Monday, September 30, 2019

Human Resources Practice Essay

The Human Resources Profession Map was developed by the Chartered Institute of Personnel and Development (CIPD) to aid the HR industry and its professionals to adapt to the growing and future demands, setting out the foundation for global standards of competency for the HR profession. It recognises that people could enter the HR profession from a diverse range of backgrounds. Speaking at the 2009 CIPD Conference Chief Executive Jackie Orme added: â€Å"The map will allow us to maintain rigour while improving flexibility: the flexibility to meet the needs of generalists and specialists and to support professionals at all levels, and the rigour to ensure HR professionals and employees alike can be confident that a CIPD qualification delivers not just the capabilities needed for today, but the capacity to adapt to the growing demands that will be placed on the profession in the future.† The map is an online, interactive tool located on the CIPD website for all HR and L&D professionals to use. It explains the specialist functions, behavioural skills and knowledge required in order for HR personnel to deliver effective support to any organisation. The profession map is linked to the ‘My HR Map’, which is a self assessment tool providing targeted recommendations to improve skills and maximise career potential. The map comprises of ten professional areas at four different bands and eight key behaviours HR professionals need to perform their role and are considered benchmark within the industry. There are four bands of professional competence listed below which highlight the hierarchy of the profession and operate along with the behaviours and professional areas. Band One – Administrator / Support Level – Generally customer focussed individuals, who support colleagues with administration functions Band Two – Advisor Level – Responsible for delivering HR policies to employees, managing the HR related issues amongst teams Band Three – Management Level – Responsible for implementing strategy, change and HR policies Band Four – Director Level – Leads and manages an organisation or professional area, developing strategy There are eight key behaviours listed below which describe the knowledge and skills a HR professional should encompass and how they should carry out their activities. A description of each of the eight key behaviours listed below and how they relate to the HR professional can be seen in Appendix 1. Curious Decisive thinker Skilled influencer Personally credible Collaborative Driven to deliver Courage to challenge Role model There are ten professional areas, including two core areas namely ‘Insights, strategy and solutions’ and ‘Leading HR’. Both areas are fundamental to all HR professionals, regardless of their role, level or specialism. The remaining eight areas listed below demonstrate the knowledge and experience a HR professional should be competent within. A description of each of the ten professional areas listed below and how they relate to the HR professional can also be seen in Appendix 1. Service delivery and information Organisation design Organisation development Resourcing and talent planning Learning and talent development Performance and reward Employee engagement Employee relations Although I do not work in HR, from reviewing the HR Profession Map I can see that I relate to Band 1 ‘Service delivery and information’. 10.1.1 – It is very important within my role as a Customer Contact Team Manager to establish customer requirements quickly and question everything. My team seek information from me on a daily basis and I must be prepared to provide them with an answer, however this can only be done if I have understood the situation and circumstances surrounding the query. When dealing with customer service queries we aim to find a resolve which is suitable for both the customer and the company, this is no different within a HR role. 10.7.1 – We have service level agreements surrounding the role and must comply with legislative requirements such as the Data Protection Act, when dealing with customers information, and the Consumer Credit Act, when dealing with customers financial information and processing payments. As we are employed by an outsourcing company ttl Automotive and onsite with the client Porsche Cars Great Britain, we also have organisational procedures and policies which must be adhered to for both companies. We must be mindful that we are representing both companies at all times, onsite we represent ttl Automotive, however when dealing with customers we represent the Porsche brand. 10.9.1 – My day to day role involves many HR elements, I have listed below some of the areas I am responsible for: – Managing performance – Managing absence levels – Recruitment and selection of new staff – Training and development of new and existing staff – Working within service level agreements in alignment with company policy and targets – Ensuring compliance with legislation and company policy I am aware of what I am accountable for and have authority to action within the realms of my role, for example I can roll out information to the team, process staff requests and maintain this information on a database. I can produce absence reports for the management team, complete return to work interviews and organise occupational health visits. I am responsible for the recruitment process and interview of new staff, and set monthly/quarterly and annual objectives for the team based on information received from my line manager and the HR team. However, when there is an issue which falls outside of my knowledge and experience I seek advice and guidance from the HR team who guide me through the process. For example, in a previous role a member of staff came into work intoxicated, it unfortunately was late at night as I worked for a 24 hour call centre therefore a colleague and I had to deal with this incident. It was a very difficult situation to deal with at the time and when the HR team were informed the following day they aided me in completing all the necessary paperwork as this was deemed as gross misconduct. 10.13.1 – In 2012 Porsche took the decision to change outsourcing companies, this was an uncertain time for the team and I as we were unsure if we would be made redundant in the process. Fortunately it was a case of the team moving across to the new outsourcing company, which involved the TUPE process. During the transition time, it was very important for the team and I to maintain the level of service we had always provided and to remain as flexible as possible throughout the change. During the process our new outsourcing company, ttl Automotive, had their own ways of working so many meetings were held in order to ensure they complied with how Porsche wished for the contract to be managed. This resulted in very little impact on the team and the transition period went very smoothly. 10.14.1 & 10.16.1 – There were advantages to changing companies, for example as we were a new team ttl Automotive requested we pilot the change from  paper payslips to email payslips. We were also involved in the testing stage of online holiday forms and were requested to provide our user experience via a feedback portal called Survey Monkey. I really embraced this as I felt the company were forward thinking and innovative. I myself am keen to find better, smarter, more efficient ways of working and recently implemented an online payment system, which again the team were required to test prior to launch. Change is always an interesting time and there will always be hurdles, however if ultimately it is beneficial for the company and more importantly the user then it is for the greater good. Within my role I deal with a variety of customers, for example there are internal customers such as members of the senior management team, line managers and employees. I also have external customers, for example recruitment agencies and suppliers who we have service contracts with. Activity 2 The three main customers I deal with regularly are senior managers, line managers and employees. It is important for me to establish and understand each customers need quickly and the timeframe they require it be to actioned within. I must then review each request and prioritise based on level of importance. I am often handling a number of customer requests at any one time, which can cause conflict, however I ensure I prioritise on the basis of what is deemed to be a business critical issue and these are dealt with as a matter of urgency. With this in mind it is also important to set the expectations of each customer so they are aware when their request will be actioned, this can often alleviate any conflict. I have recently had the following requests from internal customers, which I have placed in the order of priority. Customer Customer need Priority Level Senior Manager Contingency Planning 1st Line Manager Recruitment 2nd Employee Flexible working 3rd In the process of reviewing the company’s overall strategic plan, senior managers were requested to develop alternative strategies as a means to accommodate unexpected conditions or events, such as economic recessions or catastrophic events. I had also been asked to complete this for my own team and deemed this as a business critical request, therefore set about ensuring it was completed as a priority within the timeframe set. Secondly a line manager required assistance with the recruitment process, following a member of his team being promoted. As it had been agreed that the member of staff would continue in the role until a successor was found, this was not deemed as critical as the contingency planning however could be actioned in the background. For example, liaising with head office and submitting the approved job description onto online job boards and the company website. Whilst we were concentrating on coordinating the contingency planning, the recruitment programme could run in the background allowing us to obtain a number of CV’s for when we were ready to commence with review and selection for interview. Finally an employee whilst on maternity leave contacted the department wishing to gain further information on flexible working. Whilst this is very important and ultimately could have an effect on the business, the employee had a number of months before she was due to return therefore I made the decision that I could action this request within the HR team’s service level agreement of 48 hours when responding to requests. Within my role there are many forms of communication used, for example: verbal, written form and practical/presentation. The type of communication  used is dependent on the nature of the request or situation. I have associated at Appendix 2, where I have detailed the advantages and disadvantages of the three main methods of communication I use in my day to day role. When considering the above internal customer requests several communication methods were used, for example the contingency planning coordination was completed with a mixture of verbal and written, and finally practical when presenting the findings. I, alongside my colleagues, were present in group brainstorming sessions where ‘if, buts and maybes’ were thoroughly discussed and explored, our attendance allowed us to provide support and guidance as and when required. Written guidance notes had also been prepared by the Senior Manager and stated the requirements of the plan and how she wished for the teams to produce their findings. The advantages of using a variety of communication methods for this particular request catered for all manner of different learning styles enabling all participants to understand the brief and therefore contribute accordingly. However, it is not always necessary or appropriate for all communication methods to be used. When considering the third request above, it would be crucial for any information provided for the employee regarding flexible working to be communicated in written form, as verbally can easily be misunderstood and email too informal. I always follow up any telephone or face to face conversations such as this with a letter and refer the employee to the staff handbook for final confirmation. I believe it is my responsibility to ensure the information provided is accurate, relevant and delivered in a timely manner, and therefore should be followed up in writing to avoid any future issues. In my role as Customer Contact Team Manager I am responsible for the Service Level Agreements (SLA’s) with Porsche Cars Great Britain and ttl Automotive. The SLA’s are reviewed annually and are a key measurement indicator in demonstrating effective service delivery, producing service on time and  within the agreed budget. I meet with both companies on a quarterly basis to ensure we are complying with the agreed terms and to highlight any concerns. The complaints procedure underpins the process for the organisation, which is followed accordingly. Recently a customer made a complaint to Porsche Head Office as they had not received their invitation to the driving experience centre following the purchase of a new Porsche. I established very quickly that the invitation had not yet been sent due to the dealership incorrectly placing the vehicle order, which resulted in the invitation not being generated. I dealt with the customer personally and understandably he was very disappointed to have not received the level of service he had come to expect of the brand. I followed the organisations procedures for dealing with customer complaints, and am pleased I was able to resolve his query by working within the guidelines set and offering suitable compensation for the inconvenience he had experienced, he has since remained an advocate of the Porsche brand.

