Tuesday, December 31, 2019
The Abortion Issue Essay - 4786 Words
The Abortion Issue The 1973 Supreme Court decision in the case of Roe vs. Wade is the foundation for our current abortion policy as well as the cause of so much controversy today. Though always an issue, nothing prior can compare to the momentum that it has now. In the span of 30 years since the ruling, the combination of science, morals and religion have spun off numerous sub-issues to the effect that people have been left either aligned to one side of the argument, or caught in the middle, unable to choose. The key issue at hand is whether the 1973 ruling of Roe vs. Wade should be upheld or should all abortions be illegal. The issue is so divisive because abortion brings up closely related but unresolved moral issues, and tries toâ⬠¦show more contentâ⬠¦The inability of the sides involved to reach common ground is best observed through a possible look at how this problem came to be. While it is easy to trace the history of abortion, it is harder to use this information to find any means of resolution. Developed almost 5000 years ago, the first form of birth control was utilized by the early Egyptians. Religion played a crucial part in the view of abortion centuries after its creation. During the 13th century, Catholic doctrine was the driving force in the lives of the people, shaping their lives and ideals. Pope Innocent III decreed from the moment of the ââ¬Å"quickeningâ⬠, or the point when the woman first feels the movement of the fetus, the fetus was officially alive and could not be terminated. Pope Gregory upheld this decree until 1869, where Pope Pious IX threatened all abortions with excommunication, possibly as part of an agreement to obtain more papal power (Childbirth Choice Trust) (Hope). From a legal standpoint, abortions were not considered a crime until a law was passed in England in 1803, with which the United States followed suit. The law changed to allow abortions when the womanââ¬â¢s health was in danger and in the early 1900ââ¬â¢s in the U.S., the procedure could only be performed if two or more physicians agreed to it. Throughout this entire time, women would still find ways albeit dangerous ones to have illegal abortions (Childbirth Choice Trust). Womenââ¬â¢s activists like Margaret Sanger promotedShow MoreRelatedThe Issue Of Abortion And Abortion Essay1567 Words à |à 7 Pages The issue of abortion is a controversial one; there are arguments on both sides of the debate. In 1973 the national case of Roe v. Wade, sparked political decisions that created a national right to abortion. Further, Roe v. Wade declared that unborn children are not `persons nor are they entitled to the same constitutional protection as `born children (Baird, Rosenbaum, 2001). However, Roe v. Wade did not end the debate, nor, did it stop both sides for continuing the fight for their individualRead MoreAbortion Is A Issue Of Abortion1697 Words à |à 7 PagesAbortion is a very touchy subject in our society. In the U.S. it is legal to abort a fetus up until the twenty fourth week. An abortion is the ending of a pregnancy before birth, which results in the death of an embryo or a fetus. Many people consider abortion as cruel as murder. Although some say abortion is in there own hands and is there own decision, others believe that no one but God has the right to take someone else s li fe. People that support abortion do not consider an unborn fetus a personRead MoreAbortion : The Issue Of Abortion1411 Words à |à 6 Pages ââ¬Å"Abortion is one of the most common medical procedures performed in the United States each yearâ⬠(Abortion Overview and History). It is the termination of a human pregnancy, which is often performed during the first twenty-eight weeks of pregnancy. The topic of abortion seems to be a major issue in todays time. There are many people who are for it and many people who are against it. Religion has a lot to do with the side that people take on this issue. Many people see abortion as committing murderRead MoreThe Issue Of Abortion And Abortion876 Words à |à 4 PagesAbortion is one of the most debatable and controversial issues that exists in our society. An abortion is a medical procedure that terminates a pregnancy before 24 weeks. People who call themselves Pro-Life feel that it is the governmentââ¬â¢s responsibility to preserv e all life, regardless of concerns for the pregnant womanââ¬â¢s health, or for the quality of the life of the child. The Pro-Choice argument feels that a woman should have the choice when it comes to what they wish to do with their own reproductiveRead MoreThe Issue Of Abortion And Abortion1115 Words à |à 5 Pagesjust give you up and kill you? Approximately 125,000 abortions occur per day. 1.1 million U.S. abortions each year. Nearly 1 in 4 (22%) of pregnancies end in abortion. 50% of women now seeking abortion have had at least one previous abortion. The U.S. abortion rate is among the highest of developed countries. 51% of abortions are performed on women less than 25 years of age. Approximately 1/3 of American women have had an abortion by age 45. Abortion disproportionately affects black and Hispanic womenRead MoreAbortion : The Issue Of Abortion Essay777 Words à |à 4 Pagestheir whole future is demolished. In today society, the issue of abortion is very controversial i n the United States. Abortion is the ending of the early pregnancy. Many people said that aborting or killing an unwanted child is should be against the law. Everyone has the right to live, whether itââ¬â¢s a fetus, an embryo or just a newly fertilized egg; Abortion is a murder, and it should be illegal because itââ¬â¢s killing a helpless human being. Abortion is one of usual medical procedures performed in the URead MoreAbortion : The Issue Of Abortion1455 Words à |à 6 Pagesstates could not restrict the right for a woman to have an abortion. Although more than forty years have passed, the controversy surrounding abortion rages on. Many different arguments are used in order to attack or defend abortion. Itââ¬â¢s important to look at each of these from as objective of a lens a possible to keep bias, while unavoidable, to a minimum. Essentially each side of this argument boils their points down to be as follows, abortion should be included in a womanââ¬â¢s constitutional right toRead MoreAbortion And The Issue Of Abortion2577 Words à |à 11 PagesThe history of abortion in the United States is more complex than most people imagine. Abortion and issues surrounding abortion are involved in intense political and public debate in the United States, law varies from state to state with regards to state legislature of abortio n. Until 1973, the control of abortion, was almost entirely in the hands of the government of the state. (Vile. M. J. C, 1999, P203) The focal legal debate surrounding the issue of abortion is whether a foetus has aRead MoreAbortion And The Issue Of Abortion1946 Words à |à 8 Pagesways of looking at the issue of abortion are most easily categorized into five major points, legal precedence, birth control issues, human rights, religion and when life begins. Based on both empirical and moral claims, a wide spectrum of views supporting either more or less legal restriction on abortions has emerged in America. While advocacy groups define the issue through its constitutionality and its moral views represented by their constituents, politicians define the issue by party lines, generallyRead MoreThe Issue Of The Abortion1597 Words à |à 7 PagesDefining the issue There are about 31 abortions per 100 live births in Canada: 330,000 live births and 100,000 abortions each year. Top reasons for getting an abortion are: relationship issues, financial issues, ââ¬Ënot being readyââ¬â¢, emotional issues, birth control failure, and genetic reasons. The abortion rate has increased each year. History of the issue Canada is currently one of few nations where no legal restrictions on aboritons exist today. It has been 143 years since abortion was first criminalized
Monday, December 23, 2019
Same Sex Marriage Should Be Legal Essay - 1710 Words
Individuals are in complete control of their own happiness, except when it is forbidden by the law. Prior to June 16th, 2015, thirty-seven of the fifty states provided their citizens with the right to marry the opposite sex and thirteen states did not condone this behavior among their citizens. Having equal rights for all people in America has the potential to boost the psychological and spiritual growth of our economy through individual happiness. All people deserve the right to express themselves as individuals, even if that means that they want to be married to someone who is the same gender as them. In September of 2014, two elderly ladies, over the age of ninety, who have been in love for over seven decades, were finally legally allowed to get married. They had been together for seventy-four years while traveling the world and falling in love. Same sex marriage is harmless, and now that is it legal nationwide, people should learn to accept others despite their sexual preferences . Same sex marriage has been a controversial topic in the United States for years now. There are many people in the United States that despise other people who are interested in the same sex. Researchers have found that gay people are three times as likely to have depression or thoughts of suicide due to discrimination. As it turns out, gay people are no different from straight people in terms of their everyday lives. Each human carries out their own daily routine whether it involves work,Show MoreRelatedSame Sex Marriage Should Be Legal1288 Words à |à 6 Pages Marriage is not precisely the same as it used to be interpreted. For example, women used to be their husbandââ¬â¢s property. Sometimes the women were forced to marry whoever their parents wanted them to marry and most of the time they couldnââ¬â¢t leave the marriage. Nowadays women have more freedom. They can vote, they can run their own business, and they can marry whichever man they want to. The laws change as the peopleââ¬â¢s mind change. As they get more comfortable with the idea, they become more openRead MoreSame Sex Marriage Should Be Legal Essay1475 Words à |à 6 PagesSame sex relationships relate to when a man or woman are attracted to someone of the same gender of themselves. It is being rejected as same gender marriage denies the obvious purpose between a man and a women which is procreation (Richardson-Self, 2012). Denying same sex couples the legal right to get married, could mean that they are being denied their basic human rights to enjoy human benefits (Richardson-Self, 2012). However, the opposing view is that if gay marriage was granted the legal rightsRead MoreSame Sex Marriage Should Be Legal1403 Words à |à 6 PagesSame-Sex Marriage ââ¬Å"I now pronounce youâ⬠¦Ã¢â¬ At some point in a personââ¬â¢s life, they have heard or will hear those words. What follows, however, has changed somewhat over the years; although, the commitment has remained the same. Those words historically indicate that until the death of a spouse, that couple shall remain together. Who should be able to determine whom that spouse is for that person? Some people judge others for their sexuality and how it is affecting them, but they never stop andRead MoreSame Sex Marriage Should Be Legal1144 Words à |à 5 PagesGay Marriage There are many issues the revolve around same-sex marriage. Many issues like: Whether same-sex should be legalized and should there be an amendment on same-sex marriage? There are multiple side to view this, but gay marriage but in my opinion gay marriage is socially accepted. it should be legal and it does affect American teens in a broad spectrum of ways. There have been a lot of issues on whether or not same-sex marriage should be legal or not. According to Burns, ââ¬Å" The unionRead MoreSame Sex Marriage Should Be Legal998 Words à |à 4 PagesSame sex marriage ought to be legalized on the grounds that it is uncivilized and unmerited. Marriage is a commitment between two people that cherish one another. In almost every country and culture, marriage is a commitment of loyalty and love. Marriage is an authority contract gathering two individuals together, furnishing them with profits of holy matrimony such as tax cuts and clinical privileges. The debate throughout most countries today is whether or not the rights of these profits and commitmentsRead MoreSame Sex Marriage Should Be Legal1659 Words à |à 7 Pages Same-sex couples can hardly remember a time where they were not fighting for their right to marriage in the United States. After several court cases, California Proposition Six, and their struggle against the Defens e of Marriage Act (DOMA), same-sex couples found their way into U.S. society. Many misguided studies appealed to those opposing same-sex marriage, but after several years of integrating in society, same-sex couples found the support they were looking for. Before the Supreme CourtRead MoreSame Sex Marriage Should Be Legal899 Words à |à 4 Pages In the United States, same sex marriage became legal nationwide on June 26, 2015, when the United States Supreme Court overruled the court in favor of same sex freedom and marriage. The victory of same sex marriage came to be recognized from the Obergefell v. Hodges case which was submitted when an American Ohio man was denied and regretted to get his name on his late husbandââ¬â¢s death certificate. Same sex marriage has been a controversial social issue in the United States for several decades. SinceRead MoreSame Sex Marriage Should Be Legal1491 Words à |à 6 PagesSame sex marriage is one of the most debatable issues in the modern world. Marriage has been accepted as the social union between a man and a woman for the past thousand years. Homosexuality was viewed with scorn, and marriages among same sex couples were prohibited in most cultures across the globe. However, gay relationships are slowly obtaining acceptance, as homosexuals have come to be expressive in fighting their rights to marry in the early 90ââ¬â¢s. As homosexuality grows in acceptance in theRead MoreSame Sex Marriage Should Be Legal892 Words à |à 4 PagesLove Same sex marriage is now allowed in all states across the country. But it took years and years for this ââ¬Å"issueâ⬠to be finally laid to rest. The first state to legalize same-sex marriage was Massachusetts in 2004. There was not a last state to legalize gay marriage. The supreme court realized how many states were now legalizing it, so they just had all of the states left legalize it as well. ProCon.org supplies information that ââ¬Å"Twenty-six states were forced to legalize gay marriage becauseRead MoreSame Sex Marriage Should Be Legal2253 Words à |à 10 Pages1776). The recognition of same-sex marriage is an issue influenced by numerous factors, and debates continue to arise over whether people in same-sex relationships have the right to marriage. Marriage provides many benefits, legally, financially, and personally. Same-sex marriage can open up those in same-sex relationships to tax benefits and financial demands comparable to those afforded to and required of peo ple in opposite-sex marriages. Same-sex marriage also gives them legal protections, such as
