Thursday, December 26, 2019

Hamilton College Acceptance Rate, SAT/ACT Scores

Hamilton College is a private liberal arts college with an acceptance rate of 21%. Located in upstate New York, Hamilton is one of the top liberal arts colleges in the country. For its strengths in the liberal arts and sciences, Hamilton College was awarded a chapter of the prestigious  Phi Beta Kappa  honor society. The colleges curriculum places particular emphasis on individualized instruction and independent research, and the school highly values communication skills such as writing and speaking. Considering applying to this highly selective college? Here are the Hamilton College admissions statistics you should know. Acceptance Rate During the 2017-18 admissions cycle, Hamilton College had an acceptance rate of 21%. This means that for every 100 students who applied, 21 students were admitted, making Hamiltons admissions process highly competitive. Admissions Statistics (2017-18) Number of Applicants 6,240 Percent Admitted 21% Percent Admitted Who Enrolled (Yield) 36% SAT Scores and Requirements Hamilton College has a flexible standardized testing requirement. Applicants may submit either SAT or ACT scores, or three individual exams (including AP, IB, or SAT Subject tests). During the 2017-18 admissions cycle, 51% of admitted students submitted SAT scores. SAT Range (Admitted Students) Section 25th Percentile 75th Percentile ERW 670 740 Math 680 770 ERW=Evidence-Based Reading and Writing This admissions data tells us that most of Hamiltons admitted students fall within the top 20% nationally on the SAT. For the evidence-based reading and writing section, 50% of students admitted to Hamilton scored between 670 and 740, while 25% scored below 670 and 25% scored above 740. On the math section, 50% of admitted students scored between 680 and 770, while 25% scored below 680 and 25% scored above 770. Applicants with a composite SAT score of 1510 or higher will have particularly competitive chances at Hamilton College. Requirements Hamilton has a flexible policy regarding standardized tests. For those who submit SAT scores, the writing section is optional. Hamilton requests that applicants submit all scores; however, Hamilton will consider your highest score from each individual section across all SAT test dates. ACT Scores and Requirements Hamilton College has a flexible standardized testing requirement. Applicants may submit either SAT or ACT scores, or three individual exams (including AP, IB, or SAT Subject tests). During the 2017-18 admissions cycle, 43% of admitted students submitted ACT scores. ACT Range (Admitted Students) Section 25th Percentile 75th Percentile Composite 31 34 This admissions data tells us that most of Hamiltons admitted students fall within the top 5% nationally on the ACT. The middle 50% of students admitted to Hamilton received a composite ACT score between 31 and 34, while 25% scored above 34 and 25% scored below 31. Requirements Hamilton has a flexible policy regarding standardized tests. For those who submit ACT scores, the writing section is optional. Hamilton requests that applicants sbumit all scores; however, unlike many schools, Hamilton superscores ACT results; your highest subscores from multiple ACT sittings will be considered. GPA Hamilton College does not provide data about admitted students high school GPAs. Self-Reported GPA/SAT/ACT Graph Hamilton College Applicants Self-Reported GPA/SAT/ACT Graph. Data courtesy of Cappex. The admissions data in the graph is self-reported by applicants to Hamilton College. GPAs are unweighted. Find out how you compare to accepted students, see the real-time graph, and calculate your chances of getting in  with a free Cappex account. Admissions Chances Hamilton College has a competitive admissions pool with a low acceptance rate and high average SAT/ACT scores. However, Hamilton has  a  holistic admissions  process involving other factors beyond your grades and test scores. Strong  application essays and glowing  letters of recommendation  can strengthen your application, as can participation in meaningful  extracurricular activities  and a  challenging high school curriculum  that includes AP, IB, or Honors classes. While not required, Hamilton offers  optional interviews. Students with particularly compelling stories or achievements can still receive serious consideration even if their test scores are outside Hamiltons average range. In the graph above, the blue and green dots represent accepted students. You can see that the majority of successful applicants had high school averages in the A range, combined SAT scores of 1300 or higher, and ACT composite scores of 28 or better. Many applicants had impressive 4.0 GPAs and SAT scores over 1400. If You Like Hamilton College, You May Also Like These Schools Vassar CollegeCornell UniversityColgate UniversitySwarthmore CollegeBoston CollegeHarvard UniversityWesleyan UniversityTufts UniversityDartmouth College All admissions data has been sourced from the National Center for Education Statistics and Hamilton College Undergraduate Admissions Office.

Tuesday, December 17, 2019

The Effects Of Parental Consent On Children - 1839 Words

PG-13 movies are supposed to be for kids to watch with parental consent. This means that the movie that is being shown under these ratings is supposed to be appropriate enough for the children to watch. However, some of the PG-13 rated movies reveal a little too much violence and or sexual content for a child’s brain to consume. This type of content in the movies causes negative and life changing effects to a child that nobody would ever think of happening. These effects not only harm the child, but also can cause the child to harm someone else. The exposure to violent PG-13 films like â€Å"The Dark Night† or â€Å"Jurassic Park† to children is extremely detrimental to their psychological and emotional well-being with the ratings increasing the sexual, violent, and inappropriate content in the films. One of the main effects that happens to kids is that they begin to acquire behavior changes. These behavior changes effect more than you think. Something as simple as a kids manners can be affected. Let’s say a kid watches a violent PG-13 movie that contains foul language. The kid will watch what the actor is saying, and he or she will remember that because when the actor said it there was no consequence. The next thing you know that kid is repeating that foul language to another person. According to Movies in Society, â€Å"the most intense pathological impact of the film is found in the scenes of great contrast and violent emotions, such as in scenes of very pronounced eroticism involvingShow MoreRelatedThe Marriage Act ( 1949 )859 Words   |  4 Pagesmarriage, stating thus: â€Å"A marriage solemnized between persons either of whom is under the age of sixteen shall be void † Section 6 of the Marriage Act (1970) also requires that the marriage of any person under the age of eighteen must be with full consent . Section 11 of the Matrimonial Causes Act states thus: Nullity (11) Grounds on which a marriage is void. A marriage celebrated after 31st July 1971 shall be void on the following grounds only, that is to say: (a) that it is not a valid marriageRead MoreAbortion for Underage Children Should Require Parental Consent1121 Words   |  5 Pagesparents’ permission. Therefore, how can a teenage girl have an abortion without the approval of her parents? Abortion itself is a controversial subject, and underage abortion is even more controversial. Minors should not have an abortion without the consent of their parents or their legal guardians for a variety of reasons. First, most adolescents are not mature enough to make decisions that will change their lives forever. According to the U.S. Department of Health and Human Services SecretaryRead MoreCross Sectional And 4-Year Longitudinal Study Factorial Design851 Words   |  4 Pagesparticipant and also, an accumulation of math, reading and writing scores will be collected by their teachers. A mixed two-way factorial design will be used. We will have the two factors of SES (2 levels: high SES, low SES; between subjects) and level of parental involvement (3 levels: none, average, high; between subjects). Participants As mentioned in a study mentioned by Miedel and Reynolds (2000), middle school childrens views of their parent’s expectations significantly affected their achievementRead MoreShould Abortion Be Legal?1652 Words   |  7 Pagesmany unborn children. In today s society teens are allowed to have abortions with or without parental consent, even under the age of 18. Allowing abortions is overriding the basic human rights. Teens under the age of 18 shouldn t be allowed to have an abortion because of the basic human rights of a fetus. Teens themselves don t have certain rights so how are they allowed to have rights over someone else s life. Teens under the age of 18 can t get major surgeries without parental consent, yet anRead MoreChildren Should Be Too Great For Their Parents886 Words   |  4 Pages(Brown, 2010). Research shows that children suffer emotional trauma in the event that there parents’ divorce. According to Steven Earll who is a licensed counselor and therapist, he states that; â€Å"Children (and adult children) have the attitude that their parents should be able to work through and solve any issue. Parents, who have given the children life, are perceived by the children as very competent people with supernatural abilities to meet the needs of the children. No problem should be too greatRead MoreEffects Of Parental Divorce On Children s Development1019 Words   |  5 Pagessaid that it has a huge impact in children s development. The researches of Divorce and the impact on a child s development. Some of the e journals will explore and help us identify some the effects that harm children as they encounter their parental divorce. Numerous researchers have found that parental divorce is associated with a range of negative outcomes in young children. We will focus on prosp ective Analysis and explore the study more detailed. The effects of a person’s early relationshipRead MoreThe Abortion For A Minor1198 Words   |  5 PagesSupport legislation and opposition Relating to notice of and consent to an abortion for a minor. Abortion for minors is a major public health concern in the United States. There are more than 300,000 births to teens each year, increasing the risk of both the mother and the baby’s health. Abortions on minors have raised political, clinical, social, and economic awareness. In order to make effective changes to abortion for the minor one must produce empirical evidence, to evaluate policy optionsRead MoreAccess to Evidence Based Sex Education in American Public Schools999 Words   |  4 Pagesdistribution program is especially controversial in Georgia because the state contends with pervasive Bible Belt worldviews. Bible Belt worldviews are fine when confined to the home, but ignorance about sexuality has the potential to have devastating effects on the states student population. Ignorance causes the spread of HIV, myths related to how people do and do not get pregnant, and misogynistic myths such as those suggesting that menstruation is an illness (Rashmi, Bhat and Mahab halaraj). LikewiseRead MorePersuasive Essay On Birth Control1288 Words   |  6 PagesIn the United States, twenty six states allow minors, defined as children twelve and older, to consent to contraceptive services; Michigan allows some minors, such as those who are married or have previously been pregnant, to consent; four states have no standing laws or policy (â€Å"An Overview† 1-2). The contraceptive access also varies across the country. Some states require comprehensive sexual education and for teens to be able to access contraceptives. Some lean more towards abstinence only educationRead MoreA Breach Of Childrens Online Privacy1715 Words   |  7 PagesPrivacy: Examining the Fourth Amendment and a Right to Privacy Regarding Mobile Apps Children are more likely to be found on a technological device that can access the Internet than outside being physically active. While in many cases, they are knowledgeable online users, children are still at risk when using the Internet. Their right to privacy online is endangered, especially when online businesses target children as consumers. Thus, an increased threat of children’s personal data collection exists

