary interview. Selection is the assessment of candidates for vacant jobs and the choice of the most suitable people. The methods of selection involve the short-listing of applicants and it should include an interview. The face-to-face interviews still the most popular method of selection, even though research studies have found interviews to be poor predictors of future performance in a job (Makin and Robertson, 1986).

Saturday, November 9, 2019

First impressions Essay

In my opinion it is your first impression of something that ultimately gives you the perfect vantage point in which to accurately assume the true nature of something. Your notion of this something is then unaffected or swayed by any outside sources or by second guessing yourself. Upon first experiencing this first time offered course, I immediately felt right at home concerning the direction in which the course was headed and also with the enthusiasm and involvement of the professor. The first class began as any other, anxiously awaiting an unknown professor and the educational information he bears. With a proverbial collective sigh of relief, the class was greeted with a pleasant professor offering a most interesting lesson plan on the writing in the discipline of psychology. After welcomed introductions class was underway and a new appreciation for my major was attained. Our first homework assignment required us to read and analyze an article entitled â€Å"Making Science Understandable to a Broad Audience† by Richard Reis. The article portrays the notion that we as those in search of educational advancement must accommodate the manner in which we write for individuals many whom are otherwise unaware. This piece I believe sets the tone for this course in its entirety and my perceptions as to what is seeks to achieve, in that to truly know and understand an idea or concept one must have the ability to correctly perceive and present information of the utmost importance to the vast majority. Throughout my college career I have strived to put forth my best effort and achieve a great standing in all my courses. I plan on not doing any different here, so upon perusing the course syllabus I noticed many assignments wherein groups were involved. In my past experience, sadly I have had many instances in which fellow group members became ‘clingers’ to my dedicated work whilst I labored on it. Assignments listed as anything prefaced by the dreaded utterance â€Å"Group,† made me question my position here. Despite my reservations I believe that those fellow students in my class are just as dedicated as I and wish to succeed just as much. Without further explanation of the group work involved, much of it looks fairly familiar to projects that I have done in past classes both in college and high school concerning poster presentations and literature reviews. My worries, other than those aforementioned, lie in the â€Å"Individual Components† of the course description and what they might entail. At least for me, when work pertaining to that of doling out constructive criticism is required I simply feel inadequate in telling others how to go about their work. Other than that one hiccup, the rest of the work to be done individually seems common or at least manageable. In the past I have kept a record or journal of daily events of significance, in that I can see doing well in keeping a research journal. Being accustomed to modern times and technology use should help serve me in using the â€Å"Learning E-Portfolios,† and submitting assignments online. My major is in psychology and therefore have read extensively on the subject as well as taken previous writing courses, all of which will hopefully aid me in doing well this semester. I feel as though this course will play towards my strengths and will be successful overall. Although, I do not expect to go without surprises, I trust this course to challenge my writing ability as well as my grasp on psychology ASSIGNMENT REFLECTION FORM 1. How would you describe your experience in working on this assignment (Was it difficult to begin? Did the ideas come easily or with difficulty? What obstacles did you face in the process of writing? How long did it take you?)? A: As with any paper, I found it slightly difficult to begin because I enjoy taking the time to organize my thoughts into a cohesive and coherent piece. In the writing process I found it difficult to completely fulfill the requirements in that the book contained in the courses required reading section had been backordered and in an attempt to continue, I had purchased a copy on Amazon.com and am sadly still awaiting its arrival. From beginning to end this essay took me around two hours to complete in its entirety. 2. What do you see as the strengths of this paper? A: I believe the strengths of this paper to be my honesty involving the course. It may or may not help with improvements and or changes in future assignments and course direction. 3. What do you see as areas for improvement in the paper? A: Not to sound clichà © but I believe that all papers still require improvement. No matter how many edits or drafts it takes there will always be one idea or point that may have been over expressed or a central one that had been simply left out completely. I may need to improve upon my ordering or overall flow of my paper to achieve a better read. 4. What did you learn (about yourself, the subject, writing, or reading) from doing this assignment? A: While writing this piece I learned that I truly enjoy expressing myself through writing. Although I consider myself to have a limited vocabulary I find nothing more exciting than to surprise someone with my work.

