Friday, April 10, 2020
KTM Sportmotorcycle free essay sample
KTM Sportmotorcycle AG is an Austrian motorcycle, bicycle and moped manufacturer. The company was founded in 1934 by engineer Hans Trunkenpolz in Mattighofen. It started out as a metal working shop named ââ¬Å"Kraftfahrzeuge Trunkenpolz Mattighofenâ⬠and in 1954 the company began producing motorcycles. KTM, primarily a producer of premium off-road sports motorcycles, has been the fastest growing major motorcycle manufacturer for the past three years with a cumulative average growth rate from 1998-2001 of 31% in revenues and 50% in profits. Its improved financial performance enabled the company to pay down long-term debt and fund the capital expenditures associated with the companyââ¬â¢s aggressive expansion goals. However, the prospect of slowing growth in traditional motorcycle markets, coupled with the desire of the venture fund BC European Capital, which is holding 49% of KTM, to exit soon means that KTM will have to consider how to manage its resources to be able to facilitate this exit. Problem KTMââ¬â¢s top management has to decide on the most profitable direction for the companyââ¬â¢s future growth. We will write a custom essay sample on KTM Sportmotorcycle or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page There is a possibility for a geographic and/or product line expansion. Company characteristics As mentioned above, KTM is the fastest growing motorcycle company over the past three years. Their main focus is still on the Off-road bikes, as it represented 70% percent of their revenues. Their motto is to be the technological and performance leader, producing premium bikes in low volumes and with the best technology. They are committed to performance and their slogan is ââ¬Å"ready to raceâ⬠. Tools for Analysis We have used value chain analysis and the VRIO model to assess the overall company situation and the SWOT analysis to get a better overview of the decision that the company is facing. VALUE CHAIN ANALYSIS KTW ââ¬â READY TO RACE SWOT Strengths: Has a high reputation for being an adventure- oriented brand Was well prepared to produce state of the as distinctive engine***** and unique design High stylish with a distinction color that was well known Superbly efficient dealen **** simiplifies its inventory o**** also helped in advertising Weakness: Initially exploited by impostors No direct control on the selection of dealers, market investment, product***** etc. ********were more busy supplying to **** guys like ford, GM etc. Opportunities: Gain a resounding presence in Moto Gran Prix through the development of V4 engine-design A possible merger with Ducati the latter being a leader in facing success worldwide Can expand into Alt-Terrain vehicles Threats: Merger with Ducati, Italy might spell trouble because of the difficult business conditions in Italy Losing out on the on-road segment to brands such as Harley Porterââ¬â¢s 5 forces for the industry The only substitutes to racing bikes were racing cars which were much costlier. Hence the presence of substitutes was weak. Not many suppliers were present which could provide the resources to KTM**reliably. Thus suppliers beginning power was strong. The industry involves high investment in technology and RD which is difficult for a new entrant. Hence threat of new entrant is weak. *** were ready to pay *miums for the motorcycles since they *che buyers. Hence ** bargaining power was weak. Rivalry, overall effect was weak. Current strategy Building its brand image based on technological leadership and legacy of championship titles Partnership with companies like Red Bull. To appeal to the growingâ⬠¦Ã¢â¬ ¦Ã¢â¬ ¦Ã¢â¬ ¦. Growth Alternative: 1. Product line expansion On-road motorcycles: Joining with another firm In-house developments All-Terrain vehicles 2. Geographic expansion: Europe USA Geographic expansion ââ¬â Europe Pros: With the introduction of Euro, KTM has been freed up of valuable time spent on research and development and reducing dealer con** Expansion of the EU brings the new markets for KTM Cons: strict regulation and difficult business situations in some ****e Italy Geographic expansion ââ¬â US Pros: strong off-road market Cons: strengthening Euro made the exporting to US US suppliers were incapable of catering to KTMââ¬â¢s low volume, high techonology needs. Recommendations: KTM should go for product-line expansion for on-road motorcycles considering all alternatives. If it outsources the design and production of its major component, it co** **** **oduce thebike into marketplace*** SWOT Analysis of Bajaj KTM S. W. O. T Analysis Strength ââ¬â ? Bajaj is one of the most trusted names in two wheeler industries and has a strong goodwill from its legacy of ââ¬Å"Humara Bajajâ⬠and Pulsar bikes ? KTM is a well known brand known for its Style and Performance ? KTM Duke 125 is a complete package in terms of style and fuel economy ? Has a Strong distribution and service channel with its 1,100 service centre and 600 dealers all across India ? Experienced management having years of experience in bike launch ? Increase in purchasing power of youth and young professional ? 