Wednesday, October 30, 2019

An evaluation of the impact of immigration on Social Cohesion in Essay

An evaluation of the impact of immigration on Social Cohesion in present day Britain - Essay Example Only 8 of the respondents representing 15.38% were dissatisfied with their financial situation while 28 (53.85%) were satisfied and another 4 (7.69%) were very satisfied. Fifteen (28.85%) of the respondent agreed that Britain provides adequate financial assistance to citizens while 16(30.77%) were neutral and 12 (23.17%) disagreed with 11 disagreeing and 1 strongly disagreeing. Nine of the respondents (17.31%) did not know. Nearly half (24 representing 46.15%) of the respondents thought that the number of immigrants in Britain were acceptable. Thirteen (25%) thought there were too many immigrants in Britain, 4 (7.15%) thought the number of immigrants in Britain were too low and 11 (21.15%) had no opinion or did not know. A majority of respondents thought that immigration was good for Britain (4 strongly agreeing [7.84%]; 18 agreeing [35.29%]) while 13 (25.49%) were neutral and 12 (23.53%) disagreed and 1 (1.96%) strongly disagreed. Three (5.88%) did not know. From the respondents’ perspective, immigration, social issues and education were the main issues effecting Britain today. However there were 13 items that the respondents were able to choose from and there were nearly evenly divided (See Figure 1 below). A majority of the respondents had neutral attitudes toward immigration (21 representing 44.46%) and 20 representing 44.44% had positive attitudes. Only 2 of the respondents (4.44%) and another 2 were negative or did not know. A majority of the respondents (2 [4.44%] strongly agreeing; 26 [57.785] agreeing) that the UK was land of economic opportunity). Seven (15.56%) were neutral, while 9 (20%) disagreed and 1 (2.22%) strongly disagreed. The results of the survey demonstrate that there is a significant shift on the public’s attitudes toward immigration. Previously, national polls had progressively demonstrated a negative attitude

Monday, October 28, 2019

Poverty In United States Essay Example for Free

Poverty In United States Essay United States of America being among   Ã‚  the richest and most developed nations one would expect poverty to be a vocabulary that only exist in the national policies of third world countries.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   By comparison Americans can be described as wealthy but there are some pockets of poverty in this vast and rich nation This paper attempts to explore poverty situation in United States highlighting its causes and characteristics, digging deeper to understand which group of people consist the poor.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   A report released in 2002 shows that there were 35 million poor Americans, this represented roughly 10% of the population, and this figure has been rising Presently 12% of Americans are living below the poverty line.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   By definition poverty is described as that condition where one is unable to meet the basic need in life, that’s one, can not afford a well balanced meal, decent housing and clothing. Poverty in United States is somehow different from the one experienced in least developed nations where living on less than a dollar qualifies one as poor. The poor in America constitute people who depend on state welfare since they are unable to provide for themselves, every year people fall in and out of poverty.   In a period of 10 years 40% of American fall in and out of poverty, this is attributed to fall of their income, when one of the family member moves out, among other situations (Fisher, G.M., 2003)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Some groups of people are more prone to poverty than others. This depends on their economic social or cultural position they occupy in the society. There are those who are unemployed meaning they do not engage in any income generating activity. Crime on one hand is a result of poverty or it can breed poverty. Poor tend to engage into criminal activity or they are driven into it by poverty. Apprehended criminals in correction centers rarely engage in economic activity while victims of crime e.g. thefts have to replace the stolen property eating on their savings. (Zweig, Michael, 2004)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Households headed by women on average tend to be poor in comparison to those with both spouses. In this type of a family woman is the sole bread winner. Most of her income goes towards provision of basic needs with less or no savings therefore making it difficult for this family to rise beyond poverty line (Martin N.,2008).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The size of the family affects family income, large families have more mouths to feed, more household bills to clear, huge spending in insurance, education and healthcare. If this type of family income is not enough they will for ever be trapped in poverty cycle.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Other groups that are likely to be poor are the unskilled, the less educated substance abusers immigrants and children.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Causes of poverty in America are several they range from economical, cultural, and geographical to social. . Distribution of resources largely affects people ability to produce. This also determines employment opportunities available which by and large dictates people incomes. States endowed with resources will have low poverty rates than those with little or unexploited resources. (Adams, J.Q, Pearlie S.A, 2001)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Economic condition which is not favorable will result to increased poverty rate, recessions leads to rise in inflation which means people pay more for the same goods they were buying but their income remains constant, and this means savings are curtailed. For example recession in 1982 led to rise in poverty rates from 12% to 15%   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚     Education equips Americans with skills that enable them to gain employment or venture into business. On average Americans with a college diploma have access to high paying jobs compared to the less educated. To a greater extent educational level determine ones income, less educated are likely to earn less making it impossible for them to afford a decent living. On the same line education level dictates opportunities available to an individual. Unskilled labor attracts low pay making unskilled laborers more prone to poverty than their skilled counterparts.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Rural and urban settings provide greater disparities as far as living standards are concerned. Americans living in urban areas have higher incomes when compared to their rural countrymen. There are more opportunities in urban areas due to high population with disposable income and better infrastructure. In rural areas opportunities are few and are limited to primary production e.g. agriculture, mining e.t.c.This means income generation activities and employment opportunities are fewer and only attract the less skilled   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Regionally, most of the southern states have higher poverty rates especially the rural areas .This is due to few employment opportunities and historical background.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Children are more prone to be poor than any other age group. According to the information released from population survey by census bureau in 2004, 21% 0f children were considered as poor. A greater disparity is seen when it comes to racial lines, almost half of African Americans and 40% of Latino kids are trapped in poverty circles. (Harrington, M.,1962).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Immigrants are great victims of poverty .Those with low education earn their living in low paying jobs. Illegal immigrants are even more disadvantaged as they can not gain any meaningful employment, therefore remaining in poverty circles for a long time   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In conclusion, poverty in United States is dynamic, one may be in and out of poverty throughout their lives. Though there are conflicts as to who is poor, there is a common understanding that those who live on an income that is below what an average American earn is living below poverty . What constitutes poverty in United States may be middle class in some parts of the world especially in least developed nations. Poverty is a limiting factor in the society as it denies some Americans decent lives curtailing their freedom to enjoy lives. Policies need to be implemented to lower the poverty rates so as to rid United States of poverty. Reference Adams, J.Q.; Pearlie Strother-Adams, 2001. Dealing with Diversity. Chicago, IL: Kendall/Hunt Publishing Company. . Harrington, Michael ,1962 The Other America. Macmillan. Fisher, G.M. ,2003 The Development of the Orshansky Poverty Thresholds. Macmillan Zweig, Michael ,2004 Whats Class Got to do With It, American Society in the Twenty-first Century. ILR Press. Martin N. ,2008. Social Inequality: Patterns and Processes, 4th ed.. Boston: McGraw-Hill

Saturday, October 26, 2019

Full Body Scanners Do Not Lead to Safer Travel Essays -- Airport Secur

Why should anyone including my 3-year-old daughter unnecessarily be exposed to cancer causing X-ray beams in a full body scanner? Or have a total stranger run his or her hands up and down my daughter's body for a full pat-down upon refusing the scan? Most enraging is that the scan can be done without my knowledge. Full body scanners should not be used in United States airports. The Transportation Security Administration (TSA), on November 20, 2010 implemented the use of 385 scanners, otherwise know as advanced imaging technology in 68 airports to include Denver International Airport. The TSA is using these machines supposedly to ensure safer travel and be steps ahead of security threats. According to the TSA, as a preventive measure, scanners where rapidly deployed after Umar Farouk Abdulmutallab's failed attempt at blowing up an aircraft with pentaerythritol tetranitrate, or PETN sewn in his underwear December 25, 2009. Former Homeland Security chief Michael Chertoff claimed that if Abdulmutallab had gone through screening or a full pat-down, the explosives would have been discovered (Eggen, DeYoung and Hsu 2). The TSA also claims that not all explosives or explosive devices can be detected through metal detectors. The scanner machines cannot detect explosives such as the type that Abdulmutallab had concealed. Abdullah Ansieri had a detonator and explosives hidden in his rectum when he tried to kill Saudi Arabia's counter-terrorism chief, Prince Mohammed bin Nayef. Ansieri was Saudi's most wanted man and managed to get through two rigorous airport screenings and Saudi Secret Service, who defend royals by any means necessary. Professor Clive Williams a counter-terrorism expert of the Australian National University said the mac... ...he-real-radiation-risk-of-the-tsas-full-body-x-ray-scans/> 5. Bell, Jason. â€Å"Review of the TSA X-ray backscatter body scanner safety report: hide your kids, hide your wife.† My Helical Tryst, blogspot.com, 22 Nov 2010. Web. 1 Dec 2010. 6. â€Å"You asked for it...You got it, Millimeter Wave images.† blog.tsa.gov. TSA 09 May 2008. Web. 1 Dec 2010. . 7. "Are Full Body Scan Images Saved? Issue Challenged In Federal Court...† wgrz, Buffalo, 06 Aug 2010. Web. 1 Dec 2010. . 8. Meserve, Jeanne, and Mike M. Ahlers. â€Å"Body scanners can store, send images, group says.† CNN 11 Jan 2010: 1. Web. ! Dec 2010.