Sunday, September 29, 2019

Howard Schultz and the Starbucks Company

Maln Problem Statement After analyzing all aspects and factors, the main problem statement found for this case study is as follows: â€Å"The rapid and over expansion plan of Starbucks store- owned outlets to capture the maximum market share has lead to many problems† As stated above, Starbucks is facing the problem of fast and over expanding of its outlets as the company tries to gain as much market share and opportunities as possible.This, however has led to many problems such as cannibalization of usiness through clustering and low net Income margin despite achieving record sales and revenues. The problem is further complicated by other problems such as Insistence of the company to store-own outlets outside the North American region and increased number of employees at Starbucks. 3. 0 Focus Expansion Only on under-served Countries and Locations One of the alternative strategies that could help to solve the main problem Is to change the Starbucks policy on outlet openings.In this strategy, Starbucks should identify countries or locations where the company has the least presence and oothold; choosing to open outlets only at these locations while stop outlet openings in areas where the company already has established itselt. For example, Starbucks should look into the China and South Korea market as there are currently only 9 outlets and 1 outlet of Starbucks In those locations, respectively. 3. 2 Allow Another strategy is to allow the franchising of the Starbucks brand to locations outside the North American market.

Saturday, September 28, 2019

Nursing MedSurg Lewis

The nurse is caring for a patient suffering from anorexia secondary to chemotherapy. Which strategy would be most appropriate for the nurse to use to increase the patient's nutritional intake? A. Serve three large meals per day plus snacks between each meal. B. Add items such as skim milk powder, cheese, honey, or peanut butter to selected foods. C. Increase intake of liquids at mealtime to stimulate the appetite. D. Avoid the use of liquid protein supplements to encourage eating at mealtime. 2. The patient Is receiving an IV visitant chemotherapy drug. The nurse notices swelling and redness at the site.What should the nurse do first? A. Call the ordering health care provider. B. Ask the patient If the site hurts. C. Administer sterile saline to the reddened area. D. Turn off the chemotherapy infusion. 3. The female patient is having whole brain radiation for brain metastasis. She is concerned about how she will look when she loses her hair. What is the best response by the nurse to this patient? A. â€Å"When your hair grows back it will be patchy. † â€Å"You should contact â€Å"Look Good, Feel Better† to figure out what to do about this. † B. â€Å"You can get a wig now to match your hair so you will not look different. D. C. Don't use your curling iron and that will slow down the loss. † 4. The patient has been diagnosed with non-small cell lung cancer. Which type of targeted therapy will most likely be used for this patient to suppress cell proliferation and promote programmed tumor cell death? A. BCC-ABLE tyrosine kinas inhibitors B. Protease inhibitors C. Epidermal growth factor receptor-tyrosine kinas inhibitors. CD monoclonal antibodies (Mob) 5. A 33-year-old patient has recently been diagnosed with stage II cervical cancer. What should the nurse understand about the patient's cancer? A. It has diastase. B. It Is In situ. C.It has spread locally. D. It has spread extensively. 6. The patient was told that he would have Inter personal chemotherapy. He asks the nurse when the IV will be started for the chemotherapy. What should the nurse teach the patient about this type of chemotherapy delivery? A. A Classic catheter will be preposterously placed into the peritoneal cavity for chemotherapy administration. B. It is delivered via an Mayo reservoir and extension 3 hours. D. The arteries supplying the tumor are accessed with surgical placement of a catheter connected to an infusion pump. . The patient is being treated with peripherally for cervical cancer.What factors must the nurse be aware of to protect herself when caring for this patient? A. The time the nurse spends at what distance from the patient B. The nutritional supplements that will help the patient C. The medications the patient is taking D. How much time is needed to provide the patient's care 8. The patient and his family are upset that the patient is going through procedures to diagnose cancer. What nursing actions should the nurse use first to facilitate their coping with this situation (select all that apply)? A. Give them antiquity medications. B. Maintain hope. C. Exhibit a caring attitude. D.Be available to listen to fears and concerns. E. Teach them about all the types of cancer that could be diagnosed. F. Plan realistic long-term goals. 9. The laboratory reports that the cells from the patient's tumor biopsy are Grade II. What should the nurse know about this histologist grading? A. Cells are abnormal and moderately differentiated. B. Cells are very abnormal and poorly differentiated. C. Cells are immature, primitive, and undifferentiated. D. Cells differ slightly from normal cells and are well-differentiated. 10. Previous administrations of chemotherapy agents to a cancer patient have resulted in diarrhea.Which dietary modification should the nurse recommend? A. A diet emphasizing whole and organic foods B. A bland, low-fiber diet C. A diet high in fresh fruits and vegetables D. A high-protein, high-calorie diet 1 1 . When caring for the patient with cancer, what does the nurse understand as the response of the immune system to antigens of the malignant cells? A. Tumor misdiagnoses B. Immunologic surveillance C. Immunologic escape D. Metastasis 12. The patient with breast cancer is having telegraphy radiation treatments after ere surgery. What should the nurse teach the patient about the care of her skin? A.Avoid heat and cold to the treatment area. B. Scented lotion can be used on the area. D. Wear the new bra to comfort and support the area. 13. Which cellular dysfunction in the process of cancer development allows defective cell proliferation? A. Cell differentiation B. Activation of nosecones C. Proto-nosecones D. Dynamic equilibrium 14. The patient is receiving biologic and targeted therapy for ovarian cancer. What medication should the nurse expect to administer before therapy to combat the most common side effects of these medications? A. Acetaminophen (Ethylene) B. Anderson (Saffro n) C. Ibuprofen (David) D.Morphine sulfate 15. The nurse is caring for a patient receiving an initial dose of chemotherapy to treat a rapidly growing metastasis colon cancer. The nurse is aware that this patient is at risk for tumor lists syndrome (TLS) and will monitor the patient closely for which abnormality associated with this oncology emergency? A. Hypoglycemia B. Hypoglycemia C. Hypothermia's D. Hypoglycemia 16. Which nursing diagnosis is most appropriate for a patient experiencing multiprocessing secondary to chemotherapy for cancer treatment? A. Hypothermia B. Acute pain C. Powerlessness D. Risk for infection 17.The patient has stomachache of the right leg. The unlicensed assisting personnel (ASAP) reports that the patient's vital signs are normal, but the patient says he still has pain in his leg and it is getting worse. What assessment question should the nurse ask the patient to determine treatment measures for this patient's pain? A. â€Å"Where is the pain? † B. â€Å"Do you use medications to relieve the pain? † C. â€Å"Is the pain getting worse? † D. â€Å"What does the pain feel like? † 18. Which item would be most beneficial when providing oral care to a patient with atheistic cancer who is at risk for oral tissue injury secondary to chemotherapy?A. Hydrogen peroxide rinse B. Alcohol-based mouthwash C. Firm-bristle toothbrush 19. What can the nurse do to facilitate cancer prevention for the patient in the promotion stage of cancer development? A. Teach the patient to exercise daily. B. Teach the patient promoting factors to avoid. C. Tell the patient to have the cancer surgically removed now. D. Teach the patient which vitamins will improve the immune system. 20. The patient is told that the adenoma tumor is not encapsulated but has normally fractionated cells and that surgery will be needed.

Friday, September 27, 2019

Economic Development Essay Example | Topics and Well Written Essays - 250 words

Economic Development - Essay Example 10). For a country to be termed as developed economically, and then there are conditions that need to be absent. A country must, therefore, focus on poverty reduction and improving on the life expectancy of its citizens. Attaining public health is essentially another goal of economic development. The goals of economic development have changed over time. Due to globalization, nations have resulted to aiming at remaining at the top of the food chain. Competition has forced economic development to turn to a struggle to retain businesses (Cypher and James, pg. 32). Most people living in low-income countries, also known as developing worlds’ live under the poverty line. There are some reasons why this poverty is widespread and, unfortunately, why these people continue in that vicious cycle. To begin with, most developing countries depend on agriculture as their main economic activity. There is nothing wrong with agriculture, but, when there are no machines and no skilled labor in farms, the total output in these farms is significantly low. This means that there is barely any surplus that can be sold, and the farmers are subsistent farmers (Cypher and James, pg. 7). One goal of economic development is to ensure that public health is maintained at the highest level possible. Looking at most low-income nations, we realize that they not only have fewer skills in terms of combating diseases, but less economic power to promote infant and maternal health. This, in other words, means that their life expectancy is very low. Consider a country such as Tanzania with an average life expectancy of 48 years while countries such as Sweden in Europe have average life expectancy of over 85 years (Cypher and James, pg.

