Wednesday, October 30, 2019

Industrial Placement Report Case Study Example | Topics and Well Written Essays - 2250 words

Industrial Placement Report - Case Study Example It comprises of work orders, scheduling, service requirements, data collection, parts and inventory management, and forecasting of parts and inventory needs. When a piece of manufacturing equipment needs regular servicing, that task automatically appears on a list of work to be done, and a plant technician will perform the work, making a note in the system that it was done, by whom, and when. Engineering department is also recording all variations in production and quality and organizes the remedial actions. I work in the packaging department ( the Department.) In this report 1) I shall give my view, both, on the Department side and on the production (i.e. manufacturing) side of the Company. I will discuss three important elements of a successful operation of any pharmaceutical firm: Quality Assurance (QA), Safety procedures (SP) and, above all, Information Technology. As Information Technology (IT) and automation is involved in virtually every production and quality assurance (QA) process, I shall mention the IT role in individual processes as I will keep describing them further on in this report. The Company produces only tablets and capsules. A high degree of automation exists in the production side of the Company. ... These finished chemicals are combined and processed further in mixing machines. The mixed ingredients may then be mechanically capsulated, pressed into tablets. Our part of the ( packaging) Department works only with tablets, but the Company produces capsules as well. The workers in the Company fall into one of two occupational groups: Production workers who operate drug-producing equipment, inspect products, and install, maintain, and repair production equipment; and transportation and material moving workers who package and transport the drugs. This is the role of our Department. Generally, I can characterize the technology in our Department as being medium-automated. Since the Company has three tablet-producing, fully automated, lines, we are packaging three different types of tablets.For that, our part of the Department has three packaging lines, each consisting of one blister packing machine, one cartoner and an overwrapper. These three units are all connected into a series. The inputs into this three-machine series are: tablets, cartons and leaflets and at the end, as output, comes packaged product, already in cartons with proper labels attached. Then we further pack the cartons into outerboxes. 3. Good Manufacturing and Production Practices There are several major items that we see important in our work space: Generally, working conditions in pharmaceutical plants are better than those in most other manufacturing plants. In the Company, there is a stress on keeping equipment and work areas clean because of the danger of contamination. We work in air-conditioned, well lighted, and quiet place. Health and safety regulations ( to be discussed later in

Monday, October 28, 2019

Physician Assisted Suicide Essay Example for Free

Physician Assisted Suicide Essay The controversy surrounding physician assisted suicide has dominated the public court for long drawing and evoking varying emotions whenever it arises. Not to be confused with euthanasia, physician assisted suicide refers to the act by doctors to provide a lethal injection to a patient at his or her request with an intention of terminating the patients life. It is closely related to euthanasia only that euthanasia can be carried out by doctors with or without the request of the patient. The debate on legalization of physician assisted suicide and its ethical appropriateness has at one time cropped up in most countries. It is always a sensitive topic to the policy makers and politicians thanks to the arguments and the counterarguments it attracts, pitting religious groups and the liberalists. Religious groups like the Catholic Church feel it is unethical and against God’s teachings and will. Liberalists believe it should be a personal choice and not to be left to the dictates of the politicians and religious fundamentalists. There are those too in the medical profession who see it as a grave violation of the professional requirements as vowed in the Hippocratic Oath. The Hippocratic oath refers to the oath made by medical practitioners vowing not to carry out any prescription that would jeopardize the life of a patient whether or not it is at the patients requestor not. Doctors are supposed to abide by this oath. This is an oath that owes its history to the pre-medieval period and may not have foreseen the sort of challenges facing patients, doctors and other stakeholders in the health provision sector. This is a debate that has reigned much in the 20th century and it is the high time it is put to rest. The position of this paper is that physician assisted death is an exercise of ones fundamental freedoms and allows a patient to die with dignity (Colesanto, 62). The activism towards legalizing physician assisted deaths dates back to the start of the 20th century. It is this period that would witness the rise and the formation of societies and organization whose intention was to agitate either for its legalization or for its complete legal prohibition. In spite of this decades’ long activism, in the United States for example, only the state of Oregon has legalized it. Other countries in the world with a clear law on its legalization are Netherlands and Belgium, which passed the law in 2002. In Switzerland, physician assisted deaths are legal but there is a strict demand for certification and a clear establishment of such a need. These countries have provided inspiration to the rest of the world and soon there is likely to be increased activism towards the enactment of such laws. This will give patients faced with extreme choices to make one last important choice regarding their life, choosing to terminate their sufferings or to continue wallowing in a miasma of immense pain in the face of a sure death. The much hullabaloo about the ethical acceptability of physician assisted suicide misses a very important point; it is neither moral nor immoral. It is a personal choice that should be given to every patient who certifies the minimum required conditions. What should be noted is that death under normal circumstances is never pleasurable, a decision to end life is made after hard considerations and in the knowledge that it is the only easy way out. Patients who make such hard choices are driven by the immense pain they are facing and with no respite in sight. That is the key reason why it is the patient that makes the call rather than the doctor. Wear notes that in assisted suicide, â€Å"the patient acts the part. † He further says that the choice to either take death or life in physically assisted suicide â€Å"rests fully with the patient in the sense that neither will take place without the patient’s desire† (87) This brings in an important point into the debate; choice. This is the key argument behind physician assisted deaths. They should be permitted in the respect of one fundamental freedom of making own choices regarding the direction of our lives especially faced with such insurmountable odds. It is the final freedom of choice to be exercised. A look at terminally ill patients leaves one with pity and grief at the pain some of them go through. Although there has been tremendous efforts brought forth by technology seeking to improving the conditions and the lifespan of these patients, it is apparent that they go through a lot of suffering. There is no known medication that can ease such pain. One noted complication id the feeling of breathlessness and suffocation experienced by a lot of terminally ill patients in their death bed. This is a complication that can not be alleviated through drugs and always leaves a patient with a feeling of helplessness. The bouts of pain that attacks such patients cannot be eased effectively through the use of medication. Patients have to brave through such suffering in the daunting knowledge that death is on the way. To such patients, it is without any doubt that death would be a welcome respite, and to know that they can have control of the hour that such a death would take place would be a great solace thanks to physician assisted death. Most hospices offering palliative care are filled with people living their last moments on earth. They are people who have failed to receive any improvements from the normal process of medication and some of them are meant to receive comfort in their last days on earth. It is important to note that many are in a vegetative state and no amount of medication, care and therapy can bring them back to their active life. They hence become a burden to their loved ones and to the society in general. Most of these, especially the aged are more than willing to die, they do not expect to hang on to life forever as John Hardwig notes, â€Å"to have reached the age of, say, seventy-five or eighty years without being ready to die is itself a moral failing, the sign of a life out of touch with lifes basic realities† (14) It goes without saying that anyone has reached such a point in time and is in a vegetative state requires a lot of attention from the spouse, family members and friends. He has to receive constant visitations and comfort to re assure him or her during the last moments. This inability to fend for oneself and the feeling that one is a burden to family members is degrading in itself and given a choice, majority would prefer death to such loss of dignity. This is where the concept of dying with dignity comes in. Though those who take an economic approach to this debate are accused of being mundane and hedonistic, it is an important issue that has to be tackled. Palliative care for terminally ill patients for example can be both financially and emotionally draining both to the patients and to the families’ savings. It is only a matter of time before the spouse or the family begins complaining of the huge bills and time that they commit to medication and care. Economics aside, this is usually an emotionally draining period, as Ackerman notes, â€Å"when this kind of care giving goes on for years, it leaves the care- giver exhausted, with no time for herself or life of her own†. 5) The amount of money spent during this period can eat up into the family’s savings and jeopardize the lives of those that are healthy. It has to be understood that the rest of the members have other obligations and plans such as bills and college fees. It is not prudent hence to continue paying for the care of a person who is willing to die rather than commit such funds to a more fulfilling venture with long term implications. In such a case, phy sician assisted suicide is the only way out. There is however lots of people who are opposed to physician assisted deaths. They cite various reasons such as ethics and the importance of human life over money and that it is against their religious teachings. One major argument is that legalization of physician assisted death will result into a devaluation of life (Low 37). It is true that there has to be effective laws in place to regulate the useless taking of people’s lives, to ensure that people do not end other people’s lives just because they feel like. However, when it comes to terminally ill and suffering patients beyond any medical salvage, the issue of devaluation of life does not come into play. They are suffering and death is fast coming, why not let them make that one important decision that will put a stop to their suffering? It is apparent that this debate has ranged on for long. Each time it is mentioned though, its benefits are more glaring than its disadvantages. It is an important way of easing the suffering of terminally ill patients by given them a chance to exercise their one final choice regarding their lives. This is a practice that eases both the patients’ and the family members’ economic and emotional strain.

Saturday, October 26, 2019

charhf Changes in Huck Finns Character :: Adventures Huckleberry Huck Finn Essays

Huckleberry Finn – The Changes of His Character Throughout the Novel The Adventures of Huckleberry Finn, by Mark Twain, is a novel about a young man's search for identity. Huckleberry Finn goes through some changes and learns some life lessons throughout his journey. Huck changes from being just an immature boy at the beginning of the novel to being a more mature man who looks at things in a different perspective now. In the beginning of the novel, Huck tends to have an immature side to him. There are some things in the beginning that show that Huck still has a very childish side to him. "They get down on one thing when they don't know nothing about it." (Twain 2) This is showing the ignorance and stubbornness that all children experience throughout life. He thinks as if everything he does is right and everyone else is wrong. "That all comes of my being such a fool as to not remember that wherever you leave a dead snake its mate always comes there and curls around it." (Twain 40) This goes one step further. This shows Huck's Immaturity and Stupidity gone one step too far when he puts the snake in Jim's bed and he ends up getting bit by it. If Huck was more mature and less childish he wouldn't have been playing this so called joke on Jim. Huck learns that jokes have a limit to them at times and need to be thought out more clearly. When the middle of the novel comes around Huck begins to distinguish what is right and wrong in life and begins to mature and do the right thing. He shows this when he chooses not to partake in the scam that the King and the Duke are playing on the Wilks family. Instead he takes the money back from the King and Duke to hide it because he believes it is only fair to the family. "I'm letting him rob her of her money...I feel so ornery and low...I got to steal that money somehow; and I got to steal it some way that they wont suspicion I done it" (Twain 133) This shows that Huck is starting to see the line between games and real life.

