Tuesday, October 29, 2019

Patagonia Essay Example | Topics and Well Written Essays - 500 words

Patagonia - Essay Example This movement is known as â€Å"One Percent for the Planet.† Give examples of how Patagonia gives back to society in the form of their day-to-day polices and operations. According to a Youtube video entitled â€Å"Patagonia Social Auditing,† this company has begun to make it a part of their policy to only do business with factories that provide humane treatment for their workers. They also place a great deal of emphasis on the idea of â€Å"social auditing† which is basically where the company consistently keeps itself apprised of the goings on at the places that make and produce their clothing. This is so that the company can provide transparency to its customers and investors who are showing more interest in the welfare of the people in these clothing factories. How has this corporation made its business both profitable and an agent of social change? This corporation has made itself profitable by providing well made clothes that the everyday customer can afford . Patagonia began with the idea of making environmentally safe clothes in the 1980’s which is many years before the green craze took over, so the company was able to develop a strong and consistent reputation.

Sunday, October 27, 2019

Management And Conservation Of Seaweed Culture Environmental Sciences Essay

Management And Conservation Of Seaweed Culture Environmental Sciences Essay Seaweeds have been used practically in Chinese Herbs since 2700 BC in Emperor of Shen Nung. Reports show that since 300BC, seaweeds have been a part of the Japanese diet and mainly eaten in the Oriental countries like Japan, China, Korea and recently, in USA and Europe. Korea shows highest seaweed consumption per capita in the world. The most valuable commercial use of seaweeds is as raw material for extraction of phycocolloids (agar, alginate and carrageenan), which are used in several industries. Seaweeds have been collected from natural stocks or wild populations. In fact, these resources were being depleted by over-harvesting and hence, the need for their cultivation. Today seaweed cultivation techniques are standardised, perfected and made economically favourable. Besides, industry prefers a greater stability through sustained supply of quantity and quality of raw materials. In order to prevent overexploitation of natural seaweed habitats and to meet the needs of industry in an uninterrupted manner, nearly all brown seaweeds, 63 per cent of red seaweeds and 68 per cent of green seaweeds are being cultivated. Top five cultivated seaweeds in the world are Laminaria, Porphyra, Undaria, Eucheuma and Gracilaria. These together account for 5.97 million metric tonnes of seaweed production. Top 10 countries producing seaweeds are China, Korea, Japan, Philippines, Indonesia, Chile, Taiwan, Vietnam, Russia and Italy. The current phycocolloids (seaweed gels) industry stands at over US$ 6.2 billion. The world production of commercial seaweeds has grown by 119 per cent since 1984 and presently, 221 species of seaweeds are utilised commercially including 145 species for food and 110 species for phycocolloid production (Anonymous, 2003). Japan leads the world in the production of agar and consumption. The world most successful seaweed cultivation industries are in Asia. Large-scale seaweed mariculture is only carried out in Asia. Cultivating nori was started in the 1697 in Tokyo Bay and the species is mostly cultivated in Japan. There are many different ways to cultivate seaweed. Cultivating seaweed has been done for a long time and has been cultivated in different ways. Management and conservation of seaweed is needed as seaweed production mostly depending on wild stock. SEAWEED AND THEIR USES Macroscopic marine algae, popularly known as seaweeds, form one of the important living resources of the ocean. It is a source of raw material of alginate, agar and carrageenan, gelatinous substances collectively known as hydrocolloids or phycocolloids. It is widely used in both food and non-food industries. Hydrocolloids have attained commercial significance as food additives. The food industry exploits their gelling, water-retention, emulsifying and other physical properties. The applications of alginate find place in frozen foods, pastry fillings, syrups, bakery icings, dry mixes, meringues, frozen desserts, instant puddings, cooked puddings, chiffons, pie and pastry fillings, dessert gels, fabricated foods, salad dressings, meat and flavour sauces. Agar is used in foods such as confectionery, meat and poultry products, desserts and beverages and moulded foods. It is widely used in paper manufacturing, culture media, packaging material, photography, leather industry, plywood manufacturing, preservation of foodstuffs, cosmetics industry and pharmaceutical industry. Carrageenan is also employed in food industry. Its value in the manufacture of sausages, corned beef, meat balls, ham, preparations of poultry and fish, chocolates, dessert gels, ice creams, juice concentrates, marmalade, and sardine sauces. It is also used in the manufacturing of non-food items like beer, air fresheners, textiles, toothpastes, hair shampoos, sanitary napkins, tissues, culture media, and fungicides. Carrageenan is used in salad dressings and sauces, dietetic foods, and as a preservative in meat and fish products, dairy items and baked goods. Figure 1:Carrageenan seaweed It is an alternative to animal-based gelatin in food industries used as enhancer, emulsifier, gelling, thickening, binding and stabilizing agent and also in non- food application such as dentifrice, pharmacology and industrial products. For example, some seaweed polysaccharides are employed in the manufacture of toothpastes, soaps, shampoos, cosmetics, milk, ice creams, meat, processed food, air fresheners and also animal feed, fertilizers for plants and source of various chemicals. In several oriental countries like Japan, China, Korea, etc., seaweeds are a staple part of the diet. In the recent past, seaweeds have also been gaining momentum as new experimental systems for biological research and integrated aquaculture systems. Seaweed products are used in our daily lives in one or the other way. PURPOSES OF SEAWEED MANAGEMENT AND CONSERVATION Management and conservation of seaweeds is needed as seaweed resources are depletion over-time. Seaweed production mostly depending on wild stock and natural stock. Seaweed pollution also a major concern to consider in determine successful of managing coastal environment of the country. Seaweed grows out of control and caused pollutant to birds and marine life and further, leads to death of human when they consume of dangerous marine product. SEAWEED AS USEFUL RESOURCES Figure 2: Application of seaweeds SEAWEED POLLUTION In the coast of Qingdao, East China, a huge blooms of seaweed covering some areas of sea. Local fishermen have been ordered to help clear the carpets of seaweed as it is believe would have to be treated as an obstruction to fishing vessels and other boats. It has resulted in increasing levels of pesticides and fertilizer entering the countrys waterways, providing a food source for the algae. Recent flooding caused by typhoons has also been causes (Anonymous, 2008). Fishing vessels attempt to clear the green algae Workers bag up the seaweeds Seaweed pollution in Qingdao Figure 3: Seaweed pollution 3.2.1 FACTORS CONTRIBUTE TO SEAWEED POLLUTION Seaweed pollution is definition given when seaweeds grow excessively in coastal ocean which may contribute harmful condition on seawater. Seaweeds blooming as a result of industrial, fertilizer and other sources input which run-off into coastal environment. The build-up of seaweeds will increase the photosynthesis and respiration processes which then lead to decomposing of organic matter. The decaying of dead seaweeds will produce hydrogen sulphide, a rotten and toxic gas to marine life and human as well. Factors that may contribute to seaweed pollution in coastal ocean are stated as below: Nitrates as fertilizer sources washed down from local cattle, pig and poultry farms With increasing levels of pesticides and fertilizer entering the countrys waterways, it will providing a food source for the algae to bloom Dumping of industrial waste and heavy metals in run-off areas such as leads and copper Recent flooding caused by typhoons will increase the growth of algae in seawater column And also combined with sunny weather enabled seaweeds build-up 3.2.2 EFFECT OF UNCONTROLLED SEAWEED GROWTH Without proper management, seaweeds growth will cause many problems to environment especially marine lifes. Difficult for vessel and boat passage in ocean water Cut off access to food for local birds, fish and crustaceans Death of marine life with depleted oxygen in the water Further, hydrogen sulphide are produced by the decomposing seaweeds Rotten smell and toxic will leads to death of individual life 4.0 PROBLEMS TOWARDS CONSERVATION OF SEAWEED Unavailability of good quality seedlings Inconsistency of the quality due to adulteration with foreign materials to the seaweed Shortage of raw materials Pollution in conservation areas (industrial waste etc.) Lack of capital to venture into the industry False cultivation method Farmers are strongly urged to stop using raffia string for seaweed cultivation and replace them with nylon strings because using raffia string will affects the quality of carrageenan Diseases affecting seaweeds (ice-ice) Weather inconsistency (flooding, waves) Unavailability of good quality seedlings Lack of capital and RD programmes 5.0 SEAWEED CULTIVATION The cultivation of seaweed, principally for human consumption, is a traditional and still expanding industry in the east, especially in Japan, and increasing interest is being taken in the extension of these practices to other parts of the world for industrial as well as edible purposes. With supplies from certain naturally occurring resources failing to match rising demands and many of the worlds major untapped resources of seaweeds being remotely located, difficult of access or costly to harvest, cultivated raw materials almost certainly will become of increasing significance to processors of both edible and industrial products. Plastic bottles is a method that have been used in Sabah are used to keep seaweed called Euchema Kappaphychus Alverazii afloat. Figure 4: Plastic bottle methods Most seaweeds produce an enormous number of spores and they can be multiplied extensively if culture conditions are perfected. Such conditions depend upon attention to a number of factors. Care needs to be taken with the selection of protected habitats, free from pollution, and of suitable hydrographic environments; the algae need to be protected from predatory fish, sea urchins and other pests and parasites; transplanting of the germlings has to be undertaken with extreme care and harvesting carried out in such a way as to maintain peak productivity. In effect, a full knowledge of the plants biology and reproduction is a fundamental prerequisite to successful seaweed cultivation( Mathieson, 1973). Porphyra The most extensively cultured seaweed is Porphyra, the Japanese nori. Some 60 000 to 70 000 Japanese fisherman are now cultivating nori and producing the dried edible products which are very profitably marketed through a cooperative selling system. Porphyra culture in Japan dates back to the seventeenth century and the earliest cultural practices relied upon the positioning of tree (and later bamboo) twigs to capture the spores. Subsequently, nets became widely used as collecting agents instead of twigs and Conchooelis-phase of the Porphyra life-history. This is a minutely filamentous, shell-boring stage which grows throughout the summer and which can be collected on oyster shells. In the autumn, when the temperature and light levels drop, the conchospores are liberated from the shells and attach themselves to a suitable medium (i.e., the collecting net) to grow into leafy thalli. The nets can thus be artificially seeded in tanks and then transported to the growing areas where they are attached to bamboo poles; about two months after budding the plants grow to between 15 and 20 cm in length and are then harvested. Figure 5:Porphyra sp. These and improved techniques (including freeze-drying of the thalli buds for storage) have resulted in marked increases in yields, in total output of nori and in profitability. Bardach et al. (1972) reported that in some areas up to 750 kg of nori can be obtained per hectare during the six to eight months growing season; the average production value of nori has risen from approximately U.S.$ 870 per ton in 1970 and 1971 to over U.S.$ 1 400 per ton in 1973, suggesting the possibility of gross earnings exceeding U.S.$ 1 000 per hectare. According to Suto (1974) nori farmers earn a net income rate of 60 to 70 percent, making Porphyra cultivation the most profitable of all fisheries in Japan. Undaria The brown alga Undaria or wakame, is also extensively cultured in Japan. Two main systems are used rope cultivation and stone planting. In the former method, strings of synthetic fibre are immersed in seaweed tanks with fertile Undaria weeds in the spring; enormous numbers of spores are released which adhere to the fibre. The fibres are lashed to frames and stored in tanks until late autumn when the young plants, having reached about 1 mm in length, are transferred to rafts in the sea. The wakame grows quickly in the cold winter waters and is harvested when it has reached about 1 m in length. The amount of labour in wakame cultivation is much less than in nori farming; yields of about 10 kg of wet weed per 1 m of cultivating rope can be obtained in northern areas, about a half that yield in warmer districts (Suto, 1974). Where large quantities of Undaria are already growing wild, the planting of large stones or concrete blocks on the sea bottom has been found to help the attachment of the spores and the subsequent growth of the young plants. Figure 6:Undaria sp. Laminaria Increasing amounts of Laminaria, or kombu, are also being cultivated in Japan, using similar stone planting and rope-culture techniques (MacFarlane, 1968). Laminaria culture, however, differs from the other two by the use of dynamite to improve the substrata and control harmful weeds (Wildman, 1974). Propagation of Laminaria has also been long practised in China. Druehl (1972) notes a unique Chinese method of fertilizing Laminaria through the use of porous, elongated earthenware bottles filled with nutrients and seawater which are placed, with young vegetative Laminaria plants, inside a basket-like structure made of bamboo poles and the whole suspended about 1 m below the sea surface. Figure 7:Laminaria sp. Gelidium Some artificial propagation of Gelidium and other agarophytes is practised in Japan but it has not yet been possible to control the release of spores from these species as has been done with many other algae; moreover, the spores take two years to grow and reach harvestable size. Figure 8:Gelidium sp. Eucheuma A high valued species of Eucheuma have been introduced for cultivation or experimental purpose and where commercial quantities are currently being produced for the carrageenan industry such as Fiji, Philippines, USA (Hawaii, California, Florida), Kiribati (Christmas and Tarawa Islands), Tuvalu, Samoa, Malaysia, French