Saturday, August 31, 2019

The Halo Effect

Have you ever seen a CEO of a huge cooperation walking in to a business meeting in shorts and sneakers? Probably not. Throughout many industries of the world certain job positions come with a specific look. Which means the person that holds one of these positions is expected to dress and appear in a certain way. People’s perceptions of others can be greatly affected by the halo effect and the bias of attractive people as demonstrated by the article â€Å"Physical Attractiveness Bias In Hiring: What is beautiful good† by Comila Shahani-Denning and the 2006 film The Devil Wears Prada. The halo effect in basic terms is attributing many positive qualities because of one or few good qualities notice in the person. such as a thin, attractive women may be perceived by other to be neat, well organized, and nice. Even though she doesn’t actually show any evidence of any of those qualities. In the film The Devil Wears Prada, The Runway magazine publishing company has set a high standard of presentation for its employees. All of it’s employee basically fit the same description, size 2, attractive and wearing the latest fashion. Then a average looking young women named Andy walks in wearing an outfit that looked like she stole it from her great grandmother closet to apply to be the assistant’s assistant to the head of the company, the assistant Emily begin judging her the second she enters the office. She obviously doesn’t fit in and is quickly overlooked for the position by the assistant. This is closely related to the idea’s in Comila Shahani-Denning article of beauty is good. The beauty is good theory states that attractiveness has a significant impact on a person being hired, so the more attractive candidate has a better chance in being hired then the less attractive person. Which can be seen as a type of discrimination because you it’s a non-work related factor. Attribution also plays a huge role in this situation. Attribution is the way we find meaning to other peoples actions. There are two different types of attribution, negative attribution and positive both of which can come from two different sources, an internal or external motive. By Andy not dressing the part she’s sending a message to other that she just doesn’t care. This is an example of an internal attribution. The fact that it’s a fashion magazine and she seems to know little or nothing about it doesn’t really help her. On the other hand when the main reason the company head Miranda hires her is because she wasn’t like the rest who didn’t work out. One factor of this film that I found very interesting was the way Miranda was portrayed. Majority of the film, she shown as this cold hearted monster everyone fears. Andy’s perception of her is very negative and this is an example of the reverse halo affect. The reverse halo affect is taking one negative quality and attributing many more without any obvious indications. Just by seeing how strict Miranda is at work, andy make her seem like she has no care or compassion for anyone else but a good thing they did in the film was show her vulnerable side when she was getting divorce from her husband. She let her feeling show demonstrating she’s not the heartless beast they portray her as. As human being we all try to find meaning and reasoning to everything. That what set us apart from other animal, the need to know why. But what happens when our judgments of other are based on assumptions rather than facts. We begin to form false views of people and even form stereotypes of people. One stereotype I’ve heard many times is that overweight people are unorganized and just messy. Which is hard for me to understand what one has to do with the other, I’m nowhere near the 121 lbs I’m supposed to be for my age and height but that doesn’t mean I’m a slob, it just means I like food. How shallow have we become that we judge people based on physical characteristics. In addition to the beauty is good theory, Comila Shahani-Denning also explore the far less common beauty is beast theory. Beauty is beast theory basically states that attractive females are considered to feminine for a traditionally male role and are less likely to be hired then a less attractive female. I have seen this my entire life, my mother has always been the only female at most her jobs, not because she unattractive but because she normally wears very loose fitting clothes and never wears make-up so she give off a rougher look then a women who wears , making her seem suitable for more masculine positions. The Comila Shahani-Denning article also shows a study between an individualist culture the United States and an collectivist culture India in order to see if the trend is similar throughout different cultures. The students were required to look at an application with a photo attached for a job position. The result were similar in both situations, but this may be due to the fact the students were only shown one application when in real life a employer would have a variety of different applicants. So now there working on fixing this flaw in the study and retest the hypothesis. I believe that when the study is repeated we will see a greater bias in hiring in an individualist culture do to the fact that the employee of a given company are representative of the company and many people fall for the beauty is good theory. The better the people look the better the company seems. For example if I visit two bakeries, one in which there are overweight women wearing street clothes and another with a thin attractive women wearing a proper uniform. I’m more likely to rate the bakery with uniform to be better regardless of the taste of the food. So in a way this also relates to the halo effect, I seen one positive quality and attributed it to be all around better. As we’ve seen the halo effect and attribution are very closely related. The qualities which we notice in a person can let develop many other ideas about a person, which can make assumptions which can lead us into making wrong decisions based on these assumption for example dating a person just because of their physical attraction, you may find yourself dating a complete airhead or psycho. My point is when you assume you make an a$$ of yourself.

Friday, August 30, 2019

Review of Literature Essay

2.1Introduction This chapter reviewed the available literatures written on this topic and in other related areas in this chapter. This was made possible by the identification, collection and review of these literatures from various sources such as text books, journals, reports and the internet. 2.2The Concept of ATM ATM is typically made up of the CPU for controlling the user interface and transaction devices, magnetic or Chip card reader for identifying the customer, display which is used by the customer for performing the transaction, function buttons usually close to the display or a Touch screen used to select the various aspects of the transaction and a record printer which provides the customer with a record of a transaction (Cronin and Mary, 1997). Most ATMs are connected to inter bank networks, enabling people to withdraw and deposit money from machines not belonging to the bank where they have their account or in the country where their accounts are held thus enabling cash withdrawals in local currency (Maxwell, 1990). They are often identified by signs above them indicating the name of the bank owning them. 2.2.1Evolution of ATM ATM is said to have evolved from early cash dispenser and is said to have first been introduced in the early 1970’s. The dispensers were operated by a token inform of a punch card. This enables a customer to withdraw as sachets of suitable values of bank notes. These sachets processes and then return the card to the customers. Another source has it that ATM concept was started around 1967, and that it was first installed in Endfield town, on the London Borough of Endfield by Barclays Bank. Thomas (1996). This is said to have been accredited to John Shepherded Baron, although George Simon registered patent in New York and Don Wetzel and two other Engineers from Docatel Company also registered patent in June/ April 1973. Brendan (1996). This in the second generation was improved to the extent that made it possible to count proved money. 2.2.2Operation of ATM ATMs typically connect directly to their ATM Controller via either a dial-up modem over a telephone line or directly via a leased line. Leased lines are preferable because they require less time to establish a connection. Musiime and Biyaki, (2010). It is observed that, most modern ATMs, the customer is identified by inserting a plastic ATM card with a magnetic stripe or a plastic smartcard with a chip that contains a unique card number. Security is provided by the customer entering a personal identification number (PIN). For one to access ATM service, he/ she (the card holder) has to insert the card (magnetic strip card) into the machine (ATM), which then reads the strip and makes contact with the central computer to confirm the genuity of the card which is either accepted rejected depending on whether it is valid or not. When accepted, the customer then punches his/ her PIN number which is then verified according to its compatibility with the information stored in the card. After w hich it then perform the service requested of like (issuing cash, accepting cash/ cheque deposit, balance enquiry, mini-statement) etc, and finally ejects the card. 2.3Effectiveness of ATM Without usage of technology the banking sector cannot provide customers with effective services (Patricio et al., 2003). Effective service delivery is a new or significantly improved service concept that is taken into practice (Drake, 2001). Customer expectations concerning service encounter experiences and service delivery mechanisms as well as the entire concept of what constitutes quality service are therefore key issues that need to be considered prior to the implementation of any structural change. Patricio et al. (2003). Effective service delivery is a service product or service process that is based on some technology or systematic method. It can be a new customer interaction channel, a distribution system or a technological concept or a combination of them. (Kelley et al. 1990). Kumbhar (2011). Observed that effectiveness of service provision have a significant relationship with overall customer satisfaction. Effective service delivery is positively related to customer satisf action in that, when a customer perceives that the delivery mode of the transactions that the bank is supposed to offer is quite good, the more the customers will be satisfied with the bank services. The Concept of Customer Satisfaction Cacioppo (2000) defines Customer satisfaction as the state of mind that customers have about a company when their expectations have been met or exceeded over the lifetime of the product or service as quoted by MALCOLM (2008). Increased customer expectations have created a competitive climate whereby the quality of the relationship between the customer and bank has taken on a greater significance in some cases than the product itself. (Musiime and Biyaki, 2010). Krishnan et al (1999). Point out that, the banking industry strives to succeed by putting the topic of rapid and changing customers needs to their agenda. This can be achieved through good customer care and offering attractive services or products that other competitors may not offer. Therefore, customer satisfaction is seen as a key performance indicator within business. The concept of customer satisfaction occupies a central position in marketing and practice (Cardozo, 1965). Customer satisfaction is a person’s feelings of pleasure or disappointment resulting from comparing a product’s perceived performance or outcome in relation to his or her expectations. (Musiime and Biyaki, 2010). In summary, Customer Satisfaction is the actual meeting of customer’s expectation after he or she has completed consuming a product or service. 2.4.1 Who is a Customer A customer is the most important visitor on our premises. He is not dependent on us. He is not an interruption to our work. He is the purpose for it. He is not an outsider on our business rather he is part of it, we are not doing him favor by serving him rather he is doing us favor by giving us an opportunity to do so. Wasswa, (2003). Pg 35. He further described a customer as one that enables the organization exists. They are the purpose of our business. In my own view, I believe that, customers are the heart, the life and the soul of our businesses, without whom we can’t hold even for a second to exist in business. Hence they should be accorded utmost respect and care when rendering service to them. 2.4.2Importance of Customer satisfaction Khirallah (2005) defines customer satisfaction as; a customer’s perception that his or her needs, wishes, expectations, or desires with regard to products and service have been fulfilled. Consumer satisfaction in short can therefore be defined as an evaluative process that contrasts pre-purchase expectations with the actual perceptions of performance during and after consumption experience. In summary, Customer Satisfaction is the meeting or even exceeding of a customer’s expectation after the use product. The outcomes of satisfying a customer are:- Customer loyalty- LOYAL customers are those who have the enthusiasm about the brands or products they use. The more enthusiastic a customer is, the higher the profit contributed to the brand. (MALCOLM 2008). Musiime and Biyaki,(2010). Loyalty is a combination of intentional repurchase behavior and psychological attachments of a customer to a particular service provider. The fundamental assumption of all the loyalty models is that keeping existing customers is less expensive than acquiring new ones. In summary, Loyalty is customer’s demonstration of faithful adherence to an institution despite the occasional errors. Thus satisfying a customer is very paramount to organizations existence. Customer retention- Customer Retention is the ability to hold on to customers over time. Joseph and Stone (2003). Customer retention is the activity that the selling organization undertakes to reduce customer account defections. It can also be described as a series of actions that the selling organization undertakes to reduce defections. Musiime and Biyaki, (2010). Ganesh et al., (2000)., observed that, long-term, customers become less costly to serve due to the bank’s greater knowledge of the existing customer and to decrease serving costs. They also tend to be less sensitive to comparative marketing activities (Czepiel, 1990). Loosing customers not only leads to opportunity costs because the reduced sales, but also to an increased need for attracting new customers which is five to six times more expensive than customer retention (Joseph and Stone, 2003). 2.4.3The relationship between ATM use and Customer satisfaction Earlier research by Brownlie (1989) has recommended that some consumers have positive attitudes towards ATMs based on dominant perceptions of convenience/accessibility/ease of use. As observed by Malcolm (2008). On the other hand, Reichheld and Sasser (1990) have recognized the benefits that customer satisfaction delivers to a bank. For instance, the longer a customer stays with a bank the more utility the customer generates. This is a result of a number of factors relating to the time the customer spends with a bank. Without usage of technology the banking sector cannot provide customers with a satisfactory service (Patricio et al., 2003). Effective service delivery is a new or significantly improved service concept that is taken into practice. Musiime and Biyaki,(2010). According to, Patricio et al. (2003) customers will use different service delivery systems dependent on their assessment of each channel and how it contributes to the overall service offering. Hence service satisfaction will not merely be based on isolated service encounters and experiences but rather on the overall feelings of satisfaction. With automated teller machines networks already in place in most of the urban areas, the drive is now focused towards the rural areas where the use of automated teller machines is still uncommon. Musiime and Biyaki,(2010). 2.5Conclusion From the review of literature, it can be observed that the operation and use of ATM services in the financial sector, has contributed a lot in changing the way in which financial services and products are being delivered to the banks clients. As the say goes that, for every step forward (development), a lot of challenges must have been faced, fought and overcome. Thus the development of ATM saw the emergency of some challenges for the industry as customers keep demanding for better service, while the financial institutions are very busy searching for the most efficient way by which they can improve on their service provision.