Thursday, October 24, 2019

Academic Objectives Essay

By the time I attend the graduation ceremony of University of Phoenix, there are three academic objectives I would like to accomplish. First and foremost, I would like to get a bachelor’s degree in psychology. Secondly, I would like to become a better writer. Last, I would like to become a better communicator so that I can network with people who are in the same career and field of work as me. With lots of dedication, hard work and completion of my classes, these are three goals I intend to complete. Receiving a bachelor’s degree in psychology from the University of Phoenix is my first academic objective. I get one step closer to my goal by attending all my classes, completing my assignments with a passing grade, and doing the best at passing all my exams. Today, having a bachelor’s degree is like having a high school diploma. Most jobs require or prefer some type of degree from a person when hiring. Like Achieve said, â€Å"Much has been said about the importance of increasing the labor supply for ‘middle skills jobs,’ or those jobs that now (compared to decades past) require more than a high school education but less than a bachelor’s degree (e. g., associate degree, postsecondary certificate, apprenticeship, etc. )† (Achieve, 2012) I recently applied for a job as a personal therapist to children with disabilities. When it came down to the interviewing and hiring portion, I was not able to get the job because I still have not received my bachelor’s degree. It was tough hearing the news but it really motivated and pushed me to go back to school and finish my degree. A bachelor’s degree has now become a necessity rather than a choice for me. Becoming a better writer would not only help in school but also in the world after graduation. Beginning with the Gen 200 class, one main focus there is writing. Whether it is writing a paper or doing a project, it is important to know where a person is making mistakes and where he or she is doing a good job. I find myself having to refresh my memory with all the writing rules and regulations. I have to go back to what I learned in high school and in the college courses to remember what I need to know when it comes to writing. Having the proper knowledge of what a perfect paper looks like will be as important in school as it will be in the real world. If a person is required to submit a report for work, he or she wants to be fully prepared so he or she does not look like a fool to the boss and coworkers. Good writers do not just happen. Good writers work hard at becoming who they are and are not afraid to ask questions. Never being afraid to ask questions or ask for help will make me a better writer and a better student. Constantly finding myself writing papers and doing assignments that involve writing will help me achieve my second academic goal of becoming a better writer. Communication and networking are really important in a career life. The better of a communicator and net worker a person is, the better chances the person will have to escalate. In school one gets graded partly on how well he or she communicate in class, whether he or she talks, participate or just stay quiet and not say anything. But in the real world, one does not get graded on how good he or she communicates. One gets ascended or promoted if he or she is a good communicator and are not shy to speak up when needed. According to the journal The Importance of Communication, â€Å"There is a sheer necessity for personal effectiveness that stems from effective communication. Time and again researchers have reinforced the importance of communication and its impact at the workplace. † (Radhaswamy & Zia, 2011) If one is always being open and communicative, then networking should not be a problem. I want to not only be a good communicator and net worker, I also want to be a good listener to be able to get places and become someone. In order to fulfill my academic objectives, I need a plan to incorporate effective strategies for success as a student. How am I going to accomplish my goals and get them done? By me attending my classes and passing them, I get one step closer to receiving my bachelor’s degree. I need to push myself to do my best in all the assignments and test so I can pass all my courses. Each class requires students to complete papers and assignments that need to be written. With that in mind, I will be able to perfect my writing skills. I have to remember to proofread all my papers and really strive for the best. To become a better communicator and net worker, I need to put myself out there so other can get to know me. I need to find a mentor that is in the same career field as I am, so that that person can not only guide me but also help me when I need it. Nothing will get done I am willing to fully commit in achieving my academic objectives. The three academic objectives I would like to accomplish by graduation are not just to be a good student but also to set myself for greater things in life. Getting my bachelor’s degree, becoming a better writer and a better communicator/net worker are very important to me. With those three academic objectives, I will become a better employee, person and student. They are three essential things that any person can use in their lives to get further in their careers. I know with the motivation, want to succeed, and push from those around me, I can accomplish my three academic goals from here to graduation day. References Achieve, I. C. (2012). The Future of the U. S Workforce: Middle Skills Jobs and the Growing Importance of Postsecondary Education. Achieve, Inc. Radhaswamy, P. , & Zia, A. (2011). The Importance of Communication. IUP Journal Of Soft Skills, 5(4), 52-56.

Wednesday, October 23, 2019

Poverty Dilemmas that Canadians are Facing Today Essay

Abstract In this paper, it will be arguing how Canada hasn’t begun to fix the poverty situation that many Canadians deal with in a daily bases. Structural Functionalism Theory, Conflict Theory and the Feminist Perspective are going to be used in for this argument in this paper. This will give reader a better understanding and depth of the country’s Poverty issues that are currently taken place. It describes a brief history of poverty to today’s current issues in our communities, and what are some of the solutions we could do to fix poverty in Canada. This issue of poverty is very important to the writer, as she went through it with her family many years ago. Poverty Effect in Canada Canada is known for helping other countries when in need. However in reality Canada neglects to fix their own dilemmas, such as the poverty issues that many Canadians are facing today. Although it is a good deed helping other people in need across the world, then again Canada should focus on finding solutions, and planning how to help those in need in our homeland first. It is like the saying you cannot help anyone unless you help yourself out first. Canada’s main focuses should be the population that is affected by poverty, what exactly is causing this situation and how could the fix the one of big problems Canadians are dealing with. Since the time of the great depression poverty had gradually increased and with families growing, Canada began to look at their Welfare State and implemented social programs the citizen for a better quality of life. By the 1960’s Jenny Podoluk measurement technique was use by Statistics Canada to estimate the number of Canadians living in poverty. Results showed by 1961 approximately by 25% were living in poverty and by the 1969 population was 18% (Statistics Canada). Although there had been improvements by the 1980’s, it slowly grew from bad to worse in the 1990’s. Due to the growth of unreliable job and the cuts of social programs , the poverty rate were much higher and long –term poverty for many vulnerable groups such as; visible minorities, immigrants, newcomers, aboriginals, and people with disabilities. Canada currently does not have any official definition of poverty, not even proper steps or precautions are being put in place to  prevent or supp ort people in poverty. Canada has no official measure of poverty because Statistics Canada states, that unless politicians express social concern for the issues at hand, nothing will be done in order to solve and deal with poverty in Canada. In 2005 child and family poverty rate were much higher than in 1989. It was estimated about 3.4 million of the population live in poverty. In recent years Canada falls in 7th place out of 17 countries rating for poverty and inequality, graded a â€Å"B†, and given a good job but Canada is still not good enough (Conference Board, 2013). Since 1989 the House of Commons decided to resolve and eliminate the Children poverty rate by the year 2000. However despite the decision to eliminate Child poverty, no actual plan was design or progress reports were done. Throughout this period, rates of poverty both decrease and increase, currently the rates are still considered to be high, although Canada is one of the wealthiest countries in the world. When analyzing through a conflict perspective theory, poverty can be seen and understood, by the following example; a worker who is exploited by the employer of a big company, by when the worker does all the work and effort the Bourgeoisie profits and benefits from the labour of the proletariat (Mooney, Holmes, Knox, Schacht, 333). This is one of the many theories that can be used in the Canadian of Poverty. Other view on how society perceives poverty is Structural Functionalist Perspective Theory. This view describes poverty as positive aspects for the dominant groups of society. Poor people are often viewed as the lazy, unskilled, and a burden to society. They are often stuck doing the dirty, dangerous, and difficult work, the other individuals will refuse to do. Many have debated this theory to be that the dominant group exploits with power and inequality, towards those in poverty. Another view of poverty is that is gender bias, that women are mostly like to live in poverty then m en are, for this approach we going to discuss the Feminist Perspective. In 2006, 54 % of women lived in poverty ages 18 and over (NAPO 2006). This perspective uses the gender-based analysis, which works to understand the structures that contribute to women in poverty. Another interesting factor about this perspective is that it using the narrative analysis which focuses on women’s experiences with a symbolic approach which is put into data interpretation. These are few of the many issues of poverty we face today in our communities; food banks are crisis because of the high  in demand of people in need. Housing is another important factor as millions of people worry about being able to make rent payments, and finding affordable living places where they do not have to worry about living paycheck to paycheck. A study was conducted from t McMaster University in 2010 for the City of Hamilton, Ontario it showed that people living in poverty are most likely to die rather than those who are not living in poverty. It showed a 21 year difference of life expectancy, which were outrages and unacceptable facts that we must be aware of, in order to make a change. What we as a community could do to help those dealing with poverty crisis. First we must create awareness through education, media (i.e.; radio, internet, television), government, fundraiser, and through our communities. By doing so we increase the knowledge, of society, to help eliminate poverty in Canada, this country is known for its strong, free, and sustainable living. However not many know about Canada poverty crisis. We must also conduct research, to study in depth the cause and effects of poverty. Only then can we implement programs, or support gear towards the individuals in need. Other factor to consider and should be changed is to increase the minimum wage for those in need of support and basic necessities. By creating more employment and benefits is another way government officials can assist these individuals. In addition it is important to provide skill workshops and employment training for people in dealing with difficulties in obtaining employment. Things must be done In order to help those in poverty, to develop a better living for all in the present and for the future generations to come. Furthermore through history as discussed above we seen and understood that not all social programs, which the government had put in place to deal with this issue, have not worked out. Due to the lack of commitment and study of this subject, government continues to disregard and not care about the dilemmas of poverty. Government officials must pay attention to people and focus on how they could help. In order to do so a good starting point would be to listen to what the people need, and their challenges they are dealing with. As a community everyone should make an ideal and attainable goal, to reduced or end poverty. Imagine if we were to eliminate poverty, what would the effects on crime, health problems, drug  abuse, family problems, prejudice and racism and international conflict would be like. Picture everyone living in peace and harmon y wouldn’t that be a dream or goal worth wanting. If Canadian government continues to neglect the issue at hand, without support and commitment, poverty will not only become a bigger devastating problem, and it will endure to mass destruction of our country. References Mooney, L. A., Holmes, M. M., Knox, D. & Schacht, C. (2012). Understanding social problems. Nelson. (4th ed). Canada without poverty > poverty . (n.d.). Retrieved from http://www.cwp-csp.ca/poverty/ Collin, C. Political and Social Affairs Division, (2007). Poverty reduction in Canada – the federal role (PRB 07-22E). Retrieved from website: http://www.parl.gc.ca/content Hoeppner, C. (2010). house of commons Canada federal poverty reduction plan: Working in partnership towards reducing poverty in Canada . Retrieved from website: www.parl.gc.ca/content Guest, D. (2012). Social security. In Retrieved from http://www.thecanadianencyclopedia.com/articles/social-security (2008). How is poverty measured in Canada?. Retrieved from website: http://www.gov.ns.ca/coms/department/backgrounders/poverty/Poverty_Stats-May2008.pdf Annual report 2012. (2012). Retrieved from http://www.foodbankscanada.ca/getmedia/46650005-3c7f-4637-ae7e-43f5f1464f05/FBC_AR12_ENG_FINAL.pdf.aspx?ext=.pdf Ross, D., & Lochhead, C. (2012). Poverty. In K. Scott (Ed.), Retrieved from http://www.thecanadianencyclopedia.com/articles/poverty Canada falling behind on poverty, inequality, says report. (2013, February 4). CBC News Canada. Retrieved from http://www.cbc.ca/news/canada/story/2013/02/01/business-canada-society-report-card.html Poverty. (2011, 11 3). Retrieved from http://senatorarteggleton.ca/Issues/Poverty/PovertyFactSheet.aspx Poverty in Canada. (2008, April 29). Retrieved from http://www.cpj.ca/en/content/poverty-canada