125 cc bike market showing a consistent growth as compared to other segment bikes in India ? One of the kind Duke 125 cc bike having 6 speed gear system for optimal performance and speed. ? Only performance bike in 125 cc segment that gives high fuel economy ? Bajaj has won several awards for its reliability, innovation, consumer`s preference and performance segment in past years. Opportunity ? To become a leader in 125 cc bike market by launch of Duke ? To increase market share through increased sales ? To make a trust of KTM in Indian market ,so other KTM bikes can be launched under Bajaj brand ? Opportunity for Bajaj to become a global brand in world through tie up with KTM Motorcycles. ? Create a shift in consumer preferences from higher end bike to small cc bikes which offers more style and fuel economy as compared to traditional bikes available. Weakness ââ¬â ? Highly competitive market ? Increase in fuel price which restrict middle income group from buying modern bikes. ? Price tag is $ 2,100 and many heavy cc bikes are available in that price Threat ââ¬â ? Pilot launch of KTM Duke 125 cc under Bajaj brand, it may tamper Bajaj image if the product does not meets consumer expectation. ? New modern design bike may not appeal to Indian consumer, irrespective of high sales at Global platform. ? Rumors that other competitors are also coming up in new and stylish 125 cc bikes in near future.
Monday, March 9, 2020
The Role of the Psychologist in Family Law Custody Battles
The Role of the Psychologist in Family Law Custody Battles Free Online Research Papers With divorce rates ever rising in Canada issues surrounding parenting after divorce are becoming more and more prevalent. As it stands 31% of marriages in Canada are ending in divorce. Of the 31% of marriages that end in divorce an even smaller portion end up in litigation. (Schuller Ogloff, 2002, p. 393) As a legal assistant in a family law office I see many of the most complex family custody disputes and many instances where the Court appoints a Psychologist to assist in the Judgeââ¬â¢s decision. Does having an expert third party involved in custody and access decisions offer the Judge a different perspective or simply reinforce what he or she already knows? Review of research on the Psychologistââ¬â¢s role in custody and access disputes demonstrates that the Psychologist does play an integral part in assisting families caught in litigation in forming a parenting plan that is in the best interest of the child or children of the marriage (Covell, 1999; Emery, Laumann-Billings, Waldron, Sbarra Dillon, 2001; Sorenson, Golman, Sheeber, Albanese, Ward, Williamson, McDanal, 1997). The use of a third party expert in litigation is not a new concept and should be more widely used when it comes to family law. Research indicates there to be greater satisfaction in families that go through litigation compared to those who go through mediation and greater satisfaction yet when families have an independent third party to assist in developing a parenting regime (Covell, 1999; Emery et al., 2001; Sorenson et al., 1997). Summary of Research The Law When examining family law matters we must understand the law as set out in the Family Law Act which came into effect on October 1, 2005 (Alberta Court Family Justice, 2005). The Family Law Act is intended to focus on the needs of child or children of the relationship and to put those needs first, it is also intended to streamline the Court process by encouraging the resolution of issues through mediation (Alberta Court Family Justice, 2005). Under the Family Law Act the word ââ¬Å"parentingâ⬠has replaced the words ââ¬Å"custody and access,â⬠this is intended to reflect that parenting is still the responsibility of both parents regardless of the breakdown of their relationship. Parents are to continue to share guardianship of their child or children after their separation until they agree on a parenting plan or the Court orders otherwise. The Court reserves the right to intervene where necessary and appropriate (Alberta Court Family Justice, 2005). Practice Note 7 allows for the Alberta Courts to appoint a Psychologist to a family law case for either an Assessment or Intervention. The Psychologist is referred to as an independent parenting expert and is appointed when in family matters there is no resolution possible and the Court needs an objective professional opinion to assist in looking out for the best interests of the child or children involved, the Court may also appoint an independent parenting expert to expedite and facilitate a resolution of specific issues that are better resolved in a non-adversarial fashion (Alberta