Longman Communication 3000 Essay

The Longman Communication 3000 is a list of the 3000 most frequent words in both spoken and written English, based on statistical analysis of the 390 million words contained in the Longman Corpus Network – a group of corpuses or databases of authentic English language. The Longman Communication 3000 represents the core of the English language and shows students of English which words are the most important for them to learn and study in order to communicate effectively in both speech and writing. Analysis of the Longman Corpus Network shows that these 3000 most frequent words in spoken and written English account for 86% of the language. This means that by knowing this list of words, a learner of English is in a position to understand 86% or more of what he or she reads. Of course, â€Å"knowing† a word involves more than simply being able to recognise it and know a main meaning of it. Many of the most frequent words have a range of different meanings, a variety of different grammatical patterns, and numerous significant collocations. Nonetheless, a basic understanding of the Longman Communication 3000 is a very powerful tool and will help students develop good comprehension and communication skills in English. ‘This [frequency] information is gold dust for the language learner. LDOCE shows in graphic and immediate form which words are really worth learning and knowing how to use.’ Jeremy Harmer, ELT author These frequency markers added to the headwords in the dictionary give users access to a wealth of information that can help the selection of the appropriate word or phrase in a variety of situations. Not only are the words and meanings given descriptive labels, for example formal or informal, AmE (American English) or BrE (British English), humorous, old-fashioned, but now they have the added information about relative frequency in spoken and written language. Take for example the verb book (in the meaning of book a table at a restaurant). It is marked as S2 – one of the top 2000 words of spoken English. Note that is has no marker for written English because according to corpus analysis, it is not part of the top 3000 most frequent words in written English. However, the entry also indicates that a synonym for book is reserve which is in the top 3000 most frequent words in written English. The conclusion to be drawn from this is that in speaking (for instance when phoning a hotel or restaurant), book is the most appropriate verb to use when asking for a room or table to be kept for you. In writing, however, it would be more appropriate to use reserve. ‘There are two distinct modes of English: thoughtful, accurate and more formal, reflected mostly by written English; and spontaneous, real-time, less formal language, typified by spontaneous speech and some informal writing.’ Professor Geoffrey Leech, Emeritus Professor of English Language and Linguistics – University of Lancaster To ensure that users have access to the appropriate information, the Longman Dictionary of Contemporary English marks all the words that are in the Longman Communication 3000 in red accompanied by special symbols: W1 , W2 , and W3 for words that are in the top 1000, 2000 and 3000 most frequent words in written English, and S1 , S2 and S3 for the top 1000, 2000 and 3000 most frequent words in spoken English. Nowadays, many learner’s dictionaries include information about the most frequent words in English, but Longman dictionaries are the only ones to highlight the differences between spoken and written frequency. Learning a language can be exciting, but also sometimes difficult and frustrating because there are so many things to learn and it is difficult to know what to focus on. The frequency markers that identify the Longman Communication 3000 help students see clearly which words are frequent in written and spoken English, and enable them to focus more attention on mastering the meanings, grammatical patterns and collocations of these words.

Thursday, August 29, 2019

Affecting Change Essay Example | Topics and Well Written Essays - 1250 words

Affecting Change - Essay Example From these trends, it is clear that the traditional model of child protective services (CPS) has failed in its bid to successfully protect many children who require help (American Humane Association, 2005). Traditional child protective services lay more emphasis on investigations of probable maltreatment to establish whether or not children have been or are exposed to risk of being harmed. In general, this model is governed by legal obligations established in every state in the United States of America (Ortiz, Shusterman & Fluke, 2008). Child protection services has care for the children as its main concern but the stipulated laws do not clearly spell out all that has to be carried out to help families and children. However they just offer a framework within which appropriate steps can be taken. Consequently, it is important to point out that the traditional model of child protective service system is not adequately safeguarding the welfare of children. In many occasions, a conflict between the need to protect children and the aspiration to engage and maintain families has been within child welfare services. Professionals within the child protection services, especially the social/ welfare workers probably encounter this tension most. Among others in the field, they endeavor to respond to questions such as: when are the signs of neglect and abuse so severe among children that they have to be taken away from their homes? How can partnership be built with parents in areas of substantiated or suspected child maltreatment. What is the best approach to assist families change to ensure that children’s welfare is well taken care of in the best interest? The traditional model has put more pressure on many welfare workers due to the volume of work hence making it difficult to investigate allegations and engage parents. Further, the approach complicates issues as research has indicated this deficit-focused

Wednesday, August 28, 2019

Usability of a Principles of Marketing Course in the Field of Essay

Usability of a Principles of Marketing Course in the Field of Information Technology Project Management - Essay Example Understanding the relationship between the two fields therefore involves analysis of their scopes for convergence. The scope of information technology involves application of technology in preparation and management of information for timely and efficient communication to users of such information. Such a scope involves analysis of business systems, designs, and development of solutions for communication initiatives. Information technology also involves preparation of schedules and task lists, databases, reports and evaluations (Churchill and Lacobucci, 2009). The scope of a principle of marketing course therefore offers information for applicability of information technology. It for instance involves surveys and analysis of strategies such as price, distribution, promotional concepts, and consumers’ response to marketing initiatives. All these aspects are measurable in numeric data that requires information technology for efficient recording, analysis and communication (Churchill and Lacobucci, 2009). As a result, a principle of marketing course is applicable in the field of information technology because the scope of marketing deals in data that is handled and managed by information technology

Tuesday, August 27, 2019

Student Strip Search Term Paper Example | Topics and Well Written Essays - 1750 words