Sunday, December 15, 2019
Occupational Safety and Health Free Essays
CT301 Understand Health and Safety in Social Care Settings ? ? ? ? ? ? ? 3. 3 Reasons may include: To comply with health and safety legislation, To preserve life, To minimise the consequences of injury and illness, To treat injuries and illnesses effectively. 4. We will write a custom essay sample on Occupational Safety and Health or any similar topic only for you Order Now 1 Routes of infection may include: Blood circulation, Digestive, Respiratory, Body fluids. 4. 2 Own health or hygiene might pose a risk by e. g. : Causing a serious infection, Causing illness, Causing fatalities. 4. 3 Method may include: Using soap, Using running water, Using hot water, Thoroughly, Frequently, Rubbing palms and interlacing fingers, After every contact with an individual, body fluids or tasks. 4. 4 Personal protective equipment ââ¬â refers to any protective equipment or clothing that an employer must provide where risks have been identified. This may include: Gloves, Aprons, Masks, Hair nets. When to use may include: During personal care, Handling waste, A change of activity, To protect the carer, To protect the individual. 5. 1 Current legislation may include: Manual handling Operations Regulations, Health Safety at Work Act. 5. 2 Principles may include: Avoiding hazardous manual handling, Conducting a full risk assessment of load, task, environment and individual, Reporting immediately any difficulties, Adhering to agreed working practices, Using equipment correctly. 5. 3 Reasons may include: To comply with legislation, To minimise injury to individual, self or others, To safeguard own and others health and safety, To apply agreed working practices, To use equipment correctly. Disposing of food may include: Wiping all spillages quickly, Ensuring all left over food is disposed of quickly, Ensuring bins are emptied frequently. 11. 3 Common hazards could be: Not cooking/heating food until piping hot, Re-heating food more than once, Using food that has passed its use-by date, Not following correct thawing instructions for food, Contamination through different foods spilling onto each other. 1. 1 Current legislation and subsequent amendments may include: Health Safety at Work Act, The Management of Health Safety Work Regulations, Control of Substances Hazardous to Health Regulations (COSHH), Manual Handling Operations Regulations, The Reporting of Injuries, Diseases and Dangerous Occurrences Regulations (RIDDOR), Personal Protective equipment regulations. . 2 Policies and procedures may include agreed ways of working as well as formal policies and procedures Main points may include: The significant risks in relation to the workplace and work tasks, Control measures for hazards, The arrangements for reporting accidents or health problems, The arrangements for first aid, fire and emergencies, Who the key person is for health and safety mat ters, How health and safety is communicated in the workplace, The arrangements to protect others. Individual refers to someone requiring care or support. 1. Responsibilities of the social care worker may include: To take reasonable care for own and othersââ¬â¢ health and safety, To report to employer potential and actual hazards and risks, To take part in health and safety training, To understand and comply with health and safety instructions and procedures. Responsibilities of the employer or manager may include: To provide a safe place of work, To assess risks and take action to reduce them, To provide information, instruction, training and supervision, To provide safety signs, To provide adequate welfare and first aid facilities. Responsibilities of individuals may include: To understand and comply with health and safety instructions and procedures, To take reasonable care for own and othersââ¬â¢ health and safety. 1. 4 Tasks that the learner should not carry out without special training may include those relating to: Use of equipment, First aid, Medication, Assisting and moving, Emergency procedures, Food handling and preparation. 1. 5 Accessing additional support and information may include : Appointed person(s) responsible for health and safety, Line manager, Health and safety Executive (HSE), Environmental Health department. 2. 1 Meaning of hazard may include: The potential to cause harm e. g. working practice. Meaning of risk may include: The likelihood of harm occurring e. g. through exposure to a hazard. 2. 2 Using a risk assessment may include: Identifying hazards, Evaluating risks, Taking precautions, Reviewing risks, Reporting and recording outcomes. 2. 3 Reporting potential risks may include: Recording findings on a risk assessment form, Communicating findings immediately to manager/appointed health and safety, representative. When to report potential risks may include: Immediately, When existing control measures are inadequate, When additional control measures are required, When there have been changes to original risk assessment e. g. changes to working practices. 2. 4 Risk assessment can help by e. g. : Making the individual aware of the risks, Making the individual aware of the responsibilities employees and the employer have, Being used as the basis for safe working arrangements. 3. 1 Accidents may include: Falls, Burns and scalds, Slips and trips, Swallowing a hazardous substance. 3. 2 Sudden Illness may include: Cardiac arrest, Difficulty with breathing, Stroke, Hypoglycaemia, Seizures, Loss of consciousness, Food poisoning. Procedures may include: Recording and reporting of accident or illness with full details, Registered person submitting notification to CQC and HSE, Informing individualsââ¬â¢ next of kin. 6. 1 Reasons may include: To understand individualââ¬â¢s needs and preferences, To meet individualââ¬â¢s needs and preferences, To apply agreed working practices, To move the individual safely and correctly, To minimise injury to individual, self or others. 6. 2 Care Plan ââ¬â may be known by other names (e. g. support plan, individual plan). It is the document where day-to-day requirements and preferences for care and support are detailed. Importance of care plan and fully engaging with individual may include: To understand individualââ¬â¢s needs and preferences, To meet individualââ¬â¢s needs and preferences, To move the individual safely and correctly, To involve individual as an active participant in process, To minimise injury to individual, self or others, As a way of ensuring that move is comfortable for the individual. 7. 1 Hazardous Substances may include: Cleaning materials, Disinfectants, Body fluids, Medication. . 2 Safe practices for storing may include: In correct and labelled containers only, Under correct conditions as per instructions, In a secure area. Safe practices for using may include: Reading instructions on label before using, Not mixing substances together incorrectly, Only using substances if trained to do so, Using PPE as instructed, Reporting any difficulties immediately, Safe practices f or disposing may include: Under correct conditions as per instructions, By following disposal workplace procedure. 8. 1 Procedures to prevent fire may include: No smoking, Not having fire doors propped open, Checking appliances are turned off, Checking plugs are switched off, Following a procedure checklist. Procedures to prevent gas leaks may include: Checking appliances are turned off e. g. cooker, fire. Procedures to prevent floods may include: Being aware of how to turn off main water supply, Ensuring taps are turned off after use e. g. bath, sink. Procedures to prevent intruding may include: Being vigilant of security of building i. e. doors, windows, Locking doors and windows, Not giving out key codes to others, Following a procedure checklist. Procedures to prevent security breaches may include: Being vigilant of security of building i. e. doors, windows, Reporting any concerns, Following a procedure checklist. 8. 2 Procedures to follow in event of fire may include: Raise the alarm, Dial 999 or inform health and safety officer/manager immediately, Go to fire assembly point, Move self and others away from danger area if safe to do. Procedures to follow in event of a gas leak may include: Dial 999 or inform health and safety officer/manager immediately, Do not turn any switches on/off, Go to assembly point, Move self and others away from building immediately, Record incident. Procedures to follow in event of a flood may include: Turn off main water supply, Dial 999 or inform health and safety officer/manager immediately, Do not turn any switches on/off, Go to assembly point, Move self and others away from building immediately, Record incident. Procedures to follow in event of intruding may include: Dial 999 or inform health and safety officer/manager immediately, Move self and others to a safe area if possible, Record incident. Procedures to follow in event of a security breach may include: Dial 999 or inform health and safety officer/manager immediately, Move self and others away from building immediately, Record incident. 9. 1 Stress can have positive as well as negative effects, but in this unit the word is used to refer to negative stress. Common signs and indicators of stress may include: Feeling more tearful or sensitive, Loss of motivation, Changes in sleep patterns, Changes in eating habits. 9. 2 Circumstances may include: Increased demands from others, Changes in working practices or new working practices, Changes in team members, Relationships, Unexpected changes i. e. financial, personal, work. 9. 3 Ways may include: Taking time out for yourself, Talking through how you feel with your line manager, Attending any stress management courses available, Engaging in relaxing activities whilst away from work. 10. 1 Handling medication may include: Ordering, Receiving, Storage administration, Recording, Disposal. 10. 2 Person responsible for medication may include: Trained worker, Designated person, Individual when self-medicating. 10. 3 Reasons may include: To comply with legislation, To ensure it is administered safely, To ensure it is administered correctly, As workers are accountable for their actions. 11. 1 Current food safety standards may include: Food Standards Act, Food safety workplace policy, Food safety guidelines. 11. 2 Storing food may include: Ensuring all food stored is covered over, Storing food on correct shelf/container in fridge/cupboard, Labelling with date all food stored, Storing cooked food when cooled down. Maximising hygiene may include: Keeping yourself clean, Wearing protective clothing, Keeping workplace clean, Using separate utensils and equipment for different types of food, Regular and through hand washing. How to cite Occupational Safety and Health, Essay examples
Saturday, December 7, 2019
Condoleeza rice Essay Example For Students
