Saturday, August 31, 2019

Guidance Notes for Unit Essay

Guidance for developing unit assessment arrangements – provided with the QCF unit Current and relevant legislation and policies as appropriate to UK Home Nation. Impact of professional relationships e.g.: †¢ power relationships †¢ dealing with an employed professional †¢ feelings of powerlessness †¢ uncertainties about how to behave and relate. Equalities legislation as appropriate to UK Home Nation. Additional unit assessment requirements provided with the QCF unit Learning outcomes 3 and 4 must be assessed in a realwork environment. Unit needs to be assessed in line with the Skills for Care and Development QCF Assessment Principles. Unit assessment guidance – provided by CACHE Learning outcomes 3 and 4 must be assessed in real work environments by a qualified vocationally competent assessor. SCMP3 Professional practice in children and young peoples social care SCMP3-1.1 Explain how current and relevant legislation and policy affects work with children and young people. Current and relevant legislation and policies include: EYFS 2014 – supports settings to deliver high quality integrated early educaitonOFSTED Welfare standards of care in EY framework National guidance developemtal matters Nutritional guidance Eat Better start better SEN code of practice Children’s Act 1986,2004, 2006 Safeguarding: set out principles to guard and promote welfare of children and young people Key functions that they set out is to achieve daily activities with the child to maximise their opportunities whilst minimising the risk In settings – management liaise with other professionals. All staff are trained and monitoring takes place to ensure procedures are in place and followed SCMP3-1.2 Describe the impact of social care standards and codes of practice on work with children and young people. SCMP3-1.3 Explain the importance  of the United Nations Convention on the Rights of the Child (UNCRC). SCMP3- 2.1 Explain the responsibilities of a: corporate parent  professional carer. SCMP3-2.2 Explain what is meant by a ∆duty of care’. SCMP3-2.3 Analyse the impact of professional relationships on children and young people. SCMP3-2.4 Give examples of poor practice and unprofessional conduct that may impact on outcomes for children and young people. SCMP3-2.5 Explain the actions to take where poor practice and unprofessional conduct are having a negative impact on outcomes for children and young people. SCMP3-3.1 Explain the professional responsibility to maintain current and competent practice. SCMP3-3.2 Engage with professional supervision in order to improve practice. SCMP3-3.3 Seek, and learn from, feedback on own practice from colleagues and children and young people. SCMP3-3.4 Explain the importance of understanding the limits of personal competence and when to seek advice. SCMP3-4.1 Demonstrate how to respect and value the professional competence and contribution of colleagues. SCMP3-4.2 Explain own rights and expectations as a professional and how to assert them. SCMP3-5.1 Explain how current equalities legislation affects work with children, young people and families. SCMP3-5.2 Identify examples of good practice in promoting equality and explain how and why they are effective. SCMP3-6.1 Explain what is meant by diversity. SCMP3-6.2 Explain what is meant by anti-discriminatory practice giving examples of how it is applied in practice with children, young people and families. SCMP3-6.3 Describe the effects of discrimination and explain the potential results for children and young people.

An Analysis of Globalization: Constructivism, Commercial Liberalism and Marxism Essay