Court Family Justice, 2005). When an Assessment is used in matters of child custody the independent parenting expert will examine both parent and child and provide his recommendations with respect to which parenting arrangement is in the best interest of each child. The expert will take into consideration the results of psychological testing, the mental health of the individuals being examined as well as any issues identified by the Courts as set out in the Assessment Order. The parenting expert may provide his or her input into the parameters of the Assessment and whether or not an Intervention may be more appropriate (Alberta Court Family Justice, 2005). Similar to an Assessment, for an Intervention an independent parenting expert will usually make his recommendation to the Court as to what he feels is appropriate for that particular case. There are several forms of Intervention, which include, but are not limited to, counseling, therapy, educational sessions such as Parenting After Separation, evaluation and recommendations. The expert may determine a parenting plan that is agreeable to all parties involved or he may terminate the Intervention if he feels it is not going to be useful (Alberta Court Family Justice, 2005). Research Covell (1999) argues that the existing system used in custody decisions is not really in the best interest of the child. In examining the current Canadian system she examines both cases with Psychologists involved and cases without. Covell indicates that the childââ¬â¢s best interests are best represented when a Parenting Plan is put to use. The underlying assumptions associated with having a Parenting Plan approach are as follows: parents enter the divorce process with little understanding of the impact it will have on themselves as well as their children; parents become self-absorbed during the divorce process and forget the best interests of their children; there will be future conflict between the parents; and that it is in the best interest of the child to have both parents involved in the parenting process. The assumptions as set out above are true to most custody cases and therefore a Parenting Plan tends to offer a long-term solution to custody arrangements, which in turn more often offers greater stability to the child or children involved. Emery et al. (2001) examines follow-up data obtained twelve years after either mediation or litigation in custody disputes. In this study litigation was not broken down into cases in which a Psychologist was involved and cases in which one was not. Mediation was provided through a court appointed mediator, not a Psychologist. In contrasting litigation to mediation Emery et al. found similar to Covell that those who went through litigation were able to stick to a parenting plan over a greater period of time offering more stability to the child or children of the relationship. Those who went through litigation found that there was more satisfaction amongst each parent resulting in less post-decision conflict. Sorenson et al. (1997) examines a study of sixty families involved in contested custody cases in the State of Florida. Of the sixty families studied the most common custody arrangement involved granting one parent primary residency. They found that there was almost equal distribution of judges granting primary residency mothers and fathers; however, judges were more likely to grant primary residency to fathers when a Psychologist was involved. Without the involvement of a Psychologist it was noted that the judge would most often go with the Stateââ¬â¢s presumption of shared custody based on the childââ¬â¢s interests. Overall the research supports and emphasizes that there is greater satisfaction with the use of the expert testimony from a Psychologist in assisting the Courts in custody decisions. Faust and Ziskin (1988) are skeptics when it comes to forensic psychology and its relevance in law. They claim that the instability of method and theory inhibits the accumulation of scientific knowledge. Faust and Ziskin offer several arguments against the use of expert testimonies in the courtroom. Studies they reviewed show that cliniciansââ¬â¢ error rate exceeded their accuracy rate. Also in research reviewed clinicians generally are not experienced in the forensic role because they are more familiar with the role of helping patients. Faust and Ziskin feel that the clinicianââ¬â¢s tendency to empathize with people will cloud the Courtââ¬â¢s decision. Lastly, they believe that clinicians tend to overvalue supportive evidence and undervalue counterevidence, which leads to the presumption of abnormality when it might not be there. Overall, Faust and Ziskin believe that the expertââ¬â¢s testimony will reflect personal biases and can mislead the Courts. Analysis and Critique The research cited above is a small portion of the research that exists in the area of forensic psychology