Wednesday, October 30, 2019

Multiple Governments and Intergovernmental Relationships Essay

Multiple Governments and Intergovernmental Relationships - Essay Example US system of government has become more and more federal as time has gone by. As federalism increases the nature of co-operation also changes between the different forms of government. A local government which depends on the provincial government for its existence would certainly be less demanding and more co-operative as compared to a local government which has been given constitutional status. In US federal governments have a right to make laws in variety of spheres. The congress can pass only certain laws related to certain fields specified in the constitution. However experts believe that this autonomy or freedom is mainly on paper than in practice. As federal government control the purse strings they have the power to convince local governments to follow model bills prepared by the congress. In some areas these powers are beneficial but may also be prove contrary to local benefits in some cases. This is probably the most important aspect of intergovernmental relations as a government interacts through their bureaucrats. At a particular point of time FBI is represented by the agent who is interacting with the LAPD.These officers can cause conflicts between two governments and can also make them very reactive to each other depending upon their personal rapport or enmity. One of the most important examples in the recent times of intergovernmental relation has been anti-terrorist inquiries. Some of these inquiries are carried out parallel by the both the FBI as well as state police. In major terrorist attack cases even the homeland security may be involved. Local police officers do not like any case which happens even their area to be transferred to the FBI. They see this as a personal insult. This lead to enmity between the forces and lead to an atmosphere of mistrust. It has been documented by various investigators that prior information about a 9/11 plot was

Monday, October 28, 2019

Theory Comparison Essay Example for Free

Theory Comparison Essay It has been a long established fact that man is a unique being. Not only is he different in his ethnic background, man also has variations in his behavioral pattern. Thus, man should be viewed and treated as an exclusive being. For a long time, Psychology can be said to have noticed this rather distinct attribute of man and have sought to understand man from this perspective. This they have attempted to do by proposing various theories that seek to tell us ways by which we should view the individual in the society. Notable pioneering leaders in the field of psychology, whose works and theories have greatly affected the growth of the field of study, are Sigmund Freud and Alfred Alder. These scholars propounded psychodynamic and Adlerian approaches to counseling respectively. Historically, both scholars lived during the same period and as expected, they were colleagues in the profession. Making a comparison of booth theories propounded by them, in counseling children, psychodynamic approach in counseling children and adolescents seeks to know the explanation of the behavioral pattern of the child while making an attempt to understand how the growth of children and adolescents can be affected by their experiences and relationship withy their caregivers. Psychodynamic approach also uses the dreams to infer probable disorders and based on this provide a course of treatment. On the other hand, Adlerian approach basis its therapy on the improvement of self-esteem. In counseling children and adolescent, the therapist encourages the patient or client in overcoming his or her inferiority complexes and self-centeredness. In addition to this, Adlerian approach seeks to help children to gain insight into their goals as well as ways of attaining them. In the counseling process, the counselor attempts to identify the fantasies that children and adolescent might have and also identify goals that are far from reach to the growing child. The counselor then attempts to redirect these goals so that they will not lead to other psychological disorders informed by the reality of not being able to achieve these goals. Because these theories are both theories in psychology, there are some aspects of these theories that are relatable. To begin with, both theories are psychoanalytic theories that aim at the same goal – which is to provide an answer to thinking or mental disorders. Apart from this, both psychodynamic and adlerain theories recognizes that people man sometimes have some desires that are higher than him. In the case of psychodynamic approach, counseling seeks to identify some disorders based on fantasies that the patient has built around himself/herself. In the case of Adlerian approach, the tool used deals with the identification of goals set that are higher than the patient or client which when not met tends to build frustration. However, Freud’s psychodynamic approach is based on the assumption that disorders can be attributed to one’s personal developmental experiences which causes unconscious conflicts that are directly responsible for the patient’s condition. On the other hand, in Adlerian approach, disorders are attributed to frustrations informed by inferiority complex. Apart from this, in diagnosing disorders, the method used in the psychodynamic approach is that of interpretation. Here, the therapist or physician listens to dreams, fantasies etc of the patient and seek to interpret the words of the patient. The physician seeks to link these dreams and fantasies as being the responsible for the present position of the patient. However, the method of diagnosis in Adlerian approach is not as interpretative as the psychodynamic approach. Also, the psychodynamic approach can be said to apply a â€Å"past looking† method in diagnosis while in the case of Adlerian approach it is a â€Å"becoming† or â€Å"forward looking† way of diagnosing. In addition to this, the techniques used are different. In the case of psychodynamic approach, different forms of interpretations are used. For instance, it uses transference interpretation, genetic interpretation, and dream interpretation to understand the condition of the patient. On the other hand, the Adlerian approach uses psychotropic medications to ease the overpowering fantasies, encouragement to stay live. It also uses motivation as a tool and seeks to build the patient’s superiority complex. Reference: Mitchell, S.A., Black, M.J. (1995). Freud and beyond: a history of modern psychoanalytic thought. Basic Books, New York

Saturday, October 26, 2019

Urinary System Essays -- miscellaneous

Urinary System The urinary system has many different organs in order for it to work as a whole. Each organ does different functions. The urinary system consists of the two kidneys, the two ureters, the bladder, the two sphincter muscles, the nerves in the bladder, and the urethra. After your body takes what it needs from the food you eat waste products are then left behind in the blood. The urinary system works with the lungs, skin, and intestines to keep the chemicals and water in your body balanced. The urinary system removes urea from your body. Urea is made when the foods you eat that are high in protein are broken down in the body. Urea is then carried into the bloodstream to the kidneys by the renal arteries. The kidneys are bean shaped organs. They are a brownish-purplish sort of color. The outside of the kidneys are very tough, but smooth. This is described as a fibrous tunic. The outer part has millions of nephrons which are the basic unit of the kidney. The kidney is divided into two layers. The outer cortex and the medulla. When the outer cortex is stripped off you then get the medulla. The inside you have a thick mesh of muscular fibers. This is also smooth, and very even. It is very red in color, unlike the outside which is of brownish-purplish coloring. It is more red in color because it has tiny blood vessels. The kidneys are located in the posterior part of the abdomen, on both sides of the vertebral column. An easier way to say that would be right below the ribs towards the middle of your back. The right kidney is usually lower in location than the left kidney because of where the liver is. Each kidney is about 11cm long, 6cm wide, and 2.5 cm thick. The kidneys remove urea from the blood through a blood filtering unit called a nephron. There are more than 2 million nephrons in each kidney. The nephron is part of the homeostatic mechanism of your body. That mechanism maintains your water-salt balance, and it also regulates the amount of urea in your body. The blood enters the kidney through the bowmans capsule under pressure. This just surrounds the tuft of capillaries which is the glomerulus. The liquid just flows through the glomerulus under pressure. The pressure pushes the liquid out and keeps in the larger cells. This is filtration, because the glomerulus is taking the nutrients in and getting rid of the waste. After the filtering ... ...en view the bladder walls, and look for any signs of hemorrhages and damage. The treatment for IC is just to reduce the symptoms. There is no cure. You can treat it be oral drugs and changing your eating patterns. You treat it by nerve stimulants, and other drugs. Foods that are highly acidic and alcoholic, even salty will affect the flares of these pains. Considerations when a person has this disease is that they're in pain, and you can't make them do a lot of things. If they can't get up, then provide the best treatment you can by them laying down. A C.N.A will also have to watch their intake, to make sure the diet is still in affect so not to flare up any pains. Also, make sure they stop smoking because smoking is a major cause of bladder cancer. Do range of motion on the person with IC, because small exercise helps with relief of the symptoms. You may also do bladder training with your patient, to help them not use the bathroom so frequently. The training method is keep a schedule of when they should urinate, and stick to the schedule. If they have to go before then find a distraction to help them not think about it. If worse comes to worse, surgery is a possible answer too.

Thursday, October 24, 2019

Beowulf: The History of Grendel :: Epic of Beowulf Essays

Grendel was the embodiment of all that was evil and dark. Before Grendel was a monster, his name was Lednerg. He was described as a monster, demon, and a fiend. Terrible events occurred to Grendel to transform him into a horrible monster. Lednerg had a very weird childhood. He did not have any siblings. Throughout his childhood, Lednerg endured many insults directed to him and his family. His parents were also second cousins. He was always the last to finish his homework. During his early years, sports were not very kind to Lednerg. His only friend was Adolf. Adolf was extremely smart, and he was blessed with great sporting abilities. Whenever Lednerg was in a pensive mood, Adolf always brought joy to him. Lednerg’s education ended when his mom got in a verbal assault with the school president. With lack of sufficient education, Lednerg made many stupid decisions in his life. Since Lednerg did not attend school anymore, his parents forced him to get a job. Lednerg worked for Natas, who owned a football team, as a water boy. All the football players made fun of everything that Lednerg did at work. In the beginning, Lednerg did not get discouraged; in fact, Lednerg worked extra hard to make sure the water was at perfect temperature for drinking. Unfortunately, one of the players made fun of Lednerg’s mom. Something in Lednerg’s mind went off, and he tackled the player with all his strength. Natas saw Lednerg’s potential; however, he knew he needed to have full control of Lednerg. Natas separated Lednerg from his family by killing all his relatives. Natas told Lednerg that he needed to be angrier to be a better football player. During one of the football games, Lednerg hit the opponent in the head after the play was over. After staying a few days in the Intensive Care Unit, he died. Lednerg felt very upset at what he had done, but Natas told him that it was not his fault. At this time, Adolf was also on the football team. Natas told Lednerg that if by some chance Adolf was hurt, then all the glory would be his. The next day, Adolf was found dead. Lednerg had so many thoughts going through his head about everything he had done.