Antilles, Tonga, Japan, Indonesia, Federal States of Micronesia, French Polynesia, Guam, China, Maldives, Solomon Islands, Tanzania, India, Cuba, Vietnam, Brazil, Venezuela, Kenya and Madagascar. However, introduction of exotics should not be done indiscriminately as it carries the risk of pathogen invasion, parasites, epiphytes and undesirable changes in the ecosystem. Philippines is largely through the initiatives of one of the worlds largest phycocolloid manufacturers. The practical and economic feasibilities of culturing Eucheuma isiforme species in Florida have been illustrated by Dawes (1974) who considered two proposals, cultivation in natural sites (as in the Central Pacific) and in outdoor tanks. Dawes investigations indicated that tank culture would yield a much higher crop per unit area than mariculture in natural embayments. In the case of field culture, yields in the Florida Keys might average about 20 tons (4 tons dried, clean) Eucheuma per hectare but problems could arise from herbivores, storm damage and admixtures of other weeds; conversely, operating costs should be low. With controlled harvesting in culture tanks, Dawes postulated a potential yield of the equivalent of 243 tons dried, washed material per hectare; net profits, of course, must be considered in the light of tank construction, water movement costs, temperature control expenses, etc. Figure 9:Eucheuma sp. 5.1 SEAWEED CULTIVATION IN MALAYSIA Seaweed cultivation is one of Malaysias fastest growing sectors and is strongly supported by the government. In the 9th Malaysians Development Plan, Sabah was mandated by the government to produce 250,000 metric ton seaweeds yearly by 2010. Currently, the state managed to produce 40,000 to 50,000 metric ton yearly only. Singularly a Sabah product, main commercial species culture is Eucheuma cottonii. Environmental conditions around the Sabah coastline are generally favorable for culture of the species. Many of the operator there are Fillipino ancestry. Seaweed is sold as dried item. It take approximately 9 kg of seaweed to produce a kg of its dried form. Seaweed culture is low capital investment and has a fast turn over. Figure 10:Seaweed Cultivation Project (Semporna) In general according to report by DoF seaweed production still profitable from steady production volume recorded of recent (DoF, 2004a). Seaweed from Sabah is mainly for export market mainly to Denmark . Its dried form is sold directly to exporter without using any middlemen. Usually the later assists farmers by providing its aquaculture facilities hence an obligation to sell the product back. The price for a kg of dried form is about RM1.50. Of late however not many people wanted to get involved in the culture of seaweed because of better opportunities in other sectors. Beside price incentive, commercial production of it is quiet risky as the price is generally fluctuates and harvest largely depend on good sundrying condition. In addition future expend need to take into consideration of conflict with trees passing of fishing boats and promotion of tourism industry. The international market is short of supply due to only up to 30% being produced for the world market. So far, South Korea, Mexico, Philippines, China and Japan are countries producing quality seaweed being ranked 15-30 pts for world market while seaweed produced in Sabah is ranked 30-45 pts. Numerous annual production cycle. From planting till harvesting will take 45 to 60 days only. Thus volume will be substantial. Figure 11:Seaweed cultivation in Malaysia According to Barliotti and Silverthorne (1971), best period to harvest is Aug. to Nov. where agar content of the weed is at its highest, reproduction has already occurred and regeneration is at its maximum value 5.2 REQUIREMENT OF SEAWEED CULTIVATION Choosing a site Find suitable site for cultivating seaweed. A water temperature ranging form 25 Â °C to 30 Â °C is best for growing Eucheuma. Minimum water salinity required is about 28 ppt (parts per thousand) or more. Figure 12: Seaweed should not be planted in front of a river mouth or in fresh water, as fresh water will kill the seaweed. Bottom type A white sandy bottom with the presence of a limited amount of natural seaweed, is probably the best place to cultivate Eucheuma. Eucheuma will not grow very well if the bottom is covered with seagrass because of food competition. A sea bottom with hard coral formations and coral heads also a muddy sea bottom is not a good site to establish farm. BAD GOOD BAD Too many corals Nice clean sandy bottom Too many seaweeds Water movement Moderate water movement is mostly preferred to strong water current. If the water current is too strong, it can damage plants and even wash away planted lines by pulling down the stakes. It will also slow down work as it is difficult work in areas with strong swift current. A constant exchange of ocean water with the changing of the tides and sufficient water movement as the one created by waves is needed. This will bring the necessary nutrients to the plants for a healthy growth. The direction that the water current flows is important for seaweed healthy. Figure 14: Bad water flow: Seaweed farm set against water current. Strong water current can bend or even break the lines. Figure 15:Good water flow: water current flows into the farm Sunlight Clear seawater allows sunlight to penetrate more easily to the plants. Seaweed planted close to the sea surface grows faster and healthier compared to that planted close to the sea bottom or in deep water. GOOD BAD Seaweed planted in shallow water near the surface (30 to 50 centimeters) receives plenty of sunlight and its growth will be good. Seaweed planted in deep water (more than 1 meter from the sea surface) does not get enough sunlight and its growth will be poor. Water depth It is important to consider the water depth while selecting the area of cultivation. At least knee deep water at spring low tide (0.5 meter) is the minimum water depth required to cultivate Eucheuma. In shallower waters seaweed can still grow, but it might be exposed to direct sunlight and wind. As soon as your seaweed is exposed to sun and wind, the tender tips of the plants are destroyed and if exposed for a long time (2 to 3 hours), the whitening of the branches can be seen. This will indicate that part of the seaweed has been killed. Eventually branches will break and drift away from the whitened area. BAD GOOD BAD Too deep at spring low tide Sufficient water depth at spring low tide Too shallow at spring low tide Water pollution Turbid water (muddy) will not sustain good seaweed growth. Chemical pollution will kill the seaweed as in the case of most marine plants and animals. Cultivation methods There are at least 3 methods can use to cultivate seaweed such as Off-bottom (Fixed bottom method), Raft or Floating method and Longline method. Off-bottom Method Wooden stakes are driven into the sea bottom 20 to 25 centimeters apart form each other in straight rows. The stakes should be 5 to 10 centimeter in diameter and 1 or 1.5 meter long. At least 0.5 meter of the stake should be driven into the sand to make them secure. Figure 18:Seaweed line is typically suspended in the Off-bottom Method. A 3 millimeter thick polypropylene rope 5 meters long is firmly stretched between two stakes. Attached to the 3 millimeter rope (line) are 30 pieces of raffia (polypropylene strings). Each of lanting material (seed), the size of the palm of your hand (150 grams), is tied to the raffia strings. The 3 millimeter rope, is suspended at least 20 to 30 centimeters from the sea bottom to prevent the growing seaweed from being tossed on the sand and 20 to 30 centimeters below the water surface at low tide to avoid the seaweeds from being exposed to direct sun light. Direct sun light will kill the exposed parts. The raffia strings, should be 20 centimeter in length with both ends knotted to prevent fraying as shown in the previous photo. The raffia strings are firmly tied to a 3 millimeter rope in such a way that it will not move along the rope as the seaweed grows bigger, or during rough weather. Prepare the lines as quickly as possible and place them in sea water. Seed will grow better if the time of seaweed kept out of the water is limited. Tie the raffia strings to lines on shore before tie seaweed seeds to them. The off-bottom method can be prepare the lines either on shore, in the shallow water at low tide, or in punt near the farm. Raft or Floating Method In the floating method, seaweed is attached to some device that keeps the seaweed floating; rising and falling, with the tidal changes. Seaweed is keep about 50 centimeters below the water surface. The floating devise can be a simple frame made of bamboos, mangrove wood, or bush timber durable in seawater. Tie together four 2.5 meter long bamboos into a square frame and stretch 3 millimeter ropes (lines) inside the frame. In a 2.5 meter square frame, stretch up to 15 lines, 10 to 15 centimeter apart. Each line will carry 15 pieces of seaweed tied to the 3 millimeter rope with raffia. In a frame like the one described, it can plant up to 225 pieces of seaweed. In this method seaweed can be tied on shore by placing the raft on a support (oil drums or wooden posts). Figure 19: Square floating frame built with mangrove wood. The square floating frame, should be anchored to the sea bottom as shown in the figure. As the seaweed starts to grow and become heavier, the frame will sink. To avoid this, be sure to attach to the frame extra bamboos or floaters. Floaters can be simply made of styrofoam or bags filled with unhusked coconuts. Figure 20: A floating frame with additional bamboo to assure sufficient buoyancy. Longline Method The longline method is similar to the raft or floating method in several ways. In fact, seaweed is hung to a rope which is suspended by floaters. In this method, however, the main rope is thicker; about 10 to 15 millimeters in diameter. This rope is tied to plastic floaters or bamboo set at 4 to 5 meters interval and anchored at each end. The pieces of raffia holding the seaweed, can be tied to the main rope in two ways. Figure 21: Simplest way. The raffia string are directly tied to the main rope. Additional pieces of rope, 0.5 to 1 meter long, can be tied to the main line and the raffia strings can be tied to them. Seaweed has to be hung near the water surface to receive sufficient sunlight and can suspend the main line about 0.5 meter below the water surface. As described in the first two methods, the lines can be prepared on shore. Tie seaweed seeds to the main line once the line is already stretched and suspended with floaters and prepare the lines from punt as shown in the drawing below. Figure 23:Drawing of a longline being shot from a punt. What are the advantages and disadvantages among these three culture methods? Advantages Disadvantages Off-bottom Method 1. Simple to construct 1. Difficult to locate a good area 2. Easy to manage 2. You might lose your crop during rough weather 3. You can prepare your lines on shore 3. You cannot move your farm if needed 4. Do not require much money to start 4. You might find more grazer fish around your seaweed 5. You can use local wood to prepare the stakes 5. You need to construct a drying rack 6. The farm is easy to reach at low tide Raft or Floating Method 1. Can be utilized in shallow or deep waters 1. You might have difficulty finding bamboo 2. You do not need a sandy sea bottom bed 2. You need to find float materials 3. You can move your floating rafts if you need to 3. The frame might break or sink during rough weather 4. Most of the planting can be done on shore 4. The frame can be damaged by motor-driven boats 5. You do not need to construct a drying rack 5. You might need somebody to help you to handle the frame 6. You can use local wood to construct your frame 7. The seaweed seems to grow faster Longline Method 1. You can set your longline almost anywhere 1. The ropes are costly 2. The seaweed seems to grow faster 2. Planting and harvesting cannot be easily done on shore 3. You can move the longline to another area 3. You need to buy expensive floaters 4. The longline can be damaged by motor-driven boats Handling seaweeds Cover seaweed with tarpaulin or coconut leaves. Use styrofoam boxes to transport your seaweed. In this case, make a few holes on the upper edges of the box to facilitate aeration. Remember to keep the seaweed moist. Do not fill the box with seawater as this will make the seaweed rot rapidly unless the sea water is constantly circulated. Seaweed farmers pouring seawater over a jute bag and a styrofoam box filled with seaweed. Keep the seeds covered to protect them from direct sunlight. Pour some seawater over them at regular intervals. Preparing the lines from your punt, might take several hours and if not covered and kept moist, the seaweed seeds will be spoiled. Disease and predators During December to April, seaweed is more susceptible to diseases and is readily harmed by grazers. Also during this period, the growth of Eucheuma slows down and cyclones and bad weather may cause some damage to your farm. Drying in this period can also be difficult, as it is the wet season in Fiji. As frequently observed, rabbit and puffer fish are the main seaweed grazers. In addition to these, sea urchins and sea turtles are also often seen damaging the seaweed plants. After the warmer months, the rabbit fish grazing becomes a minor problem. In fact, rabbit fish move away from the seaweed. It is always a good idea to set your farm far away from coral heads, since these fishes normally live around the corals and move out to graze on seaweed. Do not leave rubbish (tins, unused stakes, bits of wood, etc.) as these make a very good home for rabbit fish. Whitened areas are more exposed to fungal infection. Especially during the warmer months, fungal infection can spread quite rapidly and the seaweed plants show large portions of discolored branches commonly seen as white and pink areas. Ice Ice is the common term used to describe seaweed plants in this condition. Weather Apart from occasional bad weather (rough sea and heavy rain), the effect of cyclones occurring during the summer months can be devastating. If a cyclone season is expected, harvest as much seaweed as you can and keep it on shore protected from wind and rain. Put aside sufficient seaweed to allow you to re-start farming after the cyclone has passed by. Remember to keep this seaweed in bags moist with seawater at all times. That seaweed will be your re-planting material. If seaweed is kept small during this period, and not allowed to become over-mature, little damage is expected. Decide to harvest after 4 or 5 weeks of growth instead of waiting for 6 or 8 weeks. Experience after going through several cyclones suggest that this strategy could limit your damage. Also, be sure that stakes are firmly erected otherwise the strong water currents and swells during cyclones might wash away your effort. After the cyclone has gone through, tangled lines should be entangled and secured again. Badly damaged seaweed should be completely removed and replaced with new seeds. 6.0 MANAGEMENT AND CONSERVATION OF SEAWEEDS In the case of already heavily exploited resources, future potential has also to be considered in the light of the growing need, in some important cases, for management and protection. Some commentators (including Stanford, the discoverer of algin acid, as lo