Monday, December 9, 2019

Circuit City Stores free essay sample

Objectives: * achieve leading market share in each served market in order to benefit from ad and logistics synergies * resist take over attempt Current Business Strategy * In retail stores, they measure by per unit square foot to measure capacity( exhibit 3b) * They sell brand name product * Cut commissions * Customer survey to support customer satisfaction * Switched management teams. * Invested in the POS system * Store remodeling, ex. Expanding to Canada, with small stores Evaluate External analysis * Market: is massive, growing at 8 % a year forces: * Rivalry: Cost circuit city more to get out of business Number of the competitors; and revenue are big, these will intense the rivalry Product mix: there is a lot of product differentiation, ability to differentiate, can focus on different target market. This makes the market rivalry less intense. Customer services is declining, could lead to increasing? * Barrier to entry: not hard to enter the market not hard to open a specialty electronic store; no need to special skills, and no need for massive inventory Brand loyalty to the product not the store Substitute for electronic retail * Ebay, online ( not very competitive, not a strong force) * Customer * No brand loyalty, low switching cost * Purchase dispersed * Demand is not declining * Supplier * Specific supplier are required * Fast and efficient supply chain * Require good relationship with supplier is critical (ex DVD sales) * No shortage in supplier

Monday, December 2, 2019

Propaganda In China During The Cultural Revolution Took On Many Essays

Propaganda in China during the Cultural Revolution took on many forms; there were mass Red Guard demonstrations in Tianamen Square in support of Mao Zedong, pictures of Mao were put up in every conceivable location from restaurants to the wallpaper in nurseries, and pamphlets and books of Mao's teachings were distributed to every Chinese citizen. One of these propaganda publications Quotations from Chairman Mao which later became known as the Little Red Book contained quotes from Mao Zedong and was distributed to every Chinese citizen. The history of the Red Book provides one of the best ways in which to analyze Chinese propaganda during the Cultural Revolution and see the ways in which the Chinese government was able to produce and effectively indoctrinate the Chinese people with Mao Zedong Thought. Official Chinese magazines from the period of 1967 to 1970 are filled with many pictures of citizens holding, reading, and memorizing the Red Book. This proposal will trace the rise and fall of images of the Red Book in the official Chinese publication China Reconstructs. This proposal will use a graphical analysis of pictures in this publication from 1966 to 1973 to show that propaganda was not just a tool of the Communist party but also a reflection of internal power struggles within the party during the Cultural Revolution. The Red Book was written several years before it became the object of national adoration and a tool for the Cultivation of Mao's personality Cult. The history of the Red Book and its meteoric rise from a hand book for military recruits to compulsory reading for all Chinese citizens, is closely tied to its developer Lin Biao's rise to power. Lin Biao was born in 1907 and was fourteen years younger then Mao; he joined the communist party in 1925 and until the communists captured control of China was at various times in charge of resistance forces, and armies of communist soldiers. When the communists took control in 1949 Lin Biao was behind Mao Zedong, Liu Shaoqi, Zhou Enlai, Chen Yun, and Deng Xiaoping in rank (Yan and Gao, 1996: 179). But eighteen years later during the height of the Cultural Revolution Lin Biao by winning favor with Mao by publishing and championing the Red Book and the Cult of Mao became second only to the Chairman in power and position (Ming-Le, 1983: 80). In 1959 Peng Dehua was dismissed as minister of defense and Lin Biao was appointed in his place. At an armed forces meeting for high cadres during September of that year Lin Biao, energetically started promoting the Cult of Mao saying, "Learning the writings of comrade Mao Zedong is the shortcut to learning Marxism-Leninism. Chairman Mao's writings are easy to learn and can be put to use immediately. Diligent work will pay dividends many fold." (Yan and Gao, 1996: 182) His references to "shortcut" and "quick dividends" in his speech went unnoticed at the time as few foresaw the effects of creating a Cult around Mao. But looking back on the Cultural Revolution and Lin Biao, we can see his using the Cult of Mao was indeed a shortcut that produced huge dividends both for himself and for Mao. Mao to the Chinese people was a symbol sovereignty and the construction of socialism; to them praise for Mao was fitting with his symbolic role in society. Starting in 1959 Lin Biao in front of military audiences in order to help buildup support for the Cult of Mao used such phrases as, "the dire necessity of acquiring Mao Zedong's thought," "to study the writings of Mao Zedong with questions in mind is to shoot arrows with target in sight," "we must arm our minds with Mao Zedong's thought" (Yan an Gao, 1996: 181). Lin Biao's goal of building up both himself and the Cult of Mao lead him in September of 1960 to pass a resolution at the meeting of the Military Commission, which called for more political education among the armed forces (Yan and Gao, 1996: 181) "Mao Zedong Thought is the compass for the Chinese people's revolution and socialist construction, the powerful ideological weapon against imperialism, and the powerful ideological weapon against revisionism and dogmatism..... raise high the red banner of Mao Zedong Thought, go further and mobilize the minds of all officers and soldiers with Mao Zedong Thought, and resolve to make sure that Mao Zedong Thought, and resolve to make sure that Mao Zedong Thought is in command in all phases of work... Really learn by heart the Mao Zedong Thought! Read Chairman Mao's books,