Wednesday, October 23, 2019

Assignment Psycholgical approaches

On a moral practical everyday life modeling is an excellent way of helping patient overcome with anxiety. For example a nurse found out that children in hospital suffer from reduce stress and they recover quickly from surgery if the treatment that they are about to have are modeled for example using films and video tapes. The psychotic Approach – understanding challenging behavior by a basic tenant of this perspective is that the most of the behavior is driven by unconscious forces.It is therefore very important to recognize the way we might not be able to understand behavior if we were using questions and answering techniques as the individual may not know what is troubling them and it is nesters to delve a deeper and try to interpret the behavior on the assumption that the behavior is in some way a symptom of what is going on in the unconscious mind. The Social Learning Theory – promotion of anti- discriminatory behavior and practices has been discussed earlier that t he way people can learn new behavior by observing others.First they note down the model that is influenced whether we like to imitate the behavior or not. For example of a model who is a very famous celebrity called the late princess Diana and when she came to the hospital to visit a patient who had HIVE and AIDS at the hospital in 1987 she shaded that patients hand who had AIDS and not only broke a tattoo on the subject but she also helped to remove a great deal of prejudice and misunderstanding about the illness. The use of positive role model in health and social care is education campaign and this explains the role model that can be played with powerful part of behavior.For example Jamie Oliver he has an image impact in terms of getting local authorities to introduce cooked school meals which were much less healthy. The Humanistic Approach – empathy is a very crucial feature of this approach to helping others to develop empathy. It is very common like sympathy where we fe el sorry for someone and we require to really listen to the emotions and respect them for who they are. This is not always very easy as we don't understand why someone feels so bad about an issue that we could easily dismiss.True empathy requires us to put aside the problem about another person and all we could do is put ourselves in their shoes. Rather like empathy understanding importance when applying this perspective to health and social care practice. Rogers often refers to more than just understanding an intellectual level. This is a major barrier to understanding and it will help the client or the patient instead we need to listen carefully to what is being said and ask questions to the problem.The Cognitive Approach – supporting individuals with learning difficulties who can experience enormous frustration in their daily lives as they feel to make sense to what we can experience. The cognitive approach can be used to help people who do not understand the situation. Th is could be by identifying irritation thoughts as an individual and can be guided to change them with consequent benefit for their emotion and behavior.Cognitive word of this type can be improved by self esteem and increase Outbursts which may be affected by a lack Of understanding Of the equipment of a given situation for example having to wait for a meal. Supporting individuals with emotional problems is widely used with individuals with a variety of emotional problems. This perspective begins by examining how the negative thought influenced feelings which then lead to changing in behavior. Supporting individuals with depression is a psychologist called Aaron Beck who has a formulated a helpful approach to understanding depression known as a cognitive behavior therapy.The pattern of the behavior is common to suffering from depression and is described as a cognitive triad. This then generates to a conviction that the world contains problems and difficulties that the individual is p owerless to overcome. The goal of the cognitive therapy is to challenge these negatives Houghton and to encourage the patient to develop alternative and more positive ways of seeing the world. Supporting individuals with post traumatic stress disorder -? This disorder consists of a group of symptoms as outlined below.This is commonly experienced by soldiers but are also experienced by others who have undergone a traumatic experience such as rape which is too much for them to bear. Traumatic events: Nightmares, flashbacks, recall of the event and fireworks. Avoidance events: The person tries to avoid thinking about the trauma and brings it back to the mind so the person may not be blew to remember anything. Increased arousal: difficulties falling or staying asleep, concentrating, hyperactive and exaggerated response.The Biological Approach -? Understanding developmental norms and they are developed by Arnold Sell for an assessment scale to enable judgment to be made about a child's b ehavior and understanding the matter Of their age and this is composed to the child's goal against their scores at an earlier age to determine the development. These are the three overlapping stages at which development can be measured. Between two and a half years of age Between four and six years old Between six and nine years old. Understanding the effects of shift work on individuals When we are working shifts especially at night we tend to find that there are certain times when we are feeling overwhelmed and urging to sleep while we should be working. Those unpleasant physical effects occur because of disruptions to circadian biological rhythms. Cardiac rhythms have given a cycle of physiological bodily process which laps force between 24 and 25 hours. For example our core body temperature which follows the level of alertness. For most people the lowest core temperature is 36. Degree Celsius and the very highest is 37. 2 degrees Celsius. The core body temperature falls over the course of the day. This is why we feel sleepy. Shift workers on an evening shift have to be awake and function at night with a high level when their body temperature is dropping the lowest telling us that they want to go to sleep. Therefore they need to sleep on time and return home on time when their body clock is telling them to be alert. The brain is also involved in leap and this is called the pineal gland and this is responsible for production of the hormone melatonin.As it gets darker the light levels increases between 8 and 10 these levels increase within 2 hours beginning to fall from 2. References Circadian rhythms www'. Guardian. Co. UK/science/2004/DCE/04/locators. Health Cognitive behavioral therapy www. Respects. AC. UK Sell assessment scale vim. Guiltlessness. Org MI Role model can be used within the new therapy and counseling centre in my locality is for example a nurse is expected to be on a high level standard of aroma and competent so where as we might aspect a su rgeon to be similarly level headed competent who would be expecting to a particular warmth.The people that would benefit from it is a group of individuals who have a particular culture or society who will get influenced by others and this will work by helping the therapy and counseling for leading us to adopt certain roles and try to live up to that role to the expectation that goes with the role. The humanistic approach can be used within the new therapy and counseling centre in my locality by for example by looking at human experiences from their viewpoint of my individuals of groups by focuses on their ideas of free will and believing that my group of individuals can make their own choices.This can work by their hierarchy of needs to progress through each level before making SSL_Jeer they meet all their individual needs. Advantages of my two perspectives are that one of my perspective is about influencing on people's role model by observing and changing behavior to the role model according to their jobs and expectations in the health and social; care setting and adopting it later it later in life and my other respective looks at my individuals needs like the importance in their diet and making sure they meet it and to understand why they need to meet their humanistic needs.