Thursday, October 24, 2019

Food Nation Essay

Food connotes more than just an intake to be able to sustain life. It is a reflection of a myriad of culture existing in a society. Looking at food, one can see its various fusions of cultural identities prepared to satisfy one’s appetite. Food is a perfect example of a world that enters into the process of globalization where nations embrace the flow of cultural exchange. Countries such as the United States and Italy are known for having diverse demographics. The diversity of its population brought influences into their food as well. However, although both countries may have fused each other’s culture into their food, there are still differences which make them distinct from each other such as how they handle and view food. The United States is one of the largest countries when it comes to its size and population. It has a wide variety of immigrants which flowed starting from the nineteenth century and as its population continues to grow, its culture has been as dynamic as its food (Counihan, 2002, p. 26). Large part of these immigrants later joined the American workforce as every parent became employed. The absence of either the mother or the father at home veered the majority of the population away from home-cooked meals. Eating out became an alternative for families to have their meals together and eating out means buying food from a restaurant (Schlosser, 2001, p. 4). From this concept of eating outside the confines of a home, the fast food world was born. The term â€Å"fast-food† refers to a speedy availability of food, further described as a â€Å"provision of limited, standard menu with quick service† (Royle & Towers, 2002, p. 190). Fast food became not just a way to fill skipped meals at home but it turned out to be a lifestyle. The United States initially became known for its fast food because of the rise of popular food chains such as McDonald’s and Burger King. Its convenience of having ready-made food suits the lifestyle of people especially those who go to work early and go home late. Since there are a large number of working people in the United States, they flock to these restaurants to eat. Foods are being prepared in bulks to anticipate the huge numbers of customers. Most ingredients provided are delivered frozen. Cooking methods involved one or a couple of processes to guarantee its speed. Assembling ingredients in a line system like burger patties will be able to cook a dozen of it at the same time (Schlosser, 2001, p. 69). Some of the food ingredients only require adding hot water and it’s ready for preparation. Fast foods are usually packed in paper wraps, foil, and cartons. The materials of these wrappings are disposable which suites the people on-the-go to eat the food wherever they are. Despite the convenience brought about by fast food, healthier ingredients are being given up. As previously mentioned, ingredients are frozen which indicates that these are not fresh and devoid of its natural healthy components with much more added fats. Since Americans are busy with work with no time to prepare food for them, fast food becomes the next available fast option. Italians, on the other hand, became the center of what should be a counterpart of fast food. A country rich in culture, its food gained renowned identity throughout the world. Just like in the United States, Italian food is a lifestyle. It is a lifestyle which extends to close interaction with families and friends in a laid-back environment dining and drinking wine (Parasecoli, 2004, p. xii). The relaxed atmosphere among most Italian household can be seen as a break from the political and social unrest that reign the Italian state during history. Italian food is famous for the cheese, the wine, and the pasta. Made from a wide array of sea foods, vegetables, and meat; Italian food is prepared picking up the fresh ingredients and served as a craft of art. Ricotta, for example, is bought by locals straight from a shepherd on the day it is made (Harrison, 1989, p. 17). Italians regard their food not just as an energy provider but as a â€Å"medicine for the soul, one of life’s abiding pleasures† (Harrison, 1989, p. 17). Most of the Italian foods are cooked in accordance with traditions and the food preparation varies from the different regions of Milan and Florence (Harrison, 1989, p. 143). Taking this traditional view of Italian cuisine, a movement was established to retain not just the traditional cooking of the Italians but also all traditional cuisines of the world. The Slow Food movement is originally established as a counterpart of fast food. The idea of this movement is to make food from â€Å"scratch in your own kitchen† (Kummer, Cushner, & Schlosser, 2002, p. 10) rather than the processed artificial food at fast food chains. Just like Italian food, the movement aims to take food as a pleasurable experience offered by life in contrary to fast foods (Pollan, 2008, p. 194). The Slow Movement suggests making food out of ingredients that are ideally grown in the backyard or farms, harvested, and cooked with other natural recipes. The people who eat the foods are not only consumers but co-producers as well. Just like the Italian food, this movement also promotes the pleasure of food eaten and shared communally (Pollan, 2006, p. 259). Though this movement proved to be promising, some may say that in contrast with fast-food, the Slow Food Movement is more expensive to obtain and to do. Since fast-food is more accessible and cheaper, the movement has been tagged as elitist and cannot be afforded by ordinary people (Kummer, et al. , p. 10). By its term of â€Å"slow-food,† this may not suit the lifestyle of most people coming from the working class due to the lack of time for food preparation. United States and Italy vary from the way they live their life with food. Though nowadays, some of their own cuisines have been inspired from one another. Their views of food have a huge gap as the two nations came from different backgrounds and developed cultures that set them apart from each other. Their cuisine style and food preparation became significant in the world today and though different in principles, people enjoy it nonetheless. References Counihan, C. (2002). Food in the USA: A Reader. New York: Routledge. Harrison, B. G. (1989). Italian Days.New York: Atlantic Monthly Press. Kummer, C. , Cusner, S. , & Schlosser, E. (2002). The Pleasures of Slow Food: Celebrating Authentic Traditions, Flavors, and Recipes. USA: Chronicles Books. Parasecoli, F. (2004). Food Culture in Italy. Connecticut: Greenwood Publishing Group, Inc. Pollan, M. (2008). In Defense of Food: An Eater’s Manifesto. New York: The Penguin Press. Royle, T. & Towers, B. (2002). Labour Relations in the Global Fast-Food Industry. New York: Routledge. Schlosser, E. (2001). Fast Food Nation: The Dark Side of the All-American Meal. New York: Houghton Mifflin Books.

Wednesday, October 23, 2019

Immortality

Possibly one of the greatest achievements in life is to attain immortality. Generally, immortality means being able to have eternal life or sustain life for an infinite amount of time. However, for a lot of people, the word can have different meanings if it is viewed from various perspectives. For soldiers or heroes of war, the only way to attain immortality is through fighting in the battlefield. However, contrary to the purpose of immortality which is to sustain life, for soldiers or heroes of war, death is another way to become immortal. Basically, more than receiving honor and glory after a battle or a war, it is also important for soldiers to be remembered. And for some, the best way to do this is to die honorably. Dying in the battlefield makes soldiers heroes almost instantaneously as they are given medals and other posthumous recognitions. Although they are no longer alive, the names and accomplishments of the soldiers who die valiantly and honorably are always glorified and in effect, this makes them immortal. In other words, soldiers who die in battle become immortal as their names are forever imprinted in history. On the other hand, other people believe that immortality can only be attained if they remain young. In this aspect, the concept is that if one stays young, he or she will not acquire age-related diseases or sicknesses which could cause his or her death. While there are a lot of methods and ideas being used to preserve one’s youth, most of them only have temporary effects. For example, one of the most conventional methods to stay young is exercising as studies show that this promotes good circulation of the blood in the body which subsequently results in good health. Although this method does not make a person immortal, it sustains his or youth for a short period of time. However, aside from conventional methods, some people believe that one way to attain immortality is through supernatural or magical means. One example is the legendary fountain of youth which is a spring that restores the youth of any person who drinks from it and is believed to be located in Florida. While modern day society has dismissed the existence of this fountain, certain people still believe in its youth-restoring effects and even drank the water themselves. Moreover, according to the basic concepts of most religions, people are immortal as they possess in them souls or spirits, which never cease to exist. For example, in Buddhism, one of the strongest beliefs is that people go through a cycle of birth, death, and rebirth. Although Buddhists believe that there is no such a thing as an eternal soul, they still believe that after biological death, a person will still continue to live and attain eternal happiness. On the other hand, in Christianity, the strongest belief regarding immortality is that everyone who dies will eventually be resurrected depending on the â€Å"Final Judgment† of God. Based on this belief, those who are born again after the â€Å"Final Judgment† will live forever or attain immortality. However, for other people, one sure way to attain immortality is to publish a book. Whether it’s a novel, an autobiography, a reference material, the authors of these books can attain immortality as their thoughts and ideas are printed and read by people from all over the world. Even if these authors die, they will still continue to live on through their ideas and stories that have been published in their respective books. Furthermore, for some people, attaining immortality is simply being the first in accomplishing extraordinary feats. For example, Edmund Hilary, who recently died due to a heart attack, became immortal because he was the first to successfully climb Mount Everest. In reality, Hilary was an ordinary person. However, since he was the first to conquer the world’s tallest mountain, he was able to imprint his name in history books and attain immortality. Another venue to attain immorality is sports. In the world of basketball, Michael Jordan was able to achieve immortal status by being named â€Å"the greatest basketball player of all time† by the National Basket Association (NBA). Aside from his legendary stint in the NBA, Jordan has also become a highly successful brand name. Up to his day, kids and even professional basketball players from all over the world continue to idolize Jordan, which further solidifies his immortality. Furthermore, in sports, height is also another way of attaining immortality. In basketball, aside from his superb talents and numerous accomplishments, Magic Johnson is also remembered as the tallest point guard to ever play the game. On the other hand, Shawn Bradley is the tallest player to every play the game. Although in terms of accomplishments, Johnson outweighs Bradley, both their names are already imprinted in history books simply because of their heights. In this regard, fame is also another way of attaining immortality. Like in the case of Jordan, famous people such as rock stars, professional athletes, and actors, among others, are able to attain immortality by simply showcasing their skills and talents in their respective fields or specialties. However, for some, immortality is attained by simple passing on objects, lessons, and other things to younger generations. For example, a father has already attained immortality if he is able to pass on good values to his children, who in turn, pass on the lessons they have learned to their children. Even if the father dies, he will continue to live on through the lessons that he has passed on to his children. In short, immortality is not simply through prolonging life. It can also be achieved if one passes on memories, legacies, and lessons to future generations.