Thursday, September 26, 2019

Trade and Other Barriers of the US and EU Governments Essay

Trade and Other Barriers of the US and EU Governments - Essay Example NAFTA outlined that import tariffs on sugar imports from Mexico would, over a 15 year period, eventually be phased out, thereby allowing duty free imports to enter the country (USDA 2005). Since NAFTA’s inception in 1994, Mexico now enjoys a more liberal volume of sugar to enter the United States under this agreement whereby tariffs have been excised. As such, under this agreement, the United States is obligated to remove quotas on sugar imports into the country, giving Mexico a considerable export advantage. NAFTA is a trade agreement between Canada and Mexico that is unlike other trade agreements between other countries that import and export raw sugar and processed sugar-containing products. Obligations under NAFTA allow member nations to deliver fluctuating volumes of raw and processed sugar products when Canada and Mexico have achieved a surplus. This is regardless of the volume of sugar produced domestically in the United States. Brazil, being one of the largest sugar pr oducers in the world, is impacted by NAFTA in terms of the quotas established on sugar imports to the United States. The United States must abide by agreements that have been established with trading partners, whilst also attempting to protect its own domestic sugar-producing industry. The U.S. also signed an agreement in conjunction with the World Trade Organization referred to as the Uruguay Round Agreement that guarantees the country will accept a minimum of 152,691 metric tonnes of raw cane sugar from Brazil annually (Federal Register 2011). Hence, the United States has over-extended its obligations for delivery of in-quota raw sugar imports from Mexico and the United States. Brazil, unlike Mexico, is subject to very high tariff rates on sugar products in an effort to deter Brazilian exports from entering the country, which are imposed above the in-quota volume from Brazil at 152,691 metric tonnes. The out-of-quota tariff rate (on quantities over the specified in-quota volume) i s 78 percent (Hornbeck 2006), whilst in-quote amounts guaranteed under the Uruguay Round Agreement are subject to very low import duties. If Brazil and other trading countries are willing to pay the exuberant 78 percent tariff on sugar, there are no restrictions for exporters in terms of the volume allowed into the United States. However, Brazil is also a nation that consumes a great deal of its total production output of sugar, thus when Brazil achieves surplus, it is far more advantageous to export the surplus into neighbouring nations or other international buyers that do not have the internal sugar production capacity as in Brazil or the agricultural prowess in raising sugar beets and sugar cane. This 78 percent tariff is the United States’ methodology of ensuring that domestic production of sugar and sugar-related products is not negatively impacted by export volumes entering the nation. Outside of the in-quota volume guaranteed for allowance into the United States, Braz il is subject to varying tariffs depending on the type of sugar or sugar-containing product produced in the country.

The Effect of Democracy on FDI (Foreign Direct Investmant) Term Paper

The Effect of Democracy on FDI (Foreign Direct Investmant) - Term Paper Example There are a number of concerns that are made when considering the effects of democracy on foreign direct investment. Theoretical perspectives have consistently linked foreign direct investment to government policy. The pervading logic behind these investments is not a matter of great complexity. In these regards, investors have been understood to remain more apt to invest long-term companies and corporate interests based on the host country’s ability to create policy measures that are most conducive to such investment. The complexity emerges as theorists attempt to determine the appropriate government climate for such investments. Currently the United States receives the most foreign direct investments, leading economists to prominently link FDI to the democratic governmental structure (‘greyhill’). Within the confines of the democratic political structure there are a number of specific policy considerations that have been established. One of the most prominent th eoretical perspectives on this matter is that foreign direct investment is directly responsive to changing economic situations. Jensen notes, â€Å"Elected politicians can no longer manipulate monetary policy, but monetary policy does remain responsive to changing economic conditions† (Jensen, pg. 2). In this context of understanding, the nature of the democratic election process itself does not necessarily benefit foreign direct investment, but creates a governmental structure that is highly conducive to developing policies that aid FDI. The main notion is that the encouragement of foreign direct investment must be accomplished in a dynamic context and that the democratic governmental structure is most conducive to this dynamism. In addition to the importance of a dynamic government policy to foreign direct investment, there is a number of other of elements positive linking democracy to FDI in terms of stability. In these regards, pervasive notions of democratic governments having more stability are one of the primary contributors to an increase in FDI (Jensen). While such perspectives on the democratic political structure have been proven erroneous in specific contexts, one considers the current economic fallout in Greece as a primary example; it is oftentimes the perception that drives the reality. Another predominant link between democracy and FDI in terms of stability occurs as a result of the democratic process of checks and balances. Jensen notes, â€Å"The institutional checks and balances associated with democratic systems decrease the likelihood of policy reversal, providing multinationals with a de facto commitment to policy stability† (Jensen, pg. 4). With the stability afforded by these checks and balances, corporations are able to more accurately forecast future returns. Ultimately, it is this stability that greatly While there are considerable arguments for the linkage of democracy to foreign direct investment, counter-arguments ex ist to this proposition. The main notion is that the nature of governmental policy and foreign direct investment is not as multi-varied as some would contest. This perspective contends that the overwhelming link between foreign investments in a host country is the level of taxation. Jensen notes, â€Å"Conventional wisdom holds that nations woo multinationals by

Wednesday, September 25, 2019

Service Quality in Higher Education Essay Example | Topics and Well Written Essays - 1750 words

Service Quality in Higher Education - Essay Example This paper illustrates that the three surveys conducted used various statistical measures such as QFD technique, and some multidimensional matrixes. Some of the research instrument included the QFD model, the QFD matrixes, and the data got analyzed by use of the statistical packages for social scientists (SPSS). Some of the processes that got included in these studies included delivery of teaching, the design of study programs, assessment of students, management of the administrative services and research activities. Others include career orientation services, student admission, and hiring, development and evaluation of the teaching personnel. The conclusive statement got made student’s study program, assessment of students and the teaching process are important aspects of improving education quality and the introduction of quality management in the higher education systems. Service quality in higher learning has emerged as one of the key most fundamental factors that drive ma ny academic institutions towards realizing their set objectives, goals, and educational aims. There are some processes and methodologies adopted by some learning institutions for the main purpose of upgrading the quality of their education services as well as academic provisions. By undertaking this procedure as well as the policies meant for improving their education quality and standards, these institutions have gotten in a position to meet nearly all requirements set by the ISO 9001:2008. There are some strategies taken to improve service quality in higher education, among them including the application of quality function deployment towards upgrading the standards in higher education. In this case, it entails the concerns from the employer’s perspective. It involves the use of the use of various paradigms and investigation procedures which gets implemented for the purpose of purpose of coming up with solutions for realizing high academic qualities.

Tuesday, September 24, 2019

Analyzing Orwell's1984 Essay Example | Topics and Well Written Essays - 750 words

Analyzing Orwell's1984 - Essay Example This allusion to the wiping out of memories is symbolic of a process of erasing memories, by which actually the sense of self within each and every human being is erased, culture is erased (Orwell, Chapter 4). In chapter 5 of the book, one understands that the Party is in a process of destroying many words which are supposed to be useless from the language (Orwell, Chapter 5). The reason for this is spelled out by Syme, a friend of Winston, when he says, â€Å"in the end we shall make thoughtcrime literally impossible, because there will be no words in which to express it† (Orwell, Chapter 5). Here, thoughtcrime is the act of thinking against the Party and its laws. With this kind of progression of the narrative, the author has shown that people are deprived even of their power to think, disagree and dream; people are totally dehumanized (Orwell, Chapter 5). Loss of privacy is the most important aspect of the dehumanization process. In this novel, the face of the Big Brother a nd the caption, â€Å"Big Brother is watching you† follow the people everywhere thereby depriving them of even a moment of privacy (Orwell, Chapter 1). Even the â€Å"swirl of gritty dust† that enters with Winston into his apartment building is suggestive of the helplessness of people like him to have some personal space and time (Orwell, Chapter 1). Then there is this instrument on the wall, the tele-screen, which forces all to listen to what it says, through days and nights, so that nobody is allowed even the privacy for thought (Orwell, Chapter 1). When people have such voices screaming into their eardrums constantly, they become more like listening machines. Again, a helicopter is also seen sneaking into people's lives from the sky (Orwell, Chapter 1). By depicting these three presences- the Big Brother, the tele-screen and the helicopter- Orwell has in the very first page of his novel, made the readers apprehend that they are entering a world totally mechanical, y et very familiar in terms of certain aspects of modern life. As we read on, it is also communicated that the tele-screen is a receiver as well as transmitter (Orwell, Chapter 1). It is transmitting all the visuals and sounds that the protagonist made, to the thought police (Orwell, Chapter 1). From this moment, the reader actually enters the world of absolute power where, â€Å"you had to live-did live, from habit that become instinct- in the assumption that every sound you made was overheard, and, except in darkness, every moment, scrutinized† (Orwell, Chapter 1). The first chapter of this novel, in this manner, strongly predicts the drama that is about to be unraveled yet keeps the reader hooked to the text and yearning to read more. Chapter 6 unfolds another horror of living in the world controlled by the Party and Big Brother- there is no sexual freedom, no freedom to love a person from the other gender (Orwell, Chapter 6). The reason behind this is explained as given in the following paragraph: The aim of the Party was not merely to prevent men and women from forming loyalties which it might not be able to control. Its real, undeclared purpose was to remove all pleasure from the sexual act. Not love so much as eroticism was the enemy, inside marriage as well as outside it. All marriages between Party members had to be approved by