Tuesday, October 22, 2019

The history of radiation therapy machines Essays

The history of radiation therapy machines Essays The history of radiation therapy machines Essay The history of radiation therapy machines Essay Prior to the advent of ionizing particle beams, medicine had few options for treating some malignant and benign diseases. Physicians needs for new techniques to address these problems formed a vacuum, clearly demonstrated immediately following the discovery of X-rays in November 1895. By the first few months of 1896, X-rays were being used to treat skin lesions prior to any understanding of the beams physical or biological characteristics. The driving force was, of course, patients overwhelming need of treatment for uncontrollable and debilitating diseases. Radiation medicine developed over four major eras: the era of discovery, from R intents discovery to about the late sass; the orthoclase era, from the late o sass through World War II; the megavolt era, which began with higher-energy lanais for therapy in the sass, and, with refinements such as intensity-modulated X- ray therapy (IMMIX), is still ongoing. Within this scheme, the roots of BIT fall into the third or megavolt phase, with the first treatment of humans in 1954. J. M. Slater Department of Radiation Medicine, Loam Linda University Medical Center, 11234 Anderson street, SSP A-OHIO, Loran Linda, CA 92354, USA e-mail: [emailprotected] Lump. Du U. Line (deed. ), Ion Beam Therapy, Biological and Medical Physics, Biomedical Engagement, DOI 10. 1007/978-3-642-21414-1 1, Springer-Average Berlin Heidelberg 2012 3 4 These eras represent a continuum rather than a succession of distinct periods, but are a convenient way to assess the evolution of ART and BIT as a sophisticated part of it. In each era, the fundamental impetus for improvements came from patients needs for effective disease control while retaining or improving quality of life. These needs aroused the curiosity of physicians, physicists, and biologists, who, in their own ways in each of the eras, performed studies aimed at better understanding the tools they were working with and learning how to use them optimally for patients benefit. A kind of teamwork occurred in all of the eras, although often no formal teams existed; an overarching goal better patient treatment guided the efforts. The development of ion beams is part of this process. 1. 1. 1 The Discovery Era During this period of 30-35 years, the roots of ART were established. This era saw the coverer of the atom and various subatomic and electromagnetic particles; investigators strove to learn how to use them therapeutically. The salient discovery was R intents in 1895 [1], although X-rays were produced o earlier if unwittingly by others [2]. His report was followed soon by Becquerels on the phenomenon of radioactivity [3] and, in 1898, by that of the Curies on the discovery of radium [4]. Becquerel and Curie reported on the physiologic effects of radium rays in 1901 [5]. Such discoveries stimulated speculation that radioactivity could be used to treat disease [6]; indeed, X-rays were used to treat a patient with areas cancer in January 1896 [7]. By 1904, ART texts were available [8, 9]; reports of the use of X-rays and radium (characterize) occurred throughout the first decade of the twentieth century. In retrospect, it is clear that lack of knowledge of the biological effects and mechanisms of actions of the new rays led to much morbidity and poor cancer control [10]. However, such outcomes led physicians to ponder better modes of delivery; radiologists to study the effects of the rays on cells; and physicists to investigate the properties of these newly discovered radiations. Physics research led o the discovery of radioactive isotopes, which later were used for interactivity and interstitial therapy; the same research led ultimately to an understanding of the structure of the atom. As the era progressed, biologists began to understand the relationship between time and dose on cell survival. A crucial discovery occurred when Regard [1 1] and Couture [12] studied alternative ways of delivering the total radiation dose. Until that time, treatment was generally administered in one or a few large doses. Regard demonstrated that fractionated therapy would eradicate cooperativeness rearmament; Couture later showed that applying external beam therapy similarly could control head and neck cancer without the severe reactions and late effects that single large doses caused. These findings established that normal cells are better 1 From X-Rays to Ion Beams: A Short History of Radiation Therapy able to recover from radiation injury than cancer cells and led radiation therapists to employ dose fractionation. During this era also, Coolidge developed a practical X-ray tube, allowing physicians to deliver higher-energy X-rays (180-200 xv) to deeper tumors [13]. Until then, X-rays ere used mainly to treat superficial tumors. High-voltage transformers were also developed. Subsequently, physicists and engineers developed techniques to better measure the dose of radiation with X-rays. The path to charged-particle therapy begins with Ernest Rutherford, whose work spurred understanding of atomic structure. Rutherford explained radioactivity as the spontaneous disintegration of atoms; he helped determine the structure of the atom; and he was the first to note that one element could be converted to another. A complete bibliography of Rutherford works is available online, as part of a impressive site devoted to him [14]. The reader is referred to that source for publications relating to discoveries noted herein. In 1896, Rutherford began to use X-rays to initiate electrical conduction in gases; he repeated the study with rays from radioactive atoms after Becquerels discovery. In 1898, he discovered that two separate types of emissions came from radioactive atoms; he named them alpha and beta rays, the latter of which were shown to be electrons. He showed that some heavy atoms decay into lighter atoms, and in 1907 demonstrated that the alpha particle is a helium atom stripped of its electrons. He and Geiger developed a method to detect single particles emitted by radioactive atoms. He investigated whether alpha particles were reflected from metals, discovering that some alpha rays were scattered directly backward from a thin film of gold; a massive yet minute entity, the atomic nucleus, turned back some alpha particles. In 1911, Rutherford proposed the nuclear model of the atom. One of his students, Nielsen Boor, placed the electrons in stable formation around the atomic nucleus; the Rutherford-Boor model of the atom, with later modifications, became tankard, and Rutherford scattering is still used today in basic and applied research. Wilhelm Wine, in 1898, had identified a positively charged particle equal in mass to the hydrogen atom. In 1919, Rutherford demonstrated that nitrogen under alphabetical bombardment ejected what appeared to be nuclei of hydrogen; a year later, he equated the hydrogen nucleus with the charged entity that Wine had discovered. He named it the proton. The discovery of X-rays, then gamma rays, then the structure of the atom with electrons, protons, and neutrons marked the first era. It was one of physical and illogical experimentation to determine and understand the characteristics of the newly discovered beam and the effects of such rays on cells and tissues. Especially following the work of Rutherford, radioactive elements were also identified and diligently studied, as well. As treatment began with these new types of radiation prior to adequate knowledge of their characteristics and effects, errors were made and patients were injured. However, as knowledge and understanding increased during this era, two major divisions of radiation medicine diagnosis and therapy were developing; reared, some of them successfully. 1. 1. 2 The Orthoclase Era The period from roughly the late sass to 1950 encompasses this era. Patients needs for treatment of deep tumors were addressed largely by radium-based interactivity and interstitial irradiation, in the absence of deeply penetrating external beam sources. It was also a transitional period: physical developments that led t o superlative (apron. 500 xv-2 NV) ART were being made [15]. During the sass, advances in physics and engineering led to increased understanding of subatomic particles and techniques for energize and focusing them. The first superlative X-ray tubes, built by Coolidge [16], were the basis of the linear accelerator, developed by Widere in 1927 and described in a German Journal in 1928. E. O. Lawrence, despite knowing little German, used Widerex.s equations and drawings to conceptualize the cyclotron [17]. By the late sass, particle accelerators began to be constructed. Following the invention of the linear accelerator, devices operating on the principle of applying a potential difference were developed by Van De Graff in 1929 [18] and by Cockcrows and Walton in 1932 [19, 20]. The cyclotron, also based on the principle of applying a difference in potential, was invented in 1930 by Lawrence and Livingston [21]. At Lawrence laboratories at the University of California, Berkeley, accelerated particles were used to bombard atoms of various elements, forming, in some cases, new elements. Lawrence brother, John, a physician, along with Robert Stone, pioneered neutron radiation for medical treatments [22]. Electron beam therapy became a practical and useful therapeutic option in 1940, when Serest developed the beetroot [23, 24]. The first machine produced 2 Move electrons; later devices yielded up to 300 Move. Medical research in particle therapy was largely sidelined during World War II, but high-energy physics investigations were spurred, notably in the effort to develop an atomic bomb. Some who worked on it, notably Robert R. Wilson, became instrumental in the development of 1ST. One major advance during this period was the synchrotron, conceived independently and at about the same time (1944-1945) by Vessels in the Soviet Union and McMillan in the United States. McMillan gave priority to Vessels [25]. The central concept was phase stability, by which high energies could be achieved without the need to build ever larger cyclotrons. Phase stability became the basis for all heightening proton and electron accelerators thereafter. More importantly for medical use, the synchrotron made it easier to vary the energy of acceleration and thus the depth of penetration in tissue needed for optimal radiation treatments. The first, the Commotion at Brookhaven National Laboratory, began operation in 1952 [17]. 1. 1. 3 Megavolt Era noted, in some respects it is still in progress. A major advance, in response to 7 the continuing need to treat tumors located in deep tissues, was the development of ball telegraphy machines and megavolt linear electron accelerators. Cobalt telegraphy was capable of producing beams equivalent to approximately 1. 3 NV X- rays. Electron lanais began to become clinically available as early as the mid sass [26], but widespread application occurred in the sass and sass. Their higher energies (4-6 Move in earlier machines; 10-20 Move in later units) made possible increased depth of penetration, greater skin sparing, and improved disease-control rates, which often doubled or tripled, through delivery of higher doses [27, 28]. There as still a major limitation, however, because the radiation sources, X-rays or gamma rays (cobalt), were difficult to control as they passed through tissue: they scattered laterally and passed beyond their targets, exiting patients opposite the point of entry and causing excessive radiation in normal tissues surrounding the tumors. To overcome this, radiation oncologists and medical physicists developed multiplied treatment plans to spread unwanted radiation to larger volumes of normal tissue, thereby reducing the high dose to any one region. This tactic helped to reduce visible effects, but also increased the total dose delivered to normal tissues (volume integral dose). Doses sufficient to control many tumors were still unattainable because of continued acute complications and late effects caused by injury to normal tissues. During this era, radiation medicine advanced as a discipline. Well-designed clinical studies demonstrated the efficacy of modern methods of delivering ART. One of the earliest was done by Gilbert Fletcher at the University of Texas M. D. Anderson Hospital; it demonstrated clearly that megavolt treatment resulted in improved survival in cancer of the uterine cervix [29]. The founding of the American Society for Therapeutic Radiologists (ASTRAY) in 1966 (originally the American Club of Therapeutic Radiologists, founded in 1958) occurred partly as a means of encouraging careful studies such as those done by Fletcher. As time progressed, radiation therapists began to emphasize themselves primarily as radiation oncologists; in 1983, the organization became the American Society for Therapeutic Radiology and Oncology (ASTOR) [30]. In many respects, the megavolt era is still in progress, although the development of higher-energy electron accelerators is quite mature. In recent years the emphasis in photon ART has been on conformal techniques, featuring computerized control and approaches such as IMMIX. The intent, as has been true throughout the megavolt era, is to deliver a more effective dose to the target volume while reducing the dose to tissues that do not need to be irradiated. One might think of it as the multipart approach brought to its logical conclusion; indeed, the approach was anticipated by rotational arc therapy, popular for a time in the sass and sass. IMMIX can conform the high dose to the target volume, but the modality employs a greater number of imposed of photons; their absorption characteristics in tissue remain unchanged. 