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Costa Coffee free essay sample

Costa Coffee is another effective bistro industry in United Kingdom simply like Starbucks. They sell various types of cooked espresso in dis...

Monday, September 30, 2019

Effects of Social Networking Sites Essay

Traffic to social networking sites (SNS) like Facebook, Twitter and MySpace has increased due to ongoing popularity with younger Internet users. Online villainy, such as cyber-bullying and sexting among the younger generations, has become alarmingly frequent through these sites. Recently, teenagers and tweens have not only been the victims, but also the perpetrators of these acts. This growing trend is said to be attributed to the amount of time these children spend on the Internet, mainly on social networking sites. The Internet provides a place where its users feel that their identity is concealed, allowing them to post or distribute harmful things that they wouldn’t normally do in a social setting. Through this younger generation, the online self has found a way to escape from its confinements on the web and work its way into society. Schools are struggling to discipline students who speak out of line to authorities and use crude language inside what is supposed to be a secure environment. Some say that the Internet is causing intelligence and mannerisms to decrease with extended use. Another problem, that is being brought to light, is the evolving form of bullying through the Internet. Parents and educators are having a hard time preventing this due to unfamiliarity they still consider bullying to be a violent act through physical contact. With the new generation, bullying is virtual as well as physical, flip-flopping between settings. The extreme contrast between these two different types of bullying makes the online one both hard to spot, and hard to discipline; the rules are different. Read more:Â  Social Networking Sites and its Impact on Youth The news has reported tragic stories of young adults committing rash acts after enduring online bullying that include: fighting back with escalated violence, sending computer viruses, dropping out of school and even committing suicide. A very small percent of children that are cyberbullied actually talk to their parents about the problem. With Internet violence rising with the increase in social networking sites’ members, younger Internet users must be educated on the dangers of the online world, and the emotional and mental affects that can come from Internet abuse.

Sunday, September 29, 2019

Racial Compare and Contrast

Many different cultures and races faced hardships just because they were a certain religion or nationality. They have been punished time and time again for no apparent reason. We have seen many instances of this throughout history. Specifically I will touch on the holocaust and the Japanese American internment. I am going to compare and contrast the two stories, â€Å"Night† by Elie Wiesel and â€Å"Farewell to Manzanar† by Jeanne Wakatsuki Houston. These are two stories that are very alike but still have many differences. There are some between these two stories.You could start with the fact that in both, the main character is a child whose family is forcibly moved from its home to a restricted and enclosed area due to an official government policy of discrimination against the family's ethnic group. In both stories, family members are separated, many hardships are endured, persons struggle to understand why this is happening to them and how to maintain their identity in the face of the dehumanizing conditions in which they are being held. Both stories contain many elements show the emotions of suppression and separation.In both cases, the narrator of the story survives and becomes a spokesperson for all who were in the camps in later years. There are also many differences between the two stories. The specific ethnic and religious backgrounds of the subject persons are much different. One is Japanese and the other is Jewish. Many of the Jews are killed and annihilated by the German Nazis, whereas many of the Japanese were allowed to return to life in the general society of the United States after the war was ended.The types of activities undertaken by the persons in the different camps are very different, reflecting the differing attitudes toward the camp's residents by the governments of the United States and of Germany. The oppression of people has been seen many times and history and should not be taken lightly. We have to learn from our past mistakes. We can use the perspective of these authors to learn from the mistakes of the human race. Most of the time we only see the outside of situations, but these stories let us see the interior perspective of the situation.

Saturday, September 28, 2019

How Time Management Skills Can Effect Educational Achievement Education Essay

Time direction is really of import and it may really impact person ‘s overall public presentation and accomplishments. However, all of these are related by how persons manage their clip to accommodate their day-to-day life or to do it flux steadily with their modus operandis. Conducive scenes and environment will certainly advance positive results to the pupils, besides holding good talks given by their lectors. Nevertheless, pupils ‘ clip direction can be considered as one of the facet that can travel a pupil to be a good pupil. A good clip direction is critical for pupils to stand out. However, some of the pupils do non hold a good clip direction accomplishments that has negatively impact their life and their survey. The use of clip by pupils in higher instruction establishments is related to their day-to-day modus operandis and activities. Students ‘ clip direction can besides impact stress degree of pupils as they need to get by with their undertakings and their personal errands. In educational establishments of Malaysia, clip direction has a function in finding how the pupils perform. This includes the pupils who are specialising in the instruction profession. Teaching profession is one of legion professions accepted widely throughout the whole universe. Due to this peculiar ground, higher acquisition establishments all around the universe nowadays provide classs which either closely or straight related to the learning profession. The acquisition establishments in Malaysia are non excluded. Here in Malaysia, higher learning establishment provides educational classs in assorted Fieldss of survey. Many larning establishments have their ain Faculty of Education to provide the demands and the pupils to foster their surveies in this peculiar field. Among these universities are Universiti Pendidikan Sultan Idris ( UPSI ) , Universiti Malaya ( UM ) , Universiti Malaysia Sarawak ( UNIMAS ) , International Islamic University Malaysia ( IIUM ) , Universitit Kebangsaan Malaysia ( UKM ) , Universiti Malaysia Sabah ( UMS ) , Universiti Putra Malaysia ( UPM ) , Universiti Sains Malaysia ( USM ) , Universiti Teknologi Malaysia ( UTM ) and Universiti Teknologi Mara ( UiTM ) . The pupils who are undergoing the classs under the Faculty of Education are being exposed to what they should cognize and fix for the educational field besides the cognition that they gain during category. All of the pupils are being trained in bettering both their cognition and besides their soft accomplishments. However, all of the pupils do non hold the same manner of pull offing their clip. This may hold an consequence both on their academic and societal life. In order to find how pupils manage their clip, a survey demand to be carried out among pupils who are taking the B. Ed. in Teaching English as a Second Language ( TESL ) programme at the Faculty of Education, UiTM Shah Alam. This survey is specifically for Part 8 or concluding semester pupils who are presently analyzing under the TESL programme. Statement of the Problem. Students in every university are different from one another, particularly in the manner they manage their clip. The manner of managing clip for each person is different in UiTM even though the classs taken are the same. Some of the pupils are even analyzing in the same category. Some category will hold the session of a peculiar topic in the forenoon and some possibly holding it in the afternoon or even later in the eventide. The clip allotment of the category may impact the pupils ‘ clip directions. In other words, pupils manage their clip to suit their demands and most of them pull off their clip by prioritising on what they want to make, instead than what they need to make. This consequences in the troubles of the pupils in executing their undertakings based on what they planned. Therefore, it is necessary to transport out a survey in order to find how pupils manage their clip, and how it affects their surveies. A survey demand to be conducted to happen out how the pupils manage their clip throughout their period of survey and how it may impact their surveies. The pupils are larning harmonizing to the timetable provided by the module that may or may non disrupt their common day-to-day activities. The pupils have different ways to pull off their clip to provide to their survey program. This survey is conducted to place portion 8 TESL pupils of UiTM clip direction and how it affects their surveies. Research Aims The chief aim of the research is to find the ways portion eight B.Ed.TESL ( Hons ) pupils in the Faculty of Education, Universiti Teknologi Mara ( UiTM ) , Section 17 Shah Alam, pull off their clip. The aims of this research are as stated below: 1.2.1 To cognize how the pupils manage their clip and their day-to-day modus operandi during their continuance of survey. This is chiefly to look into how pupils manage their clip throughout their survey which includes clip for both academic and personal activities. 1.2.2 To look into in what manner clip direction affects their surveies and public presentation. To detect how does pupils ‘ manner of pull offing clip affects their surveies and their public presentation. 1.3 Research Questions This research is intended to reply the undermentioned inquiries: 1.3.1. How do the portion 8 B.Ed. TESL pupils manage their clip during their period of survey? 1.3.2. How do they get by with academic work load during their survey? 1.4.3. Do they hold equal clip for societal activities? 1.4 Significance of Study The significances of this survey are: 1.4.1 To find how portion 8 B.Ed. TESL pupils of UiTM pull off their clip during their period of survey, including on how they manage their clip for academic activities and clip for socialising. This can be looked on how portion 8 B.Ed. TESL pupils make agreement of their clip, in which can be related on how they divide the clip for academic intents and besides the clip for their societal demands. This survey will detect how portion 8 B.Ed. TESL pupils of UiTM pull off their clip to accommodate their demand as pupils. 1.4.2 To raise the consciousness of portion 8 B.Ed. TESL pupils of UiTM on how they manage and spend clip for their modus operandis as pupils. The survey is of import for both pupils and the Faculty. It will convey benefits to the pupils who are non cognizant of how they spend or pull off their clip. The information collected in this survey can be used as a guideline to the pupils to fix a better manner to take their life or on how to pull off their clip decently. This besides will assist the pupils to do better clip direction for their academic and societal life. 1.4.3 To enable the university to form activities related to clip direction accomplishment and self-improvisations, in order to heighten the pupils clip direction both during and after their categories. The Faculty may besides utilize the informations collected to transport out activities related to clip direction in order to better whatever that should be improved about their clip direction. The pupils may besides do necessary alterations on how they spend their clip or reschedule their day-to-day modus operandi in order to accommodate their demands or even to increase their public presentation in survey. 1.5 Restriction of the Study The restriction in this survey is on the figure of the respondents. For this survey, it would non be possible to obtain the information or information from all TESL pupils of UiTM. Due to that, the sample has been limited to portion 8 B.Ed. TESL pupils of UiTM in Section 17, Shah Alam, Selangor merely. 1.6 Definition of Footings Several footings will be used throughout this survey. These footings are interrelated to one another and are used particularly when mentioning to the topics and the survey done. The footings used may be different in significance. 1.6.1 Time: Harmonizing to Merriam-Webster Collegiate lexicon, 11th Edition ; clip is defined as â€Å" the measured or mensurable period during which an action, procedure, or status exist or continues † . Time in this research refers to the activities of portion 8 TESL pupils of UiTM.. 1.6.2 Management: Harmonizing to Collin ‘s Cobuild Advanced Learner ‘s English Dictionary, New Edition 5th ( 2006 ) , direction carries the significance on the manner people control different parts of their life. 1.6.3 Time Management: Based on the definition of clip and direction given above, clip direction can be said as the manner of how persons control their clip throughout their day-to-day life. In this survey, throughout their day-to-day life refers to clip direction applies to the period when portion 8 pupils are analyzing at UiTM subdivision 17, Shah Alam.