Friday, October 25, 2019

The Devils Backbone Essay -- essays research papers

During the Spanish Civil War, an orphaned 10-year-old boy, Carlos (Fernando Tielve), arrives at the Santa Lucia School, where he's taken in by the headmistress (Marisa Paredes). Over time, Carlos comes to realize that the school has some creepy secrets, including a sighing ghost. Starring Eduardo Noriega, Marisa Paredes, Federico Luppi, Inigo Garces, Fernando Tielve, Irene Visedo Directed by Guillermo del Toro Written by Guillermo del Toro, Antonio Trashorras, David Muà ±oz Studio Sony Pictures Classics During the Spanish Civil War, an orphaned 10-year-old boy, Carlos (Fernando Tielve), arrives at the Santa Lucia School, where he's taken in by the headmistress (Marisa Paredes). Over time, Carlos comes to realize that the school has some creepy secrets, including a sighing ghost. Starring Eduardo Noriega, Marisa Paredes, Federico Luppi, Inigo Garces, Fernando Tielve, Irene Visedo Directed by Guillermo del Toro Written by Guillermo del Toro, Antonio Trashorras, David Muà ±oz Studio Sony Pictures Classics Genre Horror, Drama Release Date November 21, 2001 (NY); expands nationwide at a later date MPAA Rating R - for violence and some sexuality Running Time 106 minutes Filming Location(s) Madrid Web Sites Official Site Official Spanish Site 10/08/01 Director del Toro is also attached to Blade 2: Bloodhunt and the comic book adaptation Hellboy. (Upcoming Movies) POSITIVE SOURCE RATING THE GIST Cranky Critic $5 †¦ a very cool ghost story, with a couple o...

Thursday, October 24, 2019

1 Corinthians 13 What Is Love Essay

The Excellence of Love (1 Corinthians 13)1 If I speak with the tongues of men and of angels, but do not have love, I have become a noisy gong or a clanging cymbal. 2If I have the gift of prophecy, and know all mysteries and all knowledge; and if I have all faith, so as to remove mountains, but do not have love, I am nothing. 3 And if I give all my possessions to feed the poor, and if I surrender my body to be burned, but do not have love, it profits me nothing. 4 Love is patient, love is kind and is not jealous; love does not brag and is not arrogant, 5 does not act unbecomingly; it does not seek its own, is not provoked, does not take into account a wrong suffered, 6 does not rejoice in unrighteousness, but rejoices with the truth; 7 bears all things, believes all things, hopes all things, endures all things. 8 Love never fails; but if there are gifts of prophecy, they will be done away; if there are tongues, they will cease; if there is knowledge, it will be done away. 9 For we know in part and we prophesy in part; 10 but when the perfect comes, the partial will be done away. 11 When I was a child, I used to speak like a child, think like a child, reason like a child; when I became a man, I did away with childish things. 12 For now we see in a mirror dimly, but then face to face; now I know in part, but then I will know fully just as I also have been fully known. 13 But now faith, hope, love, abide these three; but the greatest of these is love.