Condoleeza rice Essay Condoleezza Rice At this point in time the name and image of Condoleezza Rice is commonplace among the majority of informed Americans. As the first female to serve as the National Security Advisor to the President of the United States, Dr. Rice was propelled even further into the spotlight following the attacks on America on September 11th 2001. I too, like most Americans, saw a lot more of Condi, as she is known by her many friends and colleagues, after September 11. Clearly she was intelligent and always remained calm and poised in the face of adversity and standing before the cameras. I also noticed and appreciated her articulation and was even moved by what seemed like her stoic yet compassionate presentation. It was not until I read Dr. Rices biography, Condi, by Antonia Felix, however that she gained my utmost respect. By the 21st century a black successful black female is not as uncommon as it was fifty years ago. Black women had fought their way to the top in many arenas, including political such as the U.S. Senate. What is truly amazing about Condis story is speed and finesse with which she ascended to the top of everything she took on. An endearing friendship and mutual loyalty with both of the George Bushes surely did not hurt her. Condis success was hardly limited to the world of politics. She approached music, fitness, academics, sports, religion, and family with the same decisiveness, consistency, and determination that she brought to the public sector. Condi is also no stranger to controversy. Now more than ever she faces a host of critics, especially regarding her supposed knowledge of possible terrorist threats before they came to pass on September 11. Her Republican politics made her less than popular among African Americans although she maintains a more liberal perspective on social issues and remains pro-choice. In spite of her ups and downs it is ultimately her unfaltering character to which she can attribute her success as well as her status as what many call the most powerful woman in politics. The high academic pursuits of the Rice family did not exactly begin with Condoleezza and her generation. The foundation of this idea can be seen in chapter 2 of her autobiography in which the author begins the chronological record with a look at Julia Head Rice. Julia was born into slavery, albeit house slavery which was held in higher regards than field slavery. House slaves worked directly side by side with their masters families and were generally more informed and privileged than field slaves. Julias ability to read and desire to better herself and her children served as a hallmark for the Rice family legacy. It was Julias son John who became the first Rice to leave the farm and head and pursue a college career. Condi even discussed her Granddaddy Rice and his journey in 1918 to Stillman College in Alabama in her speech at the Republican National Convention. Upon the completion of his program at Stillman, John was ordained as a Presbyterian minister and according to Condi, the Rices have been Presbyterian and educated ever since. John eventually reared his son John Wesley Rice, Condis father, in the same manner. He too was educated and became an ordained minister like his father before him. Her mother Angelena Ray was raised in a similar fashion and excelled at playing the piano from an early age. Both Condis maternal and paternal lineages found education to be the ultimate redemption in segregated Alabama in which the Jim Crowe laws sought to make all black citizens less than equal with their white counterparts. By the age of twenty-four John W. Rice had earned his master of divinity and was working as a minister as well as a teacher and coach in a local high school. His soon to be wife, Angelena, was also working, as a high school music teacher in a middleclass suburb or Birmingham, Alabama. .uf4a274e3e4b8e73a095616efc8aae716 , .uf4a274e3e4b8e73a095616efc8aae716 .postImageUrl , .uf4a274e3e4b8e73a095616efc8aae716 .centered-text-area { min-height: 80px; position: relative; } .uf4a274e3e4b8e73a095616efc8aae716 , .uf4a274e3e4b8e73a095616efc8aae716:hover , .uf4a274e3e4b8e73a095616efc8aae716:visited , .uf4a274e3e4b8e73a095616efc8aae716:active { border:0!important; } .uf4a274e3e4b8e73a095616efc8aae716 .clearfix:after { content: ""; display: table; clear: both; } .uf4a274e3e4b8e73a095616efc8aae716 { display: block; transition: background-color 250ms; webkit-transition: background-color 250ms; width: 100%; opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #95A5A6; } .uf4a274e3e4b8e73a095616efc8aae716:active , .uf4a274e3e4b8e73a095616efc8aae716:hover { opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #2C3E50; } .uf4a274e3e4b8e73a095616efc8aae716 .centered-text-area { width: 100%; position: relative ; } .uf4a274e3e4b8e73a095616efc8aae716 .ctaText { border-bottom: 0 solid #fff; color: #2980B9; font-size: 16px; font-weight: bold; margin: 0; padding: 0; text-decoration: underline; } .uf4a274e3e4b8e73a095616efc8aae716 .postTitle { color: #FFFFFF; font-size: 16px; font-weight: 600; margin: 0; padding: 0; width: 100%; } .uf4a274e3e4b8e73a095616efc8aae716 .ctaButton { background-color: #7F8C8D!important; color: #2980B9; border: none; border-radius: 3px; box-shadow: none; font-size: 14px; font-weight: bold; line-height: 26px; moz-border-radius: 3px; text-align: center; text-decoration: none; text-shadow: none; width: 80px; min-height: 80px; background: url(https://artscolumbia.org/wp-content/plugins/intelly-related-posts/assets/images/simple-arrow.png)no-repeat; position: absolute; right: 0; top: 0; } .uf4a274e3e4b8e73a095616efc8aae716:hover .ctaButton { background-color: #34495E!important; } .uf4a274e3e4b8e73a095616efc8aae716 .centered-text { display: table; height: 80px; padding-left : 18px; top: 0; } .uf4a274e3e4b8e73a095616efc8aae716 .uf4a274e3e4b8e73a095616efc8aae716-content { display: table-cell; margin: 0; padding: 0; padding-right: 108px; position: relative; vertical-align: middle; width: 100%; } .uf4a274e3e4b8e73a095616efc8aae716:after { content: ""; display: block; clear: both; } READ: Bipolar disorders Essay John and Angelena were not the only members of their families to engulf themselves in academia as Johns sister, Condis Aunt, received a PhD in English literature and wrote a book on Charles Dickens in 1989. Condi has been known .
Friday, November 29, 2019
Development and Validation of Performance Prediction Models and Specifications for Asphalt Binders and Paving Mixes Essay Example
Development and Validation of Performance Prediction Models and Specifications for Asphalt Binders and Paving Mixes Essay Development and Validation of Performance Prediction Models and Specifications for Asphalt Binders and Paving Mixes Dr. Robert L. Lytton Dr. Jacob Uzan Dr. Emmanuel G. Femando Texas Transportation Institute Texas AM University College Station, Texas Dr. Reynaldo Roque Dr. Dennis Hiltunen Dr. Shelley M. Stoffels Pennsylvania Transportation Institute Pennsylvania State University University Park, Pennsylvania .r_rrD Strategic Highway Research Program National Research Council Washington, DC 1993 SHRP-A-357 ISBN 0-309-05617-9 Contract A-005 Product No. 012 Program Manager: Edward Harrigan Project Manager: Harold Von Quintus Production Editor: Cara J. Tate Program Area Secretary: Juliet Narsiah October 1993 key words: calibration crack initiation crack propagation creep compliance elastic fatigue cracking fracture mechanics fracture toughness laboratory testing of asphalt concrete material properties mechanics microcracks pattern search method pavement performance prediction plastic resi lient dilatancy resilient properties rutting system identification method thermal cracking validation vermeer plastic properties viscoelastic viscoplasticStrategic Highway Research Program National Academy of Sciences 2101 Constitution Avenue N. W. Washington, DC 20418 (202) 334-3774 The publication of this report does not necessarily indicate approval or endorsement of the findings, opinions, conclusions, or recommendations either inferred or specifically expressed herein by the National Academy of Sciences, the United States Government, or the American Association of State Highway and Transportation Officials or its member states. à © 1993 National Academy of Sciences 1. 5M/NAP/1093 Acknowledgments The research described herein was supported by the Strategic Highway Research Program (SHRP).SHRP is a unit of the National Research Council that was authorized by section 128 of the Surface Transportation and Uniform Relocation Assistance Act of 1987. In a project as extensive and dem anding as the SHRP A-005 project, the utmost efforts were called for and received from the project staff. Of particular note are the contributions of W. W. Crockford, Ming-Lou Liu, T. Freeman, C. K. Estakhri, Fuming Wang, C. H. Michalak, J. N. Galey, N. Stubbs, O. J. Pendleton, M. Chau, C. E. Schlieker, S. Phillips, and S. Cain with the Texas Transportation Institute (TTI) team.TTI secretarial services were provided by B. Cullen, C. Bryan, G. Fattorini, and S. Pierce. Noteworthy contributors from the Pennsylvania Transportation Institute team were S. Arnold, M. G. Sharma, W. Butlar, T. Farwana, N. Kim, K. Knechtel, W. Lauritzen, S. Reddy, P. Romero, N. Tabatabaee, and V. Tandon. SHRP technical staff who provided valuable assistance were H. Von Quintus and R. Leahy. .. à ° 111 Abstract The objectives of SHRPs asphalt research were: to extend the life or reduce the life cycle costs of asphalt pavements; to reduce maintenance costs; and to minimize the number of premature failures.An important result of this research effort is the development of performance-based specifications for asphalt binders and mixtures to control three distress modes: rutting, fatigue cracking and thermal cracking. The SHRP A-005 project developed detailed pavement performance models to support these binder and mixture specifications and performance-based mixture designs. This report documents the findings of this extensive research effort and provides supporting data for the performance-based specifications and mixture design procedure called SUPERPAVE TM.SHRP Contracts A-002A (Binder Characterization and Evaluation) and A-003A (Performance-Related Testing and Measuring of Asphalt-Aggregate Interactions and Mixtures) accomplished three goals: 1) to identify relationships between asphalt binder properties and field performance; 2) to develop models for the estimation of pavement distress based the physicochemical properties of the asphalt binder; and 3) to produce test methods to measure these pavement performance factors. The final validation of these relationships, test methods and findings is the focus of long-term, controlled field experiments (Specific Pavement Studies[SPS]-9).This validation approach requires 10 or more years of investigation and observations, which is inconsistent with SHRPs objective to rapidly develop performance-based specifications. The validation process was accelerated by the SHRP A-005 contract, which developed and used a sophisticated, mechanistic-based pavement performance model to define the relationships between asphalt binder and mixture properties and pavement distress. The objectives of the SHRP A-005 Contract are as follows: 1. stablish, on the basis of documented field performance data, criteria that may be used in support of the asphalt binder specification and for the design of asphaltaggregate mixture systems develop performance prediction models for asphalt binder and for asphaltaggregate mixture systems 2. V A comprehens ive pavement of fatigue cracking, thermal time, using results from the environmental data and can (combination of binder and performance model was developed that predicts the amount cracking and rutting in asphalt concrete pavements with accelerated laboratory tests.The model uses detailed be used to determine the optimal mixture design aggregates) for specific conditions. The pavement performance models for each distress were also used to confirm the relevant binder and mixture properties established by other SHRP contractors using accelerated laboratory tests and laboratory torture tests; and to establish the degree of correlation between those asphalt binder and mixture properties. Results from these model studies were used to confirm or make recommendations for revisions to the asphalt binder specification.In general, these analytical studies confirmed the material properties and specific limits used in the performance based specification. The model is simple, runs on a microcom puter, and can be used to evaluate or design asphalt concrete mixtures. The model can minimize a specific distress or combinations of different distresses, or it can set specification limits for specific materials and environments. The model has three parts: 1) a mixture evaluation model, 2) a pavement response model, and 3) a pavement distress model. The mixture evaluation program calculates the relevant binder and mix properties from the accelerated laboratory tests.These properties are used with the pavement response program to evaluate the behavior of a mixture subjected to traffic and/or environmental loads. This mixture evaluation program calculates the non-linear elastic, viscoelastic, plastic and fracture properties of a mixture. The pavement response program calculates the stresses and strains in an asphalt-aggregate system from applied wheel loads and temperature changes. The pavement distress program uses the relevant mixture properties and the appropriate stresses and st rains to calculate the amount of cracking (from wheel loads and environmental loads) and rutting with time. i Executive Summary The objectives of SHRPs asphalt research were: to extend the life or reduce the life cycle costs of asphalt pavements; to reduce maintenance costs; and to minimize the number of premature failures. An important result of this research effort is the development of performance-based specifications for asphalt binders and mixtures to control three distress modes: rutting, fatigue cracking and thermal cracking. The SHRP A-005 project developed detailed pavement performance models to support these binder and mixture specifications and performance-based mixture designs.This report documents the findings of this extensive research effort and provides supporting data for the performance-based specifications and mixture design procedure called SUPERPAVE TM. The objectives of the SHRP A-005 Contract are as follows: 1. establish, on the basis of documented field perfo rmance data, criteria that may be used in support of the asphalt binder specification and for the design of asphaltaggregate mixture systems develop performance prediction aggregate mixture systems models for asphalt binder and for asphalt- 2.The successful development of performance-based specifications required the validation of those properties identified as important determinants of pavement performance. This validation effort is a three-stage process. The first two stages were completed under SHRP. The third or final stage will be directed by the FHWA through the SPS-9 projects of the ongoing Long-Term Pavement Performance (LTPP) program. The first stage of the validation effort was accomplished through the use of accelerated laboratory tests by the SHRP A-003A contract.The second stage was accomplished by the SHRP A-005 contract through the use of field performance data. This second stage established the degree of correlation between the field observations of distress and: 1. 