Friday, September 27, 2019

Aerodynamic shape optimization for morphing multi-element airfoil Dissertation - 1

Aerodynamic shape optimization for morphing multi-element airfoil based on CFD by using adjoint method algorithm - Dissertation Example The multidisciplinary optimization of the aircraft structure is undertaken during the preliminary design phase itself. Thus the final objective of the aerodynamic design is, to arrive at the best aerodynamic configuration that gives the best operational performance given the constrains, irrespective of the method chosen to achieve this. One of the important techniques of design is by using the techniques of Computational Fluid Dynamics (CFD). The CFD based design approaches are normally classified into three different methods namely – inverse surface models, inverse field model and numerical optimization models. When the design variables goes over 1,00,000 the conventional methods would soon approach its limits. The numerical models have been widely accepted in the design process and have clearly established their advantages over the conventional design process.

Thursday, September 26, 2019

Assessment task 3 Assignment Example | Topics and Well Written Essays - 2000 words

Assessment task 3 - Assignment Example ed that that nation will face crucial problems due to such impacts specifically in terms of unemployment, inflation, business process and financial growth. In this regard, it is quite indispensable for the government of the nation to adopt and execute effective measures in order to boost and promote the domestic demand of national goods and/or and develop the economic conditions of the country at large. Macroeconomic dimension of economics is regarded as the field of studying different behaviours of economies that entail unemployment, national income and growth rate among others and their impact on the nation as well as international market. Macroeconomic issues are duly considered to be the major issues for an economy that mainly emerges due to having discrepancies in certain important developmental aspects including full employment and economic stability along with growth. It is projected that the macroeconomic issues will lead towards generating problematic situations within any particular nation in the form of lowering employment rate and raising inflation, resulting in hindering the growth of a nation at large. This factor will likely to impact the revenue, profitability, wage system and employment rates of the nations by an extensive level (McConnell, & et. al., 2009; Carson, & et. al., 2005). Correspondingly, the assignment will highlight the major macroeconomic issues that have been facing by Australia’s economy in relation to its current account deficit despite the mining boom recorded in terms of trade. Besides, various important aspects including the short along with long-term economic impacts of having deficit in current account and strategies that can be implemented by the government of the nation to address the situation will also be discussed in the assignment. Macroeconomic issue related to the deficit in current account often arise at the time when the trading of imported products exceeds the amount of export during a specified time frame. It

Principles of Risk Transfer Essay Example | Topics and Well Written Essays - 1500 words

Principles of Risk Transfer - Essay Example In assessing the captive insurance industry in Bermuda, there is a need to understand the nature and merits of considering Bermuda’s domicile. Bermuda’s Captive Domicile Bermuda is a leading offshore captive domicile globally. This is a result of onshore administrative burdens and the costs related to conducting business in a US-based or Lloyd’s-based captive in the mid 20th century. This forced Reiss to look out for authority that would permit the flourishing of the captive insurance. Bermuda was selected due to its unique geographical site, good image and status as a British sovereign boundary that disliked uncertainties and perils normally encountered by multinational corporations conducting their business in politically volatile and irresponsible nations. Besides, captives in Bermuda are majorly owned by huge US firms. It can be noted that the second biggest licensing authority in relation to the number of captives is the Cayman Islands (Duffy, 2004, p. 97). Vermont ranks second in connection to the assets owned by insurance firms and third in relation to licensing of the captives. Regulation of Bermudan is done by the Registrar of Companies and the Minister of Finance under the Insurance Act of 1978, the companies Act of 1981 and the Insurance Amendment Act of 1996 (Sierk, 2008, p. 51). Through the regulation a better flexibility is offered compared to other authorities, with the industry carrying the burden of self-regulation, which accounts for the great success of insurance in the state. Moreover, the insurance industry has frequent annual audits jointly with a certificate of solvency, which ensures transparency in the manner risks are managed. Furthermore, most of the captives are registered in two classes under the Insurance Act. Class 1 insurers are unit parent captives, which are not allowed to write any form of unconnected business, while class 2 are relational captives or multi-parent, which are allowed to write up to 20% unco nnected business (Sierk, 2008, p. 59). Class 1 insurers have a minimum solvency requirement of $ 120,000 during the time of writing while class 2 has a minimum solvency requirement of $ 250,000. However, there are other classes which insurers can register; one of them is class 3, which does not include insurers and reinsurers. This class has a minimum requirement of $ 1 million. Class 4 has a minimum requirement of $ 100 million, which includes insurers and reinsurers writing instant additional liability or asset catastrophe risks. In addition, Bermuda is the best domicile since it has no income, corporate or through withholding taxes for operation of the captive insurance. Besides, the initial cost of putting up an insurance company is approximately $ 10,000. The legislation also provisions for rent-a-captives and secured cell firms (DFA, 2007, p. 13). The insurance industry’s rent-a-captive projects permit unconnected participants to be involved in the process of profits un derwriting from the insured risks in the captive. It also allows them to place irrelevant perils via the captive. Securitization of debt is eventually enabled in the risk securitization. Protected cell firms permit a firm to have distinct departments or cells independent of the other cells in circumstances of liquidation. Apparently, the joint combination of secured cell regulation and the rent-a-captives gives