specifically family law. While Covell, Emery et al. and Sorenson et al. investigate the Psychologistââ¬â¢s role in custody decisions based on the satisfaction of the parties involved after the litigation process, Faust and Ziskin examine the process itself looking at the clinicianââ¬â¢s role as opposed to the outcome. Both methods of research although different have a consistent theme. It seems that bias exists throughout the legal system and when one adds an expert third party it adds the possibility of greater bias. When comparing the research of Covell, Emery et al. and Sorenson et al. it is evident that structure increases satisfaction as well a stability in the outcome of custody cases. Covell offered mainly suggestion of the best approach to psychology in family law stemming from her research of the childââ¬â¢s best interest that in some regards is a bit of a stretch from the data used. Emery et al. and Sorenson et al. relied on surveys from longitudinal studies post-custody decision, the groups were between thirty-five and sixty all randomly selected which reduces researcher bias but increases variables. Suggestions for Future Research With the amount of variables that exist in family law it would be ideal to have a study longitudinally examining families who have gone through the litigation process for custody arrangements comparing the outcomes of cases using a Psychologist and those that do not. The families would need to be of similar socioeconomic status, have the same number of children and have parents who reside in the same city. Also, for consistency, it could be useful to ensure that families studied have similar family structure post-divorce i.e. having step-parents/siblings etc. A longitudinal study allows us to understand what truly works and what does not in terms of child custody arrangements over a long period of time. Although somewhat unrealistic, it would all be interesting and informative to do a comparison of a Judgeââ¬â¢s decision for custody in comparison to a Psychologistââ¬â¢s recommendations when given the same case and track the discrepancies between the two using several cases and several Judges and Psychologists in the same area. This would allow not only for the Psychologists and Judges to be compared but it would give insight into the discrepancies that exist within each profession. Opinion When reaching a custody agreement between parents is impossible litigation is the best option. Litigation offers a structured environment to resolve family law conflict. In a litigated case, when there are expressed concerns about emotional or psychological problems that adversely effect parenting abilities or the childrens emotional well-being, or when the partiesââ¬â¢ conflicts have become such that their hostility impedes any progress towards settlement, the services of a psychologist will be called upon by the Court to assist the decision-making process. The goal of the Court appointed Psychologist is to provide recommendations and input that can provide a basis for informed settlement discussions on residency and parenting plans that meet the individual needs of the family involved in the litigation. The structure of the Family Law Act incorporating Practice Note 7 creates a system where there is less inter-parental conflict and likely to be more meaningful involvement of both parents in the childââ¬â¢s life through an agreed to Court Ordered parenting plan. Through litigation using a psychologist it results in less re-litigation and therefore less disruption to the childââ¬â¢s well being (Covell, 1999). Conclusion Although it is difficult to track and research the role of the Psychologist in family law custody matters the research reviewed in this paper indicates that there is little negative to come from having an expert independant third party assist the Courts decision. Faust and Ziskin (1988) do identify that each party brings their own biases into the puzzle but the other research examined herein acknowledges the same and concludes that despite the potential bias, greater good comes from the Psychologists involvement. Whether a Psychologist appointed by the Court uses an intervention or assessment style to report to the Court he provides support to both the parents and child or children involved in what can be a very emotional experience. In addition to providing support to the family the Psychologist can assist both the parents and the Court to identify the best interests of the child which is the focus of the Family Law Act. References Alberta Court Family Justice. (2005). Albertaââ¬â¢s family law act: an overview. Retrieved November 11, 2006, from albertacourts.ab.ca/cs/familyjustice/ FLA Overview.pdf Covell, K. (1999). Promoting parenting plans: a new role for the psychologist as expert in custody disputes. Expert Evidence 7,113-126. Emery, R., Laumann-Billings, L., Waldron, M., Sbarra, D., and Dillon, P. (2001). Child