Tuesday, November 26, 2019

Three Roads To One Hero essays

Three Roads To One Hero essays Throughout the two epics, Beowulf, and Gilgamesh, and the novel Grendel, we see certain heroic characteristics of the main characters. Although Beowulf, Grendel, and Gilgamesh all come to a heroic end, they differ in way in which they came to that end. In Beowulf we read of a great warrior who cares about nothing but honor and his people. In Gilgamesh, we see a man who comes to a realization of his mortality, and then does all he can to overcome that "weakness." Finally, in Grendel, we see a "monster" that was born in a cruel world, and comes to a cruel ending. Throughout the epic poem of Beowulf, we not only read of the heroism of Beowulf himself, but the guile of the antagonist, Grendel. By the fifth chapter, Beowulf is showing a characteristic that was vital to a Greek hero. He is boasting of his accomplishments. He tells of how he once fought a serpent in the open ocean. This might not seem to heroic, but you must attempt to become an archeological reader to begin fully understanding why this is so heroic. During the fist century of this millenium, one of the many things that scared people, and continues to do so today, is the unknown. Beowulf braved the unknown on not only land, but also where man has never belonged. He braved the unknown in the ocean. Grendel throughout the poem is, however, shown in a different light. He is a monster. He is a descendant of the first murderer, Cain. He kills simply for sport. He relishes in the blood of mankind. He is a monster who knows no bounds. In Grendel however, the point of view of the reader has changed. We now read from the point of view of the "monster." We see how he has been born into a world where he understands next to nothing, and does not even have the comfort of a true mother. He can talk to no one, save for a dragon that sees everything, past, present and future, and he is alone in a world of humans. There is no place of refuge where he can escape the world of hate that he ...

Friday, November 22, 2019

The History of Hutu and Tutsi Conflicts

The History of Hutu and Tutsi Conflicts Hutu and Tutsi are two groups in Africa that became known to most in other parts of the world through the grisly 1994 Rwanda genocide, but the history of conflict between the two ethnic groups reaches back further than that. Generally, the Hutu-Tutsi strife stems from class warfare, with the Tutsis perceived to have greater wealth and social status (as well as favoring cattle ranching over what is seen as the lower-class farming of the Hutus). The Tutsis are thought to have originally come from Ethiopia and arrived after the Hutu came from Chad. Burundi, 1972 The seeds of resentment for the minority Tutsis were sown when the first elections after winning independence in May 1965 saw strong Hutu wins, but the king appointed a Tutsi friend prime minister, sparking a failed coup attempt by Hutus. Even though this was quickly quelled in the capital, it set off additional violence between the two ethnicities in the countryside. In addition, Tutsis, which made up about 15 percent of the population to the 80 percent Hutus, occupied other key government and military positions. On April 27, some Hutu policemen rebelled, killing all Tutsis and Hutus (estimates range from 800 to 1,200 dead) who refused to join the rebellion in the lakeside towns of Rumonge and Nyanza-Lac. The leaders of the rebellion have been described as radicalized Hutu intellectuals who operated out of Tanzania. The Tutsi president, Michel Micombero, responded by declaring martial law and putting the wheels of a Hutu genocide in motion. The first phase virtually wiped out the educated Hutu (by June, nearly 45 percent of teachers were reported missing; students at technical schools were targeted, as well), and by the time the carnage was done in May about 5 percent of the population had been killed: estimates range from 100,000 to up to 300,000 Hutu. Burundi, 1993 The Hutus won the presidential office with banker Melchior Ndadaye, forming the first government since independence from Belgium in 1962 with elections that had been agreed to by the ruling Tutsis, but Ndadaye was assassinated shortly thereafter. The killing of the president threw the country back into turmoil, claiming about 25,000 Tutsi civilians in revenge killings. This sparked killings of Hutu, resulting in a total death toll of about 50,000 over the next several months. The mass killings of the Tutsi wouldnt be called genocide by the United Nations until a 2002 inquiry. Rwanda, 1994Â   In April 1994 Burundian president Cyprien Ntaryamira, a Hutu, and Rwandan president Juvenal Habyarimana, also a Hutu, were killed when their plane was shot down. By this time, tens of thousands of Hutus had fled the Burundi violence into Rwanda. Blame for the assassination has been pointed at both Tutsi and Hutu extremists; current Rwandan President Paul Kagame, who at the time led a Tutsi rebel group, has said that the Hutu extremists conducted the rocket attack to set in motion their long-laid-out plans to wipe out the Tutsis. These genocidal plans were hatched not just at cabinet meetings, but spread in media incitement, and capped a long period of ethnic unrest in Rwanda. Between April and July, some 800,000 Tutsis and moderate Hutus were killed, with a militia group called the Interahamwe taking lead in the slaughter. Sometimes Hutus were forced to kill their Tutsi neighbors; other participants in the genocide were given monetary incentives. The United Nations let the killings go on unabated after 10 Belgian peacekeepers were killed in the early days of the genocide. Democratic Republic of Congo, Post-Rwandan Genocide to the Present Many Hutu militants who participated in the Rwandan genocide fled to the Congo in 1994, setting up encampments in the mountainous areas akin to fiefdoms. In addition, several groups of Hutu fighting the Tutsi-dominated government of Burundi settled in the eastern part of the country. Rwandas Tutsi government has twice invaded with the intention of wiping out the Hutu militants. The Hutu also battle a Tutsi rebel leader, General Laurent Nkunda, and his forces. Up to five million deaths have been caused by the years of fighting in the Congo. The Interahamwe now call themselves the Democratic Forces for the Liberation of Rwanda and use the country as a staging base to overthrow Kagame in Rwanda. One of the groups commanders told the Daily Telegraph in 2008, We are fighting every day because we are Hutu and they are Tutsis. We cannot mix, we are always in conflict. We will stay enemies forever.