Tuesday, October 22, 2019

Part 1 of the Consumer Protection Act 1987 introduced Essays

Part 1 of the Consumer Protection Act 1987 introduced Essays Part 1 of the Consumer Protection Act 1987 introduced Paper Part 1 of the Consumer Protection Act 1987 introduced Paper Introduction: In this essay, I shall get down with an scrutiny of the jurisprudence prior to 1stMarch 1988, when Part 1 of the Consumer Protection Act 1987 came into force in the Law of England and Wales, placing the grounds for the origin of the Act and the subsequent intents of this reform-legislation. I shall so discourse the content of the Act with peculiar focal point on its range ; i.e. who can action, who can be sued, and what sorts of amendss are recoverable under the statute law etc. Having made this appraisal, I shall so measure to what extent the 1987 Act has made a important impact on the jurisprudence refering to faulty merchandises, and the place of both consumers and makers in the UK, and hence to what extent I agree with the hypothesis offered that â€Å"the impact of the 1987 Act upon makers has been far less drastic than they ab initio feared.† I shall reason this essay by critically measuring Part 1 of the Consumer Protection Act 1987, and asseverating to what extent I believe the Act has been successful in accomplishing its purposes. The place prior to the Consumer Protection Act 1987: Prior to the origin of the Consumer Protection Act 1987, the jurisprudence refering to liability for faulty merchandises was grounded in common jurisprudence, with makers liability being established for the first clip in the UK by the instance of Donoghue v Stevenson [ 1 ] , and the Sale of Goods Act 1979, s13, 14 and 15 of which imply certain footings into Sale contracts refering to a seller’s duties to sell merchandises which are fit for their intent and of satisfactory quality, failure to make so ensuing in contractual liability and awards of amendss for any losingss suffered as a consequence of such breach [ 2 ] , including those originating from harm to belongings, and more significantly, amendss for any resulting personal hurt [ 3 ] . This rigorous contractual liability for faulty merchandises meant that, in instances where a Claimant wished to action a merchandiser [ 4 ] for losingss originating from faulty merchandises sold, the function of Tort jurisprudence remained instead excess, claimants merely trusting on such an avenue where the marketer in inquiry had later become bankrupt, where they wished to trust on the longer restriction periods stipulated for claims of this sort, or where the claimant was in fact non a party to the sale contract, and as such was non, by virtuousness of the rule of contractual privity, entitled to action under the Sale of Goods Act 1979. In contrast, where a Claimant wished to action a maker for losingss originating from faulty merchandises sold by an intermediary seller, the lone possible avenue available would be line of instance jurisprudence routing from the instance of D v S. Such liability was fault-based in signifier, instead than being rigorous, and as such was deemed to be out of line with the bing jurisprudence in this country. Such calls for reform are non surprising if one considers the fact that the UK was, at this clip, in the thick of a by and large consumer-driven economic market, concerned with consumer protection and the inequalities which had been identified as bing between the consumer and the corporation, and a society preoccupied with rectifying this instability. At least four major reform proposals were put frontward between 1976 and 1985 ; viz. , the Strasbourg Convention [ 5 ] , the Recommendations of the Scottish and English Law Commissions [ 6 ] , the study of the Pearson Commission [ 7 ] a nd the EEC Directive 85/374/EEC. Arguably, it was preponderantly the latter of these paperss, which compelled the legislative to take reform of makers merchandise liability earnestly, and two old ages subsequently, in 1987 [ 8 ] , the Consumer Protection Act was born, Part 1 of which purports to supply consumers with statutory rigorous liability protection from makers who make faulty merchandises for retail in the UK market place ; this provides such consumers with an alternate class of action from the fault-based liability established by the instance of Donoghue v Stevenson in the civil wrong of carelessness. Before we begin to see how successful this Act was in accomplishing its purposes and what impact this piece of statute law has had on consumers and makers likewise, allow us foremost analyze the commissariats of the Act in some item: Part 1 of the Consumer Protection Act 1987 ; presenting strict tortious liability for faulty merchandises in the United kingdom: There are several facets of the statute law which we must turn to in order to determine its range. These are as follows: 1 ] Who can be apt under the Act? 2 ] What merchandises are covered by the Act? 3 ] Who can action under the Act? 4 ] What kind of harm is protected against by the Act? 5 ] What defense mechanisms are available to a qualified suspect, if any? 6 ] Can liability be excluded so that this Act has no impact on manufacturers/ manufacturers? Let us turn to each of these inquiries in bend: 1 ] Who can be apt under the Act? Part 1 of the Consumer Protection Act 1987 is designed to enforce liability on the manufacturer/ assembly program of a merchandise, and non on the provider, after all, there is already rigorous liability for such retail merchants under the implied footings of the Sale of Goods Act 1979. S2 ( 2 ) of the Act lists three classs of maker who may be apt under Part 1 of the Act. The first of these is the manufacturer of the merchandise, and ‘producer’ is defined under s1 ( 2 ) of the Act as: â€Å" ( a ) the individual who manufactured it ; ( B ) in the instance of a substance which has non been manufactured but has been won or abstracted, the individual who won or abstracted it ; ( degree Celsius ) in the instance of a merchandise which has non been manufactured, won or abstracted but indispensable features of which are attributable to an industrial or other procedure holding been carried out ( for illustration in relation to agricultural green goods ) , the individual who carried out that process.† Whilst this class seems pretty self-explanatory, it should be noted that where a merchandise causes harm due to a defect in a component portion of that merchandise, both the manufacturer of that constituent, and besides the manufacturer of the merchandise incorporating that constituent will be to the full apt for such harm under this Act. The consumer can take which individual to action, or can action both parties, although, by virtuousness of the philosophy of contributory carelessness, the entire amendss awarded will non transcend the value which would hold been awarded had merely one party been sued for the faulty merchandise, i.e. each manufacturer will pay a part of the amendss, the proportions of the several parts to be determined by the tribunal in conformity with the Civil Liability ( Contributions ) Act 1978. The 2nd class of individual who can be found apt under s2 ( 2 ) of Part1 of the Consumer Protection Act 1987 is the â€Å"own brander [ 9 ] .† The Act defines such a individual as: â€Å"any individual who by seting his name on the merchandise or utilizing a trade grade or other separating grade in relation to the merchandise, has held himself out to be the manufacturer of that product.† It should be noted that this description is really similar to the diction contained in the EEC Directive 85/374/EEC [ 10 ] . The range of this class if suspect is non every bit broad as it may at first appear to be ; after all, for a provider to keep themselves out as the manufacturer of their points, the labelling must do the consumer really believe that it was the provider themselves who manufactured the merchandise and who would believe, for illustration, that the St Michael trade name of Marks A ; Spencer’s really produces the goods themselves, instead than undertaking a production company to make so on their behalf? Likewise, where a product-label provinces that the merchandise has been ‘manufactured for’ the company, or has been ‘selected by the company’ , this must needfully prevent the company from coming under the definition as contained in s2 ( 2 ) ( B ) of the Act, and besides hence from being sued under Part 1 of the Consumer Protection Act 1987. The 3rd class of suspect contained within s2 ( 2 ) of Part 1 of the Consumer Protection Act 1987, is the provider who has imported a merchandise from exterior of the European Union ; by virtuousness of s2 ( 2 ) ( degree Celsius ) that importer will be apt for any losingss ensuing from any defects in that merchandise [ 11 ] . I stated above that ‘S2 ( 2 ) of the Act lists three classs of maker who may be apt under Part 1 of the Act’ , and besides that ‘Part 1 of the Consumer Protection Act 1987 is designed to enforce liability on the manufacturer/ assembly program of a merchandise, and non on the supplier.’ It should be noted that there is a 4th class of possible suspects contained in s2 ( 3 ) of the Act, and this is a provider who, holding been approached by a consumer and asked to place the manufacturer of a merchandise which has been purchased by that consumer from that provider, has declined to supply such information, or has failed to make so within a sensible clip. Such a provider will be held apt as if he were the manufacturer. Whilst this seems contrary to any old impressions of tortious liability, this proviso is indispensable to the smooth operation of s2 ( 2 ) and Part 1 of the Act in general ; if the consumer is unable to happen the individuality of the manufacturer, he would be unable to action for any defects. If it is the provider who has prevented the individuality of the manufacturer from being disclosed, so it seems merely just that the provider should be punished for interfering in the operation of this Act, and held apt. In pattern, all this subdivision will make is to guarantee that providers are prompt in their response to petitions from consumers sing the designation of the manufacturer in inquiry and besides more efficient in the maintaining of correct records refering to the makers of their goods, and as such, my old statements that ‘S2 ( 2 ) of the Act liststhreeclasss of maker who may be apt under Part 1 of the Act’ , and besides that ‘Part 1 of the Consumer Protection Act 1987 is designed to enforce liability on the manufacturer/ assembly program of a merchandise, andnon on the provider, ’ should still be considered to be a well right description of the current jurisprudence. 2 ] What merchandises are covered by the Act? S1 ( 2 ) of the Act states that the type of merchandise which is covered under this statute law is â€Å"any goods or electricity, † goods being farther defined in s45 ( 1 ) of the Act as including â€Å"any substances [ including blood it would look [ 12 ] ] , turning harvests, and things comprised in land by virtuousness of being attached to it and any ship, aircraft or vehicle.† It would therefore look that a defect in a constituent of a edifice would ensue in the manufacturer of that constituent being apt for the attendant prostration of that edifice, whereas a builder would non be apt under this peculiar Act for defects in the edifice itself caused by his cheapjack craft. This latter averment is supported, if merely in consequence, by ss4 ( 1 ) ( B ) , 46 ( 3 ) and 46 ( 4 ) of the Act. In relation to information, it would look that information couldn’t signifier the capable affair of a claim under this piece of statute law, even though such information may be touchable in signifier [ e.g. a book ] [ 13 ] . An exclusion to this might be package ; the line between package and hardware being really hard to pull sanely ; for illustration, a modem can be package or hardware based ; if a maker of a hardware modem could be apt under this Act, so certainly so excessively could a manufacturer of the package version which performs precisely the same map. 3 ] Who can action under the Act? Any individual can action as consumer under this Act if they have suffered any losingss as a consequence of a faulty merchandise. It is irrelevant whether or non the goods were really purchased by the claimant ; as the Act provinces, consumer includes â€Å"anyone injured by the goods or anyone whose belongings was damaged as a consequence of the defect.† 4 ] What kind of harm is protected against by the Act? There is no limitation on the sum of amendss capable of being sought for decease or personal hurt, as distinguishable from the European Directive, which imposes a bound of 70 million euros. Such a limitation in UK jurisprudence would be impractical. Sing amendss for losingss fluxing from belongings harm nevertheless, there are several restrictions which operate under this Act ; s5 ( 2 ) of the Act stipulates that no losingss from any harm caused to the faulty merchandise can be sought under this Act, nor from any harm caused to any accoutrement which was supplied with the merchandise. Under s5 ( 4 ) of the Act, no liability arises under this Act unless the amendss ( apart from involvement ) would be at least ?275. There does non look to be a convincing principle for this arbitrary figure, other than that it represents an sum below which most judicial proceeding canvassers in the UK would non urge shiping on a jurisprudence suit. Finally, s5 ( 3 ) of the Act precludes liability for am endss ensuing from a merchandise which is non ‘ordinarily intended for private usage or is non chiefly so intended by the claimant. Obviously there must besides be a defect in the merchandise for liability to originate, desert holding been defined in Section 3 of Part 1 of the Act as being present where â€Å"the safety of the merchandise is non such as individuals by and large are entitled to expect.† The fortunes that should be taken into history by the tribunal when finding whether or non this definition has been satisfied include ( a ) the mode in which, and the intents for which, the merchandise has been marketed, its get-up, the usage of any grade in relation to the merchandise and any instructions for, or warnings with regard to, making or forbearing from making anything in relation to the merchandise ; ( B ) what might be moderately expected to be done with or in relation to the merchandise, and ; ( degree Celsius ) the clip when the merchandise was supplied by its manufacturer to another ; and nil shall necessitate a defect to be inferred from the fact entirely that the safety of a merchandise whi ch is supplied after that clip is greater than the safety of the merchandise in inquiry. [ 14 ] † In pattern, this criterion will be set by the tribunals, and does non depend upon public sentiment ; after all, in a litigious society, public outlook may be excessively high. For non-standard merchandises, i.e. those which are non in the signifier as intended by the maker, all the Claimant must turn out is that the merchandise was non-standard, and that the non-standard characteristic of the merchandise in inquiry was unsafe and responsible for the harm suffered. For standard merchandises, built-in dangers, such as the crisp borders of a cooking knife merchandise, should merely be protected against in so far as is sensible to make so in visible radiation of the grade of benefit enjoyed by the merchandise, i.e. would the benefit of holding a cheaper merchandise without the safety guard outweigh the benefit of holding greater safety at an increased monetary value to the consumer. Again, this value-judgement will be decided by the tribunals on a individual footing, and no preparation is offered by the Act to assist do this deliberation, and the ground for this is the frequently unquantifiable nature of the benefits involved in such hazard appraisals. Where hazards are non obvious to a consumer, so a standard merchandise may be deemed faulty on the simple fact that the maker did non supply a warning or instructions on proper usage of the merchandise. Again, there is no statutory guideline as to what grade of item in such instructions/warnings are indispensable, but a maker should mistake on the side of action to avoid liability for faulty criterion merchandises on this land. 5 ] What defense mechanisms are available to a qualified suspect, if any? S4 ( 2 ) of the Act states that if the Defendant manufacturer can turn out that â€Å"the province of scientific and proficient cognition at the relevant clip was non such that a manufacturer of merchandises of the same description of the merchandise in inquiry might be expected to hold discovered the defect if it had existed in his merchandises while they were under his control.† The logical thinking behind this defense mechanism is clear ; it would wrong in both rule and pattern for concerns to be held apt for defects that they could non perchance have foreseen [ 15 ] . In the instance of A 5 National Blood Authority [ 16 ] it was clarified that this defense mechanism will merely use â€Å"if there is no cognition of the being of the hazard in a generic sense, and one time this cognition has been acquired, the maker produces at his ain hazard, even if it is impossible to place the person, non-standard merchandises in which that hazard is present.† Other defense mechanisms available for a Defendant include where the defect in inquiry was in fact a demand by jurisprudence [ 17 ] [ e.g. where the jurisprudence requires a constituent to be present, but the really presence of that constituent has lead to the merchandise being rendered faulty ] , where the Defendant did non provide the merchandise to anyone [ 18 ] [ i.e. the merchandise had neer been distributed amongst the public ] , where the merchandise in inquiry was supplied non-commercially [ 19 ] [ e.g. the provider of a bar to a party would non be apt for defects in that bar ] , where the defect did non be in the merchandise at the clip of circulation [ 20 ] [ e.g. defects that have arisen from sensible wear and tear of the merchandise ] and that ( vitamin E ) â€Å"the defect ( I ) constituted a defect in a merchandise ( ‘the subsequent product’ ) in which the merchandise in inquiry had been comprised AND ( two ) was entirely attributable to the design of the subsequent merchandise or to compliance by the manufacturer of the merchandise in inquiry with instructions given by the manufacturer of the subsequent product.† 6 ] Exclusion of Liability: Can liability be excluded so that this Act has no impact on manufacturers/ manufacturers? Section 7 of the Act invalidates any efforts by a maker or manufacturer to restrict or except their liability â€Å"by any contract term, by any notice or by any other provision.† This does non nevertheless preclude manufacturers and assembly programs apportioning hazard of liability amongst them. Inferences and decisions: My illations and decisions shall be provided in response to the undermentioned inquiries: A ] To what extent has the 1987 Act made a important impact on the jurisprudence refering to defective merchandises? B ] To what extent has the 1987 Act made a important impact on the place of both consumers and makers in the UK? C ] To what extent is the undermentioned statement correct? â€Å"The impact of the 1987 Act upon makers has been far less drastic than they ab initio feared.† D ] To what extent has Part 1 of the Consumer Protection Act 1987 been successful in accomplishing its purposes? Let us near each of these inquiries in bend: A ] To what extent has the 1987 Act made a important impact on the jurisprudence refering to defective merchandises? In theory, Part 1 of the Consumer Protection Act 1987 is one of the most of import reforms made to the jurisprudence of civil wrong in England and Wales. It purports to enforce rigorous non-fault based liability on manufacturers of faulty merchandises in line with the European Directive on Consumer Protection ( 1985 ) . In pattern nevertheless, we have seen that many defense mechanisms are available to such a manufacturer, defense mechanisms which in topographic points seem to re-impose a cogent evidence of mistake demand of a Claimant under this Act. For illustration, the defense mechanism contained in s4 ( 2 ) requires the Claimant to turn out that the manufacturer should hold known about the defect and the harm that it would do in visible radiation of the scientific cognition available to him at the clip of production. This seems more like standard civil wrong of carelessness cogent evidence demands instead than rigorous liability. I would reason that the impact on the jurisprudence is non every bit important as one might, prima facie, believe. The ‘strict’ liability, by virtuousness of the defense mechanisms available, no that far removed from the mistake demands of traditional civil wrong jurisprudence. B ] To what extent has the 1987 Act made a important impact on the place of both consumers and makers in the UK? In visible radiation of my decisions above, I would reason that so far the impact of this statute law of consumers and makers is non peculiarly important ; the responsibilities on the manufacturers of merchandises have non been well increased if one takes into history the ‘no-fault’ based nature of the available defense mechanisms in s4 of the Act. C ] To what extent is the undermentioned statement correct? â€Å"The imtreaty of the 1987 Act upon makers has been far less drastic than they ab initio feared.† In visible radiation of my decisions above, I would hence hold to reason that I agree with the above statement. D ] To what extent has Part 1 of the Consumer Protection Act 1987 been successful in accomplishing its purposes? I believe that there is grounds to propose that the lone purpose of this statute law was to convey UK jurisprudence in line with the demands of the 1985 European Directive of Consumer Protection. With this in head, the purpose has been satisfied. The UK legislative antecedently refused three reform proposals bespeaking a rigorous liability attack to this country of jurisprudence, viz. , the Strasbourg Convention [ 21 ] , the Recommendations of the Scottish and English Law Commissions [ 22 ] and the study of the Pearson Commission [ 23 ] , and merely changed the jurisprudence when ordered to by the EEC Directive. I think this groundss my above proposition, as does the reading of the Directive to integrate as many of the permitted/discretionary defense mechanisms available as possible, guaranting that our civil wrong jurisprudence is non radically changed by this new piece of statute law. If the purpose of the Act was to make rigorous liability, so it has failed. If the purpose was to follow with the European Directive 85/374/EEC in a manner that would non alter our preexistent civil wrong jurisprudence into something where makers would be held apt for things beyond their sensible control, so I feel the UK legislative has achieved this purpose laudably. It is the latter of the two decisions with which I shall agree. Bibliography: Prashant, P. Defects and the CPA 1987 New Law Journal 1st December 2000. Freeman, R. Strict liability Torahs Consumer protection Act commissariats fail to help claimants in three recent instances. J.P.I.L. 2001. 1.26-36. ( Westlaw ) Gilker, P. Strict Liability for faulty Merchandises: The Ongoing Argument Business Law Review Vol 24 No4 April 2003. Winfield and Jolowicz on Tort ( 16ThursdayEdition, Sweet A ; Maxwell ) 2002 European Convention on Product Liability in Regard to Personal Injury and Death, Dir Jun ( 76 ) 5 Simon Whittaker â€Å"European Product Liability and Intellectual Products.† ( 1989 ) 105 L.Q.R. 125 DTI’s Consultative Document on the Directive 1