Wednesday, September 25, 2019

Health appetite Essay Example | Topics and Well Written Essays - 500 words

Health appetite - Essay Example ishes to impress teamwork at the workplace must understand the important of teamwork from three varied viewpoints: (1) increased speed of work (2) workload distribution, and (3) faster learning. Team work promotes faster learning. Workers when working as a team tend to learn what they do at a faster rate. The knowledge and experiences of the older team members enables others to grasp new concepts faster. Teamwork also proves to be an added bonus for employees to avoid mistakes at work. It also promotes workload distribution. This way, team members will work effectively when work is distributed. This allows them to focus on one activity till the time that they are sure they have gained expertise in it. Therefore, they do not feel stressed out. Last yet important, teamwork increases speed of work. With many workers working on a single project and accomplishing the assigned task properly, the speed of work is largely increased. The team can therefore, complete a given project as require d and within the appropriate time. In the current globally competitive market, the success of an organization wholly lies in the speed of performance of its employees. A dull, and demotivated team but lacking coordination and speed results in the downfall of the organization. On the other hand, an organization with a well-organized workers often chart out their path to success. The Human resource policies of a company are as such directed. This is for the betterment of an employer and employees as it helps them maximize performance. The aforementioned benefits of teamwork are team specific. However, teamwork is beneficial even at an organizational level. It benefits the organization by increasing the organization’s productivity, which is an important factor in fulfilling commitment and meeting set targets. Also worth mentioning is that teamwork promotes effective utilization of manpower. This is one major reason that makes most organizations to promote teamwork at the

Tuesday, September 24, 2019

The Game Theory Essay Example | Topics and Well Written Essays - 1000 words

The Game Theory - Essay Example The games are well defined mathematical objects where it consists of a set of players, a set of strategies (moves) available to players and specification of payoffs for combination of strategies. A player is said to be rational if he play in a manner which maximizes his own payoff. It is often assumed that rationality of all players is common knowledge. A strategy dominates another strategy of a player if it gives a better payoff to that player, irrespective of what the other players are doing. For example, if a player have two strategies A and B the outcome resulting from A is better than that of B, then strategy A is said to dominate strategy B. A rational player will never choose to play a dominated strategy. In an extensive game, a strategy is a complete plan of choices, one for each decision point of the player. A mixed strategy is an active randomization, with given probabilities, that determine the players decision. The games are splitted as cooperative and noncooperative games. In a noncooperative game the participants cannot make commitments to coordinate their strategies, and hence the solution is a noncoopoerative solution. In a noncooperative game with finite players Nash equilibrium is a set of mixed strategies between two or more players where no player can improve his payoff by changing his strategy. Noncooperative games are defined by extensive and normal forms whereas cooperative games are presented in characteristic function form. In extensive form, games are often represented as trees and each node (vertex) represent a point of choice for a player. Each player is represented by a vertex. The lines out of vertex denote possible action for that player and the payoffs are specified at the bottom of the tree. In the normal form (or strategic form) game is represented by a matrix which tells strategies, players and payoffs. In general it is represented by any function that associates a payoff for each player with every possible combination of actions. In the normal form it is assumed that each player acts simultaneously without knowing the action of other. In cooperative games the individual payoffs of player are not known but the characteristic function gives the payoff of each coalition. For empty coalition the payoff is considered to be 0. In partition function form the payoffs not only depend on its members but also on the rest of players who were partitioned. In cooperative game participants can make commitments to coordinate their strategy which is a converse to noncooperative games. Cooperative games are particularly used in economics. In cooperative games if side payments (incentives) are allowed then the corresponding solution concept is known as transferable utility cooperative value otherwise it is known as nontransferable utility cooperative value.In game theory we have zero sum and non zero sum games. In zero sum games, the players gain or loss is balanced by other players losses or gains so that the total gains obtained when subtracted with total losses of the players gives a zero sum. In nonzero sum games we have sum le ss than or more than zero. A game is said to be sequential if one player performs his action after another or else it is a simultaneous move game.An example for a zero sum game is Matching pennies. In this game we have two players having a penny. On tossing the

Monday, September 23, 2019

Essay in 3 part Example | Topics and Well Written Essays - 1500 words

In 3 part - Essay Example I think education grooms a person, and if the education discipline is that in which one wants to pursue a career, then there remains practically nothing between success and the person, assuming he puts in all his efforts into his work. Studying business management would not only allow me to understand various theories that underpin how businesses are managed, but would also allow me to learn from real life experiences of people, that I could later use to my help when I start my career. Moreover, almost all business management courses have an internship requirement before graduation, and that I believe, is the perfect time when young business graduates get to apply theoretical knowledge at work and get hands on experience with real life scenarios. Once I get done with my Bachelors’ Degree in Business Management, I would have a lot of career opportunities lying in front of me. To start off with, I would ideally want to start my own company from scratch and take it to the verge of success. However, sometimes situations arise that cause a deviation from the prime plan; in these circumstances too I believe having studied business management I would be open to a wide array of jobs around the globe. A look down business management graduates tell us that they have been able to discover innumerable career opportunities in all fields of work, including accounting, finance, human resource, supply chain management and various others. In this section I would be comparing the university where I would be pursuing my education from, Liverpool John Moores University (LJMU), against another university which teaches the discipline that I would be pursuing; Manchester Metropolitan University Coventry University (MMU). LJMU gives a rough timeline of completion of the BA Hons Degree in Business Management as three years, while CU also gives a similar time frame for degree completion. A look at the course structure of the two programs also proves that both of