custody mediation and litgation: custody, contact and coparenting 12 years after initial dispute resolution. Journal of Consulting and Clinical Psychology,69 (2), 323-332 Faust, D., Ziskin, J. (1988). The expert witness in psychology and psychiatry. Science, 241, 31-35. Schuller, R., Ogloff, J. (Eds). (2002). Introduction to psychology and the law Canadian perspectives. Toronto: University of Toronto Press. Sorenson, E., Golman, J., Sheeber, L., Albanese, I., Ward, M., Williamson, L and McDanal, C. (1997). Judges reliance on psychological, sociological and legal variables in contested custody decisions. Journal of Divorce and Remarriage 27(1/2), 1-25. Research Papers on The Role of the Psychologist in Family Law Custody BattlesThe Relationship Between Delinquency and Drug UseInfluences of Socio-Economic Status of Married MalesThree Concepts of PsychodynamicQuebec and CanadaComparison: Letter from Birmingham and CritoStandardized Testing19 Century Society: A Deeply Divided EraThe Effects of Illegal ImmigrationEffects of Television Violence on ChildrenRelationship between Media Coverage and Social and
Saturday, February 22, 2020
THe Irish Famine Essay Example | Topics and Well Written Essays - 2500 words
THe Irish Famine - Essay Example nineteenth century were severely underdevelopedâ⬠which ââ¬Å"had crucial implications for the working of the economy.â⬠1 However, it cannot be denied that the effects of the potato failure had long-reaching and detrimental effects upon the population at large. There were many reasons why potatoes emerged as the primary crop for Irish farmers to subsist upon. Potatoes are nutritious, easily grown and stored which made it the perfect food for the times and circumstances. The production of potatoes as a means of feeding the family, while all other crops and manufactured goods were used for outside trade or to further enrich the land for planting, enabled society to flourish in the first part of the century. However, when potatoes became suddenly unavailable, the hardships and deaths that followed were of catastrophic proportion. There have been a wide variety of theories as to why this happened, including the contention that the decline would have occurred regardless of what might have happened with the potato crops, but careful analysis has continued to demonstrate that the failure of the potatoes created a significant shift in the direction of Ireland that continues into the present day. This sad event in history has led people to question why it happened, the effectiveness of governmental remedies and how a similar event can be prevented in the future. The human suffering that resulted from the ââ¬ËIrish Potato Famineââ¬â¢ of 1846 to 1850 occurred predominantly due to the peasant class of Irish being reliant solely on one crop, the potato, for sustenance. Prior to the 1800ââ¬â¢s, the Irish grew several different types of crops, many of which would have been able to meet the humanitarian need that would arise in the failure of potatoes. These included barley, rye, oats and vegetables.2 However, British law, concerned with protecting British interests, introduced the protectionist legislation referred to as the Corn Law. This law, and subsequent laws
Thursday, February 6, 2020
Appraise the proposition that the bank failures and crisis of 2007-8 Essay
Appraise the proposition that the bank failures and crisis of 2007-8 could have been foreseen from academic work published prior to 2004 - Essay Example In the United States, the Federal Government was left with no option but to initiate a bailout program to secure the financial markets and control the crisis before it spread to other parts of the world. Over a period of time the crisis became a global financial crisis and many banking institutions around the world felt the shock. As the financial system faced rapid deterioration, many causing factors came to surface. There are many factors which have been pointed out as those which contributed to the banking crisis. This paper aims to analyze the literature which was developed prior to 2004 which contained information which could have been used to avoid the current bank failures and crisis which have reshaped the economy of the world. This paper will look at some of the root causes of the banking crisis and the ways in which it could have been avoided, while looking at the literature which was available prior to 2004 which could have been used to predict the crisis. A report by the Inter American Development Bank (2004) states that in order to avoid costly banking crisis it is essential to understand what causes them in the first place. One of the prime reasons for the banking crisis was the deregulation. In the past there have been incidents where deregulation of a particular industry showed similar trends. One such example is the airline industry which did well initially following the deregulation but eventually some of the airline service providers were forced to face bankruptcy. This is one example which could have been used to determine what the outcome of unmonitored banking and mortgage lending practices could have resulted in. Secondly banks did not consider the integrity of the borrowers when lending them huge amounts of money. Even individuals who were not fit to obtain loans were approved large sums of money. A) The US boom