Wednesday, November 27, 2019

Free Essays on Slavery

The issue of slavery has been touched upon often in the course of history. The institution of slavery was addressed by French intellectuals during the Enlightenment. Later, during the French Revolution, the National Assembly issued the Declaration of the Rights of Man, which declared the equality of all men. Issues were raised concerning the application of this statement to the French colonies in the West Indies, which used slaves to work the land. As they had different interests in mind, the philosophes, slave owners, and political leaders took opposing views on the interpretation of universal equality. Many of the philosophes, the leaders of the Enlightenment, were against slavery. They held that all people had a natural dignity that should be recognized. Voltaire, an 18th century philosophe, pointed out that hundreds of thousands of slaves were sacrificing their lives just so the Europeans could quell their new taste for sugar, tea and cocoa. A similar view was taken by Rousseau, who stated that he could not bear to watch his fellow human beings be changed to beasts for the service of others. Religion entered into the equation when Diderot, author of the Encyclopedia, brought up the fact that the Christian religion was fundamentally opposed to Black slavery but employed it anyway in order to work the plantations that financed their countries. All in all, those influenced by the ideals of the Enlightenment, equality, liberty, the right to dignity, tended to oppose the idea of slavery. Differing from the philosophes, the political leaders and property owners tended to see slavery as an element that supported the economy. These people believed that if slavery and the slave trade were to be abolished, the French would lose their colonies, commerce would collapse and as a result the merchant marine, agriculture and the arts would decline. Their worries were somewhat merited; by 1792 Fr... Free Essays on Slavery Free Essays on Slavery The evolution of slavery is crucial to understanding the importance of currently standing issues. Slavery began in 1440 when Portugal started to trade slaves with West Africa. By the 16th century, Western Europeans developed an organized system of trading slaves. However, the slave trade did not run as smoothly as expected. Slaves were revolting and tried to flee the hardships of labor. Regardless of these attempts, slavery expanded, leading to the "Triangle Trade." This trade, between Europe, Africa and the Americas, is held responsible for the dispersal of Africans in the Western hemisphere. This organized system lasted until the 1800's. Shortly after the War of Independence there was an intended law to abolish slavery. This law was stalled when the United States allowed the slavery to continue until 1800. A federal law, which was passed in 1793, allowed for the Fugitive Slave Act, which continued the slave trade and prohibited the freedom of the Africans. In order to understand the origins of the Middle Passage one must know its purpose. The Middle Passage was a systematic process of retrieving Africans for the "Trans-Atlantic Slave Trade," as workers in the Atlantic world. This process combined the organization of voyages in Europe and the United States. In this time period, the slaves were transported to slave factories and were held captives of their own freedom. Before the Middle Passage began a slave trade already existed in Africa, but this slave trade was much different than the one that Europe would create for the Africans as the Atlantic World developed. The difference was, in Europe the slaves were dehumanized and viewed as property while in Africa, humans were still humans. Also some of the reasons that the Africans were enslaved in their own country traced back to their current status. If a person had committed a crime, were prisoners of war, or had a debt that was unpaid then they were enslaved by a greater force... Free Essays on Slavery The issue of slavery has been touched upon often in the course of history. The institution of slavery was addressed by French intellectuals during the Enlightenment. Later, during the French Revolution, the National Assembly issued the Declaration of the Rights of Man, which declared the equality of all men. Issues were raised concerning the application of this statement to the French colonies in the West Indies, which used slaves to work the land. As they had different interests in mind, the philosophes, slave owners, and political leaders took opposing views on the interpretation of universal equality. Many of the philosophes, the leaders of the Enlightenment, were against slavery. They held that all people had a natural dignity that should be recognized. Voltaire, an 18th century philosophe, pointed out that hundreds of thousands of slaves were sacrificing their lives just so the Europeans could quell their new taste for sugar, tea and cocoa. A similar view was taken by Rousseau, who stated that he could not bear to watch his fellow human beings be changed to beasts for the service of others. Religion entered into the equation when Diderot, author of the Encyclopedia, brought up the fact that the Christian religion was fundamentally opposed to Black slavery but employed it anyway in order to work the plantations that financed their countries. All in all, those influenced by the ideals of the Enlightenment, equality, liberty, the right to dignity, tended to oppose the idea of slavery. Differing from the philosophes, the political leaders and property owners tended to see slavery as an element that supported the economy. These people believed that if slavery and the slave trade were to be abolished, the French would lose their colonies, commerce would collapse and as a result the merchant marine, agriculture and the arts would decline. Their worries were somewhat merited; by 1792 Fr... Free Essays on Slavery The Slaves’ and the Slave owners’ Views of Slavery The slavery in the United States is no doubt a shameful history of our country. White people transferred the slaves living in Africa to the New Land and treated them as their property, not as human beings. The living and working conditions of slaves and their food were extremely poor. Those were inhuman conditions in which the slaves had to survive. Endless executions of the slaves made the situation even worse. Slavery was a period of time when one race treated the other race as animals, things, property, but not as people. Unfortunately, not everyone saw the situation as it was in reality at that time. As we can see from many different sources available today, the points of view of slaves and slave owners on slavery were the opposite of each other. That can be seen in various slaves’ and slave owners’ descriptions of slavery. Slaves described their dwellings, food, clothes, labor, and the terrible treatment of slaves by their masters. On the other hand, slave owners described the relationships between slaves and their masters in a very positive way. They argued that slavery is very beneficial for the slaves and the slaves are very happy to live with their masters. Let us now consider both these points of views in details. First of all, let us look at the slaves’ description of the cloth they wore. The clothes supply was as minimum as possible and the quality of the clothes was very bad. Here is how one of the slaves describes it. â€Å"Our dress was of tow cloth; for the children nothing but a shirt; for the older ones a pair of pantaloons or a gown in addition, according to the sex. ... In winter, a round jacket or overcoat, a wool hat once in two or three years, for the males, and a pair of coarse shoes once a year†(Lester 65). This scanty list of items was the only things available to the slaves. Certainly, it was not enough for the people who worked ver... Free Essays on Slavery Reading Response on: â€Å"Black Masters† and â€Å"The Slaveholders Dilemma† When the â€Å"Old South† in taken into consideration, generally one may think of large plantations, cotton, and African slaves that worked the land. Many people only associate the cruel treatments and slave holdings with the white plantation owners and white slave traders. Very rarely, if ever, does one hear about any slave holders or slave traders being of black or mulatto skin. This fact, however, seems to be a relevant part of history that is neither taught nor brought into the public eye. However, during the period of the â€Å"Old South†, although not as widely spread as white plantation owners with slaves, there were blacks that indeed did own slaves themselves. If fact in Charleston during 1860, 125 freed black slaves owned black slaves themselves; and six of them owning 10 or more. In fact, it is also said that of the $1.5 million in taxable property owned by free Negroes in Charleston during this time, more than $300,000 of that land represented slave holdin gs (Black Masters 62). During the period of the Old South, there is a very important story of a black man by the name of William Ellison. Ellison, which was initially named April (they were usually named after the month of the year in which they were born) was born in the late 1700’s, and was bought by a white slave owner, by the name William Ellison, between 1800 and 1802. April was of mulatto skin, so it is thought that his mother was black, and that is father was most likely a white slave owner (Black Masters 5). By the age of 12, April was taught the trades of carpentry, blacksmithing, and machining, as well as how to read, write, cipher, and to do basic book keeping. On June 8, 1816, when April was 26 years old, he and his owner, William Ellison â€Å"appeared before a Fairfield District magistrate and five freeholders from the neighborhood† in order to petition his freedom (Black Masters ... Free Essays on Slavery Faiths Role in Slavery â€Å"Ole Satan’s Church is here below; Up to God’s free church I hope to go.† Harriet Jacobs, Incidents in the life of a slave girl. (205) These lines are taken from a song slaves used to sing. So powerful are these lines, yet simple. As you read Harriet Jacobs narrative, the subject of religion has a very broad underlying. The images she conveys are one of a sacrilegious nature in comparison to the white southerners, as opposed to reli- gious in respect to the slaves. Which is ironic, when supposedly the slaves are the heathen. Examples are given throughout the book as evidence of this strong view held by Harriet Jacobs. You have to look no further than the characters of Dr. and Mrs. Flint and Rev. Mr. Pike and their hypocritical behavior. There comes a point in the book when Dr. Flint joins the Episcopal church. One would assume this would have a beneficial affect on his character, but this made him more harsh. Harriet Jacobs describes that she endured the most persecutions after his communion. It seems the doctors main rea- sons for joining the church were because of his position in society and to stop the gossip in town about him. It was known around town, that Dr. Flint was pursuing Harriet. During a conversation he tells Harriet it would be good for her to join the church, her response was, that there are enough sinners in church already. Dr. Flint epitomizes all that is evil with slavery and the south at that time. Mrs. Flint, like most southern women, had no energy to take care of her own home; but had the nerves to watch her slaves take a whipping. Like her husband, she was a member of the church and was a woman of pure evil. The character of Mrs. Flint is a very unhappy one. If dinner was not served at the exact time, she would spit in the remains, to prevent the cook and her children from eat ing.... Free Essays on Slavery In the light of the following documents and your knowledge of the period 1775 to 1825, show specifically how the issue of slavery brought out the differences in the arguments concerning states rights and federalism. DOCUMENT 1 Nothing is more certainly written in the book of fate than these people are to be free; nor is it less certain that the two races, equally free, cannot live in the same government. Nature, habit, opinion have drawn indelible lines of distinction between them. It is still in our power to direct the process of emancipation and deportation, peaceably, and in such slow degree that the evil will wear off insensibly, and their place be, pari passu, filled up by free white laborers. If, on the contrary, it is left to force itself on, human nature must shudder at the prospect held up. Thomas Jefferson 1804 DOCUMENT 2 Sec. 1. Be it enacted, That from and after the first day of January, one thousand eight hundred and eight, it shall not be lawful to import or bring into the United States or the territories thereof from any foreign kingdom, place, or country, any negro, mulatto, or person of colour, as a slave, or to be held to service or labour.Sec.4. If any citizen or citizens of the United States, or any person resident within the jurisdiction of the same, shall, from and after the first day of January, one thousand eight hundred and eight, take on board, receive or transport from any of the coasts or kingdoms of Africa, or from any other foreign kingdom, place, or country, any negro, mulatto, or person of colour in any ship or vessel, for the purpose of selling them in any port or place within the jurisdiction of the United States as slaves, or to be held to service or labour,or shall be in any ways aiding or abetting therein, such citizen or citizens, or person, shall severally f! orfeit and pay five thousand dollars, one moiety thereof to the use of any person or persons who shall sue for and pro... Free Essays on Slavery Origins of Slavery in the New America The institution of slavery is dated back to the beginning of mankind. Many nations and empires were built by the muscles of slaves, including the foundation of America. Many people believe that slavery was a racist act against African Americans; however that couldn’t be more of a false statement. As the new American colonies were developing, many plantation owners needed help as their estates grew in size. Numerous plantation owners started looking for laborers who could help them with their large estates. These laborers were called indentured servants. In fact, the first indentured servants were usually poor white English people who were willing to work for a â€Å"master† that paid for their passage to the new world. The first black servants didn’t show up in the new world until 1619, two years after the first export of tobacco to England. The era of slavery was not started because of a prejudice against blacks but because of the need for laborers in t he new developing colonies of America. In Handlin’s article, â€Å"Origins of the Southern Labor System†, â€Å"An examination of the condition and status of seventeenth-century labor will show that slavery was not there from the start, that it was not simply imitated from elsewhere, and that it was not a response to any unique qualities in the Negro himself. It emerged rather from the adjustment to American conditions of traditional European institutions.†(Handlin, pg. 199). Handlin agrees that the theory of slavery was started as a prejudice against African Americans. Handlin believes that slavery was happening because of the need for labors to work on the large plantations in the new colonies of America. Many colonists were struggling to find ways to make money. As colonists were looking for various ways to earn money, many began to grow a variety of crops including tobacco. This popular item spread rapidly, earning farmers... Free Essays on Slavery Jefferson and Slavery The task of drafting the Declaration of Independence fell to Jefferson, who was known for his powerful writing style. Jefferson intended the document "to be an expression of the American mind," but the eloquence of the phrasing was his own. Thomas Jefferson claimed that he used "neither book nor pamphlet" when writing the declaration, but the document reflected a broad understanding of 18th-century political thought. Over time, the Declaration of Independence has profoundly affected American history. Phrases from the document such as "all men are created equal" quickly took on a life of their own or were applied to groups that the authors never anticipated, the ideal conflict being slavery. By Thomas Jefferson owning slaves, it made the Declaration of Independence false and hypocritical. On some level Thomas Jefferson is promoting the very thing he aims to destroy. He wants to rebel against King George the third for taking his very human rights while dehumanizing an entire race in his own household. Had it not been the common practice to have slaves in those days it would probably have destroyed his credibility and also ruined the strength of the document itself. This document, with a few words substituted, could very well be used to rally the black slaves against their owners. Blacks quickly used this language to challenge slavery in the United States. The ideal of equality led Northern states to free slaves within their borders in the 1780s, 1790s and early 1800s. Black and white abolitionists used the ideal that all men were created equal to attack slavery in the South before the Civil War. And civil rights supporters rallied behind Jefferson’s words in their fight against racism in the 1950s and 1960s....