Tuesday, October 22, 2019

Steroids Essays

Steroids Essays Steroids Essay Steroids Essay Introduction Background Steroids, more specifically glucocorticoids, for illustration hydrocortisone ( the construction of which is shown below in 1 ) are on a regular basis used in clinical pattern due to their anti inflammatory belongingss e.g. injected into inflamed articulations or sinews. ( 1 ) They achieve this inflammatory action by the suppression of the enzyme phospholipase A2. This enzyme converts cell membrane phospholipids into arachidonic acid – a cardinal molecule in the creative activity of all eicosanoids. ( 1 ) Eicosanoid is a general term for a group of molecules embracing prostaglandins, thromboxanes, prostacyclin, lipoxins, leukotrienes and derived functions. ( 1 ) Prostaglandins were discovered by a Swedish adult male named Ulf von Euler. He isolated them from a sample of seeds and so assumed they were synthesised by the prostate secretory organ, hence their name. ( 2 ) They have since been found, along with leukotrienes to be built-in to the inflammatory response and in the causing of hurting, while lipoxins signal the terminal of an inflammatory period. ( 3 ) Thromboxane is a lipid that promotes the collection of thrombocytes from which it is produced ; it is besides a powerful hypertensive agent that increases blood force per unit area by vasoconstriction, prostacyclin holding an counter consequence. ( 3 ) As steroids inhibit the production of all these molecules, they have a really broad scope of effects in the organic structure. They prevent vasocodilation, diminish the inflow and activity of leukocytes and mononucleate cells, suppress the procedure of angiogenesis, prevent extra fibrosis, decrease clonal enlargement of T and B cells and diminish the action of cytokine releasing T cells. ( 3 ) Non steroidal anti inflammatories ( NSAIDs ) for illustration acetylsalicylic acid ( the construction of which is shown below in 2 ) work to battle redness in a more specific mode than steroids. They inhibit the enzymes cyclooxygenase 1 and cyclooxygenase 2 therefore forestalling the oxidization of arachidonic acid to PGH2 which is an intermediary in the production of prostaglandins, thromboxanes and prostacyclin. ( 1 ) This allows the production of other eicosanoids ( e.g. leukotrienes and derived functions ) to go on uninhibited. This gives the drug a more targeted consequence. These drugs are known to hold anti pyretic, anti inflammatory and analgetic effects. ( 3 ) Cyclooxygenase 2 inhibitors ( for illustration Celebrex shown in 3 below ) are, once more, a much more targeted drug – merely suppressing the Cox 2 enzyme. ( 1 ) This has been shown to be good as the prostaglandins that are secreted into the gastro enteric piece of land ( GIT ) to protect against the potentially harmful low pH tend to be catalysed by the Cox 1 enzyme, i.e. the usage of traditional NSAIDs can take to ulceration in the GIT. ( 3 ) It has been suggested that all Cox enzyme suppressing drugs – but particularly cox-2 inhibitors increase the likeliness of thrombi forming, seting patients on these drugs at a higher hazard of holding myocardial infarctions, shots etc. ( 3 ) This is due to their suppression of prostacyclin, a lipoid that prevents curdling of blood. ( 1 ) An overview of the concatenation of reactions involved in the formation of eicosanoids and the action of steroids, NSAIDs and cox-2 inhibitors is shown below in 4. Connective tissue is a reasonably obscure term, split into three sub classs, connective tissue proper, unstable connective tissues and supportive tissues. ( 4 ) Connective tissue proper is so farther divided into loose and heavy conjunction tissues, depending on the figure of cells present and the comparative proportions of fibers and land substance. ( 4 ) All connective tissue proper contains fibroblasts, which secrete a substance called hyaluronan and assorted other proteins. Fibrocytes, Macrophages, Adipocytes, Mesenchymal cells, Melanocytes, Mast cells, Lymphocytes and Microphages are besides present in some but non all connective tissue proper. Forming a kind of web around the different cell types are fibers of which there are three types – collagen, reticulate and elastic. All three are created by the fibroblast cells from the proteins they secrete and maintained by fibrocytes. Collagen is a consecutive unbranching fiber that has unbelievable tensile strength that makes up about all of the composing of sinews and ligaments and is besides present in tegument. ( 4 ) Reticulate fibers are besides made of collagen but alternatively organize a heavy web like construction that is really strong and flexible. Elastic fibers are wholly different to the other two fibers, as they are made up of elastin. These fibers have the ability to stretch and return to their original size. An illustration of elastic fibers in the organic structure is the connexions between vertebrae. ( 4 ) Supporting all these constituent parts and filling in the spreads of connective tissue is ground substance. Ground substance is a clear, colorless extremely syrupy substance. This is good as it hinders the patterned advance of bacteriums and other pathogens through it and into the organic structure and besides aids phagocytosis. Purposes I intend to sketch the pros and cons of the clinical usage of steroids, not steroidal anti inflammatory drugs and Cox 2 inhibitors as anti inflammatories and anodynes when connective tissue injury is evident. aims To accomplish this I will turn up relevant research documents, critically measure their findings and explicate my ain decision sing their positive and negative effects in the organic structure, more specifically their effects on connective tissue fix and if their usage is good overall. Method Search I performed an electronic hunt of the MEDLINE ( 1950 to January Week 4 2009 ) database utilizing the OVID hunt engine. I limited the consequences to full text, English linguistic communication documents and used the cardinal words steroids, not steroidal anti inflammatory drugs, NSAIDs, Cyclooxygenase 2 inhibitors, cox-2 inhibitors and lesion healing. These single hunts brought up an unwieldy figure of hits so I so combined each drug type with lesion healing. This narrowed the figure of documents down significantly, but was still unwieldy and on upon reappraisal of the documents, a batch of them were unrelated and referred to the effects of the drug on many different tissues. I wanted my reappraisal to be more specific, so I introduced another hunt parametric quantity – collagen. An illustration of the concluding hunt is shown below ( 5 ) , taken from OVID. I so searched utilizing the same keywords as before in Google Scholar. This hunt uncovered yet more relevant stuff that the OVID hunt engine had missed. Using the documents I had found in the aforesaid hunts, I analysed the mentions they had used to bring out any farther documents I could utilize that I may hold overlooked earlier. In add-on, a relevant degree of background cognition of the pharmacological medicine of the drugs involved and their physiological effects was acquired from text editions and internet resources. Consequences The consequences brought up by my assorted hunt techniques were chiefly drug tests in rats and mice. There were besides many existing reappraisal articles related to what I intended to research. Discussion Steroids As discussed earlier, steroids have a broad scope of effects in the organic structure, due to them suppressing the enzyme responsible for the synthesis of arachidonic acid, a substance from which all eicosanoids are created. Glucocorticoids affect the healing procedure well, and if injected after hurt, dramatically lower the figure of inflammatory cells, fibroblasts, the formation of land substance and sum of new collagen. ( 5 ) It was presumed that this was because of the steroid s repressive consequence on the inflammatory response, without which mending can non happen. It has now been suggested by a survey ( 5 ) that it is besides caused by the steroid s ability to stamp down the look of TGF B ( transforming growing factor ) and IGF ( insulin like growing factor ) cytokines. The survey was performed on rats. TGF B and IGF are cytokines that are released when macrophages take portion in phagocytosis at the site of a lesion. ( 6 ) # They work by conveying about the proliferation of fibroblasts, which as discussed earlier, are built-in in the production of collagen. The graphs below ( figures 6 and 7 ) show that there was a statistically important lessening in both TGF B and IGF when the rats were admini stered with steroids. Besides determined from this survey was that there was decreased collagen synthesis caused by a lessening in steady province cellular type I procollagen messenger RNAs . Overall, this survey indicates that the decrease of TGF B and IGF in lesions as a consequence of steroid intervention causes collagen deposition to endure. This would later do the healed lesion to be weaker and have a lower breakage strength. Clinically, these consequences are really of import, as glucocorticoids are normally used in postoperative patients, which puts them at a high hazard of impaired healing and infection. ( 6 ) Timing, dosage and length of intervention besides play a cardinal function in the suppression of proper lesion fix, with patients holding more post operative jobs with lesions if they receive glucocorticoid intervention preoperatively. ( 6 ) There is a correlativity between higher doses and more hurtful wound fix effects, while patients on a long class experience well slower lesion healing. ( 6 ) Despite these obvious negative effects of steroids, they are still widely used to handle many conditions for illustration in lower doses to handle adrenal lacks and at higher doses to battle assorted inflammatory, allergic and autoimmune diseases. ( 7 ) Non Steroidal Anti Inflammatory Drugs Relatively small work has been done on researching the effects of NSAIDs on lesion healing, but there are many theories as to how it could interfere with this procedure. A survey was conducted in 1996 ( 8 ) that investigated the consequence of a specific drug, ketorolac tromethamine, on the healing of lesions in male rats. This was achieved by mensurating the breakage strength ( 8 ) , collagen content ( 9 ) and tensile strength ( 10 ) of the freshly formed tissue. It was found in this survey that the breakage strength and collagen denseness of the trial subjects was much lower than that found in the controls ; nevertheless the tensile strength was non found to be lowered significantly. The lessening in interrupting strength is likely a direct consequence of the lowered collagen content ( 8 ) as collagen gives tissue snap and the ability to stretch to defy forces without interrupting. ( 4 ) As can be seen in the graphs, it is clear that this peculiar NSAID has a definite impact on the manner in which the tissue has repaired. It is possible that NSAIDs have a direct impact on the production of prostaglandin-E ( 8 ) , a eicosanoid involved in the production of colleganase, which maps in the dislocation and formation of new collagen fibers. ( 1 ) Another survey ( 9 ) has shown a lessening in hydroxyproline in the healed lesion tissue treated with a different NSAID, isobutylphenyl propionic acid. This is a important determination as it is a constituent in collagen that is indispensable to the formation of its third construction. ( 10 ) Another consequence that is likely to be related to connective tissue fix is the lowered production of glucosaminoglycan, a substance fo und in connective tissues for illustration sinews. ( 8 ) Cyclooxygenase 2 Inhibitors As discussed earlier, cox-2 inhibitors are in consequence a more targeted version of traditional NSAIDs, for this ground, it would be a just premise that the scope of side effects is more limited. The consequences from trials from surveies refering cox-2 inhibitors show far fewer side effects and are about wholly barren of the jobs with wound fix associated with the other two drug types ( 11-13 ) . Some of the consequences are really interesting and present contradictions to informations from the surveies concerned with traditional NSAIDs ( 8 ) # . An illustration of this is shown in a survey performed to contrast the effects of NSAIDs and COX-2 inhibitors ( 11 ) . The information shows that upon disposal of Celebrex, a cox-2 inhibitor, the concentration of prostaglandin E decreases significantly ( shown below in 11 ) As discussed before, this lessening in prostaglandin E would theoretically ensue in a lessening in the collagen production at the site of the lesion. Despite this, information from the survey states that the overall healing procedure was unhampered compared to the control. It is stated that this could be attributed to the unchanged production of hydroxyproline ( shown below in 12 ) . In a different survey ( 13 ) negative effects on the healing of epithelial tissue were predicted. It states that although the drugs have negligible effects on lesion fix as a whole procedure, there is cause for concern as epithelial tissue is a peculiarly strong inducer of the Cox 2 enzyme. Despite this statement, the survey goes onto to confute this hypothesis, happening small to no difference compared to the controls ( 13 ) . Conversely, a similar survey performed in 2002 showed a slower rate of lesion healing ( although the healed lesion showed about indistinguishable features to the controls ) ( 12 ) . This trial was performed on mice. The consequences are highlighted in the graph below ( 13 ) . The dark saloon represents the cox-2 inhibitor treated mice, the white saloon traditional NSAID treated mice and the dark saloon is the controls ( i.e. untreated mice. ) If the surveies discussed here are all taken into history, it would look that cox-2 inhibitors have really small consequence on the healing procedure, simply decelerating it. Decision Remarks Steroids are really powerful drugs, and have a broad scope of perchance negative effects on a patient. The information from this reappraisal would propose that steroids are unsuitable for usage in patients with connective tissue injury, due to their impact on the healing procedure. NSAIDs are widely used in pattern for their analgetic belongingss and in higher doses to cut down redness. The information gathered to organize this reappraisal suggests that although there are negative effects on lesion healing, the usage of the drugs in a controlled environment ( i.e. as prescribed by a physician ) is warranted. A major concern would be that they are readily available over the counter , for illustration ibuprofen . As a consequence of this patients may non experience it necessary to unwrap this information to their physician, as they may non see it as of import due to the effects on lesion mending non being widely known. ( 8 ) # COX-2 inhibitors seem to hold negligible effects on lesion fix, yet exhibit about indistinguishable effects on the organic structure as a traditional NSAIDs, upon which they are based ( i.e. analgesia and decrease of redness ) . There is besides cogent evidence of the lessened hazard of developing stomachic ulcers, a complication associated with traditional NSAIDs. As identified in the debut nevertheless, cox-2 inhibitors put the patient at a much higher hazard of enduring a shot or myocardial infarction. There are obvious benefits and hazards in the usage of all the drugs discussed, and no grounds has been presented back uping the thought that the drugs are insecure if used in the right state of affairs. i.e. a patient with a predisposed hazard of myocardial infarction would non be given a cox-2 inhibitor, and a patient with a history of developing peptic ulcers would non be prescribed a traditional NSAID. In decision, after taking into history all the information gathered, despite their evident side effects, all the drugs discussed clearly have their topographic point in clinical pattern, if used carefully and the side effects are thought through with relation to the patient s status. Restrictions I believe a major restriction of this survey is the deficiency of clinical tests in worlds. I was unable to happen any research performed on worlds or human tissue, the bulk being on rats and mice. While this gives an estimate of how these drug types would interact in a human, it is executable that if the tests were performed in a existent human trial topic, the consequences would be wholly different. For this ground, it is possibly non advisable to give the consequences of this reappraisal much weight, until it is proven in worlds. Further Areas of Study Further survey would include the testing of the drugs in worlds. The proving for collagen content would affect taking a little biopsy of the lesion, but to find the mechanical features ( i.e. interrupting strength and tensile strength ) the lesion and environing tissue would hold to be removed and ripped apart. This is evidently ethically debatable, so a more realistic attack would to turn tissue civilizations and execute trials on these. This could supply another possible usage of root cells in research. 