Tuesday, January 28, 2020
Nazi Germany in the 1930s Essay Example for Free
Nazi Germany in the 1930s Essay Jews faced several problems that made life very difficult and strenuous during the mid-1930s. People who were Jewish were often persecuted and treated as the worst class of people when it comes to social hierarchy. Throughout this time, there were many things happening to Germany that were of and related to government, which destroyed the ability for a Jewish citizen to have a positive life. There were several hardships and problems faced by Jews regarding emigration out of Europe. Also, Jewish people during this time period suffered from government and social ridicule, losing many rights and necessities that should be given to every human being upon birth. During the mid-1930s, Germany tried to persecute Jews by forcing their emigration from the country. This was caused by the anti-Semitic legislation in Germany. Jews were not allowed to take with them any more than $4 and very few belongings. Along with that, trying to get to another country was nearly impossible. With the terrible great depression that was occurring, other countries were afraid that immigrants would threaten local job opportunities, thus emigration out of Germany was very difficult for Jews (Obstacles to Immigration). All the documents required to leave the country were also nearly impossible to obtain. Jews often called these ââ¬Å"Bureaucratic Hurdlesâ⬠. These were up to 15 documents that could include 5 visa applications, 2 local citizen sponsorships, tax and financial documents, police conduct documents and evaluations, a physical, and proof of a booked passage to the new country(Documents Required to Obtain a Visa). According to Ann Jacobson , when she emigrated out of Austria, when it became part of the Reich, her father was only allowed to take $80 and they had extreme difficulty finding all the documents required to move (ââ¬Å"Flight From the Reichâ⬠). This was extremely fortunate for her to be able to get the opportunity to move, because for most Jews, obtaining such documents was nearly impossible. Overall, trying to emigrate out of a Nazi occupied territory in the mid-1930s was almost impossible, due to the legal and social restrictions posed by people and the government. Jewish lifestyle was often full of being discriminated against and mistreatment by non-Jewish citizens and government affiliated people during this time period. Many Jewish people lost their jobs and children were taken from schools (ââ¬Å"Flight from the Reichâ⬠). With the little things available for Jews to take with them due to confiscation and newfound poverty, Jews were figuratively chased out of Germany by Nazis (ââ¬Å"1938 Propaganda Posterâ⬠). Poverty is caused by lack of work, and Jews definitely were forced into poverty. An example of somebody being forced out of their job was Elisabeth Abegg. She was a teacher who was forced out of the position in 1933 for being of the Jewish religion (Rescue and Resistance 1). With no money, jobs, or hope for help from others, anybody would have struggled for shear survival. That is what these Jews were being denied during this time. They were forced out of a normal lifestyle, and constantly had to be looking over their shoulders for the government. A citizen in any country should never feel threatened or attacked by their own government. For the Jews trying to survive in this time period, the case was practically opposite. The government was brutal, and forcibly making Jewish people evacuate the country, yet made immigration to other countries nearly impossible. This is what made life so difficult for Jews during this time period. Eventually there was an establishing of the Nuremburg Laws, which caused Jews to lose citizen rights in Germany (ââ¬Å"Jews in Nazi Germanyâ⬠1). Some people tried to resist the movement, but were quickly dealt with. In 1933, Karl Barth opposed pro-Nazis and based his opposition on his biblical theology (Rescue and Resistance 11). He was expelled from Germany for his ââ¬Å"unruly behaviorâ⬠in 1935. When people got on boats to sail to new countries, the exit of Europe did not always guarantee complete freedom from the Reich. If Jews were to get on a Germany controlled ship, they were technically on German land wherever they were. It was best to get on an American controlled ship, so that Germans had no control over what happened to it or its passengers while in operation (ââ¬Å"Flight from the Reichâ⬠). If