Monday, October 21, 2019

The Post-War Economic Boom After WWII

The Post-War Economic Boom After WWII Many Americans feared that the end of World War II and the subsequent drop in military spending might bring back the hard times of the Great Depression. But instead, pent-up consumer demand fueled exceptionally strong economic growth in the post-war period. The automobile industry successfully converted back to producing cars, and new industries such as aviation and electronics grew by leaps and bounds. A housing boom, stimulated in part by easily affordable mortgages for returning members of the military, added to the expansion. The nations gross national product rose from about $200,000 million in 1940 to $300,000 million in 1950 and to more than $500,000 million in 1960. At the same time, the jump in post-war births, known as the baby boom, increased the number of consumers. More and more Americans joined the middle class. The Military Industrial Complex The need to produce war supplies had given rise to a huge military-industrial complex (a term coined by Dwight D. Eisenhower, who served as the U.S. president from 1953 through 1961). It did not disappear with the wars end. As the Iron Curtain descended across Europe and the United States found itself embroiled in a ​Cold War with the Soviet Union, the government maintained substantial fighting capacity and invested in sophisticated weapons such as the hydrogen bomb. Economic aid flowed to war-ravaged European countries under the Marshall Plan, which also helped maintain markets for numerous U.S. goods. And the government itself recognized its central role in economic affairs. The Employment Act of 1946 stated as government policy to promote maximum employment, production, and purchasing power. The United States also recognized during the post-war period the need to restructure international monetary arrangements, spearheading the creation of the International Monetary Fund and the World Bank - institutions designed to ensure an open, capitalist international economy. Business, meanwhile, entered a period marked by consolidation. Firms merged to create huge, diversified conglomerates. International Telephone and Telegraph, for instance, bought Sheraton Hotels, Continental Banking, Hartford Fire Insurance, Avis Rent-a-Car, and other companies. Changes in the American Workforce The American workforce also changed significantly. During the 1950s, the number of workers providing services grew until it equaled and then surpassed the number who produced goods. And by 1956, a majority of U.S. workers held white-collar rather than blue-collar jobs. At the same time, labor unions won long-term employment contracts and other benefits for their members. Farmers, on the other hand, faced tough times. Gains in productivity led to agricultural overproduction, as farming became a big business. Small family farms found it increasingly difficult to compete, and more and more farmers left the land. As a result, the number of people employed in the farm sector, which in 1947 stood at 7.9 million, began a continuing decline; by 1998, U.S. farms employed only 3.4 million people. Other Americans moved, too. Growing demand for single-family homes and the widespread ownership of cars led many Americans to migrate from central cities to suburbs. Coupled with technological innovations such as the invention of air conditioning, the migration spurred the development of Sun Belt cities such as Houston, Atlanta, Miami, and Phoenix in the southern and southwestern states. As new, federally-sponsored highways created better access to the suburbs, business patterns began to change as well. Shopping centers multiplied, rising from eight at the end of World War II to 3,840 in 1960. Many industries soon followed, leaving cities for less crowded sites. Source This article is adapted from the book Outline of the U.S. Economy by Conte and Carr and has been adapted with permission from the U.S. Department of State.