8 1. 1. 4 The Era of Ion Beams The groundwork for BIT was laid in 1946 when Robert R. Wilson wrote the landmark paper in which he proposed that protons accelerated by machines such as Lawrence could be used for medical purposes as well as scientific investigations [31]. In a conversation with the author, Wilson said that his insight was inspired by the medical work that Lawrence and Stone had done at Berkeley. In the immediate postwar years, higher-energy accelerators were Just becoming available. Wilson seasoned that protons, among the charged particles, offered the longest range for a given energy and were then the simplest and most practical for medical use. Willows interest in the medical use of protons never ceased. When he was selected as first director of the National Accelerator Laboratory (later Ferreira), he encouraged the idea of a proton treatment facility. In 1972, Ferreira investigators proposed such a facility. However, physicians in the Chicago area advocated a neutron facility at the laboratory instead. After Wilson resigned the directorship in 1978, others at Ferreira, mongo them Miguel Shallow, Donald Young, and Philip Lividly, continued to believe in a patient-dedicated proton facility. The first clinical use of a proton beam occurred at Berkeley in 1954 [32]; limited investigation proton treatment lasted for a few years afterward, until Berkeley scientists, notably Cornelius A. Tibias, began investigating biologically similar helium ions. Tibias was a nuclear physicist who, early in his career, became interested in applying physics to biology and medicine. His fundamental research interest was on the effects of ionizing radiation on living ells, and he, like Wilson, foresaw the advantages of therapeutic ion beams long before most radiation oncologists did [33, 34]. Proton therapy (OPT) began to spread to other physics laboratories around the world. The second use of a physics research accelerator for OPT occurred in Pascal, Sweden in 1957. Physicians at MGM, led by a neurosurgeon, Raymond Goldberg, began employing protons in 1961 for neurological radiographers; pituitary adenoma were first so treated at Harvard in 1963 [35], followed by fractionated OPT for other malignant tumors in 1973 [36, 37], under the leadership of Herman D. Suit. Proton beam therapy began at Audubon, Russia (then USSR), in 1967; subsequently, other Russian facilities began operating at Moscow in 1969 and at SST. Petersburg in 1975. The Japanese experience began in 1979, at Chief; another facility opened at Tissues in 1983. At the Swiss Institute for Nuclear Research (now the Paul Scorcher Institute), OPT commenced 1985 [38]. The development of the worlds first hospitals of data output from the computer-assisted treatment planning systems developed at LUMP in the sass. The image from the first (ultrasound) planning system, for a patient treated in 1973, is shown at left; a planning image from the second LUMP system, which employed CT scans, is shown at right for a patient treated in 1978. In addition to reproduction of the patients anatomy, the CT- based system allowed assessment of density variations as the X-ray beams passed through tissue particle beams (CB. Chap. 34 for details). Industry provided sufficient computer competence and the needed imaging technology by the early sass. LUMP investigators began developing the concepts needed for computer-assisted radiation treatment planning in the late sass and completed the first unit, utilizing ultrasonically, in the early sass [39]. In the mid-sass, this was converted to a CT- based unit, using one of the first GE scanners developed (Fig. . 1). This system provided electron density data, which made possible placement of the Bragg peak precisely within the designated treatment volume [40]. Michael Gotten at MGM expanded the planning system to three-dimensional capabilities, thus providing excellent treatment-planning capabilities for heavy charged particles [41, 42]. The establishment of such planning systems provided one of the essential prerequisites for proton (and other heavy charged-particle) ART [43]. By 1984, all prerequisites for establishing optimal ion beam facilities for clinical use were in place. This was clearly agonized by some of the staff at Ferreira and at the MGM and LUMP departments of radiation medicine. The author approached the leadership of Ferreira, Deputy Director Philip V. Lividly and Director Leon M. Alderman, who agreed to provide Ferreira support for developing a conceptual design for such a clinical facility; to continue with development of an engineering design; and to produce the accelerator, beam transport, and beam delivery systems for LUMP to begin OPT clinical trials (Figs. 1. 2 and 1. 3). A major turning point in OPT, therefore, occurred in 1990, with the opening of he worlds first hospital-based proton treatment center at LUMP. This event occurred more than 20 years after the author and colleagues began to investigate and work toward developing such a facility [44, 45]. Protons were selected as the particle of choice at LUMP because the relatively low LET of protons as compared to that of heavier ions would allow selective 10 Fig. 1. 2 Leon Alderman, Ph. D. , Director of Ferreira from 1979 to 1989; recipient of the Nobel Prize for Physics in 1988. In 1986, Dry. Alderman approved Forelimbs collaboration with LUMP in developing the worlds first hospital-based proton reattempt center destruction of the invasive cancer cells growing among normal cells, as had been demonstrated for many years and documented by the worldwide data from using photons (X-rays). By this period, the ROBE was known to be very similar for the two kinds of radiation. Loam Linda investigators realized that optimal applications and accumulation of meaningful clinical data could be made only in a facility designed to support patient needs and to operate within a medical environment, with access to a large patient volume and the supporting services available in a medical center. To date, over 15,000 patients have been treated at LUMP. Protons were not the only particles investigated for therapy. In the sass and sass, some physicists and radiation biologists were enthusiastic about the therapeutic possibilities of negative pi-mesons and ions heavier than the hydrogen nucleus. It was then not a given in the minds of many that the particle employed most commonly would be the proton. Basing their suggestions on the pinion capture phenomenon, Fowler and Perkins proposed pi-mesons for clinical use [46]. Pinions were expected to become clinically ascribable [47], and trials were conducted at three centers: Los Alamos National Laboratory, the Paul Scorcher Institute in Switzerland, and TRITIUM, in British Columbia, Canada. Although some successful outcomes were reported [48-50], in general, the anticipated clinical outcomes did not materialize. 11 Fig. 1. 3 Two Ferreira personnel who helped make the hospital-based proton center at LUMP a reality. Philip Lividly (left) was Deputy Director of the laboratory in 1986, when the decision was made to proceed with the center. Lividly had been a colleague of Robert Wilson; he shared Willows commitment to proton therapy. Lee Tent, Ph. D. Right), shown with the Loam Linda proton synchrotron under construction in the late sass, was the chief designer of the accelerator Helium ion therapy was begun at Berkeley by Tibias and colleagues in 1957 [51]; some notable outcomes supervened [52-54]. Clinical studies with heavier ions were begun by Joseph R. Castro and associates in 1974 [55, 56]; Tibias elucidated the molecular and cellular radiology of the particles [57]. Advantages of heavy ions, though appealing theoretically, were not well-understood clinically; the Berk eley studies were undertaken partly to help develop this understanding. Several trials notably specialized indications such as bone sarcomas and bile duct carcinomas [58- 60]. However, the cost of developing and delivering heavy ions eventually could not be Justified by the relatively limited patient experience, as had been true in the pinion trials [61]. Studies of heavy ions shifted to Japan and Germany, under the leadership of such individuals as Horopito Tutsis at Chief and Gerhard Kraft at Dramatic. Today, several ion beam facilities operate around the world, including facilities in the United States, Japan, Germany, Russia, France, Canada, China, England, Italy, South Africa, South Korea, Sweden, and Switzerland. Most centers offer protons, but carbon ion therapy is available at HIM (Chief) and HIBACHI (Tattoos) in Japan, and at HIT (Heidelberg), in Germany. The two latter centers offer both protons and carbon ions [62]. Thousands have been treated to date with carbon ion therapy [63, 64], but Kickoff and Line note that systematic experimental studies to find the optimum ion have not yet been pursued [65]. They speculate that ions with atomic numbers greater than 6 are unlikely to undergo a clinical revival, but those with atomic numbers between 1 and 6 may be alternatives to carbon. 1. 2 Perspective The development of 18TH was a response to the need to preserve normal tissue as much as possible, so as to lessen the side effects and complications that often barred delivery of sufficient dose levels to control tumors, even in the mature megavolt era. Investigations by physicists and radiation biologists from the sass to the sass pointed to the supe riority of charged particles in comparison to photon and neutron beams. Both Wilson and Tibias told the author that they found it easier to explain and demonstrate the advantages of protons and other ions to fellow scientists than to physicians. As evidence mounted, however, some physicians recognized the physical attributes of ions and were able to understand how these attributes would translate into clinical advantages beneficial to patients. From the clinicians point of view, the advantages ultimately rested on the fact that ion beams are precisely controllable in three dimensions, while photon and neutron beams are less controllable in two dimensions and are uncontrollable in the third. The controllability of ion beams, in the hands of skillful physicians, provides a superior tool for cancer therapy and for dealing with difficult-to-treat benign sissies. Curing patients who have solid tumors requires controlling those tumors at their site or region of origin. Normal-tissue damage, whether occasioned by surgical trauma or effects of radiation or chemotherapy, restricts the ability to ablate malignant cells. Keeping the volume integral dose to normal tissues as low as possible is a fundamental issue in radiation medicine. Rubin and Creates demonstrated that there is no safe radiation dose, in terms of avoiding sequel in irradiated normal tissues [66]. Later, Rubin and colleagues noted a cascade of cytokines in mouse fibrosis [67]. Biological studies are now commonly finding other injury mechanisms. Research, therefore, is always ongoing to develop new techniques to overcome these imposed limitations of normal-cell damage. Proton and other charged-particle beams are one outcome of such research. Any radiation beam, regardless of the basic particle employed, can destroy any cancer cell or any living entity if the dose is high enough. Historically, therefore, the limiting factor in radiation medicine has been the normal cell and the need to avoid irradiating normal tissues, so as to permit normal-tissue repair and avoid reattempt-compromising side effects. This was the fundamental reason behind dose fractionation and multipart techniques. During the early years of radiation medicine, the major problem of practitioners was their inability to focus the invisible radiation beam precisely on the invisible tumor target. Improvements in imaging technologies, along with computer-assisted, CT-based radiation treatment planning, enabled radiation oncologists to deliver precision external-beam radiation treatments to any anatomic site. This advance was limited, however, because conformity with photon beams, which has reached a high degree 3 Fig. . 4 An example of improved controllability needed to spare normal tissues from unnecessary radiation. A 3-field proton plan (left) is compared with a 6-field IMMIX plan for treating a large liver cancer. Both modalities effect similar high-dose coverage of the clinical target volume (red outline), but the superior controllability of the proton beam enables the physician to avoid most of the normal liver tissue receiving low-dose irradiation in the IMMIX plan of precision with IMMIX, requires a trade-off: an increased normal-tissue volume integral dose. Ion beams forming a Bragg peak offer a means to achieve the needed increased conformity I. E. , sparing a greater volume of normal tissue (Fig. 1. 4) because of their charge and increased mass. Physicians using ion beams can now plan treatments to place the Bragg peak in targeted tissues and avoid unacceptable normal-tissue effects. Such capability is facilitated not only by precision therapy planning but also by precision positioning and alignment (CB. Chaps. 33 and 34). This creates a new focus for research and development in the upcoming era. Included in this era, one can expect studies on cell organelle effects with each particle and delivery technique used, and ultimately, biological dosimeter to be developed and merged with physical dosimeter for further improvements in treatment planning. We can also expect to use much more optical imaging fused with our more conventional imaging techniques to better understand the physiological attributes and biological effects of targeted cells and nearby normal cells following treatment. In future years, this increased understanding of cell physiology should help provide a more reasonable rationale for selecting the particle