1. Ganong WF. Review of Medical Physiology. 22nd erectile dysfunction: Lange ; 2005. 2. hypertext transfer protocol: //www.elmhurst.edu/~chm/vchembook/555prostagland.html. [ cited 11th February 2009 ] . 3. Rang HP, Dale MM, Ritter JM, Flowers RJ. Pharmacology. 6th erectile dysfunction: Churchill Livingstone Elsevier ; 2008. 4. Martini FH, Nath JL. Fundamentalss of Anatomy and Physiology. 8th erectile dysfunction: Pearson ; 2009. 5. Wicke C, Halliday B, Allen D, Roche NS, Scheuenstuhl H, Spencer MM, et Al. Effectss of steroids and retinoids on lesion healing. Arch Surg. [ Comparative Study ] . 2000 Nov ; 135 ( 11 ) :1265-70. 6. Anstead GM. Steroids, retinoids, and wound mending. Adv Wound Care. [ Review ] . 1998 Oct ; 11 ( 6 ) :277-85. 7. hypertext transfer protocol: //www.uptodate.com/patients/content/topic.do? topicKey=~fpyFyamA5oQZAd. [ cited 2009 13th February ] . 8. Haws MJ, Kucan JO, Roth AC, Suchy H, Brown RE. The effects of chronic Torodal tromethamine ( ketorolac tromethamine ) on lesion healing. Annalss of plastic surgery1996 Aug ; 37 ( 2 ) :147-51. 9. Velasco M, Guaitero E. A comparative survey of some anti-inflammatory drugs in lesion healing of the rat. Experientia. [ Comparative Study ] . 1973 Oct 15 ; 29 ( 10 ) :1250-1. 10. Bansal M, Ananthanarayanan VS. The function of hydroxyproline in collagen folding: conformational energy computations on oligopeptides incorporating proline and hydroxyproline. Biopolymers. [ Research Support, Non-U.S. Govt ] . 1988 Feb ; 27 ( 2 ) :299-312. 11. Muscara MN, McKnight W, Asfaha S, Wallace JL. Wound collagen deposition in rats: effects of an NO-NSAID and a selective COX-2 inhibitor. Br J Pharmacol. [ Research Support, Non-U.S. Govt ] . 2000 Feb ; 129 ( 4 ) :681-6. 12. Futagami A, Ishizaki M, Fukuda Y, Kawana S, Yamanaka N, Futagami A, et Al. Wound mending involves initiation of cyclooxygenase-2 look in rat tegument. Lab Invest2002 Nov ; 82 ( 11 ) :1503-13. 3. Muller-Decker K, Hirschner W, Marks F, Furstenberger G, Muller-Decker K, Hirschner W, et Al. The effects of Cox isozyme suppression on incisional lesion healing in mouse tegument. J Invest Dermatol. [ Research Support, Non-U.S. Govt ] . 2002 Nov ; 119 ( 5 ) :1189-95. Steroids Essays Steroids Essay Steroids Essay There is a huge national concern over the misuse and abuse of anabolic steroids for enhancement of muscular stature and performance among competitive athletes.   Latest estimates have shown that approximately 5% of all high school students have used anabolic steroids, with almost half of the high students believing that these drugs are not harmful to their health.   Drug enforcement legislations have included anabolic steroids in its list of traffic-controlled substances (21 USC Sec. 801 1/22/02; Schedule III).   However, the bigger picture of the medical and research benefits of anabolic drugs have been overlooked due to the sensationalize media coverage of these drugs.   Current scientific researches are still inconclusive on whether anabolic steroids are extremely unsafe for administration, opposite to what has been actively claimed by anti-drug officials and government authorities.The Anabolic Steroid Control Act of 1990 (ASCA) was established to r egulate the distribution of anabolic steroids in the United States.   The Drug Enforcement Administration of the U.S. Department of Justice has been mandated to implement measures to protect the people from these dangerous drugs.   A four-part definition of anabolic steroids serves as a blueprint to identify any analogues of the chemical substance that may be uncontrollably dispensed to athletes and other youths.   The definition included substances that are chemically and pharmacologically similar to testosterone, estrogen, progesterone, as well as a very close likeness in its enhancement for muscle growth.   The Act classified anabolic steroids in the same category as barbiturates and LSD precursors and claim that these substances result in dangerous effects to the human body.   The Act declares that any individual caught in the possession of these anabolic steroids will be arrested and prosecuted.   The list of anabolic steroids in the Act is continuously being update d, as new versions of these drugs are progressively being created through the years.Anabolic androgenic steroids are testosterone derivatives that are mainly used for muscle and performance enhancement.   These drugs are frequently used by competitive athletes in order to achieve an edge or better control of their physical strength and performance during professional sports games.   Retrospective surveys indicated that anabolic steroids have been used since the 1960s to date (Duchaine, 1983), with current national user rates ranging from 3% to 9% among high school students alone.   The exact effect of anabolic steroids in the developing human body has not been fully studied, and the increase in number of reports of teenage athletes committing suicide has called the attention of the legislation to assess and review drug enforcement laws covering this specific drug.It has been reported that the prolonged use of anabolic steroids have may cause a number of adverse effects to the human body, including liver damage, gynecomastia, atherogenesis, psychiatric disorders such as aggression and violence, and even death (Balbigian, 2001; Brower, 2002; Glazer, 1991; Pope and Katz, 1990; Malone et al. 1995).   Investigations on the nationwide use of anabolic steroids have prompted Congress to establish the Anabolic Steroid Control Act of 1990, which mainly indicates that the non-medical employment of anabolic steroids is punishable by law.   Any violations will be penalized by at least 15 days to 5 years imprisonment and/or $1,000 to $1,000,000 fine, depending on the extent of the violation.   So far, the general public has supported the Anabolic Steroid Control Act, mostly due to the massive and militant media coverage of the topic.The Anabolic Steroid Control Act of 1990 classified anabolic steroids as any drug or substance related to testosterone and used for muscle growth increase.   They are Schedule III of controlled substances.   The Anabolic Steroid Control Act of 2004 amendment added hormone precursors such as androstenedione and androstenediol as controlled substances without a prescription.   Most anabolic steroids used in the United States come through the black market from other countries.   Even though sources may state the steroids are made by pharmacists and physicians, no one actually knows who produced them or how they were produced.  Ã‚   Some were produced in non-sterile environments while others may be for the use of animals but sold for human use.   Production of steroids sold illegally may have substitutions or other problems which can cause the contents to be dangerous even lethal.   Many sold via the internet are fake steroids which have contained cooking oil or toxic substances that produced methanol and/or blood poisoning.   Incorrect packaged doses and tampering of the product can also be suspected.   Since some users use more than one steroid at a time, dangers of consuming bad substances is increased.   You dont know how some of those ingredients will react together.Some research indicates anabolic steroid use may lead users to other illegal and/or legal drugs to counteract some of the side effects, especially for insomnia.   There is a limited amount of research and studies in this area.   A list of possible physical and psychological side-effects of anabolic steroid use has been reported.   These include coronary heart disease, which specifically increases the thickness and enlargement of the left ventricle.   Another side-effect is the decreased size of the user’s testicles, as well as the experience of immunodeficiencies.   The athlete who has taken anabolic steroids will also feel invincible and will actually show an aggressive behavior.   It has been reported the Hitler historically used anabolic steroids during World War II in order to increase his aggressiveness towards his troops.   In terms of damage to human health, anabolic steroids d estroy the liver as well as transform connective tissues to a condition that these are easily injured or torn.Adolescents taking anabolic steroids have been reported to show stunted growth and suffer from blood clots and insomnia or unusual sleep patterns.   In terms of the effects of anabolic steroid on an individual’s blood chemistry, there are reported that a user will experience an elevated LDL cholesterol level as well as a lowering of HDL cholesterol level.   Interestingly, adults taking anabolic steroids experience moderate to severe acne because anabolic steroids influence changes in his endocrine system.   An anabolic steroid user also faces the chance of acquiring prostate cancer at an earlier age.   Certain male anabolic steroid users observe that their breasts start developing and some users experience temporary to permanent infertility.   Other users have stimulated appetites, psychoses and mood swings.   Increasing the dosage and combining steroids a lso increases risks of possible side effects.   Some side effects can be reversed after stoppage of steroid use and other effects cannot be reversed.   It should be noted that the results of side effects may take months or years before they are apparent even after the individual has stopped using them.   Recent evidence indicates withdrawal symptoms occur in long-term users who stop using anabolic steroids.However, the actual negative effects of the use of anabolic steroidal drugs have not been comprehensively investigated to date, and that the reports that have been disclosed in the media have been isolated cases picked out from millions of cases of teenage users around the United States.   Scientifically, the adverse effects from the prolonged use of anabolic steroids remain inconclusive to date, and in actuality, anabolic steroid use has been shown to be beneficial in the treatment of medical disorders.   In one report, it has lately been determined that the effect of an anabolic steroid to the treatment of weight loss in human immunodeficiency virus (HIV)-infected patients is equivalently effective and safe as compared to the commonly administered recombinant growth hormone that has been approved by the Food and Drug Administration (Storer et al. 2005).   In another scenario, the administration of an anabolic steroid has been beneficial in prostate cancer patients by preventing further migration of prostate cancer cells to other parts of the body (Guerini et al. 2005).   The anabolic steroid oxandrolone has been successfully used in the treatment of muscle loss in patients diagnosed with Duchenne muscular dystrophy and may be a potential powerful candidate for general treatment of such types of patients (Balagopal et al. 2006).Scientific research shows that anabolic steroids provide more beneficial effects than what has been claimed by legislation as serious, adverse effects to the human body.   More so, the negative reports that have asso ciated with the use of anabolic steroids have not been investigated scientifically and have only achieved much attention through the help of media and press coverage.   Therefore, it is imperative that the legislative bodies review the restrictions associated with the Anabolic Steroid Control Act of 1990 and fully determine the actual effects of anabolic steroid intake.   It is regretful to know that there are other drugs and activities that are much more deleterious or harmful to people but are not actively controlled by the Senate, including smoking, cosmetic surgery and over-the-counter drugs such as aspirin and ibuprofen, which has caused even more cases of deaths and hospitalizations that anabolic steroids.Based on the above information on the current status, knowledge and use of anabolic steroids, several advocacy groups have proposed that anabolic steroids be legalized for use in the United States.   In turn, these groups emphasize the need for further scientific resear ch to determine the mechanisms of action of each type of anabolic drug to gain a better understanding of its indications and contraindications.   There should be a comprehensive survey on the frequency of use of anabolic steroids across the human population, with stratified categories of users such as teenage athletes, geriatric patients, cancer patients, and so on.   Any cases that report any adverse effect from use of anabolic steroids should be properly documented and analyzed.   Should there be sufficient reason that anabolic steroids be stopped from circulation in the community, these advocacy groups are willing to review these effects once significant information has been gathered from reliable reports.;