Student Strip Search - Term Paper Example The missing thing according to Justice David H. Souter "was any indication of danger to the students from the power of the drugs or their quantity, and any reason to suppose that Savana was carrying pills in her underwear. (Barnes)." In a dissenting note, Justice Clarence Thomas wrote that Judges are not qualified to second-guess the best manner for maintaining quiet and order in the school environment (Barnes). He said that the school officials were logical in searching the school girl. The issue in this case was whether a 13-year-old student's Fourth Amendment right was violated when she was subjected to a search of her bra and underpants by school officials acting on reasonable suspicion that she had brought forbidden prescription and over-the-counter drugs to school. It was held that the search did violate the constitution because there were no reasons to suspect the drugs presented a danger or were concealed in her underwear. The official who ordered the search was also granted immunity from liability because the constitutional position of the Fourth Amendment was not clear at the time of the search. Facts of the case The case began when Marissa, another student was found with prescription-strength ibuprofen and said she received it from Savana. The facts of the case occurred in one October day in 2003 at 13-year-old Savana Redding’s math class at Safford Middle School. The assistant principal of the School, Kerry Wilson, came into the room and asked Savana to go to his office. Wilson then showed Savana four white prescription-strength ibuprofen 400-mg pills, and one over-the-counter blue naproxen 200-mg pill, all used for pain and inflammation but banned under school rules without advance permission (Safford Unified School Dist. No. 1 v. Redding, 129 S. Ct. 2633 - Supreme Court 2009). He then asked whether Savana knew anything about the pills. She said that she had no idea about it. Then Wilson told Savana that he had received a report that she was giving ibuprofen pills to fellow students. Savana said she didn’t. She also agreed to let Wilson search her belongings. An administrative assistant also came into the office, and together with Wilson they searched Savana's backpack. They did not find any ibuprofen pills. Wilson then asked the administrative assistant to take Savana to the school nurse's office to search her clothes for pills. Helen Romero, the administrative assistant and the nurse, Peggy Schwallier, asked Savana to remove her jacket, socks, and shoes, leaving her in stretch pants and a T-shirt (both without pockets), which she was then asked to remove. Finally, Savana was told to pull her bra out and to the side and shake it, and to pull out the elastic on her underpants, thus exposing her breasts and pelvic area to some degree (Safford Unified School Dist. No. 1 v. Redding, 129 S. Ct. 2633 - Supreme Court 2009). But no pills were found. Savana’s mother argued that strip search is in violation of Sav ana's Fourth Amendment rights. Savana's mother filed suit against Safford Unified School District 1, Wilson, Romero, and Schwallier for conducting strip search. The school officials raised the defence of qualified immunity. The District Court for the district of Arizona granted the motion on the ground that there was no Fourth Amendment violation, and a panel of the Ninth

Monday, August 26, 2019

Middle Eastern Humanities CH. 5 Essay Example | Topics and Well Written Essays - 500 words

Middle Eastern Humanities CH. 5 - Essay Example be used in setting up the environment for the visitors, for instance, in order to maximize the number of banquet tables in the room, they can be set in a corner or fit in the center of the room. In most cases, diagonal placement and arrangement of banquet tables is deemed to be spacious and efficient as opposed to lateral rows. In making a six-course banquet for visitors from the East, Israel and turkey can require proper planning of the events so that the culinary cultures of the visitors are not violated or offended. However, the banquet being offered may not necessarily incorporate all the cultural values of the visitors, a great degree of comfort and confidence in setting up the banquet is necessary (Helstosky 87). At the same time, there has to be a high degree of ethics related to table manners and other culinary involvements. During the event, tea will be served, as well as other warm beverages depending on the state of the weather, if it will be extremely hot, then it will be prudent to serve cold beverages. During the session, snacks like peanuts or sweets will also be offered for those that may wish to have them, as the visitors get to interact and share light moments, the host will have to inform them when to sit on the round tables. In terms of dishes, beef, chicken, vegetables, as well as different varieties of seafood, shall also be offered, while serving, it will be necessary to keep the number of dishes even (Notaker 187). However, the number of guests and their culinary practices, according to their cultures will determine the setting up of dishes during the banquet. Most often, rice is always served in large banquets, it is usually served last or as the second-last dish, this is done with the aim of avoiding the impression that the host was in misery for serving a meal that is different from the main basic food. Before serving dessert, it is important to start with soup, this ensures that any small amount of space in the stomach is filled,

Sunday, August 25, 2019

Community law Essay Example | Topics and Well Written Essays - 2750 words

Community law - Essay Example For analyzing how the principle of indirect effect effectively bridges the gap between the vertical and the horizontal direct effects, the requirements for the applicability of the direct and indirect effects have to be considered. Direct effect is of two types, namely Vertical Direct effect or Individual versus the State and the Horizontal Direct effect, wherein the litigation is between Individuals. The concept of direct effect follows from the supremacy of European Law as formulated by the ECJ. This implies that if an EC Law has direct effect then such law grants rights to individuals, which must be upheld by the national courts. For any EC Law to have direct effect, it must satisfy two conditions. First, the relevant EC Law must be part of the recognized legal order, i.e., it must be a treaty article, a regulation or a directive. Secondly, the terms of the relevant EC Law must be such as are appropriate to confer rights on individuals. Directives have vertical Direct effect only if they have clarity, precision, unconditionality in as much as they fulfil the Van Gend criteria, independence in operation and its date of implementation should have been over and the person or body against whom the directive is pleaded must be public body1 or an emanation of the state2. This has created a duty to try to interpret national law consistently with EC Law, whether or not is has Direct effect. This is the underlying principle of the indirect effect, which establishes the supremacy of EC Law.The doctrine of direct effect enables national courts to apply EC Law. Uniformity is preserved through the preliminary reference procedure using which the national courts refer to the European Court of Justice for interpretation of EC Law. The ECJ is the sole authority for interpreting the various treaties of the EC. However, this dual court system is not conducive to a single uniform interpretational application of EC Law. Treaty Articles should be so worded that they have direct effect. They must further fulfil the Van Gend En Loos criterion and should have both the vertical as well as the horizontal direct effect. This criterion states that the EC Treaty should be applicable not only to the member states but to the individuals also. EC Treaty Articles will overrule any provision of the national law, which does not conform to it, irrespective of whether it was passed before or after the passing of the articles. Similarly, regulations of the EC Treaty are capable of having vertical and horizontal direct effect. Direct applicability of these regulations is enabled by Article 249 of the consolidated version of the European Treaties. These have to be enforced by the national courts. As such limitations were imposed on the doctrine of direct effect in order to ensure that national courts did not face difficulty in implementing community law. For the application of the principle of direct effect the conditions discussed above in respect of the directives, articles and regulations of the treaty should be complied with. Whenever these conditions can not be fulfilled and the direct effect in not applicable, the principle of indirect effect will take over and the implementation of EC Law through the national courts is ensured.In the case Marshall v. Southampton Area Health Authority3 (1986) the European Court of Justice ruled that the relevant Directive had direct effect as it satisfied the four requirements of direct effect. It contended that Marshall could rely upon this to proceed legally against the State. It was also held that the Health Authority, which was Marshall's employer, was part and parcel of the State as it performed a public function on behalf of the State. This case is an example of the horizontal direct effect and in this case the health authority was considered to be an emanation of the state. In the case of Foster v. British Gas the Marshall principle was extended and the European Court of Justice ruled that the Directive had direct effect even against the private British Gas. This decision was

Saturday, August 24, 2019

Issues and controversies in management project Case Study

Issues and controversies in management project - Case Study Example McDonald's evidences the validity of the stated. Renown for its corporate social responsibility record in its home country, and owing a sizeable percentage of its market share to this, upon expansion into foreign markets, McDonald's exported its CSR principles along (Bronn, 2006). Hence, in the 32 of the countries in which it operates, it has over 200 Ronald McDonald Houses, charity organisation which support underprivileged children (Bronn, 2006). It has also embraced environmentalism and committed itself to green practices, publicly acknowledging its responsibility towards the preservation and conservation of an increasingly fragile environment and ecosystem (Paton, 2007). Operating on the basis of these and other practices designed to underscore its commitment to CSR, McDonald's has successfully entrenched itself in the communities within which it operates. Indeed, a significant part of its market success and ability to penetrate the barriers to foreign market entry are a direct o utcome of the fact that it projects an image of a company which wants to give, not just take, from its community (Paton, 2007). Corporate ethics, albeit strongly related t... rnationalisation, it is imperative that multinationals acquire an understanding of the ethical systems particular to the foreign markets in question and adhere to them. For instance, in some cultures, gender segregation is an inviolable ethical principle, with the implication being that foreign entrants should adhere to this practice. In others, child labour is not viewed as unethical and the employment of children may be interpreted as the extension of assistance to an impoverished family. However, since this last is not viewed as an ethical practice and its implementation as universally unethical, not to mention a violation of international law, multinationals who engage in this practice may irreparably damage their market standing. This means that in designing their ethics guidelines, companies must create a fine balance between international and national ethical systems. McDonald's has managed to achieve this balance. On the one hand, it adheres to universal ethics guidelines whi ch dictate the imperatives of fair wages, non-discriminatory labour practices Royle, 2005) and quality goods from suppliers (Verschoor, 2001). On the other, it respects the cultural ethics of its host environments whereby, for example, it does not employ women in its restaurants, in concession to the segregation precept, although it does in its offices (Heck, 2003). The point here is that upon entry into foreign markets, the company does try to embrace and adhere to local ethical precepts, even as it abides by international ones, so as to facilitate entry and acceptance. Branding Competitive advantage is a critical determinant of successful entry into foreign markets and of surviving the challenges of globalisation and realising its promises. Branding is a managed process to

Friday, August 23, 2019

Literacy essay Example | Topics and Well Written Essays - 500 words

Literacy - Essay Example clearly put the whole justice system into a question; whether the evidence of ‘crime’ is the sole criteria of declaring guilty of the prime suspect and whether the crime should be seen from a wider perspectives? The story revolves around the place of crime where ‘Minnie Foster or Mrs. Wright as she is now called’ is accused of murdering her husband. Peter Hale, along with Sheriff and County Attorney visit the house to get the ‘feel’ of the murder and gather clue that might have led to it. Sheriff’s wife and Mrs. Hale also accompany them as some personal items were needed by the Mrs. Wright, who was in custody. While the men folk wander around the scene of the crime, the women remain in the kitchen and try to interpret the events by observing small things that was out of sync with the general way, women work in the house and kitchen. When they notice a block of the quilt that was very different from the rest and looked ‘as if the distracted thoughts of the woman who had perhaps turned to it to try and quiet herself were communicating themselves to her’ (Glaspell, 1993). Both the women perceive the signs that would have been emotionally disturbing for Mrs. Wright, the accused. Finally, when they find the dead canary in the sewing box, they hide the evidence that would have conclusively implicated Mrs. Wright and in their own way, try to give justice to the woman who might have been forced to commit the crime and knew that she would be denied justice if the men found the ‘evidence’! In the literary analysis of the short story by Elaine Hedges that was published in a leading international journal of Women’s studies in 1986, Hedge’s interpretation of the story became highly relevant because they brought into focus the weakness of the legal system that relies heavily on the machinations of ‘evidences’. It also highlights a very pertinent observation in the investigative techniques that are adopted by the two genders. While men like to