Monday, October 21, 2019

22 Top Career Marketing Communication Strategies for 2015

22 Top Career Marketing Communication Strategies for 2015 The long-awaited Findings of 2014 Global Career Brainstorming Day: Trends for the New the Next in Careers has been released by the Career Thought Leaders Consortium! This report summarizes the findings of a November 14, 2014 meeting of 150 career professionals from six countries who brainstormed â€Å"best practices, innovations, trends, new programs, new processes, and other observations that are currently impacting, and are projected to impact, global employment, job search, and career management.† The section that most interests me in the report is â€Å"Career Marketing Communications,† which includes resumes, cover letters, social media profiles and other career marketing communications. Here are some of the findings and advice you’ll want to keep in mind: Content Powerful, consistent branding is essential in resumes and across all job search messages and materials. Taglines with a candidate’s USP (Unique Selling Proposition) are becoming more common. Great resumes tell stories with testimonials and other unique information that â€Å"connects the dots† for readers. Keep resumes short and snappy, with smart, strategic use of SEO/keywords! Infographics, hyperlinks, graphs and charts are all fair game on resumes! Resume content may evolve to address behavioral questions. Mailing addresses may be omitted from electronic resumes (this reduces the risk of identity theft)- but consider including them on paper versions. Short, half-page cover letters are most frequently submitted in the form of an email. Use a punchy subject line to capture interest! LinkedIn profiles should almost always be written in the first person. Make sure your resume is readable on mobile devices. Craft your job marketing messages with an organization’s culture in mind. Is the organization conservative/traditional? Casual? Dynamic? Strategy Send your resume by snail mail to stand out – especially with older hiring managers. Don’t skip the thank you letter! It will make you stand out. Send a thank you email (it’s fast) and follow up with snail mail to make an impression. LinkedIn Premium is not recommended except to human resources professionals and recruiters. (I would add that anyone wanting to pursue leads from those who view their profile would also benefit.) The portfolio approach for career marketing documents is valuable, in particular for technology and engineering fields. 30/60/90 plans will be requested by more and more employers. Applying to jobs on job boards is discouraged. Instead, identify the jobs on the job boards, then go to LinkedIn or the company’s website to network with key decision-makers. Networking and referrals are still king for getting into a company. 80% of jobs are found by networking! Apply to jobs if you meet at least 75% of their requirements. 100% is not required. Company Context Companies understand a LinkedIn profile is an essential networking tool. Employees can be less afraid of their companies’ becoming suspicious when they update their profiles. Companies are sourcing candidates directly from LinkedIn, and using recruiters less. A large network on LinkedIn is attractive to many companies. Resumes are still important documents, distinct from LinkedIn profiles! If you are engaged in a job search, take this report to heart and create your career success! To read more about the New and the Next in Video Bios, Web Portfolios; Job Search Job Boards, Networking, Interviews Hiring, Career Planning Management, Personal Branding, and other important career topics, see Findings of 2014 Global Career Brainstorming Day: Trends for the New the Next in Careers.

Sunday, October 20, 2019

Case Analysis of Coca Cola India Crisis Essays

Case Analysis of Coca Cola India Crisis Essays Case Analysis of Coca Cola India Crisis Paper Case Analysis of Coca Cola India Crisis Paper Case analysis of the Coca-Cola India Crisis 1. What are the key problems that Gupta should focus on in the short term and in the long term? In looking at the situation, hindsight is always 20/20. Gupta would have benefited from the eight steps of crisis management. Step 1: Get control of the situation. Gupta needed to define the real problem, use reliable information, and a measurable communication objective for handling it. Step 2: Gather as much information as possible: Gupta quickly reacted to the situation without taking a fair and objective look at the facts in the statements being made. Gupta’s reaction was emotional and attacked the credibility of the Center for Science and Environment ( hereafter CSE). Step 3: Set up a centralized crisis management center: As Gupta was gathering the right information from the right people he should have made arrangement for creating a crisis center for the constituents, that is, media, employees, customers, and government. Creating a crisis center would have made Coke India look more sympathetic and human. Instead, Gupta went on the attack and published a letter that was callous and focused only on the potential impairment of business; not the safety of lives. Step 4:Comminicate early and often: Gupta should have made a plea in person especially since the crisis involved the threat to lives. He could have avoided any panic by hiring a public relations firm to assist him during this process. He should have expressed concern for the public safety rather than focus on profits and conspiracy theories. Step 5:Understand the media’s mission in a crisis: Gupta should have created an alliance with certain member’s of the media. A public relations firm would have been an asset. Step 6: Communicate directly with affected constituents: Gupta needed to communicate directly to his employees the position of Coke during this crisis. The employees were the mouthpiece to the community and the media. Everyone one needed a consistent story. Half-truths and rumors would only inflame the situation. Gupta also needed to consider which constituents were the top priority. Communicating with these constituents would filter the information that would be published. In this case, I believe he should have been communicating not only with the media but also with the government as well as any customers affected by the crisis. Step 7: Remember that business must continue: At this point Gupta needed to take a step back and look at which areas of the company will be most affected by the crisis. Are there certain divisions that are short handed because the impromptu crisis management team had taken them away from their usual duties? Did they need to start thinking about a promotional campaign to rebound from the situation? Did they have an exit and re-entrance strategy? Step 8: Make plans to avoid another crisis immediately: Gupta should have been somewhat prepared for this crisis because Coke has had similar incidents in the past such as the Belgium incident. They should have followed the lead of Coke Belgium by not only implementing an aggressive public relations campaign, but also put a crisis management plan and team in place while the motivation was still high to learn from mistakes. Long Term:Gupta needs to integrate the eight steps of crisis management into a crisis policy. This policy should include a campaign to assure customers of continuous safety monitoring, as well partnering with the CSE, government and other evaluators, and regulatory organizations. Together they could create and implement a consumer safety policy. They should also have set up a public relations campaign that highlights combined efforts to exceed safety and environmental standards of excellence within the industry. Short Term: Immediately there should have been a press conference with Gupta stating that they are doing everything imaginable to isolate contaminated bottles for consumer safety until further testing could be done. This would show that Coke puts public safety before profits. Pepsi and Coke did a good job of showing a united front, however, there should have been more emphasis on the effort to provide safety as well as investigating the contamination claims. 2. How would you evaluate the crisis? As the number one brand in the world, Coke has defined excellence in quality and marketing. Vilifying Coke is like vilifying Disney World or Hershey’s Chocolate. With all the resources that Coke has, there was no concentrated effort by Corporate Coke (America) to rally behind India. In my opinion, it seemed that if Coke had presented a global united front, emphasizing public safety, then some of the repercussions (Michigan State’s Coke boycott) could have been avoided. The initial plan to â€Å"deny, deny, deny† and â€Å"attack, attack, attack† showed an uncaring and unsympathetic face to the world. The public perception was that the soft drink industry was more interested in profits and maintaining their brand positioning rather than aggressively investigating the claim and recalling the product. The outright assault on the validity of the CSE’s findings was a mistake. It would have been better to cooperate with the CSE in order to get third party testing done. The CSE, was a respected organization. It generates awareness of consumer health and well-being. Coke immediately criticized the validity of the CSE testing results. . Their initial efforts of the myth versus fact website was effective. However, in my opinion, when Coke and Pepsi united for the press conference, it seemed that it was big corporation versus public safety advocacy groups. Though showing solidarity was effective, the companies should have put more emphasis on the public safety. Crisis is not new for Coke. The Belgium debacle should have given them an outline of how to deal with the crisis. Coke Belgium issued an immediate recall and a public statement that emphasized that safety came first. Hiring an independent toxicologist to test and report on findings would have been more effective. 3. How well prepared was Coke India to deal with the CSE’s allegations? Gupta should have been prepared by the Kinley water crisis. The Center for Science and Environment had evaluated the product. They reported evidence of pesticides in Kinley Water which was a Coke brand. The Center for Science and Environment further stated :â€Å"if what we found in bottled water was correct, then what about soft drinks? † This is a direct statement indicating the soft drinks were next on the list. The Company turned a blind eye to this impending disaster. Coke essentially ignored the Kinley water controversy and luckily it faded away before any real impact was made. Furthermore, there had been no regulation of the soft drink industry at the time when the reports were published. With no regulation in the soft drink industry there was fertile ground for controversy. What is surprising is that the company had excellent record of corporate social responsibility policies. Coke had dedicated itself to environmental responsibilities in India, which included ground water surveys before selecting the sites. Maybe they were too over confident in the environmental assessment of the sites. Coke’s initial and quick response was to deny any and all allegations of tainting and fire back accusations of faulty science. Coke’s assurance that the product was safe was secondary to their claim of misleading and unaccredited data. 4. What is your recommendation for Coke’s communication strategy. Who are the key constituents? Communicate early and often! Coke now has to restore confidence in its key constituents: customers, employees, investors, government and non-government organizations. The first recommendation would be to create an internal chain of communication. Communication about their crisis management plan needed to be sent out to all employees to reassure them that they are taking the necessary steps to correct the issue. The employees likely would talk to their families, neighbors and perhaps the press. There needs to be a consistent message from Coke within the community. It would be advisable to have team meetings and crisis updates to make sure that everyone has a consistent message. There should also be an internal website with a directory of the crisis management team. The website would allow employees to share what they are experiencing or hearing from the community. The next recommendation would be to set up a press conference and partner with the media to assure them that Coke is doing everything possible in regard to testing for safety and removing any contaminants from the water supply before manufacturing. They need to be more forthcoming and transparent with information. There should be a toll free hotline and a website for communications to update the public and questions and answers. There should be a link on this website to an emergency medicine website, hotline with tips and helpful health information for the community. There should be an interface with the government. Coke needs to create standard of excellence program that exceeds the PML , EPA and EED standards. Since Coke already has a good social responsibility policy, they should increase their environmental protection programs to concentrate on the Indian community. It should coincide with their marketing of â€Å"Think local, act local†. Their marketing should emphasize Coke employees working in the local community to improve environmental conditions and quality of life in the local community. There should be an attempt to put together a think tank of scientists, Coca Cola members, Center for Science and Environment members, and government. This think tank would monitor and work to improve the pesticide levels in the environment. Finally Coke needs to put together a website for investors to keep an accurate account of sales stock prices. This would provide updated information about Coke India and their quality control. This website should include photos and videos of Coke helping to restore value in the community by their environment efforts, and progress of the think tank with regard to the pesticide levels. 5. Could Coke India have avoided the crisis? Coke also had the Belgium example to follow. Belgium’s plan of action was swift and decisive. If Coke had responded quickly and adequately to the Kinley water crisis, this could have been avoided. Steps should have been taken to immediately to correct the Kinley water situation and subsequently he soft drinks. This would have been a perfect time to partner with the CSE to review the safety findings. An alliance with the CSE would have gone far for Coke’s public image. The steps that I proposed in question 1 should be taken. 6. What should Gupta do now? This is an opportunity for Gupta to publicly increase and exceed standards. This is a chance to generat e awareness about the company’s focus on environmental issues. Coke should create a campaign to work with other environmental organizations and create a cleaner India and a greener Coke. Gupta should focus most of his efforts in committing to public safety and improving the local community in India. Once faith is restored in the brand, the momentum will increase sales and thus investor confidence. Coke should not only implement a crisis management plan but also set up a strategic alliance with the CSE and other NGO’s to initiate a caring Coke campaign. Gupta should put together a transparency policy with the public. Coke should continue its efforts to build social programs with emphasis on education, environmental and water safety and public health initiatives.