Sunday, September 22, 2019

George Simon Ohm Essay Example for Free

George Simon Ohm Essay Fair test Safety In order to make the experiment there are certain procedures that I must follow. I must use the same voltmeter, ammeter and constantan wire. This is in case other ammeters or voltmeters are using different settings. To make the experiment safe we must check all wires and crocodile clips for faults. When we are doing the experiment we must also use a low voltage. Method 1. Collect apparatus: a voltmeter, an ammeter, 7x wires, 1 crocodile clip, and 100 cm constantan wire. (at lengths of 26 standard wire gauge, 28 standard wire gauge and 36 standard wire gauge) 2. Set apparatus up as shown: 3. Set the power pack on as low a voltage as possible. (So that there is not too high a current passing through the circuit. ) 4. Place the 100 cm of constantan round the holders. Then connect the crocodile clip. 5. Turn on the power pack and record what the ammeter and voltmeter read. 6. Record the results, in a pre prepared table. 7. After recording all results for the 26swg piece of wire. Wait. Turn off the power pack. Take 28 SWG constantan wire. Turn on your power pack and record what the ammeter and voltmeter say. 8. Change the wire to 36 SWG of constantan wire and repeat the experiment. 9. Work out the resistance for all the results using Ohms law. V = I*R Obtaining evidence Results for Constantan 26 SWG Table 1 Length (cm) Voltage (Volts) Current (Amps) Resistance (Ohms)Â  Table 2 Length (cm) Voltage (Volts) Current (Amps) Resistance (Ohms) For the graph with all 3 tabled results for constantan 26swg see attached sheet 1. Results for Constantan 28swg Table 1 Length (cm) Voltage (Volts) Current (Amps) Resistance (Ohms). Table 2 Length (cm) Voltage (Volts) Current (Amps) Resistance (Ohms) Table 3 Length (cm) Voltage (Volts) Current (Amps) Resistance (Ohms) For the graph with all 3 tabled results for constantan 28swg see attached sheet 2. Results for Constantan 36swg Table 1 Length (cm) Voltage (Volts) Current (Amps) Resistance (Ohms) Table 2 Length (cm) Voltage (Volts) Current (Amps) Resistance (Ohms) Table 3 Length (cm) Voltage (Volts) Current (Amps) Resistance (Ohms)For the graph with all 3 tabled results for constantan 36swg see attached sheet 3. Analysis Analysis of length I predict that there will be higher resistance in wires that are longer in length. My prediction was correct. As the length of the wire decreases so does the resistance. This is clearly visible on all three of the graphs. On the graph for constantan 26swg (sheet1) there is a strong negative correlation. The resistance for all three results at 100 cm is between 3. 24 ? 3. 50 ? and at 5cm it is between 0 ? and 0. 5 ?. From 65cm-40cm the results I collected are almost identical. There is hardly any variation in the results and it is shown by the graph. The graph for constantan 28swg (sheet 2) is by far the best graph because of the closeness of all of the readings taken. There is a slight anomalous result at the 95cm reading. From the results collected in table 1 he resistance rose from 4. 49 ? to 4. 55 ?. This did not affect my results too much there was still a clear trend. This is however extremely unlike the graph for constantan 36swg (sheet3). There is clearly a huge error. At 90cm there is an incredibly out of position recording. The voltage for this point was 0. 8 V. this is roughly 2. 0 Volts away from where ideally it would be and this has caused such a dramatic change in the direction of the plotted points. I also believe that as the length doubles the resistance will also double. My prediction was correct. An example of this would be taken from table 3 of constantan 28swg. The length is 10cm and the resistance was 0. 5 ? ; the resistance for 20cm was 0. 98 ?. 0. 5 x 2 = 1 1 0. 98 = 0. 02 This is almost exactly double. This is only one example of the resistance roughly doubling with length. Analysis of thickness In order to analyse the thickness of the wire I will first need to work out the area of the wire. I have got the thicknesses in British Standard Gauge and I have found a site (http://www.falcon-acoustics. co. uk/hintstipsgeneral. htm) which has a table with the thickness converted into millimetres. The conversions for the wires thickness are as follows: Constantan 26swg = 0. 457mm Constantan 28swg = 0. 376mm Constantan 36swg = 0. 193mm This however is the diameter of each of the wires; and the formula for the area of a circle is ? x ri. The radius of a circle is half the diameter. To work out the area of the wire I must first halve the diameter then square it then multiply by pie. Pie (? ) is 22 i 7 the number has definite end. Now I will work out the area for each of the wires. Constantan 26swg:Â   029240465 mmi This shows that the Constantan 26swg is thicker than the Constantan 28swg and the Constantan 36swg and by how much in mmi. I also believe that the thicker the wire is the less resistance will be present. This is correct. I have taken the resistance from all 9 tables and put them in a graph (sheet4). I have taken the resistance from 50cm for all of them. The graph clearly shows the huge difference in resistance. As you can see the Constantan 36swg is more resistant than the 26swg and 28swg Constantan wire. The area of the Constantan Evaluation Show preview only The above preview is unformatted text This student written piece of work is one of many that can be found in our GCSE Electricity and Magnetism section.

