Thursday, October 31, 2019

Sergei Eisenstein's Theory of Montage Essay Example | Topics and Well Written Essays - 1250 words

Sergei Eisenstein's Theory of Montage - Essay Example His film theories have been assimilated by collecting and analysing drop by drop the essence of knowledge ranging from Pavlovian psychology to linguistic theories of that period to constructivist ideas on visual arts and sculpture in particular and to the bio-mechanics theory evolved by Mayerhold in the field of acting. Also his film theories had been nourished by the fountains of Hegelian dialectics, various schools of Europian art and basic conceptions of Europian music and literature. (Harcourt, 1974, p.37) Eisenstein’s major film theories are weaved around a basic concept in film making, namely montage. Montage is a French word and the meaning of this word is merely editing. The process of joining together the pieces of film is the idea that is conveyed by this word. The beginning of the history of montage can be summed up in these words; â€Å"Edwin. S. Porter discovered the possibility of creating narrative structure by inter-cutting sequences, thereby allowing different elements of story to coexist in an illusion of simultaneity. D.W. Griffith further developed and refined the technique, â€Å"invented† the close up and perfected parallel montage, the fundamental element of film narrative construction in which two events separated in space but co-existing in time are paralleled to one another for contrast, suspense and tension.† ( Kolker, 1983, p.15). The American film director D.W.Griffith was the first to make a powerful use of montage in films. His film, â€Å"The great train robbery† produced in 1903 was a classic and powerful example of montage editing. In this film, when persons went out of a door in one location and then another shot was shown in which they entered another location, the viewer arrived at the infere nce that they entered directly from one to the other location. Thus for the first time film showed that space and

Tuesday, October 29, 2019

Financial Review and Comparison Research Paper Example | Topics and Well Written Essays - 1250 words

Financial Review and Comparison - Research Paper Example For the purpose of this assignment I have chosen PepsiCo Inc and the Coca-Cola Company. Both are globally well recognized brands in beverage industry. Besides beverage brands, both the companies are offering additional products. Pepsi incorporation has established itself as a supplier of quality snacks products such as Lays and Cheetos on the other hand the Coca-Cola Company is offering brand in mineral water such as Kinley in competition to Aquafina, a mineral water product by Pepsi, fruit juices such as Pulpy Orange, coffee and other alcohol-free beverages. The performance of both competitors in the year 2012 has been analyzed with the help of the key ratios. Net profit margin is computed as net profit to sales, and sometimes also profit after tax to sales. It is always measured in terms of percentage. This ratio represents the ability of the management to provide the investors with a reasonable return on their investments (Mohapatra). A higher net profit ratio indicates the efficiency of the management to control the cost. When comparing both the companies on the basis of net profit ratio the Coca-Cola Company has generated 2.64% addition net profit than Pepsi which indicate better slightly tight control over costs. Gross profit can be defined as the profit remaining after all the directly related cost of sales or services have been deducted from the revenue. Directly attributable cost include only those cost which are necessary to produce the goods. It is also represented in terms of percentage. The higher the ratio the better is for the company (Gildersleeve). It is an important profitability ratio which indicates the margin between the revenue and the cost of the product. On the basis of gross profit margin Pepsi is much better than Coca-Cola. The GP ratio of Pepsi is 52.49% in comparison to the 44.09% in case of Coca-Cola. This reveals an important fact that the Pepsi Company is better in controlling manufacturing cost and the Coca-Cola Company

Sunday, October 27, 2019

A study of Athol Fugard

A study of Athol Fugard Athol Fugard, who was born in Middleburg, South Africa in 1932, is a well known realist playwright. He has written many plays which reflect his extreme opposition to the Apartheid system. Two such plays are Boesman and Lena (1969) and My Children! My Africa! (1989). Both plays are set in apartheid South Africa and demonstrate the cruelty of those years in South Africa as well as the current issues surrounding them. Athol Fugards work in both of these plays is therefore a reflection of the times and society in which he was writing. The plays socio-political contexts and his intentions in them can be individually discussed as well as compared to each other. Boesman and Lena is set in Apartheid South Africa and is a play about a young, non-white couple who are truly facing difficulties and struggling during this time. The play opens with the couple on a journey, walking from place to place, after being forcefully removed from their home. As they are travelling, Lena tries to recount where they have been. They can only bring the belongings with them that they can afford to carry on their backs and so they are exposed to the elements around them. Because the couple are homeless, Boesman decided that in order to survive he needs to build a shelter out of scrap iron and other materials that he has found. Once the shelter is built, he is the only one to enter it. Lena not only tends the fire but also tends to sit outside of the shelter for the entire play. The desperate circumstances that they are in emphasize their lonely, isolated and impoverished place in the world. Boesman and Lena was written in 1965 which is a mere 17 years after the start of apartheid. The play clearly shows the harshness of this time period relating to the Forced Removals and Group Areas Acts, which were passed by the government in order to draw a line by fully separating racial groups. Boesman and Lena perfectly represent the millions of non-whites who suffered during Apartheid. The forced removals from homes and dispersal of communities led to social breakdown and widespread poverty in South Africa. Non-whites were not given the opportunity to really settle down in any environment whatsoever, and this caused them to be depressed and feel as if they had no meaning whatsoever in their lives. This alienation can be noted when Lena is distraught after she has just been forcefully removed from her own home. At the beginning of the play, an old man called Outa appears at their campsite. The way Boesman acts around Outa and shows his feelings towards him show the incredibly racial tensions between the many different non-white groups. Boesman believes he is superior to Outa. He is frustrated by the situation in South Africa and he vents this frustration on other non-whites. Outa, being very frail and unresponsive, is an easy target for Boesman, and this is evident in the way he treats Outa. [Mtvass] Boesman and Lena, as well as their actions, can be interpreted as symbols. Boesmans violence towards Lena represents the violence white South Africans inflict on citizens of colour. Lena represents hope and life. She is optimistic and believes things will change in the future. She is also very compassionate (as with the old man, Outa). Boesman is mostly bitter and jealous, trying to destroy any hope and life that she has. Fugard has recorded many of his ideas in his notebooks. In one entry, Fugard describes that he had many encounters with the poorer South Africans. He notes that these encounters all contributed to the creation of Boesman and Lena. He also reports back on the day he came into contact with a particular woman which influenced him to begin writing the play. He says in Athol Fugard: Notebooks 1960-1977: On a hot August day in 1965, Fugard and two friends were driving along a rural road when they saw an old woman trudging along with all of her worldly possessions tied up in a bundle on her head. They stopped and offered her a ride. She cried at their unexpected kindness, and during the fifteen-mile trip to a farm up the road, she told them about the death of her husband three days earlier and her nine missing children. If Fugard and his companions hadnt stopped to offer her a ride, she would have followed her plan to sleep in a stormwater drain that night and continue her long journey the next day. [E-notes 2010] He also gives his impression of the woman. He writes , In that cruel walk under the blazing sun, walking from all of her life that she didnt have on her head, facing the prospect of a bitter Karoo night in a drain-pipe, in this walk there was no defeat-there was pain, and great suffering, but no defeat. Athol Fugard: Notebooks 1960-1977. The walk that this woman went on was the walk that Boesman and Lena are on throughout the play as it inspired him to come up with this idea in the first place. Because Fugard passionately abhorred apartheid, his intentions in writing this play were to show what was going on in South Africa at the time and to expose the effects of apartheid. He used symbolism-for example representing the violence white South Africans inflict on citizens of colour through Boesmans violence towards Lena as well as themes. The main theme of Boesman and Lena is violence and cruelty which reflects the state of apartheid at the time. In the 1960s, when the play was written, people of colour had absolutely no power and could not do anything about how they were treated. Basically, in this play, Fugard portrayed severe real situations and displayed the struggling and suffering of the characters and thereby projected a true representation of what was going on at this cruel time in South Africa. Fugard wrote My Children My Africa about 20 years after Boesman and Lena was published. At this time, there was an immense amount of racial tension and ongoing violence, both within various black communities and violence perpetrated by the white security police and military apparatus. Life was not the same in South Africa as it had previously been in the 60s and things were coming to a head. There were many anti-apartheid movements and international censure because of this. Although the confrontational violence between the government and forces of liberation had escalated in Apartheid South Africa, the underlying themes of exploitation and human suffering were still the same. As historian Alistair Boddy-Evans summarized: During the 1970s and 80s Apartheid was reinvented a result of increasing internal and international pressures, and worsening economic difficulties. Black youth was exposed to increasing politicisation, and found expression against Bantu education through the 1976 Soweto Uprising. Despite the creation of a trilateral parliament in 1983 and the abolition of the Pass Laws in 1986, the 1980s saw the worst political violence by both sides.[Boddy-Evans] My Children! My Africa! is a play which depicts a time when friendship and cooperation across the colour line were extremely rare. Such relationships were strictly frowned upon and actively discouraged by apartheid officialdom. This was because they represented a potential threat to the elaborately constructed and legislated racial barriers. In My Children! My Africa! (an emphatic title indeed) Fugard constructed a very powerful dramatic work which explores the possibility of such interracial connections despite the human and professional risks involved. His thrust is that mere skin colour should in no way be a significant barrier to friendship and cooperation. The play involves a white schoolgirl and black schoolboy whose teacher must take risks in sending the black boy to a mixed-race team in a literary competition. They have different viewpoints in how to challenge the system. The schoolboy, Thami, has adopted an attitude of violent confrontation, whereas the teacher is more in favour of a conciliatory and gradual approach to change, hoping optimistically that violence can be avoided. The schoolgirl, Isabel is besieged with white liberal guilt. The play reflects varying attitudes to the best approach to achieving inevitable change. As it turned out it was the destabilising threat of violent confrontation that ultimately counted in effecting change in South Africa. The play was in fact written in 1985 foreshadowing the unbanning of the ANC and the subsequent release of Nelson Mandela some 5 years later. Fugard was an active supporter of the Anti apartheid movements and endorsed international boycotts of segregated audience theatre in South Africa. In fact he was vilified, harassed and put under security police surveillance. To avoid further trouble with the authorities Fugard had his plays produced and published outside of the country [Alan McIver :2010] Fugard was accorded wide international recognition. His compelling and impressive body of work surely contributed in a significant way to international awareness of the dire developing situation in South Africa. To me he is an inspiring figure, whose realistic depictions of the devastating human consequences of an evil system opened audiences eyes to cruel and unsustainable realities. Fugard once said: [My] real territory as a dramatist is the world of secrets with their powerful effect on human behaviour and the trauma of their revelation. Whether it is the radiant secret in Miss Helens heart or the withering one in Boesmans or the dark and destructive one in Gladys, they are the dynamos that generate all the significant action in my plays[Fugard]. We can gather from this, that his plays are always individually and contextually significant and he intends to display and uncover and bring to light deeper issues within them. Using the two plays discussed above as evidence , one can not only tell that Fugard really cares about his work and his country but also that his work is an accurate reflection of the times and society in which he was writing. [Words: 1655]