Monday, September 23, 2019

Exercise 3 Essay Example | Topics and Well Written Essays - 1250 words

Exercise 3 - Essay Example Google drive is a service where any type of document can be uploaded and composed. Files uploaded can only be edited after their conversion into Google Docs format. The name of the file remains the same both in the converted and the original format in the activity section, but the symbol on the left of the name helps determine whether the file is converted or not. It is recommendable not to check the box that asks for the conversion of image or pdf files because of the great possibility of occurrence of conversion issues. Once uploaded and clicked upon, files open in new tabs from where they can be read, edited, saved, and performed all other kinds of functions upon. The free version of Google Drive has established the limit of 5 GB for uploading documents. For storage beyond that, the account has to be purchased. Video 2 summary Part 2 of this video series is about creating documents within the Google Drive. Google Drive lets the users create documents that are similar to the format s they work with in the Microsoft Office. There are different programs that compare to different programs of the Microsoft Office e.g. Presentation in Google Drive is the equivalent of MS PowerPoint. Likewise, Spreadsheet in Google Docs has almost all of the features of MS Excel. The user can perform different sorts of functions on the data in Spreadsheet just like it is done in MS Excel. Google Docs have an Autosave feature that obviates the need to properly save the content written in the file all the time. Users must first title the documents to differentiate them from one another in the list. Most of the features of Google Docs are similar to those of Microsoft Office. Users can make a copy of the documents to be able to edit the documents even if the editing rights have not been granted to them by the sender of the documents. Users can revisit the older versions of the documents using the Revision History feature. This is a very powerful feature as a new revision history is cre ated every time a change is made to the document. The Form in the Google Docs is a very useful program to conduct surveys with. Everything ranging from making graphs to drawings, writing, and making presentations can be done using the programs of the Google Docs. Video 3 summary Part 3 of this video series is about sharing documents within the Google Drive. Sharing is of two types; sharing with a Google Docs’ user and sharing with a non-user of Google Docs. The way to share a document with a Google Docs’ user is to right-click anywhere on the row of the document, go to share, and then again share. The sender has the option of deciding whether the receiver can edit, comment, or just view the document. Once the document has been shared, its shared status is visible on the row next to where it is located. The powers given to the receiver to change the file in any way can be limited or increased anytime by the sender. To share a document with a non-user of Google Docs†™, the first step is to convert the document from Google Docs format to the original format. Once this is done, the rest of the process is the same as for the user of Google Docs’ except we go to â€Å"Email as attachment† instead of â€Å"share† in the third step. Any important updates about the document that the sender wants to share with the receivers can be sent as a message via â€Å"Email collaborators†. More than one file can also be shared with a group of people by creating a shared folder

Sunday, September 22, 2019

Reduse Reuse Recycle Essay Example for Free

Reduse Reuse Recycle Essay All non-head material must be phrasal. This is a theoretical rather than an empirical argument! (1) *the that book Determiners dont seem to be phrasal. Determiners are HEADS. There can only be one of them in an NP (not true cross-linguistically). If there can be only one head within a phrase and all other material is supposed to be phrasal, then we face a problem here!! Possible solution: determiner is not inside the NP, but it heads its own phrasal projection (Abney 1987). 5 (2) Old view DP Hypothesis N O. k. This is a theory What about the empirical evidence? Is there any? 6 (I) Distributional properties of determiners (e. g. the behaviour of genitive (possessive) NPs) Free genitive (of-genitive) a. the roof of the building b. the hat of the man standing over there the free genitive uses the preposition of to mark the possessive relation between the two NPs. Construct or s-genitive a. the buildings roof b. [the man standing over there]s hat c. * [the man]s standing over there hat s is not a suffix! It is in complementary distribution with determiners: 7 theres the hat (cf. the hat of the man standing over there) Unlike the of-genitive, the s-genitive doesnt allow both nouns to have a determiner. Determiners like s and the are instances of the same thing! DP possessor NPA possessed DPI DP2 hat man standing over there (carnte 2002:146) 9 According to the old view, in which determiners were specifiers of NP, there is no way to generate s as a determiner and to also have the possessor NP preceding it: the man standing over there s 10 (II) Movement (Longobardi 1994, 1996) a. La mia casa  © bella. the my house is beautiful b. Casa mia  © bella. c. *La casa mia  © bella. d. *Casa la mia  © bella. The Category Article Articles: although they lack descriptive content, they contribute to the interpretation of the DP. Articles or determiners play a role in the referential properties of the DP: the choice of the definite article in association with an N indicates that we are dealing with entities (e. g. cat on the one hand, milk on the other) which are not mentioned for the first time. The definite determiner signals that the referents of the DPs are already accessible in the discourse, we know which cat and which milk we are talking about. By using the indefinite article in (8) we introduce a novel cat into the discourse: A cat was eating crisps under the table. 13 For some researchers the article is a grammatical category which in some languages gramaticalises the semantico- pragmatic notion of definiteness (e. g. Lyons 1999). Consider the following examples: a. The cat ran quickly after the mouse. b. Someone left the cat on my doorstep this morning. c. The cat was chosen by his wife. (10) a. A cat ran quickly after the mouse. b. Someone left a cat on my doorstep this morning. c. A cat was chosen by his wife.

Saturday, September 21, 2019

Cannabis Misuse Effects on Wellbeing

Cannabis Misuse Effects on Wellbeing How does cannabis misuse impact on the health and well-being of young people between the ages of 11-17 in England? Introduction The major focus of this research will be to explore how the misuse of cannabis can affect the health and wellbeing of young people in England and who are between the ages of 11 – 17 years. Gaining understanding on the impacts on the impacts on health and well being of these young people within the age group will help the researcher to make informed and evidence based recommendations on the appropriate health promotion interventions to tackle the health issue. Therefore, the research will involve an extensive review of journals that have specific relevance to the cannabis misuse among young people between the ages 11 – 17; and the review will be followed by critical discussions on the key themes that will arise from the results of the literature review. Also the discussions will be drawn from the activities of a Non Governmental Organisation (NGO) that is involved in tackling cannabis misuse among young people in the UK. Background and Rationale for Study Cannabis is from flowering plant known as cannabis sativa and it produces both euphoria and reduces anxiety (Naftali et al, 2013; Moore, 2007). The drug can be used occasionally by individuals without causing significant social or mental problems but heavy users or addicts may experience anxiety and disturbed sleep after withdrawal from its use (Schaub et al, 2013; Moffat et al, 2013). In the year 2009, the UK Government reclassified cannabis from being Class C drug to Class B making it illegal for anyone in possession of supply quantity (Health and Social Care Information Centre, 2011). The reclassifying of cannabis represents Government intervention to discourage poor lifestyle choices especially among young people who have been found to be indulged in cannabis abuse and also to promote healthy lifestyles. The 2011 data from the Health and Social Care Information Centre revealed that the â€Å"prevalence of young adults ever having taken drugs has decreased from 48.6% in 1996 to 40.1% in 2010/11; and in 2009/10 lifetime prevalence was 40.7%. The number receiving help for primary cannabis use has increased by more than 4,000 since 2005/06 to 13,123 in 2009/10. The number of under- 18s treated for problem drug use associated with primary use of heroin and crack is 530, less than half the number in 2005/06† (Health and Social Care Information Centre, 2011). Furthermore the data reveals that number of young people receiving help for primary cannabis use has increased by more than 4,000 since 2005/06 to 13,123 in 2009/2010. This increase in the number of young people receiving help for cannabis use is a major concern and this has prompted the decision to choose this topic. The concern here is that cannabis the misuse of cannabis health risks and which will widen the gap in the inequalities in the health of the population in the UK. According to Moffat et al (2013) the use of cannabis affects the nervous system and causes anxiety and this has the potential to affect the health and wellbeing of the individual in the long term especially where the body metabolism is not able to resist those effects. Another rationale for choosing to research on cannabis misuse among the young people of this age group is that, though there is recorded decrease in the use of cannabis based on the data by the Health and Social Care Information Centre (2011), th e 2013 report shows that â€Å"as in previous years cannabis was the most widely used drug among pupils in 2012 with 7.5% reporting they had taken it in the last year† (Health and Social Care Information Centre, 2014). The data suggests that the cannabis use among pupils is becoming a lifestyle and that if appropriate and adequate behavioural interventions are not implemented to cause a significant change of behaviour, this lifestyle may become a way of life of the 7.5% of the population of pupils. The wider implication of this unhealthy lifestyle is that the 7.5% of pupils may likely experience inequalities in health and also exclude them from maximising potentials. Health inequality simply means lack of uniformity in health or differences in health and this is often caused by various factors among which is the lifestyle of the population (Naidoo and Wills, 2011). This clearly suggests that the social distribution of health is linked to the differences in the risk behaviours of the individuals and that a change of risky behaviour reduces the differences in health (Naidoo and Wills, 2011). Aim and Objectives of the Research The aim of the research is examine the effectiveness of the interventions in reducing cannabis misuse among young people in England. To achieve this aim, the following 4 objectives have been set: To examine the prevalence of cannabis misuse among young people in England To explore the implication of cannabis misuse on the health and wellbeing of young people in England To identify a relevant organisation, justify its election and critically analyse one of its programme intervention in relation to cannabis misuse among young people in England To identify and critically discuss the effectiveness of interventions in responding to cannabis misuse in England. Literature Search Strategy The literatures will be searched electronically. The electronic search will involve the use online subject- specific databases to assess academic library. The use of the electronic to search literatures is due to the argument that computerised databases contain huge subject indexes of journal articles from which the research can choose subject-specific articles (Aveyard, 2010). The electronic databases from which journals will be sources from are PubMed; CINAHL; and others. The inclusion and exclusion strategy will be used because it will enable the researcher to identify the specific literatures that will be helpful in answering the research question and achieving the four research objectives (Aveyard, 2010). The first instance in the literature is to identify keywords that capture the essence of the research. The key words that will be used are: statistics of cannabis misuse in England; cannabis and young people aged 11-17 years; health risks and cannabis; and cannabis misuse and U K government interventions. Both quantitative and qualitative articles will be selected. The quantitative articles will include randomised controlled trials, cohort and case controls and cross-sectional studies (surveys/questionnaires); and qualitative studies will include grounded theory, ethnography and action research. Furthermore, only articles written within the past 10 years, that is, 2004 to 2014 will be included and articles that do not meet this criterion no matter how relevant and specific will be excluded. Ethics and anti-oppressive practice considerations It is important for the researcher to observe the main ethical issues relevant to the research process. This is because Bowling (2009) explains that those who agree to participate in the research process should be protected in relation to their privacy and manipulation and as such these participants should be shielded from any form of harm. The main ethical forms of protection for the participants are in terms of confidentiality; anonymity and informed consent (Bowling, 2009). Confidentiality and anonymity are the protections for the participants so that the information that they provide are not related to them and that their identities are not revealed. Informed consent is the protection which ensures that the participant is given appropriate and adequate information about the research topic and to seek his or her consent to enable an informed decision as to whether to participate or not to participate (Bowling, 2009). These ethical issues are mostly appropriate when carrying out pr imary research and not secondary research which does not involve contact with research participants (Bowling, 2009). Also the research will not be affected by other ethical principles of justice, non-maleficence, veracity and fidelity because it is a secondary research. However, this researcher will comply with the relevant ethical issues on secondary research. Therefore, the ethical issues such as informed consent, anonymity and confidentiality will not be considered since the research will not involve primary research. However, the research will comply with the requirements by the Internal Ethics Committee when it comes to plagiarism by ensuring that proper referencing is carried out so that the work of others will not be represented as those of this research. Research structure The research will be arranged in 4 chapters The chapter 1 will give a brief background of the research and the aims and objectives. The chapter 2 will analyse the results of the literatures that will be included from the literature search. Chapter 3 will briefly analyse the interventions by the UK Government and a chosen Non Governmental Agency (NGO). The analysis will be followed by critical discussion using relevant theories of Health Promotion to evaluate the extent to which the interventions have been effective in achieving the desired objective of health and well being for young people between the ages 11 – 17 years. The final part of the research will entail writing a reflective essay to critically evaluate what I have learnt through the processes of the essay and the relevant of the learning to my future career as a health and social care professional. Project Time Table Given below is the timetable for the project. This timetable is flexible considering the fact that there may be changes in the University timetable and also the constraints in getting feedback from the supervisor who has very tight academic schedule References Aveyard, H. (2010) Doing a literature review in health and Social Care. A practical guide. New York, NY Open University Bowling A (2009) Research Methods in Health Investigating health service 3rd edition, Open University Press, England McGraw-Hill Moore TH, Zammit S, Lingford-Hughes A, Barnes TR, Jones PB, Burke M, Lewis G (2007). Cannabis use and risk of psychotic or affective mental health outcomes : a systematic review. Lancet 370, 319–328. Moffat BM, Jenkins EK, Johnson JL; Weeding out the information: an ethnographic approach to exploring how young people make sense of the evidence on cannabis. Harm Reduct J. 2013 Nov 27;10(1):34. Naidoo J. and Will J. (2011) Public Health and Health Promotion: Foundation for Health Promotion. Bailliere Tindall, Elsevier Naftali, T,Bar-L. Schleider. L,Dotan. I,Lansky E.P,Sklerovsky B. F, and Konikoff F.M. (2013) Cannabis induces a clinical response in patients with Crohns disease: a prospective placebo-controlled study. Clin Gastroenterol Hepatol.2013 Oct; 11(10):1276-1280.e1. doi: 10.1016/j.cgh.2013.04.034. Epub 2013 May 4. Schaub MP, Haug S, Wenger A, et al; Can reduce the effects of chat-counseling and web-based self-help, Web-based self-help alone and a waiting list control program on cannabis use in problematic cannabis users: a randomized controlled trial. BMC Psychiatry. 2013 Nov 14; 13(1):305. Health and Social Care Information Centre (2011) Statistics on Drug Misuse: England, Available at:www.hscic.gov.uk/catalogue/PUB12994/drug-misu-eng-2013-rep.pdf. Accessed on 04/12/2014 1