Monday, October 21, 2019

Prohibition and the 18th Amendment to the Constitution essays

Prohibition and the 18th Amendment to the Constitution essays The 18th Amendment to the Constitution -passed by Congress in 1917, and ratified by  ¾ of the states by 1919 prohibited the manufacture or sale of alcoholic beverages within the boundaries of the United States. The Volstead Act of 1919, also known as the National Prohibition Enforcement Act, which was mandating "No person shall manufacture, sell, barter, transport, import, export, deliver, furnish or possess intoxicating liquor except as authorized in this act." It clearly defined an alcoholic beverage as one with an alcoholic content greater than 0.5 percent. The necessary 36 states ratified the amendment on January 16th of the same year. Allowing for the years adjustment, America went "dry" at the stroke of midnight, the morning of January 17th. The Prohibition Era began on January 16th, 1920, when the United States ratified the 18th Amendment, which prohibited the manufacture and sale of alcohol. The good intention ideals of the Prohibition Era led to several ill effects includi ng unbearable hypocrisy within the American society, corruption on all levels of government, and an astounding death toll, which was a result of the alarming crime rate. Prohibition in the United States was a measure designed to reduce drinking by eliminating the businesses that manufactured, distributed, and sold alcoholic beverages. The best evidence available to historians shows that consumption of beverage alcohol declined dramatically under prohibition. In the 1920s consumption of beverage alcohol was about thirty percent of the pre-prohibition level. Consumption grew somewhat in the last years of prohibition, as illegal supplies of liquor increased and as a new generation of Americans disregarded the law and rejected the attitude of self-sacrifice that was part of the bedrock of the prohibition movement. Nevertheless, it was a long time after repeal before consumption rates to their pre-prohibition levels. In that sense, prohibition "worked." When...

Sunday, October 20, 2019

Definition and Examples of Hasty Generalizations

Definition and Examples of Hasty Generalizations A hasty generalization is a  fallacy in which a conclusion is not logically justified by sufficient or unbiased evidence. Its also called an  insufficient sample, a converse accident, a faulty generalization, a biased generalization, jumping to a conclusion,  secundum quid, and a  neglect of qualifications. Author Robert B. Parker illustrates the concept via an excerpt from his novel Sixkill: It was a rainy day in Harvard Square, so the foot traffic through the atrium from Mass Ave to Mount Auburn Street was heavier than it might have been if the sun were out. A lot of people were carrying umbrellas, which most of them furled inside. I had always thought that Cambridge, in the vicinity of Harvard, might have had the most umbrellas per capita of any place in the world. People used them when it snowed. In my childhood, in Laramie, Wyoming, we used to think people who carried umbrellas were sissies. It was almost certainly a  hasty generalization, but I had never encountered a hard  argument  against it. (Sixkill. Putnam, 2011) A Too-Small Sample Size By definition, an  argument  based on a hasty generalization always proceeds from the particular to the general. It takes a small sample and tries to extrapolate an idea about that sample and apply it to a larger population, and it doesnt work.  T. Edward Damer explains: It is not uncommon for an arguer to draw a conclusion or generalization based on only a few instances of a phenomenon. In fact, a generalization is often drawn from a single piece of supporting data, an act that might be described as committing  the fallacy of the lonely fact....Some areas of inquiry have quite sophisticated guidelines for determining the sufficiency of a sample, such as in voter preference samples or television viewing samples. In many areas, however, there are no such guidelines to assist us in determining what would be sufficient grounds for the truth of a particular conclusion. (Attacking Faulty Reasoning, 4th ed. Wadsworth, 2001) Generalizations as a whole, hasty or not, are problematic at best, anyway, though a large sample size wont always get you off the hook. The sample that one wants to generalize needs to be representative of the population as a whole, and it should be random. For  example, the polls  prior to the 2016  presidential election missed segments of the population who would come out to vote for Donald Trump and thus underestimated his supporters and their potential impact on the election. Polls knew the race would be close, but by not having a representative sample to generalize the outcome, the polls got it wrong.   Ethical Ramifications Stereotypes come about from trying to make generalizations about people or groups of them. Doing it is at best a minefield and at worst, has ethical considerations. Julia T. Wood explains: A hasty generalization is a broad claim based on too-limited evidence. It is unethical to assert a broad claim when you have only anecdotal or isolated evidence or instances. Consider two examples of hasty generalizations based on inadequate data:- Three congressional representatives have had affairs. Therefore, members of Congress are adulterers.- An environmental group illegally blocked loggers and workers at a nuclear plant. Therefore, environmentalists are radicals who take the law into their own hands.In each case, the conclusion is based on limited evidence. In each case the conclusion is hasty and fallacious. (Communication in Our Lives, 6th ed. Wadsworth, 2012) Critical Thinking Is Key Overall, to avoid making, spreading, or believing hasty generalizations, take a step back, analyze the opinion, and consider the source. If a statement comes from a biased source, then the point of view behind it needs to highlight your understanding of the stated opinion, as it gives it context. Look for evidence, both supporting and opposing a statement, to find the truth, because, as the adage says, there are two sides to every story, and the truth often lies somewhere in the middle.