Thursday, November 21, 2019

Key Characteristics of the Narrative Approach Assignment

Key Characteristics of the Narrative Approach - Assignment Example Identify the purpose of the research study and identify a phenomenon to explore. 2) Select an individual to learn about the phenomenon. 3) Pose initial research question(s). 4) Describe the researcher’s role (entry to the research site, reciprocity, and ethics) 5) Describe data collection methods 6) Describe appropriate strategies for analysis and interpretation of data. 7) Write a narrative account. Narrative Account Joe, a fifth grader does not mix up with other girls in her class. She studies in a school that is only meant for girls, meaning there is no coeducation in that school. Although Joe is not very fond of studies, yet she is always seen immersed in books in the free time in school. In the mid-break, she takes her lunch in the corner of the class and eats the sandwich quietly. While doing so, she makes sure she has some book with her. It can be said that books do her no good apparently because neither she participates in the intellectual discussions, nor her performa nce in the class tests is up to the mark of a student who gives half as much time to the books as she does. She has no friend in the class, though she makes sure she has one girl aside from her when she has to move out of the class. That could be any girl†¦she just sticks with someone. Otherwise, within the class, she remains isolated. Her class-fellows think that she is too sensitive, so they frequently make fun of her. The researcher has the question, ‘Is reading books really the favorite pastime of Joe or it is just a refuge she seeks to avoid interaction with her class-fellows?† The research also wants to know, â€Å"What makes Joe have a girl beside her in the public when she doesn’t make the bond with anyone inside the classroom?† To find answers to these questions, the researcher decides to interview Joe. The research also intends to talk to Joe’s parents, her teachers and at least five randomly selected girls from Joe’s class. The researcher particularly wants to know how Joe socializes with her family members as well as some events that have occurred in her childhood that might have a big role in making her what she is today. From the information collected from the interviewees, the researcher has prepared the narrative research report. 1. Identify the purpose of the research study and identify a phenomenon to explore. Answer: Purpose of this research was to investigate why Joe avoided hanging out with friends and seek refuge in books. 2. Select an individual to learn about the phenomenon. Answer: Joe’s parents, five class-fellows and Joe herself were selected. 3. Pose initial research question(s). 3.1 Is reading books really the favorite pastime of Joe or it is just a refuge she seeks to avoid interaction with her class-fellows? 3.2 What makes Joe have a girl beside her in the public when she doesn’t make a bond with anyone inside the classroom? 4. Describe the researcher’s role (entry to the research site, reciprocity, and ethics) Answer: Researcher approached Joe’s mother with help of the school administration.