2. those asphalt binder properties shown to significantly affect the performancerelated characteristics of asphalt-aggregate mixtures performance-related material properties of asphalt-aggregate mixtures Furthermore, the second stage validation effort provided the experimental results needed to set the specification limits for the relevant binder and mixture properties selected to vii ontrol pavement distress. These experimental results were also used to estimate the accuracy of the accelerated laboratory test methods employed to measure the relevant properties. This second stage validation effort relied heavily on the sampling and testing of asphalt-aggregate mixtures from the LTPP General Pavement Study (GPS) sections. A comprehensive pavement of fatigue cracking, thermal time, using results from the environmental data and can (combination of binder and performance model was developed that predicts the amount cracking and rutting in asphalt concrete pavements with accelerated labo ratory tests.The model uses detailed be used to determine the optimal mixture design aggregates) for specific conditions. The pavement performance models for each distress were also used to confirm the relevant binder and mixture properties established by other SHRP contractors using accelerated laboratory tests and laboratory torture tests; and to establish the degree of correlation between those asphalt binder and mixture properties. Results from these model studies were used to confirm or make recommendations for revisions to the asphalt binder specification.In general, these analytical studies confirmed the material properties and specific limitsused in the performance based specification. A brief list of the products from this research follows. Systems Identification Model The performance models are used to predict distresses or observations, such as cracking and rutting. The SID generates material properties for those models to minimize the error between the observed and predi cted pavement distress. Basically, the SID sets up a sensitivity matrix and solves for the required change when the change is larger than the prescribed acceptable value for convergence.This system was used in the calibration process for each of the pavement distresses, and to establish the specification limits for asphalt binders and mixtures. The SID can be extremely useful to mix designers and specification writers to theoretically establish limits for mixture properties under projectspecific conditions. It can also be used to update and revise the calibration coefficients of the pavement performance models. ? Micromechanics (MM) Model The micromechanics (MM) model is a system of material response equations for each material component used in asphalt concrete mixes.The model combines the measured response characteristics (in terms of creep-compliance) of the binder, mastic and aggregate to predict that same response of a combined mixture. This model will be useful to mix designer s to theoretically evaluate and initially optimize a mixture blend prior to any accelerated laboratory tests on that mix. à °Ã °Ã ° _III Pavement Distress Models A set of comprehensive models that predict the amount of fatigue cracking, rutting and thermal cracking with time are available.Each of these models use results from the accelerated laboratory tests to calculate critical material properties of the mixture for the stresses and strains imposed on the mixture from applied wheel and environmental loads. These stresses and strains are then used to calculate each type of distress. Fatigue cracking is calculated in terms of square feet per unit area and is based on fracture mechanics methodology. Thermal cracks are calculated in terms of linear feet per unit length and used linear viscoelasticity to determine thermal stresses and fracture mechanics principles to estimate the amount of cracking with time.Rutting is calculated in terms of an average rut depth, based on a 4-ft str aight edge. The model uses the concept of a material elasto-plastic formulation to calculate the initial plastic deformation due to both shearing and volumetric stresses and uses the concept of strainhardening to calculate the total depth rutting within each different season. Binder Performance-Based Specification Binder performance-based specifications limits for thermal cracking were found based upon patterns of binder stiffness and log slope of the compliance as they affect the extent of cracking.No such patterns could be found to relate binder properties to the rate of appearance of load-related distress, leading to the conclusion that binder properties alone do not control the fatigue cracking or rutting performance of asphalt concrete. Instead, specifications for both the binder and mixture properties are necessary for quality assurance against load-related distress. The calibrated performance prediction models provide a sound and reliable means for such mixture specification limits.Binder properties alone also do not control thermal cracking and mixture tests must be performed to evaluate the thermal cracking performance of a particular mixture. Finally, it is important to note that all of the quantities used for specification limits are material properties that are defined as they are used in mechanics. Its efficiency and simplicity in descriptions of essential and sensitive material characteristics make the discipline of mechanics a very useful and practical framework, not only for predicting distress but for the development of specifications that are directly related to performanceMaterial Property Relationships of pavement materials have been used in Several new methods for the characterization the load-related performance model. â⬠¢ The resilient properties of asphalt were found to be identical to those used to characterize the materials in the supporting layers. Poissons ratio was found to be stress dependent. A tension in the asphalt binder w as found to be acting between ix I the aggregate temperature. â⬠¢ particles. Both of these effects were found to depend strongly uponThe plasticity parameters which characterize asphaltic concrete include two friction angles, a cohesion, and a volumetric component, all of which are also commonly used in soil mechanics to characterize base course and subgrade materials. â⬠¢ The accumulation of plastic deformations due to repeated traffic loading was shown to be related to the plastic properties and to the slope of the log creep compliance curve of the asphalt mix. The fracture properties of asphalt concrete were found to apply to both the crack initiation and crack propagation phases of crack growth in viscoelastic materials was found to be applicable to asphalt concrete. Pavement Performance Models Models of permanent deformation and cracking damage were developed and calibrated to field observations of these distresses on pavement sites distributed across the United States and Canada. Calibration adjustments were made to the predictions by a mathematical technique known as the Systems Identification (SID) method or by a nonlinear pattern search method. The adjustments were made in seven material properties that represent the two phases of fatigue cracking and in one coefficient of the rut depth.The calibration adjustments were not large nor did they vary much from one climatic zone to another, indicating that the prediction models developed for both fatigue cracking and rutting are sound. The calibrated models take into account the traffic, the temperature variations in all layers throughout the year, and the consequent variations in the material properties of each pavement layer in computing the accumulations of rutting and cracking with the seasons. Even though the pavement predictions were calibrated in sets grouped into climatic zones, the performance predicted for each pavement matched the actual performance very well.Temperature and moisture com putations were made with the FHWA Integrated Model of Environmental Effects, this project which showned to be capable of reproducing field measurements very well. The calibrated load-related model was shown to be well suited for the development of performance-related specifications and for the SHRP mix design model SUPERPAVE TM. X Field Experiments GPS Sites An experiment design was adopted to provide a wide variety of climatic exposure and rates of appearance of rutting and fatigue cracking.Very detailed information was obtained for each pavement section to permit a fairly complete characterization of the material properties of each layer. Cores were taken and tested in a variety of temperatures, stress and strain states. Material properties derived from these were found to be comparable to elastic and viscoelastic properties backcalculated from nondestructive deflection tests made with a falling weight deflectometer. Dynamic analysis was performed on about half of the pavement se ctions to determine the viscoelastic and damped elastic characteristics of each layer.It was shown that this backcalculation can produce reasonable values of m, the slope of the log creep compliance curve of the asphalt surface layer. This slope has been found to be the most important single variable in predicting rutting, fatigue cracking, and thermal cracking. Thus, the ability to measure it nondestructively in the field is a research result of this project that is of primary importance. The FHWA Integrated Model of Environmental Effects was shown to be very accurate in predicting seasonal variations of layer temperature, moisture, and moduli.This model, and the pavement performance prediction model form the computational elements of the SHRP SUPERPAVE TM mix design system. Laboratory Testing of Asphalt Concrete Mixtures A method of taking and testing cores in a variety of test modes and stress states was developed in this project. Among other testing modes, the equipment can run monotonic, repeated, and frequency sweep tests in tension or compression with triaxial testing equipment. Tensile tests have been avoided customarily because the samples fail in the grips.In this project the difficulty was found to be alignment, which was cured with a high production rate gluing jig when this device was used and 98 percent of the samples tested to failure parted in the center of the sample and away from the loading heads. Simulation of traffic loading rates in the tests, would have required much more sophisticated equipment, both to load and to record accurately the response of the sample. Instead, the objective of each test described herein was to measure the material response under a steady applied load, in a sample where the stress and strain patterns were uniform.This permited an accurate determination of the material properties that were then be used to determine the response of the material to traffic loading rates. Use of a cylindrical sample, taken from a fi eld core, permited the application of a variety of triaxial stress states that allowed a determination of how the material properties depended upon the stress state. The sample was placed in a temperature-controlled chamber to permit testing at the full range of temperatures to which an asphalt concrete layer is subject in the field.A specially designed metal chamber allowed the sample to be tested under a wide variety of confining pressures. A pair of LVDTs measured the â⬠¢ xi i lateral strain of the sample, which made possible a complete and accurate characterization of the elastic, plastic, viscoelastic, viscoplastic resilient, dilatant, strength, and fracture properties of a material. Overall, the coring and testing apparatus developed in this project is reliable, accurate, and relatively simple both to construct and to operate.The A-003A project developed methods to analyze the test data for the Accelerated Laboratory Tests