Monday, September 30, 2019

History of Fast Food Essay

Fast food has been a growing phenomenon for since its introduction in 20th century. The changes in American culture pushed the fast food industry into a staggering growth arena and have changed the way consumers purchase and eat forever. â€Å"The fast-food industry that now extends throughout the world has its roots in the United States. Fast-food restaurants are often regarded as emblematic of a new global culture, but the industry has indisputably been shaped by its American origins. † (Leidner 8). Fast Food has developed from being a convenience to a necessity, widened the financial gap and became an international phenomenon. The first drive-in restaurant, Royce Hailey’s Pig Stand in Dallas, Texas, was opened in 1921, and offered pulled pork BBQ and introduced Texas Toast. As one southern fan of Royce Hailey’s pig stand put it: â€Å"Folks went hog wild when the first Pig Stand opened in Dallas in 1921. Agile â€Å"car hops† leaped onto running boards of Model-Ts to deliver â€Å"curb service† to a generation on the go. It was the age of the automobile, and Pig Stands multiplied across America faster than you can say â€Å"soooo-eeee. It took the Great Depression of the ’30s to slow â€Å"The Pig† down. †(Sowa). Drive-in services were not very popular at this time because automobiles were expensive and few and far between during the Great Depression. Then nearly three decades later the drive-in restaurant enjoyed a degree of success during the 1950’s. Drive-ins celebrated the cultural importance of the automobile and â€Å"Drive-in restaurants proved (to be the) most popular, places where carhops served customers directly in their parked automobiles† (Young, and Young 29). This convenience which enabled people to order their food and eat it in the open air without having to unbuckle their seatbelts changed American fast food forever (Woloson). â€Å"Car hops, as they were also called, became familiar congregation centers for teenagers as well† (Woloson). The rise of the fast food restaurant would not have been possible without constant changes in American culture. The 1950’s brought about American lifestyle changes. With the end of the war Americans had saved money and moved to the suburbs. For the first time in history middle class married women with women with children were entering the work force. â€Å"Married women comprised the majority of the growth in the female work force throughout the 1950s, and between 1940 and 1960 there was a 400 percent increase in the number of working mothers; by 1960, women with children under the age of eighteen accounted for nearly one-third of all women workers†(Coontz 161). The working women and the decrease of free time may be a direct contributor to the growth of the fast food industry. The development of an affordable automobile and the simultaneous governmental support of new road systems physically reinforced this cultural melding, enabling car owners, especially, to go to places they had never been before. There was a boom in the tourist industry in the 1950’s and 1960’s. The â€Å"key to the expansion of tourism demand was the rise in disposable incomes in the 1950s and 1960s. † (Beauregard 225). Travelers, who once went by rail, boat, or horse, were now moving faster by car. Consumers began to value things such as speed and convenience as part of their trips. Fast food restaurants began making their food faster and faster and â€Å"Americans love the convenience of letting someone else do the cooking,† especially when they are vacationing (Bijlefeld, and Zoumbaris 51). As travelers not only did they need affordable and reliable places to stay they needed quick, convenient, and inexpensive eateries. The need for fast, reliable, affordable, and convenient food, along with an increasing acceptance among Americans of more fast pace culture, led to the rise of the fast food industry. Fast food restaurants sprang up in both urban areas and along the nation’s highways in record numbers after the introduction of the fast food phenomenon known as McDonalds. â€Å"The first fast food restaurant (was) opened by the two McDonald brothers in 1937 in Pasadena, California. Their established restaurant had experienced high demand at specific times (for example, workers’ lunchtimes) and they responded with a circumscribed menu (burgers) and were able to serve large numbers at high speed and low price. The assembly line procedures, with food preparation and serving made into simple repetitive tasks, combined with a specialized division of labor for each stage, have been recognized as constituting the first ‘fast food factory’† (Beardsworth, and Keil 120). This enabled people to get their food faster and set the standards for the future of the fast food industry. As the McDonalds chain grew and other chains started to sprout up people began to accept the new culture of food service. The working-class food held largely in disrepute. The gaining widespread popularity of fast food made it a staple food in diets of many Americans diets. The most successful of these stands quickly multiplied, taking advantage of the growing popularity of this new â€Å"fast† food and applied industrial principles of standardization to its development. McDonald’s is considered the first fast food restaurant and recognized the potential of this relatively fast and simple food. The organization of McDonalds created standardized methods in its production. The history of White castle dates back to the 1920’s is seen as the first and most influential restaurant chain (â€Å"White Castle†). â€Å"White Castle is credited for beginning the franchise system that inspired many â€Å"(Woloson). White Castle set standards, began standardization of the cooking line, and created the first restaurant which duplicated the original. In retrospect it can be said that White Castle was the start and set high standards for all the other franchise restaurants in the United States. The hamburger fulfilled economic as well as cultural needs for inexpensive food. Although there was not a food shortage during the great depression food was expensive and affordable food options like the local hamburger stand was a blessing. By the end of 1930, White Castle had sold over 21 million hamburgers and then by the end of 1937, this number had increased to over 40 million (Woloson). Fast food began to make a steady incline towards the end of World War II. â€Å"Franchises were not unique to the 1950s; they had been around since the early decades of the twentieth century, patronized by a public increasingly used to and insistent upon the supposed reliability and trustworthiness of branded goods†(Woloson). White Castle, A & W Root beer, and Howard Johnson’s, were some of the first and most successful restaurant franchises. Although it took the ideals of postwar culture to wholly support the fast-food franchise it laid the foundations for the companies to make billions of dollars. In 1955 Ray A. Kroc, a Chicago Milkshake salesman, discovered the McDonald’s restaurant in California and saw a goldmine. He partnered with the McDonald’s brothers, opening 228 franchises by 1960. Kroc happily bought out the McDonalds’ shares of the company in 1961. Kroc, an incredible entrepreneur, wanted to make the customers to identify with the restaurant and make it seem homey. â€Å"By 1988, McDonald’s had opened its ten thousandth restaurant and today there are over 30,000 McDonald’s restaurants worldwide† (â€Å"History of Franchising†). â€Å"Kroc’s success lay in his approach not specifically to cooking individual food items, but in conceiving of his franchise operation in its entirety† (Woloson). The methods and success of McDonald’s Franchises have set a tone for the fast food industry. Although â€Å"White Castle was the first restaurant that encouraged carry-out for those customers on the go the restraint developed standard floor plans and architectural designs that could be easily duplicated† and set these standards for others in the industry (Woloson). McDonalds uniform restaurants, kitchens, dining rooms, and methods of standardized cooking techniques set this great restaurant apart and distinguish it from the other fast food restaurants. Ray Kroc had some competition with the introduction of popular fast food restaurants such as Taco Bell, Wendy’s, and Burger King. One may say ethnic food could be considered a genre for the fast food franchise system, Taco Bell originated in 1962 and was the first ethnic franchise restaurant, paving the way for many more. â€Å"Wendy’s, specializing in bigger, better, and more expensive hamburgers and introduced the first drive-thru windows at their restaurants, which were so popular that Burger King and McDonald’s had to follow suit†(Woloson). As an industry fast food will continue to grow, change, and adapt to the needs of the culture around it. Expanding to international markets the fast food industry offers cultural acceptable products. â€Å"Multinational fast-food chains have now become household names, and in terms of sales and units tend to dominate national markets. Indeed, the industry is becoming more internationalized with brands like Burger King being bought by the British multinational Diageo; and McDonald’s has recently bought a stake in Pret a Manger. However, some of the largest brands in this sector are still American-owned, such as McDonald’s, KFC, Pizza Hut, and Wimpy†(Royle and Towers 3). One great concept is international fast food chains often support the local economy, buying local products, but sticking to the same well known recipes to get desired results. The fast food franchise of the 20th century has set and defined a world-renowned concept of the way people order, eat, and enjoy the food that they purchase. The fast food industry is one of enormous power and economic strength. Fast food restaurants represent America’s cultures and, in many ways, how other cultures strive to be like America.

Sunday, September 29, 2019

A peak detector

Ac voltage to DC voltage and reduces the disturbance. The function can be explained as follow. The capacitor stores the current peak voltage.If he input voltage is larger, the op-amp output goes positive until the capacitor is charged up to the new peak value. If the input voltage is smaller, the diode keeps the capacitor from being discharged. This peak value of voltage that is stored on the capacitor will remain until this capacitor is discharged by a mechanical or electronic switch. Components of peak detector circuit Peak detector circuit consist of two operational amplifiers (op amps), by first op amps on diode Dn is connected in parallel manner and another diode Dp is connected in series manner.And this op amp is connected to the voltage supply. Another op amp and capacitor is connected with this circuit in series. A reset switch is added to the circuit by which the value of peak value that is stored on capacitor A resistor is connected between two op amps. When choosing the re sistor, the limits must be considered: rdf 12 l/fc, where fm is the modulation Frequency and fc is the carrier frequency. Working of peak voltage circuit: The typical peak detector uses voltage amplifiers and a diode or an emitter follower to charge the hold capacitor, CH, unidirectional.The diode conducts positive half cycles, charging the capacitor to the peak voltage value. When the input waveform falls below the DC peak voltage value stored on the capacitor, the diode is reverse biased, blocking current flow from capacitor back to the source. Initially the capacitor discharge(O V) by resetting the A that is negative in situation, Dp blocks current, TOB current is provided by 10 ohms and diode reverses leakage from drain capacitor and stop the output signal. If input inverting input exceed the voltage of the capacitor, he output of B races up to a positive value and current flows through Dp .The voltage drop of the diode is negated due to feedback voltage being after the drop. Th e capacitor charges until it has reached Vin or when Vin drops below its capacitor's voltage at the time of which A goes back into the negative saturation. The capacitor slowly discharge through the reset. This is a major source of droop on fast or low duty cycle signals since it will discharge some before. The next wave peak A- is a unity gain output buffer that prevents the next stage from draining the capacitor.