Friday, September 20, 2019

Science And Technology In Malaysia Marketing Essay

Science And Technology In Malaysia Marketing Essay The two parts of Malaysia are Malaysian peninsula and the states of sabah and sarak. There are 13 states in Malaysia and has 3 territories. It has a total land mass of 330000 sq km. the fourth fifth part of it is tropical rain forest area. it got independence in 1957. It follows the parliamentary democracy system which is been rotated at every five years .In Malaysia various cultures are followed and it has a multilingual society with 28.66mn people. In Malaysia there are 57.1% malay people, 24.6 % Chinese people , 7.3% Indians and 11% other people. There is a freedom of religion in Malaysia although major part of the people follow islam.61.3% people follow islam 19.8% follow Buddhism ,9.2% follow Christianity ,6.3 follow Hinduism and 2.6% practices other religion. The economy of malaysia was not that good previously as it was a middle income country.But it has developed its country in every sector but mostly the focus is on high technology and capital intensive industries. It is also focusing on the automobile industry in Malaysia. As it is continuously developing their economic performance has also improved which has also improved their ranking 7th place out of 59th economies. It is among the 20 trading nations.it is ranked among the top 5 competitive competitive nations. It is also 21st exporter among the worldwide nations. Malaysia is also a location which provides low cost competition for investors who wants to manufacture advanced technological product. the economy of Malaysia is also supported by the Malaysian government policy. It has also launced economic transformation program which identifies 12 natioanl key economic areas which contribute to the grouth of Malaysia . à ¢Ã¢â€š ¬Ã¢â‚¬ ¢Vision 2020 is to transform Malaysia into a à ¢Ã¢â€š ¬Ã¢â‚¬ ¢high income country and for which Malaysia requires annual growth rate GNI of 6%. Due to the weaker domestic demand GDP growth lower to 4.0 percent year -on- year and further implementation of ETP project will boost domestic demand, but unlikely to offset underperformance in net exports. Germany has good trade relations with Malaysia and germany also invest good amount of money in Malaysia .malaysia also holds the second position when it comes to usinf of german products. As we know that germany is the largest exportor of automobile parts,so Malaysia also imports large amount of automotive parts in germany. As Malaysia is the huge market for automotive industry several german manufacturers have entered into the Malaysia .they all work only for the automotive industry.we can take the example of several companies such as BMW Benz,Mercedes Benz. The distribution of the product is carried out by the brand owner or the company itself such as BMW Benz, Mercedes Benz. The Malaysian government also had developed several policy to develop the automotive industry of Malaysia and strengthen the position of the industry ao that they can reduce their dependability on agriculture. They are focusing on automotive industry mainly so that they can reach the position of a developed nation by 2020. The most important thing for Malaysia is their seaborne trade. They have seven international ports which has helped them to increase their trade with other countries. Port klana and the port of Tansung have been ranked in top 120 ports in the world. When it comes to business the most important thing is that we have to keep in mind business meeting schedule. They should not be scheduled on the prayer time. When we are doing the business with muslims as the country is dominated by muslims. When a company is doing business with Malaysian government than it should be done in their language of bhara. Other business with Malaysian companies are done in English. In their culture they give more importance to their designations and also what are think that is to be done in the job. There are some etiquettes that are to be followed with Malaysian companies. The currency of Malaysia is 1 rinngit and the GDP growth rate is 5%. The inflation rate is 3.3% 3.5% in Malaysia. They export many commodities like electronic, petroleum products, rubber products etc. The rate of unemployment is 3.0%. In the automotive industry after the formation of the policy two projects were there which dominated the market. They are proton and perodua Whereas proton brought a huge change in the industry. Previously they were doing the work of assembly line and they moved from it and started producing vehicles due to which the business reduced because people preferred to buy their own country brand. Malaysia hold the 3rd position in the car market. In 2012 budget, the government has provided some benefits for the development of domestic automobile industry. As there are many foreign competitors present in the Malaysian market the government of Malaysia is trying to protect their technology industry from the competitors and therefore just to protect their industry they have made certain policies So that they can protet teir domestic companies from their competitors and that the country can develop rather than being depeendant on any other investors. They have introduced certain policies and tariffs . Therefore just to protect their industry they are imposing certain restrictions on foreign competitors. They are taking high excise duties from their foreign competitors so that they can advantage of these companies and at the same time it does nat harm their own domestic market. They are imposing import duties .according to the MTI the foreign companies have to work cooperatively with the local partners.The duties that are imposed on the vehicles depend upon the type of the vehicles. Information technology is playing an crucial role in the professional and personal lives of any individual. The constituents of the technology are Computers, communications, digital information, and softwares. Also, those who search aggressively for opportunities to learn more about technology and those who choose not to learn anything at all about technology, there are many things to recognize the potential value of technology for their day to day lives and also those who realize that a better understanding of technology will be helpful to them. This realization have some several factors: Technology has entered in ones lives over a relatively brief period of time with little warning and essentially no formal educational preparation among the fewer people Current use of technology have a limited understanding of the tools that are been used and a belief that they are underutilizing them. Few people do not feel confident or in control when they are confronted by technology, and they would like to be more certain. Also, there have been impressive claims for the potential benefits of technology, and many would like to realize those benefits. There is an concern on the part of some individuals that changes implied by technology which leads to potential risks to social values, freedoms or economic interests, etc., obligating them to become informed. Modern information technologies are a rapidly advancing field that can facilitate new effective means for retailers to reach consumers. Methods profiled below include the use of the Internet as a provider of static information and facilitator of traceability schemes, in-store interactive screens and information kiosks, personal shopping assistants, television monitors, mobile technologies and customer club cards. Smart ads, interactive window-shopping and holographic imaging as emerging technologies are also profiled. A second application of technology includes traceability schemes, which go beyond providing static information to enable consumers to trace supply chains of individual products. Todays emerging application offers retailers an opportunity to increase consumer trusts in both the retailer and the products on. Also, when tracing products through the supply chain, consumers can feel more that they are part of the chain, which helps in increasing the likelihood of environmental and social externalities being considered in purchasing decisions. With increased knowledge of supply chain issues gained by compiling traceability of information that offers tangible benefits to retailers such as quality tracking. Technologies also offer another opportunity to provide sustainability information to consumers. Quick Response (QR) have been used in malaysia to transfer product information in-store to the consumer. Through QR code readers are mainly available through a technology called i-mode a Japanese mobile communications company. QR codes which are readable by a mobile phone camera are affixed onto a product or package and direct consumers to online product information via wireless internet i.e mobile phones. The Malaysian technology report presents the technology requirements resulting from the activities of the process design teams, that describes the of target technological environment that is required to support the activities. and also provides estimation of the costs associated with the deployment of the environment. Also provides the description of the assumptions made by the team during the project, and an illustration of the data model used during the estimating process. The technology project results in a number of significant changes to the existing application environment: à ¢Ã¢â€š ¬Ã‚ ¢New applications are visioned for Service sectors. These systems are supported by the use of imaging technology. à ¢Ã¢â€š ¬Ã‚ ¢The Service systems will be augmented to provide Private Agents with a user-friendly interface, and will also employ imaging technology. à ¢Ã¢â€š ¬Ã‚ ¢The Service system will be provided with the consistent user interface. There is not a requirement for imaging services within this application Science and Technology in Malaysia In Malaysia science policy is regulated by ministry of science, technology and innovation, ministry of agriculture and the ministry of health. In 1998 high- tech exports made 54% Malaysian export. And in 1987 to 1997 research and development used 0.24% GNP. Malaysian national space agency in 2002 formed which deals with Malaysian space activities, space education and space experiments. RazakSAT satellite is a remote sensing satellite with the CCD camera. Angkasawan space flight program helpful for the Malaysia to transport one Malaysian to the space station. Malaysian privatized part of its military in 1970s to support national development and by this Malaysian defense industry council formed. And government also making efforts for the competitiveness and development of the sector. The Malaysian armed force uses weapons and hi-tech weapons and military imported from foreign countries. The Malaysian Antratic Research Program and national antratic research center were established to became partly to the antratic treaty. Biomass Energy Technology In the 9th Malaysian plan biomass energy has given more importance. Many incentives were provided for the promotion of biomass energy. It is used for the palm oil, rubber and brick making and also for the commercial use through this small renewable commercial program. By the process of conversion biomass is converted into liquid fuel and the part of it is used for the diesel in Malaysia. Through fermentation and gasification, biomass is converted into biogas. This status of technology used in Malaysia with environmentally clean and economically clean and viable system. Through the application of biomass technology number of issues were solved of emissions. For the techno-economic analysis many issues like labor cost and availability of raw material were solved. The technology from biomass make environment friendly produced high quality fuel from types of biomass and producing high grade fuel from low quality waste like feedstock. For the removal of hazardous air pollutants cost efficient preventive pre-treatment effective technology were used. For the demand of liberalized energy and cogeneration market this technology developed. And this require a good commercialization plan for the success of this technology in Malaysia. And for this commercial programs are also highlighted. Technology will also make a significant contribution to the automation of internal business activities. Workgroup products will be used to manage the handling of customer requests, approval processes, and product development cycles, and shared databases will be used for the efficient creation and management of stakeholder, agent, customer, or product information. The use of such tools facilitates the