to produce the viscoelastic, resilient and plastic ity properties needed as input to the load-related performance model. In the course of all of the test material characterization and performance prediction work performed in this project, it became clear how important it is to measure the lateral strain as well as the vertical strain in any sample of pavement material tested, whether it is asphalt concrete, base course or subgrade. Pavement Performance PredictionThe performance prediction models developed in this project are developed for use on microcomputers and have been incorporated into the SHRP SUPERPAVE TM mix design procedure. The use of plasticity characterization to predict rutting makes it possible to consider both vertical and lateral permanent deformation in all of the pavement layers. The prediction of fatigue cracking is separated into two processes: crack initiation and crack propagation. During crack initiation, distributed microcracks form, grow, densify, and coalesce under repeated loads. Healing is assumed to occ ur primarily in the crack initiation phase.During crack propagation, cracks grow outward from the tensile zone where the microcracks form. These cracks grow from small but visible flaws into fulldepth cracks of the asphalt layer primarily in the shearing propagation mode. The predictions made with this approach were found to be unusually accurate even before they were calibrated to match the field observations. The calibration process was used extensively in this project as a form of nonlinear regression analysis. It was employed in a variety of ways to reduce laboratory data as well as to bring predicted distress into close accordance with the field observations.Two powerful techniques were used which should find many practical uses in the pavement field in the future: the Systems Identification SID method, and the pattern search method. Both methods satisfy a least sum of squared errors criterion. Calibration is done in this program by finding multiplying factors for the most sens itive material properties. These were found by sensitivity analysis to be the stiffness of the asphalt concrete, its tensile strength, the log slope of the creep compliance curve, and the two healing coefficients.The calibration method has another unique use which was developed and demonstrated in this project. Once a performance model is calibrated, the same calibration process can be converted to determine minimum values of those material properties which are xii needed to meet prescribed distress target levels. This use of the performance prediction programs to assist in setting specification levels for material properties is very promising and deserves further exploration. Validation of Relations Between Material Properties nd Pavement Performance While it is evident that the properties of the asphalt binder are an important factor in the service life of asphalt concrete, the lack of observed patterns of high and low rates of rutting and fatigue cracking show plainly that the se lection of the binder alone will not assure good load-related performance. It is clear that the disciplines of pavement analysis, design, and mix design, and the effects of construction and weather, also play important roles in the development of load-related distress.The pavement performance prediction model represents several important advances in pavement analysis and design and in mix design through its use in SUPERPAVE TM. The micromechanics model of the properties of a mix which was developed in this project needs to be studied in detail for its potential benefits to an understanding of the important interactions of the constituents in mix design. Without such an understanding, setting specification limits on the properties of the binder will have little or no effect on the retardation of load-related distress. ThermalCracking were drawn regarding the effectiveness of new SHRP binder which are based on the results of the field validation studies The following conclusions and m ixture specifications presented in this report. â⬠¢ The indirect tensile creep and failure test at low temperatures (ITLT), that was developed at PTI as part of this contract is clearly suitable to support the new SHRP mixture specification for the control of thermal cracking. Excellent correspondence was obtained between observed thermal cracking in the field and thermal cracking predicted by using properties determined from the ITLT.Use of the time-temperature superposition principle to determine the viscoelastic properties of asphalt mixtures, and determination of fracture parameters from viscoelastic properties and mixture strength, appear to be valid and suitable methods to determine the low temperature mixture properties needed for the control of thermal cracking. The parameters S and m (stiffness and m-value at 60-second loading time) determined from the bending beam rheometer tests appear to be suitable for evaluating the relative thermal cracking performance of asphalt binders.S and m correlated reasonably well with observed thermal cracking in the field. â⬠¢ â⬠¢ xiii â⬠¢ The limits on S and 29,000 psi and m gt; in this investigation, 45,000 psi and m gt; m defined in version 7G of the binder specification (S lt; 0. 35) appear to be too restrictive. Based on the data obtained the following limits appear to be more appropriate: $ lt; 0. 30. thermal cracking effect on the thermal ITLT test must be a particular mixture. â⬠¢ The binder specification alone does not guarantee adequate performance. Mixture characteristics may have a significant cracking performance of a particular binder.Therefore, the performed to evaluate the thermal cracking performance of Aging The aging studies led to the following conclusions: â⬠¢ For the range of mixtures evaluated in this investigation, it appears that the thermal cracking performance of asphalt mixtures can be reasonably evaluated on the basis of only the properties of the mixture after long- term-aging (i. e. without accounting for the rate of age-hardening). It appears that long-term mixture aging (as defined by the SHRP A003-A contractor) is needed to properly evaluate the thermal cracking resistance of asphalt mixtures.This assumes that the long-term mixture aging procedure results in aging levels comparable to those observed in the field. Based on limited data, it appears that aging levels comparable to those observed in the field, as reflected by changes in the low temperature properties of the binder, can be attained through TFOT followed by PAV aging as proposed in the SHRP binder specification. The effectiveness of the long-term mixture aging procedure proposed by the SHRP A-003A contractor could not be evaluated because the laboratory mixing and compaction methods used in this investigation did not represent field mixture and compaction.Low temperature properties of laboratory-produced mixtures were very different than properties of field cores of the same mixt ure. â⬠¢ â⬠¢ â⬠¢ Moisture Effects studies led to the following conclusions: The moisture â⬠¢ Moisture changes within the asphalt mixture have a significant effect on fundamental low temperature properties of the mixture and on thermal cracking performance. xiv â⬠¢ Low temperature properties for the evaluation of thermal cracking resistance of a mixture using the PTI thermal cracking model must be determined on a dry mixtures (i. e. ither laboratory-produced mixtures or field cores that have been thoroughly dried prior to testing). Use of properties determined at other moisture levels may result in significant errors in thermal cracking predictions and thus in evaluating the thermal cracking resistance of asphalt mixtures. For the range of mixtures evaluated in this investigation, it appears that the thermal cracking performance of asphalt mixtures can be reasonably evaluated on the basis of only the dry properties of the mixture (i. e. , without accounting for ef fects of moisture changes).
Monday, November 25, 2019
History Notes Essay Example
History Notes Essay Example History Notes Essay History Notes Essay How successful were the labour governments of 1964-1970 in fulfilling their promise to create a New Britain? During 1964 to 1970, The Labour government planned to create a ââ¬ËNew Britainââ¬â¢ under the leadership of Harold Wilson. The most important successes of the Labour government include education, social freedoms and the freedoms of women. However, the most important failures of labour included its lack of the scientific minds in the party and its failure of large economic and technological advancement. Firstly, the Labour Government had hopes of reviving and advancing the technology in Britain.In their manifesto, Labour stated ââ¬ËWe shall create a New Britain ââ¬â mobilising the resources of technology. ââ¬â¢ This can be supported by their development of a Ministry of Technology and an attempt to base government on scientific principles. In which an emphasis was placed on planning, management and professionalism. Socially, there was an advance towards a more m obile, less class-ridden Britain. With the introduction of the Establishment of the Race Relations Board, which aimed to tackle racial discrimination and promote racial equality.Before the Wilson period, Britain was viewed as segregated, however Labour wanted to change this and integrate society more. A success shown by Labour during this period was the attempt to break down the old class barriers. ââ¬ËIt was a very good time for the arts and many aspects of education, the Open University in particular. ââ¬â¢ This provides information which supports the idea that the Labour governments of 1964ââ¬â1970 were a success in creating a new modern Britain. As well as the Open University, Labourââ¬â¢s other education policies included; the development of comprehensive schools and the expansion of higher education.Leading on from this, Labour was successful in building upon social freedoms as well. The establishment of the Ministry of Arts under Jennie Lee increased cultural opp ortunities. This provided funding for the Arts Council and British Film Institute. By doing this, they showed concern to broaden cultural opportunities for all. Furthermore, the Wilson years were in many ways seen as successful and creative. ââ¬ËIt was an era of social and sexual freedom. ââ¬â¢ As Paul Johnson wrote after the 1970 election ââ¬ËWe no longer terrorise homosexuals. We do not force mothers to bring forth unwanted children into the world.We do not murder by the ropeââ¬â¢. This showed signs of liberalisation against; homosexuality, divorce, abortion and the end of hanging. Thus, supporting the view of the Labour Government trying to create a new modern society. On the other hand, it can be seen that the Labour government never lived up to its manifesto promise to create a New Britain. One of the major factors why Labour was unsuccessful was due to its economic failures. Labour had higher tax rates than the Conservative government and the unions wanted to stop the technological advances in industries.Conservative policies of ââ¬ËRising incomes and lower taxes have made possible a spectacular increase in spending on the essentialsââ¬â¢ for British people. Another economic problem that arose during this period was Labourââ¬â¢s slowness to bring about devaluation. Devaluation was when the issuing government had mandated that the price of the currency in foreign dollars is lower than it was before. This added to economic problems as a result of inflation remaining high at 12% between 1969ââ¬â1970. The Labour Government did not succeed in changing the living conditions of the people. Under Conservative rule the living standards of the British people have improved more than in the whole of the previous half-century. ââ¬â¢ This is shown where over 98% of the working population have jobs that have caused the standard of living for people to increase. This differs from Labourââ¬â¢s ideals, where they focused more on social refor ms rather than improving beneficial changes in the country. In addition, Conservatives did not believe the ideas Labour was suggesting about creating a New Britain. Rather they deemed it to be a ââ¬Ëcamouflage aged return to dreary doctrines which have already proved a failure. Also, the doctrine showed no mention of moral issues, because leaders like Wilson and Brown were conservative on such issues. The Conservatives believed what they were offering was an extension of prosperity which their policies had been proven to achieve. In conclusion, the Labour Government did have some successes during this period in creating a New Britain, which was mainly due to the support they were given by the government. The development of a Ministry of Technology put an emphasis on planning, management and professionalism.And, developing education policies, which included the development of comprehensive schools and the expansion of higher education, meant a breakdown of social barriers. However , The Labour Government never fully achieved its successes in creating a New Britain. This was due to the failure of the economic policies such as Labour having higher taxes than the conservatives. And finally, the Conservative fears that implied Labourââ¬â¢s ââ¬ËNew Britainââ¬â¢ would have meant a return to the ââ¬Ëdrearyââ¬â¢ and failed doctrines of the past Labour Governments.