Friday, October 25, 2019

Computers: Productive Tools In Our Lives :: essays research papers

Computers: Productive Tools In Our Lives Have you ever seen a computer in a store and said, "Whoa! What a chick!"? I am sure you would have, if you were familiar with the new 16xCD-ROM and extra wide SCSI-2 9.0 GB hard drive it features, or if you knew about the dual 225 MHz Pentium pro MMX chips blazing up its performance. To tell you all about computers, it takes a total computer nut like me. After working with computers almost all my life, I can tell you that a computer is an electrical device, without which a guy like me probably cannot survive. If you have no idea of what I am beeping about, read on. Experts, I report no error in reading further. Computers are very productive tools in our everyday lives. To maximize the utility of a computer, what you need to do is get going with the program. To do that, the minimum system requirements are a C.P.U. or the central processing unit, a keyboard, a monitor, a mouse, and if you want, a printer and a CD - ROM drive. The C.P.U. is that part of a computer that faithfully does what his master tells him to do, with the help of input devices like a keyboard or a mouse. After all this so called sophisticated, next generation equipment, you need some sort of software. Software is a set of instructions to the C.P.U. from a source such as a floppy disk, a hard drive or a CD - ROM drive, in zillions of 1's and 0's. Each of these tiny little instructions makes up a bit. Then they assemble to form a byte. Bytes make up a program, which you run to use the computer's various applications. Now that you know more about computers than Einstein did, let me tell you something more about them, so that you will beat the President in the field of computing. In your computer, you require a good amount of RAM, which is there to randomly accesses memory. That is required to speed up your computer, so that it gives you more error messages in less time. The faster the error messages it gives, the faster you call technical help at 1-800-NeedHelp. The service is open 24 hours a day, but to get through, you will have to wait, at least, until the next Halley's comet passes by. The only thing now required, for you to become the master of this part of the world, is to have a very BOLD determination to become a computer geek.

Thursday, October 24, 2019

Nokia Applying Art of War Essay

Sun Zi Art of War is one of the oldest and most successful books on military strategy. It had an influence on Eastern military thinking, business tactics and beyond. In this assignment, we will apply Sun Zi Art of War Theories into companies chosen, Nokia Firstly, our assignment is based on Chapter Four (Disposition of the Army) of Sun Zi’s Art of War. One of the key points of Chapter Four is about a skillful general will ensure undefeatedness when waiting the opportunity to offend or defend the enemy. In business circles, we have to create opportunities to defeat and set conditions to ensure that we would not be defeated by rivals. Furthermore, a skillful general should possess to evaluate the chances of victory. There are five stages that need to look into. There are estimating the degree of difficulty, assessing the scope of operation, calculation of own forces, comparison of forces and establishing the chances of victory. All of these stages are useful till today’s business practices. Nokia is a company involved in digital technologies, including mobile phones, telecommunications network, wireless data solutions and multimedia terminals. Nokia’s history is from 1865 when engineer Idestam established a wood-pulp mill in southern Finland and start manufacturing paper. The beginning of Nokia’s journey into telecommunication was is in 1960, Nokia? s Cable Work’s Electronics department started to conduct research into semiconductor technology. Content Related to our topic-Weaknesses and Strengths, we would like to use a mobile phone company as an example, which is Nokia. Nokia is a Finnish multinational communications corporation. Nokia is engaged in the manufacturing of mobile devices and in converging Internet and communications industries. It is the world’s largest manufacturer of mobile telephones and it produces mobile devices for every major market segment . Offending and defending is one of the elements in Sun Zi concepts. Sun Zi said: â€Å"Those who were skillful in warfare ensued that they would not be defeated and then waited for opportunities to defeat the enemy†. It means that we not only need to attack but need to defend too. Besides waiting for hances to attack, we need to defend ourselves from being defeated by competitors too. This concept is being applied on modern business strategies and practices. We can see that Nokia is skillful in warfare (business world). Besides produces mobile phone, Nokia also offers Internet services such as applications, games, music, maps, media and messaging. Apart from that, Nokia also comes out with assorted model of mobile phone, for example, N-series, Xpress Music series, Supernova series and others with different function to attract different range of mobile phone users. Besides that, Nokia’s subsidiary Nokia Siemens Networks produces telecommunications network equipment, solutions and services and it also engaged in providing free digital map information and navigation services through its wholly-owned subsidiary Navteq. From this we can see that Nokia not only attack its competitors by producing different kind of cell phone but also defend itself by having other products and services other than cell phone. At the same time, Sun Zi also mentioned that â€Å"the ability that is preventing defeat depends on oneself, while the opportunity for victory depends on the enemy†. Nokia has its own preventing defeat ability by having their own professional designer and Research & Development department. Their designers are assigned to design some new and attractive model to attract different level of mobile phone users while research and development are carried out to invent some new function to improve the quality and value of the cell phone. Apart from that, Nokia is now planning to have collaborations with competitors. Alongside pursuing this goal of nurturing more innovative partnerships, Nokia will also be looking to explore new product categories for Symbian and Smartphone technologies, extending the reach of higher-end technologies into mid-range devices after they addresses a need for many people looking to downgrade to less expensive products, especially in such fragile economic times. Nokia also comes out with Nokia 5800 XpressMusic as it offers unique value for those who want to experience their music on the move, after found that all touch screen devices are sold popularly worldwide. Besides that, Sun Zi also said: â€Å"Defend when military strength is weaker than enemy and attack when forces are stronger than enemy. † This means that we should defend when forces and resources are inadequate and attack when forces and resources are more than abundant. In the late 1980s and early 1990s, Nokia ran into serious financial problems due to its heavy losses by the television manufacturing division and businesses that were just too diverse. The company responded by streamlining its telecommunications divisions and by divesting itself of the television and PC divisions. After the strategic change, Nokia gained a huge increase in sales from Finland to North America, South America and Asia. The exploding worldwide popularity of mobile telephones had made the company the world’s largest mobile phone manufacturer. With solid foundations and sound financial situations, Nokia has recently plans to develop Salo plant operating mode to further increase production speed and efficiency for a growing Smartphone market. Besides that, Nokia also merge with Intel to be software platforms for future computing devices. Sun Zi said: â€Å"A skillful general studies the ways that can lead to victory, and set up proper organizational structure and control, and maintain law and order which will lead to victory. † The person adept in warfare not only cultivates his moral code but maintains law and order. In this way, he is able to develop policies that determine victory and defeat in war. For example, Nokia has a proper organizational structure and control. Nokia comprises three business groups which included Devices, Services, Solutions and Market. The four units receive operational support from the Corporate Development Office which is also responsible for exploring corporate strategic and future growth opportunities. The Devices division is responsible for developing and managing Nokia’s mobile device portfolio, including the sourcing of components. The Services division operates in five areas of consumer Internet services: music, maps, media, messaging and games. This group works with companies outside the telecommunications industry to make advances in the technology and bring new applications and possibilities in areas such as online services, optics, music synchronization and streaming media. On the same time, the Solutions division is responsible for Nokia’s offering of solutions, where the mobile device, personalized services and content are integrated into a package for the consumer while the Markets division is responsible for the management of the supply chains, sales channels, brand and marketing functions of the company. Discussions When we discus about Nokia is company which the first enters into the business field has the priority to gain the market and has advantages over other companies. Actually, this is not easy being a marketing leader in this industry; the rick was also instrumental to take in Nokia’s worldwide effort to assure the financial strength and flexibility. This strong financial are help the company able to have a very strong and efficient human resource team. This strong financial background help company to attack its competitors by producing different kind of cell phone and also defend itself by having other products and services other than cell phone. Nokia believes it should be easy to share information and content between our cell phone and other devices you use everyday such as PC and the web. This way it is easy to keep everything synchronized and ensure people always have access to the things they love, such as music, and the services they use, such as navigation, whenever and wherever people need them. The average person spends between one and two hours per day in their car. Given that their cell phone not only holds their favourite music but now, if it is a Nokia cell phone, comes with free worldwide navigation services (Maps), the next logical step is to provide an easy way to connect their cell phone to their car. This way services and content from the mobile can be fully integrated with the in-car speakers, displays and control systems. Just as importantly, though, this connection should be two-way so that the cell phone can access performance information from the vehicle itself and provide more relevant information to the driver. Nokia company not only responsible for corporate and technology strategy, strategic alliances partnerships, research, standardization, intellectual property rights, and venturing. Nokia has a well-defined and efficient human resources team that is organizational HR, Business HR, and CPD. These groups work closely with employees and management to create and carry out all people initiatives. They also responsibility for all human resources activity including employee development, management and leadership development, compensation, benefits, staffing and global diversity. The human resource manager also acts as the ‘hosting manager’ for Workplace Resources. This role involves helping Workplace Resources achieve their goals by being a discussion partner for him and his leadership team. Sun Zi said: â€Å"The purpose of raising such a large army is to achieve wsift and decisive victories. † It mean in such a big increase in troops is aimed at achieving wsift and decisive victory, before a company want to be success they must raising the employees welfare and their fight heart. Recommendation As we know, Nokia, which has entered into the mobile phone business since early 1980s, has more advance history than other mobile brand like Sony Ericsson, which entered the field on October 2001. Thus, Nokia should keep on improving their mobile phone and devices by using the element of Sun Zi Art of War. Sun Zi said: Those who arrive first at the battleground will have sufficient time to rest and prepare against the enemy. Those who arrive late at the battleground will have to rush into battle when they are already exhausted. In other word, company which the first enters into the business field has the priority to gain the market share and has advantages over other companies. Since the trademark of Nokia has been well-known by mobile phone users, Nokia can gain a number of its loyal customers. Nokia also continually to modify and innovative its mobile phones and devices, and more expensive multimedia and enterprise-class devices. Moreover, Nokia has more experience than Sony Ericsson in communication sector. Furthermore, Nokia Company suited with flexibility, adaptability and shaping with their products when the environment factor occur, like economic recession or inflation. Indeed, it should not seek to conform, but to transform itself to suit the environment. Based on chapter six, the person who gains victories by adapting to the changing conditions and situations of the enemy can be considered a legend in warfare. When the company meets the obstacles, they also should be flexible like water by changing their tactics to overcome the difficulty to ensure they are undefeatness by the opponents. The Nokia Way emphasizes the speed and flexibility of decision making in a flat, network organization, clearly stated by Nokia’s official corporate culture manifesto. The trademark of Nokia has been well-known by mobile phone users, but Nokia company also should redefine its values by develop Nokia’s official corporate culture manifesto. The trademark of Nokia has been well-known by mobile phone users, but Nokia company also should redefine its values by develop their product to satisfy customer needs and expectation. Its comes out with the slogan, that is â€Å"Engaging You, Achieving Together, Passion for Innovation and Very Human† in May 2007. More troops would be committed when the situation dictated so. In addition, Nokia Company need to matching strategies with ground characteristics in the business environment. This is evident in the various descriptions given to each type of group and the different strategies advocated for them. Based on chapter eleven, Sun Zi emphasized the importance of understanding and exploiting these different grounds. He said that the effective deployment of troops, whether they are strong and weak, depends on the understanding and exploitation of the terrain. Nokia Company should exploit different branch to selling various type of mobile phone device over the country by fitting the affordable consumer’s needs at the right place, in a right time. For example, Nokia offers a free personalized service to its subscribers called My Nokia which located at my. nokia. com. Registered My Nokia users can avail free services as tips and tricks alerts through web, e-mail and also mobile text message. My Nokia Backup is the service needs GPRS connection to get a free online backup service for mobile contacts, calendar logs and also various other files. Besides, numerous ringtones, wallpapers, screensavers, games and other things can be downloaded free of cost. Then, Nokia develop some strategic to merchandise their product by using market basket analysis or organize a Nokia Fair by promote product at a cheaper price in order to gain more market share in this modern world. Conclusion Through our assignment report, we know that many Sun Zi’s Art of War concept has been applied in today modern business strategies and practices. This has proof by our assignment’s research. The studies of Sun Zi’s theories are use in today business based on the example company we choose, which is the Nokia mobile phone company is very useful and effective. Our research had discovered that Nokia had applied the Sun Zi’s concept of Disposition of the Army as a guideline for achieving the company goals. As a conclusion, the first knowledge we learned through this report is we cannot always attack but need to defend based on different situation. As we waiting for chances to attack, we need to defend ourselves from being defeated. Secondly, we also learned that we can build an invincible defend to make the competitor difficult in attacking us. However, to defeat the competitors, one has to attack and the chances of victory depend on how strong the competitors can defend. The next thing we learned is we should defend when forces and resources are inadequate and attack when forces and resources are more than abundant. Lastly, we also learned that the person adept in warfare not only cultivates his moral code but maintains law and order. In this way, he is able to develop policies that determine victory and defeat in war.