an emigrant was on a German controlled ship, like the St. Louis, problems could have occurred. This boat consisted to 900 or more people trying to go to Cuba. The government in Germany knew that Cuba had changed its mind about accepting these people yet they did not inform the passengers. When the boat got to Cuba, it was turned around with only 28 people admitted onto the island . The rest were sent back to Europe. Only half of those people sent back ended up surviving through the Holocaust (Voyage of the St. Louis). With the difficulty posed by the inability to obtain documents, and the process it actually took to get to a new country, emigration for Germans during this time period was seemingly impossible. Altogether, this time period was probably the most difficult time for a certain persecuted group of people to live. They were treated with utmost disrespect and extremely persecuted. Even though I am not a Jew myself, I feel extreme remorse for the Jews during this time period. Being able to relate to what these people went through is nearly impossible for anybody who would ever try to give themselves the task. These people are an example of how little wrong one must do in society to be treated in the most malicious of ways. The human race itself will always be the leading factor in the prevention of development, and this time period demonstrates this more than most others. When humans do and think like the Nazis did in the mid-1930s is when our race will reach ultimate failure. People do not deserve to be persecuted or mistreated, unless it is an earned treatment for negative behavior or acts. These Jews did nothing wrong, yet were treated worse by the Reich than any other people on the planet at the time. When looking for something to take away from this, one could take away the knowledge to know how destructive a simple persecution could become. It is not wise to single out any one group of people in any social context, due to the harmful global impacts made when this happened to the Jews. Humans are all born equally, and unfortunately are unable to treat each other as such. People should always be treated and given the title and rights they were born with. That title is a human being.
Monday, January 20, 2020
Private Development and Corporate Funding to Fight Shoreline Erosion Es
Private Development and Corporate Funding to Fight Shoreline Erosion At its simplest, shoreline erosion is the result of the combination of processes, both natural and manmade, by which shoreline and beaches are damaged or lost. For this discussion, wetlands are also included. There is an ongoing debate over the best way by which to preserve beaches, shorelines, and wetlands. Conservation extremists argue that limiting or restricting land use, and restoring damaged property with tax money represents the most prudent answer to shoreline erosion. Included in this position is the inherent role of government intervention to preserve Americaââ¬â¢s shoreline. There are many problems with the conservation position, and many advantages to the alternate solution --- private development and corporate funding. The most damaging factor to Americaââ¬â¢s shoreline is that of poorly planned development in environmentally fragile coastal areas that lead to erosion and various forms of pollution. The U.S. Army Corps of Engineers estimated in 1971 that 40% of the total shoreline of the lower 48 states was experiencing significant erosion. Wind and wave action associated with high tides are the cause of natural erosion. Damming rivers restricts the flow of eroded rock, which is the source of much sand (Rhinehart, 1997). These factors are best addressed by infusions of venture capital applied with sound business principles and sensitivity for environmental concerns. Sound planning by the private sector is essential. The number of people living within 50 miles of the U.S. coastline rose from 61 million to 130 million between 1940 and 1988. More than 50% of Americans currently live within 50 miles of the shoreline, but the figure is pr... ...ions Must Be Repealed.â⬠www.mcaffre_se@leg.wa.gov (2001). Spencer, H. (2000). ââ¬Å"Seawalls Bring on Raging Debate in Washington State.â⬠www.beachbrowser.com ââ¬Å"Development-Protecting Seawalls Debated.â⬠www.hosey-chehalis river council index.html Rhinehart, J. and J. Pompe (1997). ââ¬Å"Entrepreneurship and Coastal Resource Management.â⬠The Independent Review, vol. 1, No. 4. pp.543-559. Skousen, Mark (1999). ââ¬Å"The Battle for Diamond Head: A Case for Market Failure?â⬠The Freeman. Works Cited ââ¬Å"Coping With Shoreline Erosion in the Caribbean.â⬠http://www.unesco.org/csi/act/cosalc/shore-ero.htm. Online. Available. 23 March 2002. Nepf, Heidi. ââ¬Å"Longshore Drift.â⬠Microsoft Encarta Encyclopedia 2000. ââ¬Å"Streambank and Shoreline Erosion Management Measure.â⬠http://www.epa.gov/OWOW/NPS/MMGI/Chapter 6/ch6-4.html. Online. Available. 23 March 2002.