Tuesday, November 19, 2019

The Legal and Ethical Environment of Business Essay

The Legal and Ethical Environment of Business - Essay Example This is not the case where recoveries can be made directly from the agent or person causing the harm, rather the principle behind vicarious liability is that an employer exerts control over the physical conduct of an agent and is therefore responsible for the harmful conduct. In a recent case, Arena Group 2000, the maker of a sign that fell on a San Diego man and paralyzed him, was held vicariously liable for the injury caused.2 There are also several cases where private actions for securities fraud under Section 10(b) show that corporate officers and law firms are being held vicariously liable for preparing misleading disclosure documents.3 It was held in this case that even where secondary agents are involved, where they participate in a fraudulent activity to an extent which could characterize them as authors or co-authors they may be liable for damages accruing from such harmful activity4. Another case where vicarious liability for tort was imposed upon an employer was in the cas e of American Society of Mechanical Engineers Inc v Hydrolevel Corp5 where common law agency principles were used to impute liability upon an employer in a position of sufficient authority to exert control.An employer can also become liable for vicarious liability for the harm caused by its employees under a theory of negligent hiring, where adequate checking of references and skills are not carried out by an employer before the hiring is completed6. The Strict liability rule may be enforced in corporations such as DWI and especially public corporations where the corporation will be expected to assume the liability for the tortious acts of its employees.