Wednesday, October 23, 2019

Micrographics Management and Control Process

Micrographics is defined as the technology of document and information microfilming. It is associated with the production, handling and use of microforms. Microforms contain microimages. Micrographics technology consists of numerous procedures and equipments to produce, store, reproduce, retrieve, preserve and use microforms. Microforms contain microimages like microfilms which are basically units of information which have to be magnified in order to be read. When records are too large to handle or have to be retained for use many years later they are microfilmed. Micrographics require that records be prepared for copying, copy the records and ensure the quality of the copies. Micrographics management involves management issues, project management issues and technical issues. Management issues involve the preliminary stage of converting the records to the required medium. Next would be to entrust the work to agents and the last one is to deal with specifications developed and to follow control guidelines. The New York State Archives recommends many guidelines that can be followed for effective management. The guidelines for micrographics management are listed below. Determining the appropriate method for converting records-microfilming/imaging Assign a vendor for conversion or perform it by self Adhere to technical requirements to produce quality images Prepare a proposal request Select the vendor thoughtfully after going through various bids Organize, arrange documents ready for imaging/microfilming Contact/communicate with vendors periodically Track progress of project Duplicate records and index Verify the images and store them after ensuring storage conditions Micrographics process control ensures that preservation norms are followed once the filming is complete. The various factors to be considered for control are density which is the degree of opacity of the area exposed to filming, the document orientation, reduction ratio, contrast, splicing, resolution, format and last of all packing and storage. Control of the various stages in micrographics ensures that quality is assured after the process is completed. Generally the micrographics con trol list form which records the microfilms transferred for storage is completed as a check list for quality. Random sampling is done and the microfilms are tested and inspected for quality. Micrographics control process aids in utilizing the technology for what it was intended to full extent. Some advantages of the control process include but are not limited to retrieving information quickly, saving space, protection of records, retain integrity of documents and ease information distribution. Micrographics can be justified for numerous reasons but maintaining quality through control would benefit the user immensely by achieving superior results. The control process ensures that the microfilm accurately depicts the original and can be identified clearly. References EPA Records Management Manual   Micrographic Management Available at http://www.epa.gov/records/policy/2160/2160-06.htm (accessed on Oct 31,2006) Introduction to Micrographics – Archives technical Information Available(accessed on Oct 31,2006) Basic introduction to Micrographics PDF   (accessed on Oct 31,2006) Micrographics Available at http://www.admfincs.forces.gc.ca/admfincs/subjects/cfao/036-59_e.asp (accessed on Oct 31,2006)               

Tuesday, October 22, 2019

Discusses the management of risk in the care of older adults in hospitals The WritePass Journal