Saturday, September 21, 2019

An audit looking at how many patients are with thyroid dysfunction

An audit looking at how many patients are with thyroid dysfunction What is the function of thyroid gland and thyroid hormones The thyroid gland is located in the anterior part of the neck, attached to the thyroid cartilage. It consists of two lobes, approximately 5 cm each, that lie either side of the trachea joined in the middle by an isthmus. The thyroid gland is responsible for the production of three thyroid hormones: Calcitonin (involved with calcium homeostasis), Thyroxine (T4) and Triiodothyronine (T3). Everyday, approximately 100  ¿Ã‚ ½g of T3 and T4 are secreted 90% of which are in the form T4. Most of T4 is later converted to T3 in the liver and Kidneys. T3 is 10 times more active than T4. [1] The thyroid hormones are responsible for the control of basal metabolic rate. Expand? How is Thyroid hormone regulated The functional unit of the thyroid is the follicle. A spherical arrangement of secretory epithelial cells around a protein rich colloid. It is at this cell-colloid boundary that thyroid hormones are formed by iodination of thyroglobulin formed from tyrosine.[1] The follicular cells are involved in active absorption of iodine from the plasma which is required for thyroglobulin synthesis. The formed thyroid hormone is stored in the colloid until its secretion is triggered by thyroid stimulating hormone from the anterior pituitary which triggers the degradation of thyroglobulin in the follicular cells to release thyroid hormone. Thyroid hormone secretion is under the control of the hypothalamic-pituitary axis. The hypothalamus releases Thyrotrophin Releasing Hormone (TRH) which stimulates the anterior pituitary to secrete Thyroid Stimulating Hormone (TSH). The TSH reaches the thyroid where it binds to the TSH receptors on the surface of the follicular cell, stimulating it to produce and release thyroid hormones. The homeostasis of thyroid hormone concentration is maintained by a negative feedback loop whereby increased concentration of thyroid hormone inhibits Thyroid Stimulating Hormone release from the anterior pituitary by decreasing the affinity for TRH. This leads to a decrease in TSH causing reduced amount of thyroid hormone to be released by the thyroid gland. This feedback loop enables us to monitor patients on thyroid hormone replacement therapy (such as Levothyroxine) by measuring TSH levels. If for instance the prescribed dose is insufficient, it would lead to inadequate inhibition of the pituitar y gland and a raised serum TSH level. The reverse would occur with levothyroxine excess. () This cannot be done in patients with secondary hypothyroidism. So what do we do then? Common pathologies Thyroid disease is the second most common endocrine disorder after diabetes.  ¿Ã‚ ½ Hypothyroidism Hypothyroidism is defined as an underactive thyroid gland leading to decreased levels of T3 and T4. The annual incidence of hypothyroidism in the UK is 4 per 1000 in women and 0.6 per 1000 in men.[3] Symptomatic hypothyroidism is known as myxodema. Hypothyroidism is categorised into primary and secondary. Primary hypothyroidism results from disease processes affecting the thyroid gland itself, slowly decreasing thyroid function and thyroid hormone production. Onset of symptoms is therefore gradual, developing over months or even years. Secondary hypothyroidism is relatively uncommon. Secondary hypothyroidism develops when the pituitary is unable to produce enough TSH to induce enough T3 and T4 production from the thyroid gland. The causes of secondary hypothyroidism can include a pituitary tumour. Patients with hypothyroidism could present with a number of signs and symptoms including:  ¿Ã‚ ½ Tiredness  ¿Ã‚ ½ Somnolence  ¿Ã‚ ½ Slow cognition  ¿Ã‚ ½ Cold Intolerance  ¿Ã‚ ½ Depression  ¿Ã‚ ½ Bradycardia  ¿Ã‚ ½ Weight gain  ¿Ã‚ ½ Calf stiffness  ¿Ã‚ ½ Menstrual disturbance  ¿Ã‚ ½ Carpal tunnel syndrome  ¿Ã‚ ½ Hearing impairment  ¿Ã‚ ½ Dry, thin and pale skin  ¿Ã‚ ½ Puffiness below the eyes  ¿Ã‚ ½ Bradycardia The most common cause of primary hypothyroidism in the UK is autoimmune thyroiditis. In Hashimoto ¿Ã‚ ½s thyroiditis autoantibodies are produced against thyroglobulin. This leads to inflammation of the thyroid gland as it is infiltrated by lymphocytes causing goitre formation. Hashimoto ¿Ã‚ ½s thyroiditis is remarkable in this respect that it initially causes hyperthyroidism as inflammation of the thyroid gland releases stored thyroxine. Once this released thyroid hormone is metabolised the patient progresses to normal and then a hypothyroid state. [1] Other notable causes of hypothyroidism include:[4]  ¿Ã‚ ½ Iatrogenic: Radioiodine ablation or thyroidectomy as a treatment for hyperthyroidism  ¿Ã‚ ½ Thyroiditis: Subacute (de Quervain ¿Ã‚ ½s) thyroiditis  ¿Ã‚ ½ Drugs: Lithium, Amiodarone, thalidomide, rifampicin and sutinib as well as drugs used in the treatment of hyperthyroidism  ¿Ã‚ ½ Iodine deficiency: common in some developing countries but very rare in the western world At the opposite end of the spectrum lies Hyperthyroidism where there is increased Free T4 and a reduced level of TSH and has the opposite effect on the body than the one noticed in hypothyroidism e.g. tachycardia, heat intolerance etc. Hyperthyroidism is not covered further as this audit focuses on hypothyroidism. Diagnosis and treatment Symptoms of hypothyroidism are quite non-specific and can commonly occur with other medical conditions not related to the thyroid. Diagnosis of hypothyroidism therefore should not be made on clinical symptoms alone and it is essential to test thyroid function biochemically. This is done by measuring Thyroid Stimulating Hormone and Free Thyroxine (T4) in blood. The normal reference range for TSH is 0.4  ¿Ã‚ ½ 4.0 mU/Litre.[4] A TSH level within the normal reference range has over a 99% predicted value to rule out primary hypothyroidism or hyperthyroidism.[5] In hypothyroidism the patient would have a high Thyroid Stimulating Hormone level, with or without a low Thyroxine level. Depending on thyroid function tests hypothyroidism is further divided into: a) Overt hypothyroidism: patients with a high Thyroid Stimulating hormone level and a Low serum free Thyroxine (T4) b) Subclinical hypothyroidism: Patients with a high Thyroid Stimulating Hormone but a normal Thyroxine (T4) level Treatment depends on whether the patient has overt or subclinical hypothyroidism. Patients with overt hypothyroidism should be treated with Levothyroxine to render them  ¿Ã‚ ½euthyroid ¿Ã‚ ½.[5] According to NHS statistics 12 million Levothyroxine prescriptions were issued during 2006.[6] The goal of the treatment is to reduce the TSH back to within the reference range. The dose of Levothyroxine is usually titrated up from 25-50  ¿Ã‚ ½g daily however a recent trial has shown that this is unnecessary for most patients.[7] The study recommended that patients with no cardiac symptoms should be started on the full dose of 1.6  ¿Ã‚ ½g/kg. The following figure illustrates the algorithm for treatment of -pregnant adults with primary hypothyroidism:[4] Algorithm for management of non-pregnant adults with primary hypothyroidism [4] It is very important to monitor levothyroxine therapy as over or under prescription can be dangerous. Thyroid Stimulating Hormone (TSH) is the key method of monitoring levothyroxine therapy in patients with primary hypothyroidism. Unlike the thyroid function tests used to diagnose thyroid disease, free T3 and T4 levels are not very useful in monitoring treatment as their levels are influenced by the prescribed dosage of thyroid replacement hormone and are not accurate indicators of the individual ¿Ã‚ ½s requirement. TSH without T3 and T4 is also a cheaper test to carry out in General Practice. Current guidelines state that patients should have their Thyroid Stimulating Hormone level tested eight to twelve weeks after starting levothyroxine.[4] The dose can later be fine tuned accordingly to get the TSH level in the lower half of the reference range.[5] Besides monitoring TSH levels, an assessment of the patient ¿Ã‚ ½s symptoms should also be made as some younger patients may need higher doses to relieve their symptoms in which case it is acceptable to have the TSH between 0.1-0.4 mU/Litre. The Quality and Outomes Framework (QOF) guidance suggests that all Patients on long term thyroid hormone replacement therapy should have their TSH levels tested yearly to make sure their replacement dose remains optimal.[8] Audit 1. Reason for audit move it to the top to include the rest of the study Despite the yearly TSH tests, studies have shown that a considerable number of hypothyroid patients managed in primary care have TSH levels outside of the reference range. Okosieme et al reported that in 2009 data collected from 11 GP practices showed that 37.2% of the 1037 patients on the hypothyroidism register were inadequately managed.[9] When we take into account the high prevalence of hypothyroidism (9.3% in women and 1.3% in men)[3] the results of the Okosieme et al study suggests that the total number of patients with suboptimal thyroid hormone replacement is significantly large. Imperfect thyroid hormone replacement could have damaging repercussions for health. It may adversely affect blood pressure, body weight and lipid profile. Since the basal metabolic rate of the body is controlled by thyroid hormones it is perhaps not surprising that a decrease in thyroid hormone levels leads to a decrease in metabolic rate and thus can cause weight gain. Even in euthyroid subjects there is a negative correlation between free T4 and Body Mass Index (BMI).[10] This suggests that even a small under-prescription of thyroid hormones could, over a period of time, lead to obesity. Reduced Thyroxine levels also cause a dyslipidemia characterised by increased Low Density Lipoproteins (LDL) and a decrease in High Density Lipoproteins (HDL) with normal or slightly raised cholesterol levels.[11] Such a lipid profile is associated with a higher risk of atherosclerosis. The thyroid hormones also seem to have a role in blood pressure homeostasis as hypothyroid patients recorded a higher systolic and diastolic blood pressure after stopping thyroid replacement therapy.[12] Thus inadequate replacement may cause hypertension which, together with the dyslipidemia described above adds to the risk of atherosclerosis and its subsequent cardiovascular complications. Conversely, excessive thyroid hormone replacement has its own perils, having enhanced risk of atrial fibrillation, osteoporosis and fractures linked to it. Excessive thyroid hormone increases the risk of developing atrial fibrillation especially in older patients. Studies have shown that a low TSH level in patients over 60 years old have a threefold higher risk of developing atrial fibrillation.[13] Patients over treated with levothyroxine also show increased loss of bone mineral putting them at increased risk of osteoporosis.[14] Subsequent studies have shown that patients with a suppressed TSH i.e. = 0.03 mU/Litre also had an increased risk of fractures however this was not observed in patients with low but unsuppressed TSH (0.04  ¿Ã‚ ½ 0.4 mU/Litre).[15] This highlights the need for maintaining optimal thyroid hormone replacement in primary hypothyroid patients in the General Practice setting to reduce the above mentioned risk factors. The 11 GP practices used by Okosieme et al showed that there is significant room for improvement as one third of the patient population on levothyroxine had TSH levels outside the reference range.[0.11] Thus this is a worthwhile area for audit to establish current standards of care in our practice, Dr Dean Partners, Heald Green Health Centre. Since this audit has not been carried out before in the practice it would give an idea of how well the practice manages patients on thyroid hormone replacement therapy. The suggestions for improvement would be beneficial to the patients of the practice and might also help with obtaining QOF points. This audit would also be beneficial to me personally introducing me to the concept of audit cycles and giving me the opportunity to conduct my very first audit. It would also help me get a better understanding of management of hypothyroid patients which is the second most common endocrine disease in the UK after diabetes mellitus. 2. Criteria to be measured Serum Thyroid Stimulating Hormone is used as the gold standard for biochemically diagnosing hypothyroidism and monitoring thyroid hormone replacement therapy.[4] The reference range indicating adequate replacement is usually around 0.4  ¿Ã‚ ½ 4.0 mU/Litre.