Saturday, November 16, 2019

Composition and Seperations Essay Example for Free

Composition and Seperations Essay When a kernel of popcorn is heated, pressure builds and, depending on the percent of water in the kernel, the kernel pops open and popcorn is produced. The percentage of water in each kernel differs between brands of popcorn. If the steam produced fails to pop the kernel, the kernel becomes hard and burns. The purpose of Part 1, â€Å"Popcorn Composition†, of the â€Å"Composition and Separations Lab was to determine whether premium popcorn brands display desirable qualities when measured and compared with cheaper brands of popcorn. The experimental relevance of Part 1 of the experiment was to demonstrate the effects of water in a popcorn kernel when heated and converted to heat. Differences in water percentage determine whether or not the kernel will burst and create popcorn. In Part 2, â€Å"Separating a Solid Mixture†, the purpose was to work with supplies in the lab to separate a solid mixture of popcorn, sand, salt and iron filings into the four separate components to eventually learn the percent composition of the solid mixture. By developing a plan to separate the mixture, the group should have ended up with four separate items with weights that added up to the original weight of the mixture. The experimental relevance of Part 2 of the experiment was to learn how to separate each component in a four part solid mixture from each other. Procedure: In part 1 of this week’s lab three popcorn kernels of a one brand were given to each group. A Bunsen burner was set up by each group and the three kernels were each weighed separately on an electric balance. The Bunsen burner was then lit following the instructions given. (ch185) A 100mL beaker was obtained and filled with a half inch of clean sand. The beaker was placed on a ring stand and one kernel of popcorn was submerged into the sand. The beaker was then covered with a watch glass and heated over the Bunsen burner until the kernel popped. After popping, the kernel was removed and weighed and the moisture content was measured. This procedure occurred for all three kernels. After the moisture content of all three kernels were measured, an average was deduced for the three and written on the board. Each of the other four groups also wrote their averages for their individual brand on the board to give the class a better understanding of the differences in moisture content for each of the five brands. In part 2 of this week’s lab, a 50mL beaker was filled with a solid mixture consisting of popcorn, sand, salt and iron filings. The group then got the mass of the entire mixture and began sketching a plan to separate the mixture properly into its original four contents. First the group separated the popcorn from the mixture by using a drainer. The popcorn was then weighed. Second, the iron filings were separated using a magnet after pouring the remaining mixture onto a piece of paper. After the magnet collected all iron, the iron was scraped into a beaker and the weight was recorded. The third and final separation used a beaker and a filter paper. The filter paper was weighed and put into a filter that spilt into the beaker. The remaining salt/sand mixture was then poured into the filter paper using water to dissolve the salt. After the solution was put into the filter paper and the salt had dissolved, the filter paper and sand was dried and then weighed. After subtracting the filter paper weight from the weight of the filter paper and sand together, the weight of the sand was known. Once you had the weight of the sand, iron and popcorn, the weight of the salt was found by subtracting the three combined weights from the original weight of the mixture. To find the percent composition of each component, the weight of each was divided by 100 and, in the end, each components percent added up to 100% of the initial mixture. Results/ Data/ Calculations: Part 1: Each group determined the moisture percentage of their brand of popcorn. Table 1 shows the moisture content of each brand. Table 1: Moisture Percentage of Popcorn Brands Group Number| Popcorn Brand Used| Percent Moisture| 1| Act III| 6.24 %| 2| Food Club| 8.35 %| 3| Jolly Time| 12.2 %| 4| Orville Redenbacher| 7.47 %| 5| Pop Perfect| 6.22 %| Jolly Time popcorn was measured for weight and the moisture content was then measured. Table 2 shows the initial weights, final weights, moisture contents and percent moistures of each of the three trials performed. Table 2: Moisture Percentage by Weight of Jolly Time Popcorn Kernels Kernel| Initial Weight (g)| Final Weight (g)| Moisture Content| % Moisture| 1| 0.105 g| 0.086 g| 0.019 g| 17.8 %| 2| 0.138 g| 0.140 g| -0.003 g| -1.89 %| 3| 0.113 g| 0.106 g| 0.007 g| 6.55 %| AVERAGE| 0.109 g| 0.096 g| 0.013 g| 12.2 %| Sample Calculations: Find weight= (cupcake holder + kernel – cupcake holder) = (.263 g .177 g) = 0.086 g Moisture Content= Initial weight – final weight = 0.105 g – 0.086 g = 0.019 g % Moisture= Moisture content x 100 Initial weight of kernel = 0.019 g = 17.8% 0.105 g Average % moisture = 17.8 + 6.55 = 12.2% 2 Part 2: The weight and eventually percentage composition was measure in a mixture of corn, iron, sand and salt and then with each component individually. Table 3 shows the weight and % compositions. Table 3: Percent composition of Mixture Material| Weight (g)| % Composition| Full Mix| 42.2 g| 100 %| Corn| 3.26 g| 7.79 %| Iron| 19.0 g| 45.0 %| Sand| 15.7 g| 32.5 %| Salt| 6.25 g| 14.8 %| Sample Calculations: Percent Composition:Initial Weight x100 Total Mixture Weight Beaker with nothing: 59. 95 g Beaker with mix: 102.1 g W/ Mix:102.1 g W/O Mix: 59.95g 42.98 g Discussion: The experiment in part 1 was done to show that even slight differences in moisture content in popcorn make a big difference when it comes to the popcorn’s â€Å"popping† abilities. Before the experiment, the moisture content and its effect on popcorn were unknown. After the experiment each group left with the knowledge of moisture content in both preferred brands and cheap brands of popcorn. This experiment gave insight into the importance of exactness for popcorn companies pertaining to the moisture content in each kernel. The experiment in part 2 was performed to show that most solid mixtures can be separated if using the right tools. Each group had to propose a solution to separating the mixture and then weighing each of the four components afterwards to conclude if they added up to the initial weight of the solid mixture. This experiment allowed students to use their brains to separate any solid mixture that they come in contact with, which will be helpful for the future in this lab and others. Throughout the two parts of this experiment several specific errors were found and dealt with. In part 1 of this experiment several popcorn kernels were burnt and did not pop. These kernels may have affected our experiment by giving us false data, as we did not include these kernels in any final data. With burnt popcorn kernels, we were shown that the moisture content in the popcorn brand given may have resulted in one of the â€Å"cheap† brands given. In part 2 of our experiment, the initial weight was supposed to be taken before separating any part of the mixture. Unfortunately, the initial weight was skipped before the popcorn was separated. The popcorn then had to be put back into the mixture and the mixture was then weighed for the initial weight. This may have affected the final data, although it was a small error. In part 2 another error occurred when the group began to separate the salt and sand in an incorrect manner. This, however, did not affect final data, as the salt would have been eliminated anyway. Conclusions: The goals in this experiment for part 1 were to determine the moisture content in a brand of popcorn, compare the given brand with others in the lab and then find out if moisture content affects the ‘popping’ or corn and which brand or brands has a better likelihood of popping (i.e. preferred vs. cheap brands). In part 2 of the experiment the goals were to separate a solid mixture and then find the percent composition of each of the four materials within the mixture. The average moisture percentage for Jolly Time popcorn was 12.2 %. To get to this point, the group popped three separate kernels and found the moisture percentage for each and then averaged them. The percent composition for part 2 of the solid mixture was 7.79 % for corn, 45.0 % for iron, 32.5 % for sand and 14.8% for salt. These measurements added up to the 100% solid mixture and the weights added up correctly. References: Ch185. How to Light and Adjust a Bunsen Burner. http://ch185.semo.edu/labsafe/bunsen.html (accessed Feb 12, 2013). Composition and Separations. http://linus.chem.ku.edu/genchemlab/184SP13/Download184_Labs/Composition%20and%20Separations%20Chem%20184%20Spring%202013.pdf (accessed Feb 12, 2013) Guidelines for Laboratory Reports http://linus.chem.ku.edu/GenChemLab/184SP13/guidelines%20for%20lab%20reports.htm (accessed Feb 12, 2013)