Saturday, September 28, 2019

Get a Life...and a Career Essay Example | Topics and Well Written Essays - 500 words

Get a Life...and a Career - Essay Example Career planning is an important stage in life of every high school student, and it usually starts from setting development goals and self assessment. Speaking about myself, my possible future career is teaching in college or university. As "education is the most powerful weapon which you can use to change the world" (Dunkan), I would like to make my own contribution to giving the knowledge and skills to other people, who will use them to create their own lives and careers. Besides, the profession coincides with my personal characteristics, as I like to get acquainted with other people, communicate with them, be with them, be aware of what is happening in the world, ask and answer the questions. In addition, I like to look for new materials, read interesting books and learn news on different topics, which is important, if I want to write my PhD dissertation and keep my lectures up-to-date with the changes in the world. I understand that to become a good professor, I need to work hard and spend a lot of time, before I gain experience and knowledge to teach. However, the time spent for preparations will pay off in future. And there is a place for further development in the career, as I may become engaged in research work, take part in conferences, exchange programs, trainings, write and publish books. My future goals and plans are the following. During the first 10 years I will be working hard on finishing a college, taking part in students exchange programs, entering a post-graduate course, writing a dissertation, starting my research work, establishing contacts with other researchers in my field of knowledge, and starting to work. In 20 years I see myself as an Associate Professor of a University, teaching several courses to students. I take part in different conferences, publish articles, and cooperate with foreign professors and researchers. This is also the time, when I want to settle down

Friday, September 27, 2019

Collective Bargaining Assignment Example | Topics and Well Written Essays - 1250 words

Collective Bargaining - Assignment Example Not only do the Unions concentrate on the working conditions of an employee but also create a sense of connectedness and solidarity to an employee while at the same time help to solve crucial organizational problems by educating their members and help reduce the problem of rational ignorance and hence stand on behalf of each of their members. Analysis In the United States, Labor unions have been in existence from the early the days of the republic, although; by then they were just local craft unions. Craft unions are unions with few members who mainly work in the same skilled occupation of a specified area. They are these types of Unions that existed in the United States until the end of the Civil War (1861-1865) when stronger and more powerful Unions came into existence. Amongst the big Unions that emerged in the United States are; Knights of Labor, American Federation of Labor and Congress of Industry Organization (Toke & Za?ris, 2008). The Knights of labor was officially founded i n 1867 by Uriah Stephens and unlike the craft Unions that existed then, it was one big union that included all workers irrespective of the kind of work one did. It did not mind whether one was skilled or unskilled, neither the race nor national origin mattered. It had a place for members of all kind and these made it attain membership of about 700000 by the year 1886. Some of its strikes and collective bargaining led to wage increment to its members (DTI, 2001). Success to this collective bargaining tactics meant that even its member’s relation to that of its employers was good and in return the workers did put more effort in production. Although it brought success and nourished in collective bargaining of its members and created significance progress in labor relations, it created a bad reputation for itself when seven policemen and one civilian died in one of its riots in Haymarket, Chicago where it was held responsible and blamed for the deaths and hence lost its reputatio n. American Federation of labor was founded by Samuel Gompers in the year 1886, he was a cigar maker. This was not really a union as such but an association of the existing craft unions where the craft unions still maintained their identity within the association. To be a member of a craft union, one had to be skilled in a particular trade of that particular craft union to join the federation through the craft union. It mainly concentrated on economic issues such as better working conditions, higher wages and shorter working hours. Although it had no place for the unskilled worker, its success progressed to a level where it had about four million members in its name by the year 1920. Since it brought people of the same skills together, this was an advantage to the employer too. Better skills could be nourished and attained to the advantage of the employer (Toke & Za?ris, 2008). Since the American federation of labor excluded unskilled workers, there emerged Committee for Industrial Organization which later changed to Congress of Industry Organization. It was founded between 1935 and 1938 by John. L. Lewis who deserted from American Federation of Labor. Its agenda was to find vertical unions within industries and include all its workers regardless of the job they performed within the union. These led to stiff competition for members amongst the unions and eventually CIO and AFL merged in 1955 to form AFL-CIO since they were all now recruiting all types of workers, skilled

Thursday, September 26, 2019

The Ancient Art and Its Forms Essay Example | Topics and Well Written Essays - 500 words

The Ancient Art and Its Forms - Essay Example The first Indian art is believed to be 5,000 years old, which included stone carving and bronze castings. With a great history of Hinduism and Buddhism, the Indians produced many religious pieces of arts. People in ancient Central America around Mexico region began their artistic work 1000 years BC. The region is famous for the production of wonderful ceramics with kilns burning it over 900Â °C (Henry M, 2012, p. pg 123). The Christian era began during the ancient times and is believed to have continued evolving until the modern times. The most striking features of this period include monuments produced by Indians, Egyptians, Romans and many other groups. However, we shall concentrate on two striking monuments like the Minoan Snake Goddess and Totem Pole. Minoan Snake Goddess is an ancient cultural piece of art that depicts the Goddess holds two snakes in each hand. The first production of Minoan Snake goddess dates back to 1600BCE. The piece of art resembles a totem pole by the manner in which it is decorated. An interpretation of the open breast reveals the fertile nature of the Goddess. The snakes are a symbol of renewed life since the snakes are regarded as immortal whenever they shed their skin and renew their strength. The above pieces of art resemble each other in the manner in which they are decorated (Richerson, 1992). They are also symbols of religion. Indians in their temples use the Minoan Goddess symbol. The two pieces of art are 3-dimensional carvings mostly done using the stone. Indians used the stone to produce most of their ancient art and so was Minoan Snake Goddess. Use of colors was highly emphasized ancient artists because colors and decorations brought out the beauty aspect of the intended art. Use of line and shape has also been used in the two pieces of art. Shapes like triangle and cube boxes have been employed in the Minoan Snake Goddess. The same also applies to the Totem Pole piece of art.

Wednesday, September 25, 2019

Evaluate Auditing Processes Essay Example | Topics and Well Written Essays - 1000 words

Evaluate Auditing Processes - Essay Example The essay will also evaluate the various accounting processes that are being adopted by the federal government in a succinct manner. It is evident that there lay certain specific criteria, which need to be adhered while complying with a standard auditing process. This aspect is also evident in the case of auditing a town or a city. The audit, which has been conducted for the Town of Maywood can be evaluated based on the requirements of GAAS. Theoretically, GAAS is a particular framework, which provides a set of guidelines to be followed by auditors for ensuring accuracy, reliability as well as fairness in the auditing process. The audit conducted for the Town of Maywood was executed with proper observations of the activities performed by the people who were involved with the preparation of its financial statements. It can be affirmed that this particular auditing procedure adhered to the guidelines of GAAS (Kinney Jr, 1986). Notably, the audit report also presented the reason for not considering the financial reports of other towns with which Maywood is associated. This particular aspect also shows compliance of the audit report with the GAAS framework (Public Company Accounting Oversight Board, 2014). Through analyzing the audit report, it can be determined that the audit conducted for the Town of Maywood is in alignment with most of the requirements of the GAAS framework and very little has been omitted or not complied with the same. Prior to the preparation of an audit report, individuals interested both in public administration as well as working as accountants for governmental units must possess an in-depth knowledge about the objectives along with the standards to be followed while preparing an audit report. This may be owing to the reason that the effectiveness of public administration is directly relevant with appropriate

Tuesday, September 24, 2019

As a whole, the Internet of today is more open than closed Essay

As a whole, the Internet of today is more open than closed - Essay Example Unlike in the past, people have access to the internet through a variety of technologies such as broadband services, cable, and other wireless connections. In addition, advancement in technology has enhanced availability of devices such as PC and mobile phones, through which people can access the internet (Julie 387). Availability of these devices and networks has lowered the cost of accessing the internet considerably and, hence made it available to multiple users. This is incomparable to the past, when such devices were a preservation of the upper and the middle class societies. Thus, increase in technology has a direct correlation with increase in internet accessibility. The next factor that has made the internet more open than before is the nature of the current government policies and regulations. Unlike past governments, modern governments consider access to information as basic human rights. This has made most governments across the world to relax and restructure their policie s on internet access. However, the government has the overall responsibility of ensuring that people use the facility productively. The government has the mandate to control the usage of the internet. Arguably, 90% of countries around the globe have relaxed their restriction on internet access and, their citizens have the right to access web content. On the contrary, some conservative countries such as China, North Korea and Arabian countries still have restriction on internet usage among their citizens. However, this does not provide a full restriction on access to web content. The world is continuously becoming a global village. Although the element of a global village is more of a hypothetical element than a reality, leaders across the globe are more concerned with the implication of the hypothesis. It has been proved that the proposed global village will be sustained through unlimited communication among people. Thus, the internet remains the most advocated system or form of com munication. The evolution of web 2.0 technology based system that allows users to post their views and thoughts has made the internet become an essential element of communication. Social networks such as Facebook, Twitter, and MySpace have taken a center stage role in global communication. People have become so fond of the social media, eliminating them from their lives would be impossible (Cass web). Other than the social Medias, the internet hosts other communication forums such as blogs and wikis, which allow people with similar interests to hold discussion on critical issues. The blogs have revolutionized access and development of knowledge across the globe. As the world continuously becomes integrated, the internet has become an opportunity for various aspect of life. A recent report on the usage of social media indicated that Facebook users have hit the billionth mark (Paul web). This indicates that if the social network were a country it would be the most populous country in the world of course with an exemption of China and India. The world of business considers the statistic as business opportunities and, hence the need for open internet. Modern business environment is operating under a wave of globalization, which requires business to have a global scope in terms of operations and production (Paul web). The need for market sustainability has necessitated the need for an open market forum with a global consumer base. Through advertisements, the internet has