Thursday, August 22, 2019

HYBRID MODEL Essay Example | Topics and Well Written Essays - 2000 words

HYBRID MODEL - Essay Example Weibe was referring to institutions and groups like political parties, the press, business organizations and the like that stood between the government and the people and which makes that intimacy between the two not viable. If power is concentrated at the top, the tendency is towards anarchism but if power is allowed to filter down too much to the bottom, anarchy will result (2006). The implication therefore is that democracy is largely a balancing act, one in which the fulcrum of power is located in the middle rather than on any of the opposing sides. As Weibe states, democratic life is institutional life. A correct definition of democracy is vital and sine qua non to the crafting of a blueprint for any model of accountability in public administration upon which forms the skeletal basis of a new administration’s line of governance. In drafting the blueprint of a new hybrid model of public administration, it is important to acknowledge the inescapable existence of institution s that fill the distance between government and the people and the need to strengthen government bureacracies to bridge that distance. As the newly appointed interim president, the basis of my governance will be a model which will incorporate all the points culled from the strongest and effective aspects of the various public administration models which are the Jacksonian Democracy model, the Progressive Reform model, the Reinventing Government model, the New Public Management model, and the New Public service model, which will all bring the desired effects of strengthening the fulcrum of power that lies between and separate the government from the people so as to effectively bring the two together. It is important therefore to discuss the said models to be able to point out and explain the facets which had made these models attractive and successful and adopt them in the new model. The Jacksonian/Machine Politics Model.

Difficult position Essay Example for Free

Difficult position Essay The play the crucible was written by Arthur Miller .The play was based on a hurricane of mass hysteria .The crucible has been adapted from true life events .The play shows the cry of witchery evolve and grow out of hand .Written by Arthur Miller based on personal problems which have effected his life .The McCarthy trials in which he found himself in an very difficult position, but also very similar to those of Massachusetts in Salem in the 17th Century. Miller used this play to show opposition to McCarthyism in which it was seen as Un- American to be a communist. Anti-communism was strongly encouraged .Thousands of Americans were accused and they were aggressively investigated and if you wanted to prevent yourself from paying a heavy fine you had to point the finger at someone else, he described this as Quite crazy. He was really interested by the strong correlation with Communism and the Salem witch hunt . And even went to Salem Massachusetts to research the witch trials. Arthur Miller in the play shows the significance of ones name and the value within it.  Abigail Williams a small girl created madness falsely accusing innocent people to seek revenge .She felt once Elizabeth Proctor, John Proctors wife was dead she will have him all to herself she believes that John Proctor and her havent finished yet, from their previous affair .Accusing John Proctor of Putting knowledge in her heart. Accusing him of destroying her innocence by taking her virginity .So for a time when the church is suppose to be a big part in everybodys life he knows it wont look good on his behalf .She has malicious intentions, initially intending to get Elizabeth killed .It started as dancing in the woods and drinking blood which was a supposed ritual. She had a real plan for everything to go haywire. John Proctors guilt over affair with Abigail makes his position uneasy because he is guilty of the very hypocrisy he scorns in others. It silences his voice to speak out. This adds tension because hes craving to testify against Abigail. But initially doesnt this also adds dramatic irony.  Giles Corey is very fearful and died due to this; a lot of tension was caused by this. Tension is caused by him not confessing or accusing someone else of witchery consequently encountering a slow and painful death. Forced to plead guilty by pressing heavy stones on his chest he died by being crushed under the weight of these many stones .A slow painful death made it aching to read about and curious to find out what was going to happen next. Stage direction enabled us to visualise what was going on, on the stage. As it amplified the scenes and tension was added because the bigger and better the stage direction meant the scene was more detailed.  Act 4 began with the isolation of a jail in Salem the stage direction tells us that Sarah Good and Tituba both in rags tells us they have been ill treated. There in darkness and light only seeps through the bars creating a depressing, sorrowful and gloomy atmosphere. Making the unavoidable more daunting .The iron bars symbolises that they are prisoners locked away from their basic human rights and the world. Dramatic tension is caused by the setting of the scene because their probably yearning to see the outside world. Instant pity is felt for them they have had to suffer the excruciating pain of being locked up for a long period of time. For a crime they did not commit.  Parris is fearful of the situation he finds a dagger outside the door. This adds suspense and tension it left the audience wandering for his future existence. It could have been done simply but it was really dramatic because the audience are clueless about who put it their and why. It could have been done simply. But the dagger in the door made it more dramatic and the scene was dark which made it more spooky it was a clear threat and meant his life was at stake. Abigails unexpected disappearance because of her unachievable goal puts more pressure on Parris. As he is also feeling gradually more isolated in the village. His congregation has also dropped in size .This heightens the tension because if Abigails disappeared without a trace her doings and the doings of the other girls who cried witchcraft will be questioned. Abigail does not want her name to be soiled its so important to her she is seen as a good girl My name is good in the village I will now have my name soiled. So she might have her doubts about everyone finding out the whole thing was a lie so the best thing to do was to runaway. Parris is also worried that he stole all his money  To change Proctors mind to confessing to witchcraft in order to save his life Elizabeth is required. She is heavily pregnant but she agrees but makes no promises Hale asks her to make him confess to witchcraft.

Wednesday, August 21, 2019

Tackling Fraud in the Workplace

Tackling Fraud in the Workplace Subject Who to trust? Tackling Employee Fraud   Chapter 1: Introduction With globalization and the increasing use of technology, the problem of fraud and its great complexity has become an enormous concern for the businesses. The businesses not only attack by unknown distance fraudsters but it suffers from insider fraudsters too. This study will outline the internal employee fraud, its measurements and controls within the businesses. The fraudsters, that they can be operators, managers, directors or even owners of the businesses. Insiders fraud became mutual and businesses are alarmed identifying methods to reduce the workplace fraud. Even though fraud cannot be eliminated completely as because of its nature, Brooks, Button and Frimpong (2009) stated that understanding lack of awareness of deception tactics, techniques and calculating fraud will help decrease its amount. There are some approaches to prevent fraud activities to decrease its influences, detect fraud risks and cope with them. However, are these approaches enough to stop fraudulent activitie s within the businesses? This research will examine broad range of secondary data that sources retrieved from both government and private sector organisations, financial and anti-fraud organisations publications with the purpose of measure the existing condition of tackling with the workplace fraud, trends and, it will search for possible developments that might result in a decrease amount of dishonest activities and loss to build an better confidence and trust within the organizations. Background Stoy Hayward (2008) underlined that the main risk to organizations was not from outside fraudsters, but from employees and managers, calculated for 46% of deception cases and loss of companies  £541 million. This formed %77 of the total of fraud (Hayward, 2008 cited by Smith, 2011). CIFAS study claimed that employee fraud has been even more increasing concern lately. In 2015, members of CIFAS recorded and identified more workplace fraud cases than ever before. More than 320,000 instances were identified and the figure increased more by 16% than the figures for 2014. (CIFAS, 2016) In this perspective, regardless sizes of companies, there is a need to understand workplace fraud and raise a question why and how it occurs who more likely to commit this crime and finally what can be done to reduce the amount of workplace fraud cases. Workplace fraud is equally problematic and expensive to reveal, even once it is realised. For that reason, organisations must to stop fraud activities at the first place before its occurrence. However the question is how to do this? Better understanding of workplace fraud and employees might help to reduce these high level of workplace fraudulent activities. Research aims Research objectives (3 or 4) The broad aims of this research are to enhance the understanding, assessing the nature of workplace fraud and organisational measures to address the problem. It will be addressed with reference to three specific objectives. To explore the nature of insider fraud in the workplace (Chapter 3 title) First objective seeks to establish the nature and scale of insider fraud, its definition, and identifying types of workplace fraud and understanding perpetrators mind and behaviours, examining what is already known. To assess how effectively organisations are addressing the problem (Chapter 4 title) Second objective is to assess how effectively organisations are addressing the problem. It will also look into types of measurement and their strengths and weakness addressed with reference to the literature in order to examine what improvements could be implemented. To make recommendations on how organisations can be better equipped to manage the challenge of insider fraud. (Chapter 5 title How organisations manage to fight insider fraud) Third objective is concerning to make recommendations on how organisations counter fraud capability can be better equipped to manage the challenge of insider fraud. Chapter 2: First thematic chapter related to 1st objective The nature of insider fraud in the workplace Introduction This chapter outline the nature and scale of insider fraud, its definition, and identifying types of workplace fraud and understanding perpetrators mind and behaviours, examining what is already known. What is fraud? There is no global definition of fraud. Numerous definitions of fraud can be found in the legal and professional literature on the subject. However all of them contain the common notion of fraud being either theft by deception, or trickery. Thus, Stephen (1996): Although the words fraud and corruption are often used interchangeably, a strict distinction between the two will be maintained in this paper and the focus will solely be on fraud. I believe that it is important to make this distinction and not to collapse the distinction between the two related phenomena. The reason for making this distinction is that corruption is associated with the misuse of public positions and consequently mostly associated with the public sector and public officials. As a result of these connotations corruption can be painted as something that affects only the public sector and public officials. By collapsing the distinction between fraud and corruption, fraud is equally being portrayed as something that mainly affects the public sector and public officials. This, however, is not the case. Fraud is a phenomenon that can occur in both the public and private sectors. It further is not a phenomenon in which only public officials are involved, but any employee or even outsiders can be perpetrators of fraud. Furthermore, corruption implies third-party involvement, while fraud does not necessarily imply third-party involvement. In the case of corruption employees violate their duty to their principals by colluding with a third party. Instead of fulfilling their obligations to their principals they abuse their positions by either accepting or demanding a bribe offered by or demanded of a third party. This is not the case in fraud. Here employees or even persons from outside the organization can commit fraud on their own initiative. Because there is not necessarily third-party involvement in fraud, it is much more difficult to detect. Third-party involvement always provides an immediate source of information that someone abused his or her position as employee. Exactly because fraud lacks this third- party involvement, it is more difficult to detect it and consequently a different approach is required to identify and combat it. Fraud within organ izations can be defined as intentional deception by concealing or misrepresenting information that harms the financial interest of another person(s) and benefits the financial interests of the perpetrator.  This differs from corruption, which can be defined as inducement by improper means to violate ones duty towards ones principal resulting in harm to the interest of another party and in financial benefit for the perpetrator. Because corruption has the element of inducement by a third party, it is often associated with bribery. 2. Understanding Fraud In order to fight fraud it is imperative first to gain a proper understanding of the phenomenon. Important work in this regard was done by Coleman.* In his book. The criminal elite: the sociology of white-collar crime, he contends that there always are three dimensions to fraud-motive, opportunity, and a lack of feelings of guilt. A brief discussion of each of the three dimensions follows. 2.1. Motive In order to commit fraud one must have a sufficiently strong motivation for doing it. The aspirant fraudster is aware that s/he is about to commit an illegal deed that might result in penalties of some sort (e.g. dismissal, fines, and imprisonment). They thus should have a sufficiently strong motive for perpetrating fraud despite the fact that they know it is illegal and despite the fact that they know it might result in them being punished for doing it. 2.2. Opportunity Opportunity for fraud is, according to Coleman, enhanced by three factors. First, the person must be in a position of trust or must have access to persons in positions of trust. Second, the person must have knowledge of the control systems of the company in order to be able to beat them. Third, the person should have access to the assets of the company. The combination of these three factors creates the opportunity for committing fraud. 2.3. Lack of feelings of guilt Colemans third condition for fraud is that the perpetrator should not be deterred from his/her actions by feelings of guilt. Given the unique characteristic of fraud, viz., that most perpetrators commit fraud repeatedly, it is evident that a lack of feelings of guilt is a typical feature of fraud. In order to free themselves of such feelings of guilt, perpetrators of fraud should find some form of excuse or rationalization to rid themselves of feelings of guilt that might result from deliberately indulging in illegal acts of fraud. In business terms, fraud is sometimes difficult to define as it extends, for example, from conduct as trivial as an employee having an extended lunch break without permission, to large scale misappropriation of funds by a company accountant involving many millions of dollars. Having an understanding of how fraud is defined, is thus able to help organisations decide how best to respond to individual cases when they arise as sometimes an incident could more appropriately be dealt with as a personnel management issue rather than an issue that require a direct legal response. Coleman, J. W. 1989. The criminal elite. The sociology of white-collar crime. New York: St. Martin. The 2010 Report to the Nations on Occupational Fraud and Abuse takes a comprehensive look at workplace schemes, their perpetrators, how the crimes were ultimately detected and their estimated cost. The report is based on data compiled from a study of 1,843 cases of occupational fraud that occurred worldwide between January 2008 and December 2009. All information was provided by the Certified Fraud Examiners who investigated the cases. The study examines a wide range of misconduct by employees, managers and executives. Occupational fraud schemes can be as simple as pilferage of company supplies or as complex as sophisticated financial statement frauds, the report says. For the first time, the ACFE expanded the study to include cases from countries outside the U.S. The findings include feedback from 106 countries, with more than 40% of the cases happening outside the U.S. The charts and graphs featured here, which are global in scope unless otherwise indicated, are Just a slice of the overall results