Wednesday, October 23, 2019

The Crucible vs Real Life

The Salem Witch Trials were an extremely controversial period of time in our history. This was a time of suspicion and accusation of many innocent women and men that led to hysteria and complete turmoil in Salem Village. The Crucible portrays the Salem Witch Trials in a dramatic sense, but there are many similarities between the movie and the actual events. We can use these unusual events to compare to our own lives and learn from the mistakes of our past. I’ve found that although many differences are displayed between the movie and the actual events, the overall theme of The Crucible was accurate.One of the differences was the relationship between John Proctor and Abigail Williams. In the movie, their relationship had a much more intimate history than what actually occurred. They portrayed the pair to have had romantic relations, which created a very large shift in the plot of the movie. In real life, Proctor and Williams had no connection other than living in the same town b efore the witch trials. Also, another major difference was the character of Giles Corey. In the movie, he was pressed to death because he wouldn’t give up a name.In the actual events, Giles survived, but he was excommunicated from the church. He was very against the hangings that occurred, however, his name was re-entered onto the church scrolls in later years. The first similarity I noticed was the character of Reverend Hale. In the beginning, all he wanted was to use his church authority to help the people, but after the events got out of hand, he wanted nothing to do with the Salem Witch Trials. He was a large supporter of John Proctor. Another similarity was that all of this hysteria began in the home of Mr.Samuel Parris, involving his daughters and their friends after incidents of witchcraft in the woods. Arthur Miller, the director of The Crucible, used an â€Å"artistic license† to dramatize the events, and to make the overall movie more interesting to the viewe rs. Some may find this tactic unjust, however, I find that the changes he made didn’t display an inaccurate version of the Salem Witch Trials. The largest change that he made to the story was the love connection between Abigail Williams and John Proctor, and although that was untrue to theactual events, I found that it gave the movie an interesting twist. Besides the few differences, Miller stayed along the lines of the true story when it came to the actual hangings, character significances, and the tale of how the hysteria truly began along with who was primarily involved. When comparing the similarities and differences, numerous situations exist where the movie was spot on with the trials in 1692. Although there are significant differences, I believe that this did not take away from the historical facts, and that Miller properly used his artistic license.The severe lies and accusations which occurred in Salem during these trials appear so extreme that it would be impossible to compare to life today. However, recurrently in our modern day, it seems that some still haven’t learned from the mistakes of the past. Although not as severe as the hangings and false accusations that were shown in the witch trials in Salem, Massachusetts, the â€Å"breaking of charity† still proves to destroy friendships and relationships today. An example of this kind of situation could be a jealous friend starting a nasty rumour.Although it may seem harmless at first, the wildfire of gossip can travel even quicker the friend could imagine. If enough people believe and continue to spread the lie, this person could potentially lose many friends and have a lasting effect on their life, causing sadness and unjust treatment. Not to mention, the relationship between the victim and the rumour-starter would be severed until the situation is fully dissolved. Despite the fact that occurrences of this today rarely lead to death or the destruction of a close-knit town, the repercussions of lies can take a harsh effect on relationships to many people.In conclusion, the details of the actual Salem Trials and the movie The Crucible have many similarities and differences that are portrayed throughout history. I believe that Miller’s use of an â€Å"artistic license† is justifiable, and also think that the events of the witch trials can even compare to situations in life today. It’s possible to learn many lessons from this severe religious type of control, and many different opinions are portrayed throughout both the movie and the actual happenings.

Tuesday, October 22, 2019

Free Essays on A Crude Portrayal of the World

A Crude Portrayal of the World: By Flannery O’Connor Flannery O’Connor wanted her readers to see that the world was filled with ethical, physical, and emotional violence. These very ideas can been seen in her work, â€Å"A Good Man Is Hard To Find†. One common topic on the piece was the constant use of violence and over rated imagery. O’Connor applied hostility to demonstrate how the destructive impulse brings the horror of man’s grotesque state home to him. (Muller 1460). Her use of the vivid imagery set the moral themes for her work. O’Connor wanted her readers to see the world for what it truly was. O’Connor used violence to force her readers in confronting the problem of evil. The destructive acts showed a world that had both spiritual and physical warfare. Muller examined that when he stated,â€Å"When violence appears in the grotesque, it is used to suggest the lack of any framework or order in the universe; it reinforces the grotesque by working against the ideals of social and moral order to create an alienated perspective.† (1460) In the book, â€Å"A Good Man Is Hard To Find†, the Misfit knew what he was doing and that it was wrong. But the murder was committed anyway. After the son was shot the grandmother said, â€Å"If you would pray, Jesus would help you.† The Misfit said, â€Å"That’s right.† (O’Connor 1451) He had already made up his mind that it was too late for anyone to help him. Evil had taken him over and the Misfit began the process of alienating himself from the rest of the world. His grandmother’s advice was left behind. O’Connor also used hostile and loud imagery to foreshadow the climax. For example, in the beginning, crime, violence, and death are mentioned. That very approach used by O’Connor helped push start the build up of the climax and it mentally prepared the reader for the violent ending. O’Connor used scary landscape as well to turn her characters secure world into ... Free Essays on A Crude Portrayal of the World Free Essays on A Crude Portrayal of the World A Crude Portrayal of the World: By Flannery O’Connor Flannery O’Connor wanted her readers to see that the world was filled with ethical, physical, and emotional violence. These very ideas can been seen in her work, â€Å"A Good Man Is Hard To Find†. One common topic on the piece was the constant use of violence and over rated imagery. O’Connor applied hostility to demonstrate how the destructive impulse brings the horror of man’s grotesque state home to him. (Muller 1460). Her use of the vivid imagery set the moral themes for her work. O’Connor wanted her readers to see the world for what it truly was. O’Connor used violence to force her readers in confronting the problem of evil. The destructive acts showed a world that had both spiritual and physical warfare. Muller examined that when he stated,â€Å"When violence appears in the grotesque, it is used to suggest the lack of any framework or order in the universe; it reinforces the grotesque by working against the ideals of social and moral order to create an alienated perspective.† (1460) In the book, â€Å"A Good Man Is Hard To Find†, the Misfit knew what he was doing and that it was wrong. But the murder was committed anyway. After the son was shot the grandmother said, â€Å"If you would pray, Jesus would help you.† The Misfit said, â€Å"That’s right.† (O’Connor 1451) He had already made up his mind that it was too late for anyone to help him. Evil had taken him over and the Misfit began the process of alienating himself from the rest of the world. His grandmother’s advice was left behind. O’Connor also used hostile and loud imagery to foreshadow the climax. For example, in the beginning, crime, violence, and death are mentioned. That very approach used by O’Connor helped push start the build up of the climax and it mentally prepared the reader for the violent ending. O’Connor used scary landscape as well to turn her characters secure world into ...

Monday, October 21, 2019

Disraelian Conservatism essays

Disraelian Conservatism essays "The objective of establishing the Conservative Party as a party of government explains most the actions of Disraeli in passing the 1867 Reform Act" [Robert Blake' an academic historian specialist in the history of the conservative party, The History of the Conservative Party from Peel to Thatcher (1985)] How valid is this interpretation of Disraelian Conservatism? Robert Blake is stating that the desire to make the conservative party the majority party in the House of Commons was the main reason that Disraeli passed the 1867 Reform Act. I do not agree with Blake that the passing of the 1867 Reform Bill by Disraeli was an attempt to secure a majority vote for the conservative party. Benjamin Disraeli did not propose the 1867 Reform Act to simply earn a few votes and secure the majority in the House of Commons. He proposed it due to his own personal convictions and morals. Disraeli was a progressive Tory and advocated triennial parliaments and the secret ballot. Previously to the 1867 reform act proposal, Disraeli was sympathetic to the demands of the Chartists who wanted further reform to the Political system, and in one speech argued that the "rights of labour were as sacred as the rights of property". In 1842 Disraeli helped to form the Young England group. Disraeli and members of his group argued that the middle class now had too much political power and advocated an alliance between the aristocracy and the working class. Disraeli suggested that the aristocracy should use their power to help protect the poor. This political philosophy was expressed in Disraeli's novels, Coningsby (1844), Sybil (1845) and Tancred (1847). In these books the leading characters show concern about poverty and the injustice of the parliamentary system. Disraeli was appointed as Chancellor of the Exchequer. He also became leader of the House of Commons and was responsible for the introduction of measures to refo ...

Sunday, October 20, 2019

Understanding Arrays in PHP

Understanding Arrays in PHP An array is a systemic arrangement of objects. Hum, what does this mean? Well in programming an array is a type of data structure. Each array can hold several pieces of information. It’s sort of like a variable in that it stores data, but not at all like a variable in that instead of storing one bit of information it can store many pieces of information. Let’s start with an example. Let’s say that you are storing information about people. You could have a variable that stored my name â€Å"Angela†. But in an array, you could store my name, my age, my height, my In this sample code, we will look at storing two bits of information at a time, the first being somebody’s name and the second being their favorite color. ?php $friend[0] Kevin; $friend[1] Bradley†; $friend[2] Alexa; $friend[3] Devin; $color[Kevin] â€Å"Teal†; $color[Bradley] â€Å"Red†; $color[Alexa] â€Å"Pink†; $color[Devin] â€Å"Red†; print My friends names are . $friend[0] . , . $friend[1] . , . $friend[2] . , and . $friend[3]; print p; print Alexa ‘s favorite color is . $color[Alexa] . .; ? In this example code, you can see that the friend array is sorted by number, and contains a list of friends. In the second array, color, instead of using numbers it uses strings to identify the different bits of information. The identifier used to retrieve data from the array is called it’s key. In our first example, the keys were integers 0, 1, 2, and 3. In our second example, the keys were strings. In both cases, we are able to access the data held in the array by using both the array’s name, and the key. Like variables, arrays always start with a dollar sign ($array) and they are case sensitive. They can not start with an underscore or a number, you must start them with a letter. So, to put it simply, an array is kind of like a variable with lots of little variables inside of it. But what exactly do you do with an array? And how is it useful to you as a PHP programmer? In practice, you will probably never create an array like the one in the example above. The most useful thing you can do with an array in PHP is to use it to hold information you get form somewhere else. Having your websites information stored in an MySQL database is not uncommon. When your website needs certain information it simply accesses your database, and wha-laa, on demand data. Let’s say you have a database of people who live in your city. You now want to search that database and print out records for anyone named â€Å"Tom†. How would you go about doing this? You would read through the database for people named Tom, and then pull their name and all the other information about them from the database, and place it in an array inside of your program. You are then able to cycle through this array, and print out the information or store it to use elsewhere in your program. On the surface, an array might not look that interesting to you, but when you do more programming and start storing more complex data structures you will find you are often writing them to arrays when they need to be used.