Thursday, November 14, 2019

The Dutch Attack on Landguard Fort Essay -- Papers

The Dutch Attack on Landguard Fort Q 1. Source A tells us that the Dutch attacked with about one-thousand men, in five-hundred small vessels and landed near Felixstowe cliff. Many of these soldiers had pikes. Silas Taylor, the author of the source, says that "some part" of the Dutch army attacked the fort, which is an early indication of the rear guard left behind. This also points to a possible reason for the failure of the attack, in that the Dutch did not attack with the full force of their army. He says that one English soldier was killed, two were wounded and that the Dutch made two attacks. He says the Dutch attacked boldly, but were as boldly and resolutely answered. However, he could be saying that the Dutch attacked boldly to make the English defence sound even better. We are told that the Dutch were put to "fright and flight" by the small guns from a galliot. The small guns from this ship were fired into the area were the Dutch were taking cover, and pebbles were thrown up which made them retreat. This source gives the overall impression that the Dutch made a strong attack, but were "boldly" answered by the English. The reliability of this source, however, is questionable, as it was written by an English man, who is bound to be biased towards his own country. Also, he was watching form Harwich, which is roughly two miles from Felixstowe. Q2. Source F does not support source B. Source B says that the Dutch ships were "so close to Landguard Fort that we expect fire to be given at any moment". Source F says that the ships were so far away from the fort that their shots would "scarcely reach (the fort)." The Dutch ... ...re casualties. This also could have been linked to De Ruyter's reluctance to commit large forces to attack. It is likely he did not want to risk any unnecessary victims, especially when he was aware of the task facing him. Also, while this attack was happening, peace negotiations were being held in Breda. After the Dutch victory in the Medway, they had the upper hand in negotiating a deal. De Ruyter would have wanted to avoid a disaster at Landguard that could have changed the balance of power in the negotiations. This victory was not essential, but keeping his fleet together and in control of the English Channel was. Overall, I think that the Dutch attack was not committed enough, but this was planned by De Ruyter, He knew the strength of the English fort, and did not want to risk any unnecessary casualties.