Saturday, November 23, 2019

Spains Arab Connection Influenced the Language

Spain's Arab Connection Influenced the Language If you speak either Spanish or English, you probably speak more Arabic than you think. Its not real Arabic youre speaking, but rather words that come from the Arabic language. After Latin and English, Arabic is probably the biggest contributor of words to the Spanish language. A large portion of English-Spanish cognates that dont come from Latin come from Arabic. Spanish Words and Arabic Origins If you know much about etymology, the English words youre most likely to think of as Arabic origin are those that start with al-. This includes words such as algebra, Allah, alkali, and alchemy. These words exist in Spanish as lgebra, Al, lcali, and alquimia, respectively. But they are far from the only Arabic-derived words in Spanish. A variety of other types of common words such as coffee, zero, and sugar (cafà ©, cero, and azà ºcar in Spanish) also come from Arabic. The introduction of Arabic words into Spanish began in earnest in the eighth century. But even before then, some words of Latin and Greek origin had roots in Arabic. People living in what is now Spain spoke Latin at one time, but over the centuries, Spanish and other Romance languages (such as French and Italian) gradually differentiated themselves. The Latin dialect that eventually became Spanish was highly influenced by the invasion of the Arabic-speaking Moors in 711. For many centuries, Latin/Spanish and Arabic existed side by side. Even today, many Spanish place names retain Arabic roots. It wasnt until late in the 15th century that the Moors were expelled. By then, literally thousands of Arabic words had become part of Spanish. Although it is believed that the English words alfalfa and alcove, which originally were Arabic, entered English by way of Spanish (alfalfa and alcoba), most Arabic words in English probably entered the language by other routes. Keep in mind also that Arabic has changed substantially since the 15th century. Some Arabic words from then arent necessarily still in use, or they have changed in meaning. aceite - oilaceituna - oliveadobe - adobeaduana - customs (as at a border)ajedrez - chessAl - Allahalacrn - scorpionalbacora - albacorealbahaca - basilalberca - tank, swimming poolalcalde - mayorlcali - alkalialcatraz - pelicanalczar - fortress, palacealcoba - bedroom, alcovealcohol - alcoholalfil - bishop (in chess)alfombra - carpetalgarroba - carobalgodà ³n - cottonalgoritmo - algorithmalmacà ©n - storagealmanaque - almanacalmirante - admiralalmohada - pillowalquiler - rentalquimia - alchemyamalgama - amalgamaà ±il - indigoarroba - symbolarroz - riceasesino - assassinatà ºn - tunaayatol - ayatollahazafrn - saffronazar - chanceazà ºcar - sugarazul - blue (same source as English azure)balde - bucketbarrio  - districtberenjena - eggplantburca - burqacafà © - coffeecero - zerochivo - billy goatcifra - cifraCorn - Korancuscà ºs - couscousdado - die (singular of dice)espinaca - spinachfez - fezfulano - whats-his-namegacela - gazelleguitarra - guitarhachà ­s - hashishharà ©n - haremhasta - untilimn - imamislam - Islamjaque - check (in chess)jaque mate - checkmatejirafa - giraffelaca - lacquerlila - lilaclima - limelimà ³n - lemonloco - crazymacabro - macabremarfil - marble, ivorymasacre - massacremasaje - massagemscara - maskmazapn - marzipanmezquita - mosquemomia - mummymono - monkeymuslim - muslimnaranja - orangeojal - I hope, God willingolà © - bravoparaà ­so - paradiseramadn - Ramadanrehà ©n - hostagerincà ³n - corner, nooksandà ­a - watermelonsof - sofasorbete  - sherbetrubio - blondtalco - talctamarindo - tamarindtarea - tasktarifa - tarifftrtaro - tartartaza - cuptoronja - grapefruitzafra - harvestzanahoria - carrotzumo - juice

Thursday, November 21, 2019

How Tarantino's Reservoir Dogs (1992) influenced by the French Essay

How Tarantino's Reservoir Dogs (1992) influenced by the French New Wave - Essay Example In the film, Tarantino cuts some scenes and moves to other scenes in a manner that the audience is able to note that some scenes are not there. The Reservoir Dogs has a non-linear narration just like the French New Wave films. This is evident where Tarantino introduces the past life of some characters and then comes back to the present. The Reservoir Dogs film also makes references to films produced earlier including Get Christie Love and The Lost Boys films. The referencing of films produced earlier, in a film was a common characteristic of the French New Wave films (Conard, 2008, p.108). In terms of the formal elements of the film, the film employed the on-location shooting concept. Tarantino shoots about a quarter of an hour in one particular location and entry of new character in the scene happens without cutting of the shot. According to Neupert (2007, p.39) the French New Wave films were produced on a low-budget and location of shooting was not costly. The use of handheld cameras which was also a popular concept during the French New Wave can also be seen in the Tarantino’s

Tuesday, November 19, 2019

Why Control Development Term Paper Example | Topics and Well Written Essays - 2000 words

Why Control Development - Term Paper Example The term ‘planning’ means different things to different people. In this context planning is viewed as a discipline with strong technical basis.   It works in terms of applying various techniques, models and formulas to solve problems. Moreover, it results to presenting itself as a science where it focuses in objectively solving problems by value-neutral planners.   Yet another dimension describes planning as an art of decision and plan making. Planning systems have revolved over time in the need to organize and regulated human society and its surroundings. Diverse societies all over the worlds over centuries have diverse sets of values. Planning systems and their roles change over time due to change of societal values and the advent of technological developments, hence the need to understand the context of social and historical changes.   Theories found in planning focus on how to go about carrying out planning. They focus on procedural matters as compared to substantial matters. They deal with issues such as design methods, decision making, organizations and community action. These could be said to be prescriptive theories because they explain of how to go about carrying our planning tasks.          What is of most important to note is that, planning must work hand in hand with the element of time. Planning should be time sensitive since we do not plan for the past but for the future. Besides, ideas tend to change over time with the outdated ideas exiting o pave way for the current ideas, with a certain capacity of individuals and the society having to carry volumes of ideas within their span of consideration at one time. T here are five schools of planning theory. They include; rational –comprehensive planning theory, advocacy planning theory, incremental list planning theory, and the two branches of communicative planning theory: planning as consensus-seeking and management of conflicts.