Tuesday, August 20, 2019

Steering System And Suspension Design Mechanics Essay

Steering System And Suspension Design Mechanics Essay The aim of this project is to work with a project team to design, build and optimize the running of a Formula SAE-A racecar, with particular interest in the Steering and Suspension systems. The Formula SAE-A project team aims to produce a competitive racecar that will compete in the Formula SAE-A competition in December. To achieve this I was required to, research the important aspects of steering and suspension systems used frequently in a nonprofessional racecar and select a suitable steering and suspension system that is within the motorsport teams limits. This project includes suggestions for the design and construction of these systems, the installing and optimising(or tuning) the steering and suspension systems and future recommendations to provide the most cornering and handling ability. Identifying the critical areas that are important for competitive steering and suspension systems, I can improve the effective handling and cornering capability of the racecar. Improving the handling and cornering power of the racecar will allow faster speeds into and exits out of corners, which will result in quicker lap times, better performance and higher overall standing in the 2006 FSAE-A competition. Adhering to the rules and regulations for the 2006 FSAE-A competition I aim to select suitable systems that are within the project teams limits by considering the financial cost versus benefit or performance to the car, complexity and time to design and 1.1 Cornering Ability and Handling 2 manufacture of each system. Critically analysing the 2005 teams racecar enables me to evaluate the cars steering and suspension setup performance and find any flaws or ways to improve them. This will give me a better understanding of the steering and suspension systems and how to find the optimum settings to perform with the 2006 car at the FSAE-A competition. Using a suspension geometry computer program developed by Wm. C. Mitchell software, I can model the 2005 teams racecar to compare the accuracy of the program, and then apply the program to optimise the 2006 racecar. The ideal outcome of this project will see that this years FSAE-A racecar have a working and well-tuned or optimised steering and suspension system that has high cornering ability and handling. Most of this projects work will become evident once we have manufactured our design and are able to test the car by running it on a test-track. If all things go to plan, I should be able to make small adjustments to improve and finally optimize the handling and cornering ability of the car which will be paramount to the performance at the FSAE-A competition. 1.1 Cornering Ability and Handling The cornering ability and handling of the racecar is very important to the overall performance of the racecar. Having excellent acceleration and braking power is good but without sufficient cornering ability and handling, the racecar will not be able to use the full potential and is more likely to run off the racetrack than take a podium position. Cornering ability and handling will be discussed in detail and how the steering and suspension systems affect it. 1.2 Explanation and definition of terminology 3 1.2 Explanation and definition of terminology Here is a number of terms and names that will be used in this dissertation to avoid confusion with other names and meanings. Ackerman Is both a principle and definition, where the principle is that the extended axis of the steering arms projected rearward meet at the centre of the rear axle (shown in figure 1.1). This allows the tyres to traverse an arc without skidding, which would otherwise oppose the steering forces making it harder to steer. The definition is described as the difference in the angle of the front tyres when turned. This dissertation will only refer to Ackerman as the principle from herein. Camber Is the angle between the vertical plane and the centre angle of the tyres (shown in fig 1.2), which can be positive or negative. This changes the size and shape of the tyres contact patch during a corner which in turn affects the amount of lateral acceleration or force it can produce (cornering and handling ability). A small amount of negative camber is ideal (around 1.5 degrees) to induce camber thrust and ensure a good contact patch during cornering (smith. C. 2004). 1.2 Explanation and definition of terminology 4 Camber Gain Or the rate of camber change in roll (or as the chassis rotates laterally). Caster Is the angle between the steering axis and the vertical from the side plane (see fig 1.3). Positive caster improves straight line stability but makes it slightly more difficult to steer, while negative makes it easier to steer with less stability. Jacking Is an upwards reaction force generated by the tyres when the racecar is accelerated during cornering and has its roll centre above ground level. Where the upwards force on the outside tyre is greater than the inner tyre having a 1.2 Explanation and definition of terminology 5 net resultant force that lifts or Jacks the sprung mass. This is unwanted and unsettling to the driver and should be avoided. The roll centre Indicates the point at which the chassis rotates (at the front and rear respectfully) during lateral acceleration. The two moment arms between the roll centre, the CG and the ground plane determine the racecars sensitivity to lateral acceleration by the production of rollover movements and jacking (Smith. C, 2000). The roll axis Is the straight line joining the roll centres of the front and rear tyres The roll moment Is the distance between the roll centre and the mass concentration at the front or rear of the car. The mass concentration is the equivalent mass or point of the CG if it were split into 2 points, one front and rear. Steering Axis Inclination and Scrub Radius Steering Axis Inclination or Kingpin Axis, is the angle between the vertical and the steering axis (figure 1.4). This helps the car to exit a corner by naturally trying to align the wheels back to centre. The SAI works with caster to allow more directional stability but less effort on steering (more sai and less caster). Scrub Radius Is the pivot point for the tyres footprint or the distance between the centre of the contact patch, to the extended SAI to the ground (figure 1.4). This allows more feel in the steering, a little is good, too much can be detrimental due to the increased steering effort for the driver. 1.3 Overview of the Dissertation 6 Slip angles Are the angles between the direction that the tyres are facing, and the direction that the tyres want to go. Deformation is due to the elastic nature of rubber when a vertical load is applied. This will be explained in detail in Chapter 2 and its effect on cornering and handling. 1.3 Overview of the Dissertation This dissertation is organized as follows: Chapter 2 Discusses cornering and handling of a FSAE-A racecar and describes various steering and suspension systems. Chapter 3 Explains the rules and regulations of the FSAE-A competition and how it affects the steering and suspension systems. Chapter 4 Introduces Wm. C. Mitchells suspension geometry software, describes its uses and strengths for this project and how it will be used to improve the steering and suspension systems. Chapter 5 Describes the analysis of the 2005 FSAE-A racecar and documenting areas that can be improved and implemented into the 2006 car. Chapter 6 Describes the analysis of the 2006 racecar and recommendations for improving the cornering and handling ability. Chapter 7 Discusses testing methods and ways to document and record actual performance of the racecar, followed by processes for optimisation of the steering and suspension systems for the best cornering ability and handling. Chapter 8 Outlines the projects achievements, findings and future recommendations. Chapter 2 Steering and Suspension Systems for a FSAE-A Racecar 2.1 Chapter Overview This chapter discusses the steering and suspension systems that are commonly used in cars on the road and in professional racing, their benefits and limitations, the ease of manufacture and complexity of design. This chapter also discusses cornering and handling in detail and how the steering and suspension can improve its cornering and handling ability. 2.2 Cornering and Handling Handling defines the racecars ability to maneuver around a corner at maximum speed without losing traction. C. Smith (1978) remarks that being able to travel around a corner faster reduces the overall lap time on a circuit for 2 reasons. First is simply that the car traverses the distance in less time, secondly, if the car exits the corner at a faster speed, there will be no time lost from having to accelerate from a slower speed. Smith (1978) also says that the factors that determine the cornering power of a racecar 2.2 Cornering and Handling 8 include the cornering capacity of the tires, which is influenced by: Vehicle gross weight Vehicle downforce Height of the vehicles centre of gravity Vehicle load transfer characteristics Suspension Geometry Size and characteristics of the tyres So you can understand, the tyres are arguably one of the most important parts of the racecar because all the moments and forces that the car undergoes is transmitted through the tyres. The acceleration and direction of the car is passed through the small footprints or contact patches of each tyre. Understanding what happens here will help to get the most out of both the tyres and racecars handling ability (Smith, C. 1978). 2.2.1 Tyres and slip angles The tyres ability to grip the road is a combination of vertical load applied to the tyre, the coefficient of friction between the tyre and the road, adhesion between the road surface and tyre, and slip angles developed between the tyre and direction of travel. The vertical load that is imposed on each tyre is changing continuously on a racecar maneuvering around a racetrack due to the load transfer from acceleration, deceleration and cornering. As the racecar travels around a corner, the tyres are subject to forces which result in deformation in the compound that the tyre is made of, this elastic deformation results in the contact patch pointing in a different direction to the angle of the tyre (Smith, C. 1978). Shows the deformation of the tyre compound in the contact patch and the slip angle developed. The path of the rolling tyre defines the actual direction of the tyre as it continues around the corner.There is a relationship between the slip angles and the potential grip that the tyre has to the road. Some tyre data has shown that 2.2 Cornering and Handling 9 Shows the generated slip angles in the tyre contact patch as slip angles increase, the lateral or cornering force increases up to a maximum which then either begins to drop or plateaus then drops, usually sliding occurs soon after the drop in force. The flat portion of the curve at or near the maximum is the optimum range of tyre grip that experienced drivers remain in to maximize the cars cornering potential. shows the relationship between tyre grip and the developed slip angles. shows the relationship between tyre grip and developed slip angles, picture from http://www.donpalmer.co.uk/cchandbook/modelgrip.htm 2.2 Cornering and Handling 10 2.2.2 Factors influencing tyre cornering capacity The other factors as mentioned before, vehicle gross weight, downforce, height of the CG, tyre size and characteristics, suspension geometry and load transfer characteristics, all can be factored into the design or used to improve cornering and handling. The cornering force is proportional to the increase of the vehicle gross weight and generated downforce from wings or aerofoils. The increased pressure on the contact patch generates a higher lateral force component (Smith, C. 1978). The height of the vehicles centre of gravity from the ground affects the moment between the vertical force on the tyre and the CG, this will affect the lateral load transfer during a corner. The lateral load transfer changes the vertical loads from one wheel to another due to the CG tendency to move sideways during a corner, which will decrease the total amount of cornering force generated from the tyres. For example, a 400kg car with a 50-50 weight distribution front to rear will have 100kg vertical weights at the two front tyres. Assuming the CG height is 250mm above the ground, the track width is 1300mm and during a corner the car is subject to a cornering acceleration of 1.4gs we can determine the load transfer. LoadT ransfer = 1.4 Ãâ€" 200kg Ãâ€" 0.25 1.3 = 53.85kg So this gives us 46.15kg on one side and 153.85kg on the other and is a 53.85% load transfer to the outer wheel. Obtaining tyre data in the form of Tyre cornering force versus Vertical load will allow us to determine the total cornering force with this load transfer, however getting the tyre data is difficult. Generally the tyre data is curved with less tyre cornering force as vertical load increases, so measuring the data of each vertical load and summing together will be less than the equal load distribution. Reducing the load transfer is done by lowering the height of the CG and widening the track width which will improve cornering ability. The suspension geometry determines the location of the instantaneous centres and roll centres of the racecar, these control how much the chassis rolls or pitches during cornering and accelleration, which moves the CG and hence affects the lateral load transfer. 2.3 Steering Systems 11 During roll, the suspension geometry also controls the amount of camber gain in the wheels during a corner, the change in camber affects the contact patch (increase or decrease in proportion) which changes the cornering capacity of the tyres. Ensuring that an optimum contact patch is maintained through the control of camber gain and good roll centre location is key to good handling and cornering. 