Sunday, October 20, 2019

What Simple Random Sampling Is and How to Do It

What Simple Random Sampling Is and How to Do It Simple random sampling is the most basic and common type of  sampling method  used in quantitative social science research and in scientific research generally.  The main benefit of the simple random sample is that each member of the population has an equal chance of being chosen for the study. This means that it guarantees that the sample chosen is representative of the population and that the sample is selected in an unbiased way. In turn, the statistical conclusions drawn from the analysis of the sample will ​be valid.​ There are multiple ways of creating a simple random sample. These include the lottery method, using a random number table, using a computer, and sampling with or without replacement. Lottery Method of Sampling The lottery method of creating a simple random sample is exactly what it sounds like. A researcher randomly picks numbers, with each number corresponding to a subject or item, in order to create the sample. To create a sample this way, the researcher must ensure that the numbers are well mixed before selecting the sample population. Using a Random Number Table One of the most convenient ways of creating a simple random sample is to use a random number table. These are commonly found at the back of textbooks on the topics of statistics or research methods. Most random number tables will have as many as 10,000 random numbers. These will be composed of integers between zero and nine and arranged in groups of five. These tables are carefully created to ensure that each number is equally probable, so using it is a way to produce a random sample required for valid research outcomes. To create a simple random sample using a random number table just follow these steps. Number each member of the population 1 to N.Determine the population size and sample size.Select a starting point on the random number table. (The best way to do this is to close your eyes and point randomly onto the page. Whichever number your finger is touching is the number you start with.)Choose a direction in which to read (up to down, left to right, or right to left).Select the first n numbers (however many numbers are in your sample) whose last X digits are between 0 and N. For instance, if N is a 3 digit number, then X would be 3. Put another way, if your population contained 350 people, you would use numbers from the table whose last 3 digits were between 0 and 350. If the number on the table was 23957, you would not use it because the last 3 digits (957) is greater than 350. You would skip this number and move to the next one. If the number is 84301, you would use it and you would select the person in the population who is assigned the number 301.Continue this way through t he table until you have selected your entire sample, whatever your n is. The numbers you selected then correspond to the numbers assigned to the members of your population, and those selected become your sample. Using a Computer In practice, the lottery method of selecting a random sample can be quite burdensome if done by hand. Typically, the population being studied is large and choosing a random sample by hand would be very time-consuming. Instead, there are several computer programs that can assign numbers and select n random numbers quickly and easily. Many can be found online for free. Sampling With Replacement Sampling with replacement is a method of random sampling in which members or items of the population can be chosen more than once for inclusion in the sample. Let’s say we have 100 names each written on a piece of paper. All of those pieces of paper are put into a bowl and mixed up. The researcher picks a name from the bowl, records the information to include that person in the sample, then puts the name back in the bowl, mixes up the names, and selects another piece of paper. The person that was just sampled has the same chance of being selected again. This is known as sampling with replacement. Sampling Without Replacement Sampling without replacement is a method of random sampling in which members or items of the population can only be selected one time for inclusion in the sample. Using the same example above, let’s say we put the 100 pieces of paper in a bowl, mix them up, and randomly select one name to include in the sample. This time, however, we record the information to include that person in the sample and then set that piece of paper aside rather than putting it back into the bowl. Here, each element of the population can only be selected one time.

Saturday, October 19, 2019

Questions Assignment Example | Topics and Well Written Essays - 250 words - 27

Questions - Assignment Example As a result, such a male will have access to more females frequently and hence increase chances of intimacy. Hence, more females will get pregnant and increase chances of passing genes to subsequent generations. Moreover, being a high-ranking male means there will be more dominance in the group. The effect is access to many females and hence more intimacy. Consequently, there will be more offspring of the same male. There is a lot to learn after reading about the monkeys raised without a mother. First, it is clear that monkeys raised without a mother lacks the necessary social skills required to raise their own infants and interacts with the rest of the members. Hence, parenting among primates is paramount as it helps in equipping the young ones with social skills necessary for raising their own offspring and interacting with the rest of the members in a group. Primates are not purely instinctual; some of the behaviors are learnt through interaction with the rest of the members. For example, the young ones learn how to hunt from their

Paper on Elder Abuse Research Example | Topics and Well Written Essays - 1250 words

On Elder Abuse - Research Paper Example They may not see or hear also or sense as clearly as they used to, leaving chances for immoral people to get benefit from them. Psychological or physical disorders may make them more demanding companions for those who live with them. A large number of elders all over the United States are   being abused: harmed in some considerable way often by people who are directly liable for their care. Over half a million accounts of abuse against elderly Americans get to concerned authorities each year, and millions more cases go unheard. Elder abuse is likely to occur where the senior resides; most frequently within the home where abusers are likely to be grown person; other relatives, for instance, grandchildren; or spouses of elders. Institutional situations particularly continuing care services can as well be sources of elder abuse. Every year many older individuals are badly treated, ignored, as well as subjugated. Several sufferers are people who are elder, weak, as well as defenseless and cannot help themselves and rely heavily on others to meet even their most fundamental requirements. Abusers of elder people are both males and females, and may be relatives, friends, or â€Å"trusted others† (Ulsperger & Knottnerus, 2010). Executors of elder abuse can incorporate any person in a position of dependence, power or influence. Family members, neighbors and associates, are all collectively known as relations of dependence, whether the older adult really consider people as reliable or not. A number of perpetrators may groom an older person by building a bond with them, with the intention of establishing a bond of dependence. Older people staying unaccompanied who have no grown children living near are mainly susceptible to ‘grooming’ by neighbors and friends who would look forward to to get control of their assets. The greater part of abusers is family members, usually the older adult's spouse or offspring, even though the form of abuse varies in ac cordance with the relationship. In several circumstances, â€Å"the abuse is domestic violence grown old, a situation in which the abusive behavior of a spouse or partner continues into old age† (Sandell & Hudson, 2010). During the year 2006, â€Å"the International Network for Prevention of Elder Abuse (INPEA) selected June 15 as World Elder Abuse Awareness Day (WEAAD)† (Sandell & Hudson, 2010) and a growing number of events are organized around the globe on this day to increase knowledge of elder abuse, and draw attention towards ways to confront such abuse. Types of elder abuse Physical abuse Physical elder abuse is non-accidental use of strength against an aged individual that causes physical hurt, wound, or injury. This sort of abuse incorporates not just physical attacks such as beating or pushing but the unsuitable use of medicines, restraints, or detention. Emotional abuse In emotional or psychosomatic elder abuse, people talk to or treat aged individuals in wa ys that become reason for emotional hurt or grief. Verbal types of emotional elder abuse consist of threatening by shouting or warnings, dishonor and ridicule, and usual blaming or ‘scapegoating’. Nonverbal emotional elder abuse can take the shape of disregarding the elderly individual, separating an elder from associates or activities, and frightening or intimidating the elderly person. Disregard or rejection from caregivers Elder disregard, failure to carry out a caretaking responsibility, forms over half of all reported cases of elder abuse. It can be active (also known as

Friday, October 18, 2019

Personal paper Essay Example | Topics and Well Written Essays - 1000 words

Personal paper - Essay Example While growing up, I had a deep desire within me to pursue and advance my career in film production. This instigated my desire to advance my studies in high school and college. At some point, I was unable to full attain my goals until now when I discovered this internship. I must admit that this internship has changed my perception as a film producer in the marketplace. In my internship, I have learnt that my career is more of a personal experience than being taught in the classroom. I have gained great insights on entertainment industry specifically about film production. My experience in this internship has adequately prepared me to understand what is required to shoot a film or a commercial. I have been motivated to apply in different placements such as TV Board and MN film. I am privileged to understand the things that take place when shooting a film such as the best location to make the movie, the equipments required, and the funding just to name a few. In life, mentors cannot be underestimated in that they help many people understand their personal and career goals. Craig Rice has been a great mentor in my career in that he has equipped me with skills and abilities that help one to become a competent film producer. With this, I am ready to face the modern world that value films and commercial adverts. When we first met, Craig promised me that he would usher me in my career as a producer. Since I met him, I have discovered more about myself especially in the arena of film production. I have expanded my knowledge in the film production by ensuring that I am challenging myself. This internship has been a tremendous opportunity to integrate practices and theories that I learnt in high school and college. I have studied a lot of practice in my classes, and even applied some to application. However, this internship has changed my role as an observer to being more of an active participant in the field. My experience has challenged my theoretical base in the class room in that I practically utilized what I have been taught in the classroom to the field. My knowledge in film production has increased from one level to the other. As previously mentioned, I have learnt how to make a film or a commercial and the best location that suit the production process. I have developed some principles in my work. In essence, I have obtained these principles from my personal experiences in school, in the workplace, and life. The intern has helped me understand what my weaknesses and strengths are in given situations. Understanding what works for me has expanded my skills in my area of professionalism. I have moved into another phase of learning where the focus differs from learning the work to understanding and learning how to perform the task effectively. This internship has helped me to acquire new skills and abilities, and I am now grateful since I can think about skill development in broad terms. Internship is an opportunity for a student to measure thei r learning in class to the actual work. The knowledge and skills acquired from the class can be applied in the field and will effectively help a student succeed in their work (Frederick and King 8). The greatest importance of attending an internship is to understand the real issues inherent in the field, as opposed to the theoretical learning in the class. It is more of a practical class that is not learnt in a learning institution. Skills are acquired, which help the intern to handle similar situations in their jobs.