Globalization is perhaps the most defining characteristic of the 21st century. The American push for free market ideals, facilitated by the advent of the Internet and other communication technologies, has led to the increased interaction and interrelatedness of people. Therefore, globalization also raises interesting implications for the field of international relations. How can this monumental event be analyzed? Globalization and its consequences can be interpreted and dissected through three major schools of thought: constructivism, commercial liberalism, and Marxism. A modified Marxist view can explain the starting causes of globalization but not modern day causes, international liberalism can explain the resulting global â€Å"macropeace†, and constructivism can explain counter-reactive â€Å"microwars† prevalent in the international system. To begin, Marxism is based on a critique of capitalism and normative commitment to communism. Marxism has various strains, but Marxism-Leninism and neo-Marxism deliver the most cogent analysis of globalization. Robert Gilpin, in his article â€Å"The Political Economy of International Relations† identifies four components of Marxism-Leninism; Marx conceived three of the points, and the final is Lenin’s own modification. First is the law of disproportionality which attacks the idea of supply and demand. Since capitalists can produce goods easier than consumers can purchase them, free market economies will always over-produce certain goods. Next is the law of capital concentration. Since competition forces capitalists to produce efficiently or face extinction, capital eventually accumulates in the hands of a select few. This disparity will ultimately fuel the anger of the proletariat and lead to social revolution. Third is the law of falling profit rate. Marx predicted a complex chain reaction, where labor-saving devices would fuel under-consumption, overproduction, and mass unemployment. However, when the social revolution did not occur in the post-World War I era, Lenin revamped Marx’s communist ideology with his fourth law, the law of uneven development. Lenin asserts that the revolution failed to occur, because capitalists had used imperialism as a metaphorical release valve. Developed nations had managed to dump their goods and capital in colonies and simultaneously acquire cheap raw materials. This outlet and source of inputs relieved the pressure on capitalism, allowing it to continue for the time being. The second variation of Marxism pertinent to globalization is neo-Marxism, specifically Wallerstein’s piece, â€Å"Core and Periphery. † Core states occupy power positions in the international system and can perpetuate a system where they remain in power over the periphery. Core states have two defining characteristics: â€Å"strong state machinery, coupled with a national culture†¦Ã¢â‚¬  The periphery states are characteristically weak, and could even exist as merely a colony. They lack unity through a national cultural and have very weak state mechanisms: either a corrupt and bloated bureaucracy or a virtually non-existent one. Wallerstein alleges that the current international system is one of core states exploiting periphery states. In the article, â€Å"Globalization and the Trade in Human Body Parts,† Harrison attributes the causes of globalization to a massive crisis of both â€Å"capital accumulation and of state legitimacy† in the 1970s. According to him, capitalist states of the West faced an inability to produce the correct quantity and distribution of goods, consistent with Marxism. Furthermore, the push for efficiency led to advent of labor-saving devices and the accumulation of capital in the hands of the few. All of these occurrences caused the high unemployment and inflation characteristic of the mid-1970s. As goods and capital piled up with high levels of joblessness, â€Å"compromises that had underpinned the post-welfare state gave way once more to conflict between labor and capital. † This conflict embodies the final death rattle of capitalism before a revolution topples it. However, globalization utilized the Leninist â€Å"release valve† and stabilized the developed countries’ free market system. According to Harrison, cheap inputs and vast new markets for consumption allowed Western nations to resolve its crises of capitalism and legitimacy. He defines globalization as â€Å"the establishment of world-wide exchanges in labour, trade, technology, and capital between nations possessing different economic, military, and political powers. † Since globalization has an inherent pro-liberal, capitalist bias, it creates unfair exchanges. Harrison argues that the market for human body parts follows this pattern and mimics other unequal exchanges between developed and developing countries. In this particular market, the organ donors tend to originate from developing nations like India, Argentina, and China. The recipients tend to live in developed nations, with the most transplants performed in the US with Europe closely behind. Harrison defines this flow of organs and transplants as exploitation. All in all, the causes of globalization rest in capitalism’s desperate bid for viability. However, Harrison’s proposed causes for the start of globalization do not completely make sense. His explanation through the Marxist paradigm correctly pinpoints economic incentive as the overarching objective for globalization. Developed nations, full of goods and capital, perpetually search for outlets for their goods and for natural resource sources. This assumption fundamentally underlies the theory of the free market. However, Harrison looks to the 1970s, to the start of visible globalization, and links a crisis of capital accumulation to the economic turbulence of the 1970s. But, from the perspective presented in Kirshner’s article â€Å"Keynes, Legacies and Inquiries,† the problems instead stem from supply-shocks, creating cost-push inflation and recession. A supply shock results in inadequate levels of aggregate supply to meet aggregate demand. The OPEC oil embargo of the mid-1970s, starting in 1973, delivered this effect and caused the intense stagflation of the time. Therefore, macroeconomics is partially in conflict with the Marxist view of globalization. Developed nations did not face â€Å"a crisis of capital accumulation;† instead, they faced a crisis of productive capabilities. Due to the lack of crude oil, producers could not create enough goods to meet the demand. Therefore it makes more sense that developed nations pushed for a global economy to secure cheap natural resources, rather than look for more sources of demand. The idea of capital accumulation crisis must be abandoned, along with the ominous predictions of violent revolution. After such considerations, a theory of macroeconomic Marxism succinctly locates the starting origins of globalization. However, this explanation delivers an increasingly poor explanation for modern day globalization and its progression past initial causes. The economies of developing nations have gone through a tertiarization process, defined as the transition of an economy into predominantly service-oriented jobs. This change has led to decreased manufacturing and decreased American exports. Marxism offered a convincing argument in the 1970s and early 1980s, when America had a large trade surplus and a minor trade deficit. However, America’s trade deficit has ballooned to astronomical proportions as the shift away from manufacturing has become more pronounced. Therefore, the idea of developed nations, or core states, exploiting and preying upon developing nations, or periphery states, for markets no longer makes sense. What can explain globalization in the 1990s through the modern day? With the rise of East Asian NICs, as Steven Haggard’s article names them, and developing nations like India and China, wealthy nations have grown increasingly dependent on their cheap goods. As these poorer manufacturing-based powers rise, they hold much more power on the world stage. Huntington supports this assertion in his article, â€Å"The Clash of Civilizations,† stating that â€Å"non-Western civilizations no longer remain the objects of history†¦but join the West as the movers and shapers of history. † This non-Western empowerment deeply contradicts all strains of Marxism, which contain some rich-poor exploitative element. Neo-Marxism and Harrison’s fundamental argument places globalization in the context of wealthy nations using capitalism and unequal exchanges to take advantage of poorer nations. However, core states of economic power no longer completely dictate the rules of the game, and use periphery states as dumping grounds for goods. Instead, the opposite has occurred; rising periphery states have begun to rapidly manufacture goods and export them to the core. This inversion of Marxism explains the continued push of globalization, now fueled by the flow of goods from developing to developed nations. This interaction can even be exploitative in the opposite direction. For example, America has accumulated an enormous trade deficit with China. This burgeoning trade deficit is very advantageous to China, strengthening the value of its currency. However, Kishner describes the deleterious effects of this occurrence in his article, stating that it â€Å"forces the burden of international adjustments on deficit countries†¦Ã¢â‚¬  The disproportion also weakens the dollar and erodes confidence in its ability to store value. Gilpin also alludes to the positive and negative effects of a trade surplus in â€Å"Politics of Transnational Economic Relations,† mentioning how America tolerated the 1. 5 billion trade surplus that Japan enjoyed in the 1970s. America has tried to use rhetoric and diplomacy to resolve this issue but does not dare to use any stronger tools due to its dependency on China as a trading partner. In this example, China gains economic power at the expense of the American dollar. Developing countries sometimes occupy the throne of power on key issues; this reversal deeply contradicts Marxism. Finally, commercial liberalism can be used to understand the effects of globalization. According to commercial liberalist Richard Rosecrance’s article â€Å"The Rise of the Trading State,† trade, capitalism, and free markets are forces of peace. Commercial liberalists believe in the use of trade to forge communication and connections with other nations. Eventually, a net of economic interdependence will form, which discourages war. War in this environment destroys trade opportunities, and therefore, increases the political consequence of declaring war. These strains of thinkers in turn consider imperialist interests to be in utter conflict with trading interests. A country either chooses to embrace free markets and trade or impose heavy mercantilist restrictions. According to this theory, peace occurs when a country trades autonomy and the quest of national power for more extensive access to resources of the world. Markets further facilitate peace by allowing the spread of culture and understanding. This trading and cultural exchange eventually leads to a peaceful world of trading states, rather than various imperialist nations competing for hegemony. In â€Å"Jihad vs. McWorld,† Barber identifies two occurrences closely linked to globalization that ironically oppose and engender each other simultaneously. First is the argument of a global â€Å"macropeace,† facilitated by global trade. Barber makes the argument that no nation is truly independent, connected by everything from the environment to pandemics. Barber further postulates that â€Å"positive economic forces that have globalism as their conscious object† act to bind nations together. These forces have also deeply eroded national sovereignty as multinational corporations and international banking systems lack any national identity and do not reflect any particular nationhood. These global economic devices do not exist under the jurisdiction of any individual nation, which according to Barber, has renewed efforts for international peace through an international economy. Concurrently, this system has also turned â€Å"religion, culture, and ethnic identity† into â€Å"marginal elements of a working identity. † This erosion of differences facilitates a peace throughout the world, with the pursuit of wealth undermining any war like tendencies. Furthermore, Barber talks about the mingling of culture as well as trade, describing this concept as â€Å"a product of pop culture driven by expansionist commerce. † The idea of globalization also refers to the cultural imperialism of the West. More youth around the world idoloize American pop culture figures, like Michael Jackson or Lady Gaga. Foreign children drink Coco-Cola and salivate over Harley-Davidson motorcycles and Cadillac cars. American culture has permeated the entire world from pop icons to the golden arches of McDonalds; this fact is undeniable. This intermingling of culture again facilitates cooperation and understanding between nations, decreasing the chance of war. Barber’s argument is a convincing argument of commercial liberalism. The essence of this paradigm’s argument is the idea of commerce breeding interdependence. This fact could not be clearer now, during the most devastating economic collapse in over eighty years. As Eurozone nations flounder, the American stock markets dip and rise, based on news of their actions. This certainly smacks of a deep, systemic structure in which consequences for one nation affect many other nations as well. In such a system, a broad scale war would be most disadvantageous, as damage to one nations’ economy would impact the whole. Furthermore, cultural exchanges between nations certainly seem to have brought people closer, as the world becomes an increasingly smaller place. This two-pronged event has created a world where all-out war between states is now politically unattractive and economically unfathomable. Barber’s analysis explains both the market independence and the increased level of cultural mixing in the world; it also explains why wars between two nations have grown rare in the post-Cold War era. Nevertheless, a significant counterargument can be made through to this idea. Many argue that although much of the conflict is not between states, war does still exist. The whole world has not entered Barber’s â€Å"future in shimmery pastels, a busy portrait†¦with fast music, fast computers, and fast food†¦Ã¢â‚¬  Even more would argue that much of the world abhors the cultural influence of the US, citing it as immoral or hedonistic. Huntington mentions a return-to-roots sensation among non-Western states, with states starting to turn in and focus on their own regional identities. With many nations like Saudi Arabia and Iran still practicing religious law passionately and pockets of ethnic warfare still existing in Africa, it sometimes seems counterintuitive to talk of a global peace. However, the identification of a counter-reaction to the globalization can explain all these seeming contradictions. Barber identifies this point through the use of constructivism. Constructivism makes the argument that knowledge of the event does matter in truly understanding an international occurrence. In Henry Nau’s article, â€Å"Why We Fight over Foreign Policy,† he strongly focuses on the political, economic, social identity of a state or states when defining constructivism, emphasizing â€Å"the ideas, norms, and values†¦that shape their discourse and identity. † Constructivists believe that ideas and ideology drive nations to act in certain ways, often creating positive relationships with similar countries and harboring hostility toward those different. Constructivism does have one major disadvantage: it cannot make a policy prescription for a problem. However, it does often prove poignant in analysis of current events and in prediction of future events. This perspective is immensely effective in understanding Barber’s argument and refuting the aforementioned criticism. His argument is bipartite; after identifying the macropeace, he identifies a phenomenon that he nicknames â€Å"jihad,† referring to any violence motivated by â€Å"dogmatic and violent particularism. † This form of conflict relates to the construction of one’s identity, whether by ethnicity, language, religion, etc. According to Barber, violence stems from people of differing identities resisting the homogenizing influence of globalization. It can be seen as a reactionary event to the growing uniformity of the world to Western cultural norms and ideas, facilitated by the unification of national markets. This return-to-roots search for identity eventually takes a violent form against those who have differing identities. This causes the various â€Å"microwars,† defined as most regional conflicts between two groups, rather than states. Barber cites examples of many people, fighting identity-based war on the pretext of self-determination, including Jews, Kurds, Arabs, and Ossetians. These conflicts are the essence of constructivism, isolating identity-based differences as a major source of international conflict. However, Barber’s constructivist theory is not without detractors. Samuel Huntington, author of the â€Å"Clash of Civilizations,† has a different idea of the world. He describes vast swaths of land as individual civilizations and describes conflict on two levels: the micro-level where small groups in different civilizations struggle and the macro-level where states from different civilizations for hegemony. He does not define terrorism as a reaction to American globalization and the erosion of Islamic identity, but instead as conflict between Islamic and Western civilizations. Barber contrastingly defines conflict as intracivilizational, rather than transcivilizational, between people â€Å"without countries inhabiting nations that they just cannot call their own. † Huntington also predicts that future conflict will grow bloodier, due to increasing awareness of civilizational divides and these conflicts â€Å"will occur along the cultural fault lines separating civilizations. † In opposition, Barber portends a future in which the macropeace will ultimately win out; although, â€Å"jihad† will continue to be seen spontaneously. Despite the intuitive nature of Huntington’s theory and predictions, it is simply too reductionist and parsimonious to adequately explain the complex world of international relations. He omits whole continents in his argument and completely assumes homogeneity within civilizations. These criticisms are eloquently expressed in Katzenstein’s article â€Å"A World of Plural and Pluralistic Civilizations. † He voices the same fundamental disagreement as Barber, that civilizations are not internally uniform. He describes them, not as simply larger nations, but as â€Å"loosely coupled† and â€Å"internally differentiated. † This idea of differentiation supports Barber’s assertions, agreeing with the idea of major clashes occurring within civilizations, rather than between civilizations. Katzenstein also references that this fact has been proven with both qualitative and statistical means. In this regard, Huntington seems rather flippant, disregarding empiricism for an intuitive, simple theory. Despite a smooth and logical premise, Huntington’s opinions about the world can be quickly refuted. Huntington’s predictions about the future also seem less accurate than Barber’s, because Huntington neglects an important facet of the world. Huntington does not mention economic interdependence at all in his piece, despite its overwhelming influence in every facet of life. Utilizing Rosecrane’s theory of trading states, economic self-interest will cause the macropeace to win out, consistent with Barber. Globalization is unavoidable. Its methods and consequences are ubiquitous, from the food one eats to the job prospects one faces. It has had both negative and positive effects on the world, facilitating both economic prosperity and global terrorism. The initial causes of globalization can be analyzed with a modified Marxist viewpoint. However, as the phenomenon has progressed, Marxism no longer provides a convincing argument. The intricate economic web connecting the nations of the world through globalization can be understood through commercial liberalism. The contrasting sectarian violence also resulting from globalization can be understood through constructivism. As globalization changes and as America’s role on the world stage grows, these analyses will mostly likely grow and develop as well.