Friday, November 22, 2019
Research report writing (Maintenance Management) Essay
Research report writing (Maintenance Management) - Essay Example The development intent aimed at enterprise creation for people within adjacent communities, a densely populated depressed area. The front most of five warehouses which stretches 200 meters corresponding to the highway was split in half to create roadway and traffic flow into the industrial block. Roadwork and open space completes 55% of the 22,365 square meter original warehouse footprint. One of the halves of the original warehouse, which has a floor area of 5, 804.5 square meters, is fit out as a bazaar of smaller stalls. Several corridors cut from road level through entrances 3 meters wide and 3 meters high. Along the perimeter there are a total of 19 direct exit points with a total linear opening of 54.3 meters, but this includes the number of back portion fire exits. The overall effect is practically a covered open space. Common in a number of historic facilities is the practice of natural ventilation systems, which over several alterations of the facility use, these built in systems are compromised. By contentious views on energy usage and environmental issues, natural ventilation resurfaced as a method increasingly attractive for reduced energy consumption and acceptable ecological print (Walker, 2010). In the conversion of Warehouseââ¬â1, the ventilation system was reviewed of less importance since there were no recorded technical complications of difficulty in this category for the past 25ââ¬âyear warehouse operation. While this review provoked green build possibilities, the idea of facility conversion insofar also compromised capital expenditure constraint or reinvestment conservatism. The design approach is an application of the displacement ventilation theory by exhaust suction treatment, which relies heavily on the natural air movement in the vicinity. It occurs that the industrial block has a constant cool breeze from tree hedges that outline each warehouse zone. That is, a natural ventilation system depends on pressure differences to
Wednesday, November 20, 2019
Sex trafficking Research Paper Example | Topics and Well Written Essays - 1250 words
Sex trafficking - Research Paper Example It involves traffickers detaining or transporting victims for commercial sexual exploitation as defined by Moser (222). To bring into perspective the prevalence and trends of this social vice in the 19th Century, this paper borrows from the novel Thousand Pieces of Gold by Ruthanne Lum McCunn who narrates the struggles of women to earn their dignity and respect in early America through the life story of a Chinese girl, Lalu Nathoy whose father referred to her as Thousand Pieces of Gold, just as the title of the novel. With the famine of 1871 in northern China, he sells off Lalu to a brothel and later to a slave merchant travelling to America. This was the turning point in the life of the young girl. This paper guides on this discussion on sex trafficking, giving leads on how victims get lured and evaluating possible solutions in the light of the findings. Socio-economic misgivings, particularly poverty and wrong perception of better lives in other countries propagate sex trafficking. In this early society, sex trafficking was widely spread across the board. Not even were children spared as Li, the sex trafficker in the novel, traffics children together with her other victims. This comes to light when she quarrels Lalu for not getting the fraudulent customs clearing procedures right, claiming that ââ¬Å"Even children: some of them are only ten, eleven years old. Childrenâ⬠were much better than she was (Gold 95). The cultural beliefs treated women as objects meant for the pleasure of men, while men were exalted as the only gender that had the right to work for a living. This therefore meant that women could be used in whichever way men would find pleasurable to them. Comparably, Moser (226) cites the US Department of Health and Human Services documenting sex trafficking as the second largest and fastest criminal industry worldwide. Women and children still comprise the majority of victims at about 80%, with two million children estimated to be in the comme rcial sex trade. Borrowing statistics from the United Nations, the researcher further estimates the market value for this crime at over $32 billion. Before the year 2000, sex trafficking was not prosecuted as a crime in itself but under other crimes such as promotion of prostitution. This exhibits the societyââ¬â¢s clinging onto ancient belief of men as the superior gender. Just as Gold observed that a woman was not to ââ¬Å"work like a manâ⬠so as to look appealing for marriage in the early days, the society still does not appreciate a woman as a laborer (356). Having pointed out that sex trafficking still remains rampant in the modern society as was in the 19th Century, it would be critical to understand how the vulnerable groups find themselves as victims of this crime. Deception, as put by Walters and Davis (1) stands out as a leading approach in luring victims of sex trafficking. The novel tells of Li, the trafficker, who took advantage of the naive American dream that Lalu had to lure her into her trap. Using America as a destination for her victims
Monday, November 18, 2019
Ethics Essay Example | Topics and Well Written Essays - 1500 words
Ethics - Essay Example This is particularly true when it comes to fellow professionals or protecting the reputation of our particular field. While ââ¬Å"whistleblowersâ⬠are praised for their courage and integrity, the personal cost of ââ¬Å"doing the right thingâ⬠can mean death to a career. Such behavior can also seriously affect the career of fellow professionals. A good example of the problems involved in balancing ones duty to fellow professionals and doing the right thing when one sees something wrong is clearly laid out by Michael Davis in Thinking Like an Engineer: Studies in the Ethics of a Profession. Davis outlines events leading up to the now infamous Challenger disaster brought on by certain engineering decisions regarding the questionable safety of ORings (4 Codes and Ethics of the Challenger, p 43-44). In reading the account the ââ¬Å"blameâ⬠seems to fall upon one man, Robert Lund, vice president of engineering at Morton Thiokol, manufacturer of faulty ORings which were blamed for the tragedy. A team of engineers had recommended the flight be scraped, but Lund, with pressure from various people at the Space Center, was persuaded to allow the project to go forward. Space Center officials were ââ¬Å"appalled at the evidence on which the no-launch recommendation was based.â⬠(p44). Lund was in a professional bind. Should he take the advice of fellow engineers at Thiokol, or go with the recommendation of officials at the Space Center most of them engineers, to go forward. There was a lot of money at stake for Thiokol, and Lund knew it. The reputations of engineers were also at stake. He had to choose between duty to fellow professionals and pressure from outsiders to ââ¬Å"think like a manager.â⬠(p44) He chose the latter to disastrous results. It is easy as a professional to judge Lundââ¬â¢s decision in hindsight. Should he have blown the whistle then? Did he even think it necessary?
Saturday, November 16, 2019
Analysis of Conceptual Frameworks in Accounting
Analysis of Conceptual Frameworks in Accounting Introduction International Accounting Standards Board (IASB) has begun a mutual project with US Financial Accounting Standards Board (FASB) to rebuild the existing frameworks and converge them into a common framework. First, some background. The US Securities and Exchange Commission (SEC) has proposed that companies required to file financial statements with the SEC begin replacing U.S General Accepted Accounting Principles (US GAAP) with International Financial Reporting Standards (IFRS) beginning in 2014. For all practical purposes this means the eventual adoption of IFRS (principles-based) for all companies in the United States (U.S. accounting standards are considered to be rule-based model). The shift aims to harmonize US accounting standards to an international one in tandem with the globalization of capital markets.Norwalk agreement between the FASB and the IASB was signed paving the way for the creation of more principles-based accounting standards for global financial reporting (Wikipedi a, 2010). What isà a Conceptual Framework? International Conceptual Framework of Financial Reporting is a system of interactive objectives and fundamentals which lays out a set of consistent standards in preparing financial reports.A conceptual framework is akin to a constitution that prescribes the nature, function and limits of financial accounting and financial statements. Why is a conceptual framework necessary? First, to be useful, standard setting shouldbuild on and relate to an established body of concepts and objectives. A soundly developed conceptual framework should enable the IASB or FASB to issue more useful and consistent standards over time. A coherent set of standards and rules should be theresult, because they would be built upon the same foundation. The framework should increase financial statement users understanding of and confidence in financial reporting, and it should enhance comparability among companies financial statements. Second, new and emerging practical problems should be more quickly solved byreference to an existing framework of basic theory. For example, PandaCorporation sold two issues of bonds that it would redeem either with $1,000 in cash or with 50 ounces of silver, whichever was worth more at maturity. Both bond issues had a stated interest rate of 9 percent. At what amounts should the bondshave been recorded by Pand a or the buyers of the bonds? What is the amount ofpremium or discount on the bonds and how should it be amortized, if the bond redemptionpayments are to be made in silver (the future value of which was unknownat the date of issuance)?It is difficult, if not impossible, for the FASB or IASB to prescribe the proper accountingtreatment quickly for situations like this. Practising accountants, however, must resolvesuch problems on a day-to-day basis. Through the exercise of good judgment and withthe help of a universally-accepted conceptual framework, practitioners can dismiss certainalternatives quickly and then focus on an acceptable treatment. Harmonization of accounting standards is very important. For instance, Multinational companies doing business in more than one country will find that it is difficult to comply with more than one set of accounting standards established by authorities in different nations. Harmonization of accounting standards will help the world economy in the following ways: by facilitating international transactions and minimizing exchange costs by providing increasingly perfect information; by standardizing information to world-wide economic policy-makers; by improving financial markets information; and by improving government accountability. International investment decisions and financial-based management decisions are then made with less risk. Furthermore, harmonization of accounting policy would help provide a level playing field globally. Regulators and auditors will be receiving the same information, facilitating the evaluation process. In todays accounting environment, there are two formats of accounting systems, namely principles-based system and rules-based system.Almost all companies are required to prepare their financial statements according to one of the two standards. Recently, there has been much debate on whether principle-based accounting would be more efficient than the popular rules-based accounting, in the wake of accounting scandals, such as Enron. As a result of the Enron saga, the current way of accounting has been come under a great deal of scrutiny. Rules-based Accounting Rules-based accounting such as US GAAP is basically a list of detailed rules that must be followed when preparing financial statements. Many accountants favor the prospect of using rules-based standards, because in the absence of rules they could be brought to court if their judgments of the financial statements were incorrect. When there are strict rules that need to be adhered to, the possibility of lawsuits is diminished (Investopedia, 2009). Having a set of rules can increase accuracy and reduce the ambiguity that can trigger aggressive reporting decisions by management. The matrix of rules, however, can cause unnecessary complexity in the preparation of financial statement Principles-based Accounting Principles-based accounting such asIFRS is adopted as a conceptual basis for accountants. A simple set of key objectives are set out to ensure good reporting, e.g. qualitative characteristics, faithful representation. Common examples are provided as guidelines and explain the objectives. Although some rules are unavoidable, the guidelines are not meant to be used for every situation (Investopedia, 2009). Precise requirements can sometimes compel managers to manipulate the statements to fit what is compulsory. The problem with principles-based accounting