Discusses the management of risk in the care of older adults in hospitals Introduction Discusses the management of risk in the care of older adults in hospitals IntroductionReferences:Related Introduction This essay critically discusses the management of risk in the care of older adults in hospitals, in the prevention of falls.The rationale for selecting this topic is based on several factors.   According to Nazarko (2008), elderly people are admitted to hospital for a variety of health conditions. The family of the patient trust that they are being cared for in a safe environment. However, every environment carries a physical risk to the people within it and this essay will focus on the fact that older people admitted to hospital are more susceptible to experiencing falls (Nazarko, 2008). Moreover, the National Patient Safety agency (NPSA) (2007) state that there are more than two hundred thousand falls that occur in NHS hospitals in England and Wales. NHS Greater Glasgow and Clyde (2011) state that one of the biggest admission for hospital in elderly people are falls. Out of that figure, 99% of them are unhurt, minor or moderate injuries, however 1% of those falls cause severe inj ury, death or fracture bones. Falls are a major problem in hospitals as well as outside of hospital in the UK. Various studies have shown that 30-50% of the population are over 65years old. Most of those falls are happening in the nursing home setting and 10-20 % cause severe injuries (Kennedy 2010, Pountney 2009a and Weaver 2008). Adding to this rationale, Pereault and Bourbonnaise (2005) state that the nurse’s role is to take care of patients from the first time s/he enters the door of the healthcare environment, through assessments, appointments, surgery or any other treatment, as well as discharge of patients from hospitals. Therefore a focus on falls prevention is essential. For this reason author has chosen to focus on this topic. It defines risk and then identifies and explains the nurse’s role in risk assessment and management of elderly people in the hospital and nursing home settings. The essay will highlight why people experience falls, the different the contributing factors that can affect their balance whilst in a professional care setting.   The risks are and how risk management can be used to prevent older people who are in hospital falling as a result of residing within this environment are critically discussed. To do so key measures in place that aim to minimise risk and maximise patient safety in the clinical environment are therefore evaluated. One of the methods this essay will examine is the five HSE steps of how to manage risk in the working environment in practice. There will be an in depth analysis of two different case studies of the STRATIFY risk assessment tool, to show the weaknesses and strengths of this tool. The essay w ill explore the difference education and training can have on the quality of care. The Health and Safety Executive (HSE 2006) state that every day in our life we come across risks. It may be in or outside our homes, as well as in the working environment. Kennedy (2008) states that risk can be described as an episode where something valuable or someone can be affected or damaged and where there is uncertainty of the outcome. Leyshon (2005) have stated that before any action to manage it, risk must be identified in the first place. To improve the health and safety environment in the work place assessing, measuring and controlling risk is therefore essential. The Department of Health (2006) state that ten percent of patients admitted to hospital will be negatively impacted as a result of an avoidable error separate to the original reason that they were admitted. They also state that risks could be reduced by as much as 50%if lessons from previous risk incidents were recorded and analysed. This would therefore serve to reduce the possibility of the same mistake recurring. Tingle (2006) provides further support to this by adding that if lessons were learned from previous incidents it would also help to save costs to the NHS. According to Mitchell (2009), falls can cost the NHS upwards of 1.7 billion pounds a year. Therefore, nurses can have a significant impact on this by promoting patient safety in the NHS to improve care for patients and protect them from any harm, whilst saving money. According to the Nursing and Midwifery Council (NMC) (2008) code of conduct the nurse is responsible for taking care and treating patients with dignity and respect whilst reducing the risk of further harm. Leyshon (2005) suggested that the areas to be focused on in an effort to reduce risks and to protect patients from harm are to assess the work environment and appropriately manage the known risks, as well as being aware of, and minimising, other probable risks. The goal to minimise risk in the healthcare setting means that nurses and other healthcare professionals should critically evaluate past events that have had a negative effect on practice and there should be focus on vulnerabilities and how risks can be managed. Mills and Bowker (2007) further state that there are many ways to assess risk in the health care environment. However, they highlight a simple understanding of the risk assessment tools can help staff develop better understanding of the advantages of successful risk assessment. The Health and Safety Executive (HSE) (2006) identify five easy steps to assess risk in any work place environment which has also been successfully put into practice. The first step is to identify the risk, recognize strengths and weakness to reduce risk and reach the aim using a method, such as a risk check list. Nazarko (2005) also agrees that risk needs to be identified in the first place and then we can take care of those who are at risk to minimize risk. The HSE (2003) states that, the second step is to assess who may be harmed and how using appropriate risk management tools, such as a scoring system, which are individual for different risk assessments. The third step is to evaluate the risk.   Accordin g to Young and Woodock (2011) an important question is whether the hazard can be eliminated altogether by removing it.   If this is not possible it must be controlled so as to reduce the chance of harm. According to Waterhouse (2007) the fourth step of HSE risk management is the recording method. The most important part of this method is identified as keeping a record of the patient’s risk assessment. This way, safety is improved and it is shared amongst colleagues as essential practice to protect patients from harm. This also applies to the NMC code of conduct (2008) as good practice, such that information must be shared with colleagues to maintain the safety of those for whom nurses are taking care. The last step of risk assessment is the review which must occur on a daily and ongoing basis to protect patients from hazards. This is constantly monitored to determine progress and changes to their condition. There may be some improvement or adversely, there may be some changes with patient’s health and risk assessments. Therefore it is vital that they must always be accurately recorded and kept up to date. Fullbrook (2007) agreed with these studies, adding that from the nurse’s point of view, assessment is the most important part of risk management. Nurses assess all of the issues that can have an impact on clinical practice and the nurse will often be the first to identify potential difficulties in their working environment, as they are there on a daily basis. According to Hughes and Marshall (2009) risk can be separated into three categories: long-term, medium term and short term. Dependant on the risk classification, the implementation of measures to mitigate the risk vary, according to the size and complexity of the task. These issues in risk are particularly relevant to management of falls in healthcare environments. A study by Pountney (2009b) shows that falls mostly occur in either the morning or evening time due to medication such as night sedation, make them unsteady, visiting the toilet – incontinence first thing in the morning as well as inappropriate shoes making elderly people’s mobility unsteady. Therefore as a result of this, nurses and other healthcare staff must spend more time with those patients, at these times, to protect them from harm. Nazarko (2007) stated that people in hospital who are inpatients are individuals and all of them have a different reason for being in care.   As they are unwell and are often extremely weak they may be at risk of falls. There are many factors that can affect body balance and cause falls, such as age, disease or medication. Some of them may have some obstacles to stop them being fully mobilized like catheter in-situ, drip stand, and as a result of their injuries they may be confused which makes it even harder for them to be mobile with those obstacles. Therefore it is important for nurses and other staff   to have better contact with those patients to provide the best possible care of patients be observed to reduce and minimize the risk of falls. Swann (2010) also added that unsafe clinical areas like broken and wet floor can cause falls. Barker et al (2010) stated there are many assessment tools in the hospital setting to help prevent falls and there are key measures to successful prevention, recommended by many clinical practice guidelines. However those tools are not effective if they are not used appropriately and if healthcare professionals do not evaluate them. Therefore it is the nurse’s responsibility for updating these tools, as assessment is on-going process and patient’s conditions may change. Oliver et al (2008)   advise that 10 years ago there was a practice   risk a assessment tool for rehabilitation published and delivered in the UK for elderly as well as for acute wards known as the St Thomas’ Risk Assessment Tool (STRATIFY). This fall risk assessment tool is to identify high or low risk of falls and have been designed in five simple scoring systems from 0- 5 to predict who may be at risk of falls. According to Kennedy (2010) nurses should have special training to use the STRATIFY risk assessment tool which will raise awareness when used in practise to prevent patients from falls to protect them from further harm or injury. Milisen et al (2007) described in their purposive multicenter study where they evaluated the effectiveness of the STRATIFY fall assessment risk tool. The study was carried out in six Belgian hospitals, the sample size was 2,568 participants mixed female and male and the average age was 67.2 ranging between plus and minus 18.4. The study was carried out in a four surgical, eight elderly and four medical units. The findings of this study show the effectiveness of the STRATIFY tool in the admission of patients in medical and surgical settings for patients younger than 74 show that assessment predict risk of falls well for this age group category. However it was not as successful when measured against an older population, above of 75-85 age range that are admitted in the elderly ward. For older patients with prolonged residential hospital care, it is unclear whether repeated use of the STRATIFY tool would enhance its clinical effectiveness. Furthermore, the study identified   that the risk of falling, as measured on admission is not static and as a result the risk of falling during their subsequent hospital stay must be calculated and updated on a weekly basis. Smith et al (2006) did a similar study on the STRATIFY assessment tool for patients recovering from strokes.   Six stroke units in North of England with 359 participants were selected where they used this assessment.   Every member of staff was trained to use the tool. They average stay was 28 days and the age range was between 34 and 100 years.   Within this group, STRATIFY underperformed as a predictor of falls occurring in the 28 days following the initial assessment. Using the currently recommended score threshold (2 or more as high risk), STRATIFY was found to be inaccurate with a sensitivity rating of just 11.3%. The optimum STRATIFY threshold for our stroke patients was a score of one or more, but even optimising the risk indicator resulted in a sensitivity of just 60% and this was achieved at the expense of specificity.   This study also highlights that some of the questions were not appropriate for all stroke patients as they were not applicable such as mobility ques tions as well as the amount of falls since they have been admitted to hospital. Nazarko (2008) stated that there are further methods to manage risk management in falls and one of them is to assess the location of the nurse’s station which can play a crucial role in risk management especially amongst the elderly population. If patients are located in single rooms and out of sight from nurses and other healthcare staff, there is a greater risk in falls as staff are unable to identify those at risks and react as speedily to patients who are in need of assistance. For this reason, most of the patients hospitalized in wards who may be at risk of falls are moved closest to the nursing station, to assist nurses’ visibility and reduce the impact of falls. However, it is not possible to implement this practice in nursing homes with single rooms or any other wards where patients are located in single rooms. Downing (2011) states that there are more interventions that serve to improve patient care,   particularly amongst the elderly, such as the electronic alarm device which is located on the patient’s bed or chair. Every time the patient attempts to get up it will sound so that healthcare assistants can assist the patient before any fall can occur. These devices can help with high-risk patients who are confused or have got dementia. Pountney (2009a) also recommends the alarms which can be used for patients whosuffer from dementia or are confused and also add that light sensors can improve people from falls. According to Nazarko (2006), bad vision could be a major impact on patient’s falls, as up to 74% admitted patient from falls had a poor vision. Therefore falls cannot be removed but management may improve quality of life for those patients to use those light sensors, especially if patient is located in single rooms out of sings of nurses. Another option, Vitamin D supplements, are   identified as having a role to play in mitigating the impact of falls, as Vitamin D make bones stronger and as a lack of Vitamin D can have a affect on weakness of muscle and bones. The NHS National Institute for Clinical Excellence (2004) however, do not recommend Vitamin D asthey feel there is inconclusive evidence advocating its use. According to Help the Aged (2004) risk assessments and monitoring will not guarantee to stop people from falling, however nurses will be able identify through assessment of potential risk to minimise this and improve patient safety with appropriate action taken. Pountney (2009a) further emphasises that the requirements of risk management must be weighed against the need to empower patients to remain independent and must not overpower the quality aspects of their everyday routine. The aim is to minimize patients from injury but also to encourage their mobility for better quality of life. Therefore managers have got a responsibility for managing risk against effective policy, ensuring staff are fully trained, as well as fostering a good environment to minimize risk of falls to support patients’ well being, as well as quality of life Pountney (2009b) Nazarko (2009) states some patients with conditions generally affecting the elderly such as MS and Parkinsons  disease may have many falls but if the opportunity to walk is removed to prevent falls, it is regarded as more harmful as the patient will have reduced confidence and independency. Nazarko (2009) agrees withSwan (2007) that most of the falls that occur in hospitals are not major injuries, however any falls can have a major impact on each patient as they may lose their confidence as well as dignity.   The patient’s quality of life may change dramatically as they may not be able to undertake daily activities. A loss of confidence and the inability to undertake daily routine can make the patient weaker as well as make the patient feel more isolated (Nazarko 2009). Pountney (2009) state that a lack of training of staff on falls can have a negative impact on patients which will cause inappropriate practice, but also further state that this can cause the unwanted implication to staff, where nurses will have to deal with complaints and increased workload, which leads to increased anxiety. According to Mitchell (2007), one of the major management tools to prevent falls is through the education of staff, as well as patients. Therefore nurses and other healthcare professionals who have contact with patients must have easy access to the tools, whether e-learning or manual.   Whichever one is more suitable for the individual and encompasses as minimum basic skills to maintain acceptable practice. To provide best practice in falls prevention, audits must also be carried out on a regular basis. The author used examples to explain why they chose risk management in falls as a topic.This essay explained what risk is and how risk must be identify before any action is taken. The evidence has also found that if we learned from previous mistakes risk could be reduced as improving patient safety which ultimately reduces costs. The five easy steps of HSE risk assessment were highlighted as best practice throughout the healthcare setting. This statistics provided from England and Wales as well as statistics from Scotland, demonstrated the widespread issue that falls are a major problem for the elderly population outside as well as inside of the hospital settings. Moreover various study show that most falls happening in nursing homes. The essay also focused in-depth at two studies analysing the effectiveness and appropriateness of the STRATIFY risk assessment tool. Both studies were using the STRATIFY assessment risk tool in different healthcare settings. Furthermore studies show that STRATIFY assessment risk is successful for the younger population but not as successful with older population over 75 and also that it did not appear to be helpful with stroke patients as some questions were inappropriate. There was a focus on how falls could be prevented as there are so many different reasons for patients having a fall. For some of them it could be due to their illness, medication, nursing station location, whether it is morning or night. This essay illustrates the critical role nurse’s play in providing the best possible care and support to patients. Nurses should be specially trained and educated to provide the best care to minimise patients from falls and maximize patients protection. References: Barker, A., Kamar, J. Graco, M. 2011, â€Å"Adding value to the STRATIFY falls risk assessment in acute hospitals†, Journal of Advanced Nursing, vol. 67, no. 2, pp.   450-7. Department of Health. 2006, â€Å"Safety First: a report for patients, clinicians and healthcare managers† [online]. Available from: dh.gov.uk/prod_consum_dh/groups/dh_digitalassets/@dh/@en/documents/digitalasset/dh_064159.pdf [Accessed 22nd March 2011]. Downing, W. 2011, â€Å"Preventing falls: how to monitor risk and intervene†, Nursing Residential Care, vol.13, no.2, pp. 82 – 84. Fullbrook , S. 2007, â€Å"The duty of care 2: risk assessment and risk management†, British Journal of Nursing, vol. 16, no. 2, pp.112 – 113. Health and Safety Executive. 2006, â€Å"Five steps to risk assessment† [online]. Available from: hse.gov.uk/pubns/indg163.pdf [Accessed 2nd March 2011]. Help the Aged. 2004, â€Å"Preventing Falls; Managing the risk and effect of falls among older people in care homes† [online]. Available from: housingcare.org/downloads/kbase/2312.pdf [Accessed 2nd March 2011]. Hughes, R. Marshall, R. 2009, â€Å"An introduction to risk management in residential care†   Nursing Residential Care, vol.11, no. 7, pp. 356 – 358. Kennedy, K. 2010, â€Å"A critical analysis of the NSF for Older People standard 6: falls†, British Journal of Nursing, vol. 19, no. 8, pp. 505 – 510. Kennedy, S. 2008, â€Å" The health professional’s role in helping patients understand the concept of cardiovascular risk†, British Journal of Cardiac Nursing, vol. 3, no. 11, pp. 522 – 526. Leyshon, S. 2005, â€Å"Principles of risk management in community nursing†, British Journal of Community Nursing, vol. 10, no. 7, pp. 330-333. Milisen, K., Staelens, N., Schwendimann, R., De Paepe, L., Verhaeghe, J., Braes, T., Boonen, S., Pelemans, W., Kressig, R.W. Dejaeger, E. 2007, †Fall prediction in inpatients by bedside nurses using the St. Thomass Risk Assessment Tool in Falling Elderly Inpatients (STRATIFY) Instrument: a multicenter study†, Journal of the American Geriatrics Society, vol. 55, no. 5, pp. 725-33. Mills, H. Bowker, E. 2007, â€Å"Conducting a risk assessment in neuroscience practice: principles and procedure†, British Journal of Neuroscience Nursing, vol. 3, no. 5, pp. 223 – 226. Mitchell, E. 2009, â€Å"The impact of falls on residents and staff: managing riskâ€Å", Nursing Residential Care, vol.11, no.5, pp. 258 – 260. National Patient Safety agency (NPSA). (2007), â€Å"Slips, trips and falls in hospitals† [online]. Available from: nrls.npsa.nhs.uk/resources/?entryid45=59821 [Accessed 24th March 2011]. Nazarko, L. 2005, â€Å"Reducing the risk of falls among older people†, Nursing Residential Care, vol. 7, no. 2, pp. 67 – 70. Nazarko, L. 2006, â€Å" Falls prevention in practice: guidance and case study†, British Journal of Community Nursing,   vol. 11, no. 12, pp. 527 – 529. Nazarko, L. 2007, â€Å"Reducing the risk of falls in the care home†, Nursing Residential Care, vol.9, no.11, pp. 524 – 526. Nazarko, L. 2008, â€Å"Falls part 3: environmental risk factors†, British Journal of Healthcare Assistants , vol. 2, no. 10, pp. 487 490 . Nazarko, L. 2009, â€Å"Falls part 6: risk management†, British Journal of Healthcare Assistants, vol. 3, no. 2, pp. 87 – 90. NHS Great Glasgow and Clyde, 2011, A Home Checklist Which Can Save Lives. [online]. Available from: nhsggc.org.uk/CONTENT/default.asp?page=s1192_3newsid=11231back=s8_1 [Accessed 4th March 2011]. NHS National Institute for Clinical Excellence . 2004, â€Å"Falls: the assessment and prevention of falls in older people† (Clinical Guidelines 21). [internet]. London, NICE (Published 2004). Available at: nice.org.uk/nicemedia/pdf/CG021publicinfoenglish.pdf [Accessed 24th March 2011]. Nursing Midwifery Council, 2008. [online]. Available from: nmc-uk.org/About-us/Policy-and-public-affairs/Politics-and-parliament/Policy-areas/ [Accessed 2nd March 2011]. Oliver, D., Papaioannou, A., Giangregorio, L., Thabane, L., Reizgys, K., Foster. G., Age Ageing, 2008, â€Å"A systematic review and meta-analysis of studies using the STRATIFY tool for prediction of falls in hospital patients: how well does it work?†, Age and ageing (published electroncly) vol. 37, no. 6, pp. 621-627. Perreault, A. Bourbonnaise, F. F. 2005, â€Å"The experience of suffering as lived by women with breast cancer†, International Journal of Palliative Nursing, vol. 11, no.10, pp. 510-519. Pountney, D. 2009a, â€Å"Identifying and managing the risks of falls in the nursing home† Nursing Residential Care, vol. 11, no. 12, pp. 618 – 620. Pountney, D. 2009b, â€Å"Preventing and managing falls in residential care settings†, Nursing Residential Care, vol.11, no.8, pp. 410 414 .      Swann, J. 2007, â€Å" Reducing the risk of falls: Part one†, Nursing Residential Care, vol. 9, no. 3, pp. 120 – 122. Tingle, J. 2006, â€Å"Improving patient safety in the NHS†, British Journal of Nursing , vol.15, no. 4, pp. 86. Waterhouse, C. 2007, â€Å"Development of a tool for risk assessment to facilitate safety and appropriate restraint†, British Journal of Neuroscience Nursing,   vol. 3, no. 9, pp 421 – 426. Weaver, D. 2008, â€Å"Effective strategies in managing falls prevention†, Nursing Residential Care, vol.10, no.5, pp. 217 – 222. Young, A. Woodcock, R. 2011, â€Å"Violence risk assessment in mental health practice: part 1†, British Journal of Healthcare Assistants, vol.5, no. 1, pp. 31 – 34.