Saturday, October 19, 2019

Currency Exchange Rate Essay Example | Topics and Well Written Essays - 3750 words

Currency Exchange Rate - Essay Example The exchange rate of a currency is: is fixed, i.e. constant relative to a base currency (usually the US dollar or the euro), by decision of the State issuing that currency. The rate then can only be modified by a decision of devaluation (or revaluation) of that State. A State may not, however, decide to adopt any exchange rate of its currency. If this exchange rate fixed at too high or too low, the exchange rate will be "attacked" in the foreign exchange market. If the monetary authorities are unable to cope (with their foreign exchange reserves), they will change their parity; is floating and determined for each transaction by the balance between supply and demand in the foreign exchange markets. This is an interbank market worldwide currencies, less centralized on specific places of quotation and trade, as based on computer links between banks. The exchange rate is: or a spot price, that is to say "spot" for immediate purchases and sales of foreign currency. In general, the currenc y delivery time is 2 working days during the working days and it may exceed that period if the delivery must be made during the holidays; either a course forward, that is to say "Forward", to exchange transactions at a future due date (the delivery is not made immediately). The mission is to manage risk. It is an agreement to fix today the price at which it will buy / sell currency futures.Exchange rates vary widely during the same day, these variations cannot be explained by the theory of purchasing power parity (PPP).

Friday, October 18, 2019

Web Based Health Information Analysis Essay Example | Topics and Well Written Essays - 500 words

Web Based Health Information Analysis - Essay Example The HON criteria include privacy, transparency, attribution and authority (http://www.hon.ch/HONcode/Conduct.html). This health website has no privacy because anyone can easily access it including young children and this is against the HON criteria as it is risky for underage children without proper preparation. The site hides no information from the general public and hence can be considered to be transparent in its own way and according to the criteria set by HON. As far as the website is concerned, there is no attribution whatsoever and thus the credentials of the website are questionable. It has many followers because it is easily accessible and hence has a bit of authority as far as online health information is concerned. This website therefore has not fulfilled all the criterion requirements that are stipulated by HON’s code of conduct for health websites and therefore something should be done about that because it is not helpful to the public who do not have any idea whether the website meets the criteria or not (Larson, 2011). Even though this epilepsy website does not fulfill all the stipulated criteria of HON, the much it has not fulfilled can be worked on quickly and hence have it included in the patient teaching program as a resource since this website compared to other epilepsy website contains much more information and fulfills most of the criteria put out by HON to health websites (Cullen, 2006). The inclusion in the patient teaching program will however depend on the website owners and whether or not they are willing to fulfill the unfulfilled HON criteria and do it as soon as possible. If they agree, then it can be included but if they don’t, then doubts will be raised whether it really qualifies or

Research Proposal Assignment Example | Topics and Well Written Essays - 750 words

Research Proposal - Assignment Example Why the difference in that, because logically as the millers make profit the farmers should also enjoy from the profit. Does it mean that the millers are behind the rise in the poverty level of the farmers or the farmers are the source to there poverty. The millers should always be in support of the farmers, this is because farmers need to be motivated to increase the amount off the cane production and this intern will lead to the millers’ increment in production. If the farmers are demoralized, they my opt for production of other food staffs hence may lead to the collapse of the sugar industries due to lack of raw material for production. The third argument is that the poverty experienced in the sugarcane farmers maybe as a result of the poor cane production skills (Evenson and Pingali, 2009). Due to these, farmers may use huge amount of capital for sugarcane production but having little return during the harvesting, hence need to reduce the cost of cane production. However for this to be achieved, the need for the farmers and millers working together is very important which in most cases is not easy as millers are only determined in maximizing on the profit and not concerned of the wellbeing of the farmers. The Kenyan government should deploy extension officers at various regions in the sugar belt who should have an initiative of giving farmers the skills in sugarcane management and production. This may improve the quality and quantity of the cane being produced in the region hence intern reducing the poverty level of the sugarcane farmers. One argument that is to be analyzed in this research topic is the issue whether the millers should also be concerned with the wellbeing of the sugarcane farmers or just concentrate on profit maximization in the expenses of the farmers. It is always advisable that the millers should treat the farmers with grate importance as this will determine the amount of profit they make.

The Rise of Eco-Art and Its Effects on Political and Social Issues Essay

The Rise of Eco-Art and Its Effects on Political and Social Issues - Essay Example It will not be incorrect to mention that environment art has allowed people of contemporary societies to go back in time and understand the ways in which civilizations have been able to make use of the ecosystem. The trend of environment art has evolved during the late 1960s. This was the era when ecosystem and the consequences of pollution were being noted by people at best (Kastner, 2010). People were more concerned about their environment which they were contributing to ever since. Better and newer understanding was being undertaken by different institutions of the societies allowing the ecological theory to evolve by large. Since the theoretical grounds of the environmental study were being made vast, it included field work as well challenging spaces. It was this era that created environment studies as a very vibrant set of theories. As a result, a movement also evolved which took every aspect of society in its fold. Understanding the role of environment art on the social and pol itical world is a two-way process. Let alone environment art has evolved through the transitions noted in political and social ways of people. The environment has been greatly incorporated by the discipline of art allowing people to understand the ways in which man has been contributing to the environment. In particular, the different forms of eco-art include land art, art in nature etc. With the transition in the field of eco-art, it has been noted that acoustics, ecology, and bio-art has taken a greater stance in developing the theoretical implication of environment (Eco, 2012). The trend of eco-art has evolved to the extent where different universities have been involved in giving out finding for undertaking environment related projects. Students enrolled in this discipline have turned out to be effective artists and theorists. Great artists have come up with eco-art which has not just affected the lifestyle of people by the ways in which different natural objects have been consu med over the years. To count some, artists from southwest America has shown great potential over the years (Kastner, 2010). Desert landscapes have been used as one of the mediums by eco-art artists to understand sun and astronomical as tools of disseminating nature. Nancy Holt has been the vibrant among many American eco-art designers of all time (Carson, 2002). The trend of eco-art has not just included a newer section in the library with provocative theories but allowed civic forums where different people have come up with different concerns shown or expressed through modern way of eco-art. The artists involved in eco-art have enabled internet platform to diverge greater sense of awareness regarding eco-art among common people. This has made people to follow the movement of environment which was enhanced by the consumption and contribution made by eco-art (Barlow, et al., 1983). Impact on Social and Political World: It is of great significance to note that eco-art has enabled chan ge in lifestyle for everyone. At one point where eco-art has contributed in

Thursday, October 17, 2019

Basilica di santa maria del fiore Research Paper

Basilica di santa maria del fiore - Research Paper Example The cathedral complex is composed of the basilica, the baptistery and Giotto’s Campanile. The basilica was regarded as Italy’s largest church and the dome is deemed as the world’s largest brick dome ever constructed. Although the church still serves as a whole, history of its construction is still ambiguous. Plan and structure, dome, facade, and gothic elements are the main points that hold the crucial evidences of medieval architecture. Thesis To analyze the development of urbanism, Christianity, and power in the Early Modern Florence City after the crumbling of the Roman Empire in the sixth century, leading to the construction of the Basilica di Santa Maria del Fiore. Bibliography Florence: The Biography of City. Hibbert, Christopher. New York: W.W. Norton & Company Inc., 1993. This book will help me with in-depth insight into the transition of Florence as symbol of wealth and power among other the Tuscan communities in the medieval era. The Gothic Cathederal C hristopher Wilson April 1, 2005 | ISBN-10: 0500276811 | ISBN-13: 978-0500276815 | Edition: 2nd Revised This book will allow me to study the gothic elements in the church and, if necessary, compare it to other significant churches. A Presentation Drawing for the Facade of Santa Maria del Fiore, Florence Mary L. ... New York: William Morrow, c2002. xv, 269 p., [8] p. of plates : ill. ; 24 cm. Achieving great success by engineering the biggest brick dome in the entire world, Brunelleschi is considered as a pivotal architect who has changed and challenged the art world ever since. This evidence will help be praise Brunelleschi with his magnificent work. Arnolfo's S. Maria del Fiore: A Working Hypothesis Franklin Toker Journal of the Society of Architectural Historians, Vol. 42, No. 2 (May, 1983), pp. 101-120 I will be using this source despite its focus on the engineering part of architecture, because Toker is a major scholar of this building. Trachtenberg, Marvin. Dominion of the Eye: Urbanism, Art, and Power in Early Modern Florence, Cambridge, 1997. I will use this book because it focuses on the urban transformation of Florence in the 14th century which is a hypothetical subject of this paper. Introduction Since the emergence of architectural designs practices long before Santa Maria del Fiore was constructed, the design and construction of buildings, has always relied on the ability of an architect to graphically visualize and present their ideas using a variety of different media. Architects formulate and refine spatial, artistic, and functional concepts through drawings, sketches, and models, whereby they rely on their personal artistic skills and preferences to accomplish this (Myers 7). Around the period when the Duomo was constructed, new architectural advances were being invented as is true of the advanced structure and interior design of the building. This advancement in arts and architecture was to revolutionize the world of architecture (Hibbert 66). Brunelleschi’s work in Santa Maria del Fiore liberated architecture from the technological and aesthetic