Friday, August 30, 2019

Positive Discrimination

Compensates MinoritiesFor centuries, blacks and minority groups were enslaved and oppressed. The upper-class groups enjoyed all the benefits and took a large share of the cake. These minorities worked for centuries without labor wages, were subjected to brutal punishments, their lands were snatched from them, and most of them were denied most of the fundamental rights provided by the Constitution. Affirmative action emphasizes on providing compensation to the descendants for the wrongs and ill treatments done to their ancestors.Serves As A BoosterMinority students, on a general note, start off at a disadvantageous level in college or job application process. They belong to lower income families and hence, have fewer opportunities to study in good private schools as opposed to other high-class students. Though they are equally capable of working hard and proving themselves, they are left behind due to their caste and class. Affirmative action balances these differences out.Exposure To Varied FieldsThrough affirmative action, men and women are exposed to areas of study or fields of work that they may not have otherwise considered trying their hands on. With the designing of affirmative action, men are brought into nursing, while women are familiarized to technology fields. The more the stereotypes are changed today, the less affirmative action we will require in the future.Positive discrimination towards women in society is justified. Yes because: Women require positive discirmination because in the past they were considered slaves in a patriarchal society. Presently, they are still dominated by men in a lot of social enviroments: family, work, on the street, and many others enviroments. For this reason women should have more benefits in society as an attempt to even out their disadvantaged status. â€Å"If anyone is disadvantaged it is men†. This quote sums up the idiocy of the oppositions argument. How many female presidents have there been? How female  CEO's are there of the worlds top companies?Workplace: A benefit of positive discrimination is that it ensures people won't be out of work because of their gender, race or other conditions or disabilities. It helps to level the professional playing field for different people.Disadvantages Of Affirmative ActionReverses DiscriminationThis is probably the most significant advantage of introducing affirmative action. It tends to put an end to discrimination and unfair treatment to students/employees on the basis of sex, race, color, religion, or national origin, while in reality, the opposite takes place. Whites work harder and are more qualified than blacks. As a result, they are strictly passed over the blacks in all fields of education and employment. With the introduction of affirmative action, a poor white is overlooked by a rich minority student, simply because of these measures.Lower Standards Of AccountabilityIf a minority student is able to get himself admitted to Harvard Uni versity with a 3.2 grade average, why should he put in extra efforts to get a 4.0? Such is the attitude of minority students who enjoy these benefits. There are students and employee who can push up to achieve excellent grades, but by setting low standards for admission or hiring, the accountability levels get lowered. Hard work, discipline, and achievement should be rewarded equally and not partially to people who simply belong to certain race or group.True Minority Achievement Is DemeanedIf you hear an underprivileged person describing his achievements as a result of hard work and talent, not all will be wrong to assume that his success is due to affirmative action. Considering major professional fields, such as doctors, lawyers, business leaders, and so on, most minority people are  demeaned and humiliated assuming that they achieved success on their preferential treatment. Thus, minorities are forced to work twice as hard to earn true respect and recognition.Positive discrimin ation towards women in society is justified. Not because: Discrimination is never ‘positive'. In a civilized society, it is not exceptable to treat people differently, on the basis of gender. Furthermore, the claim of women having a â€Å"disadvantaged status† is preposterous. A quick examination of our laws and societal practices shows that women have an incredibly advantaged status.They are not required to register for the draft, like men are. They have a government council devoted solely to them, whereas men do not. They have female-only scholarships and grants, whereas men do not. They have shelters to escape domestic violence, whereas men do not. They are protected from circumcision by law, whereas men are not. Their names are hidden when they accuse others of several kinds of crimes, whereas men are not. If anyone is disadvantaged, it's men.Men are 80% of suicides, 40% of colleges students, 40% of degree earners, 80% of the homeless, 80% of the layed off, and 92.7 % of the job deaths. Men are more likely to die from every major cause of death, and yet there exists no amount of medical funding and research for them, on par with that of women. And this is to say nothing, of the blatant discriminations, under the law, that men suffer, as mentioned above.Workplace: Positive discrimination is still discrimination, which continues to put emphasis on a person's gender, race or origin of birth. It can also be negative for someone pursuing the same job as a minority applicant. A person might be more qualified and still not get the job if the company is practicing positive discrimination.

Thursday, August 29, 2019

Carbohydrate Nutrition and Glucose Homeostasis,on Type 2 diabetes Essay

Carbohydrate Nutrition and Glucose Homeostasis,on Type 2 diabetes - Essay Example It has been estimated the risk of developing heart diseases more than doubles within the first few years of the discovery of diabetes in individuals. In addition, more than seventy-five percent of the people who have diabetes are at risk of dying because of heart disease, a situation that is indeed scary for those concerned. Diabetes mellitus Diabetes is a metabolic disorder that is categorized by chronic hyperglycaemia with instabilities of carbohydrate, fat and protein metabolism that come about due to defects in the secretion of insulin, the inaction of insulin or both in the body (Guthrie 2009, p.3). Diabetes mellitus affects people when the pancreas cannot secrete enough insulin, which is the hormone that the body uses to regulate the level of sugar in the blood or when the human body cannot effectively make use of the insulin produced. There are four types of diabetes namely type 1 diabetes, type 2 diabetes, secondary diabetes that may be due to damage to the pancreas and gesta tional diabetes, which occurs when a person is in pregnancy. Prevalence Estimates show that about 347 million in the world are suffering from diabetes while in the year 2004 alone, 3.4 million people died due to the effects related to diabetes complications mostly in low and middle-income economies. Projections by the World Health Organization indicate that diabetes will be the 7th leading cause of death in the year 2030 (Leroith 2012, p.43). The prevalence of diabetes generally in the world is increasing at a faster rate that can be attributed to the decreased physical activity and poor eating lifestyles. There is however little data on the prevalence of type 2 diabetes as this varies with other factors such as ethnicity and the degree at which a person accesses social amenities. Estimates on prevalence range in the region of 3.5 to 5% for example the International Diabetes Federation (IDF) suggest that 4% of persons in the age group of 20 to 79 years have type 2 diabetes in the US with a further death 4.2% in men who have diabetes and &.7% in women with similar condition. Therefore, type 2 is the most dominant type of diabetes since it accounts for about 90% of persons suffering from diabetic conditions. Diagnosed and Undiagnosed Diabetes among Persons of Age 20 Years and above in United States as at the year 2010 Source: National Diabetes Information Clearinghouse 2011 Diagnosed and Undiagnosed Diabetes Source: National Diabetes Information Clearinghouse 2011 Blood glucose regulation in the body Glucose is the essential source of energy for the body’s cells and tissues. In grownups without diabetes, glucose is maintained at a level of 70-99 mg/dL maintained by hormones, the metabolic requirements of the person and the nervous system. When a person is not eating, the liver stores glucose in the form of glycogen that helps to keep the body at a normal functioning range. At this moment, insulin is not at work and only the hormone glucagon breaks down th e glycogen; moreover, at any given time muscles store glucose that is burnt for energy. When a person eats and food is digested, the pancreas is triggered to release insulin from the beta cells that is used to breakdown the glucose for the cells for energy or to be stored as fat. Any moment that the system that provides glucose to the cells breakdowns or is not regulated in an organized manner, the person is likely to develop diabetes (American Diabetes Association 2004) Type 1 Diabetes The American Diabetes

Wednesday, August 28, 2019

Tourism Business Administration Essay Example | Topics and Well Written Essays - 2250 words

Tourism Business Administration - Essay Example Being a very sensitive issue it attracts media attention very easily and consequences often include fatalities and serious injuries. Thus a crisis management scheme is very essential and should be organized and ready to be called upon at any instant. (Fall, 238-250) The crisis management team has to be properly structured and organized in order to operate efficiently. Generally a senior manager is assigned the role of the initial contact who is to be the first person to be contacted in emergency situations. He acts as the head of the crisis management team and oversees the operations of the sub teams. The Media Team acts as the face of the effected organization during crisis periods. It handles all media contacts, interviews and press releases. It constantly monitors the activity of the press and stay in touch with them. It maintains a log of situations that develop in the area of media management. (Tse, 112) The On-site team is deployed for client assistance in the event of a crisis. It deals with various authorities involved. ... The crisis management process consists of four steps: i) Risk Assessment ii) Procedure Development iii) Training of Crisis management team iv) Testing Plans (Goodrich, 573-580) The crisis management team has to be properly structured and organized in order to operate efficiently. Generally a senior manager is assigned the role of the initial contact who is to be the first person to be contacted in emergency situations. He acts as the head of the crisis management team and oversees the operations of the sub teams. The sub teams for a crisis management division are normally divided into four teams. i) The Media Team ii) The On-site Team iii) The Passenger Information Team iv) General Enquiries Team The Media Team acts as the face of the effected organization during crisis periods. It handles all media contacts, interviews and press releases. It constantly monitors the activity of the press and stay in touch with them. It maintains a log of situations that develop in the area of media management. (Tse, 112) The On-site team is deployed for client assistance in the event of a crisis. It deals with various authorities involved. It ensures that medical help reaches the site where the crisis has developed if required and maintains close contact with hospital authorities in cases of serious injuries. It is also responsible for the welfare of the staff affected by the crisis. It inscribes a detailed report of its activities. The Passenger Information Team acts as a liaison for the family members of effected clients. The personnel get in touch with relatives of the clients and keep them informed about the situation. It has to maintain regular and updated logs. The General Enquiry

Tuesday, August 27, 2019

Leadership and organisation Essay Example | Topics and Well Written Essays - 1500 words