Sunday, November 17, 2019

Business Communication Essay Example for Free

Business Communication Essay Q 1. Describe any situation that you experienced where the communication went wrong because the listening was faulty. Analyze the situation by explaining the type of listening barrier. . How could this barrier be overcome? (10 marks). The following example illustrates an organizational barrier to communication. By the time the message is passed down from the Chief to the lower level Executives, it is distorted completely, so much so that the original message is interpreted differently by each level in the organization. Memo from CEO to Manager: Today at 11 o’clock there will be a total eclipse of the sun. This is when the sun disappears behind the moon for 2 minutes. As this is something that cannot be seen every day, time will be allowed for employees to view the eclipse in the parking lot. Staff should meet in the lot at ten to eleven, when I will deliver a short speech introducing the eclipse, and giving some background information. Safety goggles will be made available at a small cost. Memo from Manager to Department Head: Today at ten to eleven, all staff should meet in the car park. This will be followed by a total eclipse of the sun, which will appear for 2 minutes. For a moderate cost, they will be made safe with goggles. The CEO will deliver a short speech beforehand to give us all some information. This is not something that can be seen everyday. Memo from the Department Head to Floor Manager: The CEO will today deliver a speech to make the sun disappear for 2 minutes in the form of an eclipse. This is something that cannot be seen everyday so staff will meet in the car  park at ten or eleven. This will be safe, if you pay a moderate cost. Memo from Floor Manager to Supervisor: Ten or eleven staff are to go to the car park, where the CEO will eclipse the sun for 2 minutes. This does not happen everyday. It will be safe, and as usual it will cost you. Memo from Supervisor to Staff: Some staff will go to the car park today to see the CEO disappear. It is a pity this doesn’t happen everyday. Communication was filtered or misinterpreted because of the following barriers: Organizational Barriers – In organizations that are too hierarchical, that is, where there are multiple â€Å"layers†, messages may have to pass through many levels before they finally reach the receiver. Each level may add to, modify or completely change the message, so much so that it becomes distorted by the time it reaches the intended receiver. In other words, there is likely to be loss of meaning and the message may not reach the receiver in the same way as it was intended by the sender. Another type of organizational barrier is a departmental barrier. This means that each department in an organization functions in isolation and there is no co-ordination or communication between them. This barrier could be overcome by the following methods: 1. Encourage Feedback – Organizations should try to improve the communication system by getting feedback from the messages already sent. Feedback can tell the managers whether the message has reached the receiver in the intended way or not. 2. Create a Climate of Openness – A climate of trust and openness can go a long way in removing organizational barriers to communication. All subordinates or junior employees should be allowed to air their opinions and differences without fear of being penalized. 3. Use Multiple Channels of Communication – Organizations should encourage the use of multiple channels of communication, in order to make sure that messages reach the intended receivers without fail. This means using a combination of both oral and written channels, as well as formal (official) and informal (unofficial) channels of communication. The types of channels will be discussed in detail later, in a separate unit. Q 2. Select a business article from any business publication. Evaluate it in terms of : a) Appropriate level of readability b) Use of jargon, slang and metaphors c) Use of simple vs. complex words. Is it well or poorly written, in your opinion? Attach a copy of the article with your response. (10 marks) World Markets Rise As Double-Dip Fears Ease: World stock markets advanced modestly Monday as investors rode momentum from Friday, when an upbeat U.S. jobs report eased fears that the global economy could slip back into recession. With Wall Street closed for a holiday, however, trading was expected to remain light. Markets took heart after official data last week showed private employers in the U.S. added 67,000 jobs in August, more than analysts expected. The figure bolstered optimism that the U.S. will maintain a slow but steady recovery from last years recession and avoid another economic contraction later this year. By mid-afternoon in Europe, Britains FTSE 100 index was up 0.3 percent at 5,446.17, Germanys DAX was 0.3 percent higher at 6,153.31 and Frances CAC-40 was up 0.3 percent at 3,684.20. Asian indexes closed higher and trading on Wall Street was to remain shut for Labor Day weekend after closing higher on Friday. With most major governments reining in economic stimulus measures and many pushing through austerity spending cuts to reduce deficits, investors worry the global economy would be pushed into a double dip recession, particularly  as the U.S. slows down quickly. Because the U.S. economy is the worlds largest and consumer spending there accounts for a fifth of global economic activity, the stronger-than-expected jobs data on Friday helped calm investors frayed nerves after weeks of worrying indicators. The renewed flight to safety we have witnessed over the past month is overdone and risks an equally large reversal when the worries over a double dip subside, analysts from Rabobank said in a report. As the unexciting, steady and below-trend global recovery continues, its important not to confuse it with a double dip recession. Japans benchmark Nikkei 225 stock index climbed 2.1 percent, or 187.19, to 9,301.32 and South Koreas Kospi rose 0.7 percent to 1,792.42. Hong Kongs Hang Seng index added 1.8 percent to 21,355.77. Australias SP/ASX 200 gained 0.8 percent at 4,575.50. Markets in mainland China, Taiwan, India, Indonesia and Singapore were also higher. The Dow Jones industrial average jumped 1.2 percent to close at 10,447.93 on Friday. The broader Standard Poors 500 Index rose 1.3 percent to 1,104.51. Shares in the U.S. ended the week in the positive, the first time that has happened in a month. The early gains in September mark a stark turnaround from August trade, when shares fell on doubts about the global economic recovery. The dollar fell to 84.24 yen from 84.27 yen on Friday. The euro was slightly lower at $1.2880 from $1.2895. Benchmark oil for October delivery was down 40 cents at $74.20 a barrel in electronic trading on the New York Mercantile Exchange. The contract fell 42 cents to settle at $74.60 on Friday. Jargon refers to technical terms or specialized vocabulary. Some of the  technical terms mentioned above are â€Å"rode momentum, Kospi, FTSE, CAC, DAX, calm investors frayed nerves, etc.† More complex words and phrases are written in the above article and this reduces the level of readability when read by a common man. The above article is well written, however, the reader of the article should have a certain amount of knowledge in the field of stock trading and world financial markets. Q 3 List out and briefly explain five â€Å"do†s and â€Å"don’t’s† for each of participants and chairperson of a meeting. (10 marks). Before the Meeting As pointed out earlier, meetings need to be planned in advance, so that they are successful. Before any planning can be done however, a basic question to be asked is whether to hold a meeting at all. The answers to the following questions would help to decide whether a meeting is necessary in the first place – -Can the matter be decided or discussed over the telephone? -Can the matter be expressed in writing, in the form of a memo, or an email message? -Are key people available to attend the meeting and are they prepared? -Is the time allotted for the meeting sufficient? If the answers to the first two questions are yes and the answers to the other two questions are no, there is no purpose in calling a meeting. Once the need for a meeting has been determined, the next step is to start planning the meeting. First of all, the type and number of participants should be decided. A problem solving meeting should include representatives from all departments, since the decision would otherwise be incomplete. Shareholders, who are the owners of the company, should also be included. In terms of numbers, the size of the group could be anywhere between seven and eleven members. An exception to this is an information sharing meeting, where the numbers could be larger, so that a maximum number of people benefit from the information. The second and most important step in planning a meeting is to indicate the purpose or agenda of the meeting to the participants in advance. An agenda  is essentially a list of topics that will be discussed during a meeting. In the words of Adler and Elmhorst, â€Å"A meeting without an agenda is like a ship at sea without a destination or compass: no one aboard knows where it is or where it is headed.† An agenda is prepared by the Chairperson of the meeting, or the person who calls the meeting. During the Meeting: The task of conducting and moderating the meeting rests with the chairperson. He or she must be well versed with the procedures for opening the meeting, encouraging balanced participation, and solving problems creatively, concluding the meeting and managing time efficiently. We shall discuss each of these procedures in detail. 1. Opening the Meeting – The manner in which the meeting is opened is important, since a good opening will ensure that the rest of the meeting will proceed smoothly. There are different ways of opening a meeting. Generally, it is best to sum up what has been stated in the agenda – including the goals, background information and expectations of the participants. It is also a good idea to provide an outline of how the meeting will proceed, as well as a time budget. 2. Encouraging Balanced Participation – It is also the responsibility of the chairperson to encourage silent members to contribute to the meeting and to moderate the dominant members, so that they do not â€Å"hijack† the meeting. There are several techniques to encourage participation –  · Encourage Participation in the Reverse Order of Seniority – This means getting the junior members to speak or air their opinions first. If the senior people speak first, they may feel suppressed or be afraid to disagree with their superiors.  · Nominal Group Technique – In this method, the meeting participants are encouraged to work and contribute their ideas independently 3. Managing Time – There is no prescribed length for a meeting. The duration of a meeting will depend on the type and purpose of the meeting. Generally, problem-solving meetings will take longer than other routine meetings. In any case, the chairperson should set a time budget for the meeting, depending on the agenda and ensure adherence to the time limit. 4. Keeping the Meeting Focused – Often, a lot of time is wasted during meetings by going off track and by discussing topics that are irrelevant. In such situations, it is the responsibility of the chairperson, or the person moderating the discussion to make sure that the discussion remains focused on the topics mentioned in the agenda. 5. Ensuring â€Å"Convergence† – Convergence means hearing the points of view of all the members and then arriving at a decision. It is again the responsibility of the chairperson to bring the meeting to a point where an opinion emerges on each item of the agenda. 6. Summing Up – This means summing up the different points of view, the decisions and the actions to be taken. This should be done by the chairperson, identifying the role of each person on each item of the agenda, along with a specified deadline. Example – Chris will take the responsibility of contacting the media and sending material for advertisements and press releases by March 13th. 7. Concluding the Meeting – The way a meeting is concluded is as important as the opening, since it will influence the follow-up action taken on decisions made during the meeting. The chairperson should know when and how to conclude the meeting. The meeting should normally be concluded at the scheduled closing time, unless important issues still remain to be discussed and members are willing to extend the meeting. Sometimes meetings may be concluded before the closing time, when key decision makers are not present, or when important information such as cost figures are not available. 8. Keeping â€Å"Minutes† of the Meeting – Since meetings are called to take important decisions concerning the organization, it is important to maintain a permanent written record of the proceedings, which can be referred to at a later stage, or serve as a guide for action. Such a record is known as â€Å"minutes† of the meeting and may be done in an informal or formal manner, depending on the type of meeting.

Thursday, November 14, 2019

japan :: essays research papers

Morita was born in Nagoya, Japan, in 1921 the son of sake brewers. In 1946, he helped start Tokyo Tsushin Kogyo KK (the Tokyo Telecommunications Engineering Corporation) with Ibuka. They had $375 and space in an abandoned department store, shelled by bombs in the war. The company quickly built Japan's first tape recorder, but it was big and bulky -- not a product destined to propel the company into the limelight. Then, in the 1950s, Ibuka and Morita got a license from Bell Labs to build transistors. The Japanese were still hard hit by the war, and couldn't really afford expensive electronics, so Ibuka set his sights on the American market with a brand new idea -- a small, transistorized radio that could fit in your pocket. As it was, a US company built such a radio first, but more as a gimmick than an actual product. When Sony, as Morita's company was soon renamed, came out with their radio, it quickly took over the market While the Regency sold out everywhere, it didn't stay on the market. Texas Instruments caused the sensation it wanted and then moved on to other things. But over in Japan, a tiny company had other ideas. A tape recorder manufacturer called Tokyo Tsushin Kogyo had also decided to make small radios. In fact, they were going to devote their whole company to commercial products like that. Tsushin Kogyo was close to manufacturing its first radios when it heard that an American company had beaten them to the punch. But they kept up the hard work, eventually producing a radio they named the TR-52. When Regency quit producing the TR1, in the spring of 1955, the Japanese company was poised to enter the US market. While most American companies researched the transistor for its military applications, Ibuka envisioned using it for communications. While Regency and Texas Instruments in the US may have built a transistor radio first, it was the Tokyo Company that really invested the radio as a viable commercial product. Ibuka's company -- now named Sony, a combination of the Latin word for sound "sonus" and the chic Japanese boys of the time nicknamed "sonny" -- quickly took over the market. The only problem was that the company name was unprouncable for Americans. They needed a new name. Ibuka and his partner Akio Morita thought and thought. First, they found a Latin word sonus meaning, "sound.