Saturday, October 19, 2019

Liberalism Essay Example | Topics and Well Written Essays - 750 words

Liberalism - Essay Example Liberalism The theory of liberalism centers on a number of assumptions. The first assumption is that both state and non-state actors play a vital role in international relations. Liberalism values sub-state actors such as multi-national corporations and individuals. These actors can influence global politics (Shiraev and Zubok 389). The second major assumption under liberalism is that international relations encompass both cooperation and conflict. Liberals argue that since state are linked by finance and trade; they have incentives to cooperate with one another. This rationale allows the reduction of trade barriers such as tariffs. The democratic stability theory is also part of the second assumption and centers on the presumption that democratic states do not go to war with one another and that democratic countries do not instigate conflict. Liberals argue that democracies have shared values and norms thus identify with one another. Additionally, democracies are not subjected to military cont rol. The third assumption of the theory of liberalism is that states are not typically unitary or rational actors thus leaders play bi-level games by simultaneously negotiating with foreign leaders and making choices that maintain their constituencies’ happiness.economics can all be the most vital goal of a state. . The article speaks to the issues of international relations on environmental issues, specifically pollution and deforestation.... The primary issue is that of the environment and business as palm companies operating in Indonesia illegally burn forests so as to pave way for palm plantations. This is a recurring problem in the country. The issue of air pollution and deforestation presented in the article affects the South Asian region. The theory of liberalism holds that sub-state actors are primary instigators of international relations issues. Multinational companies that own palm plantations in Indonesia are some of the greatest masterminds of deforestation and the illegal slash-and-burn practices as they clear land for their plantations. The issue is a major problem for the actors since environmental issues such as deforestation and air pollution can affect an entire regions. The multinational corporations involved in polluting the air and deforesting lands are also bound to be impacted by the ensuing poor air quality. Like the corporations, other institutions and individuals in the region are also affected. For instance, airlines lose business as they planes are grounded while people suffer from breathing difficulties or lung diseases. The problem is experienced the same by all parties because, according to liberalism, environmental issues can dominate the international agenda thereby impacting the entire nation. All actors in the South Asian region are impacted by the consequences of palm plantations’ slash-and-burn practices. This means that the environmental issue is a collective problem, which according to liberals, is at the center of international cooperation (Shiraev and Zubok 367). The issue at hand is a demonstration of how financial power plays a significant role in shaping international politics. Indonesian officials argue that companies headquartered in

Friday, October 18, 2019

Summary Of The Platos Allegory Of The Cave Personal Statement

Summary Of The Platos Allegory Of The Cave - Personal Statement Example The prisoners shall take the names of the objects whose shadows they see, but to see the real objects they are referring to the need to turn their heads around which is not possible for them. They are in fact names of those things which do not fall before our vision but we can comprehend them only with our minds. Plato says that if the prisoners are released, then they would be able to turn their heads to see the real objects and, therefore, realize their error and in the real sense, and only then the prisoners would be able to grasp the objects. The implication of these terms in our real life lies in the point similar to the turning of the prisoner’s head and comprehending the real objects through grasping it with our minds. Plato intends to describe through the Allegory of the Cave that it is essential for the human mind to attain the understanding of the objects at the reflective realm. But despite this fact, it is quite true that the ability of the human being to think and speak depends on the understanding of the forms. The prisoners might mistake any object with the name of some other object if they are really not aware of the name of that particular object that they have seen. And in a very similar fashion, human minds might obtain the knowledge of the concepts by our inherent and perceptual experience of our physical objects. But at the same time, human mind might mistake any object if it is thought that the concepts human mind is grasping are equal with the objects perceived.

See the details Essay Example | Topics and Well Written Essays - 1250 words

See the details - Essay Example Musical Revolution: During his times, Elvis was very passionate about listening to different kind of music. As a result, he became an influencing icon who directly influenced the pop ballads and other varied array of music including, country music, gospel, and African American R&B which he grew listening to on the streets during his times (Cantor, 2005). This aspiration led him to create and develop his own kind of music. He brought a major change to the music industry and the society through his efforts and ambition. He mixed different musical influences into a network of diversity which was never experimented or created by anyone before Elvis. This led him to hold the position of the country’s first Rock and Roll idol that provided the new generation with a diversified musical creation of his own. Elvis career was faced with many highs and lows but he made a remarkable history in the world of music during two most prominent times- from 1955 to 1956 when he was credited for h is musical compositions throughout the nation and around the world. This not only gained him nationwide recognition but it also helped him to gain the international fame (Cantor, 2005). And the second period, dates back to 1970, when he finally settled himself as an icon for producing music in different genres and running successfully his tours and performances at both national and international levels (Brown and Broeske, 1997). Even today after 26 years of his death, Elvis Presley still holds an eminent position in the world of music and he can still be credited as an undisputed â€Å"diva† of Rock& Roll. Elvis never rocked the music industry with his Rock & Roll identity. He was failed to impress Sam Phillips during his recordings at Sun Records in the year 1954. He sang ballads after ballads but he failed to meet the expectations of Sam Phillips who thought of him a young talent who badly failed to compete with the stars like Johnny Ray, Eddie Fisher and many more. However , accidently during the breaks, Elvis fell on singing the unrehearsed version of â€Å"That’s All Right† by the one and only Arthur Crudups. The song is a beautiful composition which projects that how a white man sings the black-influenced tune. It highlights a unique combination of cultures and a very different kind of music that attracted Phillips. This tune as sung by Elvis held his attention. Coining His Influence on Youth and Shaping a New Pop Culture: His musical composition of the song created in 1945 to 1955 revolutionized the national musical industry. During his earliest performances, Elvis started mixing different genres with each other. For example, he added R&B to the country music and vice versa. This helped Elvis to discover a new array of musical compositions and he adapted a new style. He was also criticized for giving rise to a new genre â€Å"Rock& Roll† and eliminating the traditional yet so called pop music. By 1956, Elvis gained the fame as a national star and he was very much known for initiating the rock and roll movement (Cantor, 2005). He set himself as an example of bringing in the change for the youth of his times. Elvis was a new icon for a new generation. He provided the youth of 1950’s with new highly rich musical melodies which were very different from the traditional music or the music of their parents. He coined his own style and sound. He was often called as rebellious, lewd or a revolutionist in a negative

Thursday, October 17, 2019

CEO Overconfidence and Corporate Investment Essay

CEO Overconfidence and Corporate Investment - Essay Example The paper is divided into seven sections, in the first section; Ulrike and Tate have developed a model that predicts that managerial overconfidence leads to positive investment-cash flow sensitivity. The second part they give the data that they used and the third section explains the building of overconfidence instruments and the substitute instruments. The fourth section gives the evidence they collected that supports the idea that CEO’s overconfidence increases the sensitivity of investment to cash flows, the fifth section deals with evidence to support the proposition that CEO overconfidence is more in the equity dependent firms. Section 6 examines the relationship of CEO’s overconfidence to other personal characteristics and section seven is the conclusion. In the first section, they use a 2 period model that shows the effects of a CEO’s overconfidence on a firms investments in an well-organized market. In coming up with the model, they assume that asymmetry of information and agency relationships does not affect the investment decisions of a manger and that the only factor affecting the decisions is the CEO’s overconfidence. ... In section 2, the paper uses data of 477 large publicly traded firms in the United States between the years 1980 and 1994, in order to compare the data on how the CEO’s managed their personal account and the firms account, more information was derived from COMPUSTAT database. The data measured include investments as capital expenditure, cash flow as earnings before extra ordinary items plus depreciation, and capital as property, plants and equipments, and investments and cash flow are normalised with the beginning of the year capital. In addition, information on the CEO’s employment histories is collected where the CEO’s are classified into three groups based on their education history, that is, those with technical education, those with finance education and those with other degrees In the results, the y found out that the out of the 113 CEO’s who qualified the holder 67 selection criteria, 115 of them displayed characteristics of overconfidence in their personal portfolios. From the results there were minimal cases correlation between overconfidence and the firm or the CEO’s characteristics, this relationship was found to be opposite for different subsamples or the different measures of overconfidence used. Some of the alternative explanations to the measures that Gate and Ulrike gave include the following. Inside information, this is where a CEO may decide to lower risk exposure of a company due information that he has on the future stock prices, this information will also influence the investment cash flow sensitivity. The second alternative is signalling where a company would be passing information to the capital markets that its prospects are better than of rival firm, signalling in most

Budgetary control Essay Example | Topics and Well Written Essays - 1000 words

Budgetary control - Essay Example Therefore, the primary function of budgetary control is provide a benchmark for making continuous comparison of the budgeted activity with the actual performance to ensure that the budgeted results are achieved or an appropriate action is taken when there are deviations in performance. This paper examines the strengths and weaknesses of budgetary control to a business (Libby & Lindsay, 2010). One of the most important strengths of budget control is that it is based on numerical data from the financial statements and existing budgets of the company (Van der Stede, 2001). Therefore, this ensures there is consistent with decision making by following trends and previous periods performance. Moreover, in event that the data used in establishing the budgets is correct, managers will be able to make sound decisions for their units, which will eventually, translate to better performance of the business as a whole (Frow, Marginson & Ogden, 2010). That notwithstanding, budgetary control is based on budgets that are time bound. Budgets are usually prepared for a given financial period. Therefore, they enable managers to monitor actual performance by comparing it continuously with budgeted results for that period (Montana and Charnov, 2000). For instance, the production manager can compare the sales units quarterly with the production units to determine if there are deviations in terms of sales units and units produced so that an appropriate action is taken (Dunk, 2011). If for example, the production manager realizes that the units produced are much more than the demanded units, he/she can take action by reducing the units produced and noting the necessary adjustment to be made in the product budget. Therefore, this provides a benchmark for determining the validity of the numerical data and reports used in the preparation of the budgets for the purpose of budgetary