[4, 9] However this figure slightly varies according to local guidelines. For this I have chosen to use TSH between 0.1  ¿Ã‚ ½ 4.0 mU/Litre as a reference range for adequate thyroid hormone replacement as this is the reference range used by the local Primary Care Trust (Stepping Hill Hospital) and the practice. Patients with primary hypothyroidism on thyroid hormone replacement therapy should have a TSH level between 0.1  ¿Ã‚ ½ 4.0 mU/Litre. 3. Setting standards For setting the standard I have found that there are no specific guidelines stating what proportion of patients should be achieving the above mentioned criteria. There are no NICE guidelines for the treatment of hypothyroidism. The QOF guidance states that patients should have their TSH levels tested yearly but it does not state the standard of care required. Having discussed this with GP at the practice I have decided that a theoretically ideal standard i.e. 100% of patients meeting the above criteria would be very impractical in theory from a resources perspective. Given the fact that suboptimal thyroid hormone replacement could be harmful, it is nonetheless important to achieve a high standard of care. Therefore I have decided on an optimum standard: 90% of patients with primary hypothyroidism on thyroid hormone replacement therapy should have a TSH level between 0.1  ¿Ã‚ ½ 4.0 mU/Litre. 4. Preparation planning Before starting the audit I had a discussion with the GP tutor about worthwhile areas for audit. As I had never conducted an audit before he explained the audit cycle. As thyroid dysfunction was an area of interest for me I suggested undertaking this audit. The GP tutor agreed that this would be a useful area for audit and advised to me to review the literature to find out if it would be an appropriate audit from a clinical point of view and was an area where practice could be improved. After preliminary reading clinical reviews I formulated a step by step template of the things I felt should be covered and got the GP tutor ¿Ã‚ ½s approval to go ahead. The data was collected with the help of the GP tutor. As the practice keeps electronic records of all patients, EMIS Population manger search function. Using the search function we identified all patients who had been prescribed thyroid hormone replacement medication for the past 12 months. We then identified patients who in the past 12 months had had their TSH levels tested. We then selected patients who had a TSH =0.1 mU/Litre and TSH =4. Subtracting the number of patients which meet the TSH search parameters from the total number of patients on thyroid hormone replacement would give us the number of patients who were outside the reference range of TSH. 5. Initial data collection Criterion Number of Patients taking thyroid hormone replacement medication (n) Number of Patients with TSH levels within reference range Standard (%) Patients with primary hypothyroidism on thyroid replacement therapy should have a TSH level between 0.1  ¿Ã‚ ½ 4.0 mU/Litre. 206 167/206 (81%) 90% Discussion Results: what they are. How close to the standard. Are they good enough? (no, didn ¿Ã‚ ½t meet the standards). Why didn ¿Ã‚ ½t they meet the standard? Merge results discussion with limitations discussion The data collected shows that the current practice is 9% below the standard set. The standard required i.e. 90% of patients with primary hypothyroidism on thyroid hormone replacement therapy should have a TSH level between 0.1  ¿Ã‚ ½ 4.0 mU/Litre. However this was the case with only 167 patients (81%). This means that 39 patients (19%) did not meet the standard set. There could be several reasons why the results did not meet the standards set. One factor influencing TSH levels is the use of medicines which interact with thyroid function. Due to the limitations of the software used in data collection (as discussed below) we were unable to exclude patients who were on medication known to interact with thyroid function such as Amiodarone, Lithium, etc. Amiodarone, a fairly commonly prescribed drug to prevent arrhythmias, can cause deranged thyroid function as it contains iodine (37mg of iodine in 100mg of Amiodarone). This can cause a severe iodine overload and can lead to hypothyroidism as well as thyrotoxicosis.[0.16] Inclusion of such patients would bring the percentage down unfairly because management of such patients is a lot more complex and the TSH levels are not always a good indication of the adequacy of their thyroid hormone dosage. Patients with hypothyroidism due to Amiodarone are monitored by their Free T4 levels instead of TSH. [0.16] Another factor which could have contributed to the high number of patients with TSH levels outside those defined in the criteria is the possibility that patients with abnormal TSH levels often don ¿Ã‚ ½t get their levothyroxine dose optimised. A study published in 1995 reported that at one GP practice in Suffolk 71% of patients with abnormal TSH levels did not have their medication dosage change as a result.[17] If patients do not have their thyroid hormone replacement optimised as a result of abnormal TSH not only does it defeat the purpose of carrying out yearly TSH tests, it also means that these patients would continue to have an abnormal TSH when tested again. Currently we do not have the data to find out how many of the patients in our practice with abnormal TSH had not had their dose changed after a previous abnormal TSH in an attempt to bring it within the reference range specified in the criteria. Ranging from poor patient compliance to the way the data has been collected Lack of dose adjustment after abnormal TSH The way results were collected. Limitations of software used. Limitations of the results collected ie things missed: how many patients actually had test done in the last 12 months (QOF points). How many were over and how many were under prescribed. This audit has limitations. The data was collected from electronic records using the EMIS Population Manager. The limited search algorithms of the software meant that we couldn ¿Ã‚ ½t distinguish patients with a TSH below the reference range from those above it. All we were able to obtain was a single figure of how many people were within the reference range. Due to the limitations of the EMIS Population Manager software we were also unable to test how many patients with hypothyroidism had actually had their TSH levels tested in the past 12 months as stated in the QOF guidance  ¿Ã‚ ½ 2004.[8] Thyroid Function Tests are done for a large number of patients whose symptoms are actually caused by a non-thyroid illness. Due to this reason we could not search for people who had their thyroid function tested in the past 12 months as that data would have included a lot of non-hypothyroid patients. Instead we had to search for patients who had been prescribed levothyroxine therapy in the past 12 months. And then further narrow the search parameters TSH levels in the past 12 months to obtain the data. This meant that the people who have not had their thyroid functions tested in the past 12 months were excluded from our data. The positive aspect of only testing people within the last 12 months is that the data reflects current level of care. The data collection software shows patients as being within the normal TSH range if they have had at least one TSH test within the normal range during the last 12 months. If the patient has been started on levothyroxine therapy recently their TSH levels wouldn ¿Ã‚ ½t have had enough time to return to normal. However this is likely to be statistically insignificant. The way to get round these limitations of the EMIS Population Manager would have been to study the clinical notes of all patients who were prescribed levothyroxine in the past year. By looking at the notes we would be able to exclude patients who are unsuitable for the purpose of this audit i.e. those patients in whom the TSH level is not a valid indicator of thyroid hormone requirement e.g. those on Amiodarone or lithium or patients with secondary hypothyroidism. Looking at the notes would also allow us to check the number of patients who had not had their TSH levels tested in the past year. Reading through the notes would also allow us to obtain more information such as age gender etc which might be helpful in indentifying some of the factors responsible for suboptimal thyroid hormone replacement. However reading the notes of over 206 patients would have taken a considerable amount of time. Since this was my first audit I decided to avoid gathering qualitative data and decided that the using electronic records would be sufficient for the purposes of this audit. Changes to practice to hit the target. Tietable to implement that change and when to re-audit? Practicality, why change? Positives and negatives of changing. There are a few approaches which could potentially be taken to improve the standard of care. In order to improve the standard of care to meet the goal of 90% all patients on the hypothyroidism register should have yearly or six monthly blood tests to measure their TSH levels. all patients with abnormal TSH levels should be invited for an appointment with the GP and should be considered for a change in their current dosage. This would be a good opportunity to assess why their TSH levels are abnormal and check that the patient is adhering to the prescribed treatment regimen. If the dose remains unchanged the reason should be recorded in the notes so that the information is available for the second cycle of the audit. Doing this will allow us to make sure that patients are kept at the optimum dose of levothyroxine to reduce the risks associated with under or over prescription. Seeing patients like this would however increase the workload placed on the surgery and its resources. However by talking the patients as and when they have their TSH levels tested the strain on the resources would be spread out over a year. Since the current audit identified 39 patients with abnormal TSH levels, this would mean an extra 3-4 patient appointments per month over the period of a 12 months. This should be discussed at the doctors ¿Ã‚ ½ meeting. Twelve months after the implementation of the change of practice a second data collection should be done to complete the audit cycle and evaluate the impact, if any, the change in practice has had on the management of hypothyroid patients. Write to the patients to invite them to come in for a dose adjustment? Consider collecting better data by reading the notes. That would take too long. Consider specialist referral if symptoms persist. What have I learned: 1 about the condition, 2 about auditing. Conducting this audit has given me the chance to take an in-depth look at all aspects of hypothyroidism which has been an area of interest for me for some time. In the course of researching for the audit I have been able to review various guidelines, clinical reviews and other journal articles. Not only has that improved my understanding of the management of thyroid disease in primary care immensely. It has given me a sense of how a condition is followed through in general practice from first presentation to treatment to long term management. I have also realised that management of chronic conditions such as hypothyroidism is an ongoing process as the patients ¿Ã‚ ½ condition and requirements change continuously for instance if their body mass index changes significantly their thyroid hormone requirements would also change and the dose would have to be altered. Also if a patient is planning on or has become pregnant they would need to be referred to specialist endocrinologists. I have been able to review the evidence which forms the basis of current practice. Researching this topic by reading clinical reviews has made me realise the advantages of using original literature and how much beneficial it can be in achieving a comprehensive understanding of a topic. Being involved in a general practice standard-based audit has enabled me to learn about the role and significance of audits in healthcare. I have become familiar with the audit cycle and its different steps. Having conducted an audit myself, I can see the important role audits have in measuring and improving practice. It is a systematic way of monitoring standards of care and is very useful in facilitating change of practice through an evidence based approach. It has also allowed me to learn how to quickly and efficiently find relevant papers using such resources as ISI Web of science and medline. Conclusion and summary Timetable change re-audit 6. Description of change 7. Data collection (2) 8. conclusions be almost impossible to achieve due to variables like poor patient compliance or use of interactive medications e.g. Amiodarone and Lithium. It would also be vastly impractical from a reasources point of view to aim for a 100% standard.