Entrepreneuship-creating a business opportunity(nutrition restaurant) Essay

Entrepreneuship-creating a business opportunity(nutrition restaurant) - Essay Example I have always had an interest in cooking and serving people. Thus a restaurant was the best idea. Because starting the company should also be in consideration. My finances are not enough at the moment and starting up a business would be a good source of income and has an added advantage. It is what I love doing thus no stress for me while undertaking this activity. The time for starting the company should be perfect so as to make maximum profit from it (Osnabrugge and Robinson 2000). Summertime is a perfect time to open the Chinese nutrition restaurant in London as many people are on holiday. A nutritional restaurant was the best choice as there is non-other on Middlesex Street, London (Hisrich 2011). Many people are trying to live a healthy life, and a Chinese Nutritional Restaurant would be the best choice of business. Prior to the start of any business, it is important to look at the macro market. The initials PESTEL helps a person decide how best to set up the business. The political, economic, and social environment determines the success of a company. The area should have a healthy political environment (Johnson 2005). The rate of transactions that go on in Middlesex Street makes it a perfect location to set up the business. It is an area that has many economic and social activities, thus guarantee customers (Shane 2000). The kind of business one chooses should have the latest technological advancement in them so as to serve the customers better. The business should also be legal and follow all the government’s requirements before going into it. A nutritional restaurant meets all the above specifications and would be a good idea. The street is perfect for the restaurant and would ensure profit for the owner of the restaurant (Stevenson and Jarillo 2007). Four critical factors determine the success of a business, these factors are customer, competition, company and confederations. One should identify the customers before putting up the business. A

Thursday, October 17, 2019

Cyper ethics Article Example | Topics and Well Written Essays - 250 words

Cyper ethics - Article Example In accordance with Alvin Goldman critics, the internet has greatly deteriorated the influence that the conventional media once had on the people by lack of truth in the messages being conveyed. As a result, this affects the epistemic prospects of the voting public. Alvin explains filtering as a process whereby, a third person is involved in the process of communication. In addition, he further explains that the person should have the power to select preferred messages that should be sent via certain channel of communication. According to Alvin, this is important as it is the most appropriate way of ensuring that the community can track the truth from politics thus enhancing democracy. Moreover, filtering has been applied in scientific journals and the common law in the process of determining the truth and by so doing; it should also be used in the practices of the social media so as to promote the truth. From Richard Posner’s discussions, it is quite clear that the function of news is to inform people about social, political, cultural, ethical and economic issues. Therefore, journalists and their employers are under an ethical duty to report news accurately and soberly without being biased. However, Richard Posner has pointed various occasions whereby news has been sensationalized and as a result, raised unnecessary anxiety. He explains that this is as a result of increase in the number of television channels due to satellites and numerous online blogs and newspapers even though he concludes that it isn’t much to worry about. In my opinion, I do not think that he’s right as sensationalized news could cause very serious and tragic consequences. This is because could foster crisis especially in during an election and lead to disunity in the region thus destruction of property and consequently harming the economy. Moreover, I am completely in harmony with

Fast Food, Gender, and Happiness Research Proposal

Fast Food, Gender, and Happiness - Research Proposal Example Most of them are of U.S. origin. The fast-food nutrition system has originated due to the expansion of the nutrition industry and the globalization. These improvements have altered the nutrition habits, tastes and preferences of the individuals. Those people who have busy schedules are provided ready, semi-ready or sometimes frozen food by the nutrition industry (Ãâ€"zcelik, Akan and Sà ¼rà ¼cà ¼oglu, 2007, p. 43).   The purpose of this study is to analyze the relationship between fast food and gender and its association with happiness. The importance of this study is to find out the correlation between eating fast food, gender, weight and happiness. The main objective is to check how the fast food centers appeal to the mass and to explore the causal relationship between the consumption of junk food and gender as well as the impact of fast food on weight.    According to Schofield (1989), it has been observed that there are differentiations in the gender culture in context of food. The authors highlight the way the fast food intervenes in the real life experience of taking a meal. The values and principles are circulated in the mass media. When we are talking about females and food, then we may consider fast food to be the source of separating women form their identity as the homemaker and cook. Since most women are generally working in the subordinate positions in the workplaces and their ultimate duty of the homemaker has to remain intact (where they do the household work themselves or they hire a servant to do the same), therefore they very soon undergo an identity crisis. The growth of fast food centers has even alienated the women from their otherwise household activity of cooking. (Schofield, 1989, p. 138) The development of industrialization has seen women negotiating their new relation with food. Their outlook has changed with the change in the trend. The middle-class women focus much on the nutritional

Wednesday, October 16, 2019

Cyper ethics Article Example | Topics and Well Written Essays - 250 words

Cyper ethics - Article Example In accordance with Alvin Goldman critics, the internet has greatly deteriorated the influence that the conventional media once had on the people by lack of truth in the messages being conveyed. As a result, this affects the epistemic prospects of the voting public. Alvin explains filtering as a process whereby, a third person is involved in the process of communication. In addition, he further explains that the person should have the power to select preferred messages that should be sent via certain channel of communication. According to Alvin, this is important as it is the most appropriate way of ensuring that the community can track the truth from politics thus enhancing democracy. Moreover, filtering has been applied in scientific journals and the common law in the process of determining the truth and by so doing; it should also be used in the practices of the social media so as to promote the truth. From Richard Posner’s discussions, it is quite clear that the function of news is to inform people about social, political, cultural, ethical and economic issues. Therefore, journalists and their employers are under an ethical duty to report news accurately and soberly without being biased. However, Richard Posner has pointed various occasions whereby news has been sensationalized and as a result, raised unnecessary anxiety. He explains that this is as a result of increase in the number of television channels due to satellites and numerous online blogs and newspapers even though he concludes that it isn’t much to worry about. In my opinion, I do not think that he’s right as sensationalized news could cause very serious and tragic consequences. This is because could foster crisis especially in during an election and lead to disunity in the region thus destruction of property and consequently harming the economy. Moreover, I am completely in harmony with

Tuesday, October 15, 2019

Journal Essay Example | Topics and Well Written Essays - 1250 words

Journal - Essay Example Greatness indeed has much more to do with spirit, with how a human being chooses to react - especially in tough situation when the temptation is always there to find an easy way out. Oftentimes, we don't have a choice how our fates determine our individual destinies. But we all are given, a certain gift that sets us apart to rise above our situations. Braddock had a talent not just for boxing, but for fighting in true form, that is fighting a fair game. True success matters only because we choose to keep promises to the people we love, rather because of outward indications such as money or achievements to show the world that we are not losers. In the movie, Braddock was motivated to win because he made a promise to his son that the family will stay together no matter how the Depression in the 1930s hit them. And isn't only because we love the people in our lives which make it easier for us to be humble To try to become humble on one's own is a tough job - precisely because it takes other people for one to achieve true humility. The announcement of Hillary Clinton that she will contest the presidential elections in 2008 did not really come as a surprise to the world. After all, she has been at it for the past years. Only that the fact that she will actually gun for the top post and even win it, is such an exciting and tantalizing prospect for the world, it's almost unbelievable. We ask ourselves what could be her motivations. What does she want She's after power - so what's new She wants to show the husband that she is better than him - what better way to punish him and one that would confirm our worst expectations of her. She stayed with him and did not divorce him long after her husband weathered his second term post-Monica because she wants to get the ultimate revenge. After all, men are expected all the time to go after power, that for them power is a legitimate goal. We hold on to the view women are not competitive, or rather should not show competitiveness in such a public manner - the most public manner - in the field of politics. We ask these questions for a woman derided not only for her ambitions, but for showing such grit and unusual determination when most would have slinked into a permanent retreat after a battlefield strewn with losses, shame and the relentless drive of a society to make her to what she in fact is not both personally and career -wise. Who is she, and what is she in fact If Hilary Clinton indeed becomes President of the United States two years from now - she will not only make history to become for the first woman to become the most powerful person on earth - but perhaps who succeeded on her own terms, winning on both counts - personally and career-wise. Maybe she really loves Bill after all. Journal entry: On "A Wrinkle in Time" There are books which we love as children. Once we gotten over them, we go on to "adult books". And then there are books that captivate us at a time when Santa Clause has not yet left the world of magic and faith. And which, even after years have elapsed, we can still go back to find that the magic has not flown off the window. One such book is a "Wrinkle in Time" by Madeleine L'Engle, a book first published in 1962 and continues to enchant the public with its rare combination of being a fairy tale, religious allegory and a brilliant scientific foray into the rarified