Monday, September 23, 2019

International Marketing Essay Example | Topics and Well Written Essays - 2500 words - 12

International Marketing - Essay Example omotion of goods and services and exchange of such goods and services among two or more international entities in order to satisfy organizational objectives (Arnold, 2003). In this paper, the international marketing strategies and practices of the leading US multinational carbonated beverage company PepsiCo Inc. will be analysed. The company is one of the largest producers of soft drinks in the whole world. Apart from carbonated soft drinks, the product basket of PepsiCo Inc. is diversified with various foods and snacks, packaged drinking water and fruit juices. The products of the company have reached more than 200 countries in the world. Such widespread business has enabled PepsiCo Inc. to capture the second largest position in the world in terms of revenue and in North America, it is the largest. The paper will explore the international marketing and operational strategies of this world-famous beverage company, PepsiCo Inc. In the next segment, the motivation of PepsiCo Inc for expanding their business internationally and accordingly differentiated marketing, sales and distribution strategies adapted by the company will be examined in details. As mentioned earlier, due to the liberalization of economies, many companies are showing their interest in expanding their business internationally and maximizing their profitability through serving a large number of customers beyond the home country. In fact, observations of the big multinational companies have indicated that immense business opportunities are lying in the emerging nations in terms of potential customer base and availability of cheap resources, utilizing which, the companies can be benefitted to a great extent (Johnson, Whittington and Scholes, 2011). The reasons behind PepsiCo Inc to participate in internationalization process are as follows. PepsiCo Inc has been operating in the beverage industry in its home market, United States since 1965 and has evolved as one of the leading companies in the

Sunday, September 22, 2019

Independence of the judiciary in Australia Essay Example for Free

Independence of the judiciary in Australia Essay To understand the expression the independence of the judiciary you first must understand what is meant my judiciary. The judicature is: The judicial power of the commonwealth shall be vested in a Federal Supreme Court, to be called the High Court of Australia, and in such other federal courts as the Parliament creates, and in such other courts as it invests with federal jurisdiction. The High Court shall consist of a chief justice and so many other justices, not less than two, as the Parliament describes. Using this definition contained in the Australian Constitution, the expression the independence of the judiciary to my understanding refers only to independence in making decisions in court cases. It means that in making such decisions a judge must be individually independent and free from pressures which could influence a judge in reaching a decision in a case other then by intellect and conscience based on a genuine assessment of the evidence and an honest application of the law . The independence of the judiciary also incorporates that the judiciary is totally isolated from the other branches of the government these branches being the executive and legislative arms which make up the separation of powers as outlined in the Australian Constitution. Judicial independence is of the utmost importance to our judicial system, and to our system of government, because without judicial independence they become useless institutions. The importance of an independent judiciary is to maintain the rule of law, the rule of law being the principle that no member of society is above the law, every member of society is bound by the law, and everyone is equal before the law. The International Covenant on Civil and Political Rights (ICCPR) states the fundamental rights that every human being is entitled to and includes rights referred to in the section, Procedural Guarantees in Civil and Criminal Trials . Article 14 (1) states:All persons shall be equal before the courts and tribunals. In the determination of any criminal charge against him, or of his rights and obligations in a suit at law, everyone shall be entitled to a fair and public hearing by a competent, independent and impartial  tribunal established by lawThe appointment of a judicial branch of government, as outlined in the Australian Constitution and the guarantee that it is completely separate and independent of the other branches, represents the main way by which most states seek to adhere with the principles contained in the previously stated provision of the ICCPR. As Sir Anthony Mason said:The separation of judicial power is not only protection against the exercise of arbitrary power, but it also assists in maintaining the independence of the judiciary and contributes to public confidence in the administration of justice. This statement highlights the importance in ensuring that the judicial power remains separate to ensure that the public can have confidence in the application of the judicial process. Public perception of judicial impartiality is the essence of judicial independence. The independence of the judiciary can be threatened in Australia because total separation of the judicial power is near impossible in the real world. In many countries, including Australia, the Executive Government appoints judges and. this may be seen to threaten the independence of the judiciary. The executive can affect the judicial through the manner in which it seeks to exercise its power of judicial appointments. By exercising this power the executive can shape the future directions in judicial interpretation, especially by a court which has the task of constitutional interpretation, such as the High Court of Australia. This was seen in the request of Deputy Prime Minister Tim Fischer for appointment of Capital C conservative judges in the wake of the Wik decision. The Constitution says that the separation of power is divided between the three arms of government so there can be a system of checks and balances in place to ensure the power of the other two is being exercised in accordance with their outlined role. But can we really have a complete separation of power, when the Prime Minister works within the Executive and Judicial arms of government. However the independence of the judiciary is put to the test when it comes to judges being guided by their understanding of the law, the facts of the case and the pull of conscience to a judgement which is opposed to what the other branches of the government may want. As Kirby CJ highlighted the High Court of Australia has on a number of occasions, over the past 100 years upheld the Constitution and has made judgements which have gone against the principles of the elected Governments and Parliaments. In 1948 it struck down the nationalisation of the private banks . In 1951, it declared unconstitutional an attempt to dissolve the communist party and to deprive communists of basic rights . In 1992 it overturned much earlier law to uphold the rights of Australias indigenous people in their land . In 1996 it held that such rights were not necessarily extinguished by the grant of pastoral leases which cover about half of the land of the Australian continent . These court decisions show that judicial independence has not been threatened in Australia over the last 100 years. The above decisions would be highly unlikely in a country where judicial independence was not guaranteed by the letter of the Constitution. A Privy Council case which dealt with separation of arbitrary and judicial powers was the Boilmakers Case (1956) . The High Court held that it was unconstitutional for the Commonwealth Court of Conciliation and Arbitration to be vested with both arbitral and judicial powers because of the acceptance in the Constitution of the separation of legislative and judicial powers . As a result, the Conciliation and Arbitration Act 1904 was amended to establish two separate bodies. From 15 August 1955 to 2 March 1956 a Full Court of the High Court of Australia, heard an application by the Boilermakers Society for a writ of prohibition on the grounds that the exercise of the earlier orders was . . . contrary and repugnant to the provisions of the Constitution of the Commonwealth and, in particular, Chap. III thereof.The application was  upheld by a majority of the Court. The decision was also affirmed in an appeal to the Privy Council. This case set a precedent that the Parliament cannot invest Ch III courts and/or judges with non-judicial power, which further instates that independence of the judiciary within Australia. A further Case which also highlights that the independence of the judiciary is not threatened in Australia is the case Brandy v Human Rights and Equal Opportunity Commission (HREOC) [1995] . This case reinforced that the HREOC was not originally given the power or authority to enforce its judgements, as it was not a court in accordance with Ch III of the Australian Constitution. If the judgement was to be legally enforced upon the respondent then the matter would have to be heard in the Federal Court. The court held that it was an invalid exercise of judicial powers by the HREOC, which highlights that the independence of the judiciary is being upheld within Australia. Sir Ninian Stephen observed that an independent judiciary, although formidable protector of individual liberty is at the same time a very venerable institution, a fragile bastion indeed . In 1989 he was of the view that judicial independence was still flourishing in Australia. A year later, Sir Daryl Dawson was confident that it was alive and well. Judicial independence does not mean that judges are not accountable for their decisions and judgements. Judges are just as accountable as the executive and legislative arms of government just in a different way. This was highlighted in a paper prepared in 1998 for the New South Wales Parliament on Judicial Accountability, the author noted that Australia has important procedures operating to make the judiciary accountable to the community, these procedures are informal measures; judges are obliged to hear argument from both parties; judges are obliged to conduct hearings in public, which makes them more accountable; judges must give reasons fortheir decisions; and their judgements are subject to appeal. There are a number of ways in which the independence of the judiciary is maintained within Australia. These include, most significantly, the provisions in the Australian Constitution guaranteeing security of tenure and fixed remuneration for federal judges and magistrates. Chapter III of the Constitution outlines in s72 that:(i)shall be appointed by the Governor- General in Council;(ii)Shall not be removed except by the Governor- General in Council on an address from both Houses of the Parliament in the same session, praying for such removal on the ground of proved misbehaviour or incapacity. (iii)Shall receive such remuneration as the parliament may fix; but the remuneration shall not be dismissed during their continuance in office. These protections are intended to ensure members of the judiciary may carry out their functions without fear or favour, in accordance with their oath of office. To further cement its independence in relation to the Government and in relation to Parliament S 71 of the Constitution which states shall be vested means that the High Court cannot be eliminated by Parliament. Section 72(ii) means that the Government cannot remove a judge except by persuading Parliament that there is proved misbehaviour or incapacity. Section 72(iii) is to make sure that the Government or Parliament cannot punish a judge financially for decisions it does not like. The independence of the judiciary is necessary to the rule of law, to ensure that the Government itself acts in accordance with the law. For the Independence of the judiciary to remain strong within Australia public confidence is essential. It is important that the judiciary be, and be seen to be independent. From the cases above and decisions made by the High Court it can be seen that judicial independence is still flourishing  within Australia and will continue to flourish if the judiciary can secure and preserve the confidence of the public. Bibiliography 1. Journal Articles/Books/ReportsBooks-Elizabeth Ellis, Principles and Practice of Australian Law (2nd Edition 2009)-Enid Campbell and H.P Lee, The Australian Judiciary-Christopher Enright, Federal Administrative Law2. Cases:- R v Kirby; Ex parte Boilermakers Society of Australia (1955-56) 94 CLR 254- Wik Peoples v Queensland (1996) 187 CLR 1- Bank of New South Wales v The Commonwealth (1948) 76 CLR 1- Australian Communist Party v The Commonwealth (1951) 83 CLR 1- Mabo v Queensland [No 2] (1992) 175 CLR 1- Brandy v HREOC [1995] 183 CLR 245; 127 ALR 13. Legislation:- International Convention on Civil and Political Rights, Art 14- The Australian Constitution4. Other- John Kilcillen, The Australian constitution: First Reading Macquarie University 2004- Kirby, Michael Justice, International Bar Association Human Rights Institute, Independence of the Judiciary 12-14th June 1998- A Lamer, The Rule of Law and Judicial Independence: Protecting Core Values in Times of Change (1996) 25 Monash University Law Review 209- General Jeffer Michael, The Opening of the Judicial Conference of Australia Colloquium, 6th October 2006