Sunday, January 12, 2020
Explaining benefits of HRM practices within Unilever Essay
1. Benefits for Employer: For an employer, it is beneficial for its company growth that its workers perform well. An employer will always try to find the suitable candidates for suitable positions. It is always important for a company to get its job done efficiently and with less time which HRM practices help (Brewster and Hegewisch, 2017). HRM helps in the management of performance through proper business planning which is the first stage. It is designed for performance standardization along with budget outputs. HRM practices monitor the Performance of employees to ensure accuracy, communication, and discipline among workers. Overall it adds to the global company image and perception towards other competitive companies. 2. Benefits for Employee: HRM is involved not only in securing and enhancing the efficiency of each worker but also in providing definite plans for efficient communication between different workers in order to make organizational development (Obeidat and Abdallah, 2014). The importance of introducing individuals to the ethics of the company is emphasized by value-based interviewing. The employees are given progressive activities from coaching, training, projects, mentoring, and assignments. All these activities help an individual to enhance its efficiency. For the employee, it is beneficial because it nurtures the qualities within. M3 Different methods used in HRM Practices within Unilever 1. Strategic Planning: The first stage is Strategic planning is detailed planning of the business. The business planning steps are designed in such a way so as to extract standardized performance is generally conducted through a 6month mid-year period, the planning process of strategic business is crucial to the assessment of present capability and performance of a business. 2. Training and development: HRM practices regarding training and development specializes coordination in forming a strong relationship between the employer and employee. The area for training and development of HR also focusing on training that emphasizes the companyââ¬â¢s fair trade practices and employee growth to prepare promising leaders for management and supervisory roles. 3. Employee satisfaction: A positive relation between the employee and HR help the company to achieve its objectives, morale and improves performance. This mainly comprises of achieving satisfaction, levels along the workforce (Zibarras and Coan, 2015). It helps to create ways to give strength to the employer-employee relations. Opinion surveys of employees are administered, a focus group is conducted related to job satisfaction and the steps the employer can maintain proper working relationships. 4. Recruitment: Employment process is being managed by the HRM department from examining resumes to scheduling interviews to new employees processing. They determine the most efficient for recruiting candidates. 5. Selection: professional HRs work with managers so as to effect good recruitment decisions, according to what the organizations need. They work together regarding standard hiring methods to ensure that the companies extend offers to suitable persons. 6. Compliance: HR workers need to make sure that the organization complies with legal regulations. They complete the necessary paperwork for documenting that the employees eligible to work in the country. They also comply with the organizational laws receive state or federal government contracts by ensuring flow logs of the applicant. References Brewster, C. and Hegewisch, A. eds., (2017).à Policy and Practice in European Human Resource Management: The Price Waterhouse Cranfield Survey. Abingdon: Taylor & Francis. Obeidat, B.Y. and Abdallah, A.B., (2014). The relationships among human resource management practices, organizational commitment, and knowledge management processes: A structural equation modeling approach.à International Journal of Business and Management,à 9(3), p.9. Zibarras, L.D., and Coan, P., (2015). HRM practices used to promote pro-environmental behavior: a UK survey.à The International Journal of Human Resource Management,à 26(16), pp.2121-2142.
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