Monday, November 11, 2019

D1Influence Tha Different Stakeholders Exert in One Organisation

In this case study I have chosen one of the following organisations from my previous task â€Å"McDonalds. † I have chosen McDonald’s because they are a very popular worldwide fast food restaurant and also they have a various amount of stake holders. Owners: Owners want to prosper and make money. They also need to care about how the business is running and how it will be more successful by investing money. If McDonald’s wasn’t as successful as it is today then owners wouldn’t be as confident to keep their service running.Customers: Customers play a huge part in the business of McDonald’s an0d how it is run because without customers a business will not be successful. Customers have given McDonald’s the name it is today by going in and buying the products to keep the business running and also they can help owners make improvements. Suppliers: Suppliers of McDonald’s will be out of business if McDonald’s were not as popular as they are today and McDonald’s wouldn’t have been as successful if they didn’t have suppliers and their products to sell.Employees: Employees are as important as Owners in McDonald’s because they attend work and help the business achieve its goals by making the business successful also without employees, McDonald’s would be a lost cause because most employees run the business because they are usually set out in different departments to help customers focus on who to ask for assistant. Trade unions/ employer associations: Trade unions play a big role in McDonald’s because they are the people that make it happen for employers by giving them a job and without trade unions employees will not know what’s right and what’s wrong.Employer associations have an huge aspects in the role of business because without staff in a business a business will not be successful and staff make a business a business and would not be one without them . Local and national communities: Local and national communities are important to McDonald’s because they are a famous international fast food store and without their local and national communities they would have never been where they are today.They are usually concerned if the business is being successful and has no risks to bring them down, they can help and participate because they can give in good words to the business world about how McDonald’s should be run. Pressure groups: McDonald’s will do everything to avoid pressure groups because they have an huge impact in the world being run in different continents they need to make sure they do not lose the publics trust and the publics face or then pressure groups will be involved in McDonald’s business.Pressure groups are usually interest groups and can take over the business if it loses its face. Government: McDonald’s need the government in their business because they receive taxes, the more mo ney McDonald’s makes the more the government make, so they will go out of their way to make sure that McDonald’s are successful and reaching their goals because it they fail then the government will not be getting their moneys worth.

Saturday, November 9, 2019

Retail Strategic Planning Essay

Organized retailing in home and building sector was expected to face stiff challenge from the existing small, independent, and powerful local retailers. Many international retailers like Home Depot, IKEA and Lowe were also eyeing the Indian market which was untapped by organized retailers. They provided all the product categories and services that were required to build a new home or for home improvement or renovation under one roof. Muebles belonging to Casa Moblaje group was a pioneer in this segment. Homepro was the first building mall, which offered a wide range of building materials, home improvements products, and furnishings. They provided information about land availability and selection, and housed offices of architects, designers and financiers. The Home Store and Zeba were in home furnishing segment; Gautier dealt in furniture; and Johnson Tiles was in the sanitary ware sector. Identify Strategic Alternatives Ansoff’s Matrix Muebles had captured a large market of the home building and construction business in Ahmedabad as well as the home improvement business of the surrounding cities and towns. The ideal strategy for Muebles would be to develop the market. The areas surrounding Ahmedabad like Baroda, Surat etc is highly industrialized and lot of construction takes place in these areas. Muebles can target these cities and can increase the size of the market to get larger sales. Retail Mix Variables Product The store stocked products under five major categories Kitchen accessories: Appliances, Crockery, Glassware, Ovens etc Furniture and furnishing: Sofa set, bed, linen etc Bathroom: Tiles, Sanitary ware, Fittings, Taps, and accessories Hardware visible: Door, Window, Safety equipment, Gardening Tools, Washing Machines Electrical equipments: Lights, Luminaries, Chandeliers, Switches, Fans, Generators etc They mainly stored branded products. The store policy was to use the number one brand or the aggressive second. If this was not possible the company entered in to contracts to with smaller players who provided with in store brands. The store stocked approximately 12000 SKUs and had 120 suppliers. As the store move upward in the retail wheel, it took the invisible and les involved products out of the shelf. The visible and high involvement products replaced the invisible. They also increased the share of storing impulse goods in the relevant home decoration and furnishing category. Price The pricing policy of the store varied across the product categories. Pricing was competitive and benchmarked against the traditional hardware and home building material stores in product categories which were usually available in traditional hardware stores . In the destination product categories, the store charged premium price. Store Layout The store was laid out in a grid format. It was functional in nature and was based on a do-it-yourself model. Thirty percent of the shop space was given to 12 partners (vendors) who complete freedom of operation. The store atmosphere was attractive. The format of the store aided the customer to find the right the product. Some products like kitchen fittings were merchandised in simulated conditions to give the customer a feel of the complete range of the store’s offering. Promotion In order to increase the levels of awareness, they were communicating by using a mix of me. dia for brand and tactical advertising. They used the Gujarati and English media to reach out to their target segments. They developed two communication packages, one for the lay consumers with low comprehension of Muebles’s value proposition, and another for the professionals (home builders) who had a relatively higher awareness of the concept. In order to increase the sales of the invisible products, Muebles decided to educate the home builder. The home builder package consisted of developing a critical mass of professionals by rewarding their purchase and then working towards giving them accreditation through a professional course so that they would buy all the materials from Muebles. The apartment package consisted of using direct mails and tie-ups with companies like Electrolux, Pergo, and ICI to give special deals to five different apartment owners. Muebles targeted the HR departments in various companies and offered special deals. The problem in this deal was the acquisition of database of apartment owners. Customer Service Muebles policy was to satisfy the customer. Managers were supposed to visit the shop floor 3 hours a day to understand shopper’s behavior and needs better. Each category had 4 personnel. The total floor level employees were around 20. The floor employees tracked the customer right from the entry to the store and observed them carefully from a distance. The motive was to help the customer in the selection without interfering. The staff was instructed to respect the privacy of the customers. Muebles provided a unique shopping experience to the customer. Consumers were provided a wide range and assured quality, competitive prices, and world class service. They provided value added services to the consumers like * Comprehensive design assistance by a panel of professionals and design consultants * Apartment Packages * Installation service and support * Info mediation through website * Home loan consultancy and loans * Certification programmes for electricians, masons, plumbers and carpenters * Educational programme on do-it-yourself techniques and procedures * Customer loyalty programmes