Monday, October 14, 2019

Question of Authorship Essay Example for Free

Question of Authorship Essay For the past five decades, the world of literature has come to venerate the great works of one man. The tremendous contribution of Shakespeare in Literature remains unparalleled. The sheer volume of the plays and sonnets he had written remain unmet, and the quality of its art remains unmatched. So much so, that there is probably no one inhabiting this earth who hasn’t the knowledge of the great writer. No one graduates from school without having the experience of Shakespeare in their education: his plays are celebrated through staging and his works are the subject of study in, and even outside of, Literature classes. Also, the celebration of Shakespeare and his works are not limited to the confines of education. Theatrical companies earn a sizeable proportion of their profits in staging Shakespeare’s five-century old works. Publishing companies benefit largely in the millions of hardbound copies they have printed of Shakespeare’s works, and the literature he and his works have inspired. With the picture that has been painted, we can see how influential and how big a pillar Shakespeare is in Literature. However, with the exception of literary scholars, not many people are aware of the issue that has surrounded Shakespeare’s authorship of the works that have been claimed to be his since the time man can remember. William Shakespeare of Stratford has always been regarded as the man who wrote the immortal plays and sonnets. But ever since speculations have started to arise, various names have also mushroomed through the investigations of scholars who claim that these names are the ones which we should be celebrating, and not that of the businessman William Shakespeare of Stratford. The speculations started when Alexander Pope brought to the attention of readers the authenticity of the attribution to Shakespeare in a number of his works. Pope attacked Shakespeare’s on the genuineness of works that had been excluded from the 1623 Folio, a collection of Shakespeare’s most compelling works. His criticisms made in the 17th century continued to influence the generations that followed with respect to their opinion on the matter. Primarily though, what has unsettled critics are the dissonance in his the experiences and education received by a theater man in Stratford and the quality and content of the works he allegedly produced, as stated by one source, â€Å"The work attributed to Shakespeare shows a knowledge of geography, foreign language, politics, and an immense vocabulary that many find inconsistent with what’s known about Shakespeare’s education,† (Lanciai). Authorship Majority of the investigations were done through a historical point of view. If we take a look back in history during the time Shakespeare wrote his plays, we would find out how authorship was perceived as insignificant, even illegitimate, in the writing of the book. According to another source, traditional narratives that present the Middle Ages as a ‘golden age’ of forgery for which questions of authorship and authenticity were unimportant (King). What triggered this was the inability of novice writers (especially people of rank) to publish their own name in their works under the regime of Queen Elizabeth. A gentleman of rank could not publish under his own name lest he be suspected of having a profession. This policy was followed, and writers of rank either circulated their work privately or they made use of pen-names (Lanciai Christian). Also, the theater industry during Shakespeare’s time was an unsurveyable community (Lanciai). It therefore follows that while theater was an important industry of the era, it is very challenging to examine the works of the industry. These reasons ultimately lead to the graying of the trace to the real authorship of the works attributed to Shakespeare. Why not Shakespeare? It has been mentioned in this essay that the theater industry was an unsurveyable community during Shakespeare’s time. A piece of information that is known though is that the owners of the theaters were communally owned by the actors, according to Lanciai’s article. Only the exceptional rise in the business, and William Shakespeare was one of them, as he was an accomplished capitalist of those times. Therefore, we can surmise that Shakespeare the businessman was a person considered of rank in his age. If we remember the rule that was imposed on writers of rank, another source argued thus: â€Å"If Shakespeare was a gentleman of rank, then William Shakespeare could not he his real name. By contrast, the William Shakespeare who was a play-broker, part owner of an acting company, and resident of Stratford as well as London would have been in a good position to use and appropriate work written by an anonymous high-born author,† (Price, Diana). How Shakespeare was perceived The man’s (Shakespeare of Stratford) social and professional position in question was described by Pope as this: â€Å"He writ to the People; and writ at first without patronage from the better sort, and therefore without aims of pleasing them: without assistance or advice from the Learned, as without the advantage of education or acquaintance among them: [and] without the knowledge of the best models, the Ancients, to inspire him†¦Ã¢â‚¬  From this description, King surmised that Pope regarded the dialogue of the actors in his works as â€Å"bad conversations†, and that he was only able to get away with this because of the Court patronage. Also, he had drawn from the quote that the quality of Shakespeare’s dramatic writing improved in direct proportion to his level of social and linguistic contact with ‘the better sort’. With this we can already see how Pope has de-merited Shakespeare from the level of literary genius which has always been associated to his name. It also evident that Pope deemed Shakespeare of this position because of the social position he was in, as according to the same article, Shakespeare’s social contamination by his inferior associates and conversation partners contributed to the de-meriting. An argument from another author supported Pope’s claims when another author said, â€Å"It appears that Shakespeare of Stratford was not much respected (or liked) while Shakespeare the author was† (Price). The other side of Shakespeare of Stratford that Pope pointed out in concurs with the knowledge of the author. According to Price’s book, Shakespeare of Stratford was identified by contemporary documents as a money-lender, play-broker, wheeler-dealer, social climber, and sometime actor. No contemporaries of Shakespeare called him as an author, not even people from his community. What also strengthens this argument is the lack of surviving documents written by him which have any literary significance (Price). Aside from these, what’s also disturbing for scholars is the fact that the will left by Shakespeare did not mention of any books that he owned. In Elizabethan period, books were considered important items and therefore were to be bequeathed to relatives or fellow writers. His passing also spoke of his merit as a celebrated modern playwright in his time. Unlike other playwrights, his death did not stir any public notice. Add to that the issue brought about the will he left behind, these things make a lot of people wonder about his merit as a writer. It seems that his will was the only trace of Shakespeare’s literary works. A man named Reverend James Wilmot was said to have searched all of Warwickshire to look for any piece of evidence that would present Shakespeare’s literary activity. Reverend Wilmot did not find any anecdote, letter, document or any memento (Lanciai). Surely, anyone who is claimed to be a writer will have volumes of writings in his home, or any piece of writing at all. The article also explained that Reverend Wilmot’s discovery led him to conclude that Shakespeare really must have another writer. His education also proved nothing but extraordinary. According to Price’s book also, the businessman from Stratford only acquired a grammar-school education at most. While possible, it is difficult to believe that a person of such educational attainment could produce the level of intellect and cultivation found in his works. It is almost unquestionable when one makes the claim that Shakespeare’s works have shaped the way English dramas are to be written, as put by another source, â€Å"He creates and establishes the English verse drama, he gradually develops the English drama into the form which subsequently and invariably becomes the Shakespeare standard (Leahy, William). † This particular writer is one with the critics who says it is impossible that these works of great quality could have been produced by a man with little educational background. Leahy added in his article, â€Å"It’s not likely that Shakespeare could master this form directly without preparatory work in such an accomplished professionalism which is already evident in the first Shakespeare dramas. † What made him say this is due to his non-existent education and lack of experience of Cambridge, France, and Italy. Aside from this, Price adds how scholars point out that his knowledge of several foreign languages is deemed dubious. The article explained that there is no indication that Shakespeare knew any languages other than English, or that he ever left England. The discrepancy between the images of the two persons has fuelled the debates for the authenticity of the businessman from Stratford’s authorship in the Shakespearian works. The Real Shakespeare Among the numerous strings of allegations and speculations regarding Shakespeare of Stratford’s merit to claiming authorship to a number of literary works, a lot of names have also surfaced. Among these people was Francis Beaumont, a young dramatist who passed away in the same year William Shakespeare died. As death could sometimes speak of the greatness of a person, we could surely say that Beaumont was considered as one of the significant people in English drama. The whole of England mourned for his death and paid tribute to the dramatist. Aside from this young dramatist, another man is claimed to be the real Shakespeare. Ben Jonson, who also completely dominates the preface to the first edition of the complete works of Shakespeare, which appeared in 1623, is also suspected to be the real author of the plays (Lanciai). Lanciai adds that Ben Jonson himself has published his complete works first, which could have led him to think that the Shakespeare dramas should also be published. In addition, Christopher Marlowe has been alleged to be the original Shakespeare. Born in Canterbury, he was a learned man who received his education in the King’s School Canterbury, as well as Corpus Christi College, Cambridge through scholarships. The resonance with the quality of education has convinced many scholars, but what was more convincing was the practice he was able to gain in translations, poetry, and playwrighting (Oleg, et al). Lanciai also mentions another probable author to the works in question. After the discovery of Reverend Wilmot regarding the absence of Shakespeare’s literary work, the Reverend believed that a man named Francis Bacon should be recognized as the authentic author. The Reverend concluded that Shakespeare must have been the protective name for Bacon. According still to Lanciai’s article, Bacon’s education, experience and knowledgeableness could be better reconciled with the intellectual level exhibited by the works. Also, as the authorship clearly indicates that the experience were collected from at least the Cambridge university, Italy, and France, Bacon proved to be a probable candidate to the authorship as he had extensively went to these places. To add, Bacon’s education allowed him a position as an ambassador and to also serve as a member of the House of Commons. He was knighted and moved to higher political positions after the ascension of James VI (Oleg, et. al) In conclusion, the works of Shakespeare are not to be questioned with respect to the contribution in Literature and the quality of art that it contains. While the question of the Shakespeare authorship has been around for hundreds of years and is therefore a very important matter to be settled, it would be more important and more contributory if aspiring writers who are inspired by these works to focus their attention to â€Å"what† and not as to the† who. † Works Cited: King, Edmund G. C.. In the Character of Shakespeare: Canon, Authorship, and Attribution in Eighteenth-Century England Lanciai, Christian. A Summary of the Shakespeare Problems. Research Journal Volume 06 2009 Online Research Journal Article. The Marlowe Society. 2009 Price, Diana. Shakespeares Unorthodox Biography: New Evidence of an Authorship Problem Seletsky, Oleg, Huang, Tiger, Henderson-Frost William. The Shakespeare Authorship Question.