Saturday, September 21, 2019

Dbq on the Medical Field During the 18th Century Essay Example for Free

Dbq on the Medical Field During the 18th Century Essay The medical field during the eighteenth century was comprised of unsanitary, heinous, and uncustomary practices, such as blood letting, trepanation, and the overcrowding of hospitals. Even though these practices didn’t help in the development of the medical field, there were auspicious practices that were beneficial, such as midwifery, ingrafting, and faith in God. Midwifery, during the 1700’s, was one of the most womanized practices of the century. To get the help of a male midwife was a belittlement to the female midwife and it was also a way of disparaging midwifery (Document 2). Also, midwives were expected to obtain the knowledge of caring for and to the skills for the well-being of women in labor(Document 2). While the conditions of a woman giving birth improved dramatically, so did the reputation of midwifery. Ingrafting was one of the most cogent inventions in medicine in the eighteenth century. Diseases as contagious and fatal as the smallpox were almost eliminated with the invention of ingrafting (Document 3). This procedure was so advantageous that Lady Montagu, an English writer, was â€Å"well satisfied of the safety of the experiment,† that she intended to try it on her own son (Document 3). Ingrafting has also evolved into vaccines that now can cure and treat malignant ailments like the flu and cowpox. Faith in God was a way for people to have mental support for their ailments, even though it didn’t cure or treat any ailment, people still turned to God for aspiration. Many people still believe in the power of prayer and in the power of faith to relieve them of illnesses. This is best stated by William Buchan, an Edinburgh physician, because his statement that the Christian religion teach that, â€Å"the sufferings of this life are designed to prepare us for a future state of happiness. †(Document 7) Medical practices, such as midwifery, ingrafting, and faith in God, of the eighteenth century not only advanced to the benefit of the overall health of the people, but also led to the more advanced practices used today. Although these practices were basic, they are the vital parts of the development of medicine.

Friday, September 20, 2019

Types Of Communication Essay

Types Of Communication Essay Communication always has a specific purpose. Communication is contextual so, the objective of communication varies in any given situation. This requires adaptation to the situation in terms of ways of expression, means and methods of transmission of information. Effective communication not only transfers information but also transfers understanding of the message. In the present globalised world when we come across real face-to-face and virtual communication situations, it becomes even more important to express and transmit the message effectively across geographical, linguistic and cultural boundaries. An understanding of the types of communication helps us to analyze the complexity of communication in various contexts. We may broadly categorize communication according to the type of context in which it takes place. The two categories are: Interpersonal Communication Mass Communication INTERPERSONAL COMMUNICATION: The communication that occurs between two or more people as unique individuals, where they understand each other on the basis of their uniqueness in behavior is termed as interpersonal communication. Effective interpersonal communication depends on various interpersonal skills including listening, asserting, influencing, persuading, empathizing, negotiating and compassion. Important aspects of communication between individuals include body language and other forms of nonverbal communication. Interpersonal communication can be dyadic or small group communication. The word Dyad refers to a unit constituting two parts, so when communication takes between just two people it is called dyadic communication. In our everyday life we are a part of a small group as a member of family, a work unit or a team at workplace. Though individuals, we are a member of a group in a given context participating and coordinating actively to achieve a common goal. This communicat ion is known as small group communication. The characteristics of interpersonal communication: Interpersonal communication is inevitable: We are in constant communication with individuals around us not only through words but also by our body language (facial expression, gestures, etc.), paralanguage (tone, pitch, silence, etc.). We communicate in spite of our attempt not to communicate. Interpersonal communication is irrevocable: A Russian proverb says, Once a word goes out of your mouth, you can never swallow it again. One cannot take back the words once uttered, the impact stays. Interpersonal communication is intricate: Interpersonal communication is complicated in the sense that it involves psychological context- personality, behaviour, needs, desires, values; social context- an interaction in an annual general meeting will be very distinct from a press release on the companys annual turnover; cultural context- if you come from a culture where it is considered discourteous to make long, direct eye contact, you will out of courtesy evade eye contact. If the other individual comes from a culture where long, direct eye contact indicates credibility then, the cultural differences lead to misunderstanding. Interpersonal communication is interdependent: Communication between two different and unique individuals is always linked and interdependent as the performance of one member of the team decides the performance fate of the entire team. MASS COMMUNICATION: Mass communication occurs when a homogeneous message from a person or a group is transmitted to a large anonymous as well as heterogeneous audience through a special medium. Mass communication is very valuable when advertising a brand or a product for sales promotion through electronic or print medium. Communication, interpersonal or mass communication, both will become non-existent in the absence of forms of communication. The various forms of communication are as follows: Verbal communication Nonverbal communication Verbal communication: When exchange of thoughts, ideas, feelings and emotions takes place through words- spoken or written, the communication is known as verbal communication. Communication through spoken words is known as oral communication whereas communication through written words is known as written communication. Thus verbal communication takes two forms: Oral communication Written communication ORAL COMMUNICATION Definition and Meaning Transmission of thoughts and ideas through spoken words is known as oral communication. Oral communication constitutes 65-75% of an executives time at the work place. A manager spends about 90% of his working hours in oral communication in various formal and informal situations. Meetings, interviews, group discussions, speech, presentations, instructions, etc. are a few examples of formal oral communication situations. Grapevine is an example of informal oral communication. Oral communication also occurs through specific medium such as a face-to-face interaction through video conferencing, videophone or telephone. The way we communicate orally speaks volume about our personality, attitude, and emotional quotient. So, besides words nonverbal communication plays a vital role effective oral communication. Infact, nonverbal communication complements and completes oral communication. Merits of oral communication Oral communication is swift and speedy. It is faster than written communication as messages can be transmitted as well as received simultaneously. Oral communication generates immediate feedback. Direct face-to-face discussion on queries, doubts enhances the efficacy of communication. Oral communication is economical when compared to written communication. It saves the expenses on stationary and administrative formalities. Oral communication provides opportunities to amend and adapt according to the needs and situation. Reading non verbal clues of the audience during oral communication promotes better understanding. A speaker can always reframe the words and rework the tone, pitch for greater clarity of the receiver. Oral communication serves better in negotiations, arriving at a consensus and resolving conflicts. Oral communication is the most appropriate means to healthy interpersonal relations and healthy working environment. Demerits of oral communication Lack of evidence is a major drawback of oral communication. The validity of the message cannot be legally challenged. Oral communication cannot be preserved for long for future reference. Oral communication is not suitable for long messages such as reports, proposals. Human memory is transitory, so its difficult to retain and remember long messages. Oral communication is not a suitable for communicating across geographical boundaries. Communication through telephones or video-conferencing or even traveling long distances is not cost effective. External noise or disturbance in telephone or interference of any kind can reduce the clarity and understanding of the message communicated orally. Personal prejudices, biases, attitudinal problems can hamper proper understanding while communicating orally. Lack of concentration, inattentiveness and anxiety on the part of the receiver can also adversely affect in understanding the message. Senders personality, content and delivery can reduce or enhance the effectiveness of the message. It is difficult to hold people responsible and accountable for the messages communicated orally. One can easily deny and negate oral information. WRITTEN COMMUNICATION Definition and Meaning All the words I use in my stories can be found in the dictionary its just a matter of arranging them into the right sentences. -Somerset Maugham When transmission of information takes place in writing/written words, the communication is referred to as written communication. Written communication is not merely a bundle of words or sentences. Words and sentences matter only when the receiver receives, decodes and understands the meaning as intended by the sender. Written communication is all pervasive-it pervades the length and breadth of an organization in the form of rules, regulations, instructions, notices, letters, reports, etc. Written communication is an indispensable part of planning, execution, collaboration, coordination in an organization. It also defines the structure, hierarchy, roles and responsibilities in the organization. Written communication also ensures greater clarity, accuracy, validity, reliability, accountability and long life of the information. Written communication can be formal as well as informal. Examples of written communication in a formal situation: Issuing orders, directives, notices and circulars Implementing decisions like appointments, transfer Making and implementing policy decisions, rules and regulations Directing letters, memorandum Merits of written communication A piece of written communication can be kept as record for future reference for longer period of time. Written communication is legally valid evidence and so can be challenged before law. Written communication avoids ambiguity and maintains uniformity of decisions, policies and procedures. One can always refer back to a written piece of information. So it can be retained for a longer period of time and has a long-lasting impact. Written communication is suitable for long, complicated messages. In todays globalised world where we have virtual teams and virtual managers working across cultural boundaries written communication is more accurate as it avoids misunderstanding arising due to different accent, tone, pitch and other nonverbal elements. One can always be held responsible for the information conveyed in writing for errors, omissions and the consequent misunderstanding. A written message carries more credibility than oral message as it can be produced in situations of dispute. Written communication facilitates decision making as the past records provide requisite information and necessary guidance. Demerits of Written Communication Written communication is time consuming as the sender needs to plan, organize and transmit the message through proper channel. Some times excessive paper work and the message traveling through various nodes in a communication network leads to the delaying of the message. This delay may also give rise to red-tapism. Written communication does not evoke immediate feedback. It is difficult to make changes, corrections and improvisations in the message once transmitted. If there arises a need to change the message, the process is again time consuming. Written communication is not cost effective. Planning, drafting and circulating of a message in large organizations require proper set up and appropriate infrastructural facilities that add to the expenditure. Writing is an art as well a skill; it is inherent and can also be acquired. Lack of clarity, incoherent organization, excessive jargons, and ambiguous language leads to misinterpretation, which in turn hampers the achievement of the desired objective. Effective written communication Clarity, completeness and persuasiveness are the keys to successful written communication. Composing and conveying the ideas to intended audience is a craft. Following are some measures that enhance the effectiveness of written communication: Adapt to the audience: One needs to adapt communication to the needs and expectations of the target audience. Audience analysis reduces the chances of misunderstanding. Adopt YOU Attitude i.e the communication should be audience centered. Replace I, me, mine, our, us by you, your. (examples) Use bias free language; avoid jargons, sms lingo and the internet language. While communicating to global audience on net take account of the cultural and linguistic differences and follow nettiquetes. While communicating unpleasant news always emphasize on the positive aspects of the situation. (examples) Make appropriate use of functional and content words.(examples) Difference between Oral and Written Communication The above differences between oral and written communication do not establish the superiority of one form of communication over the other. A good communicator always makes an attempt to choose the right form of communication to suit the need, objective, and situation. NON VERBAL COMMUNICATION When transmission of ideas, thoughts, feelings, emotions takes place without words, the communication is termed as nonverbal communication. We do not always communicate through words- a smile on the face, broadening of eyes, a frown, sitting posture with legs overlapped, body cross etc. speak volumes about an individuals state of mind, attitude, intentions and emotional status. Non verbal communication finds its roots in culture, so it vast and varied in different communities and cultures across the globe. The exhibit below suggests the impact and extent of nonverbal communication and advocates greater