is that lack of guidelines can yield unreliable and inconsistent information that makes it difficult to compare one organization with another. When contemplating which accounting method is best, it must be made certain that the information provided in the financial statements is relevant, reliable and comparable across reporting periods and entities. Increased discussion has pushed accountants towards principle-based accounting, but it is recognized that the method needs to be modified to make it more effective and efficient. To illustrate thecomparison, for example, depreciation expense for all fixed assets is to be set at 10 percent per annum of the original cost of the asset until the asset is fully depreciated.Such a rule leaves no room for judgment or argument about the amount of depreciation expense to be recognized. Comparability and consistency across firms and through time is virtually assured under such a rule. This is a rules-based system.In contrast, under the principles-based system, depreciation expense for the reporting period should reflect the decline in the economic value of the asset over the period. Such a standard requires the application of judgment and evaluation by both managers and auditors. The goal is to register the realistic value of the asset according to as is basis. Differences between IFRS and U.S. GAAP Statement of Income Under IFRS, extraordinary items are not segregated in the income statement, while, under US GAAP, they are shown below the net income. Consolidation IFRS favors a control model whereas U.S. GAAP prefers a risks-and-rewards model. Some entities consolidated in accordance with FIN 46(R) may have to be shown separately under IFRS. Inventory Under IFRS, LIFO (Last In, First out) cannot be used while under U.S. GAAP,companies have the choice between LIFO and FIFO (First In, First Out). Using the LIFO method results in lower gross profit, which allows a company tobe taxed less. Earning-per-Share Under IFRS, the earning-per-share calculation does not average the individual interim period calculations, whereas under U.S. GAAP the computation averages the individual interim period incremental shares. Development Costs These costs can be capitalized under IFRS if certain criteria are met, while it is considered as expenses under U.S. GAAP(Remi Forgeas, 2008). Advantages Rules-based System Increased accuracy, reduced ambiguity and a diminished possibility of lawsuits. Rule-based standards are generally considered easier to audit for compliance purposes, and may produce more consistent and comparable financial reports across entities. Auditor display higher confident in decision making because they have a bright-light guidelines. Principles-based System The fundamental advantage of principles-based accounting is that its broad guidelines can be practical for a variety of circumstances Potentially very flexible with regard to new and changing products and environments. As such, they should also require less maintenance. Another advantage of a principles-based system is that it would result in simpler standards. Principles-based system would lead to standards that would be less than 12 pages long, instead of over 100 pages. Accountants are afforded the flexibility to input their expertise and judgment more freely in line with the professional code in producing the financial statements. Such deployment of their skills and experience will enhance their professionalism. Disadvantages Rules-based System Lack of transparency of disclosure. In the wake of recent accounting scandals, such as Enron and Worldcom, investors are becominghypersensitive to the reliability of published accounts and suspicious of the possibility of inflated earnings. The major drawback to a rules-based system is the complexity in the preparation of financial statements May include a lack of flexibility with regard to changing conditions and new products, hence requiring almost continual maintenance at times. Frequently subjectto manipulation as entities may search for loopholes that meet the literal wording of the standard but violate the intent of the standard. Principles-based System Critics of a principles-based approach argue that financial statements are more difficult to audit andwould likely lose their comparability and consistency across industries and issues regarding income measurement and recognition would remain controversial. For example, how much income will General Electric actually recognize on a multi-year defense contract under the percentage of completion method of accounting? Will this be comparable to the income reported by its competitors? To the extent that they rely on individual judgment to interpret and implement the standards, there is a danger that they can be used to manipulate financial results. For example, what ifthe auditors behaving badly? Abuse their trust and fail to apply the principles in good faith consistent with the intent and spirit of the standards. Auditors display less confidence in their decisions. Between the rules-based and principles-based modules, it is felt that the latter will be more practical and preferred by the global community, given its universal appeal based on ethics, sound judgment, transparency, credibility and even downright common sense factors. Moreover, in the globalised business arena, this system would be easier to adopt, comprehend and acceptable as against rigid rules that may be interpreted differently from one country to another. Example Cases Enron Case U.S. accounting standards are considered to be rule-based model. For example, we look at the Enron scandal, which broke in October 2001 and eventually led to the collapse of the Enron Corporation. Through the use of accounting loopholes, special purpose entities (SPE), and poor financial reporting, Enron was able to cover up billions of dollars in debt from failed deals and projects.In the U.S, Accounting law allows a company to exclude a SPE from its own financial statements if an independent party has control of the SPE, and if this independent party owns at least 3 percent of the SPE. Enron needed to find a way to hide the debt since high debt levels would lower the investment grade and trigger banks to recall lendings. Using the Enrons stock as collateral, the SPE, which was headed by the CFO Fastow, borrowed large sums of money. And this money wasused to balance Enrons overvalued contracts. Thus, the SPE enabled Enron to convert loans and assets burdened with debt obligations into income. In addition, the taking over by the SPE made Enron transfer more stock to SPE. However, the debt and assets purchased by the SPE, which was actually burdened with large amount of debts, were not reported on Enrons financial accounts. Enron was also guilty of using a dubious mark-to-market accounting system in its forward gas contract sales whereby income was estimated as the present value of net future cashflows to indicate true economic value. When these projects faltered, income was still recorded based on the initial value which of course was incorrect. As a result more projects had to be created to sustain a steady income inflow to appease the shareholders. Shareholders lost nearly $11 billion when Enrons stock price, which hit a high of US$90 per share in mid 2000, plummeted to less than $1 by the end of November 2001. Transmile case A special audit carried out by Moores Rowland Risk Management Sdn. Bhd, showed that Transmile made pre-tax losses of RM126 million and RM77 million for 2006 and 2005, respectively, instead of pre-tax profits of RM207 million and RM120 million as originally reported a total of RM530 million in overstatement. Their auditors Deloitte Touche declined to approve the accounts when the company failed to furnish them proof to substantiate certain trade receivables. However, the loss was not detected by Deloitte Touche. Worldcom case This case unveils how one of the worlds largest Mississippi telecommunicationproviders managed to make $3.8 billion disappear? The answer lies in the companys CFO Scott Sullivans treatment of capital expenditures and the accrual method, one of the basic principles of accounting.Sullivan, fraudulently took billions of dollars in operating expenses and spread them out across so-called property accounts, which is a type of capital expense accounts. This allowed Worldcom to charge the expenses off slowly, and in smaller amounts, instead of reporting them immediately to investors. The U.Ss rules-based accounting system is lack of transparency.Transparency is becoming a matter of survival rather than choice. The way toaddress at least some of the flaws mentioned above is to advocate more transparency in financial reporting. This essentially means that companies would start providing all the information the market considers to be relevant rather than simply fulfilling their mandatory regula tory requirements. Southern Bank Bhd (SBB) case In the review of Southern Bank Bhds audited financial statements for the year ended Dec 31, 2005 there was inappropriate accounting treatment amounting to RM 160 million as follows: Inappropriately valuing certain derivative financial instruments and not writing down in full the collateral value. Wrongly writing back specific provisions made on certain foreclosed properties. Capitalizing instead of expensing certain costs which is similar to Worldcom financial scandal. It appears that the accounting and auditing standard in Malaysia is very low. In order to protect the interest of the small investors and shareholders, the accounting and auditing standard should be upgraded. Conclusion Personally, I do not favor relying on either principles. Without credible principles, the rules are meaningless. Without rules the accountants are not protected. We had principle-based rules up until the IASB/FASB was created. The more specific rules or guidance were issued following lawsuits against auditors or accountants, questioning their professional judgment. The profession felt that to issue specific rules would reduce the likelihood of lawsuits against the accountants professional judgment. Interestingly, we are now coming full circle and looking to simplify how accounting is interpreted. We will make this switch and then in another 10-20 years, if another accounting scandal arises and everyone will ask for more rules again? However, we may be well served by acknowledging that neither a purely rules-based nor a purely principles-based system will be the best option on its own. Perhaps a largely principles-based system policed by a simple rules code could be the ideal solution.Any set of rules will be subject to someones interpretation. The rules will only be as good as those who use them. (2,490 words)
Wednesday, November 13, 2019
Parental Conflict In Turtle Mo :: essays research papers fc
The Parental Conflict in Turtle Moon à à à à à For the average person, occasional inter-personal conflicts are a fact of life. Nowhere do these conflicts manifest themselves with greater tension than in the parent-adolescent relationship. Through their works, writers of fiction illuminate the sources of strain common to parent-child interactions. In the novel Turtle Moon, Alice Hoffman exemplifies this conflict in the relationship between Keith Rosen and his mother Lucy. There are several factors that contribute to this conflict and the work as a whole. The strife between Keith and his mother results from Keithââ¬â¢s desire to live in New York with his father, the lack of parental involvement, and the lack of communication between Keith and his mother. à à à à à The discord between Keith and his mother results from his preference to live with his father in New York. Keith has no choice in the decision and now he lives in Verity, a town he hates. This situation lies at the root of his rebellion against his mother. When he lives in New York he is never particularly well behaved, ââ¬Å"but after eight months in Florida, he is horridâ⬠(5). Through his rebellious actions Keith generates grief and worry in his mother Lucy. His backpack must be checked ââ¬Å"for contraband everydayâ⬠(31), and he and his mother fight constantly. Because he is forced to live with his mother, Keith resents her. Keith is angry with Lucy because he feels as if he is trapped in Verity. ââ¬Å"He wanted to live with his father, but who asked him?â⬠(6). Keith deliberately disobeys Lucy and has no respect for her. He counts down the days until he can go back to New York and this ignites many arguments between them. Keithââ¬â¢s rebelli ous actions advance the novelââ¬â¢s theme of searching for identity and independence. McBane In addition to living in Verity, another source of the conflict between Keith and Lucy is her lack of parental involvement. Lucy and Keith grow more and more distant from each other because Lucy stays out of Keithââ¬â¢s life. In the same way Keith avoids his mother at every available opportunity. ââ¬Å"He waits in bed until heââ¬â¢s sure sheââ¬â¢s left, so he wonââ¬â¢t have to see her and pretend to be normal or cheerful or whatever it is she wants him to beâ⬠(6). Because Lucy does not involve herself in Keithââ¬â¢s life she wonders what he is doing and tends to assume the worst about him.