Saturday, October 19, 2019

Strategic Marketing of The North Face Case Study

Strategic Marketing of The North Face - Case Study Example The company obtains a competitive position of the market and a strong band image. Its innovations and product development strategies support its further growth and open new market opportunities. When product life cycles are short (or consumers demands are changed) technological improvement becomes an essential requirement of company strategy. The aim of strategic marketing is to meet the needs and expectations of customers, and the organization's ability and capacity to satisfy them. For this matching process to take place successfully, a company must understand who is the customer and what value is required, and how best to deliver this value on a sustainable basis in line with the organization's overall corporate objectives. The North Face is one of the companies which develops unique strategies and marketing approach in order to compete on the market and increase sales. The North Face is a specialty retailer which 'designed, manufactured and sold high quality outdoor equipment and clothing" (Mezzatesta and Cook 743). The mission of the North Face is to reach wider target market and expend its activities to new markets. The strategic aim is a continuous growth and expansion into new products. High quality is used as a strategic weapon and the aim of The North Face is to maintain high quality standards at costs lower than competitors. The current objective of the company is to find the best way to distribute the new skiwear line. Also, the objective is to remain a market leader and strengthen its dealer structure around the world. 3.2. External Environment The North Face operates on the dynamic market where the main objective is to maintain successful marketing communication strategies, implement high product quality and develop strategies to improve customer relations and manufacturing. The purpose of the North Face is to get and keep a customer proposing high quality innovative products. Political-legal forces acting upon the North Face allocate power and provide constraining and protecting laws and regulations. The company does not influenced greatly by political and legal changes. In spite of the fact that the North Face is a US-based company, it is affected by international trade regulations and laws. Environmental changes suggest that the opening up of the market and the resultant increased competition has widened the perspective of the planning framework with profound implications. Thus, the main threat for the North Face is that its competitors begin to copy its products. The social environment includes general forces that do n ot directly touch on the short. Economic forces regulate the exchange of materials, money, energy, and information. This environment proposes great challenges for the North Fac

Friday, October 18, 2019

Eggettes Restaurant in San Francisco Essay Example | Topics and Well Written Essays - 2250 words

Eggettes Restaurant in San Francisco - Essay Example Recommendations Operating in a competitive environment, Eggettes should adopt strategies that would make it more competitive. As such, the restaurant should include delivery services in its operations so as to compete with other similar restaurants like Waffle. Introduction of waiter services would also ensure that service in the restaurant becomes faster and efficient especially for the mixologist who has to get orders from customers and make them their desired drinks on top of other duties performed concurrently. Being an internet cafe, the management should make use of this capacity to automate its employee scheduling. Employees should be able to book their off days online and the store owner works on it. This would make this operation more effective and simpler for the store owner. Section I – Introduction Eggettes is an average class fast food restaurant in San Francisco, 3136 Noriega Street in the Outer Sunset neighborhood hence providing ample parking to its customers w hich is offered free in front of the restaurant. It serves different kinds of Chinese fast foods and desserts and beverages including tea and coffee. The restaurant operates between 11 am and 10 pm from Sunday to Thursday and 11 am to 11 pm on Fridays and Saturdays. This internet cafe has the capacity and ability to handle group customers who could perhaps choose to have a biting in the restaurant as they hold their meetings. Though it does not offer delivery services, waiter service or allow for outdoor sitting, it has take-out services. The restaurant does not accept credit cards and does not allow for reservations (Eggettes 2009). But the restaurant offers various benefits to its... The study involved qualitative analysis of the desired employees’ attributes and the practice in scheduling employees. As such, qualitative data was collected through observation and engagement with the respective employees, particularly the mixologist and the store owner. These data were then analyzed and then conclusions and recommendations were made. This report makes a conclusion that waiter services would go a long way in ensuring high customer service levels are attained. The tasks that a mixologist for instance has to accomplish are too much and in as much as such workers are meant to ensure customer satisfaction, fatigue could hinder them from fully accomplishing this. Waiter services could considerably reduce the one minute standard waiting period for customers. It would even attract more customers who seek to be served. Caution should be taken however to ensure that the waiters and those preparing orders like the mixologist understand each other so as not to disappoint customers with serving below their expectations. Due to the availability of internet in the restaurant, the store owner should consider introducing a computerized duty scheduler. When an employee logs in and books a specific off duty date, the date automatically becomes unavailable to other employees. This should relay to the restaurant’s server and a ccessible to the store owner. It would thus be easier planning the monthly schedule of how employees would have their off duty days.

Heart attack Research Paper Example | Topics and Well Written Essays - 500 words

Heart attack - Research Paper Example that reduce or block the flow of the blood to the heart muscles thus not only decreasing the supply of the blood and oxygen to the heart but also making the muscles to exert more pressure or force for the blood flow. The blockage in the artery damage heart muscles so that it is not able to function normally and lead to malfunctioning of heart or heart attack. If the blockage is not removed fast, it could be fatal and may result in the death of the person (Antman, 2011). On the inside linings of the one or more coronary arteries, plaques or atheroma develop over a period of time, which narrow the arteries thus obstructing free flow of the requisite amount of blood to the heart muscles. High cholesterol are main causes of thickening of blood vessels. If not treated timely, the thickening of arteries could block the blood flow to heart. Many times, high blood pressure also becomes key causes of heart attack. ‘Initial treatment requires attention to any precipitating factors, such as hypertension, anemia, congestive heart failure (CHF), tachyarrhythmia and valve disease’ (Opie,p351). The other forms of treatment are medicine and surgery as follow: Angioplasty is first option to clear the blockage in the coronary arteries that supply blood to the heart. A stent is later used within vessel and prevents its closing up. It is a metallic mesh tube that expands artery walls when it is inserted within it (Pifarre & Scanlon, 2001). Complications in the treatment of heart attack occur when the patient has many diseases like diabetes, high blood pressure and kidney problems. These diseases help delay the treatment or complicate it. Acute diabetic patients tend to avoid operations as blood clotting is a delayed process which could cause complicity in heart operations. I chose this topic because heart is one of the vital organs of living beings. It pumps oxygen and blood throughout the body for life sustenance and serves as major indicator of health and wellbeing. It is

Thursday, October 17, 2019

Teaching and Learning Through Technology Essay Example | Topics and Well Written Essays - 1000 words

Teaching and Learning Through Technology - Essay Example They suggest that the teachers must be able to implement plagiarism detection systems to deter plagiarism, and they must hold the responsibility to discourage plagiarism by all means. Only that way they will be able to help the students in making the best use of their abilities. As an educational leader, I will make sure that my college has the best plagiarism detection system implemented, and that my staff is well trained in using such softwares, so that they may be able to deter plagiarism.I selected this study because it highlights the importance of technology-based learning in schools. I believe that teacher professional development is highly important for student learning, and this study focuses on teacher professional development through the use of technological advancements. The researcher has talked about the perspective of teachers about teaching through technology in a school in the United States. School teachers and a researcher participated in the study and discussed the importance of their community involvement as well as the professional development. A design frame work was discussed, which highlighted the design, implementation, and evaluation of the teacher professional development. The article talks about how student learning is made better through the use of technological tools and accessories. As an educational administrator, I would use this study to inform my teachers the importance of teaching through technology. I would make sure that my school has enough resources to afford sophisticated technological tools to aid the learning process in classrooms. I would arrange computer labs and assistants in my school so that students may be able to polish their computer-based learning.  

Finish homework Assignment Example | Topics and Well Written Essays - 500 words - 1

Finish homework - Assignment Example This essay is a rhetorical analysis of the 2013 documentary,Blackfish. Production of the documentary Blackfish intended to show the dangers of placing in captivity of clever and emotional creatures such as whales. To achieve this, Blackfish shows a series of mistreatments of whales in captivity in various performing parks around the world, concentrating on the devastating incidents that led to the death of four people. This documentary mainly uses a killer whale known as Tilikum due to his involvement in three of the four deaths. Since Tilikum cannot tell the story, a collection of former orca trainers particularly those who worked with Tilikum are used. The use of orca trainers as the narrators, places their stories above those of Tilikum. This way, Blackfish turns out to be a narrative with two main points. The first point is that the idea of keeping killer whales in captivity is wrong and the second point is that the abuse of whales by fellow whales whiles in captivity maybe the reason some of them become hostile. Blackfish director Gabriela Cowperthwaite excelled in this documentary particularly the perfect visual work. The documentary uses skilled cinematography to blend interviews with actual shots of the animals and parks, and the occasional pieces of created shots for instance the animations employed in presentation of courtroom transcriptions. This makes Blackfish a stunning work of visual art that most people will enjoy watching and since it provides fresh content in a rare form of cinematography. The soundtrack by Jeff Beal in this documentary greatly improves the visual power of the film by heightening the documentary’s emotional thrust. This masterful soundtrack therefore, helps the documentary in successful manipulation of the audience’s emotions. Blackfish however fails to align its ideas in a manner that clearly

Wednesday, October 16, 2019

Teaching and Learning Through Technology Essay Example | Topics and Well Written Essays - 1000 words

Teaching and Learning Through Technology - Essay Example They suggest that the teachers must be able to implement plagiarism detection systems to deter plagiarism, and they must hold the responsibility to discourage plagiarism by all means. Only that way they will be able to help the students in making the best use of their abilities. As an educational leader, I will make sure that my college has the best plagiarism detection system implemented, and that my staff is well trained in using such softwares, so that they may be able to deter plagiarism.I selected this study because it highlights the importance of technology-based learning in schools. I believe that teacher professional development is highly important for student learning, and this study focuses on teacher professional development through the use of technological advancements. The researcher has talked about the perspective of teachers about teaching through technology in a school in the United States. School teachers and a researcher participated in the study and discussed the importance of their community involvement as well as the professional development. A design frame work was discussed, which highlighted the design, implementation, and evaluation of the teacher professional development. The article talks about how student learning is made better through the use of technological tools and accessories. As an educational administrator, I would use this study to inform my teachers the importance of teaching through technology. I would make sure that my school has enough resources to afford sophisticated technological tools to aid the learning process in classrooms. I would arrange computer labs and assistants in my school so that students may be able to polish their computer-based learning.  

Tuesday, October 15, 2019

Was it right or wrong to use two atomic bombs on Japanese cities in Research Paper

Was it right or wrong to use two atomic bombs on Japanese cities in 1945 Why - Research Paper Example Deliberately attacking a civilian population is not considered morally acceptable regardless of any real or perceived outcomes. This view was and remains popularly held by both American civilians and the military; this reasoning was not employed in this case, but why? Was it the passions of wartime, a justifiable act in this one instance or was the bombing wrong under any circumstance? By summer of 1945, the Japanese were in dire straits, militarily and economically. The U.S. had won great victories at Okinawa and Iwo Jima, killed hundreds of thousands of Japanese soldiers and had a full naval blockade of Japan’s mainland. Shortages of oil and food supplies had all but brought the Japanese empire to it knees but its military showed no plans of quitting. In each battle, its soldiers fought ferociously to the last man in a victory or death mentality and suicide (kamikaze) missions were common. This led the American leaders to believe that an entire takeover of the Japanese island was necessary for final victory. To that end, the U.S. had planned for a massive invasion force to land on the shore of Japan in November of 1945 which was estimated to cost over a hundred thousand American lives and many more Japanese. The U.S. was well aware of the fanaticism displayed by the Japanese; therefore, military leaders were not anxious to encounter an entire population o f a country that possessed this mentality and were militarized as well. The avoidance of this ensuing confrontation and the war weariness of the American public are the common justifications for dropping the bombs. It was and is argued that the atomic bombs ultimately saved many American and Japanese lives. â€Å"It was the destruction of Hiroshima that finally brought Emperor Hirohito to confront the Japanese military and order the surrender of Japan† 1 The Japanese had amassed nine divisions; 600,000 heavily equipped forces in southern Japan prior to the bombing of Hiroshima.