Tuesday, November 12, 2019

Accounting: the Forensic Accounting Who Fought Whiet Collar Crime Essay

Abstract The global increase in fraud has caused many people to lose trust in accountants. However, experts in the field of Forensic Accounting, such as Certified Fraud Examiners, are restoring ethics and trust by fighting to deter white-collar crimes. The most prevalent type of fraud encountered is occupational fraud. Under occupational fraud the most common and consequential schemes are asset misappropriation and fraudulent statements. Due to the rapid increase of occupational fraud, organizations have implemented anti-fraud controls. Statistics have shown that these controls have helped to decrease the likelihood of fraud. This examination of Forensic Accounting points out the importance of Certified Fraud Examiners in the economic, business, and financial fields within the International Community. See more:  Masters of Satire: John Dryden and Jonathan Swift Essay Forensic Accounting: Fighting White Collar Crime When asked about ethical issues in the field of accounting, Raymond Reisig, both a Certified Public Accountant (CPA) and Certified Fraud Examiner (CFE), stated that ethics is the foundation which accounting stands on because â€Å"Our whole profession depends on people trusting us.† However, due to the lack of ethics in many large companies involved with fraud, the public has lost faith in the accounting profession. Hoping to restore the trust of society, many companies worldwide have incorporated Forensic Accounting into their industries. Essentially, the secret to uncovering fraud is by following a trail of money that will eventually lead to evidence that proves where the money has gone. This has been the job of Certified Fraud Examiners for years. A number of different types of frauds occur daily, but the most prevalent type of fraud that seems to catch the public’s eye is occupational fraud. Everyday, Certified Fraud Examiners are working hard to fight off occupatio nal fraud in corporate America. According to the Association of Certified Fraud Examiners (ACFE), occupational fraud is â€Å"the use of one’s occupation for personal enrichment through the deliberate misuse or misapplication of the employing organization’s resources or assets† (2010, p. 6). Occupational fraud has now become a global problem, which has substantially increased the demand for forensic accounting. Forensic accounting is one of the many branches in accounting; under this specific branch exists Certified Fraud Examiners. Certified Fraud Examiners are experts specifically trained to find fraud, detect the ways in which the fraud was committed, and uncover who may have committed the crime. Two of the many schemes under occupational fraud that certified fraud examiners are confronted with are asset misappropriation and fraudulent statements. â€Å"Report to the Nations†, a worldwide study of 1,843 cases of occupational fraud from 2008-2009, found that in the U.S. â€Å"Asset mi sappropriation schemes were the most common form of fraud†¦ representing 90% of all cases† (ACFE, 2010, p. 4). Asset misappropriations range from conspiracies like skimming, when an employee does not record a sale and instead pockets the money, to schemes like check tampering, when an employee steals blank checks from the company and writes them out to himself. However, the most common fraud is billing. Billing happens when an employee deceives his employer to make false payments by submitting invoices for fictitious goods or services. One example of this could be found in a recent report in The New York Times. Anita Collins, 67, who is being charged for grand larceny in the first degree, for embezzling over $ 1 million over seven years from the Archdiocese of New York. Anita was able to skillfully delude the Catholic Church by sending fictitious invoices to the Archdiocese and issuing 468 checks to accounts she controlled (Otterman 2010). Billing alone can cause an organization to lose, on average, $128,000 annually. Although Asset misappropriation is the most common type of fraud, according to â€Å"Report to The Nations† it is the least costly. In contrast to asset misappropriation, fraudulent statements only made up less than 5% of all cases in the same study. However, these schemes are the most consequential, causing a median loss of more than $4 million annually (ACFE 4). Fraudulent statements involve the manipulation, falsification or alteration of accounting records, misrepresentation of financial statements, and the misapplication of accounting principles relating to amounts (Crumbley 2009). Financial statement schemes can be very hard to catch because they are buried under false numbers and fake company names. In a recent New York Times article authors Hiroko Tabuchi and Keith Bradsher revealed that in October 2011, Michael C. Woodford, former Olympus president and chief executive, exposed the corporat ion’s â€Å"fraudulent accounting†. The scandal covered up $1.7 billion in losses by misstating their finances on their income statements. The corporation’s former and current executives tactically buried their losses so that external auditors could never discover them (Tabuchi 2012). Due to the complexity of financial statement fraud, such as the Olympus scandal, many companies hire certified fraud examiners to investigate their financial statements when they suspect fraud is present. Occupational fraud is hard to detect due to the fact that owners and executives commit most fraud. Take for example the case of Maria do Rosario Veiga. Ms. Veiga was an experienced auditor who had been working for the World Meteorological Organization for 4 years before she blew the whistle on their fraudulent behavior. Ms. Veiga was fired from the organization because she refused to cover- up an embezzlement scheme of 3.5 million dollars stolen by senior officials (WMO 2009). For this reason many organizations have implemented anti-fraud controls to prevent and detect fraud. Anti- fraud controls consist of controls such as hotlines, fraud training for employees, surprise audits and employee support programs. In every study since 2002, the Association of Certified Fraud Examiners have found that tips are the most common and effective way to detect fraud (ACFE 4). This study found that tips detected 40.2 percent of all cases; employees were the most common source of fraud tips (ACFE 17). Anti- fraud controls are reinforcing ethical standards in the field of accounting. A specific case study examined by CFE Tracy Coenen exemplifies the right way to deal with receiving a tip from an employee about fraud. First, the board of directors must determine that an independent investigation of the allegations should be done. After this, they seek unbiased analysis, and retain an outside counsel and a forensic accountant to investigate. Management then gathers all documents relevant to the allegations, and gives the investigator access to all employees and accounting records (Coenen 2011). Going through such procedures should be important to any company who receives a suspicious tip from an employee. Due to the major business scandals involving asset misappropriation and fraudulent statements, it is crucial for CFEs to have a good understanding of these schemes. Examining fraud involves close examination and piecing together financial evidence to find the hidden truth behind numbers. For this reason, the requirements to become a CFE include earning a Bachelor’s Degree, passing a ten-hour exam and having at least two years of professional experience in the related field (Meservy, 2006, p. 164). Not only do these requirements prepare a CFE before going into the field of forensic accounting, but they also ensure the public that the work of a CFE is trustworthy. Although it is very important that CFEs obtain knowledge of fraudulent behavior, it is also important that they acquire other skills as well. Many times when people hear the word â€Å"accountant† they rarely think of a person who has excellent communication and writing skills. However, this is a very misleading misconception; In fact in a survey of 725 CFEs, communication and people skills were reported as critical by 44% of the recipients (Meservey, 2006, p. 176). These skills are viewed as critical because when a fraud examiner is investigating a case, he or she must be able to speak directly with their client; A CFE must also be able to orally present their findings in a courtroom to a judge and jury in a way that is clear and easy to understand (Wells, 2009). Along with communication and people skills, surprisingly, writing skills are also one of the most important. After a fraud examiner collects all the evidence needed, he or she must report their findings; A majority of the time these findings are reported by writing. Tracy Coenen, a fraud examiner and forensic accountant, stresses that, â€Å"The best financial expert witnesses help win cases by artfully and simply communicating the facts through written reports†¦Ã¢â‚¬  (Coenen, 2007). For this reason, a CFE must have strong writing skills. A part of effectively reporting facts is following an ethical code by remaining unbiased about the innocence or guilt of the suspect, and reporting only relevant facts. If there is a lack of clarity in the way facts are reported and communicated, not only can it cause the jury to lose trust in the CFEs findings, but essentially cause a negative outcome on a case (Coenen, 2007). The corner stone of the accounting field is ethics. For this reason, being ethical is the most important skill a CFE should acquire. Huge fraud cases such as the collapse of Enron and WorldCom led to higher costs for products and services, mistrust in leaders and a loss in retirement funds and job security (Crumbley, 2009). This was one of the driving forces that led to the passing of the Sarbanes-Oxley Act of 2002. This act not only regulated the auditing profession but it also demonstrated to the public that accountants value ethical standards. Up until now this act is based on making â€Å"everyone responsible for fighting fraud by increasing all parties responsibilities for uncovering such fraud in every direction at every stop in the process† (Crumbley 2009). Not only has the Sarbanes-Oxley Act helped to gain the trust of the public, but CFEs have also played a huge role in this as well. The fact that the main task of a CFE is to deter and detect fraud, proves to society that the field of accounting remains ethical and fair. Fraud has caused many people to lose their trust in accountants; however, the field of accounting is implementing many ways to reduce fraud. Forensic Accounting plays a huge role in this because Certified Fraud Examiners are being used to analyze and examine financial statements in a way that normal accountants cannot. Through excellent communication and writing skills CFEs have ultimately proven that accountants do more than just â€Å"deal with numbers†. The increase in demand for Forensic Accounting shows that our ethical standards are still our main priority. Unfortunately, occupational fraud is something that always occurs in every organization; we cannot change this. However, what forensic accounting can change is the way which society views accountants as ethical.