Thursday, September 19, 2019

Pamela, or Virtue Rewarded - Sexuality and the Morally Didactic Novel :: Pamela Virtue Rewarded Essays

Pamela, or Virtue Rewarded - Sexuality and the Morally Didactic Novel We have difficulties as a modern audience appreciating the social anxieties reflected in Pamela, especially those surrounding morality and valuation of individuals within the social framework. The radical stance of even using phrases such as virtue and 'fortune' to denote Pamela's virginity are themselves loaded with a questioning of the social stratification in which she resides. The term 'Fortune' is perhaps the most playful but problematic. In it the issue of the commodification of Pamela's virginity is implicated, while at the same time gaining its authority within the framework of the novel through a Protestant ethic of internal individual worth apart from social stratification. Complicating this issue of commodification is the range of Marxist or Weberian readings of the novel that place it within a conflict between the working and aristocratic classes. Pamela is explicitly placing value in her 'protestant ethic' rather than her social standing, it being "more pride to [he r] that [she] come of such honest parents, than if [she] had been born a lady" (Pamela 48) and in the same letter looking disparagingly on her fellow 'servants.' My analysis will take as central the moral issues in Pamela, but this is done with a cognizance that how we reflect on Pamela's morality is also closely related to how we read the economic and social aspects of the novel. There have been many works written in response to Pamela, some attacking the eroticism of the novel and others the social deconstruction it implies; however, the most emphatic is likely to be the Marquis de Sade's literary response in Justine (1791) and Juliette (1797). As we've already seen in "Fantomina," the erotic novel is not something new to the 18th century, and examples such as John Cleland's Fanny Hill (1748) provide explicit materials to demonstrate that the pornography and sadism of the day were as explicit as our own. As Shamela illustrates, this erotic aspect of Pamela cannot be overlooked, especially with the physicality of aspects of the letter writing and the reader's 'view' of Pamela's body through this. David Evans describes this as the prurience of its pre-occupation with sex disguised as moral guidance, and the travesty of Christian morality involved in showing 'virtue rewarded' to mean materially rewarded in this life, not spiritually in the next one.

Wednesday, September 18, 2019

A Content Analysis of Organizational Dissent as Portrayed on Primetime

Introduction There has been much research done on organizational dissent, but there is a dearth of research dedicated to how television shows portray dissent over the airwaves. In Deviating From the Script: A Content Analysis of Organizational Dissent as Portrayed on Primetime Television by Johny T. Garner, Emily S. Kinsky, Andrei C. Duta, and Julia Danker, the authors attempted to combine these two theories for their study. Using the data collected by the authors and their research team, the authors resolved to measure how effective the dissent was in creating change. Organizational dissent is important in nonfictional workplaces for a variety of reasons, and these results indicate one potential influence on organizational members that may depict dissent as futile (Garner et al., 2012, p. 620). The authors set about trying to quantify organizational dissent on network television in the primetime hours. The authors also argued that organizational dissent was the challenge of status quo and the be nefits of this challenge was of value to both the dissenter and the organization as well. This review will provide a critical analysis of the article as well offer some insights into where the authors’ research could go further. Hypotheses and Philosophical Perspectives Garner et al. provided three hypotheses for their content analysis of primetime programming. First, the authors hypothesized that dissent would be portrayed as ineffective. In this hypothesis, effectiveness was defined in terms of receiving emotional support and/or achieving instrumental change. The second hypothesis was centered on to whom the dissent would be expressed. The authors used four potential dissent audiences: supervisors, subordinates, coworkers and people ... .... doi: 10.1080/01463373.2012.725001 Gerbner, G. (1990). Epilogue: Advancing on the path of righteousness (maybe). In N. Signorielli & M. Morgan (Eds.), Cultivation analysis: New directions in media effects research (pp. 249–262). Newbury Park, CA: Sage. Morgan, M. (2000). On George Gerbner’s contributions to communication theory, research, and social action. In M. Morgan (Ed.), Against the mainstream: The selected works of George Gerbner (pp. 1–20). New York: Peter Lang. Shapiro,M., & Lang, A. (1991).Making television reality: Unconscious processes in the construction of social reality. Communication Research, 18, 685–705. doi: 10.1177=009365091018005007 Shrum, L. J. (1997). The role of source confusion in cultivation effects may depend on processing strategy: A comment on Mares. Human Communication Research, 24, 349–358. doi: 10.1111/j.1468-2958.1997.tb00418.x

Tuesday, September 17, 2019

Abstract for Cryogenics

Historically, cryogenic rocket engines have not been used for in-space applications due to their additional complexity, the mission need for high reliability, and the challenges of propellant boil-o& While the mission and vehicle architectures are not yet defined for the lunar and Martian robotic and human exploration objectives, cryogenic rocket engines offer the potential for higher performance and greater architecture/mission flexibility.In-situ cryogenic propellant production could enable a more robust exploration program by significantly reducing the propellant mass delivered to low earth orbit, thus warranting the evaluation of cryogenic rocket engines versus the hypergolic bi-propellant engines used in the Apollo program. A multi-use engine. one which can provide the functionality that separate engines provided in the Apollo mission architecture, is desirable for lunar and Mars exploration missions because it increases overall architecture effectiveness through commonality and modularity.The engine requirement derivation process must address each unique mission application and each unique phase within each mission. The resulting requirements, such as thrust level, performance, packaging, bum duration, number of operations; required impulses for each trajectory phase; operation after extended space or surface exposure; availability for inspection and maintenance; throttle range for planetary descent, ascent, acceleration limits and many more must be addressed.Within engine system studies, the system and component technology, capability, and risks must be evaluated and a balance between the appropriate amount of technology-push and technology-pull must be addressed. This paper will summarize many of the key technology challenges associated with using high-performance cryogenic liquid propellant rocket engine systems and components in the exploration program architectures.

Monday, September 16, 2019

Food Inc Movie Monsanto Essay

Food, Inc. reveals the shocking truths about the food and food chain that America eats. It narrates the industrial production of meat (chicken, beef, and pork), grains and vegetables (primarily corn and soybeans) and lastly about the major food corporations involved. The movie makes us aware about the food that we eat, the hidden politics about the production systems and economic and legal power that the food companies possess. As the film advances, it demonstrates the rise of current method of raw food production as a response to the growth of the fast food industry of the 50’s as compared to traditional methods. It makes a strong point by highlighting that a few multinational corporations who dominate the modern food chain and its production have skewed interests. The emphasis of these food corporations like Monsanto is on business and profitability rather than food quality or health and safety – of the food itself, of the animals produced themselves, of the workers on the assembly lines, and of the consumers actually eating the food. Production of large quantities of food at low direct inputs (most often subsidized) result in enormous profits, which in turn marks greater domination of the global supply of food sources by selected few food corporations. The government conveniently overlooks the power exercised by the food companies in pursuit of cheaper food regardless the negative repercussions. Regulatory agencies, USDA and FDA, sparing from the public eye give their consents to the food corporations such as Monsanto, to manipulate with the public health in exchange of bigger returns. The government approved bigger-breasted chickens, the perfect pork chop, insecticide-resistant soybean seeds, tomatoes that will not go bad are the negative gifts presented by these corporations. Companies like Monsanto throw more science at the problems to bandage the issues instead of uprooting the problem. As a result, new strains of E. coli- the harmful bacteria that causes illness for an estimated 73,000 Americans annually have emerged due to the inappropriate business behavior of the food corporations. The increasing obesity levels, particularly among children, and an epidemic level of diabetes among adults is a gift from the food corporations.