Legal Perspectives Essay Example | Topics and Well Written Essays - 1000 words

Legal Perspectives - Essay Example Under the doctrine, original owners retain ownership interest, although the salvage is entitled to a very liberal salvage award. However, when property is abandoned, the way the plane was in this situation, the owner gives up the reasonable expectation of privacy concerning it. The finder of abandoned property is entitled to keep it, and a police officer may take possession of abandoned property as evidence without violating the Fourth Amendment to the U.S. Constitution. As deciding factor Federal law may have been given the monopoly on a subject preempting the state laws, when the federal court must try the case, it will apply the laws of the state where the controversy happened. Do you think that Mr. Champlin should have consulted with the Navy before spending his time and money on this project Should he (or the general public for that matter) have known about this special rule regarding federal property Consider whether there should be a time limit or statute of limitations regarding the forfeiture or non-forfeiture of title. Also, consider whether property should be considered lost or abandoned by the failure to protect or attempt recovery of the property. Mr. Champlin should have consulted with the Navy first. If he had taken the proper steps in notifying the Navy of what he was doing, he might have had more rights to fight the Navy. If the Government would ensure the public knew about the rules of federal property, perhaps this might not have even been a case. A time statute should be in effect. If you look at the Estray Statues it says many states have enacted estray statues that give a finder of mislaid of lost property clear title to the property if certain requirements are met. The requirements are 1. Reporting the find to an appropriate government agency 2. Advertising the lost property 3. The owner not claiming the property within a stated time (e.g., one year). The finder acquires title to the property and is thereafter not required to return the property if the rightful owner appears to claim it (Cheeseman, 2003 pg 918). Since there are special rules that apply to federal property maybe this statues wouldn't have helped him. However, if he and the public were aware of the special rules he might have reconsidered doing the project in the first place. I think there should be a time limit regarding forfeiture or non-forfeiture of title. If the owner doesn't claim the property in a certain amount of time th

Wednesday, October 16, 2019

Basilica di santa maria del fiore Research Paper

Basilica di santa maria del fiore - Research Paper Example The cathedral complex is composed of the basilica, the baptistery and Giotto’s Campanile. The basilica was regarded as Italy’s largest church and the dome is deemed as the world’s largest brick dome ever constructed. Although the church still serves as a whole, history of its construction is still ambiguous. Plan and structure, dome, facade, and gothic elements are the main points that hold the crucial evidences of medieval architecture. Thesis To analyze the development of urbanism, Christianity, and power in the Early Modern Florence City after the crumbling of the Roman Empire in the sixth century, leading to the construction of the Basilica di Santa Maria del Fiore. Bibliography Florence: The Biography of City. Hibbert, Christopher. New York: W.W. Norton & Company Inc., 1993. This book will help me with in-depth insight into the transition of Florence as symbol of wealth and power among other the Tuscan communities in the medieval era. The Gothic Cathederal C hristopher Wilson April 1, 2005 | ISBN-10: 0500276811 | ISBN-13: 978-0500276815 | Edition: 2nd Revised This book will allow me to study the gothic elements in the church and, if necessary, compare it to other significant churches. A Presentation Drawing for the Facade of Santa Maria del Fiore, Florence Mary L. ... New York: William Morrow, c2002. xv, 269 p., [8] p. of plates : ill. ; 24 cm. Achieving great success by engineering the biggest brick dome in the entire world, Brunelleschi is considered as a pivotal architect who has changed and challenged the art world ever since. This evidence will help be praise Brunelleschi with his magnificent work. Arnolfo's S. Maria del Fiore: A Working Hypothesis Franklin Toker Journal of the Society of Architectural Historians, Vol. 42, No. 2 (May, 1983), pp. 101-120 I will be using this source despite its focus on the engineering part of architecture, because Toker is a major scholar of this building. Trachtenberg, Marvin. Dominion of the Eye: Urbanism, Art, and Power in Early Modern Florence, Cambridge, 1997. I will use this book because it focuses on the urban transformation of Florence in the 14th century which is a hypothetical subject of this paper. Introduction Since the emergence of architectural designs practices long before Santa Maria del Fiore was constructed, the design and construction of buildings, has always relied on the ability of an architect to graphically visualize and present their ideas using a variety of different media. Architects formulate and refine spatial, artistic, and functional concepts through drawings, sketches, and models, whereby they rely on their personal artistic skills and preferences to accomplish this (Myers 7). Around the period when the Duomo was constructed, new architectural advances were being invented as is true of the advanced structure and interior design of the building. This advancement in arts and architecture was to revolutionize the world of architecture (Hibbert 66). Brunelleschi’s work in Santa Maria del Fiore liberated architecture from the technological and aesthetic

Tuesday, October 15, 2019

The New England Aquarium Case Study Example | Topics and Well Written Essays - 750 words

The New England Aquarium - Case Study Example The Aquarium has a multi-year diverse plan, which explains where we are at the moment, as well as acknowledges the successes we can use. It also recommends what we should do in order to make the institution become more inclusive and diverse in intended areas and better-equipped to serve and reach the diverse community. In this memorandum, I will provide a political and symbolic frame analysis of the case study, Diversity Programs at the New England Aquarium from the point of views of the COO, Cynthia Mackey. Additionally, I will also analyze the whole organization in frames, as well as three political recommendations and three symbolic recommendations that Cynthia can implement, discussing possible ramifications of the actions. The aquarium has tried formulating policies with the aim of making it an institution that attracts the broadest audience as possible. These efforts began in one side of the aquarium, the education department to try bring different people into its folds. These kinds of initiatives were funded by the government, in which it focused on bringing together adolescents to participate in the available youth programs, in addition to being paid. The youth programs were successful but were disruptive within the institution because of the longstanding assumptions and practices that clashed with expectations and needs of other people. With such feelings running high, Cynthia Mackey who is the department senior understood the crisis and therefore, sought to find ways to resolve the tensions. The New England Aquarium should engage the broadest constituency in its efforts to protect the aquarium or rather the blue planet. A work force which is diverse should provide skill; perspectives and experiences which will enrich the available programs in the institution, add creativity, enhance the working environment and strengthen their problem solving skills. If a diverse workforce is implemented, the community will stop regarding the institution as a preserve for wealthy families because every culture will be implemented. Additionally, when a diverse community comes together, they bring in new ideas, skills and experiences, and therefore, the institution will benefit from the diverse ideas from each community. Additionally, if a broadest constituency is engaged in the preservation of the blue planet, the institution will be well represented as well as benefit from a broad perspective of each community represented. When different people, with different ideas work together, they are able to make good decisions based on each represented culture within the institution. Therefore, representatives of each communi ty will represent each culture and as a result, the aquarium will be attracting everyone as its mission statement states. Additionally, as it name suggests, Diversity Programs at the New England Aquarium is an international community aquarium and therefore, coming up with a diverse workforce, will help the institution to work together towards the pursuit of a common vision and ideal. International community comes in all sizes and shapes, and therefore, they will represent an amazing diverse people in their values, in terms of economic, social, political, ecological as well as spiritual. The Aquarium opened its doors in 1969, and constructed the very first successful modern day aquarium. Its designs are innovative and the giant ocean tank