automatic collection of performance statistics, allowing for the management of cycle times and further improvement of  the automated processes. As a key part of this environment, integrated office automation products and usage standards will be implemented. In 2011 Malaysian Automotive Association registered a decrease of vehicles of 7.5% and this sales was affected due to disruption of the supply chain from natural disasters in Japan and Thailand. Now in2012 sales expected to raise but not much as of hybrid vehicles which expected to grow 60%. In Malaysia national car manufacturer appoint other companies to act as a distributor for them ,while foreign car makers choose different means to distribute their automobile Majorly Malaysia import the car parts and components rather export. As it get export to AESAN countries Thailand and Indonesia,but large quantities are also transferred to China, Syria and UK. Component industry In early 1980 with launching of proton the development of the ancillary and supporting industries created opportunities for growth in the manufacturing of component parts and accessories. Now therearemorethan704automotive components and parts manufactured in Malaysia and there about 45 vendors in the automotive component industry who has achieved the capabilities to design and develop, components and manufacture the whole component both for the original equipment and replacement markets . Malaysia being main producers and exporters of vehicle parts, accessories in the countries like in Japan, Germany and the UK due to their quality, compliance with international standards and competitive prices. Now, with facing many challenges with globalization the Malaysian government felt that there is a policy framework for the domestic automotive sector the government launched the National Automotive Policy (NAP)in March2006,which primarily aims at progressive market .In September2009,the NAP was revised to encourage new investments, ensure a long term sustainability of the domestic automotive industry, ensure safety and quality of products and services and protection of the environment An economic region grows together In2002,the ASEANwas founded to facilitate trading relations between the Asian countries in particular, but global economy also profiting from commit ment encourage competitiveness. Malaysia, as a member, to the policies decided upon in this multilateral forum it gradually reduced trade barriers. Over the years the government has pull to pieces its protective policies. Import duties on CKD (completely knocked-down units) and CBU(completely builtup units)from ASEAN members have been reduced to 0%and 5%.Duties from non-ASEAN countries for CKD have been reduced to 0%- 10%,while duties on CBU have now reacheda30%. As former prime minister Turn Dr Mahathir said that Malaysia cannot rely on imported auto technology forever the country needed to invent new technology in the automobile industry especially in green technology engineering and electric-powered engines which were currently the main focus of manufacturers and producers of cars in the world. He said now it time to move from preventing itself from continued dependence on foreign technology, home grown technology could also contribute to the economy of the country. Most of our work is only in assembling or putting together products made by other people . Chief executive officer MadaniSahari said that Today, items such as airbags, global positioning systems (GPS) and anti-lock braking systems (ABS) are naturally included in all cars in other countries but in Malaysia these high-tech items are not present. In 1983, Tun Dr Mahathir Mohamad, then Prime Minister, established Proton to build the national car in collaboration with Mitsubishi. The car name Proton Saga rolled in 1986 as the first nation car (NC) and thereafter In 1993, Perodua was established and, in collaboration with Daihatsu, launched the PeroduaKancil as the second NC .The main objective of the automotive vision was to spin off local suppliers, create job opportunities, upgrade the know-how of our workforce and, ultimately, to create a local identity for the Malaysian automobile sector. Though much efforts are made by government for customers to buy national car but customer refer to buy non national car because advanced safety they get from other brands. The sales of car in Malaysia over the last five years have increasing from 490,768 units in 2006 to 605,156 units in 2010. This has largely been facilitated by easy availability of credit at low interest rates, and a high level of grant on petrol prices. The Malaysian Car Sales shows that Proton and Perodua are the main players, commanding about 55% of the market share. But despite huge difference in price NC and NNCNNC brands have still managed to acquire share (at 45%) of the market.   The reason behind of buying NNC brand because of their more advanced features, better reliability and lower maintenance costs as compared with Proton or Perodua. Now as the technology is going ahead in automobile industry, countries are manufacturing hybrid and alternative-fuel vehicles in which BRAZIL rank first in selling this types of cars. Here , Malaysia is out of the sync they neither manufactured or assembled locally .But to support the use of alternative-fuel cars and electric or hybrid cars they need to develop a national system to supply such fuel (e.g. natural gas). Also need to develop a system for the convenient charging of the batteries on highways, and service stations. For develop strategies the NAP has not given incentives. As the people of country has much restriction for buying NNC the Government must take bold steps to reform the automotive industry. With their global marketing strategies, Malaysia can emerge as a focal point of their new supply chains, particularly for components of advance technology car for the huge china market Other steps government can take that they have large reserves of natural gas,they should also take immediate steps to establish a national natural-gas supply system for natural-gas cars. This infrastructure is crucial for the mass utilization of this alternative fuel vehicle Further the research has been shown that how Malaysia automotive industry will be grow in coming years The government has been avidly promoting green vehicles, such as hybrids and electric vehicles (EVs). This is reflected by the exemption of import and excise duties for hybrid vehicles. The development of Electric vehicles technology and infrastructure will be spearheaded by the Malaysian Green Technology Corporation under the Ministry of Energy, Green Technology and Water; with active collaboration from the Malaysian Automotive Institute (MAI) and Proton. ASSOCIATION Federation of Malaya Motor Traders Association or FMMTA established in the year 1960and the main objective was to discuss issues relating to the Motor Industry. And that many names changes of this association and finally in 2000 it name became The Malaysian automotive association established with the aim to encourage, promote and protect the interest of the Automotive Industry in Malaysia. The main scope of this association Develop and protect interest of Members. Make common representation to Governmental Agencies on issues affecting the Motor Vehicle Industry. Communicate with the public through various media on industry issues, position and  objectives. Now Malaysia is focuses on investment in high technology and capital intense industry at target focusing on green technology and new merging technologies. There is a continuous growth and they are finding alternatives investments from foreign companies The government had also liberalized in many sector so that foreign companies participates in equity Indian investment of $1.2 billion was done in manufacturing sector. Technology in banknote: The Malaysian government have used the latest banknote technology so that the security is maintained This increases the security features and the new technology have certain thing such as shadow, image, watermark portrait with fixed and colored glossy patch. This will also be helpful to the people to the people cannot see properly as it has tactile can to identification so that it would be can to identify and differentiate the denomination. Greener technology: It is a great potential in the solar energy and is putting lots of efforts for the development of this sector As we know that Malaysian is a developing economy who wants to move towards a technology driven world and high technology manufacturing type of development and there it is copying the NIES. Malaysia is considered to be the country which has a potential to develop and invest new technologies on their own without taking the help of other countries. The development in the technological field is very much in Malaysia. This development in the technology is catching attention of other countries. As Malaysia and the NIES are situated in the same region and to a certain point they have same economy and the trade methods. Malaysia has a very firm basis so that they can make its own tactical developments by seeing the NIE strategies and by using the proper method they can achieve the growth in the business. As it is not possible for Malaysia to bring the technology models from other NIES. As all the countries in NIES have different technology and they are using different method for development in the high technology market. As there is lot of dissimilarity in the technology it becomes difficult for the country to adopt this technology very easily and used this technology efficiently in their domestic market. So there are not a single strategy that can be adopted from other countries which would satisfy that this would succeed in the technology in Malaysia. Malaysia need to adopt new technology for the development so that they can best use the strategy. The strategies that can be used to evaluate the technology of Malaysia is their capability of development. The capabilities can be evaluated based on two types: (1) Product Technology (2) Process Technology. The resources based strategies can be evaluated based on the performance of a company how they best used the resources is very uniquely. As we know that the resources of the materials are equally divided in the heterogeneous manner the difference that remains become equal. There is also a connection between the firms things and the advantage they get i.e. the competitive advantage. The tactical resources that are to be evaluated are Human Resources, Research and Development etc. The development and the success of the country depend upon the development of policies and how they execute their plans and policies at the national level. Malaysia has used several strategies and they have used different policies to a great extent so the resources that are to be allocated, the various skills needed should be developed are done very perfectly. Malaysian government have also formed various guidelines to enter the technology in their country. And so that they can match this economies with other countries economies. When we talk about the human capital Malaysian is lagging behind because the population there is very lass so when it comes to using human capital it is relatively less as compared to other countries. Singapore is developing good system and training centers so that they give education to everyone and can convert this unskilled working people into highly skilled people. Technology development also includes research and development part. When it comes to development if there is no proper Research and Development the country cannot make progress. The investment put in research and development of Malaysia was very less and if we see the patents that is given to Malaysia is very less. The main reason that is a back draw point for RD is the financial aspect and lack of skill people in the field of research and development. For the development of country and also for RD market research is also important because if we want to enter into the market then we should know what are factors that are existing in the market so that one can work accordingly. Mostly RD research funds are provided in the field of electronic industry which is contributing more to the GDP of Malaysia. It is a problem for Malaysia as the heavily depend upon the export of the electronic products and there for some where they have to develop other technologies also so that they can do well and develop technology. Foreign technology transfer plays an important role in the technology and in this JAPAN and US are two major players in FDI sources in the technology development of Malaysia.