Sunday, September 15, 2019

The Effects of Junk Food on Health

The Effects of Junk Food on Health Junk foods are deemed to be trash foods as they are high in fat, sodium  and sugar. The apparent effect of junk food can lead to obesity and a range of attendant health problems, including diabetes, heart disease and arthritis. Majority of junk food choices do not deliver beneficial nutritional values. Here are the facts about  how excessive junk food consumption affects your body. First of all, junk food doesn't contain the nutrients your body needs to stay healthy. As a result, you may feel chronically fatigued and lack the energy you need to complete daily tasks.The high levels of sugar in junk food puts your metabolism under stress; when you eat refined sugar, your pancreas secretes high amounts of insulin to prevent a dangerous spike in blood sugar levels. Also, you can be less focused with anything you undertake at work and home because what you are acquiring from junk foods are mere fats, not healthy ingredients. Also, you will experience lack of important oxygen that eventually result to poor brain functioning. In fact, junk food will cause our body lacking of energy and less concentration and focus when doing work. Next, junk food contributes obesity.Junk food contains large amounts of fat, and as fat accumulates in your body, you'll gain weight and could become obese. The more weight you gain, the more you'll be at risk for serious chronic illnesses such as diabetes, heart disease and arthritis. The high levels of fat and sodium in junk food can cause high blood pressure or hypertension. You'll feel tired and have trouble concentrating because your body might not be getting enough oxygen. Hence, fat will lead to weight gain and obese sickness, furthermore, high risk in suffering critical illness such as heart disease.Moreover, junk food can lead to diabetes. This happens because eating too much sugar puts your metabolism under stress, your body has to pump up insulin production to prevent a dangerous spike in blo od sugar levels. Because junk food doesn't contain the protein or complex carbohydrates that your body needs to maintain consistent blood sugar levels, your blood sugar levels will drop suddenly soon after eating. You'll crave sugar and likely end up eating more junk food. Over time, this stress damages your body's ability to use the insulin secreted by your pancrease.A healthy diet can help maintain your body's insulin sensitivity. As can be seen, over amount of sugar will cause pancrease problem and diabetes which will affect the ability of controlling sugar level. In conclusion, junk food caused diabetes, obesity and lack of nutrients for a healthy body. We must be disciplined in indulging in these types of food because they are initially unhealthy to have. Too much of anything sweet or salty is health threatening, to prevent it, we can pick fruits and high-fiber food for good snacks and meals.