Monday, October 14, 2019

A Report On Managing Across Cultures Management Essay

A Report On Managing Across Cultures Management Essay The new wave of internationalisation and globalisation demands that businesses operate across the globe promoting the exchange of trade investment emigrations and the like. To remain competitive businesses must be equipped to operate across the globe which invariably means across different cultures. Consequently, adequate measures creating the right environment to conduct business successfully across the different cultures of the world in this new age is definitely imperative. The following report briefly attempts to address these recurrent inadequacies that often derail lucrative global business endeavours by trying to highlight a simple structure of initial planning, followed up by proper positioning and the final execution that can serve to assist in the management of the people that are the driving force that engineer businesses across the different cultures of the world. The methodology employed in collating this report from introduction to conclusion was via research into provided materials to decipher the required data and information that could allow the required findings emerge to shed light on more information on managing across cultures with a view contribute to this predominate predicament. INTRODUCTION Managing, it can be stated, is simply the process of directing, organising or controlling in a desired way, while culture, in very broad term is the way of life of people characterized by, amongst others things, their behaviour, beliefs and traits. The aim of this report on à ¢Ã¢â€š ¬Ã…“Managing Across Culturesà ¢Ã¢â€š ¬Ã‚  is to identify and explain some best practices that can be applied by managers in business when managing cross-cultural staff. It is by no means an exhaustive account of all the practices that can be applied when dealing with cross-cultural staff. The term cross-cultural staffs, simply implies staff that come from different cultural backgrounds. In this report three key stages will be used to signify the vital processes required in managing across cultures. These stages are as follows: (1) Innovation, (2) Preparation and (3) Implementation. These stages follow each other sequentially in the management of cross cultural staff and there is an attempt to show a correlation between all three stages whilst discussing the guiding principles involved in each stage. The research is sourced from renowned online academic books, journals, blogs and newspaper articles provided by the resident librarian at the university of Bedfordshire Luton park square campus Peter Godwin. Finally due to adherence to strict word limitation set for the report the explanations at each stage of the key guiding principles and application of given theories are reasonably concise but still effective. FINDINGS 1. Innovation The original convention that all management ideas and principles being generated from the core albeit suggestions from all other parts that make up the entire management chain is now proving less tenable when it comes to managing cross cultural staff successfully. Morden day practices now call for contributions from different parts of the management chain to put together ideologies that will apply adequately to cross cultural staff. There are two forms of management ideologies: Cultural control and Bureaucratic control, practiced by multinational businesses that manage cross cultural staff on a regular basis, with the cultural control being more successful than the bureaucratic control (Berry et al, p. 381). The former, on the one hand, involves the use of trained managers sent from the headquarters of the business to different locations to manage staff with policies modified to suit the local cultures of these locations. A good illustration of this managing ideology is presenting the text of company policy in the local language or languages where the company is located. For example, an English or American multinational company located in France will present the text of the company policy and all other correspondence to staff in French language though the original communiquÃÆ' © to the manager may be sent in English language. The latter, on the other hand, involves issuing guidelines for all aspect of staff a ctivities from the headquarters to all the branches of the business at different locations where managers are expected to manage staff with policies based on these guidelines. However, it should be noted that from surveys conducted, although the bureaucratic control model is more cost effective than the cultural control model in the short term, the latter will stand the company in good stead in terms of productivity, profits and staffs turn over in the long term (Berry et al, p. 381). There are other management ideologies that stem from propositions of convergence, divergence and the culture specific theories (Vecchi and Brennan 2009, p. 151). The convergence proposition supports the position that in a global age managers of cross-cultural staff adopt successful practices of their colleagues that manage other cross cultural staff to attain a high level of quality management, a practice that will work positively for cross cultural management in conjunction with the cultural control pattern of management. The divergent proposition that stands negatively against cross cultural management being more akin to bureaucratic control pattern seeks to support the position that maintaining one basic national management practice as prescribed from the central controlling body thereby disregarding the inputs of local cultures. The culture specific proposition serves to illustrate the significant influence of culture on management practices when managing cross-cultural staff. When this proposition is applied using Geert Hofstede (1980) five cultural dimensions as a comparative index, it is revealed that managers are able to appreciate the different responses of cross cultural staff based on the nature of the cultural frame work that could be either power distance, individualist, masculine, uncertainty avoidance or long term orientation. Accordingly, based on the above principle an analogy of staff from a culture with a comparatively higher power distance index may share a less cordial relationship with the manager than staff from lower levels of this cultural dimension (Vecchi and Brennan p.151). Staff from an individualist culture may tend to work better alone on most tasks while those from collectivist cultures may tend to perform better in a group. Masculine cultures may produce staffs that are target focused while feminine cultures may produce staffs that are customer centred. Those from cultures with high uncertainty avoidance will tend to be more emotional and structured in their actions while those from low uncertainty avoidance may tend to be more spontaneous and adapt quickly to change. The staff from cultures with long term orientation may tend to be tenacious and prudent while those from short term orientation may tend to be more retentive of habitual values and commitments. 2. Preparation The preparation process that is borne out of the management innovations comprises of cross cultural training. This practice follows naturally as the second step when operating a management ideology of cultural control with a convergence type attitude taking cognisance of the cultural framework of your cross cultural staff. The training is required for every employee to prepare them for their future cross cultural environments. The training of the staff can be conducted through a computer based interactive programme that each staff is mandated to take individually, a successful scheme that Accenture have conducted with relative success (Murray, 1985). Also, the training can take the form of re-enactments of actual culturally sensitive scenarios that have occurred in the work place by professional artists to heighten their effect with a view to correcting what ever misconstrued notions, attitudes and behaviours that the employees may have developed as a result of this cultural misunderstanding. This training pattern was successfully conducted by Lehman Brothers (Murray, 1985). There are other patterns of training involving, spontaneous on the spot addressing of cross cultural incidents born out of cultural misunderstanding that occur within the work environment. This training solution has been successfully deplored by a London based inter-cultural training consultancy, Future Considerations (Murray 1985). The training of managers to apply western styled management techniques to others cultures and vice versa (Berry et al, p. 383). The personal and impersonal domain patterns of leadership techniques include technocratic and charismatic leadership and participative leadership, team work and reward schemes respectively. The personal domain will be easily appreciated by cultures that are of low power distance index, uncertainty avoidance and long term orientation but are individualist and masculine, while the impersonal domain will appeal more to cultures that are of the reverse. 3. Implementation The implementation process of actualizing the foregoing stages also follows naturally from the preparation stage. At this stage, all employees,à ¢Ã¢â€š ¬Ã¢â€ž ¢ managers and staff inclusive are encouraged to put the training brought about by the ideologies into practice to reflect the desired management direction. The idea of cultural collaboration, it has now been discovered, to be the end result of innovative management ideologies reinforced through inter cultural training. A simple illustration can be drawn from an exercise where an anthropologist observing staff of a company with cross cultural staff who regularly meet in a designated section of their office that was scheduled for reorganisation that would relocate certain furniture that the staff had cause to deliberated over thereby individually expressing their ideas on work related issues borne out of their cultural background that usually led to positive results arrived at harmoniously. Based on the advice of the anthropolo gist, the furniture was not relocated instead more designated sections were created in other sections of the company to promote cultural collaboration amongst cross cultural staff (Marrewijk, 2009). The idea of cultural collaboration as a positive tool in management across cultures cannot be over emphasised because it creates a harmonious environment where acceptance of cultural diversity can thrive without reprove. CONCLUTION In this report, the focus has been on an attempt to present key stages that are by no means exhaustive or independently distinctive, involved in the process of managing across cultures in a concise and effective way. As a result, three stages: innovation, preparation and implementation were identified. The innovation stage is where the ideologies on cross-cultural management are formulated, the preparation stage is where these ideologies are developed and the implementation stage is where these developed ideologies are manifested. In sum, innovation leads to developed ideologies and the result: desired better successful management across cultures and of cross-cultural staff.

Sunday, October 13, 2019

george harrison Essay -- essays research papers

George Harold Harrison, the youngest Beatle, was born February 25, 1943. He had two brothers, Harold Jr. and Peter, and a sister, Louise. His mother, Louise, was a housewife, and his father, Harold, was a bus driver.George's initial interest in the guitar came about slowly. His mother remembers that she started finding paper covered in drawings of guitars among his school things. So, she bought George an old second hang guitar from one of his class mates for three pounds. George tried to teach himself to play, but his progresswas slow. He sometimes stayed up all night playing until his fingers bled. George attended Dovendale Primary School, two forms behind John Lennon, and then he attended Liverpool Institute, one form behind Paul McCartney. George and Paul took the same bus to school, and soon found they had music and guitars in common. George and his brother Peter had formed a Skiffle band, and because they were so young, they had to sneak out of the house to play their first engagement. Paul introduced the skinny and pimple-faced George to the Quarrymen, who was only 14 at the time. Not old enough to join the group, George hung around with the boys, and came to idolize John, doing everything he could to emulate him. George stood in the back of the room at all their shows with his guitar. A few times he filled in for the regular guitarist who didn't show up, and the boys were also welcomed in George's house by his mother to practice and for an occasional "jam buttie&...

Saturday, October 12, 2019

Classical American Pragmatism and Assisted Suicide :: Euthanasia Suicide Death Essays

Classical American Pragmatism and Assisted Suicide ABSTRACT: Helping people to die may involve killing and/or alleviation of pain in a dying person. A dual commitment to the avoidance of killing and the alleviation of pain raises the question of whether these two ways of helping people are always compatible. This paper addresses the question through use of sources in classical American pragmatism and contemporary bioethics. First, I apply Charles Peirce’s notion of pragmatism to the concept of killing through consideration of the empirical consequences of alternative interpretations. James Rachels’ account of the distinction between active and passive euthanasia is critiqued in this analysis. Second, I examine what it means to relieve pain by relating Jane Addams’ concept of maternal nurturance to an ethic of care and opposition to killing. Utilizing these concepts, I apply William James’ notion of pragmatism as a method of mediating or straddling different theoretical approaches to resolve the apparent in compatibility between pain relief and the avoidance of killing. To address social concerns raised by the practice of helping people to die, I propose a corrective insight of Addams, along with John Dewey, about the role of the philosopher as social critic. Thus understood, pragmatism is a means of avoiding abuses that may occur in the process. I conclude that so long as permissive practices are restrained sufficiently to avoid injustices, it is morally both possible and desirable to resist killing while relieving pain. Here is the doubt that triggers my inquiry: I have two beliefs that are apparently at odds. The first is that we should never kill; the second, that we should always attempt to alleviate pain. The apparent conflict between these beliefs arises from the fact that death may constitute the ultimate pain relief. Certain caveats attach to both beliefs. For example, killing in self-defense or to save others’ lives is acceptable, (1) and inflicting pain through medical interventions in order to cure or restore function is also acceptable. (2) In general, however, both beliefs dispose me, as Peirce would put it, (3) to distinct plans or habits of action: avoidance of killing and provision of pain relief. In health care, the commitment never to kill implies that euthanasia is wrong, and the commitment to alleviate pain demands actions that may hasten the dying process. The question that arises from these two commitments is whether both can be sustained simultaneously. Can I always and in every case avoid killing and alleviate pain?