Leadership and organisation - Essay Example Transformational leadership styles focus on motivation, team-building and collaboration with workers at different organizational levels to achieve for the better. Transformational leaders set incentives and goals to push subordinates to higher levels of performance, while offering opportunities for professional and personal growth for every worker (Hoyt & Blascovich, 2003). Transformational leadership concept is a very popular form of leadership. According to Burns (1985), transformational leadership is a process where leaders and followers rise together to higher levels of motivation and morality. A transformational leader is a model of fairness and integrity. They set clear goals, encourage others, possess very high expectations, offer recognition and support, encourage people to look beyond self-interest, stirs people’s emotions, and inspires other people to go for the improbable. According to Hoy & Miskel (2001), transformational leaders seek to recognize the need for change, concentrate on long-term goals, develop new visions and muster commitment to the vision, and mentor followers to embrace greater responsibility. Transformational leadership entails four essential components: idealized influence, which entails mutual trust and building respect through choosing the right thing rather than the expedient; inspirational motivation, which involves transmitting meaning via symbols and stories from which followers identify. It also helps followers to achieve the impossible through having high expectations; intellectual stimulation, in which workers are challenged to think and answer own questions; and individualized consideration, where people are recognized at their best when individual needs are considered, and accomplishments and efforts recognized and encouraged. These components make transformational leadership more effective

Monday, August 26, 2019

Critical Appraisal of the International Accounting Standard Dissertation

Critical Appraisal of the International Accounting Standard - Dissertation Example The comparison focusing on the latter group is a means to identify whether there would be an increase in the degree of accounting quality that a firm has after utilizing and applying IAS 40 in their policies and processes. In that light, the researcher aims to determine the prospect of improvement of a firm's accounting quality and financial reporting with the use of International Accounting Standards on Investment Property. One of the key objectives of the International Accounting Standards Board (IASB) is to formulate a singular guideline that would establish accounting standards of high quality that must be comprehensible, as well as practical and practicable for the sake of public interest. Such guideline would encompass the accounting framework across the globe, which mandates transparent and analogous data of financial statements dedicated to a universal rationale (IASB) (Ashbaugh & Pincus 2001). With that philosophy in mind, the IASB has made the necessary measures to eliminate permissible accounting practices and policies that would serve as alternatives (Leuz et al 2003; Tarca 2004). In addition, the board has necessitated that the accounting measures enforced in IAS mirror the performance of a firm based on its economic position (Street & Gray 2001; Tarca 2004; Hung & Subramanyam 2004). With these two premises in mind, one can note that the application of IAS is directed towards the development of accounting quality among firms. A firm's accounting quality poses the probability to improve provided that alternatives are eliminated and the perusal of developing the degree to which the concept of accounting measurements aim to echo the limit of a firm's economic position, which would then be based on the prerogative of the management in reporting accounting amounts that pose an inferior representation of a firm's economic performance, such as the process of managing earnings (Bartov, Goldberg & Kim 2004; Daske 2006; Leuz 2003). With that concept in mind, the researcher aims to identify whether accounting amounts that have been identified with the help of IAS present higher quality, as opposed to those determined by GAAP (Leuz 2003).  

Sunday, August 25, 2019

Developing a Research Hypothesis Essay Example | Topics and Well Written Essays - 250 words

Developing a Research Hypothesis - Essay Example 804). The study design that these researchers used was to review a series of research articles that described this phenomenon. They conducted cross-sectional empirical literature study. In doing so, they scoured PsycARTICLES database using a variety of keywords and then used two major databases, the Society of Personality and Social Psychology listserv and the Quality of Life Studies listserv. They found 225 articles that was comprised of 293 samples with over 275,000 participants. The results of their study found that happiness is â€Å"positively correlated† with â€Å"superior† mental and physical health. Essentially, they found that people who kept a positive affect were happier than those who did not. This suggests that there is truth in the idea that happy people are more successful in all aspects of their lives including family, work and health. In fact, there was a positive correlation with the immune system and happiness that showed that people who were happy w ere healthier most of the time. Research Hypothesis: People who are naturally happy are more successful in life than those who are not happy. Independent variable: Happiness Dependent variable: Positive affect There is a lot of talk about people who are happy having more in life than those who are unhappy.

Saturday, August 24, 2019

Why standards Essay Example | Topics and Well Written Essays - 1500 words

Why standards - Essay Example Although this paper will focus most on standards in reference to technical scientific requirements and standards, they are of course important in general too, and have extremely widespread importance and relevance. Introduction A standard in its definitive sense is ‘a required or agreed level of quality or attainment’ (Merriam-Webster). In other words, it is a published set of guidelines that defines a certain criteria that an object, measurement, procedure or otherwise should fit into. It set out rules that act as definitions or references for anything in particular and are expected to be enacted exactly as they are without change or adjustment. Standards are generally enforced not as rigid rules to make things more complicated but rather to simplify things when viewing from a bigger picture. Standards allow all involved in something, whether it is a researcher looking to publish a bit of information, or a student wishing to learn something, or a manufacturer aiming to sell a product, or a consumer wishing to buy one, to effectively and exactly explain what they are offering or understanding, without ambiguity or confusion (Brownell, 1917). Where these standards are used and how they are used is what this paper will now begin to examine. Consider the standards employed by a manufacturing industry. To a certain measurable level as a standard reference point is very important for them for a great number of reasons. Without manufacturing norms, products would have little to no mobility. Each country and manufacturer would be working on their own terms of reference, thereby making it difficult for a consumer. A typical consumer will buy products from different manufacturers or will use services from different companies, and will ultimately have them all at use in one place. It would therefore be redundant and a hassle to have one particular product in one specific room only and be unable to use anything else with it, as they would not be standardized to work with each other. Furthermore, if you consider using the product or service in another country, unless the plugs, sockets, voltage supply required, power consumed etc were not standardized, it would be impossible to import or export a product for any widespread use. In terms of science though, standards have an importance so immense that without them science would not only be unable to progress, rather they would face setbacks so severe in the form of chaos and confusion that it would ultimately do more damage than good. One main reason for this is that science is not localized. It is universally applicable, universally required, universally used and therefore, universally researched upon and worked with. When there is a subsidized standard in place, a scientist in Muscat can pick up the thesis of a scientist in Russia, build upon it, research it further and produce a paper with terms and references of a specific format so that tomorrow, when someone in yet another country wi shes to learn from it, they will do so without confusion and conflict. Communicating on a standardized subject is far easier than having to communicate on a relative subject where first you would have to explain your terms of perspective and then get your point across. Luckily, some standards have been in use for so long and so widespread that they have become second nature to use and alternates are not even considered. For example, when illustrating the size of an object, without a standard form of measurement, we would have to employ words like small and big, which are relative terms. To say something is very small could mean a very large number of things,

Friday, August 23, 2019

Tiffany & Co. analysis Essay Example | Topics and Well Written Essays - 4250 words

Tiffany & Co. analysis - Essay Example ing Tiffany & Co Space Utilization 13 Table 6: Table Showing Tiffany & Co Employees Output Trend 14 Table 7: Table Showing Tiffany & Co Capital Intensity Trend 15 Table 8: Table Showing Tiffany & Co Revenue Valuation Trend 15 Tiffany & Co. Analysis 1: Introduction Company Introduction Tiffany & Co. is the most popular lavish jewelry corporation in the United States of America. For over a century and a half, Tiffany & co. have designed superb jewelry comprising of diamond. The company often uses Tiffany & co and just Tiffany as its main trademark, and at the same time as its trade name. Statement of Purpose In a quest to for tiffany to maintain its giant market and dominance, this paper studies the company’s current pattern applied to maintain customer satisfaction and its prolonged dominance, with the aim of gaining deep knowledge on success of this company and devising applicable through which it can improve its current level performance. Roadmap This study involves a quantit ative and qualitative analysis (a SWOT analysis,) for tiffany to gauge its current position. This analysis also gives recommendations to potential investors and the company at large on its current position. The weaknesses and threats identified through the SWOT analysis be used as a yard stick for devising applicable solutions and this is after comparing various documented applicable solutions, through various qualitative and quantitative tests, and discussed in the subsequent chapters, and the final outcome is mainly targeted at coming up with an effective criteria for investment for Tiffany & Co. Criteria for Investment To come up with concrete recommendations, this study will focus on all the most trusted company profitability, growth and development analysis, evaluations and strategies,... Tiffany & Co. is the most popular lavish jewelry corporation in the United States of America. For over a century and a half, Tiffany & co. have designed superb jewelry comprising of diamond. The company often uses Tiffany & co and just Tiffany as its main trademark, and at the same time as its trade name. Statement of Purpose In a quest to for tiffany to maintain its giant market and dominance, this paper studies the company’s current pattern applied to maintain customer satisfaction and its prolonged dominance, with the aim of gaining deep knowledge on success of this company and devising applicable through which it can improve its current level performance. Roadmap This study involves a quantitative and qualitative analysis (a SWOT analysis,) for tiffany to gauge its current position. This analysis also gives recommendations to potential investors and the company at large on its current position. The weaknesses and threats identified through the SWOT analysis be used as a yard stick for devising applicable solutions and this is after comparing various documented applicable solutions, through various qualitative and quantitative tests, and discussed in the subsequent chapters, and the final outcome is mainly targeted at coming up with an effective criteria for investment for Tiffany & Co. To come up with concrete recommendations, this study will focus on all the most trusted company profitability, growth and development analysis, evaluations and strategies, thus: the company’s commitment to CSR, potential to expand, profitability, adaptability, rising stock price, and competitive advertisement.