Monday, October 21, 2019

Aviation Professionalism Essays

Aviation Professionalism Essays Aviation Professionalism Essay Aviation Professionalism Essay Aviation Professionalism The Qualifications, Attributes, Ethics, and Responsibilities of Aviation Professionals Yadvinder Singh ASCI – 202 Anthony Miller March 7, 2013 Once someone joins the Airlines industry as a professional, be it a pilot, a technician, or an air traffic controller, they are committing to a certain level of responsibility and expectation. In my experience I have come across professionals who I have felt suited their role to near perfection while others in the same position at times fall short of basic expectations. The issue of professionalism and responsibility in the airline industry has been in focus recently due to some recent events like the Northwest pilots flying past their destination airport, in-flight breakdowns and rants by pilots and flight attendants, and airline mergers. I feel that sometimes media speculation exaggerates the issues presented to society and highlights mistakes where the public gets the impression that these types of incidents and errors are taking place daily. The reality is that safety measures are an integral part of an airline worker’s training and major errors or incidents occur rather infrequently. At the same time, another reality is that a mistake made by an airline employee, whether pilot, technician, or air traffic controller runs the risk of being fatal and this is where the attributes and ethics of an individual come into play. Pilots are required to complete extensive training and log thousands of hours of flight time before they can land a job with the major carriers, so I feel the qualifications alone can be met by many but perhaps there needs to be some sort of training or measure of ethical behavior of an individual because that can help determine how they will treat the level of responsibility associated with their job. Most flights complete their course without incident and this can naturally cause someone to relax their mind or reflexes a little, but no flight should be treated with any negligence whatsoever. The incident with the Northwest flight (NY Times 2009) crew is an ideal example of this. The pilots had a combined flying experience of over 30,000 hours, yet they committed an error that resulted in a major embarrassment and which could have cost lives. The main cause cited for this blunder is that the pilots were distracted during flight because they were engaged in personal matters on their laptops, which is a violation of airline safety guidelines. Is the root reason for this incident just poor judgment and misbehavior of the pilots or perhaps not enough emphasis on responsibility in their training? The hundreds of hours of flight time required to be a pilot come with a hefty price, so anyone who is a pilot has surely proven their passion and persistence for flying. However, it’s a wonder that this same dedication doesn’t follow through for some once they’ve landed a job with a major carrier and I think it may be because the path is often so strenuous that getting a job itself is treated as the goal, when it actually is a stepping stone to really being a pilot. Air traffic controllers have also been in the news recently with incidents of suspicion that they are distracted and even sleeping on the job (USA Today, 2011). Here is a profession where mistakes are simply not allowed because the repercussions can very likely be fatal. I think there has to be a close monitoring of on the job behavior because the job itself runs the risk of complacency. It’s important to note that fatal incidents have been few and far between, but the risk is still great enough to warrant better oversight. A person who works as an air traffic controller needs to be one who is naturally very focused and detail oriented because the rules, the risks, the guidelines and need to be responsible and focused can be taught, but ultimately, this is behavior they have to showcase. Technicians are a group of people I’ve had several years of close working experience with as both a former technician and in my current role of Inspector. Unfortunately, the current crop of technicians are a group I find to be well intentioned, but without enough working experience as they’re often straight out of high school. This doesn’t mean they don’t possess the necessary attributes or approach to be successful and responsible technicians, because these are often the deciding factors but I think there needs to be more training and understanding of the great deal of responsibility they are taking on as technicians. Professionalism to me is a good mix of knowledge, a candid commitment to ones job, the disciplined passion, and the ability to make proper but sound judgments. To put it into simple terms Professionalism simply means doing the right thing, even when you have had a long day and also when you are not in some spotlight. Whether you are a pilot, a technician, or an air traffic controller or any employee in the aviation profession these attributes or qualities have to be considered in taking the professional approach in today’s aviation profession. Matthew L. Wald (2009, Oct 26). Off-Course Pilots Cite Computer Distraction. NY Times. Retrieved October 26, 2002 from nytimes. com/2009/10/27/us/27plane. html? _r=0 Alan Levin (2011, Apr 21). Recent air controller incidents no signs of crisis, experts say. Us Today. Retrieved April 21, 2011 from http://travel. usatoday. com/flights/story/2011/04/Recent-air-controller-incidents-no-sign-of-crisis-experts-say/46338056/1

Saturday, October 19, 2019

Australian rules footballer injured

Australian rules footballer injured Disclaimer: This work has been submitted by a student. This is not an example of the work produced by our Law Essay Writing Service . You can view samples of our professional work here . Australian rules footballer injured ‘A professional Australian rules footballer injured when an opposition player makes physical contact with him in any manner whatsoever is prevented from successfully suing that opposition player for trespass to the person because all such professional footballers consent to the risk of physical injury when they play football†. Critically analyse this statement. In a game of football, the event of physical contact between players can result in not only physical repercussions but also legal consequences. Under civil law, a football player who has been trespassed or affronted by another player could potentially sue him on the grounds of trespass to the person. The law recognises that in most sports, physical contact is to be expected and as such, will only award damages to certain cases. In addition, professional footballers consent to the risk of physical injury, further limiting the prospects of launching successful legal action. Despit e this, physical contact can attract legal liability and professional footballers sometimes sue successfully – whether or not the judge awards him damages. Battery is the main type of trespass to the person action if a football player wants to sue an opposition player for making physical contact with him. It can be defined as a deliberate or negligent act that directly causes physical contact with another. It is actionable per se and therefore there does not need to be any quantifiable damage for there to be a viable action. However, in order to launch a successful action, all elements of battery must be proved in court. These elements include: directness of the act, positive action, interference and unlawful justification The concept of what constitutes directness has been the subject of some judicial debate. Two cases, Innes v Wylie[citation] and Haystead v Chief Constable of Derbyshire[citation] provide some clarification on this element. In Innes v Wylie, Denman CJ direct ed the jury that if the defendant had stood ‘entirely passive like a door or a wall put to prevent the plaintiff from entering the room’, this would not constitute a battery[citation]. Laws LJ further added in Haystead v Chief Constable of Derbyshire that the directness of the act could also be a â€Å"direct consequence of an application of force† [citation, at 13]. It is arguable that most of the physical contact present in football is not passive and this factor of directness would probably be conveniently supported in court through footage recorded from the match. If a player strikes an opposition player, which then causes him to fall down and sustain damage on his head, this could also attract legal liability as a result of Laws LJ judgement. The combination of this increased scope in liability and active nature of physical contact in football makes it significantly straightforward in arguing that there is an element of directness – should a professio nal football player want to sue under trespass to the person. Australian cases tend to support the proposition that hostility is not a necessary element to battery. In the case of Rixon v Star City Pty Ltd[citation], Sheller JA stated that:

Friday, October 18, 2019

The earning inequality in Israel Assignment Example | Topics and Well Written Essays - 2500 words

The earning inequality in Israel - Assignment Example Often, the media houses have covered this story focusing on issues relative to Israeli’s economy. The United States, a close follower of Israel’s practices, has acted against the discrimination challenge in the past as it reflects negatively on the countries well-built reputation (Plaut, 2014). Naturally, Israel is the only state in the Middle East lacking an apartheid regime and looking at its success, as a developed country; it faces no threats from rivals and defamers. This condition makes Israel’s practices a dream for most of the western countries. A decade ago, discrimination was the country’s most pressing challenge but today, things have taken an influential step. The most worrying characteristic of Israel is the growing income inequality. It became prevalent a few years ago and in 2015, it attracts the attention of most states, organizations and international corporations (Filut, 2015). As from April 2015, Israel ranks at number 15 in labor productivity of the international economies. This fact is from the Organization of Economic Cooperation and Development (OECD) most recent report. Israel has had a record increase in labor productivity for a limited time with more than three million people in the country having standard jobs. World’s leading countries such as China, United Kingdom or even South Korea are yet to attain Israel’s current labor productivity. However, the OECD claims as much as Israel has made improvements, the country’s economy is in an awkward position because they are 4% out of their constant track as depicted in the past two decades (Filut, 2015). The economic growth continues to increase gradually because of the variations in labor productivity - over three times that of the major emerging markets. This might seem impressive but China, Indonesia, Brazil and Russia have had over 100% productive increase in less than a decade, which shows they are most likely to surpass Israel in due time (Matthew,