Wednesday, October 16, 2019

CEO Overconfidence and Corporate Investment Essay

CEO Overconfidence and Corporate Investment - Essay Example The paper is divided into seven sections, in the first section; Ulrike and Tate have developed a model that predicts that managerial overconfidence leads to positive investment-cash flow sensitivity. The second part they give the data that they used and the third section explains the building of overconfidence instruments and the substitute instruments. The fourth section gives the evidence they collected that supports the idea that CEO’s overconfidence increases the sensitivity of investment to cash flows, the fifth section deals with evidence to support the proposition that CEO overconfidence is more in the equity dependent firms. Section 6 examines the relationship of CEO’s overconfidence to other personal characteristics and section seven is the conclusion. In the first section, they use a 2 period model that shows the effects of a CEO’s overconfidence on a firms investments in an well-organized market. In coming up with the model, they assume that asymmetry of information and agency relationships does not affect the investment decisions of a manger and that the only factor affecting the decisions is the CEO’s overconfidence. ... In section 2, the paper uses data of 477 large publicly traded firms in the United States between the years 1980 and 1994, in order to compare the data on how the CEO’s managed their personal account and the firms account, more information was derived from COMPUSTAT database. The data measured include investments as capital expenditure, cash flow as earnings before extra ordinary items plus depreciation, and capital as property, plants and equipments, and investments and cash flow are normalised with the beginning of the year capital. In addition, information on the CEO’s employment histories is collected where the CEO’s are classified into three groups based on their education history, that is, those with technical education, those with finance education and those with other degrees In the results, the y found out that the out of the 113 CEO’s who qualified the holder 67 selection criteria, 115 of them displayed characteristics of overconfidence in their personal portfolios. From the results there were minimal cases correlation between overconfidence and the firm or the CEO’s characteristics, this relationship was found to be opposite for different subsamples or the different measures of overconfidence used. Some of the alternative explanations to the measures that Gate and Ulrike gave include the following. Inside information, this is where a CEO may decide to lower risk exposure of a company due information that he has on the future stock prices, this information will also influence the investment cash flow sensitivity. The second alternative is signalling where a company would be passing information to the capital markets that its prospects are better than of rival firm, signalling in most

Tuesday, October 15, 2019

Cryptography Attacks Research Paper Example | Topics and Well Written Essays - 1250 words

Cryptography Attacks - Research Paper Example This is further compounded by the constant need for government agencies to share information over the common means of communication such as the internet. Additionally, the numerous enemies of the government also use the normal means of communication and the government develops interest in obtaining some of their communications. This led the government to form the National Security Agency, this is a special state agency mandated with overseeing state communication and supervising all communications in the country with a view to averting threats to the country. The agency employs the best brains in communication technology and has some of the best cryptographers in the world. The besides coding government information for communication over the open networks, the agency looks for other strange codes in the American market and breaks them in the pretext of vigilance and the country’s security. Ethics and morality on the other hand refers to sets of behavior governing principles co ncerned with the right or wrong decision. Everyday activities present people with situations that require them to choose between right from wrong and good from bad. There is no universal standard of these but somehow people will always know from the actions of others whether a decision was right or wrong. The media as a means of communicating for the people presents a number of regulatory challenges some of which are ethical. The advent of the internet further worsened these scenarios by presenting virtually everyone with the ability to communicate to others and even become mass communicators. The internet has no assigned gatekeepers or regulators. The users reserve these powers a feature that puts them in very precarious situations. The operations of the National Security Agency and other hackers further worsen the scenario making the decision on wrong and right harder to make. Ethics and morality are behavior guidelines that reduce harm to others. By making an operative and accept able choice between right and wrong or good and bad, a person secures the interest of another thus preventing an unnecessary harm to the other party. Such understandings further put government agencies such as the NSA in challenging situations (James, 2001). The agency searches and breaks millions of coded messages on a daily basis. After breaking the codes, the government official assesses them and those found safe later communicated to their recipients as intended and in the original format. The unsuspecting recipient thinks the message is safe, secure and highly secretive not knowing that government officials had the content before they got to him or her. This presents a great dilemma in the operations of the government since the need to protect the people is equally important to their fundamental right of privacy vested in the bill of rights. The government safeguards the country and every citizen in it. The American government will not allow any ill motive by anybody to cause h arm or deaths of innocent Americans. To keep this promise the government, the government breaks a number of ethical principles such as accessing people private and confidential information. Some of the codes that the agency deciphers normally turn out to be communication between drug barons and not necessarily terrorists. The decoding process was necessitated by the rampant terrorist attack threats in the country. The government uses such information to impound

The Unvanquished Essay Example for Free

The Unvanquished Essay Two of the women from this novel deserve utmost respect. Granny and Drusilla took matters into their own hands, and are an inspiration to many women who read this novel. Strong women like them were unusual during this time period. Granny and Drusilla are in no way â€Å"picture-perfect southern belles†, yet they took what they had at the time and the experience that was given to them and represented true southern women. Granny was a strong woman of this period; she understood how things worked, and was smart enough to know how to manipulate things to her advantage. â€Å"’Bayard Sartoris, what did you say’? We killed him Granny! ’ †¦Then she said, ‘Quick! Here! ’†¦ and then Ringo and I were squatted with our knees under our chins, on either side of her against her knees†¦her skirts spread over us like a tent†¦Ã¢â‚¬â„¢You are mistaken,’ she said, ‘There are no children here. ’†) [Faulkner 30-31] This is a shorten version of the quote. The scenario is when Bayard and Ringo shoot at the Yankee soldier on a horse. They hit the horse instead of the man, though they are unaware of this fact. They run home shrieking at Granny to help them, so she has them hide underneath her skirt. The soldier comes in; then the Colonel comes in. The whole situation puts Granny in a bad position, because she’s a good, southern, God fearing woman, and the only way out of this predicament is to lie to the Yankee Colonel who comes in after Bayard and Ringo. Both Granny and the Colonel know there Bayard and Ringo are, but a gentleman doesn’t ask a lady to get up like that without good cause. Granny knew she could play this to her advantage. Granny sits there completely poker-faced and flat out tells him there are no children. The coronel simply jokes about the children and leaves. This is just one example of how Granny took a problem into her own hands and took care of it, with no man needed. She didn’t know who was going to be coming through those doors, it could have been dangerous; however, she handled the situation with grace and elegance, never skipping a beat. Granny showed great responsibility and courage when she had the idea to use the money and slaves to get mules from the Yankees. She turned the original mix-up into a smuggling business: she showed true genius in a time of real need. â€Å"’Ten chests tied with hemp rope,’†¦Ã¢â‚¬â„¢a hundred and ten mules’†¦Ã¢â‚¬â„¢Get what we got. Hurry’. He turned to Granny. ‘The general said to give you another hundred with his compliments’† [Faulkner 88-89] Again, another abbreviated lengthy quote. What’s happening here is Granny never got her exact box of silver back, but she was reimbursed for the silver. The Yankee in command gave her a slip with an order for a large amount of mules. When Granny and Ringo go to get them, the soldier they speak to doesn’t understand, and gets the entire transaction mixed up. Granny turned this unexpected occurrence into a blessing and opportunity to turn a profit and give the mules to the townspeople. Most of what originally occurred was a miscommunication; however, Granny and Ringo simultaneously recognized what was happening and took advantage of it. â€Å"The man counted the mules; we didn’t hardly move†¦Ã¢â‚¬ Forty-seven will do,† said Ringo†¦ and then all of a sudden she took her hand away from her chest; it had the paper in it; she held it out to the lieutenant without saying a word. † [Faulkner 91-93] Granny had the courage to risk getting caught, and continued to play the same con numerous times after, forging the note each time. She was a woman; an older woman at that, but she desperately wanted to somehow make a contribution to the war effort and also help out the community as best she could. The war devastated the south, and changed many things. If she could somehow right some of the wrongs that had been done to the people, while at the same time hindering the Yankees, it could be a step toward putting things back the way they were. Because Granny had been around as long as she had, she was a huge believer in tradition. She was stubbornly trying to preserve a community and take care of them, much like a mother takes care of her family. Many people enjoy discussing Drusilla, due to her unusual behavior and intrigue of the character. Drusilla wasn’t the average run-of-the-mill housewife; she had hopes and aspirations; goals and a set agenda. She didn’t wait around for a man to help her; if she wanted something done, she did it herself. â€Å"’This horse? ’ Cousin Denny said. ‘Ain’t no damn Yankee going to fool with Dru’s horse no more. ’ He didn’t holler now, but pretty soon he began again: ‘When they come to burn the house, Dru grabbed the pistol and rum out here-she had on her Sunday dress-and them right behind her. She run in here and she jumped on Bobolink bareback, without even waiting for the bridle, and one of them right there in the doorway hollering, ‘Stop’, and Dru said, ‘get away, or I’ll ride you down too’ †¦and Dru leaned down into Bobolinks ear and said, ‘Kill him, Bob’ [Faulkner 74] Drusilla didn’t stop to think of her own safety, or to wait for a man to step forward and assist; she acted out of courage and loyalty and attacked the men head on, knowing they were men and most likely stronger and better fighters. Drusilla portrays a strong, independent woman, with feministic qualities. Drusilla is a symbol of what is to come; she symbolizes strong women fighting for themselves, equality, and recognition. â€Å"She had on pants like a man† [Faulkner 73] â€Å"Her hair was cut short; it looked like father’s would†¦ She was sunburned and her hands were hard and scratched like a man’s that works would†. [Faulkner 75] It is apparent in other parts of the book that Drusilla didn’t always dress in a masculine fashion; when she was engaged to Gavin Breckbridge, she wore dresses and would have most likely lived out a stereotypical â€Å"southern bell† life, unworthy of remembrance. By this point in the book; however, we find Drusilla to be dressing like a man and attempting to take on more responsibilities and be more useful to the war effort. She commissioned herself to engage in manual labor, causing one sign of being a southern belle (soft smooth hands) to fade. Working hard was also a part of her own unique chivalric code of honor she took on, further distancing herself from her old life. High society women could afford to be shaded from the sun at all times; thus never resulting in sunburn. Poor whites were generally associated with having tan skin, while rich white women had fair porcelain skin-also a showing the segregation between poor people and wealthy people, as well as slaves. In the case of Drusilla being sunburned, it’s another segregating aspect allowing her to create a more equal atmosphere at which to fit into. Her unintentional idea was to appear less feminine; also creating a physical freeness at which she can move around and work more easily. Indirectly she also wanted to draw less attention to herself. She got the opposite effect: her change in appearance caused her to stand out as a new kind of person: a strong woman, purposefully surviving without a man. In this exquisite novel, so many different interpretations can be read from its intricately woven plot. These two women, Granny and Drusilla, went through quite a few trials and tribulations to become the much-respected women they were in the end. (Word count: 1,393)