2.3 Steering Systems Common types of steering systems are: Rack and Pinion basic steering system Recirculating Ball Bearing more complex system Power Steering fluid assisted steering 2.3.1 Rack and Pinion The rack and pinion steering system is a simple, cheap and relatively easy system to implement. It comprises of a rack, or toothed bar/rod which slides left and right due to the rotation of a pinion gear that sits on the teeth (Fig 2.3). The steering wheel turns the steering shaft which rotates the pinion gear, resulting in the rack pushing/pulling the steering rods. The rods are attached to the wheel hubs which turn the wheels to the desired angle (Gilles, T. 2005). The most difficult parts to design or manufacture are the pinion and the rack, the pinion defines the turning rate of the steering wheel which affects the responsiveness of the steering. The rack need to have hardened teeth which could be difficult to manufacture to some groups or would involve a significant cost to have it done. Besides these two parts the rest of the system is relatively simple, as a whole the rack and pinion setup is a cheap and common system that is reliable and resiliant. 2.3 Steering Systems 12 2.3.2 Recirculating Ball Bearing A typical Recirculating ball-bearing steering system uses a worm gear to shift ball bearings that are located within a channel such that when moved, pushes or pulls the housing in which they sit. The housing has teeth located on the outside which are in line with a sector gear that rotates a pitman arm (Fig 2.4). The pitman arm is attached with the track and tie rods, which aligns the wheels. This system can also be described as a parallelogram steering linkage system in which the linkages trace a parallelogram (Gilles, T. 2005). Figure 2.4: Recirculating ball bearing steering, picture from www.imperialclub.com/ Repair/Steering/terms.htm A Recirculating Ball Bearing can also be used in a similar setup to aRrack and Pinion gear system, where the recirculating ball bearing housing replaces the pinion gear with a sector gear that pushes/pulls the rack to align the wheels. The recirculating ball 2.3 Steering Systems 13 bearing system is significantly heavier than the rack and pinion system, due to the extra linkages, housing and gears. Friction needs to be managed in the design stage, i.e. including grease input points, dust covers etc. However the Recirculating ball bearing steering provides more sensitivity to the steering and minimum slack or loose feel in the steering wheel. Costing is also increased due to the extra material and the complexity of design makes the recirculating ball bearing system less attractive. 2.3.3 Power Steering Power steering systems are the same systems as rack and pinion and recirculating ball-bearing but with a significant modification. In a rack and pinion power steering system, the rack contains a cylinder with a piston inside it, driven by fluid supplied by a pump (see Figure 2.5). The fluid lines run to a rotary valve controlled by the steering shaft which determines the sides of the piston that the high pressure fluid acts on. This pressure assists the steering action which requires less force to rotate the steering wheel. Similar to the rack and pinion power steering, the recirculating ball housing is assisted by the pressure respectively in the ball-bearing steering (Gilles, T. 2005). Rack and Pinion power steering, picture adapded from www.cars.com/ carsapp/boston/?srv=parseract=displaytf=/advice/caradviser/steering_ fluid.tmpl 2.4 Suspension Systems 14 2.4 Suspension Systems There are two common types of suspension systems used frequently today, dependant and independant systems. The various types of both are similar but have their differences and functions. Some of these sytems are described below. 2.4.1 Dependant Suspension Systems Solid or Beam Axle Panhard Rod Watts Linkage Dependant suspension systems are variations of a simple beam axle that holds the wheels parallel with each other. So when the vertical angle of one wheel (camber) changes, the opposite wheel also changes (Gilles, T. 2005). Examples of the Panhard Rod and the Watts Linkage are shown in Figures 2.6 and 2.7, these types of suspension are generally different ways of attatching the solid axle to the chassis. 2.4.2 Independant Suspension Systems Double Wishbone, A-Arm or Four-Bar link MacPherson Strut Multi-link 2.4 Suspension Systems 15 Watts linkage suspension. Independent suspension systems allow the wheels to move independently of each other, e.g. if one wheel were to move up or down, the other would not be affected directly. It is common for racecars to have all four wheels with independent suspension as this usually provides the most customizable setup options to maximize the handling potential of the racecar. Double wishbone suspension systems are also known as double A-Arm or Four-Bar link systems. They all comprise of equal or unequal parallel links from the chassis to the wheel hub, with the shock absorbers configured in a Push or Pull rod setup, as Figure 2.8 illustrates. Unparallel and Unequal double wishbone suspension with Push or Pull rod shock absorber setup. 2.4 Suspension Systems 16 The MacPherson strut suspension system (Figure 2.9) is very popular with passenger cars and some sports models since it is a relatively cheap system to produce that provides reasonable camber control (Smith. C, 1978). The MacPherson strut suspension is good for everyday commuting but does not provide sufficient stiffness to avoid movement within the components (compliance or slack) and would not fit comfortably with wide tyres (Smith. C, 1978). Multi link suspension systems are simply Four-Bar link systems with one or more extra links to attain extra control. MacPherson strut suspension, from www.autozine.org/technical_school/ suspension/tech_suspension2.htm The objective of the independent suspension is to provide enough vertical wheel movement to absorb surface bumps and compensate for the accelerations of the sprung mass, prevent changes in the distance between tyres (static toe) as they are moving, control the change of wheel camber angle and change of track distance with the wheel and/or sprung mass movement, and to ultimately allow the most grip or traction available out of the tyres while minimising weight and maximising stiffness in the links (Smith, C. 1978). 2.5 Chapter Summary 17 2.5 Chapter Summary Having discussed the cornering and handling ability in a Formula SAE-A racecar and what factors can influence the performance, helps to have an understanding of what is happening when a racecar traverses around a corner. With this in mind we can apply this knowledge into the design to maximise the cornering and handling ability of the racecar. Also selecting an appropriate steering and suspension system that will provide the best cornering and handling but also takes into account the motorsport teams resources (time, materials and complexity of design). Chapter 3 Rules and Regulations of the FSAE-A Competition 3.1 Chapter Overview This chapter covers the rules and regulations that will affect the steering and suspension sytems. Starting with the more specific rules that affect the steering and suspension systems, then moving into the general rules and regulations like material strength. These rules and regulations have been put into the competition to give the entry teams maximum design flexibility and the freedom to express creativity, but also to ensure that a safe and working car that minimises chances of damage and injury. 3.2 Steering Requirements The specific steering system rules and requirements are as follows: The steering must affect at least two wheels The steering system must have positive steering stops that prevent the steering linkages from locking up. 3.3 Suspension Requirements 19 Free play is limited to 7 degrees measured at the steering wheel. Steering must be mechanically connected to the wheels i.e. steer by wire prohibited These requirements do not severely limit the steering system design at all as for most of the previously mentioned systems, none of which include steer by wire and all affect at least 2 wheels. The rules that need to be kept and monitored is the free play in the steering wheel and steering stops, otherwise the design is virtually open. 3.3 Suspension Requirements The rules state that the car must have a fully operational suspension system with springs and shock absorbers, front and rear, with a minimum useable wheel travel of 50.8mm (2 inches), 25.4mm (1 inch) in jounce and rebound with the driver seated. So the rules again do not restrict the specific suspension system but merely sets a benchmark that it must perform to. 3.4 Other Requirements Other requirements set out in the rules define that the wheelbase must be of at least 1525mm (60inches) and that the smaller track must be no less than 75% of the larger track. The minimum material must be; either round mild or alloy, steel tubing (min 0.1% carbon) with minimum dimensions as outlined in table 3.3.3.1 in the FSAE rules handbook; or an approved alternatice material that is tested and proved to meet the alternative material guidelines in section 3.3.3.2 of the FSAE rules handbook. The wheelbase requirement affects the suspension geometry design, setting a minimum length for the suspension linkages. 3.5 Chapter Summary 20 3.5 Chapter Summary Knowing and understanding the requirements and rules set out by the Formula SAE competition provides a starting point for our design, also talking with the previous team and the performance will help to identify areas needing improvement and investigaiton. Once finding sufficent information a start can be made to get the ball rolling on design and construction of the steering and suspension systems. Chapter 4 WinGeo3 Suspension Geometry Program 4.1 Chapter Overview This chapter introduces Wm. C Mitchells suspension geometry software, Racing by the Numbers and shows its most useful power of calculation and display of steering and suspension geometry of any four wheel vehicle. The information it can tell us will greatly improve the time taken to analyse steering and suspension set-up and will allow fast optimisation when the time comes to testing. 4.2 WinGeo3 Geometry Program The steering and suspension geometry can be modeled on Wm. C. Mitchells software which is quicker than manually measuring all the various important values repeatedly for the various settings you wish to try during testing. This enables a comparison with the originally intended design parameters of the 2005 racecar and an indication of how well the car will react while cornering. It also allows a comparison of the initial 2006 cars design and actual geometry after construction and allows us to optimise the geometry to provide the best cornering and handling ability of the racecar. By 4.3 Set-up and initial measurements 22 measuring the data and entering into Wm. C. Mitchells software, we can critically analyse the racecar with regard to the handling and cornering characteristics. The software requires actual measurements taken from the car which will be done and recorded according to the geometry software requirements. Once recording all the information that the software needs, we can analyse the way the steering and suspension reacts with the chassis. Moving up or down (ride) or rotating (roll) we are able to observe the change in camber, steering angles and caster at each of those changes. This is useful since during a corner, we may model the changes that the chassis will go and can see the result on the tyres (and contact patch) and get an indication of how well it will perform. Wm. C. Mitchells software can also be used to aid in the design of steering and suspension systems, through its design and build functions you may specify various values and the software will convert it into the required lengths of the arms and rods. 4.3 Set-up and initial measurements I strongly recommend allowing at least half a day to measure up a car for the first time and someone to help. It will save alot of time that would otherwise be lost dropping things, re-setting the origins and other fiddly jobs that are not normally accounted for. Once installing the program, printing out some forms will make things much easier for entering information into the program once the measurements have been taken, as the forms sets out the required information neatly and in similar format to the program screen. Open the geometry program and from the help menu open quick start. The help tree is on the left side column, from there open the Files menu and then Blank Forms, here is all the blank forms that is needed. Click on Blank forms: Measuring cars for some general information and hints, for a double wishbone suspension with a push/pull damping system, click on the Blank forms: Double A-arm and Rocker Arm option and print. Also click on Blank forms: Pull-rod / Push-rod form, Blank forms: Auxiliary points, and Blank forms: Swaybar form and print them all out. These all will be 4.3 Set-up and initial measurements 23 sufficient for the front suspension and rear (remember to print a second batch of forms for the rear) unless you have a control arm / panhard rod rearaxle suspension setup, for which there is a seperate form. First you need to make sure that the car is set up already with the correct alignment and on a flat surface as it would on the racetrack. Ensure that access to the suspension points is possible and that they are locked in place so they do not move if you lean on the car (within reason). Then determine a baseline or origin accurately and place strings on the surface plate or flat floor or tie to appropriate point, to represent the centerlines of the car (front to back, side to side). Once an Origin for each Axis has been made, where the X-Axis is the fore-aft longitudinal dimension (front to rear of the car). The Y-Axis is the lateral dimension, or left and right sides of the car (drivers side passenger side) and the Z-Axis is the vertical dimension from the ground up. Care must be taken when selecting an origin due to common suspension adjustments, such as changing caster, can move the tire contact patch. Each such change requires a careful remeasurement (or re-calculation). When the car is ready to be measured, follow these steps: Measure the track width of the front and rear tyres by taking the centre points of each tyre as low to the ground as reasonable, the WinGeo3 program measures track at ground level at the center of the tire contact patch. The easiest way is to measure to the middle of the tire,but this can be misleading if the tire has significant static camber, so as long as you are aware of the settings you should be fine. Measure the static toe for the front tyres while measuring the track at the front and do a quick calculation of the static angle pointing inwards or outwards that