Arts and Urban Life Essay Example | Topics and Well Written Essays - 2250 words

Arts and Urban Life - Essay Example Punch's versifier detailed 'The muck and mud that still our movements clog', while Conrad made the same point more sonorously in describing 'the enormity of cold, black, wet, muddy, inhospitable accumulation of bricks, slates, and stones, things in themselves unlovely and unfriendly to man." (Freeman, 89). The city of London is perhaps one of the oldest yet also one of the most powerful cities in the world. This account speaks about the atmosphere, weather, but not the people. All urban histories states about the city in terms of physical structures and ultrastructural layouts. When the reality is that the people of the city and their lives day in and day out constitute the core of urban life, which embodies their struggle, aspirations, and moments of heightened awareness, then art in the urban life in any form will also express those. In the detective fiction of Arthur Conan Doyle or Richard Harding Davis, fog underlay or encouraged the city's criminal associations, with Sherlock Holmes speculating as to how the 'thief or murderer could roam London' 'as the tiger does the jungle', since figures are but 'dimly seen, then blend once more into the cloud bank' (Doyle, CA, 913). The question arises, what is a city, is it the demonstrable difficulties of urban life, its malign incompatibility with human wishes, or entirely something else arising out of it. In some cases, the metropolis itself has been assigned a character in itself, which responds enthusiastically to the process of transformation in the city space and the ways it is perceived by the individual. Radical artists such as Whistler and Monet were exploring similar possibilities during the 1870s. Such figures moved away from the particularization of realist art and conventional topographic painting, concerning themselves with atmospheric evocation. James's immersion, in all senses, in London's fog was therefore something he shared with its most famous visual chroniclers, impressionist painters, even though he initially had little obvious sympathy for their art (James, 219). Accounts of London by Dickens, and, even more so, by Gissing, repeatedly emphasized the city's aromas and the tidal roar of its 'flaring and clamorous' streets where 'the odors of burning naphtha and fried fish were pungent on the wind'. To judge from The Princess Casamassima, the Thames is equally noisy and smelly, with Hyacinth (Gissing, 111), Robinson observing the 'grinding, puffing, smoking, splashing activity of the turbid flood', but in his own trip down river, James concentrates on the tonal limitation s of the scene, its blacks and sables, silvers and grays (Jackson, 277). Baldwin's "Another Country" is a novel, but more of an essay on love. Love on the backdrop of a city, where life at least takes the form of impressionist art. Love is a theme that the author had explored both on homosexual and heterosexual perspectives. On closer examination, there is another theme in this novel, racialism. While love is a necessity and is utterly constructive, hate is terribly destructive, and this theme is core concept

Pom Wonderful Paper Movie Review Example | Topics and Well Written Essays - 1250 words

Pom Wonderful Paper - Movie Review Example But Morgan Spurlock pulled it off. It was a very daring movie to actually document the entire process of getting company pay for a movie that will show how they invade our everyday lives that they literally assaults us from the day we wake up until we sleep. It was more daring when Spurlock actually asked for these companies to pay for the movie and show how they negotiated in the raw. The expected reaction of advertising firms was also documented in the raw when he negotiated or tried to up-sell the concept of his film. There in the negotiations, it was articulated the fear of the advertisers of the unknown that they did not want to be a part of the film that may put them in a bad light. Spurlock however was not discouraged by this initial failure. He went around asking people on how he could make companies to pay for his film. He eventually did when he initially struck an interim agreement with Ban deodorant that the company would be in if there are 15 other brands who would join h im. Personally, my impression was it was a typical success story on how one will succeed if only he or she will try hard enough as what Spurlock did in the movie The Greatest Movie Ever Sold. In a way, the movie or documentary can be considered as a learning material. Very subtlely, marketing concepts such as as brand collateral was explained in a manner that will be very easy to understand. I had difficulty discerning what really it was all about but after watching the film, I learned that it simply meant what do you offer to your consumers or what are bringing on the table? I also learned that people’s personality can be considered as brands too. During the first part of the film where Morgan Spurlock was having difficulty getting companies to pay for his film, he came upon an Analyst who explained to him that his personality is playful and risk taker. It was explained that it is more likely that brands who share his personality will be the ones who are likely to support hi m. In a way, the movie â€Å"exposed† the science of marketing. After explaining the nature of his personality, Spurlock was able to strike deals with companies. The biggest of which was with POM wonderful who was even excited to be the brand X of the film to make the film entitled â€Å"POM Wonderful Presents: The Greatest Movie Ever Sold†. It was at a hefty price of $1 million dollars with others agreeing to pay between $25,000 to $50,000. At one point in the film, Sheetz even have to fly him in their private jet just to have a meeting with him. The company agreed to be a part of the film. I was really aghast with this â€Å"success† part of the film because it showed that with a right idea and right persistence, one can actually convince companies to pay for a film that â€Å"exposes† them. I was even surprise that even Mane n Tail actually paid for the film even if Morgan Spurlock poked fun of its product saying â€Å"there is an instruction for huma n† and there is another instruction for the horse. I remarked watching the film â€Å"wow, he really pulled it off in style!† There is one part of the film that made me think. There was a conversation after Morgan Spurlock showed the contents of his contracts that he can only drink, eat, and drive this and that. Basically the stipulations of his contract. He raised issues such as the companies might insist too much on placing in their products in the film that it will diminish his influence as a filmaker. Basically, the concern was that since

Thursday, October 17, 2019

Queations Article Example | Topics and Well Written Essays - 250 words

Queations - Article Example To strengthen child’s existing capability is the good choice. Planned ignoring of the naughty child will have some salutary effect on the disposition of the child. Control, coercion and bribery need to be applied in a well-proportioned manner. Parents and teachers must share the responsibility to translate the well-researched set of tools to manage classroom behavior. Q.4.In the screening committee Mary owns prime responsibility. She knows about the ground realities about the day to day handling of children in the classroom environment. The counselor, with his knowledge about the psychological disposition of children should be able to give advice to identify a child having special needs and exceptionalities. The Principal, generally an individual with vast administrative experience, should be in a position to ensure that the student has the support and resources necessary to be successful and to reach his or her full potential. Parents are free to point out any shortcomings in the administration of their child and suggest modifications/improvements in the teaching technique. The final goal of the screening committee is the proper identification of the child’s learning needs. Q.5.The class as a whole was good and accepted her reformation methods, except five or six children, who had severe learning difficulties. Tim was a child with difficult home life and was mostly brought up at a childcare center. He was unable to change for the better and his initial response to her teaching methods was to cry and say, â€Å"Im no good. Im stupid. I cant do this work." But his self-pity soon turned to anger toward Mary and he yelled during a parent-teacher meeting, "Im going to kill you, I hate you, and Im going to kill you." Q.6.The responsibilities of the parents at home and the teacher at school to handle the child are different. Parents generally turn a blind eye to the discipline issue of their children as their feelings are coated

Marketing Myopia Essay Example | Topics and Well Written Essays - 1000 words - 2

Marketing Myopia - Essay Example Therefore, an efficient marketer would carefully plan and adopt strategies which are customer oriented and would try to build profitable customers relationships. In this article, the author says that marketers today focus on production and selling rather than adopting customer oriented strategies. He urges marketers to concentrate on their industries and plan their activities strategically in order to remain competitive. He also tries to motivate the marketers to study the needs of the customers to make profitable customer relationships. The main focus of this article is on providing customer value and following a customer oriented approach. The article revolves around the customer oriented approach as presented 52 years ago but can still be applied to the modern world approaches these days. In this article, the author portrays that a lot of businesses in many industries have been declining or going through the declining stage, not because of saturation of the market but because of t he shortcomings of the management. The main setback is the inability of managers to concentrate on customers and find current customer needs. ... In order to find current customer needs and wants, marketers need to carry out effective marketing research and provide only those goods and services which are actually wanted by the customers. The author gives the example of the railway business and the reasons for its decline. He explains that the railroad business concentrated on their railways instead of the benefit of transportation that it provided. Other industries were able to take away their customers not because the demand for transportation decreased (it actually increase), but because the railway business itself gave other s the opportunity of taking away their customers. The author states that the main reason for their decline was that they were product oriented instead of being customer oriented. Another example was of the Hollywood industry which concentrated on the movie business instead rather than providing entertainment to the viewers. This gave way to TV which was customer oriented and providing true entertainment to the viewers. These examples give a clear indication that being product oriented can prove to be very harmful for the company as a whole and may even force it to go out of business. There are hundreds of such examples that we see everyday and therefore, marketers as well as managers should make sure that the business adopts those strategies which are customer oriented instead of being product oriented. The main purpose of these examples is that the author wants to show the managers and marketers that a single approach of whether being product oriented or market oriented can affect their entire organization and it disregards all the other plans and work done by the management. If the marketer`s main focus is on the product and its attributes rather than on the customer and his

Wednesday, October 16, 2019

Pom Wonderful Paper Movie Review Example | Topics and Well Written Essays - 1250 words

Pom Wonderful Paper - Movie Review Example But Morgan Spurlock pulled it off. It was a very daring movie to actually document the entire process of getting company pay for a movie that will show how they invade our everyday lives that they literally assaults us from the day we wake up until we sleep. It was more daring when Spurlock actually asked for these companies to pay for the movie and show how they negotiated in the raw. The expected reaction of advertising firms was also documented in the raw when he negotiated or tried to up-sell the concept of his film. There in the negotiations, it was articulated the fear of the advertisers of the unknown that they did not want to be a part of the film that may put them in a bad light. Spurlock however was not discouraged by this initial failure. He went around asking people on how he could make companies to pay for his film. He eventually did when he initially struck an interim agreement with Ban deodorant that the company would be in if there are 15 other brands who would join h im. Personally, my impression was it was a typical success story on how one will succeed if only he or she will try hard enough as what Spurlock did in the movie The Greatest Movie Ever Sold. In a way, the movie or documentary can be considered as a learning material. Very subtlely, marketing concepts such as as brand collateral was explained in a manner that will be very easy to understand. I had difficulty discerning what really it was all about but after watching the film, I learned that it simply meant what do you offer to your consumers or what are bringing on the table? I also learned that people’s personality can be considered as brands too. During the first part of the film where Morgan Spurlock was having difficulty getting companies to pay for his film, he came upon an Analyst who explained to him that his personality is playful and risk taker. It was explained that it is more likely that brands who share his personality will be the ones who are likely to support hi m. In a way, the movie â€Å"exposed† the science of marketing. After explaining the nature of his personality, Spurlock was able to strike deals with companies. The biggest of which was with POM wonderful who was even excited to be the brand X of the film to make the film entitled â€Å"POM Wonderful Presents: The Greatest Movie Ever Sold†. It was at a hefty price of $1 million dollars with others agreeing to pay between $25,000 to $50,000. At one point in the film, Sheetz even have to fly him in their private jet just to have a meeting with him. The company agreed to be a part of the film. I was really aghast with this â€Å"success† part of the film because it showed that with a right idea and right persistence, one can actually convince companies to pay for a film that â€Å"exposes† them. I was even surprise that even Mane n Tail actually paid for the film even if Morgan Spurlock poked fun of its product saying â€Å"there is an instruction for huma n† and there is another instruction for the horse. I remarked watching the film â€Å"wow, he really pulled it off in style!† There is one part of the film that made me think. There was a conversation after Morgan Spurlock showed the contents of his contracts that he can only drink, eat, and drive this and that. Basically the stipulations of his contract. He raised issues such as the companies might insist too much on placing in their products in the film that it will diminish his influence as a filmaker. Basically, the concern was that since