Monday, October 14, 2019

How to Make a Mask Essay Example for Free

How to Make a Mask Essay When it comes to the world of prop building, mask making, or prosthetics their are specific steps to follow. Otherwise if one were to mess up they can end up on the hospital due to chemical mixing. Now it’s not as dangerous as it sounds but its never good to inhale any type of fumes, don’t want to end up in the hospital. The first approach to build a mask or any type of make-up build is be cautious and aware. If you are not cautious and aware then as I said before you may end up in the hospital, with some sort of serious Illness. When working on a build always wear a mask, gloves, and an apron to protect your clothes. second step to mask making is the design know what you’re going to create. Come up with different concepts of one idea, so that you’ll have more than just one concept to work off of, as well as knowing or feeling which concept is the best. After the process of concepts, ideas and brainstorming work of the concept or in other words play with clay. Youre going to need to sculpt your concept on clay. Now it is doable with cheap clay such as Amacos: playn clay, air dry modeling clay. It’s not the best clay to use but it gets the job done. Although what I have heard from other sculptors and hobbiest that marblex or sculptey is better for sculpting. So when you have chosen what type of clay to use you then sculpt out your concept, taking out or adding in detail. After sculpting out your concept you will need you pierce to dry. Usually it takes about two to three days but its always best to at least wait for a week making sure that it is completely dry. Always check for cracks as well that is never good for your finally piece making sure that if you do see cracks fill them in with clay. After the piece has completely dried you will need to mold it. This is where a breathing mask definitely comes in handy. When it comes to molding their are many brands and ways to mold your clay piece, from liquid latex to silicone rubber. Personally I use Body Double Silicone Rubber. It last long and is always reusable if you want to make more of the same mold or cast. The more traditional way of molding is using Alginate but the thing about alginate is that it is only good for a one time use from then on it shrinks and deteriorates. All in all it is a matter of preference. With using body double as your mold, it is a two part mix so taking part A and part B mix the two together until you have the right consistency. Take a brush, dip it into the mix and dab/ brush the body double silicone onto your clay piece, until it is completely covered. After telling it dry for a while, not completely, you will need to make your mother mold. The mother mold is the mold that hold the outside of your first mold, it maintains the structure of the mold and sculpt. In order to do this you will need Plaster of Paris, power and goss based. Starting with the power based plaster. Put the plaster in a disposable bucket or bowl. How much you use will depend on the size of your sculpt. When measuring how how you need always add water first then the plaster, fill the bowl with plaster until you have a island in the middle of the water. Make sure to mix thoroughly breaking up any and all clumps of plaster. Mix until you have a constancy of cookie dough or pancake batter. Once you are at the right consistency slowly pour the plaster over the rubberized mold. Then with the plaster stips dip them in warm water and place it on top of your plaster mold, have at most three to five layers of plaster stips ontop of the plast mold. Once that is complete it will take up to a week (maybe more depending on the amount of plaster used) for it to dry. After it is completely dry the next step is to take the mold out so the cast can be made. Slowly remove the mold from the clay piece, prying from each side loosening and pulling away. Once you have removed you mold, you can cast it with fiberglass resin, plastic resin, epoxy, or silicone rubber etc. In other words you can filled it will whatever type of material you want to use. Whichever material you use you mature the right amount to put into your mold. Pour the liquid into the mold then using a sloshing technique you shlosh the liquid around in the mold covering all sides and details. You want to do this about three time depends on the type of material you are using, it can vary depending on the material. Once that is complete let it dry this process with take about two to three days. When it is completely dry remove the mask. First pry the body double rubber silicone off the plaster, then slowly peel the body double away until it is removed from the mask. Then it is complete you have your mask, where it to parties, halloween, or whatever the use maybe.