Monday, November 11, 2019
Large classes Essay
When students are in large classes it is very hard for the teacher to give every student individual attention. What can educational authorities do about this? It is quite obvious that when the students are in very large numbers in a class, the teacher canââ¬â¢t pay individual attention. I think as far as students are attentive in the class, teachers attention to individual hardly matters. Not all students in a class need personal attention, because they are smart and grasp the lessons quickly by themselves. However some of the students who are a little weak can surely get personal attention of the teachers. Nevertheless for the teacher to be able to monitor progress of all students of a class, it is necessary that proper student teacher ratio is adhered to. Student-Teacher ratio refers to the number of teachers in a school or university with respect to the number of students who attend the school or university. For example, a student teacher ratio of 10:1 means that there are 10 students for every one teacher available. The term can also be reversed to be teacher-student ratio. If one classroom has a 30:1 ratio and the other has a 10:1 ratio, the school could claim to have a 20:1 ratio overall. But if the ratio is 50:1, the school needs to hire more teachers. In a way 40:1 is the ideal ratio where all students can get proper attention of the teacher. Summarizing, this is the responsibility of the educational authorities to inspect schools and universities periodically to ensure a right student-teacher ratio and in the event of this ratio changing due to greater number of students, educational authorities must strictly advice schools to hire more teachers and maintain appropriate student ââ¬â teacher ratio. This shall help all students get better attention of the teachers if not individual attention.
Saturday, November 9, 2019
Sources of Finance Essays
Sources of Finance Essays Sources of Finance Essay Sources of Finance Essay Source of finance Match the source with advantages and disadvantages State if advantage/disadvnatage ordinary share capital: money given to a company by shareholders in return for a share certificate, which gives them part ownership of the company and entitles them to a share of the profits 21 . lncreasing ordinary share capital can make it easier to borrow more funds from a bank as the share capital can purchase assets that can be used as collateral. advantage 22. Bringing new shareholders into a small business often means that further expertise is brought into the business. vantage 3. 0rdinary share capital is permanent â⬠the business does not need to pay it back advantage 17. As the business grows, the percentage shareholding of the original owner(s) will probably decline. This can ultimately lead to a smaller share of the profit and even a loss of control of the business. disadvantage 28. They are generally cheaper than other sources 20. 1n profitable years, ordinary shareh olders will expect high dividends. disadvantage 12. The original aims of the business may be lost due to having too many shareholders disadvantage . t is not necessary to pay shareholders a dividend if the business cannot afford it venture capital: finance that is provided to small or medium-sized firms that seek growth, but which may be considered risky by typical share buyers or other lenders. . 2. It is possible that venture capitalists will exert too much influence, so the original owner may lose his/her independence. disadvantage 10. Venture capitalists will sometimes allow interest or dividends to be delayed 19. 1n return for the high risks, venture capitalists will often want high interest . Venture capitalists will often want a significant share of the business. 1 . lt is useful for high-risk firms that are unable to get finance. advantage 14. Venture capitalists will often provide advice too personal sources of finance: money that is provided by the owner or owners of the business from their own savings or personal wealth 1 5. There may be insufficient funds available 9. They may be the only option possible. 23. Security is not usually required. 6. They can cause family tensions They allow the owner to keep control. . They may cause stress for the entrepreneur bank loan: a sum of money provided to a firm or an individual by a bank for a specific, agreed purpose. 16. The size of the loan and the period of repayment can be arranged to match the exact needs of the firm. advantage 4. 1nterest rates are normally lower because of the security provided. advantage 1 1 . There is less flexibility in a bank loan, so the business will tend to pay interest for the agreed period, e ven if it gets into a position where it can pay off the loan early. 27. is more expensive than alternatives such as personal finance. 26. The interest rate and thus the repayments are fixed in advance, making it easy to budget the schedule for repayments. advantage 25. The size of the loan may be limited by the amount of collateral that can be provided rather than by the amount of money needed by the business. disadvantage bank overdraft: when a bank allows an individual or organisation to overspend on a current account held with the bank up to an agreed (overdraft) limit and for a stated time period 18. The decrease in demand for goods and services as resulted in the closure of many small businesses in the UK. During the first 5 months of 2009, there was a 52% rise in the number of small businesses filing for commercial bankruptcy. According to the Automated Access to Court Electronic Records (ACER), there were 36,103 filings compared to 23,829 this time last year'(AsaGhaffar,2010). As I stated earlier the economy has begun to show signs of a recovery but Banks remain sceptical of the future of small firms. In order to maintain the current state of growth, further business activity is needed this will require banks to loan more money to firms. However, this has not been the case. A recent article states In a survey of 1,045 directors, the Institution of Directors found that 60% of businesses are being turned down for credit by the banks despite repeated claims made by UK lenders that they are fulfilling demand for loans (Lucy McCann, 2010). In addition, an increasing amount of firms have been refused overdrafts. This may be a result of the increase in loan guarantees and securities required by the Banks and the reason why banks are sceptical about the future of small businesses. Working Capital can be defined as the day to day finances needed to run a business- generally seen as the difference between the values of a firms current assets and its current liabilities.(I.Marcousà ¯Ã ¿Ã ½, 2008). Efficient working capital management involves ensuring there is sufficient cash available to meet the cash requirement at any one time. In a business operation working capital is highly important. Irrespective of the firms size insufficient working capital is the commonest cause of business failure (I.Marcousà ¯Ã ¿Ã ½, 2008). In preparation for a fall in demand effective working capital becomes even more important for small firms. During a period of falling demand consumer will save more and buy less goods and services this will result in a decrease in sales revenue for many small businesses such local restaurants, pubs and small shop owner. In time small firms will begin to experience a shortage of cash or working capital due to falling revenue and may not be abl e to purchase as much stock or pay bills on time. In such a situation like falling demand and revenue small firms will have to make drastic changes to their working capital and reconsider their source of finance. During an economic downturn many small firms are likely to experience rapidly decreasing revenue and problems with their working capital. In addition, the more conventional source of finance such as a bank loan or an extension on the firms banks overdraft may become difficult to attain as banks will be aware of the dilemma facing firms and may require more guarantee for their money. Therefore small firms will have to consider alternative sources of finance. Trade credit is a possible alternative source of finance for a small firm. Defined as when suppliers agree to accept cash payment at a given date in the future (I.Marcousà ¯Ã ¿Ã ½, 2008).This is possibly the cheapest finance option available as it cost the business nothing to arrange such an agreement. Trade credit will allow the firm spend their already declining capital on other aspects of the business operation in order to accommodate for the falling demand. For example a local restaurant will be able to pay their electrical and water bill allowing them to continue operation. However, during a period of falling demand the future of a small firm may not be certain an as a result there is a risk the firm will not be able to pay suppliers when the time comes and this could damage the relationship between the firm and supplier and mitigate chances of attaining trade credit in the future. In addition, the chances of obtaining trade credit will be low considering the possibility that falling demand will also affect competitors and as a result they may also try to attain trade credit thereby creating heavy competition. A small firm may consider debt factoring as an alternative source of finance. Debt factoring is when A business sells its outstanding customer accounts (those who have not paid their debts to the business) to a debt factoring company (tutor2u). The possible advantages are; the firm will be able to raise cash quickly and will no longer have to continue chasing there debtors this will save them t ime and resources. However, firms will have to sell their debt at a loss. This will negatively affect the profit of a firm. Furthermore, in a period of falling demand debtors are likely to default and this will make it difficult for firms to sell their debts. Stocks are the organisations assets in the form raw material, work in progress and finished goods, in order to make best use of warehousing facilities and stockholding costs (J. Sutherland and Diane .Canwell, 1995). There are 3 different types of stock. Raw materials and components are stocks purchased by the business from outside suppliers. Work in progress, these are stocks which are incomplete as they are still in the production progress, for example a car chassis on a convey belt in a factory. Finally, finished goods are stocks which are held by the firm for a period of time until they are sold. This may be due to numerous reasons such as; the products are seasonal or the firm only sell products in batches ( I.Marcousà ¯Ã ¿Ã ½, 2008). In an economic downturn a small firm will likely experience falling demand and at this point consider the possible advantages and disadvantages of reducing stock. If a small firm is to reduce their stock they will require less storage space and a s a result save money allowing them to spend it on other aspects of the operation. Furthermore, a smaller stock increases the liquidity of the firm. Less stock increases the chances of the firm selling all their products thus making them more liquid, thus enabling the firm to gain short term cash quickly which is highly important in an economic downturn as demand falls and revenue drops. In addition, the cost security will be less. The less space consumed will require less security personal to monitor. Conversely, by reducing stock a small firms risk losing their competitive advantage. If the economy was to suddenly recover and demand begins to rise for goods and services the firms may not be able to meet the sudden demand. In such a circumstance a firm may lose future customers to competitors who will be able to meet demand. In the long term this will have a negative impact on sales and could eventually lead to bankruptcy. Reducing stock may be beneficial in a period of economic downturn but the ability for a firm to reduce the stock may depend on the type of business. For example, in comparing a local store to a small building firm the difference in reducing stock can be seen. In order to reduce stock a local store could simply offer discounts to customers which will increase the demand for the goods and thereby allow the shop to get rid stock quicker. In addition, most of the stock are finished goods and as a result are ready to sell as soon as they arrived. On the other hand a, building firm hold stock such as sand and cement and tools which are mostly raw materials and work in progress and vital to their operation and as a result cannot be sold to the customers in a period of falling demand. It can be argued; depending on your business reducing stock will be beneficial for a small firm as it reduces cost in terms of storage space and security, also allows the firm to accommodate for the falling demand resulting from the economic downturn. However, from my perspective debt factoring will be the best course of action for a small business during a time of falling demand. In an economic downturn there is likely to be high unemployment and as a result falling demand thus reducing the circulation flow of income. Consumers will have less cash available and this means there is a greater chance of individuals not paying their debts on time or even defaulting. For this reason, assuming the firm has debtors, firms which require a short term form of finance will want to consider debt factoring. Seeing as it is likely debtors will not pay on time or at all it will be greatly beneficial for the firm to sell off their debts. Although a firm are selling at a loss and may face difficulty selling the debts in an economic downturn as debt factoring company will also be aware of problems facing debtors, if possible it will provide the small firm the capital they need to finance their operation, thereby giving the firm a better chance of surviving the economic downturn. In addition, survival should be the likely objective for any small firm in such a period.
Subscribe to:
Comments (Atom)