Marketing Myopia Essay Example | Topics and Well Written Essays - 1000 words - 2

Marketing Myopia - Essay Example Therefore, an efficient marketer would carefully plan and adopt strategies which are customer oriented and would try to build profitable customers relationships. In this article, the author says that marketers today focus on production and selling rather than adopting customer oriented strategies. He urges marketers to concentrate on their industries and plan their activities strategically in order to remain competitive. He also tries to motivate the marketers to study the needs of the customers to make profitable customer relationships. The main focus of this article is on providing customer value and following a customer oriented approach. The article revolves around the customer oriented approach as presented 52 years ago but can still be applied to the modern world approaches these days. In this article, the author portrays that a lot of businesses in many industries have been declining or going through the declining stage, not because of saturation of the market but because of t he shortcomings of the management. The main setback is the inability of managers to concentrate on customers and find current customer needs. ... In order to find current customer needs and wants, marketers need to carry out effective marketing research and provide only those goods and services which are actually wanted by the customers. The author gives the example of the railway business and the reasons for its decline. He explains that the railroad business concentrated on their railways instead of the benefit of transportation that it provided. Other industries were able to take away their customers not because the demand for transportation decreased (it actually increase), but because the railway business itself gave other s the opportunity of taking away their customers. The author states that the main reason for their decline was that they were product oriented instead of being customer oriented. Another example was of the Hollywood industry which concentrated on the movie business instead rather than providing entertainment to the viewers. This gave way to TV which was customer oriented and providing true entertainment to the viewers. These examples give a clear indication that being product oriented can prove to be very harmful for the company as a whole and may even force it to go out of business. There are hundreds of such examples that we see everyday and therefore, marketers as well as managers should make sure that the business adopts those strategies which are customer oriented instead of being product oriented. The main purpose of these examples is that the author wants to show the managers and marketers that a single approach of whether being product oriented or market oriented can affect their entire organization and it disregards all the other plans and work done by the management. If the marketer`s main focus is on the product and its attributes rather than on the customer and his

Tuesday, October 15, 2019

The Use of Polygraph Tests by Law Enforcement Essay Example for Free

The Use of Polygraph Tests by Law Enforcement Essay Research Question:   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   How Reliable are Lie Detectors? Thesis Statement:   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Lie detectors are not completely reliable. 1st Source: White Jr., R. D. (2001). Ask me no questions, tell me no lies: examining the uses and misuses of the polygraph. Public Personnel Management, 30(4), 483+. This article discusses the different ways by which the polygraph is used and misused, and recommends certain guidelines for the proper use of polygraphs.   It presents both sides of what appears to be a long standing debate on the reliability of lie-detector tests, integrating significant legal developments in the discussion.    This is a good article because it outlines the history of polygraph development and use, and contrasts the pros and the cons of using polygraphs in the public sector and in law enforcement.   The article, however, may be considered a bit flawed in the sense that it seems to imply that there is nothing wrong with using polygraphs.    In this connection, it must be pointed out that the author only prescribes the use of the polygraph in narrowly-tailored, tightly circumscribed instances, which, upon a deeper analysis, means that the author is against the wholesale, indiscriminate use of polygraphs.   In other words, the author seems to imply that as a general proposition, the use of polygraphs or the results taken therefrom are not completely reliable, and may only be considered as such in certain instances.   Another strength of the article is that it discusses not only the technical aspects of polygraph use, i.e., its validity and reliability, but also its legal and ethical or moral implications. The article is relevant to the above topic because it discusses the use of polygraphs not only against criminals, but as against the individuals that compose the public sector.   It lays down the premise that despite the controversy regarding the use of polygraphs in the past, at present, its use has become more widespread and is applied not only to criminals or suspected criminals, but also to government employees and in government agencies, who are on the right side of the law. With respect to the article’s relevance to the question on the reliability of lie detectors and the statement that lie detectors are not completely reliable, as mentioned, the article presents both sides of the argument, and the conclusion implies that, in fact, lie detectors are not completely reliable because if they were, they could be used at any given instance, at any given time, without having to prescribe specific parameters for its use. The main argument for the continued use of polygraphs is that in numerous cases, the physiological responses elicited by questioning indicate the guilt or innocence of a person, because of the way people are supposed to react when they are lying or telling the truth.   The easiest criticism against the reliability of characterizing outcomes such as increase in pulse is that each person reacts differently to a particular situation. Hence, the person may be telling the truth, but he may feel nervous at being questioned and being strapped to a machine, so his pulse may be uneven.   Studies conducted, particularly by the Office of Technology Assessment or OTA, show that there is a large variance in the cases where the individual who was tested via polygraph was held to have been telling the truth when he was actually lying, or when he was found to be lying when he was actually telling the truth. Also assailed is the lack of training of the people who operate polygraphs, and the lack of operational guidelines in the actual use of the machines, as well as the use of what are called countermeasures that enable certain individuals to â€Å"beat† the polygraph.   In conclusion, the author concedes that reliable or not, polygraphs will still be used, and thus proposes several tests or criteria by which to determine whether or not a polygraph should be used, such as the existence of a compelling public interest, the presence of independently corroborating evidence, and the imposition of stricter controls with respect to actual testing.   The use of such criteria could mitigate the inherent unreliability of polygraph testing. 2nd Source:   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Dripps, D. A. (1996). Police, plus perjury, equals polygraphy. Journal of Criminal Law and Criminology, 86(3), 693 to 716.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The article presents the author’s theory that making polygraph examination results admissible in evidence as a general proposition will ward off the evil of perjury committed by law enforcement agents.   The arguments presented by the proponent are very structured and organized.   The author paints a very convincing picture of the disadvantages and prejudice brought about by the current general rule on the inadmissibility of polygraph test results vis-à  -vis police testimony with respect to suppression hearings. The only weakness of the article is that it concedes, even if merely for the sake of argument, that polygraph testing results are generally unreliable, but they should be used anyway to at least ensure that policemen do not commit perjury on the stand when they testify as to the factual milieu of the case and the seizure of evidence.   It is a good article to contrast with the first because the arguments are similar but the conclusions and implications are different, and the details should be examined more closely to determine why, despite the similarities, there still exists a discrepancy or difference in opinion.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The article is relevant to the above-mentioned topic, because it relates to the use of polygraph tests by and against law enforcement officers.   Like the first article, it presents the use of polygraphs not only as against suspected criminals, but even against those on the other side of the law.   It is relevant to the question on the reliability of polygraph testing and on the thesis that polygraph tests are not completely reliable because it argues against the thesis by citing the rules on evidence.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In the case of Daubert v. Merrell Dow Pharmaceuticals, the Supreme Court held that the use of expert testimony based on valid science is admissible in evidence.   Despite the controversy as to its reliability, several scientific agencies have attested to the valuable use of polygraphs and have provided for acceptable margins of error; after all, nothing is perfect, and to expect that polygraph results are a hundred percent reliable would be an exercise in futility.   With the allowable margin of error, polygraph results are made more reliable.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The article points out the background behind the OTA study; it was undertaken at the behest of the legislature on a move to be more stringent in regulating the use of polygraphs.   Many government institutions and agencies rely on polygraphs to help them ferret out the truth, such as the CIA, the FBI, and the Department of Defense. The article stresses that in general, polygraph test results can be relied upon, because it involves a science that has been empirically and objectively tested, and when the testing is done properly, the margin for error is acceptably low. In the specific context of suppression hearings, the admissibility of polygraph results as explained through expert testimony would better protect the rights of the accused, as many policemen are unfortunately wont to lie even under oath to ensure that crucial evidence does not get thrown out and the case against the accused does not fall apart.   At the very least, the admission of polygraph results would make law enforcement officers, and criminals, think twice about lying on or off the stand, and would contribute in some way to the proper administration of justice.