Plz see attachments Essay Example | Topics and Well Written Essays - 1250 words

Plz see attachments - Essay Example In the place that was referred to as the New Spain, St Augustine was the first place to be established (James et al, pp 36). Here was occupied mostly by Indians that were converted to Christianity. At the time New Mexico established, it collapsed because of inadequate wealth. In the New England, separatists and Puritans constituted the population. Following the dissent and reformation of England, the people of England stated to arrive in the new America for the reasons of religion. New England colonies were made up of mostly Catholics and puritans who banked their hope on putting their beliefs in practice with no interference from church hierarchy or England. The colonial extension under Castile’s crown was instigated by Spanish conquerors and grown by Spanish monarchy through its missionaries and administrators. Motivation for the expansion of colonies was increased Christianity faith and trade through local conversations. This took a period of over 400 years from the year 14 92 to the year 1898. To start with is the arrival of Columbus in the year 1942, over 4 centuries the empire of the Spaniards would extend across: in the present day in most Central America, Mexico and Caribbean island; most of American North that include Southern coastal, Southern western, California part of United States; and although not active, with territory claimed presently British Columbia; and states of Oregon, Washington and Alaska; and south America. At the start of 19th C the movements on revolution ended up in independence of many American Spanish colonies, with exception of Puerto Rico and Cuba, released in the year 1898 subsequent to the war waged by Spain against the Americans, together with Philippines and Guam in Pacific. The political loss of the last territories by Spain brought an end to the Spanish colonization (Kathy, pp 64) The settlements of the Spanish in the South West of America and English colonies in the New England in the 17th C may be contrasted in bas ically two ways. To start with, their political patterns were based entirely on different government systems and classes of ruling. Secondly, they used different economic development avenues. The settlements of the Spanish started with Cortes while some conquered Americans of central, south and south west of North America. Following the eradication of a big part of the population of native America, the Spanish started intermarrying with the Native Americans. Consequently, only part of that population composed of pure Spanish. The Spanish held the highest political and social status. The native from Spain were a step ahead of the ones that were born in America while the ones who had Indian heritage or mixed were bottom placed in the social hierarchy. Moreover, as the Spanish arrived as conquerors, consequent system of politics was purely solely and autocratically aimed at extending the motherland. Just after have the Americans conquered, the Spanish stole huge portions of silver, gol d and some valuables. The tradition made a step into the 17th C as the Spanish ships came to America to ferry these valuables like gold and silver to Spain. Through this, the Spanish perceived the Spanish America to be a useful tool to use in its objective of mercantilist. As mercantilism was its sole objective, Spain issued its colonies with slight self rule. Instead, the Spanish rulers decided every policy governing the territories of the new world (Kathy, pp 70) Coming back to the English, their settlement was peaceful on the North

Thursday, August 22, 2019

Defending Mersult Essay Example for Free

Defending Mersult Essay What is justice? Is it when a person’s demise makes society feel better? Or is it when a suspect gets acquitted of all charges brought against him? Wherever there is justice there is obscurity. No matter how it is looked at, there is no real justice in the judicial system. In Albert Camus â€Å"The Stranger† the narrator, Meursault, is being trialed for the murder of a man he encounters at the beach. At his trial, the prosecutor makes much of Meursault’s demeanor and the prosecutor focuses on irrelevant information like Meursault’s failure to properly show grief at his own mother’s recent funeral. The prosecutor based the trial on events which had taken place prior to the murder. Even though, his points did not have the connection with the murder which the prosecution maintained. Therefore, the prosecutor created an unfair trial, by not giving Meursalt adequate time to speak in his own defense, bringing up irrelevant situations such as his relationship with his mother and his beliefs. Meursault was not given the chance to defend himself because of questions from the prosecutor and lack of knowledge of his lawyer. The case was rather built upon his lack of feelings towards his mother’s death and his choice not to believe in God. Typically, throughout a trial, the defendant is given time on the witness stand to plea innocence, and explain why he committed the crime. Meursault, however, stood before the judge and was asked yes or no questions. This left him with little or no time to plead his case. Before he could say anything else, he was back on his way to the jail. Meursault said, I didnt even have time to think. I was taken out, put into the van, and driven to prison (Camus88). At first he did not know what was going on, but knew he wanted to say something. Then every time he would try to say something, his lawyer would simply say â€Å"Just keep quiet- it wont do your case any good (Camus98). Meursaults lawyer would not let him say anything, and this bothered Meursault. Every now and then, during the trial, Meursault would have the urge to stand up and yell in his head, Wait a minute! Whos the accused here? Being the accused counts for something. And I have something to say â€Å"(Camus;98).This made Meursault feel alienated from the trial that was going to determine the rest of his life. The prosecutor had involved his personal feelings about Meursaults beliefs into the case, which was definitely not needed. The prosecutor had repeatedly asked Meursault about his belief in God, and eventually got agitated because Meursault did not believe in God. â€Å"drawing himself up to his full height and asking me if I believed in God. I said no. ‘Do you want my life to be meaningless?’ he shouted†(Camus;69). The prosecutor had absolutely no right to bring personal feelings about Meursalt into the case. He clearly was mad and irritated, because Meursault did not believe in God. The prosecutor was offended at the fact that, he had no belief, because of this he began to mock Meursault. â€Å"That’s all for today, Monsieur Meursalt† (Camus; 71). As a prosecutor you are there to do your job, and not to build relationships or hatred for people. However the prosecutor had allowed Meursaults views to dictate the outcome of the trial. The prosecutor went about the whole trial, asking Meursault, his acquaintances and also his friend’s personal questions about his relationships with people. The prosecutor focused mainly on the irreverent events that had happened prior to the trial. The prosecutor focused on his reaction to his mother’s death and relationship with her. Firstly, Meursault is a human being with a lack of emotions. Maybe most of the people will get freaked out or think that he is a monster, but he actually isn’t. For example, he loves his mother and care for his girlfriend Marie, but he just doesn’t have the strong emotions for them. He doesn’t cry on his mother’s funeral, he thinks marrying another girl will be the same. However Meursault lifestyle is indifferent, it’s quite hard for him to show emotions, on the other hand, because of this Meursault should not be judge. Nonetheless the prosecutor somehow found his relationship, with his loved ones to be relevant to the case, when it was not. â€Å"He asked me why I had put Maman in the home. I answered I didn’t haven’t money to have her looked after and cared for†(Camus;88). As one may see, the prosecutor had personalized the case by asking him why he had put his mother in a home. Meursault inability to care for his mother was irreverent, however because the prosecutor may had feel that Meursault is â€Å"monster† for putting his mother in a home, he wanted everyone else to have the same perspective. The case had end up focusing on the relationship his mother and how bad of a son he was to her, rather than the killing of the Arab. The prosecutor had brought the director in to witnesses, badgering the director with unnecessary questions about the relationship. â€Å"He had asked whether Maman ever complained about meTo another question he replied that he had been surprised by my calm the day of the funeral†(Camus89). As it is shown the prosecutor was more interested by Meursault lack of emotions and lifestyle. Throughout the whole trial the prosecutor was more so trying to prove everyone that Meursault was a bad son and self centered person. In conclusion the judicial system may definitely be corrupted at times and proceed unfair sentences. Just as Meursaults trial which was based on emotions of the prosecutor rather than the facts of the day of the killing. The prosecutor relied on events prior to that day, which were absolutely not significant to the ruling. Meursault’s relationship with his mother and how he had decided to proceed with his life had no connection to the trial. The prosecutor had also not given Meursault an ample amount of time to answer or prepare for is questions, it happened all so fast for Meursault. As a result, he created an unfair trial and unrelated points against Meursault. All in all the interpretation of these events, provided by the prosecution was largely unfounded.