Monday, October 14, 2019

Directors Duties under the Companies Act 2006

Directors Duties under the Companies Act 2006 Executive Summary This paper explains about the directors’ duties that is implemented in the Companies Act 2006. It is significant that every director have to act within the legal principles in order to prevent any dispute from company’s interest with their personal interest. In the Companies Act 2006, there are several duties that every director has to act with the duties that are provided in Section 171 to Section 177. However, the directors did not put the duties into practice when carrying their responsibility as a director in a company. As a result, it has caused a great impact to many aspects such as employment rate, economy and others. Question 1 Introduction: Directors’ Duties in Companies Act 2006 In this modern globalization, every company must have at least one director for non-public listed company and at least two directors for public listed company as it had mentioned under the Companies Act 2006 in Section 154 (Davies, 2007). The reason of having a director in each company is to represent the company to act due to the ‘artificial’ legal entities of the company. In a company, the directors are the persons who represents its owners to manage and solve the problems of a company. According to the Cornell University Law School (2015), the directors of a company are called as fiduciaries because they are owing the fiduciary duties of the company while the people who owes the fiduciary duties is called as principal. Fiduciary duty is a legitimate obligation where it act exclusively in another party’s interest, which is the company where the fiduciaries are representing of. In the legal systems of United Kingdom, fiduciary duty is the most rigorous duty of ca re and duty of loyalty because the fiduciaries have to obey the duty that had implemented to prevent themselves from any irreconcilable circumstances with their principals or with different fiduciaries’ customers. In order to prevent conflict of interest, the Companies Act 2006 has implemented several fiduciary duties to the company’s director that has mentioned in sections 171 to 177. Directors’ duties in Companies Act 2006 In the Company Act 2006, there are several directors’ duties that are necessary for a director to act when carrying the responsibility of its position in a company, which is duty to act within their powers, duty to exercise independent judgement as well as duty to avoid conflicts of interest. 2.1 Duty to Act within Powers This is one of the most important duties that every directors of a company should act on. This duty requires the directors to perform their authority accordingly with the rights they have assigned by the company and utilise it in a proper purpose to give the best interests to the company. It is stated in the Section 171 of Companies Act 2006 that: A director of a company must act in accordance with the company’s constitution, and only exercise powers for the purposes for which they are conferred. Davies (2007) explains that the directors of the company are required to take after all the directions with reference to how the company’s undertakings ought to be sorted out and regulated that are set down in the company’s constitution in order to agree with any constraints that is set down in the constitution on what exercises an organization might legitimately participate. In the Section 171 (b), he explains that the directors’ powers should be utilized just for the proper purposes doctrine. This is to deal with the directors’ affairs by implement those powers that the company wish in order to avoid any conflicts with the company. Unfortunately, the directors have abuse their powers and their acts are not in line with the company’s constitution. This matter is clearly seen in the case of Hogg v Cramphorn Ltd[1], where it concerns about the distribution of shares by the directors of Cramphorn Ltd in order to avoid a take-over in the honest belief as they believe that the take-over would not be in the interest of the company and they want to protect their position as a director in the board of directors. As a result, Mr Hogg, one of the shareholder of the company sued the directors for being misused of their powers accordingly and the new distribution of shares was not legally distributed, so the court announced that this distribution of new shares are invalid (Lawteacher, 2015). However, there’s a case in Western Australia, which is Whitehouse v Carlton Hotels Pty Ltd[2] where Mr. Charles MacDonald Whitehouse is being sued for issuing the shares to his son in order to prevent his former’s wife or daughter to take over the company when he dies. In this case, the High Court of Australia held that Mr Whitehouse does not breach the directors’ duty although he distributed it for improper usage and therefore, the appeal is dismissed with costs (UnistudyGuides, 2013). 2.2 Duty to Exercise Independent Judgement Besides that, the directors must practice this fiduciary duty by using their power autonomously without influence by the other interests. In order to prevent the breach of this duty, the directors have to practice the duty in the Section 173 of Companies Act 2006, whereby they have to act: in accordance with an agreement which has been duly entered into by the company; or in a way authorised by the company’s constitution. In this fiduciary duty, it does not mean to give powers on the directors to delegate or avoid them from utilizing the power that is given by the company’s constitution to delegate. According to the Institute of Chartered Secretaries and Administrators (2015), the directors have to ensure that they will give the best interest entirely for its own company and shareholders instead of their own interests offered by the third party. Also, the directors of the company are allowed to consult other professions for the legal advice but, the final decision has to be judge independently by themselves. It is clearly seen in the case of Fulham Football Club Ltd. v Cabra Estates plc[3] that the directors did not exercise their powers accordingly with its independent judgement. This is happened where the Hammersmith and Fulham Borough Council consented to an agreement to expand the Craven Cottage, the football ground for housing purposes and assure that they will not restrict the advancement at a later date or bolster a compulsory purchase order. As a result, the directors of Fulham Football Club were held that they breached the duty of exercising independent judgement because they had not restricted the future exercise of their discretion accordingly (Quizlet, 2015). As mentioned in the AustLII (2015), the directors of the organization in the case of Thorby v Goldberg[4] was held by the High Court of Australia that they did not fetter on their discretion upon the interest of the organization in entering into a contract. 2.3 Duty to Avoid Conflicts of Interest Moreover, this directors are put into practice with this duty in order to dodge in a circumstances where a director can obtain either a direct or an indirect benefits from the conflict with the company’s interests. In conjunction of this, the Section 175 of Companies Act 2006 has clearly mentioned that this duty is not violated if: the situation cannot reasonably be regarded as likely to give rise to a conflict of interest; or the matter has been authorised by the directors. Based on the Institute of Chartered Secretaries and Administrators (2015), the breach of this duty is applied when the directors take advantages from the third party in terms of property, unofficial information and opportunities. At the same time, it is not a breach of duty in a circumstance that it is arise unreasonably or it has been approved by the directors. Unfortunately, the directors always face the conflict of interest with the competitor, major shareholder, or a supplier and it has been increasing from years to years. This is because the Act does not explained clearly on what is â€Å"interest† or the â€Å"conflict of interest† means. This issue has showed clearly in the case of Boardman v Phipps[5] where Mr Broadman and Tom Phipps buy the company shares with the acknowledgement of Mr Fox as they believe that they could turn the company around. Nevertheless, Mr Broadman and Tom Phipps did not entirely acquired to all beneficiaries and they have made a great pr ofit with Mr Fox. As a result Johnn Phipps has sued them for breaching the duty to avoid conflicts of interest (Webstroke Law, 2014). In Australia, the directors are also charge for breaching this duty, which is stated in the case of Chan v Zacharia [6]where the High Court of Australia was held that Dr Chan has breached the duty. This is because Dr Chan acted in his personal interest instead of legitimate the interest of the partnership as a whole (Oxbridge Notes, 2014). Conclusion: Prevention rather than cure? In conclusion, it is essential for every directors to act within the directors’ duties that is stated in the Companies Act 2006 to ensure that they do not breach the duty when carry out their responsibility to a company. There are several duties that is important among all of the directors’ duties, which is the duty to act within powers, duty to exercise independent judgement as well as duty to avoid conflicts of interest. It is mentioned in the LawTeacher (2015) that those directors who have breached the duties will caused the company to have financial losses and at the same time, the directors will also be charged for such as imprisonment, fines, and commercial consequences. The directors will also be barred from its position under the Company Directors Disqualification Act 1986 in the Section 6 if they breach the directors’ duties. In order to prevent the breach of duties rather than cure it, the Corporate Governance is a better system than the directorsâ€⠄¢ duties where the Cadbury Report 1992 states that it is a system where the companies are controlled and directed accordingly (SA Technical, 2012). This has led to more sharpness to the director’s responsibilities where they have the executive responsibilities and monitoring role to prevent the breaching of their duties as a directors. [1] Hogg v Cramphorn Ltd. [1967] Ch 254, Chancery Division [2] Whitehouse v Carlton Hotels Pty Ltd. [1987] 162 CLR 285 [3] Fulham Football Club Ltd. V Cabra Estates plc [1992] BCC 863 [4] Thorby v Goldberg [1964] HCA 41; (1964) 112 CLR 597 [5] Boardman v Phipps [1966] UKHL 2 [6] Kak Loui Chan v John Zacharia [1984] 58 ALJR 353