Sunday, October 13, 2019

Development of Accounting Systems in China

Development of Accounting Systems in China Abstract This report put the accounting development in China into perspective. Describe the history and changes in the accounting environment of China during the recent economic reforms by using the Greys (1988) accounting value to analyzing the culture impact on accounting systems development in China, and then, illustrate the institutional and environmental factors which driven Chinas accounting system made changes, the reasons of those changes and then describes the major problem in Chinas accounting development as well as to point out whether would be changes in the future. Introduction This report is aim to describe the development of accounting system in China, including the history of Chinas accounting except Hong Kong, the one country, two systems policy allowed Hong Kong remain its market-led capitalist system. Then, it would describe the traditional use of accounting and the factors that influenced Chinas accounting development as well as what the changes it has made what the major problems that China has face in developing the accounting system. Then, it would discuss whether China would have further changes of accounting system in the future in my opinion. There has a conclusion in the end. Country profile China had more than 1.34 billion population at the end of 2010. National Bureau of Statistics (NBS) announced Chinas GDP reaching 39.79 trillion yuan (approximately 6.04 trillion US dollars) over the course of 2010. (Du Xiaodan, 2011 Paul Pennay, 2011) Brief history of  accounting in China According to Zhang Guohua (2005), Chinas economy has undergone three periods of change since 1949: 1949- 1978: a socialist, centrally controlled, planned economy. 1979- 1992: socialist commodity economy. 1992- present: socialist market economy. Chinas accounting system has changed with the economy, almost like the period of the Chinas economy. Development of accounting systems can generally be divided into the four stages: (more detailed information of Chinas accounting history can be found in Appendix 1.) 1949-1978 was the first stage which the uniform accounting system and the 1978-1992, Chinas accounting system has during the transition and the construction. Then, from 1992 to 1997, the construction of a new accounting system has issued. The fourth period is from 1997 to present. The ASC was set up in October 1998 by the Ministry of Finance to oversee the development of a complete set of Chinese GAAP. In order to join in the WTO, Chinas accounting standards made some change to closer to IFRS/IASs. The new Chinese Accounting Standards were adopted by all listed companies from 1 January 2007. Chinese Accounting Standards will continue to be updated in line with IFRS developments. (Gray et al, 1995 Wang Baozhong et al, 2009 Zhang Guohua, 2005 The Institute of Chartered Accountants of Scotland, 2010) Traditional use in China The basic function of financial accounting is to accounting and monitoring. With the founding of the PRC in 1949, all resources of production in the country came under State ownership. Accounting was primarily used for establishing information and reporting system for the implementation of national economic policies and resource allocation in the planned economy. (InterChina, 2009) The objectives of financial reporting system have been stated to serves one user primarily, the government, and then it is stated very broadly to strengthen accounting work of share enterprise, to protect the legitimate interest of investors and creditorsà ¢Ã¢â€š ¬Ã‚ ¦ (Ministry of Finance, 1992).The change in industry and ownership specific accounting system is due to the need of macroeconomic planning require a uniform system. (Tang, Qingliang, 2000) During the developing of accounting system, there are a number of users makes use of accounting in different purpose. Such as Shareholders use accounts to examine the health of business, and the dividends that they can expect to make. The bank may use the account to see how much loan they would provide for the company, and government would see the how much tax the company needs to pay. The main use for accounting is to comply with legal and other requirements, to provide information for stakeholders about financial performance and viability, to provide managers with information for decision making and to provide a structure to business activity based on the careful processing of numerical data. (The Times 100, n.d) The cultural factor that influenced its development The development of accounting was influenced by both cultural and environmental factors. They shape the accounting system in China. As Merino (cited in Carnegie and Napier, 2002) mentioned, All source material must be viewed as a reflection of the culture. The transition from a communist economy to a capitalist market economy can summarize as contributed by the factors as politic, culture, as well as the reform of social and economic or regional and international integration. Before economic reform, Chinas communist culture (See appendix 2) has strongly influence all the means of accounting control, whether accounting plans, balance sheets, and income statements or, in a wider sense, audit techniques. (Cigdem Solas and Sinan Ayhan, 2008) all the surpluses were owned by the state. A table (See appendix 3) summarizes the information on the difference between capitalist and communist systems, and issues raised for examination regarding their reflection in accounting. The transitions of the culture and economy reform were both influence the accounting system in China. For example, the concept of profit is meaningless under communist culture due to the panned economy which the surplus goes to government. In capitalism culture, the economic entity would need to have a certain type of boundary; the profit is one of its results. Particular rules for payment of the various parties involved would also be required, and monetary assessments of economic flows registered would have to be at least partly based on market mechanisms. Its status as a measurement of a single entitys performance presumes that there is a capacity for free enterprise do not existing in communist economic structures. Greys (1988) model derived accounting values from studies of societal value dimensions by Hofstede (1984), and Greys model has been used to analyse the cultural impact on accounting development in China. Professionalism V Statutory Chinas accounting system is strongly controlled by state rather than professional. The state closely controlled all enterprises by centralized plans. The profession is also still relatively new, small and powerless and it is currently occupied with the problems involved in meeting the new audit requirements. And it is unlikely to give up this power to a professional body so far. (Roberts, Weetman and Gordon, 2008) This is mainly because the strong power distance in China. In China, power is unquestioned, no matter it is right or wrong, the accountants in China cannot rely on their professional view. Uniformity V Flexibility Due to the special circumstances, China has a dual approach which retained a uniform accounting system in the Accounting System for Business Enterprises (ASBE) while also developing accounting standards based on IFRS. Enterprises have no judgment at all on how to account for particular transactions or events according to the uniform system. (Roberts, Weetman and Gordon, 2008) It is just as the same as the statutory in China, the accountants has been regulated by the uniform accounting regulation, they have to do as the regulation told to. Conservatism V Optimism The accounting system in China is conservatism rather than optimism. The Accounting System illustrate that an enterprise should fulfill the requirements of the prudence concept. Including, an enterprise should not overstate assets or revenue, or understate liabilities or expenses. It should not provide for any hidden reserve. (Roberts, Weetman and Gordon, 2008) which means Chinas accounting system has high level of uncertainly avoidance. Chinese government likes to plan everything in advance just the five years plan, they do not want to see something happen unexpected due to the complex situation. Secrecy V Transparency Chinas accounting system has highly secrecy due to the large power distance and strong uncertain avoidance. The collectivist culture of China require the enterprise offer their information to the society but within a range of narrative disclosure which stated in ASBE 2001. (Roberts, Weetman and Gordon, 2008) only related people can see the accounting information such as the managers, shareholders and the government officers. This feature is due to Chinas prudent culture, it is different as the western country but it is totally consistent with Chinas situation. Problems for using the Greys model There have some problems by using either Hofsteade model or Greys model to analyzing Chinas situation. Those models has been stated many years ago, in addition, China is rapid development in every aspects those years, therefore, the model may not be 100% appropriate with the situation nowadays. Another problem is China is really big; there has huge gap between west area and east area no matter in economy or culture. Institutional and Environmental factors There are several environmental factors which influence accounting system in China. Economic and enterprise reforms have influence the financial reports by change of the contents, format and uses. Enterprises in China are no longer relying on fund appropriation instead of independence in their operational and financing activities. Banking and financing system has restructured, therefore, the role of the state as a source of funds has been reduced. (Tang, Qingliang, 2000) Furthermore, various forms of business combinations with joint ownership have emerged (Tang et al, 1992). The rigid, fund-orientated and industry/ownership specific financial reporting system and practices are no longer well-matched the changing business environment. As a result, a universal and user-oriented financial reporting system is necessary to meets the needs of the economic reform. Due to the economic factors, the Objectives of Financial Reporting has made some change as well as the Industry and Ownership Specific Accounting System. Furthermore, foreign investment started to influence Chinas accounting system since the open-doors policy. The increasing of foreign direct investment and international business transaction driven China change its accounting system close to international accounting and report standard. (Tang, Qingliang, 2000) The legal factors have been influenced by other factors. The government system is one of the legal factors. The new accounting regulation system (See Appendix 3) is being developed towards a legal one. The National Peoples Congress issued the first tier accounting law in 1985 and revised in 1993 and 1999. It is the basic law of accounting in China as well as the basis of Chinas accounting work and other related accounting regulations. The State Council and Ministry of Finance formulated second tier- the executive regulations which form conceptual framework and general principles of accounting. The third tier authorized by the PRC Accounting Law and formulated by the Ministry of Finance. (Zhang Guohua, 2005) The legal framework for Chinas accounting system and reporting standards have changed step by step to fulfill the need of economy development. Another driving force for the accounting change is the development of capital market. In 1990 and 1991, the Shanghai Stock Exchange and Shenzhen Stock Exchange were established. The development of capital market has influenced Chinese accounting change toward to a capital market-oriented system. Therefore, the structure, content, format, and disclosure of financial information have been significantly influenced by the needs of the capital market. (Tang, Qingliang, 2000) Problems occurred in development There also appeared some problem during the Chinas accounting systems development and transition into international accounting standard. First is that Chinese accounting system and IAS requiring different practices; for example, inventory must be valued at historical costs under Chinese GAAP, but at the lower of cost and market (LOCAM) under IAS. Another example is accounting for long-term investment. Chinese GAAP offers companies a free choice between cost and equity methods if their investments in shares do not exceed 50 percent. But in other words, differences between Chinas accounting system and IAS can be reduced by changing accounting standards. (Charles J. P Chen, Ferdinand A. Gui and Xijia Su, 1999) Second, to implementation of IAS requires professional judgment from management as well as auditors. Professional independence and implement of standards have been identified as the two critical issues in international auditing. (Stamp and Moonitz, 1982) The severe shortage of qua lified accountants and auditors in China delay the development of professional auditing (Winkle et al. 1994; Graham 1996) Further changes The development of Chinas accounting system needs to fit Chinas special circumstance. It is impossible to expect independent/professional auditing to be achievable in China in the future. This implies that the proposed accounting standards will have to operate without independent/professional auditing. It is likely that the flexibility in the detailed accounting standards will provide opportunities for managers to engage in aggressive earnings management, reducing, even eliminating the probability of showing a true and fair view. Therefore, the lack of independent/professional auditing can neutralize the objective of prudence and turn the flexibility into a land of opportunities for earnings exploitation. (Bing Xiang, 1998) In my opinion, there has a trend, which the Chinas accounting system would slightly change towards to the international accounting system in the future, but would never be exactly the same with the international accounting system because of Chinas special circumst ance like one-party policy, different situation in different area, huge power distance and not so easy to managing the big land of China. Conclusion In conclusion, China has undergone profound changes in recent years, not only the economic system but also the accounting standards. China has moved from a system of public ownership of all enterprises to a mixed system with increasing private ownership of both small and large companies. There have many factors such as cultural and institutional factors which led to those changes as well as some problem which hold the change back, but Chinas accounting system would still change towards to the IAS due to the requirement of economic development. References Bing, X., (1998) Institutional Factors Influencing Chinas Accounting Reforms and Standards. Accounting Horizons. 12(2) pp: 105-119. Carnegie, G.D. and Napier, C.J., (2002) Exploring Comparative International Accounting History, Accounting, Auditing Accountability Journal, 15(5). pp 689-718. Chen, J. P., Gui, A.F., and Su, X., (1999) A Comparison of Reported Earnings Under Chinese GAAP vs. IAS: Evidence from the Shanghai Stock Exchange. Accounting Horizons. 13(2) pp: 91-111. Chiapello, E., and Ding,Y., (2005) Searching for The Accounting Features of Capitalism: An Illustration with Economic Transition Process in China, SASE, Budapest. Chow, L.M., Chau, G.K. and Gray, S.J. (1995) Accounting reforms in China: cultural constraints on implementation and development, Accounting and Business Research, 26(1): 29-49. Du, X., (2011) China has 1.34 billion populations by 2010. [WWW] Xinhua NEWS. Available from: http://english.cntv.cn/20110228/109748.shtml [Assessed 1/3/2011] Graham, L., (1996). Setting a research agenda for auditing issues in the Peoples Republic of China. The International Journal of Accounting. 31(1). pp: 19-37. InterChina, (2009) Accounting in China. InterChina Consulting. The Institute of Chartered Accountants of Scotland, (2010) Chinese accounting reform: Towards a principles-based global regime. ISBN: 978-1-904574-62-0. Edinburgh: Technical Policy Board of the Institute of Chartered Accountants of Scotland (ICAS). Ministry of Finance, Chinese Government, (1992). Accounting system for foreign investment enterprises. Pennay, P., (2011) Chinas GDP Increased by 10.3% in 2010. [WWW] the Economic Observer online. Available from: http://www.eeo.com.cn/ens/homepage/briefs/2011/01/20/191877.shtml [Assessed 1/3/2011] Roberts, C., Weetman, P., and Gordon, P., (2008) International Corporate Reporting: A Comparative Approach. 4th ed. FT Prentice Hall. Stamp, E., and Moonitz, M., (1982). International Auditing Standards: Part I. CPA Journal. pp 24-32. Solas, S., and Ayhan, S., (2008) The Historical Evolution of Accounting in China (Novissima Sinica): Effects of Culture (2nd Part). Spanish Journal of Accounting History. No.8 pp: 138-163. Tang, Q.L., (2000) Accounting Reforms in China: A Transition from State Plan and Control-Oriented System to Capital Market-Oriented System. Managerial Finance. 26(5) pp: 80-99. Tang, Y., Chow, L., and Cooper, B., (1992). Accounting and Finance in China: A review of current practice. Hong Kong: Longman. The Times 100, (n.d.) Accounting Functions. [WWW] The Times 100. Available from: http://www.thetimes100.co.uk/theory/theoryaccounting-functions111.php [Assessed 2/3/2011] Wang, B.Z., Huang, J.Y., Wang, B.Q., (2009) Change of Accounting System Review. Communication of Finance and Accounting à ¢Ã¢â€š ¬Ã‚ ¢Ãƒ ¢Ã¢â€š ¬Ã‚ ¢ NG. Issue6. Winkle, G., Huss, H., and Chen, X., (1994). Accounting standards in the Peoples Republic of China: Responding to economic reforms. Accounting Horizons. Issue: 8. pp: 48-57. Zhang, G., (2005) Environmental factors in Chinas financial accounting since 1949. Netherland: Erasmus University Rotterdam. Appendix 1 History of accounting systems development in China Chinas accounting history can be traced back 2000 years ago. The word accounting first appeared in Western Zhou Dynasty à ¯Ã‚ ¼Ã‹â€ 11th century BC to 770 BCà ¯Ã‚ ¼Ã¢â‚¬ °. During the Tang Dynasty (AD 618-907), Account book appeared for recording the annual fiscal revenues. The basic traditional Chinese accounting theory such as the scientific bookkeeping method and the four pillars accounts was created in Song Dynasty (AD 960-1279). A new method called Long Men Zhang which is similar to the double-entry bookkeeping method has created in Ming Dynasty (AD1369-1644). Single-entry bookkeeping has been used in prior to 1911. (Zhang Guohua, 2005) Since 1949, Development of accounting systems can generally be divided into the four stages: First stage is from 1949 to 1978: 1949-1952 a unified accounting system of affiliated enterprises was developed by the central government. 1958-1959, the accounting system has been severely damaged by the scholasticism thinking, some people claimed to simplify the accounting system. 1960 to 1966, due to economic development, people realized the importance of accounting. Critical theorists illustrated the error approach of simplify the accounting system, then, the accounting system design work has received attention. Furthermore, the industry-specific regulation has been issued. (Gray et al, 1995 Wang Baozhong et al, 2009 Zhang Guohua, 2005) Second stage is from 1978 to 1992: Chinas accounting has undergone drastic changes due to the opening-up and beginning of reform. 1979-1922, Enterprises started to issue equity shares in 1984. The number of Sino-foreign joint venture has increased; Ministry of Finance has issued the Laws on Sino- foreign Joint Venture to solve the problem of difficult of foreign staff in accounting and use the accounting information. These included a joint venture income tax law and laws on contracts and foreign exchange. Accounting Regulations for Sino-Foreign Joint Ventures and Charts of Account and Accounting Statements for Industrial Sino-Foreign Joint Ventures has issued in 1985 which is the first accounting system reference to international conventions to satisfy the new accounting system in China. (Gray et al, 1995 Wang Baozhong et al, 2009 Zhang Guohua, 2005) Third stage is from 1992 to 1997: Ministry of Finance and the National Committee of Economic Structure Reform jointly promulgated Accounting Regulations for Share Enterprises in 1992. Furthermore, Accounting System for Business Enterprises (ASBE) issued in November 1992. The ASBE was a major attempt both to unify the accounting systems used by different industries and to move financial accounting towards international accounting practices. Because of the development of foreign exchange markets, these regulations which made in 1985 were replaced by Accounting Regulations for Enterprises with Foreign Investments and Charts of Accounts and Accounting Statements for Industrial Enterprises with Foreign Investments in 1993. (Gray et al, 1995 Wang Baozhong et al, 2009 Zhang Guohua, 2005) The fourth stage is start from 1997 to present: the Accounting Standard Committee issued to establishing a complete set of accounting standard. The Accounting Law of the PRC which revised in 2000 is the highest level of authority which replaced the pervious law of 1992. (Gray et al, 1995 Wang Baozhong et al, 2009 Zhang Guohua, 2005)