Thursday, November 7, 2019

Foreign Affairs, Economics and the Articles of Confederation essays

Foreign Affairs, Economics and the Articles of Confederation essays The Articles of Confederation adopted in 1777 were designed to provide an effective form of government but did nothing of the sort. Although the Confederation attempted to strengthen foreign relations by maintaining peace with Great Britain and Spain, it failed. It also tried to better the nation's economic conditions through means of taxation and an increase in the national government's power, neither of which worked. Ultimately, the Articles of Confederation were unsuccessful and only added to the stack of problems the nation had to fix. The rest of the world did not think highly of the Confederation, making it challenging for it to convince Great Britain and Spain to honor their part of the peace treaty of 1783. The British had agreed to repay all slaveowners whose slaves had been seized by the British army, as well as promise to leave the United States. The British did not follow through with either of these agreements. John Adams was sent to London as a minister to resolve such issues but returned with no such achievement. Great Britain declined to even send a minister to the American capital. The debility of the Confederation was obvious throughout this all, as it was in its troubles with Spain as well. The Confederation had similar problems when dealing with Spain. The United States had land issues with the Spanish over the border between the United States and Florida, which was owned by Spain. The United States diplomats agreed to a treaty with Spain promising American recognition of Spanish possessions in North America and an agreement that the United States would only have the rights to navigate the Mississippi for twenty years in return for the acceptance of the American views of the Florida border. The southern states refused to ratify the treaty, meaning the problems between the two countries would remain. Foreign tribulations appeared again when the Confederation tried to repair the country's economic troubles as ...