Wednesday, August 21, 2019

The use of child labour to maximise profits

The use of child labour to maximise profits Many companies agree that  maximising profit is a key aspect of their  business objectives. To what extent, then, is it justifiable for them to utilise child labour in carrying out this goal? (3153 words). In this paper, the main focus will be on child labour and the issues surrounding the topic. I will consider how businesses behave in regards to child labour, both from a business and an ethical point of view. There are two key arguments; should businesses utilise cheap labour to lower production costs? Or do they have a duty of care in order to prevent children being exploited within their business? For the purpose of this essay I will examine various theories in conjunction with how businesses apply them. For example, I will analyse the Milton Friedman theory of business, in regards to multinational companies, and how it affects their behaviour towards child labour. Other theories to be considered include Marxism, Egoism and Ethics of Right. In conclusion I will assess how companies behave towards the issue of child labour; as an ethical and financial advantage, or as an unethical view. I will also give contemporary examples of child employment. Often child labour is confused with child work but Whittaker claims that there is a clear distinction. For example, a child performing a newspaper delivery before going to school is a child worker: This is because there is no economic compulsion forcing the child into employment. Rather the child keeps his wages and spends them on such peer group necessities as the latest style jeans, records or, increasingly, videos and home computers. By and large nobody forces him to go to work. (1986, p20) Lavalette (1994, p.8) However, child labour is defined as: Work which does not take place under such relatively idyllic conditions. It is defined as having an element of economic compulsion associated with it and, according to Fyfe, involves time and energy commitment which affects childrens ability to participate in leisure, play and educational activities. Finally, child labour is work which impairs the health and development of children (Fyfe 1989, p4) Lavalette (1994, p.8) Michael Lavalette (1994) explains that child labour exists because of two reasons: Children are an example of a reserve army of labour, drawn into the labour market when it is tight to provide extra labour power. Lavalette (1994, p.2) This suggests that when labour is in high demand and there are insufficient adult workers, businesses tend to use children as a back up. Secondly, Children work in backward regions of the economy where unemployment is highest and poverty most severe. In these circumstances children work to alleviate their familys hardship. Lavalette (1994, p.2) This means that child employment occurs mainly in poverty and where the children have to support their family financially. Many people frown upon this exploitation of children. But one must consider to what extent is child employment justified? Many children in poverty try to avoid stressors such as violence, sexual or emotional abuse. One of the easiest ways for children to avoid these stressors is by engaging in active labour. Thus, from a childs point of view, it can be justified for children should work to in order to avoid being emotionally, sexually or violently abused. Consideration must be given to the employers view. Due to globalisation, outsourcing has become a trend in businesses. By outsourcing, it is possible for firms to exploit wage differentials around the world. This then allows for production at a much lower cost, and therefore maximises business profit. However, this approach is argued to be very unethical and shows how profit driven business objectives relate to the the Milton Friedman concept: Friedman argued that the social responsibility of business is to seek profits for the stockholders Bowie (2002, p.2) This indirectly suggests that in order to lower costs and to promote profit maximising prospects that arise with globalisation, businesses need to take advantage of these global opportunities, otherwise they may be forced out of the market by other competitive firms, Globalization and liberalization of markets and intensifying competition in commodity markets have increased demand for labour in developing countries. There has been a significant outsourcing of economic production from the developed countries to the developing countries due to globalization. Anon (1982, p.5) This further supports that The successful quest for cheaper labour implies child labour. Rahikainen (2004, p.210) This gives further weight to the argument that Children are the most subordinate and cheapest form of labour, thus highly attractive to some types of employer Fyfe (1989, p. 17) All of the quotes above interlink with each other to explain why companies use children as a cheap form of labour. The levels of child exploitation and oppression are significantly higher where there is no, or limited, regulation for childrens labour market activities, where legal requirements are easily and consistently ignored Lavalette (1994, p.13) The majority of companies believe survival is essential in a globalised economy and therefore they exploit these conditions to fulfil outsourcing opportunities, because they. The majority of child labour is said to occur in Asia. Save The Children estimates that 61% of working children live in Asia Youth Information (accessed 25 April 2009) Labour-intensive consumer-goods industries increased productivity by pressing the advantages of the division of labour, and cut wage costs by the extensive employment of women and children. Rahikainen (2004, p. 32) Some children are exploited to do certain adult jobs because they can perform the task more effectively and efficiently In certain industries like copper making and electronic assembly, children are more skilful because of the dexterity of their small fingers. But children, because of their dependent position, are the most easily exploited of all workers Fyfe (1989, p.32) The world of work (employers and other unscrupulous people) seems to pull children because they are very cheap and obedient, can be easily exploited, do certain things more efficiently and effectively which adults fail to do (e.g. Nimble Fingers). Herath and Sharma (2007, p.56) This is a way of decreasing wage costs because children are doing adult work, but are not being paid the adult wage. The managers are able to exert more control and authority over children, because they are less likely to retaliate in comparison to adult workers who are aware of their employment rights. This is very money driven based business and can be related to the ethical theory of consequnetialist, a consequence based approach, the egoism theory. Egoism refers, in terms of philosophy, to theories in which self-interest is regarded as the principal motivating factor Encarta (2009) Which in this case the self interest would be profit. This can relate to child labour as all they care about is lowering costs and increasing sales to increase profit not human rights of children. This deduces that they ARE self motivated by money (self interest) hence following the egoism theory. However Lavalette stated that Fyfe and Whittaker suggested Child labour can be either good or bad depending on the context in which it takes place Lavalette (1994, p. 8) Businesses can see child labour to be an advantage not only because of lower costs, but as it is taking children off the streets. They support children by providing a job and maybe even benefits (depending on the company). This gives the company an ethically moral image because they are seen to be providing child employees with basic needs. This helps the children lead a healthy life, which they may not receive by living on the streets. Where children are individually employed, they may be paid in kind, receiving board and lodging in the household of their employer Anon (1982, p. 480) Moreover, by companies not employing children, there is a danger that they could be out on the streets and involved in prostitution, drugs or crime. Those underage who would be saved from child labour for example, from working on carpets or footballs could be driven into prostitution or destitution. Munck (2002, p.130) And as a result of employing children it is shown that Child labours are better off than a great number of children elsewhere who do not work, but who do not eat Lavalette (1994, p.44) However not all child employees live on the street, some also hold the responsibility of their familys well being instead. Poverty forces families to send their children out to scratch whatever meagre living they can to help the family survive Lavalette (1994, p.13) Moreover, this supports that Childrens income is frequently far from supplementary: they may be de facto breadwinners, supporting other members of their family Anon (1982, p. 487) Furthermore, it gives the employer the image that they are helping children who have the burden of caring for their families. Furthermore, this extends the good corporate image, which, as a result could increase sales. This is because there is a greater awareness of this exploitation, but some see the advantages for the children and therefore promote the cause by purchasing the products to keep the children in a job and not in poverty or on the streets. However peoples perspective tends to differ. Proscribing child labour in the south without compensation would lower the living standards of those who are already desperately poor. Munck (2002, p.130) This give weight to the idea that all the advantages that both businesses and children gain from child labour, whether it keeps children off the streets or to support their family, or businesses gaining cheap labour would be removed by legislation to abolish child labour. This is not necessarily the right thing to do depending on what peoples perceptions are; whether children need to survive through active employment, or the fact that they are just children and that they should live like a child and not be required to undertake the stresses and physical damage working does to a child. This leads onto the next argument, that companies should help abolish child exploitation and should hold ethical and social responsibilities. Some companies avoid child labour because they want to be known as socially responsible. An example; GAP, in October 2007 a ten year old was found in the back streets in New Delhi the conditions were quoted by the Observer to be close to slavery, he was sold by his parents to the sweatshop making gap toddler clothing. But as Gap wants to be known as socially responsible their policy they enforced was: that if it discovers children being used by contractors to make its clothes that contractor must remove the child from the workplace, provide it with access to schooling and a wage, and guarantee the opportunity of work on reaching a legal working age. McDougall (2007) The only reason that this unethical employment of children wasnt revealed any sooner to Gap was that they were subcontracting companies who hired child labour however they did say that they still hold fully responsible; After learning of this situation, we immediately took steps to stop this work order and to prevent the product from ever being sold in our stores. McDougall (2007) In recent years Gap has made efforts to rebrand itself as a leader in ethical and socially responsible manufacturing, after previously being criticised for practices including the use of child labour. McDougall (2007) This is an example of taking corporate social responsibility which gives the company a better image. Other revelations of companies associated with child labour include Primark which took actions and decided not to trade with the suppliers anymore and took their clothing off the shelf. Nike also established rules to increase the minimum age workers to 18 in Asian footwear factories and to offer free educational classes and to improve the air quality of the plants. However, There is ample evidence that child-wage labourers continue to work even when minimum age legislation exists. Fyfe (1989, p.17) This shows that some businesses are not socially responsible and breaching the Acts provided to protect the children from exploitation, and therefore should follow the steps to correct their actions. This could be what Karl Marx proposed in The Communist Manifesto: Free education for all children in public schools. Abolition of childrens factory labor in its present form. Combination of education with industrial production, etc. Marx (1884) His view was simple in that all companies should abolish child labour and children should be entitled to have free education and by following and providing this, it would help offset the businesss image as child employers to an image of socially and ethically responsible. Additionally the company should take care when sub-contracting to make sure that no child labour is associated with them and not just within its own business. It is small scale enterprises or sweatshops, often operating as subcontractors to larger enterprises, that are most adept at avoiding the usually inadequate factory inspectorate Fyfe (1989, p. 17) Even though large companies are against breaching human rights they still need to look carefully at who they are contracting. An ethical policy that should be pursued by companies is ethics of rights, which states that every human being has basic rights and freedoms that they are entitled to from birth and should be respected by others in every way. If an individual has a moral right, then it is morally wrong to interfere with that right even if large numbers of people would benefit from such interference. Velasquez et all (1990) By exploiting human rights, the corporate image perceived by potential customers would be lacking of corporate social responsibilities. This can have an adverse effect in the number of sales. Moreover, in the short term by exploiting human rights and employing children could lower costs, but the longer term consequence of this approach could lowers sales figures. This could be that customers disregard any product that hasnt been fairly made or is unethical. Therefore, by employing children, it does not give a large margin of advantages. This matter of exploitation could also attract protestors or agencies that are all about protecting children, for example UNICEF. They can create a bad image for the business. This can attract the media and possibly authorities leading to fines and prosecution of breaching Acts. For example, the Children and Young Persons Act 1933. On another point, employing children is cheap but the efficiency and quality of the work is sometimes not up to the minimum standard depending on the work so technically the company loses out by quality hence sales figures are affected. Children who undertake adult work tasks: do not possess the physical and mental capacity that these jobs call for, and their work is usually done less efficiently than if it were performed by an adult Lavalette (1994, p.44) This depends on the jobs but in this case I refer to the job being hard manual work. There are many disadvantages for a child starting work at an early age Child labourers are usually dismissed once they become adults, forcing them to join ranks of the unemployed. The low-level skills they have gained are often insufficient to allow them to obtain further paid employment Herath and Sharma (2007, p. 39) Even though the children are being fed it does not mean that they are living a healthy life. In 28 countries, the average per capita intake of calories is 73 to 89 per cent of what is required but it is lower for the poorer segment of the population, from which most working children come, even though their work raises their nutritional requirements. Working children also become more susceptible to infectious diseases including tuberculosis, if they suffer from malnutrition, anaemia, fatigue and inadequate sleep. Fyfe (1989, p. 21) Child labour causes not only loss of formal education and human capital but also the lack of social and cognitive skills and increased health hazards Herath and Sharma (2007, p. 18) It is argued that every child should have a childhood where they play and to be educated to better their future. Children are not little adults their fundamental right is to childhood itself Fyfe (1993, p. 5) Businesses should help their child employees found within the business to clear their name and their image that are perceived to be by the public. This should include free education and any other actions to correct this exploitation this will in the long run help with the corporate image and sales and potential employees in the future. In conclusion children are among the most vulnerable and powerless and continue to be exploited as part of a downward push on costs and a rapid withering of decent, formal employment. Solidarity Center (2008) There seems to be ample evidence to support the school of thought that child employment is acceptable, because companies are keeping children off the streets, prostitution etc. Some businesses try to be labelled as socially responsible instead of child labourers as they strive to give good benefits such as the right health and safety measures, schooling, food and shelter and many others. However 2 questions that I find myself to ask: Does giving benefits make them socially respectable for still employing young children? Just because they are giving them benefits does that mean that it counteracts that children at a young age are being worked? Is this still ethically right that they have to work for education? (a basic right for any child). Does this remove the idea that they are child labours just because they give the children benefits? Another argument is that the businesses may claim they are giving all these benefits, but how do we know as part of the public that the businesses are carrying out these promises as we do not have an insight within the business? Overall, if companies argue that they are helping the children but are infringing on human rights in order to stay in the market with other competitors, it shows clearly that their aim is to compete with other companies and to gain maximum profit which shows how egoism theory of self interest (in this case profit) and Milton Friedmans theory of businesses work for profit only. This relates to the money driven mind and a lack of respect for human rights whatever the age. Such companies and should follow Karl Marx proposal and respect human rights. The loss in profits from abandoning child labour will be offset by an image of social responsibility which has a positive impact on sales. By giving benefits I dont believe that this makes the business socially acceptable, because children shouldnt have to work for basic entitlements. This is where the government should be involved and help to provide with these entitlements. In conclusion of the essay I have found that child labour effects business image mainly and which way it is perceived by the public in their own views of what is justifiable and what is not, is what affects sales which hence affects profits. Majority of the public think that child labour was abolished in 1989 but it is still continued to be found in the 21st century today in large multinational companies mainly and needs to be intervened by more enforcements by the government.