Sunday, October 13, 2019

Advantages And Disadvantages Of Mechanical Joining Engineering Essay

Advantages And Disadvantages Of Mechanical Joining Engineering Essay Mechanical joining is the part method to joint components together, which mechanical joining is accomplished have expanded, the number of joints produced continuous to grow and the performance demands and expectations are becoming greater. The joining process can remain the prolific, pervasive, and important of joining process. There has two type of this process such as mechanical fastening and integral mechanical attachment, or simply integral attachment. Mechanical joining involves the attachments of components in an assembly or elements in structure through the either an integral of the components or elements or use of the supplement device called a fastener, which resulting in integral mechanical attachment and mechanical fastening. Mechanical joining is used joining or install structure from details parts and structural elements. For the both manifestations of mechanical joining, load are transferred from one component or element to another strictly through the development of pu rely mechanical forces rising from the interlocking and resulting interferences or vice versa of two or more components or components and fasteners. There are no dependences on the development of any primarily or secondary atomic, ionic, or molecular bonds between the components materials. Mechanical is the components to fabricated from different materials to be joint, There is no has for chemical and physical interaction. If the interaction occurs when seen as problematic such as galvanic corrosion or galling and seizing during adhesive wear. Mechanical joining is used to create assemblies or structures from detailed parts or structural elements. Mechanical joining offers many advantages compare to other fundamental joining process. The first advantages of mechanical joining is this process unique in that is primarily dependent on the structures to be joined, and only dependent on the materials which these structures are composed. No bonds need to be formed to accomplish joining, nor do any need to be broken to accomplish disassembly. Where, mechanical joining methods or technique uniquely allow simple practical disassembly without damaging the parts involved. The second advantages is uniquely allows intentional disassembly without damaging parts involved. Where, this is very frequently essential for the purpose of portability, maintenance, services replacements, of damages parts, modification, of the assembly or structures. The third advantage is no bonds formed. Where, is the most form of mechanical fastening and some form of integral attachment permit relative intentional motion between joined parts. The fourth advantage i s mechanical joining may no changes to the chemical composition or microstructures the materials compare the parts being joined. Where, this is because the forces needed to hold the joint components together. And no atomic à ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬level bonding are created and no chemical interaction. The fifth advantage is this joining allows the different materials to be joined together such as metal to glass, and metal to polymers. The sixth advantage is provides a simple of achieving of structural damage tolerance beyond inherent material damage tolerance. Mechanical joining also has disadvantages such as, all mechanical joining fastening and integral attachment is that stress concentrates at the point of fastening or attachment. For example of fastener requiring hole is screw, key, bolt, rivet and pin. The hole can create the stress concentration unless the fastener is interference is specially process to create a compressive residual stress to offset tension stress. For other type is virtually all integral attachment, stress concentrates at the point of attachment. Stress concentration is particular concern in fatigue critical structure, but it can more aggravate accelerate corrosion. The second disadvantages of mechanical joining is mechanical joining related to above mentioned stress concentration is that the utility of mechanical joining. Stress concentration can lead to fastener hole or attachment feature distortion and loss of effectiveness. The utility of mechanical joining can be limited by materials anisotropy, particularly i f that anisotropy leads to weakness through the fastening thickness, as in most laminated composites. The result can be fastener pull through or pull out. The third disadvantages of mechanical joining can be the open nature of the joint between points of fastening, around fasteners and between points of attachment. Such as joint allows moisture, water, air, fluid intrusion, permits leaks, and can accelerate corrosion in the oxygen starved crevice and dissimilar electrochemical nature of the joined materials or any residual stresses. For example, the ever present stress concentration. Other disadvantage of mechanical fastening is more intensity for assembly can be high, especially for high performance system. There can also be a weight when compare to integrally attached as welding, brazing and soldering. The joining can loosen in service as a result of vibration. Most cost or other process can be higher for some integral attachment method. It also can experience loosening and disass embly from flexing especially during impact from dropping, or material stress relaxation. As stated earlier, most joint are critical element of assembly and structure. They can be the weakest links in some assemblies or structures, thereby being the most likely areas of an assembly and structure to fail. Therefore, joints demand careful design for all forms of joining, including mechanical fastening and integral attachment. The most important aspects of the design joints is identifying the sources and estimating the magnitudes and directions of applied internally generated loads. The sources of loads can be weight or force, example from snow, water, wind, or other parts of the structure. The forces from interacting structures, internal inertial forces, vibrations, transients, especially from startups, shutdowns, and faults, temperature changes or thermal excursions, fluid pressures, prime movers. The joint element is held together by shear in the fastener and the bearing force or stress in the joint elements created by the fastener. For example of fastener properly used f or bearing-type shear-loaded joints are nails, rivets, pins, and key. When these joint is operating properly, the frictional force developed precludes the fastener from having to carry and apply a bearing force by not allowing slip of the joint element. Bolt can be used for joining such as a rivet is used on occasion. Because of the mechanical fastener is a stress and develop a stress concentration in the joint element. Mechanical fastener also relative to one another help distribute loading and also to edge of the joint elements. Shear loaded types of joints and fasteners being described here, and for tension loaded types of joints and fasteners to be described in the next subsection. Bearing force is imposed by this type of fastener hole and plastic deformation of the material surrounding the hole on opposing structure elements. The bearing force also tear and slugs of material from the join element. This can occur under static loading and the situation can be even worse for dynam ic loading by impact fatigue. Mechanical joining is used to joining or install of structure from details parts and structural elements. For the both manifestations of mechanical joining, load are transferred from one component and also the element to another the development of purely mechanical forces and rising from the interlocking, and result can more components and fasteners. There are no dependences on the development of any primarily or secondary atomic, ionic, or molecular bonds between the components materials. Mechanical allows components fabricated from different materials to be joined, since there is no need for chemical or physical interaction. If the interaction occurs it is usually seen as problematic such as galvanic corrosion or galling and seizing during adhesive wear. The procedure for design shear loaded fastened joint is the allowable stress design procedure. This procedure can be more fasteners are assumed to carry on equal share of the applied force and load. This procedure also is only truly valid for joint that are composed of perfectly material, which is not real case and at least valid for joint containing multiple row of fasteners. This procedure is generally accepted and is perfectly safe when conservative allowable are used, such as the result of imprecise analysis. Shared loading also depend on all fastener being same size and material. Shared loading also has fitting with equal tightness in fastener hole. Empirical used to determine the maximum working stress that can be allowed in the fastener. Under the stress design procedure for bearing type shear loaded joints, the various elements of the joint such as including structural members and fasteners and must be sized so that the following conditions are satisfied, the fasteners can be not damage in shear by overload, the joint plate can be not damage in tension by overload, the fastener holes cannot be deformed by bearing loads from the fasteners, and the fasteners will not tear out of the joint plates at edges. These various modes of potential failure are shown schematically. None of these modes will occur if the appropriate allowable stresses are not exceeded in the fastener, for example shear. The advantage of the allowable stress design procedure is not precludes failure under any conditions such as although it does so under normal operating condition, but that it allows the designer to choose the mode by which the structure would ultimately damage. This procedure allows the designer to choose the low joining in the structure. The double-lap shear is composed of ASTM A36 steel, contain five 22 diameter ASTM A325 steel bolts arranged as shown although the specific pattern does not matter for symmetrical loading, the bolts have a thread pitch of 2mm per thread or, in the Unified system. Shear plates in the double lap joint the unthreaded portion and one passes through the threaded portion of each bolt. The problem is to determine the various stresses produced in the fastener and in the joint plates by a load of 300kN (67,000 lbs. force). The shear stress produced in a fastener given load depend on the actual cross sectional area of the fastener, and this is affected by whether the fastener is threaded and unthreaded in the region through which a shear plane in the joint elements passes. For example, the shear stress where F is the force in kilo Newtonà ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ãƒ ¢Ã¢â‚¬Å¾Ã‚ ¢s (or lbs. force), b is the number of shear planes that actually pass through the unthreaded fastener or portion of the shank of a fastener. Joint is critical elements of assemblies and structures. They can be weakest link in some assemblies or structures, thereby being the most likely areas of an assembly or structure to damage or low joining parts. Joints demand careful design for all forms of joining, including mechanical fastening or integral attachment. The most important aspects of the design of all joints is identifying the sources and estimating the magnitudes and directions of applied and internally generated loads. The loads also can be static, for example for steady or unchanging and dynamic in combination. The sources of loads can be weights or forces as from snow, water, wind, or other parts of the structure. The forces from interacting structures, internal inertial forces, vibrations, and transients especially from startup, shutdown, and the temperature can be changes in thermal excursions, fluid pressures, prime movers. The joint element is shear in the fastener and the bearing force. Stress also created by the fastener. The examples of fasteners properly used for bearing type shear loaded joints such as nails, rivets, pins, and keys . In friction shear loaded joints, the fasteners must create a significant amount of clamping force on the joint, holding the joint elements together and prevent any motion and slip. The resulting friction created between the joint and the result of their coefficient of friction and applied normal force. When these joints are operating properly, the frictional force developed precludes the fastener from having to carry and apply a bearing force by not allowing slip of the joint elements. Only bolts can be properly used for such joints, certain rivets are used on occasion. The shear stress in bearing type connections is related to the arrangement of the pieces or structural elements comprising the joint. The advantages of single-laps are ease of assembly and cost, and the advantages of double laps are elimination of eccentric loading and reduction of shear stresses at each of the multiple shear planes in the fastener in bearing type joints. Finally, the designer must ensure that fasteners will not tear out of the joint plate. This can only occur if the fasteners are located so close to the edge of the plate that the shear stress developed by bearing exceeds the ability of the plate material to sustain that stress over all shear planes from the fasteners to the edge. In fact, tear out cannot occur if there are multiple rows of fasteners, given sharing of load by all fasteners. This is because a slug of material near the edge could not tear out if the strain to elongation at the fastener holes, because by bearing did not exceed the strain needed to cause shear overload over all the aforementioned planes. In this illustrative example there are multiple rows of fasteners, so tear out could not occur and the holes on the second and third rows from the edge would have to elongate in bearing by enough to cause tear out of slugs between the first row and the edge. If there were three bolts in a row, there would be six shear planes such as on areas to cause tear out. For friction joint, the design analysis is slightly different than for bearing type joint. Friction joint also the intent to have an appropriate fastener, for example a bolt or machine screw or, sand rivet to apply a clamping load high enough to cause sufficient frictional force to applied the load, The fastener is protect from ever having to carry shear or cause bearing. The necessary slip resistances, as the frictional force to apply in this way is called, depend on greatly of the surface conditions of the structural joint element materials at their joint faying interface. Typical slip coefficients of friction can be found. V alues can be seen to be highly dependent on the treatment and condition of the joint surfaces, which must be carefully stipulated and controlled for such friction-type joints to work reliably. For example, surfaces cannot be painted unless painting is called for and an approved paint is used. No lubricants can ever be used if not planned for at the design stage. One even needs to worry about water infiltration in such joints, since water acts as a lubricant and drastically lowers the slip coefficient of a joint consider being dry during operational service. The ultimate strength of a friction type joint is considered to be the low of resistance or bearing strength. The bearing strength is more strong by using the same equations as in IE 2.2, except that one would enter the related stress for each material used in the joint plates and fasteners and apply the force that would be required to produce a stress to cause shear overload in the fasteners, tensile overload in joint plates, el ongation such as in bearing overload and can be fastener holes in every part joint plates, or fastener tear-out from the joint plate near its edge. The low force is then compared the force to cause slip because to earlier for an assumed value of average fastener joint preload. The lower of these determines the ultimate load-carrying capacity of the friction-type joint. Mechanical allows components fabricated from different materials to be joined, since there is no need for chemical or physical interaction. If the interaction occurs it is usually seen as problematic such as galvanic corrosion or galling and seizing during adhesive wear. Mechanical joining is used to create assemblies or structures from detailed parts or structural elements. Mechanical joining, load are transferred from one component or element to another strictly through the development of purely mechanical forces rising from the interlocking and resulting interferences or vice versa of two or more components or components and fasteners. There are no dependences on the development of any primarily or secondary bonds between the components materials. Mechanical joining is actually processing in a locking feature plastic deformation. Such joints can only be employed with materials that exhibit plastic deformation, yet still retain their strength or mechanical integrity. Ductile metals and thermoplastic polymers are the two example such as formed in folded tabs, crimps, hems, and punched stakes are good example in metals, and crimps, hems, and punched or heat set stakes are example in thermoplastic polymers. Mechanical joining is allows parts to assemb ly to move relative to one another to provide needed system functionality, while maintaining part arrangement, proximity, and orientation. The process causes no chemical and microstructure will be changes in the material being joined, so dissimilar types can be combine easily, and all can be intentionally disassembled to allow maintenance, service, repair, upgrade, ultimate disposal, or portability The joining parts assemblies and a structure element is joining in structures mechanical joining, which involves two major subclasses of mechanical fastening and integral in mechanical attachment. Mechanical joining is to attachment of components in an assembly to use of either an integral feature is used the part to install the supplemental device called a fastener resulting in integral mechanical attachment and mechanical fastening, respectively. Mechanical joining is a load to transfer from one parts or element to another strictly and the development of purely mechanical forces arising from the interlocking and resulting interference of two or more components, or component and fastener. Mechanical is the components to fabricated from different materials to be joint, There is no has for chemical and physical interaction. If the interaction occurs when seen as problematic such as galvanic corrosion or galling and seizing during adhesive wear. Mechanical joining is used to create assemblies or structures from detailed parts or structural elements.Mechanical joining has been critical to engineering such as in manufacturing, structure, and also in construction. Mechanical joining is very important because the result more fastener from other process. Mechanical joining has more advantages. The detailed methods by which mechanical joining is accomplished have expanded, the number of joints produced continues to grow, and the performance demands and expectations are becoming greater.