Thursday, September 19, 2019

Is Doubt the Key to Knowledge? Essay -- Proverb Analysis

Doubt is the middle ground between blind acceptance and outright refusal to believe. Doubt lends itself to a certain uncomfortable feeling of questioning but is a necessary tool to reach perceived truth and knowledge. Without doubt, one would believe anything he or she is told; it is a natural filter for the information thrust upon us. Doubt is in some ways the opposite of faith. Faith insinuates an acceptance so powerful that one does not need evidence to back up one’s claim. The lack of evidence does not bother the faithful, but it will pester the doubter like an insatiable itch. But the specter of doubt looms over the doubter, demanding that questions be asked of whatever â€Å"fact† has been presented. The doubter will use the four ways of knowing—emotion, reason, language, and sense perception—to answer the questions and become a knower. Doubt is especially necessary in two areas of knowledge: history and human sciences. When studying history, one mu st doubt the stories presented as facts and consider possible distortions created by biases or the passage of time. Without doubt, the field of human science would never advance past the current understanding, leaving human kind stuck in an age of primitive treatment and technology. The accuracy of history is weakened by time, perception, and memory. The Bible, for example, is particularly prone to such weaknesses. Millions of people accept it as fact despite its many fallacies. The events in the Bible are considered to be part of history. Yet such events were written about many years after they actually occurred. For example, Jesus is thought to have died in 33 A.D. This date is considered likely as his death must have occurred before Pontius Pilate left his position in 36 A.D. Y... ...iam. â€Å"The Gospel According to Luke.† The Interpreter’s One-Volume Commentary on the Bible.† Nashville: Abingdon, 1971. 672-706. Print. Bawer, Bruce. "What is Truth?" Rev. of Pontius Pilate , by Ann Wroe. Reviews by Bruce Bawer Fall 2001. Web. 1 Jan. 2011. . Leo, Johnathan. "The Fallacy of the 50% Concordance Rate for Schizophrenia in Identical Twins." Rev. of The Gene Illusion , by Jay Joseph. Human Nature Review. N.p., n.d. Web. 29 Nov. 2010. . Pentecost, J. Dwight. The Word and Works of Jesus Christ: A Study of the Life of Christ. Grand Rapids, Michigan: Zondervan, 2000. Amazon.com. Web. 1 Jan2011.. The Ryrie Study Bible. Chicago: Moody, 1976. Print. New American Standard Translation. Is Doubt the Key to Knowledge? Essay -- Proverb Analysis Doubt is the middle ground between blind acceptance and outright refusal to believe. Doubt lends itself to a certain uncomfortable feeling of questioning but is a necessary tool to reach perceived truth and knowledge. Without doubt, one would believe anything he or she is told; it is a natural filter for the information thrust upon us. Doubt is in some ways the opposite of faith. Faith insinuates an acceptance so powerful that one does not need evidence to back up one’s claim. The lack of evidence does not bother the faithful, but it will pester the doubter like an insatiable itch. But the specter of doubt looms over the doubter, demanding that questions be asked of whatever â€Å"fact† has been presented. The doubter will use the four ways of knowing—emotion, reason, language, and sense perception—to answer the questions and become a knower. Doubt is especially necessary in two areas of knowledge: history and human sciences. When studying history, one mu st doubt the stories presented as facts and consider possible distortions created by biases or the passage of time. Without doubt, the field of human science would never advance past the current understanding, leaving human kind stuck in an age of primitive treatment and technology. The accuracy of history is weakened by time, perception, and memory. The Bible, for example, is particularly prone to such weaknesses. Millions of people accept it as fact despite its many fallacies. The events in the Bible are considered to be part of history. Yet such events were written about many years after they actually occurred. For example, Jesus is thought to have died in 33 A.D. This date is considered likely as his death must have occurred before Pontius Pilate left his position in 36 A.D. Y... ...iam. â€Å"The Gospel According to Luke.† The Interpreter’s One-Volume Commentary on the Bible.† Nashville: Abingdon, 1971. 672-706. Print. Bawer, Bruce. "What is Truth?" Rev. of Pontius Pilate , by Ann Wroe. Reviews by Bruce Bawer Fall 2001. Web. 1 Jan. 2011. . Leo, Johnathan. "The Fallacy of the 50% Concordance Rate for Schizophrenia in Identical Twins." Rev. of The Gene Illusion , by Jay Joseph. Human Nature Review. N.p., n.d. Web. 29 Nov. 2010. . Pentecost, J. Dwight. The Word and Works of Jesus Christ: A Study of the Life of Christ. Grand Rapids, Michigan: Zondervan, 2000. Amazon.com. Web. 1 Jan2011.. The Ryrie Study Bible. Chicago: Moody, 1976. Print. New American Standard Translation.

Wednesday, September 18, 2019

Garage Fraud Essay -- essays research papers

Garage Fraud and How to Prevent It   Ã‚  Ã‚  Ã‚  Ã‚  Have you ever wondered why it cost you hundreds of dollars to get a belt changed on your car? The answer is simple: Auto-repair fraud. According to Norris and Engel’s book Auto Repair Fraud, the number one consumer complaint in the country is auto repair fraud. Americans pay more than 29 billion dollars a year to service and repair vehicles. According to a three year U.S. Senate sub-committee investigation into the auto repair industry, one-third of all car repair dollars, ten-billion dollars a year, is wasted on inadequate, inept, or corrupt service.   Ã‚  Ã‚  Ã‚  Ã‚  Many people are unaware just how much auto-repair fraud, or â€Å"garage fraud† takes place. It can take place anywhere from service stations who may perform light mechanic work, to a Garage which may fix tires, brakes, shocks, or transmissions. People can be taken advantage of in â€Å"garage fraud† in many ways. One way this can happen is by an attendant lying about labor, or the actual amount of time he spent on your vehicle. Another method is by huge markups on replacement parts, or cleaning and painting your old part and selling it back to you. Lastly, the attendant may lie about what is actually wrong with your car and charge you for something far more expensive.  Ã‚  Ã‚  Ã‚  Ã‚   These frauds take place because many people leave their vehicles unattended at shops or can’t see what is going on inside the garage. Many times a p...