Friday, October 11, 2019

In measure for measure,the characters of Angelo and Isabella are similar

In measure for measure there are two characters that at first glance seem to be from two different worlds but a closer analysis shows that they are actually very similar. This is the case with Angelo and Isabella. When we first meet Angelo we see a ruthless leader who enforces the law as severely as he can and Isabella is the complete opposite, she is a virtuous and chaste young woman who was ready to devote her life to God. Both Angelo and Isabella have strict moral views; they both exhibit pride and are guilty of self deception. In scene, when Isabella and Angelo first meet straight away we can distinguish the similarities between them. For example, Isabella uses the same language as Angelo and the two of them are able to finish each other's sentences indicating that they are on the same thinking level and that they are actually not that different as both knew what the other was intending on saying. Isabella like Angelo is denying her sexuality. Isabella uses religion as a repression of sexuality where as Angelo represses his sexuality by enforcing harsh rules in Vienna regarding fornification and does not allow himself to express any feelings openly. One could argue that both Angelo and Isabella are sexually frustrated. Isabella is a pure and chaste young woman who happens to be in a corrupted society and it could be argued that her decision to join the nunnery was a way of sexual control and that she does not trust herself in the society that she is in and needs restraint â€Å"but rather wishing a more strict restraint† (1:4,L3). Angelo is a puritan and as a puritan he has to be able to control his sexuality which is why he doesn't express he desires or emotions and this leads to characters describing him as â€Å"a man whose blood is very snow broth† and in his soliloquy Angelo can't describe what he is feeling towards Isabella because he was never able to speak out openly about sex, emotions, love etc. â€Å"What's this?† â€Å"What's this?† (2:2, L 164) .For both of these characters repressing their sexuality discourages the audience from identifying with them. Another similarity that Angelo and Isabella both share is that they are put in a sordid situation by the Duke. The Duke put Angelo in charge of power whilst he left knowing full well that Angelo is a man made out of steel and will enforce the strict laws and as a result Claudio was condemned for fornification by Angelo who led to Isabella pleading for his life. The Duke is the only character who could intervene but chose not to. Isabella and Angelo are both troubled characters struggling to come to terms with their own inner nature. Both characters share their feelings and thoughts with he audience in soliloquy. Angelo (2:2) and Isabella (2:4) this is the only time that the audience can begin to understand these characters more and are able to empathise with them. One could argue that another feature both of these characters share is hypocrisy Angelo is an authoritive figure but does not practice what he preaches. He is a hypocritical character because he is condemning Claudio for fornification whilst going against his own law by asking Isabella to sleep with him.Similarly, Isabella readiness to give away another person's chastity (Marianna) is quite hypocritical because she refused to give up her own chastity because it was not morally right but was quite eager for Marianna to give up hers. It could also be argued that both Angelo and Isabella are selfish characters. Angelo's selfishness is evident in the way he abandoned Marianna due a lack of dowry and Isabella's selfishness is evident in the way she was prepared to value her own virginity more than her brother's life and the fact that she wanted Marinna to give up her virginity could also be seen as a selfish act. Both Isabella and Angelo are proud characters. Angelo is a proud man because he will not back down from enforcing the severe laws in Vienna even when Isabella pleads with him to spare her brother's life. I think Angelo feels that if he backs down then people will begin to take advantage of him as they did with the Duke so I think he feels it's imperative to be proud and honourable because that is the only way people will know you mean business and will look up to you. Isabella is a proud character in the sense that she would rather her brother lost his life rather than her give up her virginity to save him. To Isabella honour and pride means more than saving her own flesh and blood. â€Å"Die, perish†¦.not words to save thee† In conclusion, many critics have noted the similarity between Isabella and Angelo D.L Stevenson in his book, The Achievements of Measure for Measure, Ithaca 1966 notes the similarities between Angelo and Isabella, He claims ‘She is kind of observe of Angelo†¦ the play is only allowed to come to an end only at the moment of exact equivalence between Isabella and Angelo. It only ends s when Isabella has really become the thing she has argued for in Act II, merciful' (against all sense† the duke points out). What D.L Stevenson is arguing here is that in a sense Isabella looked up to Angelo because he was this authorative male figure but Isabella is also a strong female who was able to withstand pressure from this authoritive male figure. I agree with D.L Stevenson, I think that Isabella does look up to Angelo because he is a proud, authoritive being and I think in a way Isabella actually see a bit of herself in Angelo in the sense that neither of them can express themselves sexually as freely as they would have liked to therefore they resort to extreme situations to avoid confronting their true inner selves. They are both proud yet hypocritical characters who don't see any wrong in their own actions but are quick to blame others, for Isabella a prime example is when Claudio asked her to give up her virginity and she was outraged by what he suggested â€Å"O you beast!, O faithless coward!, O, dishonest wretch!† but yet she expected Marianna to do the exact thing she refused to do.

Thursday, October 10, 2019

Fundamentals of Building a New Crime Analysis Unit Essay

Since the late 1980s and early 1990s, police departments across the country and throughout the world have begun adopting what is known as proactive policing. This term began as a simple theory which utilized concepts such as community policing and statistical formulas to engage and apprehend criminals before they commit a crime. Police chiefs, county sheriffs, and department heads began to realize that time moved on since the days of the â€Å"Wild Wild West† and so to have criminals. Half a century ago, criminals were not as intelligent or as technologically savvy as they are today, namely because of the computer and medical breakthroughs researchers have made. Nowadays, people live longer, have access to healthier foods and dietary supplements, and better education, thereby making it easier for potential criminals to live better lives and develop complex thought-out operations for their next heist. The law enforcement leaders then recognized the need to find a better way to combat this ever-evolving wave of criminal activities, which eventually lead them to entertain the idea of implementing crime analysis units (CAUs) to assist officers in figuring out where they needed to go to thwart crime before it happens. In order to properly begin a crime analysis unit, one must realize exactly what that unit is, does, will be responsible for, and who they will ultimately answer to. Furthermore, a CAU cannot simply be started by placing a select few in crime analyst positions and expecting them to fulfill the job requirements. Instead, people who have a high school education, college experience, and strong analytical or math skills should be chosen and given specialized training in the field of crime analysis. So, with that having been stated, what is crime analysis and what can it do for an agency? According to IACA, the International Association of Crime Analysts: Crime analysis is both a profession and a set of techniques. The professionals, who perform crime analysis, and the techniques they use, are dedicated to helping a police department become more effective through better information. The information that analysts provide can help†¦ olve crimes, develop effective strategies and tactics to prevent future crimes, find and apprehend offenders, prosecute and convict offenders, improve safety and quality of life, optimize internal operations, prioritize patrol and investigation, detect and solve community problems, plan for future resource needs, enact effective policies, and educate the public (What is Crime Analysis, 2011). Now that the basics of what crime analysis CAN do have been identified, the questions that must be asked, according to Intellysis (2013), include: * Is a crime analysis unit really needed? What’s the difference between crime analysis and intelligence analysis? * What kind of crime analysis is needed†¦ administrative, strategic, or tactical? * What should the mission or motto be for this unit? * Who will be assigned what tasks? How will work be divided? * How many analysts will be needed? * How do we go about hiring an analyst? What will the job entail and what will be the salary? * What should the workspace be like? * What technology, supplies, and equipment will be needed? * What products will the crime analysts produce? * Where should the crime analysis unit be placed within the organizational chart? Will a policy and procedure manual need to be created? * What type of training will be needed for crime analysts? All questions listed above are relevant and must be asked if an agency is to have any hopes of implementing a crime analysis unit. To answer the first question of necessity, it is up to the individual municipality and agency head to decide whether or not a crime analysis unit is truly needed. In many small cities and towns, the need for such a unit is slim to none; however, with the ever-increasing rate of criminal activity in small areas, that thought is rapidly becoming obsolete. The second question, regarding the difference between crime analysis and intelligence analysis, lies in the information that is analyzed. Crime analysis deals with ‘what’, ‘where’, and ‘when’, while intelligence analysis maintains the ‘who’, ‘why’, and ‘how’, meaning that crime analysts look at individual M. O. s, crime types, and locations, whereas intelligence analysts deal with why something happened, how it happened, who did it, and how can it be prevented. In addition to this, though, there is a third type known as the crime and intelligence analyst, which is essentially a combination of both. To figure out what type of crime analyst the agency requires, the history of criminal activity and the needs of the entire department must be reviewed. There are three types of crime analysis – tactical, strategic, and administrative. They are explained here: * Tactical Crime Analysis – primarily functions to promote rapid response to immediate criminal activity. This type of analysis should usually be the primary function performed by crime analysts at the local agency level, although it does somewhat depend upon the specific needs of the individual entity itself. Tactical crime analysis is the area where trends, patterns, and series are identified and modus operandi is linked with offenders. * Strategic Crime Analysis – deals with everyday operational strategies and formulates solutions for problems arising from those operations. This is sometimes known as the analysis that caters to the command staff and city/county government officials, because it can assist with resource allocation, scheduling, patrol area configuration, and analyzes crime versus staffing demands. * Administrative Crime Analysis – focuses on long-term activity in a certain area (i. . figuring out why crime is high in a certain area, and what needs to be changed to counteract this). Additionally, providing certain information, such as general crime stats for informational purposes to city hall, neighborhood watch groups, and citizens are a large part of administrative crime analysis (CCAA). Anytime a new group or institution is put into place, one of the first things that must be considered is where that group is going? What will be their primary focus or goal? Mission statements vary across the country, from agency to agency, but a few things remain the same. In any mission statement for a crime analysis unit, the very first words should read â€Å"The overall objective† or â€Å"The mission of the crime analysis unit,† or at least something along those lines. This lets readers know that what is coming next will be what your unit is going to be all about. This is the area where the proposal can be viewed either positively, or pushed aside because the goals do not seem achievable, or they are not seen as highly valuable. Therefore, this statement should be well-organized, attention-grabbing, concise, yet fully inclusive of all major objectives. Here’s an example: The mission of the Crime Analysis Unit (CAU) at Make Believe Police Department is to collect, collate, analyze, and prepare criminal / criminal intelligence data to be disseminated to patrol officers and investigators as reinforcement for the proactive policing initiative. The unit will identify emerging crime trends, patterns, and series and make recommendations to the appropriate personnel for prompt response, and potentially link offenders to criminal activity, assisting with bringing said offenders to justice. The citizens of the City of Make Believe will also benefit from the Crime Analysis Unit, as it will be available to assist the public in the retrieval of crime statistics and information on high-crime areas. When reviewing potential tasks a crime analyst will be responsible for, it is important to note that each agency has different needs; therefore, each agency will need analysts to do different things. In the same light, it is also up to the individual agency as to how many crime analysts will actually be needed; however, it is recommended by Intellysis that there be at least one analyst per every 100,000 citizens (Starting a Crime Analysis Unit, 2013). On the other hand, the University of South Alabama’s Center for Public Safety recommends that there should be about one crime analyst for every one-hundred sworn personnel (O’Shea and Nicholls, 2002, p. 13). At most agencies, hiring requirements for a crime analyst are elevated because it is considered a highly analytical and professional position. As such, the minimum education and experience usually required for consideration is a Bachelor’s Degree in either criminal justice, criminology, mathematics, or a related field and at least one year of experience as a crime analyst or two years in a related field. In some agencies, the hiring party may consider a candidate who does not have a Bachelor’s Degree, but does have extensive experience in law enforcement, vice versa, or an equivalent combination of both. As far as salary is concerned, this is also up to the individual municipality. This is something that will be based upon funding, actual necessity, complexity of the work to be performed, and the combined experience/education of the person(s) to be hired. Generally, though, the annual salary of a crime analyst is thought to be between $28,852 and $68,138 with a median income of $39,493 according to Payscale’s national crime analyst salary website (2013). In most units, crime analysts will be responsible for tactical, strategic, and administrative analysis, as well as completing public requests for assistance.