Saturday, September 14, 2019

Drug Abuse within University Students in Ottawa Essay

The term drug abuse refers to any use of any drug for something else a part from its planned medical or psychiatric purpose. The use of such drugs may involve using prescription drugs for wrong purposes or using illicit drugs. For instance, research has shown that in Ottawa many university students take drugs not for the intended medical use but mainly to get high. Most students from Ottawa who abuse the drugs in most cases obtain the drugs illegally from unlawful sources. This puts their lives in danger as they engage in dangerous methods of use of drugs that swerve from the accepted medical practice or scientific knowledge and they take drugs for reasons that they are not meant for (Weibe, 1994). The Ottawa integrated drugs and addictions strategy community network have been holding several meetings in an attempt to identify the issues related to prevention, treatment, harm reduction and enforcement among the Ottawa university students engaging in substance abuse. In this regard, the community network is therefore preparing to consult the public on related issues. The consultation from the public by the community can only be done conveniently through research, studies and surveys. Thesis statement The abuse of drugs such as cocaine, marijuana, heroin and other illicit drugs has been on the rise among university students in Ottawa. Several attempts have been made by different groups including the Ottawa integrated drugs and addictions strategy community network to come up with preventive measures and health promotion strategies but the drug abuse by these students is still on the rise. The current studies however have raised more concern on the female student abusers since in the recent past, less attention has been given to them and this as a result has exposed them to excessive abuse of these drugs and therefore facing severe suffering as compared to their male counterparts who are abusing the same drugs (Single, Robson, Xie & Rehm, 1996). Research questions Some of the questions prepared for the phenomenological research included; do the university students in Ottawa use or abuse drugs? If they do abuse the drugs then what are the most commonly abused substances among the students? What percentage of female student’s abuse drugs in relation to the percentage of the male students who abuse the same drugs? Is there any difference in the level of consumption between the genders? What effects do the student abusers suffer from the consumption of these drugs? Do the drug abusers suffer the same effects? Interviewing For our interview we are not going to inquire about the name of the student being interviewed but we are rather going to refer to the students as student one up to student six respectively. Our interview questions are going to be based on the research questions mentioned above. This being a phenomenological research whatever is reported in this paper is going to be exactly as it appeared to the observer during the research (Rocheleau, 1995). Student one Researcher: as one of the university students in Ottawa, do you think university students in Ottawa are using drugs or are they abusing the drugs? Student one: the of drugs use by university students in Ottawa is growing at a very high rate and therefore fits to be referred to as drug abuse since in most case are used for purposes other than the intended ones, for instance most students take drugs to get high. Researcher: what are the most commonly abused drugs by the university students within Ottawa? Student one: the most commonly used drugs are cocaine, marijuana and at times heroin and many others. Researcher: how would you approximate the number of female students abusing drugs relative to the number of male students in percentage? Student one: it is a fact that the number of male students abusing the drugs is higher than that of the female students abusing drugs and it can be approximated to about 50% of the female population and 70% of the male population. Researcher: what effects do the drug abusers suffer after consuming the drugs? Student one: most students suffer depressive disorders and mood disorders. Student two Researcher: as one of the university students in Ottawa, do you think university students in Ottawa are using drugs or are they abusing the drugs? Student two: actually the drug consumption by university students in Ottawa only fits to be described as drug abuse. Researcher: Why do you think the description best fits ‘abuse’? Student two: the use of drugs has become too much and also the drugs used by students are addictive and not meant improve health. Researcher: which drugs do the university students in Ottawa used most? Student two: the drugs commonly used are cocaine and marijuana but others like heroin and alcohol are also used. Researcher: which group is most affected by the addiction habits, is it the male students or the female students? Student two: the male students seem to be more affected than the female students since they seem to consume in large numbers compared to the female students. Researcher: what effects do they suffer after consuming the drugs? Student two: the effects mostly suffered include mood disorders and depressive disorders. Researcher: do both the female and the male students suffer the same effects? Student two: other than the already mentioned disorders, female students do suffer a lot of stigma and confrontation from their family members and friends unlike male students who do not experience the same (Pauline, 1997). Student three Researcher: as one of the university students in Ottawa, do you think university students in Ottawa are using drugs or are they abusing the drugs? Student three: the drugs that are consumed and as they are consumed by university students within Ottawa are definitely abuse. Researcher: which drugs do the university students in Ottawa use most? Student three: the drugs commonly used are cocaine, marijuana, heroin and alcohol. Researcher: how would you approximate the number of female students abusing drugs relative to the number of male students in percentage? Student three: the number of female students using the drugs is usually lower than that of the male students abusing the drugs so according to my approximation it is 48% for female and 65% for male. Researcher: what are the effects of drug abuse by the students? Student three: students who abuse the drugs in most cases seem depressed and out of mood and usually fail to perform normally. Researcher: which group do you think is most affected by the drugs? Student three: the female students seem to be more affected since they tend to suffer more long term effects than male students. Student four Researcher: as one of the university students in Ottawa, do you think university students in Ottawa are using drugs or are they abusing the drugs? Student four: the drugs as consumed by the students are more abuse that use. Researcher: why do you say so? Student four: the rate, the purpose and the frequency of drug consumption by university students cannot be termed as usage. Researcher: which drugs do the university students in Ottawa use most? Student four: the drugs commonly consumed are marijuana, cocaine, alcohol, heroin among others. Researcher: how would you approximate the number of female students abusing drugs relative to the number of male students in percentage? Student four: the percentage of male students consuming drugs is usually higher than that of the female students consuming drugs. Researcher: what are the effects of drug abuse by the students? Student four: the effects of drugs includes stigma which is mostly suffered by female students, others effects are mood disorders and depression. Student five Researcher: as one of the university students in Ottawa, do you think university students in Ottawa are using drugs or are they abusing the drugs? Student five: the rate and quantity at which drugs are consumed is said to be abused. Researcher: which drugs do the university students in Ottawa use most? Student five: the drugs commonly used include cocaine and alcohol. Researcher: how would you approximate the number of female students abusing drugs relative to the number of male students in percentage? Student five: the number of female students consuming the drugs when compared to the male students is 45% to 65 %. Researcher: what are the effects of drug abuse by the students? Student five: the effects are hangover, failing to perform properly, dizziness and depression. Researcher: which group do you think is most affected by the drugs? Student five: those who abuse the drugs suffer the same effects. Student six Researcher: as one of the university students in Ottawa, do you think university students in Ottawa are using drugs or are they abusing the drugs? Student six: the students do abuse the drugs. Researcher: which drugs do the university students in Ottawa use most? Student six: mostly they consume cocaine and at times alcohol, marijuana, heroin and many others. Researcher: how would you approximate the number of female students abusing drugs relative to the number of male students in percentage? Student six: the percentage for male students abusing drugs is higher than those of female abusing drugs. Researcher: what are the effects of drug abuse by the students? Student six: drug abuse causes depression, malfunctioning, mood disorders and many others. Purpose of the study The main objective of the study on drug abuse by university students in Ottawa was to find out if the students do use or abuse the drugs, to establish the motivations behind the consumption of these drugs, to clarify the rate of drug abuse by university students in Ottawa, to identify the drugs mainly abused by university students in Ottawa, to verify the relationship between the female students consumption and male students consumption, to identify how the abuse of these drugs affect the lives of the students, to identify some of the measures that can be taken to prevent drug abuse by the students and to treat the already affected students (Pauline, 1997). Delimitations of the study The main advantage enjoyed during the study was that it was easy to find and interview different students on the issue of drug abuse among them since the study was conducted during school session when all students were in their respective learning institutions therefore it involved less cost around looking for students to interview. In addition, enough private rooms for interviews were provided where students felt free to share their ideas on the topic of discussion. Limitations Even though the students were available, most of them proved so unreliable. This is because most of the students were not ready to be interviewed. Those who were ready for the interview however tended to give inadequate information since most of them did not want to disclose full information regarding their drug use status as they considered it something private and therefore wanted to preserve it. In addition, most students who were given capsules to treat their drug abuse related disorders were not willing to take them, which resulted, to a lot of wastage. Consequently, it was not easy to get urine samples for test from drug abusers since most of them could not allow it. (El-Guebaly & Hodgins,1992). Research strategies Having a topic of study, the phenomenological research strategy involved, first developing the topic. â€Å"In case, it is a drug abuse among university students in Ottawa, What effects does the use illicit drugs such as cocaine, marijuana and many others have on the health of students? † needed to be asked before proceeding with the research. The next step involved finding the background information on drug abuse by university students in Ottawa. This was done by looking for the key words of the topic from encyclopedias with the subject. From the encyclopedia, several articles were read which set the context for the research. Additional background information was found from textbooks and other reserved materials, which involved research, conducted on the same topic by different researchers in different years. It also involved finding out for how long this has been going on and what has been done to prevent it (Ogborne, Braun & Schmidt, 1996). The research further involved finding books and articles to find out what other researchers who conducted their study on the same topic found out. It was from here that a comparison was made to find out if the statistics on the drug abuse by university students in Ottawa has changed. The past studies were of great significance since different ideas on what should be done to prevent the practice were suggested without having to repeat the measures that had been implemented and which did not work. In concluding the research, different sources of information were evaluated and cited in relation to how comprehensive the information got from them were. Role of the researcher The main role of the researcher in this study was to interview different students to be able to verify their opinions and perception of the use of illicit drugs within or outside their learning institutions. The researcher was also to find out the major motivations behind the students’ drug abuse behavior and the effects they suffer after consuming the drugs. In addition, the researcher was to administer some drug abuse disorder related capsules to find out how effective they could be in reducing drug samples in blood. Furthermore, the researcher was to carry out some random tests on some of the drug abusers to find out the drug that is most commonly abused by university students in Ottawa (Weibe, 1994). Strategies for ensuring trustworthiness During the study, it was not easy to convince the students to reveal information regarding their drug abuse behaviors. This was because the students were more concerned about preserving their privacy, which they were not willing to make known to the institution authorities, their parents and even friends. It was therefore upon the researchers to explore different strategies to convince the students that whatever they were going to discuss was to remain a secret between the student and the interviewer. This was done by ensuring that the involved only two people i. e. the researcher and the student in a private room where no any other party could steal the topic of discussion (Christensen, Jacobson, 1997). Literature review The phenomenological research on drug abuse by university students in Ottawa found out that the drugs possibly abused by these students are mainly prescription drugs. Such drugs are usually opiate based for pain relief, tranquilizers, stimulants and amphetamines. Others also include sedatives and barbiturates. The study however found out that the most seriously abused drugs by the students of Ottawa University are cocaine and marijuana. Most students who abuse drugs such as the barbiturates were found to do so with the intention of getting rid of anxiety and sleep disorders. On the other hand, the abusers of tranquillizers consume them with an intention of reducing stress and panic attacks. Studies on drug abuse by students since 1970s has shown that male students consume more drugs than their female counterparts. The frequency of drug usage was also found to be high in males than in females. For example, a study conducted on Ottawa University students on drug abuse confirmed that about 74% of male students compared to 53% of female students consumed more than one to two standard drinks in the previous year (Corbett, 1994). Very recent studies on drug abuse among university students however showed that there was a smaller gender difference in levels of drug consumption. A recent survey of Ottawa university students showed that 83. 3% of female students and 84. 9% of male students had abused drugs in the past one year. Most Ottawa university male and female students are assumed to consume drugs moderately. Nevertheless, a clear gender difference is confirmed from self-reported by the students of excessive drug consumption. The excessive consumption especially alcohol consumption is defined by four or more drinks by female students on a single occasion and five or more drinks by male students on a single occasion. The rate for harmful consumption for female students is however higher than that of male students. Almost a half of the total female students (42%) who had engaged in drug abuse were reported to have had harmful abuse as compared to 46. 3% of all the male students who had abused drug that year reported to have had harmful abuse (Ogborne, Braun & Schmidt 1996). Harmful consumption of drugs as was identified included those who felt in the wrong after consuming the drug, those who could not remember anything after taking the drug, those who suffered drug abuse related injuries and those whom after consumption of the drugs suggested reduction in drug abuse among students (El-Guebaly, 1990). Other than those who suffered harmful abuse, there are those who were found to be dependent abusers. Dependent abusers involved approximately 28. 6% of female students and 30. 5% of male students. It was noted that the dependent abusers could not stop using the drugs, could not perform expected activities after the consumption of drugs or needed some morning consumption of the drugs. The table below shows the percentage of university students by sex who were reported past year for harmful and dependent drinking. Sex Harmful drinking Dependent drinking Female 42% 28. 6% Male 46. 3% 30. 5% On further survey, 56 percent of all the female abusers were found to be taking at least five drinks on a single occasion in the course of the year. On the other hand, 26. 1% were found to be taking at least eight drinks on one occasion during the same period. In addition to the above surveys, a research conducted indicated that 30. 4% of male students were reported to have taken alcohol beyond the low risk guidelines for alcohol consumption as compared to 15. 2% of the female students (Ogborne, Smart& Rush 1998). According to the research, in a situation where the harm got from drug abuse is as a result of substance abuse, there occurs very small gender difference quoted by male and female students. For instance a study conducted in 2004 confirmed that 6. 9% of female students and 9. 1% of male students reported that there occurred at least harm in their lives during the past year as a result of their drug consumption and 30. 4% of female and 30. 7% of male students reported harm as a result of another person’s consumption(Corbett, 1994) In 1994 a survey recent reports showed an increasing drug abuse for illicit drugs such as cocaine, heroin and others by male and female students. Generally, male students were found to be on the front line when it comes to reporting the use of illicit drugs as compared to their female counterparts. Nevertheless, the most recent reports point to an increasing self-reports by both female and male students in the use of cannabis although a significant gender difference remains. On alcohol and other drugs abuse, 10% of male students and 5% of female students were reported to be abusers of cannabis while a same study conducted in 2004 indicated an increment to 18% for male students and 10% for female students. In addition, the same study in the 2004 indicated that 7. 35% of female students and 14. 1% of male students were abusers of cocaine. The study conducted in Ottawa University provided enough evidence that the difference in gender in relation to illicit substance use is getting smaller. Alarm on this situation has attracted international attention especially from Australia, united sates and other European Union countries. In the year 2004, 15. 8% of female students and 18. 1% male students reported harms from their own cannabis consumption. Research has shown that approximately 25% to about 33% of all students using injection drugs in Ottawa University are female students. This has been identified as a major factor for HIV infection in female students. It has been noted that of the entire positive tests of HIV in women from the year 1985 to 2002, between 33% and 48% have been as a result of injection drug use. Reports from the study revealed that there is consumption of the ketom plant leaves by university students in Ottawa as a drug because the leaves of ketom plants contain hallucinogens, which are as intoxicating as marijuana. The increased abuse of drugs in university colleges is blamed on the difficulties in enforcing laws in such institutions, which speeds up the spread of such drugs. (Corbett, 1994). A further research showed that many drug users do suffer mood disorders. For instance among those abusing cocaine, the most commonly detected disorders are depressive disorders. The analysis revealed that the association between mood disorders and drug abuse among the abusers is usually very complicated. Most drug abusers do build up depression that comes as a result of physical and psychological endurance connected with the use of drugs. The study showed that most students who suffered mood disorders after abusing cocaine became drug dependent after making attempts of self-medication. Initially it was not easy to handle the conditions of students who were suffering from both mood disorders and drug abuse but it became possible after a research revealed that a treatment on mood disorders alone could have a positive effect on drug abuse (Boyd, Millard & Webster 1985). A research that was conducted on students involved urine test whereby unsystematic weekly examinations indicated a significant high use of cocaine as compared to marijuana by different students. Most of the students who tested positive for drug abuse however, were found to have come from families with a history of substance abuse, which in most situations reached, back to several generations. All students from such families had started abusing the drugs long before enrolling in the institution. All students who participated in the study and who happened to be drug abusers were given packets of capsules which they were to take two times each day during the four week study. For most of the students, the capsules included lithium prescription that had shown its effectiveness in treating adult bipolar patients. Bipolar disorder in most students was found to have been caused by substance abuse disorder including the use of marijuana, alcohol, cocaine and other multiple drugs. During the study, a number of students were also treated as outpatients and given weekly therapy sessions in addition. In the course of the study, blood vessels of lithium were tested at least twice every week to ensure that the participants were taking the capsules given to them. Samples of urine were also taken on a similar basis to scrutinize the use of drug (Christensen & . Jacobson, 1997). The percentage of the students taking the lithium capsules, the drug positive samples changed from 38% to approximately 8% indicating a significant reduction. Four random tests were conducted during the study and the urine samples that were tested revealed the students self reports. They were definitely a noteworthy reduction in the use of drug. In addition to reduction in drug use, the students receiving lithium capsules progressed in the symptoms of bipolar disorder. The improvement was mainly noted in their ability to function properly in school activities as compared to how they could function before the study. Chronically drug dependent students who were suffering from primary and secondary depression were recognized in the course of the study and treated. Most students who experienced a drop in depressive symptoms and those who noted improvements confessed that they had noted a reduction in their crave and use of drugs mainly cocaine and marijuana. The research that was conducted indicated that there has been almost forty years of trying to prevent drug abuse among university students in Ottawa. This has been done by conducting youth counseling especially to those who have developed drug addiction. In addition to youth counseling a treatment centre for youth who are suffering from drug abuse related disorders have been opened to help treat the youth. In an evaluation of the best measures to put forward in trying to find treatment to substance abuse in Canada, a study showed that female students do suffer a lot of stigma in connection with their substance abuse problem as compared to the male students. In addition, the research has established that the female students do suffer much confrontation from their families and friends and most negative consequences in treatment center (El-Guebaly, 1990). The female students do suffer the negative consequences in treatment centers as a result of problems from family members, neglect by friends, lack of finances to cater for the treatment bill and other unfavorable effects related to the well-being of females. It has been demonstrated in different researches that advertising of drugs has a very strong influence on the way university students in Ottawa perceive some of these drugs and can therefore be a source of motivators to these students to engage in their consumption. Furthermore, female students as compared to male students experience sexual abuse and physical abuse, which in most cases have a strong relationship with substance abuse. Research has demonstrated that female students who had at one time in their lives suffered sexual assault in most cases do use or misuse drugs at early ages and in most cases, they use them in large quantities (El-Guebaly & Hodgins, 1992). For According to the research conducted, the effect of abusing drugs and especially the illicit drugs such as cocaine and marijuana have been found to diverge among female students and also between female and male students depending on the drugs that are on hand for use. The effects of the drugs however do depend on the type of drug consumed, how regular the abuser use the drug, the amount of drug consumed and the general health condition of the person consuming the drug (Smart, 1983). Example a review on the effect between male and female students established that female students are affected very much differently from male students with rapture. The analysis of the study showed that female students with rapture unlike male students do experience more severe sensitive changes and difficulties in making decision. In addition, the female students suffer more long lasting effects such as mood swings, depression, paranoia and anxiety than their male counterparts who engage in the consumption of similar drugs. Consequently, the death rate from substance abuse among university students in Ottawa seems to be high for female students as compared to that of the male students. Findings From the study on the causes of drug abuse by university students in Ottawa its has been found that there is inadequate education and prevention measures that look into the needs of different individuals and especially university students over their life span. It has been pointed out that there is an immense distinction between what is said and what is done as far as prevention of drug abuse among university students in Ottawa is concerned. According to the planners, prevention measures should be long term and lasting, however most prevention measures put across are always short term due to poor funding. In addition to this, there is lack of treatment centers for people suffering from drug related disorders thus causing long waiting lists for university students (El-Guebaly, 1990). The study has also revealed that advertisements of different drugs and lack of implementation of policies regarding drug abuse in the universities in Ottawa are some of the major motivators behind the students’ drug abusing behavior. The drugs found to be more accessible as a result and therefore most commonly abused by the students were the cocaine and marijuana. The findings from the research have also indicated that the female students are the major sufferers from drug abuse and addiction even though the male students seem to consume drugs at higher rate and more frequently than the female students. The death rate from drug abuse of female students has also been found to high as compared to that of male students. Conclusion Despite the fact that drug abuse among university students in Ottawa is still high, research has proved that most of the students involved in the practice are willing to drop the idea and promote their health status when appropriate measures are put in place. It is therefore upon the authorities concerned to take necessary actions to ensure that students are provided with enough information and resources to help them overcome the drug addiction (Ogborne, Smart $ Rush 1998). Significance of the study The study conducted on Ottawa university students has proved to be of great significance since several suggestions on how this problem can be solved have been suggested. The study was also of significance since different students were given an opportunity to express their feelings as far as drug abuse among university students is concerned and from that, it was realized that most students are willing and are ready to abandon the practice. In addition, most students were able to receive different tests on their blood and urine samples to verify the extent of drug level in their blood. Finally, most students were given capsules, which proved to be very effective in treating, and reducing drug abuse related disorders in their blood. Lessons learned From the studies and researches conducted it was clear that until recently very little attention was paid to female abusing drugs as compared to the attention given to male abusers both within the society and within the learning institutions. This is because female’s substance abuse has never been as high as that of male up to the recent past. Nevertheless, we are currently seeing some matching in the levels of drug consumption among female and males. The studies have also revealed that in making efforts to promote drug abuse prevention measures and health of the drug addicts in learning institutions, professionals, addiction system planners and public policy makers have not given any attention to motivations for use of drugs by students and the speeding up consequences of use of drugs by female students in colleges (Boyd & Webster 1985). Future direction From the lessons learnt from the study it was recommended that instead of exploring a system, that involves drug abuse prevention, programs for health promotion that includes males and females, the planners and the programmers should attend to differing needs of different students in relation to their gender, and other problems related to drug abuse. The high rates of heavy drug abuse by female students raised a lot of concern and recommendations such as low risk drinking guidelines for female students were made which required every female student involved in drug abuse to take at most three drinks in a single occasion or less than three in other circumstances depending on the type of drug being used. A further recommendation suggested that male students should limit their drinking to a maximum of fourteen drinks per week and the female students should limit their drinking to a maximum of nine drinks per week. (Abrams, et. al 1993). References Abrams & D. B. et. al. (1993). Integrating Individual and Public Health Perspectives for Treatment Of Tobacco Dependence under Managed Health Care: A Combined Stepped Care and Matching Model. Tobacco Control 2 (supplementary) Boyd, N. , Millard, C. J. & Webster, C. D. (1985). Heroin Treatment in British Columbia. 1976-1984. Thesis, Antithesis and Synthesis? Canadian Journal of Criminology 27(2), Christensen, A. , Jacobson, N. S. (1997). HIV, AIDS and Injection Drug Use: A National Action Plan. Ottawa. 5(1, Jan) Corbett, G. (1994). Addiction Education and Training: Bringing the Field Together. Report of the Ontario Addictions Coordinating Group’s Education and Training Working Group. Ontario Ministry of Health, Toronto. El-Guebaly, N. (1990). Substance Abuse and Mental Disorders: The Dual Diagnoses Concept. Canadian Journal of Psychiatry El-Guebaly, N. , Hodgins & DC (1992). Schizophrenia and Substance Abuse: Prevalence Issues. Can