Monday, October 14, 2019

Sudanese Islamic Banking System Commerce Essay

Sudanese Islamic Banking System Commerce Essay The last thirty years have witnessed the appearance and rapid expansion of Islamic banking in Sudan as Islamic country and outside of Islamic countries. Islamic banks provide product and services that do not contravene with Islamic law and human conduct. The Islamic principles claim the Islamic banks to operate give an important role to social issues and developing economy as the hole. The history of banking in Sudan started in 1903 which the first bank operated in Sudan was the national bank of Egypt in 1903 and plays the role of central bank in Sudan up to 1956, and followed by Barclays bank in 1913. The central bank of Sudan established in February 1960, which it drive the appearance of banking in Sudan, and during the period from 1962 to 1969 a numbers of domestic banks are established, and after that followed by a numbers of foreign banks and branches were allowed to operate such as Abu-Dhabi bank in 1976 and City bank in 1978. The year 1978 had witnessed the establishment of first Islamic bank in the Sudan that was Fisal Islamic bank, marked the first step to Islamise all Sudanese banks later, after that the success of Fisal Islamic bank during this period led to appear a number of Islamic banks such as Tadamon Islamic bank, the Sudanese Islamic bank, the Islamic Cooperative development bank and Al-baraka bank, all these banks succeeded to attracting more dep ositors, and hence, more branches were opened over all stat of Sudan. In 1983 the government applied Shariah rules on all transaction that lead to Islimisation all banks and prohibited receiving or paying interest. In addition, during the period from 1985 to 1988 the new government issuing rules to open conventional banks; however it led to conflict between Islamic banks and conventional banks and this period characterised such as increase the private banks in banking market. Moreover, there are many irregularities and lack of interest by the competent authorities, causing a shake-up the Sudanese banking system has suffered and dropped, that refer to the following reasons: Firstly, has not received the decision with interest the responsible authorities and its implementation and follow-up of the Ministry of Finance and National Economy, Central Bank of Sudan and senior management of the banks at that time. Secondly, let each bank to the Islamisation of how to see without assistance and follow-up by Jurisdiction. Thirdly, the lack of staff trained and familiar with the nature of Islamic banking in the State-owned banks that have been converted to Islam about a dozen banks that any significant number. Finally, the survival of conventional bank personnel to overseeing the investment status in the main departments of investment banks branches of government. Available on Central Bank of Sudan (2010) In 1992 the new government issued a more comprehensive law which envisioned an economy-wide Islamisation of the financial system including the government sector. Now all working banks are using Islamic modes of finance in all transactions. An important development worth mentioning is the attempt being made to eliminate interest from the government sector also. This led to increase the number of banks operating on the basis of Islamic mode of finance from 6 Islamic banks in 1980 to 29 in 1997 and to 33 in 2010. Also in this period a number of banks are merged such as government banks, and some foreign banks are terminated such as City bank. It can be in this report concerning on the last twenty years to explain and describe the structure and the type of business perform by Islamic banking in Sudan, also describe the main features of Islamic banking in Sudan. Iqbal and Molyneux (2004) Characteristic and Objectives of Islamic Banking in Sudan: The main characteristic and objectives of Sudanese Islamic banking system was revolve around sex elements which are explained in the following: Firstly, Islamic finance involves a system of equity sharing and stake-taking. It works by the principle of a variable return depending on the real productivity and how well the project performs. Therefore, Islamic principle remains of equity, reward and risk sharing unlike the conventional concept. Secondly, Sudanese Islamic banking plays important role in the economy, which is to an extent a revolutionary development as it calls for new approach to the economy. Islam needs the economy; its most important monetary and business dealings, to change away from debt-based partnership to an equity based and stake taking relationship. While the   some debt-based transactions will still exist in the Islamic bank but it will be based on the principle of Quard Hason (take for special case fore specific reason and guaranteed by equal amount deposited in investment account. e. g. if some company deposit large amount in investment account for one year and after 8 months need some amount for tw o months, then will take Quard Hasan for two months based on deposit amount in the investment account because it enable the company to gain the profit for this amount for two months which it can be provide the balance of investment account as guarantee to the bank). The overall purpose of the economy will be arranged towards equity based and risk sharing. Thirdly, in the Islamic mode ethics will play a key role. The ethical and social size will be essential to all economic activities, there will exist structure of Halal (permissible) and Haram (prohibited) within which all economic activity, private and public, has to be taken in place. The ethical issue will work at different levels and therefore morals will effect to the conscience of the entrepreneur and the firm, the society, the legal structure and the supervisory of the state. However, Islamic banks activities which would be treated the capitalist in Halal productivity and avoid gambling, prostitution, the promotion of alcohol , and any Haram productivity. Therefore social and ethical will be part of the Islamic economic system, and then all bank transaction will be made based on Shariha law and Islamic norms. Fifthly, the government of Sudan encourage the Islamic banking is entrepreneurial driven to directed for all not just towards financial expansion but also towards physical expansion of economic production and services. In the Islamic economy money will not produce money; it is expected to finance talent, innovation and new ideas, skills and opportunities. Whereas, conventional banking operates predominantly on the basis of financial collateral, therefore the more money you have, the more you can get. This means that the viability of a project mainly depends on the financial worth of the borrower; meaning that low collateral can reduce the chance of getting a loan, even if the project is viable and the person has impeccable character. Whereas, in the Islamic system collateral is not ignored but it is reduced, through the trustworthiness of the person, the viability and usefulness of the project; which is more important then the financial worth of the borrower. This means in the Islamic system greater emphasise is placed on human needs such as fair distribution, equity, community and individual development. Therefore, Islamic banking is more oriented towards the community, talent and entrepreneurship in Sudan to improve the individual income as specific objective and develops GDP as general objective. Finally, the Islamic system is non-inflationary; this is a very important and fundamental aspect of Islamic banking because the rate of inflation in Sudan slightly stable during last twenty years based on developed banking sector. The linkage between financial expansion, money supply and the physical expansion of the economy is a result of the financial and banking dynamics of the current time, however, the Islamic banking and finance restores the balance between these three variab les. Stability in the value of money is a primary goal of an Islamic economy. Therefore all economic sectors are developed because Islamic banking helps to allocate resources between all sectors. Finally, provide financial services such as open accounts, transfer money, collecting checks, deposit and debit, and etc to the customers, Abdullah Hawiad (2008). The Operation ofIslamic Banks in Sudan: All Islamic banks in Sudan operate similar to conventional banks by providing three types of accounts; current accounts, saving accounts and investment accounts, in current accounts Islamic banks and conventional banks provide check book and take a fee and in saving account not take a fee and also not offer to holders of saving accounts profit but take permission of the account holder to use his funds in other business activities but this principal is guaranteed, today some banks offer saving account as current account to attractive the depositors in the market. In the investment account Sudanese Islamic bank are different from conventional and others Islamic banks in others countries by providing profit to the lender in the end of year and this profit is determined in the end of year because the banks take a money as modareb and not determine the percentage of profit because it depend on the all profit at the end of year, and also the investors agree in advance to share the profit a nd loss in a given proportion with the bank, but her the banks attractive the investors based on the percentage of profit divided to the investors in the previous year which how banks offer high percentage will gain a large amount from investors in the future. Therefore, Sudanese Islamic banks are similar to Islamic banks in any Muslim countries but the main idea in Sudanese Islamic banking structure is to in corporate the classical mudarabah into   a modern complex system in order to an interest-free banking system . The function of Sudanese Islamic bank can be explaining the structure of Islamic bank, the Islamic bank collect the funds from their investors is called Rab-al-mal, the Islamic bank is Mudareb (intermediary part or agent) which is transfer the funds to entrepreneurs based on Islamic modes of finance like murabaha, mudarabah, musharaka, bai-al-salam,muqawala, muzarah, and istisna, which the banks share the profit between the bank and the holders of investment accounts . . Magda Abdel Mohsin (2005) Structure and Size of IslamicBanking in Sudan: The remarkable change in Sudanese Islamic banking industry in the last two decades there are an improvement in the performance of Sudanese Islamic banks due to improving in the infrastructure, stable the economic policies, the best distribution of income and resource among different economic sectors and end of the civil war in Sudan. According to these factors Islamic banks in Sudan grow rapidly in terms of assets and deposits size and have maintained considerable profit level as shown by the represented balance sheets and income statements. In addition, the accounting published data show the contribution of these banks in full filling their social responsibility and in the reduction of poverty in Sudan as reflecting by the distribution of large amount of Zakah to the poor and needy people, also the government establish family banks which is specialist to provide finance to the talent, innovation and producers family. Magda Abdel Mohsin (2005). Sudanese Islamic banking structure are grouped depend on economic sectors which are any groups are specialist to provide financial service for specific sector based on specific mode or instrument of Islamic finance. However, the authorized banks operating in Sudan is 33 banks which are grouped in two types commercial banks, so it represents 83% from all banking and which are include 2 banks are state-owned banks, 21 are joint banks and 4 are foreign banks branches. The second type is specialized banks, which it represents 17% in banking sector and also involves 5 banks are state-owned banks, which include industry development bank, will offer finance to industry sectors (long-term finance), Sudanese agricultural bank, so its large bank because agriculture represent a large sector in the economy, and Savings and Social Development Bank, and Family bank which is provide finance to producers family to improve individual income. In addition, Investment Bank is joint bank and specialized to issuing Sukuk in stock market and collect funds from lenders and invest these funds by them self in investment project without lending for a third party, (i.e. sharing between public, government and foreign). Available on Sudan Financial Times (2008). Therefore Sudanese Islamic banks have mainly applied five modes of finance in their financial instruments which are Murabaha, Musharaka, Mudaraba, Salam and Muqaula, it can be explained in the following figures:- Murabaha: Murabaha is referred to particular kind of sell, where the banks   where the banks acquired the commodity and sell it to another client at profit margin or mark-up expressly disclosing to the purchaser the cost price that he has paid for the commodity. Murabaha represent the main mode of finance in Sudanese Islamic banking and all commercial banks depend on this contract in finance because it provide large profit margin for the banks in short periods therefore the central bank of Sudan restricted this mode to be invested by all banks in 30% of all their investments operations and the maximum profit margin for this mode not greater than 9% per annum. The other reason to restrict Murabaha because the need of allocate resource during all economic sectors by the central bank. Available on Central bank of Sudan policies Musharaka:Musharaka consist more than 50% of total finance because it use to finance in different sectors especially in industry sectors because it needs long term finance and also central bank take each banks option to determine the percentage and margin of Musharaka profit and sharing. Mudaraba:Mudaraba is mainly applied investment bank because it specialized to collect money from depositors and invest this funds directly without lending to third party and also investment bank specialized to issuing Sukuk in stock market because it issued based on Mudaraba only in Sudanese stock market on the other hand the central bank take the investment bank option to determine the share of Mudarib in the realized profit in the end of project investment and then the investment bank offering the depositors more profit than other commercial banks to attract more funds from investors. Other mode of finance:The other modes of finance include Salam, Muqaula and Istisna, the central bank encourages all banks to diversify the finance among different modes to reduce the risk and maximize profit. Salam is very useful mode of finance applied by agriculture bank and family bank to improve the agriculture sectors and improve the individual income and this mode of finance is supported by the central bank to finance customers without any collateral in the sectors of social and agriculture. Muqaula use to finance the real estate sectors and also istisna use to finance industry sectors this two modes of finance used by all commercial banks in Sudan, therefore, all domestic commercial banks established business units to compete the market and diversify the business and finance to maximize the profit and minimize the risk such as, Faisal Islamic bank (Sudan) established Takaful company, the real estate company and stock company to trade in Sukuk market. . Available on Sudan Fina ncial Times (2008). Foreign banks size and performance: The foreign banks represent 12% from all Sudanese Islamic banks and attractive most of export and import finance which are applying different modes of Islamic finance because Sudan are suffering from scarcity of foreign currency due to the international ban and government ideology and foreign policy. Then foreign banks in Sudan play the significant rule to develop the export and import sectors by offering finance to issuing letter of credit and letter of grantee for all international transactions therefore it will drive the foreign market because it provide finance and service at low cost. Available on central bank of Sudan. Conclusion: Today Sudanese Islamic banking sector are grow rapidly and more successful in the last twenty years and successful to improve the economy in the all sectors. In the other hand, according to the technology development all Sudanese banks are linked by network which it enable them to provide clearing house service, ATM service, Internet service and point of sale service, however, the degree of competition in banking sector is very high because some banks use the IT as barriers to block the potential banks to enter the market and use IT to compete the current market because the degree of completion increase after Sudan export petroleum and also large foreign bank need to enter banking market to finance long-term finance and compete the foreign currencies and letter of credit finance because it provide high profit to the banks. On the other side after ending the civil war and peace agreement in 2005 the central bank allowed conventional banks to start working in southern Sudan as its been mentioned in the conditions of the peace agreement but there are no literature of data available about the banks in southern Sudan because it established recently in 2008. Reference: The Central Bank of Sudan Policies, available on http://www.cbos.gov.sd/english/policies.htm   last accessed 07.04.2010. Thirty Years of Islamic Banking: History, Performance and Prospects, Munawar Iqbal and Philip Molyneux (2004). Islamic Banking System, Islamic Banking Concept, Abdullah Hawiad(2008), available on http://papers.ssrn.com/sol3/papers.cfm?abstract_id=1283093, last accessed 08.04.2010. Magda Abdel Mohsin (2005) The Practice of Islamic Banking System in Sudan, available on http://www.sesrtcic.org/files/article/82.pdf last accessed 02.04.2010. Islamic Banking in the Sudan available on Sudan Financial Times (2008) http://www.sudanfinancialtimes.com/index.php?option=com_contenttask=viewid=166Itemid=33, last accessed 08.04.2010. Central bank polices, available on http://www.bankofsudan.org/english/backge.htm last accessed 09.04.2010. Banking and Financial Sectors, available on central bank of Sudan   http://www.bankofsudan.org/english/id_e/banks/banks.htm, last accessed 09.04.2010