Tuesday, September 17, 2019

Evaluate the regulation of care provision for looked after children and young people Essay

The organisation that support carers and who regulates them include: The General Social Care Council (GSCC) is responsible for the registration of all people who work in social services in England and for regulating their education and training. This includes those working with adults and with children. Local Authority Children’s Services: Ofsted are responsible for the inspection of local authority arrangements, for the protection of the children within them. These unannounced inspections look at how well the local authority and its partners identifies, helps and protects children in the local authority area, and safeguards the organisations that are responsible for children in vulnerable positions or may need extra looking after, for example children in foster care. The Care quality commission (CQC) deals with the essential standards to make sure quality and safety is taken into account. This includes places that care is provided such as the District general hospital and car e homes. The CQC has the authority to take action on behalf of people who use services that may be unsatisfactory. This can only take action if there is reason to think that anyone’s basic rights or safety are not being met. The CQC can make particular actions in reaction to risks seen as serious. For example, the CQC can request that a care home or hospital is closed until the provider reaches the safety requirements, otherwise suspension will go forward. The CQC can take a service off the register without question when necessary. Third section organisations are also in place for the protection of children; these can be charity organisations which receive both public and private funding. These organisations include: Barnados- This is a charity which helps to support: vulnerable children, children’s families, communities and young carers. Their job is to prevent as much child poverty, child abuse and child sexual abuse from happening. They campaign for the rights of children and provide a range of support including: counselling, fostering, adoption, training and educational services. For more than 100, 00 children and young people and their families, they also help asylum seeking children. It is one of the biggest children’s charities in the UK and raises money through high streets stores, local retail shops and second hand stores as well as an online shop.  NSPCC- Their â€Å"aim is to end cruelty to children in the U K.† The NSPCC helps children at risk, by helping those who are the subjects of: neglect, physical abuse and sexual abuse. They also help children under one, looked after children. To help end cruelty to children and young people in the UK, they create and deliver services that will be capable for protecting children and young people. They provide support and advice for adults and professionals if they are concerned about a child. They work with organisations to make sure that they will effectively achieve protection of children and young people and campaign for changes to legislation for the protection and rights of every individual child. Childline is a service that children and young people can contact for free if they are ever in need of talking to someone confidentially about general issues and problems, big or small. If a child is worried, scared, upset or just in need of talking to someone they can contact Childline and someone can provide information and support where they can call free, have a 1-2-1 chat online on an instant chat service, send emails, message on the Childline message boards or Ask Sam. â€Å"Whenever children need us, Childline will be there for them- 24 hours a day, 7 days a week, and 365 days per year.† Private Providers are put in place for the care of children such as: private nurseries that provide day care for the carers of children, where they pay for them to be looked after. The Early Years Foundation Stage (EYFS) is part of the governments’ wider scheme. It is laid out in the Children’s Plan and Every Child Matters, which gives every child a chance to start develop ing early on in life. Every nursery that is registered in England is inspected by CQC against the EYFS.

Monday, September 16, 2019

The Characteristics and Nature of Organisations

THE CHARACTERISTICS AND NATURE OF ORGANISATIONS LEARNING OBJECTIVES: on completion of this topic you will have: Developed understanding of the nature and characteristics of organisations Identified generic organisational features An understanding of the different types of organisations An understanding of the role of the organisation as a ‘goals-led, open system’ An appreciation of environmental impacts on organisations Developed understanding of the process of organising Be able to distinguish between ‘formal’ and ‘informal’ organisation IntroductionOrganisations, or more simply, organised activities, are a central feature of every aspect of life. Indeed, it is extremely difficult – if not impossible! – to conceive of any activity which does not involve the input of one or more organisations at some or other stage. Think for a moment – most of us, for example, were born in hospitals, live in a family or other social unit, a ttend or have attended educational institutions, and have found, or seek, employment with an organisation. Small wonder, then, that the study of organisations has attracted so much attention over the years!Every organisation differs – in terms of nature, purpose, size, goals and objectives, membership – and so on (the list is almost endless! ). However, a number of core features and characteristics of organisational life can be identified. These form the focus for the discussions within this chapter. Organisations also form the context for all management activity – in fact, it could be argued that one of the main reasons why we need managers is the fact that we engage in so much organised activity. So an understanding of the nature, type and purpose of organisations is an essential prerequisite in order to manage effectively and efficiently.

Sunday, September 15, 2019

Jewish beliefs on life after death and Jewish Funerals Essay

Describe the Jewish beliefs about what happens to evil people after death. Death as a general concept is a very difficult concept to come to grips with; it is one of the very few events that occur in modern life where we do not have primary sources to inform us. The torah talks about â€Å"Every Jew having a portion in the world to come†. So we have already established that even the most evil person amongst our ranks will live beside us in the world to come. The problem in the above paragraph which is talked about a lot in Jewish teachings and literature is weather the evil people will live beside us or weather just like a class divide on the trains in England’s past they will be mere peasants in the back carriages. All sources at hand concur that for those possessed with good that have devoted their lives to mitzvoth the after life will only bring pleasure and the most desirable dreams. Back to the original question the problem and arguments occur when talking about evil people. During torah times we were told of a place designed for these sinners referred to as â€Å"Sheol†. When comparing this ideology to the idea of â€Å"Hell† believed by followers of the Christian belief, it was agreed that this is not the case and in fact Judaism does not believe in Hell. – Which is believed to be a mans worst nightmare and often depicted as a fiery underworld. The most well known description of Sheol is a place where the soul is made to stand naked, with no shelter to hide and to have to explain and come to terms with all the sins it has committed. AO2 – Explain how a Jewish funeral service might comfort someone whose close friend has died. The most visually explicit seen which would comfort a friend is the first part of a Jewish funeral, in Hebrew called the leveya translated into the accompaniment. This brings respect to the body and shows the onlookers including the friend how much this body is being respected in its current state and therefore how much it was loved. The (Chevra Kadisha) The most holy people, are the ones responsible for caring for the body after its death and before it is returned to the dust it was made from. It would make anybody feel comforted knowing that their loved was in the hands of these very people, they perform their tasks with the utmost respect. A Eulogy is delivered after the burial; this reminds the friend of the accomplishments that the man has achieved and that his time on the Earth will be remembered. During the second part of the funeral, a hole is dug and the body is put in, the mourner is made to cover the grave himself, this stimulates the mourners body physically and emotionally, and combined the realisation process will begin and he will start understanding that his friend is no longer with us in this world. After he has buried his friend he is in a period of mourning. During this crucial period of a Jewish death, he has certain mitzvoth he must observe, these include not shaving and not preparing your own food. Even non – Jewish therapists have agreed that this method is very good and helps an individual to accept the passing away in a gradual process. Kadish is a prayer said by a mourner and is important because it is said to elevate the soul of the relative and also allows the mourner to feel as if he is still helping even as his relative lies in his coffin. All of these tasks are specifically designed to help the mourner to understand this natural process and to help respect the dead. AO3 – â€Å"It cannot be true that there is life after death because there is no evidence for it. As afore mentioned it is difficult to find proof of the afterlife because we do not have primary sources to agree or disagree with its existence. The torah does specifically mention the afterlife in the form of â€Å"Sheol† and for Jews which follow the torah, this is the most textual proof they need in order to believe this. Just like most of the Jewish religion, Belief plays a huge part, and to believe in the after life is to have beliefs about Jewish ideology. The Mishna and the Gemara, Jewish book of learning do bring textual proof of their being an afterlife. In my opinion the after life does exist, because I am a believer of Jewish principles which tell you that your good deeds will be rewarded and your bad ones deducted from you, I can only believe that my actions in this world, will all be linked to the world to come and I shall receive my just deserves.

Saturday, September 14, 2019

Ethical Conflicts Essay

Because human services work often involves direct client interaction, there are times when the values of the worker differ from those of their clients. In these circumstances, ethical dilemmas tend to arise. Review the case examples and current ethical conflicts presented in Chapter 5 of your textbook. Choose (1) Case study :Social and Moral Issues in the Case of a 96-Year-Old Woman- page 141 96 years old woman live alone, Her house is full of trash .House is a health hazard with all the trash. bring on unwanted guess( rats which make the house unhealthy to live in). The house seem to be a fire hazard with all the trash in the house. The house has a bad order which has made a worker sick. The floor is in needed of repair , this can be unsafe for her one day. she slept in one room. The owner her nephew will not fix repairs. The stove is on and burning all day with trash on it. Doctors say she is mentally competent (1) Ethical conflict Will her right be taken away from her by removed her from her home. Is it right to leave her in a home that is unsafe for her to live. This is very difficult for one to choose but is it morally right to leave her in a house that you know is not safe. Should her nephew be held accountable for his home. To discuss, and present the dilemmas involved in each case. As a human services professional, how would you handle these situations? How would you balance your values as a professional with a client’s needs? Well for one she is unsafe in her home . I would have the house inspected by the city to confirm that its not safe for her. My balance I think would be to stay focus she 96 maybe it is time for her to have some one look after her and still give her independence. If she was a child living under those condition a worker would remove her from the home until it is improve. To me in my opinion she needs to be safe Schram, BRMB, Introduction to Human services : Policy and Practice, Eight Edition Values, Skills, and Knowledge To work in the field of human services, individuals must possess a unique blend of personal and professional values, skills, and knowledge. Using Table 4.1 as a reference, provide an overview of the structure and content of the helping relationship. Discuss the characteristics of an effective human service worker in relation to the A.S.K. pyramid, describe how each of these levels of the pyramid are of equal importance in human services, and explain how this differs from other fields. How would clients be disadvantaged, for example, by an unsympathetic, inflexible, unskilled worker? Working in this field we will need to have the knowledge of the A.S.K pyramid. The pyramid has three different parts. Knowing and using all three will help you in this field of work. The three parts are 1 Knowledge-is about human growth and social problems. people 2-Skiills- being able to be an good listener, while interviewing and watching your surrounding for clues while collecting data 3 Attitude- Having empathy and try to be very patience , be willing to help without judging. In order to give our best, we must apply A.S.K in your work field . We work with people which sometime can be trying every day. No one is the same. We as social worker will have an affect on by working close with them. We will be working to help change lives more so than other fields. A client would be disadvantaged by and unsympathetic, inflexible , unskilled worker because they would not show empathy nor have the patient that they would need . They would not have the knowledge that is need to help them, I believe they would not even listen they would just judge.