Monday, August 19, 2019

Louis XIV :: essays research papers

Louis XIV was only four years old when he succeeded his father to the French throne. Often uncared for, he nearly drowned because no one was watching him as he played near a pond. This began to shape in his young mind an early fear of God. Louis' character was also shaped by the French Civil War. In this, the Paris Parlement rose against the crown. For five years, Louis would suffer fear, cold, hunger and other spirit-breaking events. He would never forgive Paris, the nobles, or the common people. Finally, in 1653, Cardinal Jules Mazarin was able to end the rebellion. He began to instruct Louis on his position as king. Even though Louis XIV was now of age, the Cardinal remained the dominant authority in French politics. French kings gained respect as a soldier; Louis served with the French army during France's war with Spain. His biggest battle, however, was sacrificing his love for Mazarin's niece for politics. In 1660 he married the daughter of the king of Spain to bring peace between the two countries. Mazarin died March 9, 1661. On March 10, Louis claimed supreme authority in France. Not since Henry IV had such a claim been made. Louis saw himself as God's representative on earth, therefore, infallible. He oversaw roadbuilding, court decorum, defense, and disputes within the church. He had the support initially of his ministers, then that of the French people. He had given France the image it desired-youth and vitality surrounded by magnificence. Louis won the favor of the nobles by making it evident that their future depended on their ability stay on his good side. This weakened the nobility, and would eventually weaken France. Louis had among his supportors a wide spectrum of individuals. Writers such as Moliere were ordered to glorify him. Monuments rose throughout the country and Louis had palaces built in his honor. The most elaborate was Versailles, located outside Paris. Away from disease, Versailles also isolated the king from his people. The aristocracy became mysterious. France was also undergoing an economic revolution. Exports were increased, and a navy, merchant marine, and police association emerged. Roads, ports and canals were being built. He invaded the Spanish Nederlands in 1667. The restarted war between France and Spain would be on again, off again for the remainder of Louis' reign. In 1668, the French army retreated under pressure from Dutch and English forces. Louis swore to defeat the Dutch and ruin their Protestant mercantile republic.