Friday, September 20, 2019

Case Study Procter Ang Gamble Merger With Gillette Marketing Essay

Case Study Procter Ang Gamble Merger With Gillette Marketing Essay Its being more than 100 years that Gillette Company manufactures consumer products that create strong brand loyalty among the consumers around the world. Gillette sells product mainly for men like blades, razors and shaving preparations. Gillette also has a strong position worldwide in some of the female grooming products, such as hair products. Company is the worldwide leader in alkaline batteries and is also famous for its Oral-B in manual and power toothbrushes. The Company has employed nearly 30,000 people globally and has 31 manufacturing plants in 14 countries. About Procter Gamble Headquarters: It has its headquarter at Cincinnati. Employees: No. of employees in the company are 110,000 in about 80 countries Brands: Tide, Charmin, Folgers, Noxema, Pampers, Pringles and Pantene. Founded: Procter Gmable was incorporated in 1837 at Cincinnati by William Procter, who was a candle maker and James Gamble who was a soap maker. Both men contributed $3,500 billion to start the company as a startup fund. Around four billion times a day, PG brands touch the lives of people around the world. The company has one of the strongest portfolios of trusted, leadership brands and Quality which including Pampers, Tide, Ariel, Always, Whisper, Pantene, Bounty, Pringles, Charmin, Downy, Lenor, Crest, Actonel, Olay, Clairol Nice n Easy and Head Shoulders(R). The PG community has almost 110,000 employees working in over 80 countries worldwide. Highlights of the case with important dates of Merger Important Dates- January 28, 2005: Procter Gamble announced their largest acquisition in its history. They agreed to buy Gillette in $57 billion and this deal involved or combined some of the worlds largest and top most brands. January 27, 2005: Procter and Gamble agreed to issue 0.975 shares of its common stock in against each share of Gillette and this showed an18% premium to Gillette shareholders. In 1986 -Revlon had tried and attempted its best to takeover Gillette in 1986 but it was not successful to do so. In 1999- Procter and Gamble went with a proposal to Gillette but at that time Gillette refused the offer, then in November 2004, Gillette CEO James M Kilts, started merger talks with Procter and Gamble as he thought that it was the right time for such a move. Highlights of the Merger- The Merger was announced on January 28th 2005, Procter and Gamble decided to exchange 0.975 shares of its common stock for each share of Gillette. Thus, it leads to 18% of premium to Gillette shareholders. The merger was approved by the shareholders of both the company. After the merger Procter and Gamble immediately decided to buy back $18-22 billion of its common stock and this whole process of buy back took 18 months to complete. After this process the deal was structured as 60% stock and 40% cash deal, while it was purely a stock- swap on paper. When the merger happened everybody knew that Procter and Gamble combined with Gillette would become the worlds largest consumer product company with $60.7 billion annual sales. At that time after the merger the new company decided to takeover Unilever which had total annual sales of $48.25 billion at that time. Proctor and Gamble after the merger had brands of $21 billion with market capitalization of $200 billion. Once the merger was done Procter and Gamble shareholders owned approximately 71% of the combined company and Gillette shareholders owned 29% of the combined company. Both the companies expected that merger would bring great synergies. According to the deal between the two companies Procter and Gamble would acquire whole Gillette business which includes its technical, manufacturing and other facilities. Gillette and Proctor Gamble have almost same history, culture and core strengths in branding, scale, innovation and go to market capabilities, which made this merger a perfect one, people called this merger a perfect marriage because one innovative company acquired another innovative company to enlarge its product line and both companies faced low sales problem and both of them emerged as winners after applying same approaches. After acquiring Gillette as a whole Proctor and Gamble became the worlds second largest consumer products company with approximate sales of $61 billion. Procter and Gamble at the time of merger expected total gains and cost savings of $ 14 -$16 billion by lying off and eliminating 6000 peoples job. When Proctor and Gamble started running in profits it acquired brands which matched its strategy such as Germanys Wella AG hair care line, it also acquired Clairol for its hair care lines and Iams Company known for its pet foods. After the merger PG had great earnings within few days as its net income jumped 12% from $1.8 billion to $2.04 billion. On January 27, trading in Procter and Gamble calls spiked to 8,172 contracts and Gillettes call spiked to 4,788 contacts. This means that both the company had increase or more than five times the average daily volume. A single contract is equal to 100 shares. Hurdles after the merger- Procter and Gamble faced various challenges related to manufacturing facilities, workforce, work culture and integration of operations of the two companies which had functioned as an independent company for so long. According to the analysts lying off workers across countries is also a problem. Due to integration efforts demand Procter and Gamble also had to overcome the risk of not being able to focus on its functioning. Main issues which made the merger important According to the deal of Procter and Gamble and Gillette merger Procter and Gamble decided to exchange 0.975 shares of its common stock for each share of Gillette. Procter and Gamble decided to buy back its common stock after the merger i.e. between $18-22 billion. This made the deal 60 % stock and 40% cash deal. Both the companies thought that the merger to will bring heavy synergies as both are the best companies and combination of these two companies will lead to strong brand portfolio. After the merger Gillette had got more opportunities to sell its products in various developing markets like China and East Europe. After the merger the combined entity layoff 6000 employees that are 4% of 140,000 combined work forces. This has to be done as both the companies had to integrate the headquarters and business operation units. The management is trying their best efforts to retain best employees from both the companies. Both the companies merger is an important and attractive deal as it has growth prospects, the revenue and cost synergies are attractive and innovation pipelines are strong. Procter and Gamble decided about the potential regulatory or anti- trust barriers of this deal that they will closely review the deal and resolve any issues regarding the product that are overlapping between the companies as they have a good record of working with regulators in the competitive market place. Bankers involved in the deal were Merrill Lynch was representing Procter and Gamble and Goldman Sachs/UBS are representing Gillette. Post Merger Scenario After the merger it was a great financial success for both the companies, especially for Procter and Gamble as growth in its revenue tripled, it was reported that the company would have more than $ 60 billion sales a year. Procter and Gambles unit volume had grown 27% and its net sales also grew by 27% and have reached to $18.34 billion. PGs net earnings have also increased by 29% and have reached to  £2.55 billion. This merger has made Procter and Gamble the worlds number one household maker leaving behind Unilever in the second place. The combined companies have total 21 brands under it and have the best global market position in product categories. After the merger the company will have more power to negotiate with advertising and media companies like television, newspapers, magazine and billboards. Gillette and Procter and Gamble are actively involved in pilots like testing and learning the technology, developing a scalable solution, drive development to deliver business benefits and validate the business case. Dealing with Wal-Mart After the merger of Procter and Gamble and Gillette it had a great affect on Wal- Mart. As PG is one of the worlds largest consumer products company and after Gillette joined it its sale almost tripled and it gave the company a new competition with retailers like Wal- Mart. As it is said those retailers dont want its suppliers to be bigger than him and vice versa. Procter and Gamble merger with Gillette had put great pressure on various other consumer products firms like Nestle, Colgate- Palmolive, Unilever and Kimberly- Clark. Learnings from the case study Case study of Procter and Gamble merger with Gillette helps us in learning following: Post merger scenario of both the companies after the merger. Procter and Gamble was interested in buying Gillette because it wanted to improve and expand its product and target as many customers it can. Both the companies agreed to merge because they knew it will be bring revenue, enlarge its product line and can become worlds largest consumer product company. It is a kind of friendly takeover that is with consent of take over company and with consent of majority of shareholders. Consideration for takeover is in the form of cash an stock both. Buy back of securities i.e. after the merger Procter and Gamble immediately decided to buy back $18-22 billion of its common stock. Merger effects on PG and Gillette competitors like Wal-Mart. Hurdle which both the companies faced after the merger.