Tuesday, August 20, 2019

Polymerisation of Light Cured Resin Cements

Polymerisation of Light Cured Resin Cements Discussion (3000-4000 words) Resin-based composite cements are widely and commonly utilised for the cementation of all-ceramic restorations to the prepared tooth structure because clinical studies have identified that using resin cements for this purpose enables the all-ceramic restorations to have an increased fracture resistance in service and thereby improved clinical performance (Kilinc and others). However, this purpose is only fulfilled optimally if the light-cured resin cement is adequately cured to achieve a sufficient degree of polymerisation. In order to initiate the curing reaction, light energy of an appropriate intensity and wavelength must activate and excite a sufficient number of photoinitiators in order to generate an adequate quantity of free radicals. The generated free radicals can then interact with the C=C bonds within the resin monomer and initiate the polymerisation reaction which results in the formation of a polymer (Dias et al, 2008). An adequate cure would consequently determine the s trength of the reinforcement that is achieved via the application of a resin cement to the ceramic specimens. Light transmission Talk about LT at different distances. Increasing the distance decreases both LT and DC. Lack of light can be overcome by increasing light intensity or increasing exposure time In this study, light-cured resin cement was utilised and adequate LT of restorations is even more pivotal for the for the polymerisation of these light cured resin cements because all these cements can utilise is the light that is transmitted through the restoration, or in the case of this study, the ceramic disc (Kilinc and others). The presence of a ceramic disc also restricts the transmission of light to the resin cement as according to Strang et al, a ceramic is capable of absorbing between 40-50% of the curing light (Passos et al, 2013). In this study, light cured resin cement The light transmission in this study was proved to be affected by the thickness and opacity of the ceramic disc as well as the distance from the curing tip. The translucency of a ceramic depends on its crystalline structure, light refractive indexes and the thickness of the ceramic (Kilinc and others). An opaque material may be ideal for aesthetically demanding clinical situations but opacity has been shown to affect light transmission as well as the polymerisation of the resin cement. It is clear from the results in this study that increasing the thickness or opacity of the ceramic disc decreases light penetration through the disc (Duran et al, 2012). A ceramic disc of increasing thickness or opacity would allow lower light energy to be transmitted through it and resultantly, lower LT. An opaque ceramic contains a higher percentage of chroma and this chroma pigment has the ability to absorb light, therefore less light is transmitted through the ceramic and consequently, negatively influencing the polymerisation of the resin cement (Passos et al, 2013). The results also highlighted the fact that the polymerisation was adversely affected with increasing thickness or opacity of ceramic specimens. The presence of a ceramic disc would influence light attenuation and therefore decrease the number of photoinitiators that are activated in the resin cement. The consequence is a lower DC (Filho et al, 2010). Most clinicians implement a curing regime of 400mW/cm2 for 40 seconds and this is thought to be generally enough for adequate polymerisation when applied directly on the ceramic restoration. The ISO recommend a curing light intensity of 300mW/cm2 and the depth of polymerisation should be no greater than 1.5mm. In this study, the curing time used was 30 seconds at an intensity of 800mW/cm2 (Akgungor et al, 2005). In the darker shades and thicker ceramic specimens, (give combos) had reduced light transmission as low as values†¦ therefore, the resin cement cured through these groups of ceramic discs were far from possibly achieving adequate polymerisation (Kilinc et al, 2011). Another option is to use dual-cured resin cements and dentists and clinicians tend to prefer to use dual-cured resin cement systems when cementing all-ceramic restorations because of the important of achieving adequate light transmission through the indirect restoration, which would consequently lead to an optimal degree of conversion of the cement layer, and the chemical reaction of dual-cured resin cements theoretically guarantees a satisfactory polymerisation of the cement as it could compensate for the lack of DC obtained via photo-activated means which would consequently improve clinical performance. The chemical polymerisation of dual cured resin cements is expected to guarantee the cure of the material even in the deeper regions where limited light reaches (Indian journal of dental research). The lower light transmission influences polymer development by primarily decreasing the C=C bond conversion since the polymerisation process is reliant on on the light exposure to both the ceramic but most importantly, the resin cement (Ilday et al, 2012). The lower the degree of light reaching the luting agent, the lower the degree of polymerisation and consequently, the lower the success and longevity of the resin-strengthening mechanism (Pazin et al, 2008). Light transmission through the ceramic and to the resin cement is vital because if the ceramic restoration/disc prevents polymerisation light from reaching the resin cement layer, causing inadequate polymerisation of the cement layer. This consequently affects the strength of the restoration and the risk of debonding is higher in poorly polymerised cement (Akgungor et al, 2005). During the process of light activation, the light passing through the ceramic is absorbed and scattered. Thereby, the light irradiance produced by the light source is attenuated and its effectiveness is reduced as the ceramic thickness increases (Filho et al, 2010). This was proven in a study by Meng et al, in which it was shown that a light intensity of 800mW/cm2 decreased significantly to 160mW/cm2 after light transmission through a 2mm thick ceramic specimen (Filho et al, 2010). The greater the LT through a ceramic material, the greater the irradiance reaching the resin cement surfaces and accordingly the greater the DC and mechanical properties (Pick et al, 2010). The light transmission through a ceramic restoration may affect the degree of polymerization of resin cements, because the amount of light that reaches the cement layer is decreased.10In general, the factors affecting light transmission through a ceramic material include the thickness and shade of the ceramic material, its microstructure, and the presence of defects and porosities. However, the thickness of indirect materials interposed during photo-activation is a key factor for light attenuation, and polymerization generally decreases as thickness increases.12 The physical and mechanical properties of resin cements may be affected by the thickness and microstructure of ceramic restorations. It is important to emphasize that light-cured resin cements should receive an adequate energy density to reach good polymerization and mechanical properties. Furthermore, only effective photo-activation may ensure clinically acceptable hardness levels of dual-cured resin cements, mainly in criti cal areas. Considering these issues, further studies are needed to find a way to compensate light attenuation aggravated by the interposition of indirect restorative materials. http://www.duhs.edu.pk/download/jduhs-vol.7-issue-2/9.pdf DC Increasing the distance, thickness or opacity of ceramic/resin cement layer would mean that the top few millimetres of the resin cement would adequately polymerise and the remaining material would poorly polymerise due to lack of light (Silva et al, 2009). Insufficient curing also enhances the solubility of the cement which is the common cause of debonding of the restoration (Dias et al, 2008). As the properties of the resin cements are directly related to the degree of polymerisation, the resin cement used for cementation was measured using FTIR. Favourable resin cement polymerisation is vital in order to obtain optimal properties of the cement in order to prolong the longevity and clinical performance of the overlying all-ceramic restoration (Ilday et al, 2012). Various studies have stated the importance of a high monomer-to-polymer conversion with a highly cross-linked polymeric network in order to obtain a clinically successful resin-based restoration. The presence of an increased amount of monomers decreases both DC and mechanical properties and the fracture resistance of the restoration (Francescantonio et al, 2013). The DC% of the resin cement was decreased under the darkest, thickest ceramic combination than under the thinnest, lightest ceramic. The clinical performance of both the resin cement and the ceramic restoration depends on many important factors, with one of these being the degree of polymerisation (journal of the Serbian chemical society). One way of assessing the DC of the resin cements is through the use of Fourier transform infrared spectroscopy (FTIR) which detects the C=C stretching vibrations directly before and after curing of the resin cement material (Obradovic et al, 2011). Several factors have been shown to influence the polymerisation of resin-based cements such as the thickness of the resin cement layer, the intensity of the light source as well as the type of light source used, the distance from the curing tip and the duration of curing. The composition of the resin-cement can also affect the rate of polymerisation via factors like the polymer matrix, the filler particles and the coupling between matrix and filler (Obradovic et al, 2011). After a certain period of time, the DC graph appears to straighten off with no increase. This limited conversion is due to limited mobility of the radical chain ends and this limits the conversion of the pendant methacrylate groups from monomer to polymer (Obradovic et al, 2011). During the process of light activation, multiple growth centres are produced and the matrix transforms from a liquid to a viscous phase via the production of a polymer network from a monomer, i.e. the process of gelation. However, subsequently, the polymer network is highly cross-linked as most of the monomer is converted to polymer which results in the link between the monomers and the oligomers with the network being restricted due to limited diffusion (Filho et al, 2010). With light activation, there is a production of free radicals via the excitation of photoinitiators which enables the initiation step to occur instantaneously. As the propagation phase proceeds, the resin cement changes from a liquid to a viscous gel state, thereby making it increasingly difficult for monomers to diffuse to the polymeric growth centres. As a result, as the polymerisation reaction proceeds, less monomer is converted to polymer (Mendes et al, 2010). The rate of polymerisation reduces as the reaction proceeds due to the formation of fewer polymer growth centres. This promotes the formation of loosely cross-linked polymers and poorer mechanical properties (Silva et al, 2009). Adequate polymerisation of the resin cement is crucial for stability, optimal mechanical properties and the clinical performance of the indirect all-ceramic restoration. Furthermore, a greater degree of polymerisation would result in a greater bond between the resin-cement and the ceramic and consequently, maximum bond strength (Ilday et al, 2012). Along with using thinner or less opaque ceramic and resin cement layers, the cure depth of the resin cement, the degree of conversion and consequently the strength of the restoration can be increased by longer light exposure times or increasing the light intensity (Ilday et al, 2012). The latter two factors were not evaluated in this study. Insufficient polymerisation commonly causes early failure of the cemented all-ceramic restoration (Duran et al, 2012). BFS Flexural strength were found to show a relationship with conversion of double bonds with the resin cement (Ozturk et al, 2005). Ceramic specimens luted with a resin luting agent exhibited greater flexural strengths than the specimens without any form of luting agent (Pagniano et al, 2005). Look at pagniano journal for more info- if space left. The discs were left for 24 hours prior to BFS testing because the cement undergoes polymerisation for 24 hours after curing and if BFS was tested straight after curing, then the cement would not have reached the maximum polymerisation possible and therefore the risk of debonding and poor flexural strength is greater (Akgungor et al, 2005). The magnitude of strengthening is reliant on on the flexural modulus of the resin cement. This can also be known as the modulus of elasticity. (value of resin cement according to dr Addison journal). The modulus, in other studies, has been identified to be between 7 and 12 GPa. The elastic modulus of the cement is vital to study because it is related to how effectively stress can be transmitted between the all-ceramic restoration and the tooth structure. Moreover, it provides an indication as to how well the cement can resist elastic deformation which ultimate would endanger the integrity of the bonded interface between the ceramic and cement. Ideally, the resin cement should have an elastic modulus that is between that of dentine and the ceramic restorative material (Braga et al, 2002). Flexural strength of brittle materials is likely to be more affected by surface defects or imperfections such as porosity, cracks and other related flaws. Specimen failure is thought to initiate at the bottom surface of the specimen and all ceramic specimens were placed with the non-irradiated surface facing towards the load application and therefore a lower DC would lead to a reduced flexural strength (Pick et al, 2010). From BFS testing, it was evident that a decrease in BFS generated at the resin-ceramic interface when testing the ceramic specimen (A3.5 at 1.40mm) with the lowest DC. Resin coating significantly increased the mean BFS of the greatest conversion system but not as significantly in the other two groups of ceramic specimens tested. It should be noted that the system with the greatest DC had the greatest change in BFS which highlights the importance of DC on the magnitude of resin-reinforcement that is achieved (Fleming et al, 2012). Despite the resin-reinforcement, it is suggested by Yesil that failure still occurs and the mode of failure is caused by surface flaws or flaws within the ceramic material, the adhesive layer, or the bonded cement and flaws in the interface (Yesil, 2009). Furthermore, in a different study carried out by Thompson et al, the results demonstrated that when clinically failed glass-ceramic restorations were analysed, the majority of these restorations failed because of fractures and most of the fractures initiated from flaws and stresses originating from the adhesive resin cement interface and not from the restoration contact surface (Yenisey et al, 2009). Clinically, the thickness and opacity of the ceramic restoration acts as a barrier to light penetrating the methacrylate resin-based composite cements. Therefore, the durability of the bond produced between the ceramic restoration and the resin cement as well as the interface between the cement and the surrounding tooth structure will be compromised. For resin-based composites, a maximum value of DC is ideally wanted in which there is complete conversion of the monomer double bonds to network contributory single bonds. However, the conversion is normally between 45-70% because vitrification stops the reactions by inhibiting diffusion (Isgro et al, 2011). The strength values may be different due to the absence of polishing in the ceramic specimens that were tested for BFS. The discs used in LT testing were polished whereas the ceramic discs tested in BFS were not polished. Instead, the internal fit surfaces of the dental ceramics were roughened to promote adhesion. The strength values obtained may have been affected by the absence of polishing of dental ceramic specimens prior to mechanical testing. (see Isgro et al, 2011) for more info. Give values of % increase between cemented and uncemented samples and the mean values. Look at Pagniano et al, 2005 for information on how the interaction between cement and ceramic affects BFS. Add if word count available. Future work Look at effect with different light output- look at Duran et al, 2012 journal. If space left, look at Pazin et al journal for info on degree of cross-linking. Look at SEM images Look at Molin et al, 2006 and Isgro et al, 2011 for info on contraction stresses for BFS In conclusion, adequate polymerisation is desirable to reduce problems associated with post-operative sensitivity, microleakage, risk of recurrent caries, discolouration, in addition to decreased mechanical, chemical and physical properties of the resin cement. Furthermore, it will compromise the clinical success and longevity of the restoration. Sufficient DC would also improve the biocompatibility of the restoration and most importantly, the resin cement layer by reducing the number of residual monomers that are leached into the oral environment (Kim et al, 2009; Yan et al, 2010; Braga et al, 2002).