Tuesday, November 5, 2019

File Your Canadian Income Taxes Online with NETFILE

File Your Canadian Income Taxes Online with NETFILE NETFILE is an electronic tax-filing service that allows you to send your individual income tax and benefit return directly to the Canada Revenue Agency (CRA) using the Internet  and a NETFILE-certified software product. To file your Canadian income taxes online, you first have to prepare your tax return using a commercial tax preparation desktop software package, a Web application or a product for an Apple or Android mobile device. These products must be certified for NETFILE. When you file your taxes online, youll get an immediate confirmation that your return has been received. If youve made arrangements for direct deposit and the Canada Revenue Agency owes you a refund on your income taxes, you should get a faster refund than if you file on paper, possibly within two weeks. However, its not quite as simple as hitting the send button on your email program, so leave some time to get prepared and to get comfortable with the system. Eligibility to File Taxes Online Although most income tax returns can be filed online, there are some restrictions. For example, you cannot use NETFILE to file a return for a year before 2013, if you are a non-resident of Canada, if your Social Insurance Number or individual tax number begins with 09  or if you went bankrupt during the preceding two years. There are quite a few other specific restrictions, so be sure to check the full restrictions list before you begin. Software to File Taxes Online To file your tax return online, you must prepare your income tax form using software or a Web application certified by the CRA for the current tax year. The CRA tests and certifies software between December and March, so it is usually at least late January before a commercial tax software package or Web application is put on the approved list of certified software. Be sure the software you plan to use is certified for the current tax year. If you purchase or download your income tax software before it is certified by the CRA for use with NETFILE, you may have to download a patch from the software vendor. Some software certified for use with NETFILE is free for individuals. Check the list of certified software and the vendors site for specific details. Identification for NETFILE Your current address must be on file with the CRA before you send your income tax return by NETFILE. Heres how to change your address with the CRA. You wont be able to do it through NETFILE. You will need to provide your Social Insurance Number and date of birth when you file. You need to provide the location of your .tax file containing your tax return that you prepared using NETFILE-certified tax preparation software or Web application. If you have concerns about the security of your personal and financial information when using NETFILE, you should check the ​NETFILE Security page from the CRA. NETFILE Confirmation Number As soon as you send your income tax return online, the CRA does a very quick preliminary check of your return (usually in minutes) and sends you a confirmation number telling you that your return has been received and accepted. Keep the confirmation number. Tax Information Slips, Receipts, and Documents Keep all the tax information slips, receipts and documents you use to prepare your income tax return. You do not need to send them to the CRA unless the agency asks to see them. Be sure to include your telephone number on your income tax return so the CRA can contact you quickly. Your notice of assessment and tax refund may be delayed if the CRA has to contact you. Getting Help With NETFILE For help using NETFILE, consult the CRAs Online Help. The Frequently Asked Questions may also be useful. Remember, if you run into problems, you can still file the old-fashioned way- by getting a paper income tax package, filling in the paper form, attaching the schedules and receipts, and getting it to the post office in time to be postmarked by the deadline.

Saturday, November 2, 2019

Legal Aspects in Health Care Assignment Example | Topics and Well Written Essays - 500 words

Legal Aspects in Health Care - Assignment Example For instance, the contract may be annulled if it is determined that the buyer was non compos mentis at the time of entering the contract. The legal intent of selling the CT scan is fulfilled in it being bought to serve its rightful purpose, such as carrying out diagnoses or archaeological investigations. Finally, the contract is sealed in the relevant parties receiving value from the agreement. It is obvious that the vendor will get his money for the CT scan, from the buyer on one hand. On the other hand, the buyer expects the CT scan to work well, thereby helping him meet his objectives. Apart from the four components, it would help greatly to insist on the token of the contract, which is the permit. The gravity behind this is that it is in the permit where the terms and conditions of the contract are enshrined. Terms of guarantee are divulged here, apart from the permit just showing legitimate possession. This is serious since in the absence of a permit, if the CT scan stalls after a week, the buyer may not be guaranteed of any reimbursement or free repairs. In this case, the patient through his absence undermines the capacity of the hospital to fulfill its obligation in the contract. The time-specific aspect of the contract is also undermined by the patient’s absence. Nevertheless, it cannot be aptly said that the patient’s voluntary and informed absence amounts to a contravention of the part of the contract, since he is acting out of an illness. Addiction is an illness that should have warranted more specialized attention from the healthcare institution. On the contrary, the healthcare institution is the entity that is liable since part of the patient-hospital contract is good care. The patient being away for four hours means clearly that the hospital is not taking good care of its patients, if at all (Becker, 2012). The fact that the