Sunday, November 10, 2019

Failure of Structural Adjustment Programme

INTRODUCTION According to Collin dictionary government is the group of people who are responsible to govern country. Christian council of Tanzania and Tanzania Episcopal conference define government as the chief agency for organizing and in the end of controlling both development and order in the society. Also it is an organized body of persons and institutions that form an agency or machinery of the state which formulates, expresses and realizes the will of state. Therefore, government consists of the activities, methods and principles involved in the governing a country or other political unit. Government failure is the public sector analogy to market failure and occurs when a government intervention causes a more inefficient allocation of goods and resources than would occur without that intervention. Likewise, the government’s failure to intervene in a market failure that would result in socially preferable mix of output is referred to as passive government failure (Weimer and Vining, 2004). The failure is an outcome of policies enacted to regulate trade which create systemic inefficiencies and economic cost that adversely affect a product‘s manufacture and sales. This arises when government has created some inefficiency because it would not have solved a given problem or a set of problems more efficiently. The government supply side failures largely result from principal/agent problems. Market failure – occurs when the supply of a good or service insufficient to meet a demand. A market failure result when prices cannot achieve equilibrium because of some distortions for example, the limits on specific goods and services. In other words, government regulations implemented to promote social wellbeing inevitably result in a degree of market failure. Structural Adjustment Programme are economic policies which countries must follow in order to qualify for new World Bank (WB) and International Monetary Fund (IMF) loans and help them make debts repayments on the older dept owed to commercial banks, governments and World Bank, (Whirled Bank Group, 2003). THE CONDITION OF THE COUNTRY BEFORE STRUCTURAL ADJUSTMENT After independence in 1961, the new government adopted the colonial style of economic structure. Between 1960 and 1962, for example agriculture contributed more than 50% to gross national product (GNP), and sisal, coffee, cotton and tea contributed 60% to the total foreign exchange earnings (Taube 1992). Tanzania neglected not only to satisfy its own national food requirements, but also to diversify its export products and promote light manufacturing. Politicians were soon overtaken by the reality of severe deficiencies in the supply of food products, energy, housing, manufactured goods, health and educational services, as well as intermediate inputs and implement for the agricultural sector. Between 1961and 1966 Tanzania economy operated primarily under free market conditions and the government adopted the World Bank’s transformation approach to agricultural development as a component of its first five year plan (Wenzel and Wiedemann 1989). In 1963 Tanzania implemented the Agriculture Product Board Act, which was the government’s marketing board for scheduled crops. This board managed maize, wheat, rice, cashew nuts and oil seeds through market purchase, price regulation, and regulation of storage, transport and processing (Bryceson 1993). DURING ARUSHA DECLARATION In 1967, the ruling party (TANU) which nowadays is Chama Cha Mapinduzi (CCM) passed the first national economic declaration establishing Tanzania’s era of economic socialism. This was the Arusha Declaration. This clearly meant to address the deficiencies in Tanzania’s economic development, but it explicitly enclosed socialism and a planned economy, which the country’s new leaders thought appropriate at the time. Ujamaa (familyhood and relationship) became the expression for Tanzanian‘s social economic system and a synonym for Tanzania socialism. Through this self reliance approach, Tanzania forced its own withdrawal from international market. GOVERNMENT FAILURE Although Tanzania experienced reasonable macroeconomic performance until the mid – 1970s, unfavorable external conditions wiped out the previous economic achievements and led to the crisis period of 1980 – 1985 (Ndulu 1994). The justification for nationalization of private firms and extensive involvement of the state in productive activities was the ability of the state to control negative externalities, exploit economies of scale and operate firms at officially optimal level, the outcome proved otherwise for Tanzania. The government failure occurred in the following ways; The state owned cooperation turned out to be inefficient in almost all areas of their operations. For example many supply companies operated below standard such as National Milling Cooperation which was supplying food stuffs like maize, packed maize flour, rice and wheat causing higher demand in urban areas. Another company was Regional Trading Company (RTC) for supplying commodities like sugar, soaps, wine from Dodoma, and these caused shortages of the commodities. Due to lack of fund from central government health services, water, education (especially primary schools) remained a big problem in both urban and rural areas. The government operation in providing these social services was highly contributed by among other things inadequate foreign exchange as the country relied much on agricultural products which did not competed strongly with the same crops from other countries in the international market such as coffee from Brazil, cotton from Egypt and India. There was also the Tanzania – Uganda war of 1978 – 1979 as much as national earnings was directed to the war. There was extreme weather conditions (drought or too much rainfall) leading to falling of local production in key food crops and high domestic inflation. These conditions contributed to severe poverty to most of the people since they depended on agriculture for their survivor. R. E. Stren adds that Tanzania faced a severe balance of payments originally caused by the rising prices of imported oil. The rise of oil price resulted to the rise of prices of products as well as provision of social and economic services. Due to this the majority could not afford to access these services. Young (2003) argues that the government had been adamant that the buses she owned retain their monopoly status, but the desperate economic situation and the existence of informal sources of transport forced the government to legalized the â€Å"daladala† in 1986. The owners of trucks and pickups were allowed to carry passengers for a fee if they obtain a contract from the public transport authority and met various safety requirements. These situations led to Tanzania try her own economic reforms in early 1980s. These include Nation Economic Survival Program (NESP) in 1981 -1982, Structural Adjustment Program (SAP) in 1983 – 1985. Due to these homegrown reforms, Tanzania adopted a series of donor supported reform programs starting in 1986. The first was Economic Recovery Program (ERPI), followed by the ERPII in 1989 – 1992. Despite all these efforts by 1980s Tanzania was the world’s second poorest country in Gross Domestic Product (GDP). It is these economic crises and poor services delivery which forced most of sub-Saharan African countries to implement the Structural Adjustment Program (SAP) as a precondition to aids and loans from the International Monetary Fund (IMF), the World Bank (WB) and other donor agencies. In order to solve the persistent severe economic crisis which has been confronting Tanzania since the late 1970s, Tanzania signed an agreement with WB and IMF in 1986 to adopt SAP. SAP WITH MARKET FAILURE Structural adjustment program by World Bank and International Monetary Fund gave a new limited role for governments. No longer should the government supply services itself, instead the ultimate goal would be for the central government to serve in the role mainly educator, promoter and regulator and communities in league with the private sector in that of provider. Structural adjustment program failed also in many countries including Tanzania because many stakeholders (countries) had little or no participation in making its policy. This means, these reforms had been imposed on countries that were neither ready nor had the capacity to implement them. According to Lugalla, Structural Adjustment Programmes had the following principles which had to be adopted: There was devaluation of the local currency. That is the dollar gained more value than the Tanzanian shilling. Due to this the foreigners who bought raw materials such as cotton benefited much as their currency was high. Also the government ended up in importing manufactured goods in higher prices resulting to low profits. The introduction of cost sharing in education and health. Before the introduction of these reforms the government used to provide these services freely, but now the people were forces to contribute. Due to this, many people could not access these services because they were not able to contribute. There was a policy of trade liberalization. This policy aimed that the government should allow free trade where the price of commodities was controlled by donor countries. There were frequent price changes which aimed at benefiting the foreigners and not the producers. Creation for conducive environment for foreign investments. The government had to put easy, friendly and flexible conditions that were more beneficial to the investors than the country. Introduction of democratization which is understood as multipartism. The government was under one party rule but it was forced to adopt multiparty system as a condition to receive loans and grants. By 1992 Tanzania became a democratic state where different political parties such as Tanzania Labor Party (TLP), NCCR-Mageuzi, CHADEMA, Civil United Front (CUF) and others were introduced. Although the aim of Structural Adjustment Programme was said as to improve the socio-economic problems of the country, it proved failure. Failure of the program in Africa is also basing on the fact that there’s assumption that a uniform set of principles can yield successful policies for all countries irrespective of their differences. Failure of Structural Adjustment Program in Tanzania can be seen in; Since Tanzania has been implementing social and economic reforms prescribed by SAP, social services are still a problem both in quantity and quality. The urban areas (cities and towns) has witnessed the problems multiplying rather than decreasing. People have difficulties in accessing clean water, adequate shelter, better health care etc. Let us take Dar Es Salaam as example, there’s frequent water cut which sometimes leave areas dry up to a week, electricity problem in the whole country, overflowing sewage and hospitals without medicine especially public hospitals,( Lugalla). SAP emphasized on reducing government expenditure on the unproductive sectors social development in urban areas in Tanzania. Lack of sufficient budget has made it difficult to finance a variety of urban development projects including the provision of adequate housing. As a result seventy percent of the urban populations live in poor houses without necessities such as sanitation and adequate garbage collection. For example areas like Vingunguti and Hananasif in Dar es Salaam are composed of slum settlement without proper sewage systems. SAP has reduced the health budget significantly. The state allocation budget for health is now estimated at less than five percent of the government’s recurrent budget. Information from the ministry of finance shows that, every Tanzanian is currently spending five US Dollar a year to service foreign debts but spends only two US Dollars for his or her own health. A research from Dzodzi Tsikata from university of Ghana Legon, shows that SAP has much effect on women in Africa. SAP has exacerbated gender issue in, for example work places, wage differences between men and women are growing. For example in Tanzania and Nigeria, poor and middle class women are giving up formal employment for informal sector work because it pays more. SAP also due to its export promotion policy, has increased extractive activities such as logging and mining leading to deforestation and mining pollution and the reduction of ordinary people. These failure of SAP in Tanzania and Africa in general has posed critic from individuals and leaders like the late J. K. Nyerere the first president of Tanzania who tried to resist this program saying it was just for the Washington consensus. Another critic was made by the United Nations economic commission for Africa that SAPs are too narrow, rely mainly on fiscal and monetary instruments and have little relevance to long-term development goals. Another failure is seen in agricultural sector following the devaluation of Tanzanian shilling. For example in 1986, the rate was 192 shillings per dollar; this situation raised the price of imported inputs. This has resulted to poverty implication to the livelihood of farmers in the country. The removal of fertilizer subsidies had the effect of raising the price of fertilizers and therefore reducing profit. The removal of subsidies on maize meal is likely to have negatively affected urban consumers. However, under Structural Adjustment Programmes there was sound macroeconomic substantial growth in economy. The overall economic growth has been rising consistently from almost one percent in the mid 1980s to 6. 7 percent in 2004 (URT, 2005). A substantial improvement has been achieved due to adoption of various expenditure measures and processes including Public Expenditure Review (PER), Medium term Expenditure Framework (MTF) and Integrated Financial Management System (IFMS). Conclusively; Despite the setbacks, Tanzania has made tremendous progress on many fronts. However the remaining central challenge is making growth deliver more efficiently in terms of poverty reduction. The focus on this should be on accelerating growth of agriculture and rural sector development, to engender economic opportunities in rural areas where poverty remains pervasive. Equally important is the need to sustain robust growth, a necessary element to achieving the millennium development goals. Also since the inception of economic reforms in 1986, a promising number of Tanzania’s population has benefited from gradual poverty reduction. Understanding of the issues by wider segment of society through debates and participatory approaches engenders broad ownership of the reforms. The government should insist on the various homegrown programs to ensure sustainability and credibility to citizens as they will feel accountable and responsible for their development. BIBLIOGRAPHY: Bidyut Chakrabary and Mohit Battacharya(2003); Public Administration: A Reader; Oxford University Press. David Reed (1992); Structural adjustment and the environment. Economist Intelligence Unit (1995). Tanzania and the Comoros Gibbon, Peter and P. Raikes (1995). Structural Adjustment in Tanzania, 1986-1994. Center for Development Research: Copenhagen. Joe L. P. Lugalla; Online Journal for African Studies; University of New Hampshire; Available at www. africa. ufl. edu ; Sited on 16/12/2011. J. K. Nyerere (1973); Freedom and Development; Dar Es Salaam; Tanzania Printers. L. A. Msambichaka and A. Naho (1995). â€Å"Agricultural Sector Performance Under SAP in Tanzania: Promising or Frustrating Situation? in Beyond Structural Adjustment Programmes in Tanzania: Successes, Failures and New Perspectives. M. Bagachwa, F. Shechambo, H. Sosovele, K. Kulindwa, A. Naho and E. Cromwell (1995). Structural Adjustment and Sustainable Development in Tanzania. World Wildlife Fund and Economic Research Bureau: University of Dar es Salaam. Moshi, H. P. B. (1995). â€Å"Reforms and Economic Performance†. Paper presented at the World Bank Conference â€Å"So cio-Economic Growth and Poverty Alleviation in Tanzania†, Arusha May 14-20 1995. Mshana, Rogate (1996). Structural Adjustment and Food Security in Tanzania†. Paper presented at the Danida Food Security Workshop, Arusha, 18-19 November 1996. Richard E. Stren ; Ujamaa Vijijini and Bureaucracy in Tanzania; Canadian Association of African Studies. Tom Young (2003); In-African Politics; Indiana University Press. United Republic Of Tanzania (2002); Country Overview; Available at www. novelguide. com; Sited on 15/12/2011. Whirled Bank Group (2003); Structural Adjustment Programme; Available at www. whirledbank. org/development/sap. html; Sited on 16/12/2011. .