Building Management System Bms Server Software Computer Science Essay

Building Management System Bms Server Software Computer Science Essay As we known BMS are created to controlled central computer method which has 3 basis functions, which is controlling, monitoring and also optimizing. However, there is a BMS server software to facilitate the works of facilities management which to functioning within the building and also to fulfill the building operation and maintenance. General Requirement The BMS server system is composed of 3 sets of reducant computers, which communicate with several kinds of input or output devices, subordinate computer system and higher order computer systems. The sections described the software required to achieve the desired functionality of the BMS. The software design is based upon real time data acquisitions and control capability. Data including point values, parameters, messages, instructions, databases access statements, master clock synchronization and other forms of computers data exchange may originates from or be destined for other sub-system and computers and database which may form pat of TAMS. It is responsibility of the BMS Sub-System Contractor to develop, test, document and debug software interface routines and supporting hardware to accomplish the interface requirement of BMS to TAMS and any other system or sub-system with which the BMS is required to communicate. The BMS Sub-System Contractor will provide software for the BMS Sub-System, which is proven in actual field installation of a similar size and scope. The BMS Sub-System Contractor will provide complete information and responses with tenders including reference sites, name, and telephone number of reference site contracts. Software Licensing KLIAB respects the propriety nature of certain software. Commercially available software purchased from a third party such as Microsoft Windows, UNIX, OS/2 and similar software packages are provided. Licenses are bound with the operation and maintenance manuals for BMS system. BMS manufacturer’s proprietary software is provided fully licensed. All BMS manufacturer’s proprietary software will have complete sources codes, programs listings and supporting information deposited in an escrow account at the BMS Sub-System Contractor’s expense. BMS Server Software Operating System The BMS server computers will utilize a multi-user, multi tasking operating system designed for client server operations. The operating system will support all the required software functions and application described in the BMS specifications. Standard services supported by Operating System on serves will include the following: Multi- tasking Multi- user support POSIX 1003, 1 compliance TCP/IP, SLIP Network Support Network File System (NFS) C language complier The BMS Sub-System Contractor will provide to the SMC one complete set of operating system user manuals and programmer’s references manuals bound as part of each BMS Operation and Maintenance Manual. BMS Software Executive The BMS Sub-System Contractor shall provide a complete BMS software executive module which provides at minimum: Workstation communication sport Printer quering and tasking I/O Channel support for up to 99 communication channel Disk optimization routines On-line database backup and restoration Memory management functions Software watchdog functions Networking functions Housekeeping functions Diagnostic routines Server Redundancy Software The BMS Sub-System Contractor will provide six complete server computers arranged as three sets of redundant ‘hot standby’ server system. Each server computer are equipped with all hardware and software with complete capability to support the designated BMS tasks.