Monday, August 19, 2019

James Fenimore Cooper :: essays papers

James Fenimore Cooper Many great people have told history. Stories of how we progressed from the small colonies to the country we are today have been passed down to every generation. We were given the idea of our triumphs, struggles, tragedies and adventures of history through story telling, and no- one tells of the adventure of history like James Fenimore Cooper and Nathaniel Hawthorne. They wrote with such a passion of history entwined with adventure that it swept you away into their world. After all, that is what makes a "classic" timeless, the passing down of history. Let us start with James Fenimore Cooper. James Cooper was born in 1789, and in 1790 his family moved to Cooperstown. The rest of his brothers had died and Cooper was the head of the household; he took on the responsibility of caring for his family. In 1803 he entered Yale and was expelled in 1805 for a prank. After serving on the Veruvius for three and a half years, he left the navy and married Susan Delancey. They had five daughter s and two sons. In 1826, he added the Fenimore to his name. But it was by accident that James Fenimore Cooper became a writer. He took a dare from his wife to write a better book than the English one he had been reading to her. Precaution was published in 1820. Though I completely understand why it won't be on anyone's nightstand, it does show us some importance to understanding Cooper's writings. We know that he critically observed the manners and morals of Europe during a seven-year tour of England and then upon his return to America, he remained a defender of American principles, but also a caustic critic of American Practice. The central idea of "Precaution" (1820) was parents taking more time to ensure the proper marriage of their daughters. Here, I believe he reveals an early interest in social themes and moral principles. The lack of the principle is what ultimately leads Jane to get her feelings hurt when the man she loves runs off with a new, young heiress. Though the characters are like lifeless cardboard, Precaution's theme dimly foreshadows what is to come next. If a reader was to read only Cooper's early fiction and perhaps a volume of his social criticism, they are likely to go away with the feeling of Cooper having several mistaken notions.

Sunday, August 18, 2019

Body Language Essay -- Papers Communication Physical Essays

Body Language 1.1 What is Body Language? Body Language is the unspoken communication that goes on in every Face-to-Face conversation with another person. It tells you their true feelings towards you and how well your words are being received. Between 50% of our message is communicated through our Body Language 40 % tone of our voices and 10% only are our words. Your ability to read and understand another person's Body Language can mean the difference between making a great impression or a very bad one! Reading someone body language can help you in a job interview, that meeting, or special date! Every one of us has experienced the feeling of like this person and not dislike that person but without necessarily knowing why. There was something about them. We often refer to this as a hunch or gut feeling, two descriptions directly relating to our own body's physiological reaction. Everyone has experienced the feeling that they have just been lied to, haven't they? We all here during a conversation have experienced the feeling that someone is lying to us. The words of the conversation probably weren't what we noticed as a direct lie. It was more likely to be the body movements that showed he is lying to us. Darting eyes, palms not visible, shifting from one foot to another, hand covering mouth or fingers tugging at the ear are clues. All the clues are there. Our subconscious picks them up, and if we're lucky enough to be perceptive, decodes them and tells us that the words and gestures don't match! Whenever there is a conflict between the words that someone says and their body signals and movem... ... non-verbal indication that you are both thinking along the same lines. It's not always this obvious...Body positioning The easy way to tell whether the person you're talking to is enjoying the conversation: The person is standing facing you with their body and feet pointing towards you and mirroring your positions. The tell-tale signs that someone's feeling uncomfortable or not enjoying the conversation: The person's head is turned towards you and appears engaged in the conversation - smiling, nodding etc, but their body and feet are pointing away from you. If someone's body is turned away from you it will be facing the place where they'd rather be. If they're pointed towards another person or the exit then it's time to terminate the conversation or do something to attract their full attention.