Thursday, November 7, 2019

Definition and Tips for Business Writing Best Practices

Definition and Tips for Business Writing Best Practices Business writing is a  professional communication tool (also known as  business communication or  professional writing) corporations and other professional entities use to communicate with either an internal or external audience. Memorandums,  reports,  proposals,  emails, and a variety of other business-related written materials are all forms of business writing. Tips for Effective Business Writing The purpose of business writing is a transactional one. Of course, the content of business writing relates to a business entity but it also relates to a specific and purposeful transaction between the writer and his or her audience. According to Brant W. Knapp, author of A Project Managers Guide to Passing the Project Management Exam, the best business writing can be understood clearly when read quickly. The message should be well planned, simple, clear, and direct. Fast Facts: Basic Business Writing Goals To Convey Information: Forms of business communication, such as research reports or policy memos, are written to disseminate knowledge.Delivers News: Professional writing is often used to share recent events and accomplishments with both internal and external audiences. Call to Action: Business professionals use writing in an attempt to influence others for numerous reasons from selling merchandise to passing legislature.Explains or justifies an Action: Professional communication allows a business entity to explain their beliefs or to justify their actions. The following tips, adapted from Oxford Living Dictionaries,  form a good foundation for business writing best practices. Put your main points first. State exactly why youre writing the correspondence upfront. One exception to this rule is for sales letters. Reminding the recipient of a past meeting or a common connection you share is an acceptable way to open as it may influence the recipient to be more amenable to your intended aims.Use everyday words. Using words such as about rather than concerning, expect rather than anticipate, and part instead of component will make your writing less stilted.Know your audience. Unless its aimed at an industry-specific audience, dont fill your writing with lots of technical jargon. (Specifics can be attached separately.) Adjust your tone to suit your intended reader. For instance, a letter of complaint would have a far different tone than a letter of reference. Finally- this should go without saying- never use derogatory or sexist language, and actively work to  eliminate gender-biased language from any form of business communication.Use contractions when possib le. Business writing has undergone a shift from formal to a more accessible style so using we’re not we are, and we’ve not we have  is the way to go. Even so, you dont always have to use a contraction. A good rule of thumb is that if a contraction improves the sentence flow use it; if the sentence is more persuasive without it, use two words. Use active rather than passive verbs. Active verbs allow the reader to comprehend quickly and to understand more completely. For example, The decision has implemented to suspend production, leaves the interpretation of who made the decision to call it quits open. On the other hand, the meaning of, Weve decided to suspend production, is clear.Write tight. Again, using the example above, choosing the word decided rather than made the decision makes reading easier for the audience.Don’t be a slave to rules in every situation. Again, this is a case of knowing your audience. If your aim is to make your writing conversational, its fine to end a sentence with a preposition now and then, especially to improve flow and avoid awkward construction. That said, while many businesses have their own in-house style guides, elementary rules for style and grammar must be observed for your writing- and you- to be considered professional. Sloppy writing, poor word choices, or an unearned overly f amiliar attitude can come back to haunt you. Keep your font choices simple. Stick to a nice, clean type style such as Helvetica or Times New Roman and limit the number of fonts you use in correspondence. Your goal is something that legible and easy to read.Dont overuse visuals. According to sources at Technical Business Writing, Graphic displays should make up no more than 10 to 25 percent of the business writing. Too many graphics become confusing and often detract from the message you want to convey. A few, powerful, well-placed graphics will accomplish more to get your point across than something that looks like a bad attempt at scrapbooking.

Tuesday, November 5, 2019

Habits and Traits of Braconid Wasps

Habits and Traits of Braconid Wasps Experienced gardeners love braconid wasps, the beneficial parasitoids that so visibly and effectively kill their despised tomato hornworms. Braconid wasps (family Braconidae) perform an important service by keeping pest insects under control.    Description Braconid wasps are an enormous group of rather tiny wasps that vary greatly in form, so dont expect to identify them accurately without the help of an expert. They rarely reach more than 15mm in length as adults. Some braconid wasps are inconspicuously marked, while others are brightly colored. Certain braconids even belong to Mà ¼llerian mimicry rings. Braconid wasps look similar to their close cousins, the ichneumonid wasps. Members of both families lack costal cells. They differ in having just one recurrent vein (2m-cu*), if present at all, and fused second and third tergites. Classification: Kingdom – AnimaliaPhylum – ArthropodaClass – InsectaOrder – HymenopteraFamily - Braconidae Diet: Most braconid wasps drink nectar as adults, and many show a preference for nectaring on flowers in the mustard and carrot plant families. As larvae, braconids consume their host organism. Certain subfamilies of braconid wasps specialize on particular groups of host insects. Some examples include: Aphidiinae – parasitoids of aphidsNeoneurinae – parasitoids of worker antsMicrogastrinae – parasitoids of caterpillarsOpiinae – parasitoids of fliesIchneutinae – parasitoids of sawflies and leaf-mining caterpillars Life Cycle: Like all members of the order Hymenoptera, braconid wasps undergo complete metamorphosis with four life stages: egg, larva, pupa, and adult. The adult female usually oviposits into or on the host organism, and the braconid wasp larva emerges ready to feed on the host. In some braconid species, like those that attack hornworm caterpillars, the larvae spin their cocoons in a group on the body of the host insect. Special Adaptations and Defenses: Braconid wasps carry the genes of polydnaviruses within their bodies. The virus replicates within the braconid wasp eggs as they develop within the mother. The virus doesnt harm the wasp, but when the egg is deposited into a host insect, the polydnavirus is activated. The virus prevents the host organisms blood cells from recognizing the parasitoid egg as a foreign intruder, enabling the braconid egg to hatch. Range and Distribution: The braconid wasp family is one of the largest insect families, and   includes over 40,000 species worldwide. They are widely distributed throughout the world, wherever their host organisms are present. * See Insect Wing Venation Diagram for more information on the recurrent vein. Sources: Bugs Rule: An Introduction to the World of Insects, by Whitney Cranshaw and Richard Redak.Borror and DeLongs Introduction to the Study of Insects, 7th Edition, by Charles A. Triplehorn and Norman F. Johnson.Encyclopedia of Entomology, 2nd Edition, edited by John L. Capinera.Family Braconidae – Braconid Wasps, Bugguide.net. Accessed online April 4, 2014.Parasitoid Wasps (Hymenoptera), University of Maryland Extension. Accessed online April 4, 2014.Braconidae, Tree of Life Web. Accessed online April 4, 2014.

Sunday, November 3, 2019

Scotch Whisky Industry in the UK and in particular, William Grant & Essay

Scotch Whisky Industry in the UK and in particular, William Grant & Sons - Essay Example Homogeneity in the needs of the market therefore is the unifying factor in creating better international markets. This argument is contended by others that believe an international market is impossible to exist since there are several dynamic differences in the trends of various nations. The growth of trading agreements in certain regions has constantly developed and become a source of interaction in business and marketing strategies creating trading relationships between countries (Stalk et al 1980). 2.0 Balvenie in the UK. Such bodies as the North American Free Trade Arrangement, the European Union and others are forms of regional trade agreements that have been formed over the years of international marketing development. These bodies work on eliminating region trade barriers to allow other organizations without those regions trade freely within each other’s borders. These relationships are advantageous in allowing the companies engaged in international trade to obtain econ omies of scale while consumers of their goods enjoy low prices and access to a variety of products. These trading regions create free movement of labor and resources among other advantages. Engagement in international trade is therefore more of an advantageous venture for greater success in companies and have more advantages to disadvantages. Organizations like Grant and Sons are among the firms involved in the free international trade operations that are an expansion to the business in the long run. The firms gain in advantage from free movement and labor. The firms as well engage themselves in further customization of the products that creates better quality in the products sold such as the whisky distilled by Grant and Sons organization in the various outlets of the company’s distilling plants (Zuckerman et al 1998). The extensions of the Grant company into the international market is a cause for the exciting entrepreneurial environment created by interactions in joint ven tures with companies such as Remy Cointreau and third party agreements in UK Portugal. This kind of ventures have also given motivation and confidence to the organization from acceptance by the market outside their own country. 2.1 The Scotch whisky industry in the UK. Scotch whisky has over the years only been matured and distilled in one country which is Scotland. This brand has grown from a simple cottage industry to being the sole global supplier in over 210 countries. Changes created in bid to make international ventures include complete changes or adjustments in the administration and organizational structure. The management approach incorporated involves the geocentric approach suggested by Permulter (1969) that brings about a more globally integrated management system. Despite the successes of Scotch whisky, the industry requires methods that grow every day to maintain the position of top quality as an unchallenged player. This will involve customization of the brands by see king customer response to quality. It is important that the industry carries out an area study of the people it supplies with whisky in order to realize options of expansion. 2.2 William Grant and Sons in the UK. William Grant and Sons is a great contributor to the whisky industry in the UK. It is characterized by authenticity in its production. William Grant and Sons utilizes its own water from springs in production process and its own grown barley