Thursday, November 7, 2019

Lead Acetate in Hair Dyes essays

Lead Acetate in Hair Dyes essays The title of my project is A Quantitative Analysis of Lead Acetate in Progressive Hair Dyes. Hair dyes are separated into 3 basic categories: permanent, semi-permanent, and temporary. Temporary dyes can be washed out instantly. As of now, permanent hair dyes are the most popular. They are sub-divided into oxidation hair dyes and progressive hair dyes. The active ingredient for progressive hair dye products is lead acetate. In the U.S, the current regulation says that lead acetate can be used as color additive for hair coloring as long as the concentration is less than 0.6%. The most noticeable difference between oxidation and progressive hair dyes is that progressive dyes are intended to give a more gradual change in hair color Hair dyes work more like paint by covering hair strands with chemical colors or by mixing with the melanin fragments without altering them. In these metallic dyes, it acts as a mordant. As the solution is rubbed on the hair, it penetrates each strand and the Pb2+ ions react with sulfur atoms in the proteins to form black lead (II) sulfide (PbS), which are dark pigments. Lead acetate acts as a carcinogen, and if large amounts or continuous amounts are inhaled, can be hazardous. It is toxic by inhalation or ingestion and the effects are cumulative. Lead damages the nervous, circulatory, reproductive, and nervous systems and this particular form of lead can penetrate the skin and damage the kidneys. Children are the most vulnerable to lead poisoning. There are no childproof caps on the bottles and if it is spilled, unintentional exposure may follow. For example, individuals who lick their fingers or eat after their hands after contamination would ingest the lead acetate. Lead is mainly a threat to young children because they can suffer brain damage and other problems after ingesting even small amounts. However, the FDA allows these dyes to be made with lead acetate because studies found it un...

Monday, November 4, 2019

Greenhouse Business Challenge and Carbon Footprint Assignment - 1

Greenhouse Business Challenge and Carbon Footprint - Assignment Example For brand protection, the company ensures that all their products are free from any form of toxic material that may cause harm directly to the user or even indirectly by first implicating on the environment and subsequently on the user. These materials are not only toxic to the consumers but also lead to a low lifespan of the products and thus the company shareholders work to ensure that several elements are not present in the products. These elements include lead, polyvinyl chloride, mercury and Brominated Flame Retardant (Jackson, 2012, 7). The best description for the Apple carbon footprint is by identifying the manner in which it is determined. For the company, a comprehensive life cycle analysis is put in place to assist in acknowledging the source of greenhouse emissions. The carbon footprint for Apple has received a lot of response from many people including long life shareholders who have committed themselves to the purchase of Apple products (O’Grady, 2008, 133). Most shareholders are afraid of the contemporary plan of incorporating cloud computing to the new generation i-pad. The processes that will bring around cloud computing will involve the purchase of other gadgets that will lead to increased global warming from them and as an end result in environmental degradation (Wharton, 2012, 8). The best practice that the company has incorporated in the manufacture of their commodities is the minimization of growth impact. The company has done this by ensuring that its commodities cause less harm through improving the environmental performance of its products. This has been done through packaging them in small-sizes, there is also the use of materials that are both energy saving and fit for recycling.  

Saturday, November 2, 2019

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

Physiology - Essay Example The reason is that at higher altitudes, there is lesser amount of oxygen for the body and muscles. Therefore, the excess oxygen will help avoid the early production of lactic acid and keep heart rate lower even when the athlete is working harder at sea level. (Smith, 2005) The trick to high altitude training is a process known as acclimatization. This means that athletes must give time to their bodies to get used to the increase in altitude, and decrease in oxygen levels in the atmosphere. For instance, when an athlete reaches, say 5000 feet, he must spend some days there so that the body acclimatizes to the conditions present there before moving on to higher altitudes. After acclimatization to higher altitudes, when the athlete returns back to sea level, his endurance level and performance is better. As the oxygen levels at higher altitudes decrease, there are a number of changes that the body undergoes in the process of acclimatization. Firstly, the depth of respiration increases. The pulmonary arteries go through an increase in pressure, forcing blood into those parts of the lung which are not utilized under normal circumstances. (Curtis, 1999) Along with increasing the production of red blood cells to carry oxygen, the body also steps up the production of a specific enzyme that eases the discharge of oxygen from hemoglobin to the body tissue. (Curtis, 1999) As we know, the air in the atmosphere consists of 78% nitrogen, 21% oxygen and 1% water vapor, carbon dioxide and other gases. This is the proportion of gases you inhale during normal breathing. However, 6% of oxygen is breathed out together with carbon dioxide and other waste products. (Science Fair 2003: Does Exercise Affect the Amount of Carbon Dioxide Exhaled, 2003) During exercise, the body needs more energy which is provided to it through the chemical reaction of oxygen and glucose. This, in turn, means that during exercise, the body needs more