Thursday, September 19, 2019

European Missionaries in Africa Essay -- African Missionaries Religion

European Missionaries in Africa   Ã‚  Ã‚  Ã‚  Ã‚  At the beginning of the nineteenth century, Christianity was bounded to the coastal areas of Africa. At this time in Western Africa, there were a total of three missionary societies operating in western Africa. There was the Society for the Propagation of the Gospel (SPG), the Wesleyan Missionary Society (WMS), and the Glasaw and Scottish Missionary Society (GSMS). In the southern portion of Africa, the Morovian Missionary and the London Missionary were dominant. There was only one society in eastern Africa and there were none at all in northern Africa. However, by 1840 the number of missionary societies had increased to more than fifteen in western Africa, eleven in southern Africa, five in eastern Africa in 1877 and there were six in northern Africa in 1880. Not only were these societies active in the coastal region of Africa, but they also started stretching inland to lands where they haven’t reached before. Around the year 1860, these societies in south ern Africa had traveled as far north as present day Botswana, Lesotho and Zambia. (Boahen 15) Famous names of this time include David Livingston and Robert Moffat. (Gordon 285) Maybe it is good to look at how these missionaries spread and shared their ideas to all four corners of Africa. When the Europeans landed in Africa in the beginning, they had no knowledge of the type of people that they were dealing with. They knew nothing of their culture, language, religion or anything of that nature. So the Europeans had to find someone or something to tell them about the people they were dealing with. The Europeans looked no further than the slaves†¦mainly in the United States. The United States exported freed slaves back to Africa in order to help the colonization process run smoother. After all, these people knew about African culture and language and the people of Africa would probably listen to someone of their own color before a white European whom they knew nothing about. The Christian Africans were most successful around the Guinea coast†¦around Sierra Leone, Liberia and Nigeria. (Gordon 44) In fact, most African Catholics owe their conversion to black catechists. Catechists were Africans who were mostly untrained and unordained, but preached the gospel and set up Catholic communities all over Africa. These catechists were the main people responsible for ... ...ed† people, which mainly comprised of the workers and the poorer citizens of Africa. The result of this was, of course, much social tension and upheaval.   Ã‚  Ã‚  Ã‚  Ã‚  Even though the people of Africa were given a steady diet of Christianity and Christian doctrine from the missionaries, there were still many that had no intentions of converting. Most Africans held true to their own traditions, there own religion, and their own customs. It also didn’t take a while for the Africans to realize that the missionaries and colonization went hand in hand. The missionaries help the colonizers work up treaties that cheated Africa tribes out of their land and their resources. Kenyan nationalist leader, Jomo Kenyatta, was quoted saying â€Å"When the missionaries came the Africans had the land and the Christians had the Bible. They taught us to pray with our eyes closed. When we opened our eyes we saw that they now had the land and we had the Bible.† ( Gordon 286)   Ã‚  Ã‚  Ã‚  Ã‚   This is the sad truth. The missionaries did use Christianity as a way to control the Africans and make the colonization process easier. These people were doing quite well without having Christianity in their lives†¦believe it or not.

Wednesday, September 18, 2019

Death Penalty :: essays research papers

This paper will fallow the process of a capital trial from arrest to execution. It will discus the aspects of federal and state law, trial, appeal, and executions. It will go into further detail on arraignment and the trail details of defense and sentencing. The federal law on capital punishment begins with the constitution, which states in the eighth amendment of the bill of rights that, no person shall be subject to cruel or unusual punishment. Despite this and for the reason that it is the government that decides what is cruel and unusual, capital punishment is still federally legal. Under the united states code, title eighteen there are certain crimes that can be punished by death. Section thirty-four of the said title and code says that any crime that results in the death of any person can be punished by death. Section 1512 deals with witnesses, victims, or informants. It states that anyone who kills or atemps to kill another person with the intent to prevent the attendance or t estimony at trail may be punished by death. Section 2332 states that who ever kills a national of the united states while the national is outside the united states is subject to death if the killing is murder as it is defined. Section 36 states that participants in any continuing criminal enterprise dealing with controlled substances may be punished by death. Section 1992 states that whoever willfully derails, disables, or recks any train used in interstate or foreign commerce can be punished by death. Finally section 831 states that anyone involved in prohibited transactions involving nuclear material can be subject to the death penalty. State laws in capital punishment defer from state to state and vary in a wide range of crimes for which it can be imposed. This range usually contains one or more of the fallowing, murder of a law enforcement officer, vehicular homicide while under the influence, contract killings, felony murder, first degree murder, or any murder. No matter the la ws of the state are certain states have and will always use their own discretion in handing down a death sentence. This means that for what ever reason, be it social make up, religious make up, or the simple fact that a death sentence may inhibit the prosecution, in that the jury may be hesitant to take a life no matter what the crime, the death sentence is not always used in all cases that it is allowed in.