Sunday, August 18, 2019

The Publishing of Written Materials: Newspapers, Magazines and Books :: Publishing Publish Essays

The Publishing of Written Materials: Newspapers, Magazines and Books Publishing as an industry is in constant dialogue - a true back and forth - with the surrounding culture commercially, technologically, and artistically. It has changed greatly since the early 1800's and particularly during the 1900's. These changes have occurred in relationship to evolving aspects of American life, and so the factors one must consider are many: literacy and compulsory education, legal ownership of the actual words to be published, modes of production and distribution, availability of resources such as paper and printing equipment, the ideas which generate the written word, the presence of a reading public and the questions it asks, and surrounding social events - war, money, immigration, reconstruction of the South. A brief early history: Publishing begins in US when Stephen Day issues the Bay Psalm Book in 1640 from his press in Cambridge MA Printing under state control in colonial times, and bookselling seldom an independent vocation before 1850. In the early years of the Colonies, Cambridge, Mass., had the sole privilege of printing, but the monopoly was broken in 1674, when Marmaduke Johnson, who had come over to print an Indian Bible (1663), moved his press to Boston. Gradually others followed - Philadelphia had a press in 1685; New York City, in 1693. It was difficult for the colonial printer, as for any small printer, to produce large works because of a shortage of type; but patronage by the government helped to give his products a dignified style. Almanacs, primers, and law books were the staples of book production; works of theology formed the leading category. Until 1769 American printers bought their presses from England, but thereafter they acquired their equipment and supplies, including ink and paper, do mestically. Books were sold in various ways—by subscription, by the printer himself, by hawkers, and through shopkeepers. Though Massachusetts passed a law against hawkers in 1713, it carefully excluded book peddlers, who had a valuable function in rural areas.

Saturday, August 17, 2019

Nostra Aetate Essay

1. What contemporary reasons would cause mankind to draw â€Å"closer together† and to strengthen â€Å"the ties between different peoples†? (2) Culture, common beliefs, sports, births, deaths, celebration, tragedy, reunions, weddings, music and war are all contemporary reasons that would cause mankind to draw closer together. Regardless of age or gender, one can still love a sport. When Steve Jobs passed away, the world mourned. Though tragic, death can bring many people together and teach them not to take everything for granted. Also, recently, the marriage of Prince William and Kate Middleton brought together many people all across the world – everyone was watching. Of course, war. Though war isn’t really recent, when soldiers died for Canada, people were brought together at the time, they were safer, closer in numbers. Also, protests bring people together to fight for a common belief. In this sense, all the reasons that bring people together and streng then the ties together are because EVERONE has been affected. When something happens and EVERYONE is affected, it causes people to come closer together. 2. According to the Church, what three things draw people to fellowship? (3) i) â€Å"One is the community of all peoples, one their origin for God made the whole humans race to live over the face of the earth.† Basically, we are all human, and our origin is God, and we all share and live on the Earth together. ii) â€Å"One also is their final goal, God. His providence, His manifestations of goodness, His saving design to extend to all men.† – This means that the final goal of mankind is to reach God through Salvation, and that He will be our Saviour. ii) â€Å"Until that time when the elect will be united in the Holy City, the City ablaze with the glory of God where the nations will walk in His Light.† – That this glorious city of God, heaven will come to the people who are good. These are the three reasons that draw people to fellowship. 3. List the questions that are examined by all religions. What is the basis of the universal need to recognize a Supreme Being? (3) Some common questions that are examined by all religions are: What is man?

Effective Religious Practices Essay

Throughout our history, leaders of various religious sects have used a number of methods, materials, and programs to initiate their followers into a certain ideology or belief system. This has proved to be both useful and destructive over the course of time. We have seen many horrifying events take place in the name of certain religions (Jim Jones, The Peoples Church), and have also seen many cases that could serve as a message of hope for others (Mother Teresa). The outcome of events that are sparked by the formation of a new religious sect, are primarily influenced by the programs and methods used by the sects religious leader, to instruct his followers to believe in certain belief systems, and commit actions that are justified by those underlying beliefs. When analyzing how a religious sect instructs its followers, or disciples, we should analyze both positive and negative correlations shared by various sects, in doing this, we could determine what practices have proved beneficial to society, and which ones have proved to be destructive. When observing certain pastors methods in instructing their followers, we could come to the assumption that a leader who preaches a peaceful and uplifting message is more likely to attractive followers who share the same views, on the other hand, a pastor who preaches destructive and self righteous message is more likely to have a congregation that reflects those same views. For example, Joel Olsten, a pastor at Lakewood church, has a consistent uplifting message that he shares with his congregation on a daily basis. When using this method of preaching, the pastor is not focusing on the negative actions of some of the members of his congregation, (Hell, or Damnation) but rather inspiring them to try harder, or to do better. When a pastor only focuses on topics such as sin, Hell, or damnation, then many members of his congregation will leave feeling ashamed and scared, rather than uplifted and motivated. A useful method that a pastor can use is always having sermons with a positive and uplifting theme, focused on what’s ahead for an individual rather than what they have done in there past. Another useful method practiced by certain pastors is not classifying there religion under a certain categories, such as Catholic, Methodist, or Jehovah Witness, but rather inviting people of all faiths to join, not just a select view. In practicing this, a pastor’s congregation has the potential to grow, without being confined by a certain sect’s moral philosophies. A church is only as powerful as its congregation, the larger the congregation, the more influence a church has in its surrounding communities. When practicing such things, a pastor does not limit himself to one moral view, but rather stays open minded and tolerant to the many views that his congregation may have. If I were to become a pastor, I wouldn’t be subject to one particular faith, but rather welcome any faith to my congregation. I feel that it is important to have a diverse congregation; it teaches people how to be tolerant and appreciative of another persons belief system. This ideology also proves useful in expanding a church’s total number of members, therefore harboring growth and overall success. As a church’s congregation grows, so does its net worth, and its influence in its surrounding communities. Secondly, I would choose to preach messages of hope rather than self-shame. I would want people to come to my church and leave with a renewed vision of hope, so that they are self motivated to become active members in there communities. In my opinion, this would prove to be very effective in increasing the total number of people in my congregation. In conclusion, it is far more beneficial when recruiting members for a congregation, to appeal to everybody’s emotional needs, by preaching an unbiased message that has a theme based in hope, and inspiration.

Friday, August 16, 2019

How to prevent Teenage Pregnancy

Each year the United States is acknowledged for having the highest number of pregnant teens in the industrialized world. We have clueless teenage females of every race having children while they are in high school. Sex is on the minds of so many teenagers that they forget that they are not yet at a stage of having children. Since it is difficult for adolescent girl to resist the temptation of having sex; a while abstinence is the best form of prevention, birth control and other forms of protection are reliable ways to prevent teenage pregnancy. Abstinence is the best and safest way to preventing pregnancy at a young age.Abstinence is avoiding sex or any type of sexual activity. â€Å"If two people don’t have sex, then sperm can’t fertilize an egg and there’s no possibility of a pregnancy†(Hirsch1). â€Å"Only one-third of teen mothers will complete high school†(pike1). Many teenagers have sex before they leave high school catching STDs and becoming pregnant before graduating. Becoming abstinent is one of the best ways for preventing pregnancy because your not doing anything but avoiding peer pressure. Abstinence has a lot of peer pressure but it has a great ending in the long run.â€Å"Peer pressure and things you see on TV and in the movies can make the decision to practice abstinence more difficult†(Hirsch2). Even though it may be difficult for couples to resist having sex due to peer pressure it has its benefits in the end. They have a better chance of not receiving any type of STDs and most important not having children. â€Å"Abstinence is 100% effective in preventing pregnancy. Although many birth control methods can have high rates of success if used properly, they can fail occasionally. Practicing abstinence ensures that a girl won’t become pregnant because there’s no opportunity for sperm to fertilize an egg†(Hirsch1).Even though abstinence is 100% affective not everyone has the ability to resist the powerful peer pressure that comes with it. Birth Control is the next best thing that is accepted by teenage girls. Birth control or contractive pills are pills that are taken orally to help stop the release of an egg every month. â€Å"In simple terms, all methods of birth control are based on either preventing a man‘s sperm from reaching and entering a woman‘s egg (fertilization) or preventing the fertilizes egg from implanting in the woman‘s uterus and starting to grow†(Stoppler1).Birth Control is 99. 9% effective when it comes to preventing teenage pregnancy. However birth control doesn’t permanently stop fertilization after you are on it. The contractive pills may also fail if a teenager was to miss one day of taking the pill after her period. â€Å"If pills are skipped or forgotten, a girl is not protected against pregnancy and she will need a backup form of birth control, such as condoms. Or she will need to stop having sex for a whi le. Do not take a friend’s or relative’s pills† (Hirsch1). Condoms are the most popular way of preventing teenage pregnancy.Condoms block the sperm from fertilizing the egg inside of the female. Condoms have different brands and types for females and males. â€Å"Condoms are absolutely the best birth control for teenagers. They protect against pregnancy and diseases. They are used at the time, so there is no need to fret over whether you forgot to take our pill last Tuesday. They are relatively inexpensive, and easily available (regardless of your age). Both genders can take responsibility for procuring and using them† (Rayne1). These outstanding items work unless someone was to use them the incorrect way.Condoms are made of latex or polyurethane. The best one to choose is the condom made out of latex because they are slightly more reliable. Polyurethane condoms are mostly made out of plastic. â€Å"The most common reason that condoms â€Å"fail† i s that the couple fails to use them at a. Still, it is possible for a condom to break or slip during intercourse. Condoms can also be damaged by things like fingernails and body piercing† (Hirsch2). Condoms are a very reliable source for preventing teenage pregnancy if they would just use them.Even though it may be hard for teenage girls to resist the not having sex; becoming abstinent, using different forms of birth control and condoms are the best way for preventing a unplanned pregnancy. We can stop the United States from having the highest rate of teenage pregnancy each year if the girls will do their part. So many youths have failed to live their life due to the fact that they have had children at a very young age. Having sex can wait, but if they do decide to take the risk of becoming a parent at a very young age, there are always three things they can do to prevent it from happening.